Board of Visitors minutes May 27, 1988 | ||
FEASIBILITY ANALYSIS TABLE XIX
14-Oct-87
REVENUE SOURCES | AMOUNT |
1) USER FEES | 463,317 |
2) GENERAL STUDENT FEES | 0 |
3) RECOVERIES | 0 |
4) REVENUE FROM OPERATIONS | 0 |
5) INSTITUTIONAL RESERVES | 0 |
6) RETIREMENT OF EXISTING DEBT | 0 |
7) OTHER | 1,475,189 |
PRESENT VALUE OF PROJECT REVENUE CASH FLOW | 1,938,506 |
DISCOUNT RATE | 0.0850 |
Board of Visitors minutes May 27, 1988 | ||