The case is:
Company X want to invest next year to increase their profits in the long term. What should they do?
How can I structure such a case?
The case is:
Company X want to invest next year to increase their profits in the long term. What should they do?
How can I structure such a case?
Simply speaking, you will be asking the interviewer about what are the additional Revenues, Costs and therefore profit. You will compare it with the Capex / Investment and find out the Return of the Investments...
Of course this is very simplified and there are many catches on the way.
Happy to walk you through it over a call / lesson.