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Bond B, described below, is sold for settlement on November 1. Coupon payment frequency: Semiannual Day-count convention: 30/360 Annual Yield-to-Maturity: 4% Interest payment Dates 10

Bond B, described below, is sold for settlement on November 1.

Coupon payment frequency: Semiannual

Day-count convention: 30/360

Annual Yield-to-Maturity: 4%

Interest payment Dates 10 January and 10 June

Accrued interest: $2.35

PV as of the last coupon payment was: $106.47

Given the information above,

Determine Bond Bs full price Answer to the nearest cent.

Determine Bond Bs flat price Answer to the nearest cent.

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