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El valor de i que hace que estas ecuaciones numéricas sean correctas se llama i*. Es
la raíz de la relación TR. Para determinar si la serie de flujo de efectivo de la
alternativa es viable, compare i* con la TMAR establecida.
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negativa desde la perspectiva del prestatario. El valor numérico de i puede oscilar
en un rango entre –100% hasta el infinito, es decir, –100% < i < ∞.
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Ejercicio 7.5 Número Cant.
Datos: 1 -150000
I= 150 1 6000
A= 6 2 6000
N= 30 3 6000
F= 0 4 6000
5 6000
6 6000
7 6000
8 6000
9 6000
10 6000
11 6000
12 6000
13 6000
14 6000
15 6000
16 6000
Tasa de Rend.= 1.22%
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Ejercicio 7.6 Numero Cant.
Datos: 1 -400000
I= 400000 2 10250
A= 10250 3 10250
N=48 4 10250
F= 0 5 10250
6 10250
7 10250
8 10250
9 10250
10 10250
11 10250
12 10250
13 10250
14 10250
Tasa de Rend.= 0.88%
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Ejercicio 7.7 Número Cant.
Datos: 0 -30000
I= 30000 1 9000
A= 9000 2 9000
n= 5 3 9000
F= 4000 4 9000
5 13000
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Tasa de Rend.=18%
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Ejercicio 7.12 Número Cant.
Datos: 0 -40
I= 40 1 -28
n= 10 2 -28
A=30 3 -28
4 5
5 15
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6 30
7 30
8 30
9 30
10 30
Tasa de Rend.=5%
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