Prestamo A Cuota Fija
Prestamo A Cuota Fija
Prestamo A Cuota Fija
30%
BANCO DE COLOMBIA
PRESTAMO 10,000,000.00
INTERES ANUAL 22%
AÑOS 4
FRECUENCIA DE PAGO 12
No. CUOTAS 48
TASA EQUIVALENTE 1.83%
0
1 315,060.78 183,333.33
2 315,060.78 180,918.33
3 315,060.78 178,459.05
4 315,060.78 175,954.69
5 315,060.78 173,404.41
6 315,060.78 170,807.38
7 315,060.78 168,162.73
8 315,060.78 165,469.60
9 315,060.78 162,727.09
10 315,060.78 159,934.31
11 315,060.78 157,090.32
12 315,060.78 154,194.20
13 315,060.78 151,244.98
14 315,060.78 148,241.69
15 315,060.78 145,183.34
16 315,060.78 142,068.92
17 315,060.78 138,897.40
18 315,060.78 135,667.74
19 315,060.78 132,378.87
20 315,060.78 129,029.70
21 315,060.78 125,619.13
22 315,060.78 122,146.03
23 315,060.78 118,609.26
24 315,060.78 115,007.65
25 315,060.78 111,340.01
26 315,060.78 107,605.13
27 315,060.78 103,801.78
28 315,060.78 99,928.69
29 315,060.78 95,984.61
30 315,060.78 91,968.21
31 315,060.78 87,878.18
32 315,060.78 83,713.16
33 315,060.78 79,471.79
34 315,060.78 75,152.66
35 315,060.78 70,754.34
36 315,060.78 66,275.39
37 315,060.78 61,714.33
38 315,060.78 57,069.64
39 315,060.78 52,339.81
40 315,060.78 47,523.25
41 315,060.78 42,618.40
42 315,060.78 37,623.62
43 315,060.78 32,537.28
44 315,060.78 27,357.68
45 315,060.78 22,083.12
46 315,060.78 16,711.86
47 315,060.78 11,242.13
48 315,060.78 5,672.13
49 315,060.78 -
50 315,060.78 - 5,776.11
51 315,060.78 - 11,658.12
52 315,060.78 - 17,647.97
53 315,060.78 - 23,747.63
54 315,060.78 - 29,959.12
55 315,060.78 - 36,284.48
56 315,060.78 - 42,725.81
57 315,060.78 - 49,285.23
58 315,060.78 - 55,964.91
59 315,060.78 - 62,767.05
60 315,060.78 - 69,693.89
$ 1,500,000
450,000.00
APROBADO
Resumen
Valor Préstamo 10,000,000.00
Total cuenta 7,561,458.68
Total Intereses 3,634,550.15
CAPITAL
CAPITAL A DEVOLVER
AMORTIZADO
10,000,000.00
131,727.45 9,868,272.55
134,142.45 9,734,130.11 https://www.youtube.com/watch?v=nw5PVSuKuYs
136,601.73 9,597,528.38
139,106.09 9,458,422.29
141,656.37 9,316,765.92
144,253.40 9,172,512.52
146,898.05 9,025,614.47
149,591.18 8,876,023.29
152,333.68 8,723,689.60
155,126.47 8,568,563.13
157,970.45 8,410,592.68
160,866.58 8,249,726.10
163,815.80 8,085,910.30
166,819.09 7,919,091.21
169,877.44 7,749,213.77
172,991.86 7,576,221.91
176,163.38 7,400,058.54
179,393.04 7,220,665.50
182,681.91 7,037,983.59
186,031.08 6,851,952.51
189,441.65 6,662,510.86
192,914.75 6,469,596.11
196,451.52 6,273,144.60
200,053.13 6,073,091.47
203,720.77 5,869,370.70
207,455.65 5,661,915.05
211,259.00 5,450,656.05
215,132.08 5,235,523.96
219,076.17 5,016,447.79
223,092.57 4,793,355.22
227,182.60 4,566,172.62
231,347.61 4,334,825.01
235,588.99 4,099,236.02
239,908.12 3,859,327.91
244,306.43 3,615,021.47
248,785.38 3,366,236.09
253,346.45 3,112,889.64
257,991.14 2,854,898.50
262,720.97 2,592,177.53
267,537.52 2,324,640.01
272,442.38 2,052,197.63
277,437.16 1,774,760.47
282,523.50 1,492,236.97
287,703.10 1,204,533.87
292,977.66 911,556.21
298,348.91 613,207.30
303,818.64 309,388.65
309,388.65 -
315,060.78 - 315,060.78
320,836.89 - 635,897.67
326,718.90 - 962,616.57
332,708.75 - 1,295,325.32
338,808.41 - 1,634,133.73
345,019.90 - 1,979,153.63
351,345.26 - 2,330,498.89
357,786.59 - 2,688,285.48
364,346.01 - 3,052,631.49
371,025.69 - 3,423,657.18
377,827.83 - 3,801,485.01
384,754.67 - 4,186,239.68
10 20
20 46
30 100
40 23
50 45
60 60
70 97