2022年复利系数表-复利系数表.docx
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1、附录复利系数表i=l%年限0/年一次支付 终值系数 (F/P, i, n)一次支付 现值系数 (P/F, i, n)等额系列 终值系数 (F/A, i, n)偿债基金 系 数 (A/F, i, n)资金回收系 数(A/P, i, n)等额系列 现值系数 (P/A, i, n)11.01000.99011.0000l.(X)001.01000.990121.02010.98032.01000.49750.50751.970431.03030.97063.03010.33000.34002.941041.04060.96104.06040.24630.25633.902051.05100.9515
2、5.10100.19600.20604.853461.06150.94206.15200.16250.17255.795571.07210.93277.21350.13860.14866.728281.08290.92358.28570.12070.13077.651791.09370.91439.36850.10670.11678.5660101.10460.905310.46220.09560.10569.4713111.11570.896311.56680.08650.096510.3676121.12680.887412.68250.07880.088811.2551131.13810
3、.878713.80930.07240.082412.1337141.14950.870014.94740.06690.076913.0037151.16100.861316.09690.06210.072113.8651161.17260.852817.25790.05790.067914.7179171.18430.844418.43040.05430.064315.5623181.19610.836019.61470.05100.061016.3983191.20810.827720.81090.04810.058117.2260201.22020.819522.01900.04540.
4、055418.0456211.23240.811423.23920.04300.053018.8570221.24470.803424.47160.04090.050919.6604231.25720.795425.71630.03890.048920.4558241.26970.787626.97350.03710.047121.2434251.28240.779828.24320.03540.045422.0232261.29530.772029.52560.03390.043922.7952271.30820.764430.82090.03240.042423.5596281.32130
5、.756832.12910.03110.041124.3164291.33450.749333.45040.02990.039925.0658301.34780.741934.78490.02870.038725.8077i=10%年限 n/年一次支付 终值系数 (F/P, i, n)一次支付 现值系数 (P/F, i, n)等额系列 终值系数 (F/A, i, n)偿债基金系 数(A/F, i, n)资金回收系 数(A/P, i, n)等额系列 现值系数 (P/A, i, n)11.10000.90911.00001.00001.10000.909121.21000.82642.10000.
6、47620.57621.735531.33100.75133.31000.30210.40212.486941.46410.68304.64100.21550.31553.169951.61050.62096.10510.16380.26383.790861.77160.56457.71560.12960.22964.355371.94870.51329.48720.10540.20544.868482.14360.466511.43590.08740.18745.334992.35790.424113.57950.07360.17365.7590102.59370.385515.93740.
7、06270.16276.1446112.85310.350518.53120.05400.15406.4951123.13840.318621.38430.04680.14686.8137133.45230.289724.52270.04080.14087.1034143.79750.263327.97500.03570.13577.3667154.17720.239431.77250.03150.13157.6061164.59500.217635.94970.02780.12787.8237175.05450.197840.54470.02470.12478.0216185.55990.1
8、79945.59920.02190.12198.2022196.11590.163551.15910.01950.11958.3649206.72750.148657.27500.01750.11758.5136217.40020.135164.00250.01560.11568.6487228 J 4030.122871.40270.01400.11408.7715238.95430.111779.54300.01260.11268.8832249.84970.101588.49730.01130.11138.98472510.83470.092398.34710.01020.11029.0
9、7702611.91820.0839109.18180.00920.10929.16092713.11000.0763121.09990.00830.10839.23722814.42100.0693134.20990.00750.10759.30662915.86310.0630148.63090.00670.10679.36963017.44940.0573164.49400.00610.10619.4269i=12%年限 n/年一次支付 终值系数 (F/P, i, n)一次支付 现值系数 (P/F, i, n)等额系列 终值系数 (F/A, i, n)偿债基金系 数(A/F, i, n)
10、资金回收系 数(A/P, i, n)等额系列 现值系数 (P/A, i, n)11.12000.89291.00001.00001.12000.892921.25440.79722.12000.47170.59171.690131.40490.71183.37440.29630.41632.401841.57350.63554.77930.20920.32923.037351.76230.56746.35280.15740.27743.604861.97380.50668.11520.12320.24324.111472.21070.452310.08900.09910.21914.56388
11、2.47600.403912.29970.08130.20224.967692.77310.360614.77570.06770.18775.3282103.10580.322017.54870.05700.17705.6502113.47850.287520.65460.04840.16845.9377123.89600.256724.13310.04140.16146.1944134.36350.229228.02910.03570.15576.4235144.88710.204632.39260.03090.15096.6282155.47360.182737.27970.02680.1
12、4686.8109166.13040.163142.75330.02340.14346.9740176.86600.145648.88370.02050.14057.1196187.69000.130055.74970.01790.13797.2497198.61280.116163.43970.01580.13587.3658209.64630.103772.05240.01390.13397.46942110.80380.092681.69870.01220.13227.56202212.10030.082692.50260.01080.13087.64462313.55230.07381
13、04.60290.00960.12967.71842415.17860.0659118.15520.00850.12857.78432517.00010.0588133.33390.00750.12757.84312619.04010.0525150.33390.00670.12677.89572721.32490.0469169.37400.00590.12597.94262823.88390.0419190.69890.00520.12527.98442926.74990.0374214.58280.00470.12478.02183029.95990.0334241.33270.0041
14、0.12418.0552i=15%年限 n/年一次支付 终值系数 (F/P, i, n)一次支付 现值系数 (P/F, i, n)等额系列 终值系数 (F/A, i, n)偿债基金系 数(A/F, i, n)资金回收系 数(A/P, i, n)等额系列 现值系数 (P/A, i, n)11.15000.86961.00001.00001.15000.869621.32250.75612.15000.46510.61511.625731.52090.65753.47250.28800.43802.283241.74900.57184.99340.20220.35032.855052.01140.
15、49726.74240.14830.29833.352262.3131().43238.75370.11420.26423.784572.66000.375911.06680.09040.24044.160483.05900.326913.72680.07290.22294.487393.51790.284316.78580.05960.20964.7716104.04560.247220.30370.04930.19935.0188114.65240.214924.34930.04110.19115.2337125.35030.186929.00170.03450.18455.4206136
16、.15280.162534.35190.02910.17915.5831147.07570.141340.50470.02470.17475.7245158.13710.122947.58040.02100.17105.8474169.35760.106955.71750.01790.16795.95421710.76130.092965.07510.01540.16546.04721812.37550.080875.83640.01320.16326.12801914.23180.070388.21180.01130.16136.19822016.36650.0611102.44360.00
17、980.15986.25932118.82150.0531118.81010.00840.15846.31252221.64470.0462137.63160.00730.15736.35872324.89150.0402159.27640.00630.15636.39882428.62520.0349184.16780.00540.15546.43382532.91900.0304212.79300.00470.15476.46412637.85680.0264245.71200.00410.15416.49062743.53530.0230283.5688000350.15356.5135
18、2850.06560.0200327.10410.00310.15316.53352957.57550.0174377.16970.00270.15276.55093066.21180.0151434.74510.00230.15236.5660i=18%年限 n/年一次支付 终值系数 (F/P, i, n)一次支付 现值系数 (P/F, i, n)等额系列 终值系数 (F/A, i, n)偿债基金系 数(A/F, i, n)资金回收系 数(A/P, i, n)等额系列 现值系数 (P/A, i, n)11.18000.84751.00001.00001.18000.847521.39240.
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