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An investor sold a bond issued by PQR Corporation with nominal yield of 2% and maturity of June 30, 2027 on June 30, 2020. If
An investor sold a bond issued by PQR Corporation with nominal yield of 2% and maturity of June 30, 2027 on June 30, 2020. If the yield on US Treasury Bonds was 1.5210% and the spread for PQR was 200 basis points, the trading price was Answer ???? dollars (round to two decimal points)
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