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Cowen Corporation issued $640,000 of 7%, 15-year bonds payable on March 31,2022 . The markot interest rate at the date of issuance was 9%, and

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Cowen Corporation issued $640,000 of 7%, 15-year bonds payable on March 31,2022 . The markot interest rate at the date of issuance was 9%, and the bonds pay intorest semiannually. Corporation's yoar-and is March 31, Reviow the following amortization table for Cowen's bonds: (Click the icon to view the amortization table.) Read the reguirements. 1. How much cash did Cowen Corporation borrow on March 31, 2022? How much cash wil the company pay back at maturity on March 31,2037? On March 31, 2022, Cowen borrowed cash in the amount of

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