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Mathematics, 18.10.2020 03:01 dolahghazali76

El 1 de noviembre de 2005, la señora Rodgers invirtió $ 10,000 en un certificado de depósito a 10 años que pagaba interés a la tasa anual de 4% compuesto continuamente. Cuando el certificado maduró el 1 de noviembre de 2015, ella reinvirtió el monto total acumulado en bonos corporativos, los cuales pagan una tasa de interés del 5% compuesto anualmente. ¿Cuál será el monto acumulado de la señora Rodgers el 1 de noviembre de 2020?

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El 1 de noviembre de 2005, la señora Rodgers invirtió $ 10,000 en un certificado de depósito a 10 añ...
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