2 3 4 5 Term in years: Rate: 1 1.8% 2.25% 2.30% 2.66% 3.13% The table above shows the interest rates available from investing in risk-free U.S. Treasury securities with different investment terms. What is the present value of cash flows from an investment that yields $11,000 at the end of each year for the next four years? OA. $33,204 OB. $49,806 OC. $41,505 O D. $58,107

Essentials Of Investments
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ISBN:9781260013924
Author:Bodie, Zvi, Kane, Alex, MARCUS, Alan J.
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Chapter1: Investments: Background And Issues
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Term in years:
Rate:
2
3
4 5
1
1.8% 2.25% 2.30% 2.66% 3.13%
The table above shows the interest rates available from investing in risk-free U.S. Treasury securities with different investment terms. What is the present value (P
of cash flows from an investment that yields $11,000 at the end of each year for the next four years?
OA. $33,204
B. $49,806
OC. $41,505
OD. $58,107
Transcribed Image Text:Term in years: Rate: 2 3 4 5 1 1.8% 2.25% 2.30% 2.66% 3.13% The table above shows the interest rates available from investing in risk-free U.S. Treasury securities with different investment terms. What is the present value (P of cash flows from an investment that yields $11,000 at the end of each year for the next four years? OA. $33,204 B. $49,806 OC. $41,505 OD. $58,107
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