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Term in years: 2 5 10 30 Rate: 2.25% 3.125% 3.5%. 4.375% The table above shows the interest rates available from investing in risk-free U.S.
Term in years: 2 5 10 30
Rate: 2.25% 3.125% 3.5%. 4.375%
The table above shows the interest rates available from investing in risk-free U.S. Treasury securities with different investment terms. If an investment offers a risk-free cash flow of in years' time, what is the present value (PV) of that cash flow?
A.$106,743
B.$71,162
C.$88,952
D.$ 124,533
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