Math Problem Statement
Valor presente = 100.000 Periodo = 270 dias Taxa do Periodo (270 dias) = 11.75% Mais um spread ao ano (252 dias) = 0.65% Qual o valor futuro, liquido?
Solution
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Math Problem Analysis
Mathematical Concepts
Finance
Interest Rate Calculations
Proportional Adjustment of Rates
Formulas
Spread ajustado = Spread anual * (Periodo / Base)
Taxa total = Taxa do periodo + Spread ajustado
Valor futuro (VF) = Valor presente (VP) * (1 + Taxa total)
Theorems
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Suitable Grade Level
University Finance Level
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