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- If GBP/USD 1.4462/67 and USD/CHF 1.6688/93, what is the GBP/CHF rate?Use the compound interest formula A = P(1 + r)' and the given information to solve for t. 201 A= $42.000, P= $28,000. r= 7% T=?Use the compound interest formula A = P(1 + r)" and the given information to solve for r. A = $2200, P = $1500, t=70s R=?
- Calculate the number of periods for the following present value, interest rate, and future value:PV=810 ; r:7% ; FV= 4,341a) 18.42b) 8.71c) 21.37d) 24.81The quoted rate of interest is calculated using the following formula. Quoted Rate = r* + IP + DRP +LP + MRP Given the following information what is the risk free rate (RF) of the quote of the US Treasury Bill r* = 2% IP = 3% DRP = 3% LP = 3% MRP = 4% 2% Select 5% as your answer 5% Select 8% as your answer 8% Select 15% as your answer 15%What is the interest rate “r” if PV=$1250 and the FV=$2150 in year t=10?
- Interest rates or discount rates. Fill in the interest rates for the following table using one of the three methods below: a. Use the interest rate formula, r=FVPV1n−1. b. Use the TVM keys from a calculator. c. Use the TVM function in a spreadsheet. Present Value Future Value Number of Periods Interest Rate $ 493.61 $ 1,902.61 20 ? $17,077.77 $228,416.84 32 ? $34,251.51 $ 63,755.61 24 ? $26,813.61 $212,279.67 10 ? Present Value Future Value Number of Periods Interest Rate $ 493.61 $ 1,902.61 20 nothing% (Round to two decimal places.) $17,077.77 $228,416.84 32 nothing% (Round to two decimal places.) $34,251.51 $ 63,755.61 24 nothing% (Round to two decimal places.) $26,813.61 $212,279.67 10 nothing% (Round to two decimal places.)How do you calculate the effective interest rate in excel?Find the interest rate implied by the following combinations of present and future values. present values $330, Years 10, future value 591, interest rate? present values $148, Years 3, future value 192, interest rate? present values $230, Years 6, future value 230, interest rate?
- Present using the rate of return method without using the NPV. Rate of interest = 10%Please define the “Interest Rate Parity Theorem” and explain the equation which describes it.The quoted rate of interest is calculated using the following formula. Quoted Rate = r* + IP + DRP +LP + MRP Given the following information what is the risk free rate (RF) of the quote of the US Treasury Bill r* = 2% IP = 3% MRP = 3% LP = .6% DRP = .4%