Cash Flow 按现值计算现金流量You are planning to make monthly deposits of $180 into a retirement account that pays 7 percent interest compounded monthly.If your first deposit will be made one month from now,how large will your retirement acco

来源:学生作业帮助网 编辑:作业帮 时间:2024/05/13 10:03:13
Cash Flow 按现值计算现金流量You are planning to make monthly deposits of $180 into a retirement account that pays 7 percent interest compounded monthly.If your first deposit will be made one month from now,how large will your retirement acco

Cash Flow 按现值计算现金流量You are planning to make monthly deposits of $180 into a retirement account that pays 7 percent interest compounded monthly.If your first deposit will be made one month from now,how large will your retirement acco
Cash Flow 按现值计算现金流量
You are planning to make monthly deposits of $180 into a retirement account that pays 7 percent interest compounded monthly.If your first deposit will be made one month from now,how large will your retirement account be in 15 years?

Cash Flow 按现值计算现金流量You are planning to make monthly deposits of $180 into a retirement account that pays 7 percent interest compounded monthly.If your first deposit will be made one month from now,how large will your retirement acco
There will be 12*15=180 cashflows.Monthly interest rate is 7%/12.
The first cashflow will be compounded 179 times,and the last cashflow will be at the end of 15 years and will not be compounded.
The future value,at the end of 15 years,will be:
180*(1+7%/12)^179 + 180*(1+7%/12)^178 + ...+ 180*(1+7%/12)^0
sum=180*((1+7%/12)^180-1)/(7%/12)=57053.21
or,you can input in excel:
=FV(7%/12,180,180,0)
and get the same number as above.

Cash Flow 按现值计算现金流量You are planning to make monthly deposits of $180 into a retirement account that pays 7 percent interest compounded monthly.If your first deposit will be made one month from now,how large will your retirement acco cash-flow 已知净现金流量怎么算折现值和累计折现值折现率按12%计算 预计未来现金流量现值是什么? discounted cash flow cash flow hedge是什么意思 Cash Flow Budget和Cash Flow Forecast的区别是什么? 英语翻译operating cash flow?cash flow from operating activities? levered free cash flow是什么 excess cash flow什么意思 cash flow 的中文是什么? Statement of cash flow translate uneven cash flow stream是什么意思 cash net cash flow differencewhat is difference cash from operation and net cash flow and profit 如何计算财务净现值和内部收益率?已知每年的净现金流量,求财务净现值和内部收益率第一年到第十年的净现金流量:-13800 -141.725 3651.14 4651.135 4651.135 4651.135 4651.135 4651.135 4651.135 4651.135 麻烦 随着复利计算频率的增加,实际利率增加,现金流量现值减少.这是银行从业资格考试个人理财当中的一个正确答案,为什么现金流量现值减少不是增加? 净现值究竟等于净现金流量乘以年金现值系数还是复利现值系数啊? 关于会计中预计未来现金流量现值的计算我想问一下.会计里关于未来现金流量现值的计算.就是题里面会给折现率.让计算现值.我想问一下.折现系数是查表得到的.还是根据折现率自己计算呢.