Free Cash Inc. is anticipated to make earnings before interest and taxes? (EBIT) of ?$30 comma 000?, ?$40 comma 000?, and ?$50 comma 000 in each of the next three years. Depreciation is estimated to be ?$3 comma 000 ?, ?$3 comma 500, and ?$4 comma 000 in each of the next three years. Capital expenditures are estimated to be ?$8 comma 000?, ?$9 comma 000?, and ?$10 comma 000 in each of the next three years. Incremental increases in working capital requirements are estimated to be ?$2 comma 500 ?, ?$3 comma 000?, and ?$3 comma 500 in each of the next three years. Free Cash? Inc.'s tax rate is 35 percent. Estimate the free cash flows to the firm for Free Cash Inc. for each of the next three years.
The free cash flows to the firm for Free Cash Inc. in one year are estimated to be . ?(Round to the nearest? dollar.)
The free cash flows to the firm for Free Cash Inc. in two years are estimated to be. ?(Round to the nearest? dollar.)
The free cash flows to the firm for Free Cash Inc. in three years are estimated to be. ?(Round to the nearest? dollar.)