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Bond G, described in the exhibit below is sold for settlement on 16 June 2014.Annual Coupon - 5%Coupon Payment Frequency - SemiannualInterest Payment Dates - 10 April and 10 OctoberMaturity Date - 10 October 2016Day-Count Convention - 30/360Annual Yield-to-Maturity - 4%The flat price for Bond G on the settlement date of 16 June 2014 is closest to:a. 102.18b. 103.10c. 104.02
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