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Threat Stack TEI Case Study_final

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15 | The Total Economic Impactâ„¢ Of Threat Stack The financial results calculated in the Benefits and Costs sections can be used to determine the ROI, NPV, and payback period for the composite organization's investment. Forrester assumes a yearly discount rate of 10% for this analysis. Financial Summary CONSOLIDATED THREE-YEAR RISK-ADJUSTED METRICS Cash Flow Chart (Risk-Adjusted) -$0.2 M -$0.1 M $0.1 M $0.2 M $0.3 M $0.4 M $0.5 M $0.6 M $0.7 M $0.8 M Initial Year 1 Year 2 Year 3 Cash flows Total costs Total benefits Cumulative net benefits These risk-adjusted ROI, NPV, and payback period values are determined by applying risk-adjustment factors to the unadjusted results in each Benefit and Cost section. Cash Flow Table (Risk-Adjusted) INITIAL YEAR 1 YEAR 2 YEAR 3 TOTAL PRESENT VALUE Total costs ($79,488) ($103,066) ($103,066) ($103,066) ($388,685) ($335,797) Total benefits $0 $446,882 $333,832 $333,832 $1,114,545 $932,963 Net benefits ($79,488) $343,816 $230,766 $230,766 $725,860 $597,166 ROI 178% Payback period < 1 year

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