Question: Section B 1. Considering the figures shown in the figures below, what should the cash flow be on year 4 if the target internal
Section B 1. Considering the figures shown in the figures below, what should the cash flow be on year 4 if the target internal rate of return (IRR) is 6.12% ? Please explain the concept of IRR and how the IRR will vary depending on the initial investment. (10 points) Investment Year 2024 Year 2025 Year 2026 Year 2027 -90 44 18 20 ?
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