Question: table {mso-displayed-decimal-separator:.; mso-displayed-thousand-separator:,;} tr {mso-height-source:auto;} col {mso-width-source:auto;} td {padding-top:1px; padding-right:1px; padding-left:1px; mso-ignore:padding; color:black; font-size:11.0pt; font-weight:400; font-style:normal; text-decoration:none; font-family:Calibri, sans-serif; mso-font-charset:0; text-align:general; vertical-align:bottom; border:none; white-space:nowrap; mso-rotate:0;}

table {mso-displayed-decimal-separator:"\."; mso-displayed-thousand-separator:"\,";} tr {mso-height-source:auto;} col {mso-width-source:auto;} td {padding-top:1px; padding-right:1px; padding-left:1px; mso-ignore:padding; color:black; font-size:11.0pt; font-weight:400; font-style:normal; text-decoration:none; font-family:Calibri, sans-serif; mso-font-charset:0; text-align:general; vertical-align:bottom; border:none; white-space:nowrap; mso-rotate:0;} .xl72 {color:white;} .xl73 {text-align:left;} .xl74 {text-align:left; white-space:normal;} .xl76 {color:#C00000; font-weight:700;} .xl86 {font-style:italic; white-space:normal;} .xl93 {white-space:normal;} .xl100 {border-top:1.0pt solid windowtext; border-right:1.0pt solid windowtext; border-bottom:none; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl104 {text-align:center; vertical-align:middle; border-top:1.0pt solid windowtext; border-right:none; border-bottom:none; border-left:1.0pt solid windowtext; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl107 {color:#0050C7; border-top:.5pt solid windowtext; border-right:none; border-bottom:none; border-left:1.0pt solid windowtext; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl111 {text-align:center; vertical-align:middle; border-top:1.0pt solid windowtext; border-right:none; border-bottom:none; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl112 {color:#0050C7; border-top:.5pt solid windowtext; border-right:none; border-bottom:none; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl113 {text-align:center; border-top:1.0pt solid windowtext; border-right:none; border-bottom:none; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl117 {border-top:none; border-right:1.0pt solid windowtext; border-bottom:none; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl121 {color:#0050C7; border-top:none; border-right:none; border-bottom:none; border-left:1.0pt solid windowtext; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl122 {color:#0050C7; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl133 {color:#0050C7; border-top:none; border-right:none; border-bottom:1.0pt solid windowtext; border-left:1.0pt solid windowtext; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl136 {color:#0050C7; border-top:none; border-right:none; border-bottom:1.0pt solid windowtext; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl142 {border-top:none; border-right:1.0pt solid windowtext; border-bottom:1.0pt solid windowtext; border-left:none; background:#FFCC99; mso-pattern:black none; white-space:normal;} .xl205 {color:#007A37; font-weight:700; border-top:.5pt solid windowtext; border-right:none; border-bottom:none; border-left:none; background:#FFFF99; mso-pattern:black none; white-space:normal;} .xl206 {color:#007A37; font-weight:700; background:#FFFF99; mso-pattern:black none; white-space:normal;} .xl207 {color:#007A37; font-weight:700; border-top:none; border-right:none; border-bottom:1.0pt solid windowtext; border-left:none; background:#FFFF99; mso-pattern:black none; white-space:normal;}

Accessibility tab summary: Students please use the information below to complete the question completing the required cells. Given information for this question is presented in columns A, C, and D. The required answers are in column B.
Solve for the unknown number of years in each of the following:
(Your answers should be positive.)
Present value Years Interest rate Future value
$610 2.57 7% $1,389
940 8% 1,821
26,350 9% 289,715
43,500 11% 430,258

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