Question: Bond H, described in the table below, is sold for settlement on 20 April 2020. Annual Coupon 6% Coupon Payment Frequency Semiannual Interest Payment Dates

 Bond H, described in the table below, is sold for settlement

Bond H, described in the table below, is sold for settlement on 20 April 2020. Annual Coupon 6% Coupon Payment Frequency Semiannual Interest Payment Dates 30 December and 30 June Maturity Date 30 December 2025 Day-Count Convention 30/360 Annual Yield-to-Maturity 7% What is the flat price for Bond H on the settlement date of 20 April 2020? Round your answer to three decimal places Question 7 1 Use the following information for Questions 7-8. A bond with 5 years until maturity is currently trading for 101 per 100 of par value. The bond offers a 5% coupon rate with interest paid semiannually. The bond is first callable in 3 years, and is callable after that date on coupon dates according to the following schedule: End of Year Call Price 3 102 4 101 5 100 What is the bond's current yield-to-maturity? Express your answer in percentage terms (3.5 not 0.035) rounded to 3 decimal places

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