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2. Treasury pricing Below is a treasury security issued on 07/31/2014 : Security Details: US Treasury 1.625% 07/31/2019 CUSIP 912828WW6 Security Type: U.S. Treasuries Maturity

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2. Treasury pricing Below is a treasury security issued on 07/31/2014 : Security Details: US Treasury 1.625\% 07/31/2019 CUSIP 912828WW6 Security Type: U.S. Treasuries Maturity Date: 07/31/2019 Coupon Rate: 1.625% Coupon Type: Fixed Coupon Frequency: Semi-annually Vield Curve on 07/21/9014 is follntxing. Q: What is price of this bond on 07/31/2014

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