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PLEASE USE THE ABOVE INFORMATION TO ANSWER QUESTIONS BELOW. THANK YOU THIS IS D AS PER THE ABOVE QUESTION. Bond Detail Lookup Symbol: DISCLAIMER: These

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PLEASE USE THE ABOVE INFORMATION TO ANSWER QUESTIONS BELOW. THANK YOU

image text in transcribed THIS IS D AS PER THE ABOVE QUESTION.

image text in transcribed

Bond Detail Lookup Symbol: DISCLAIMER: These transactions are effected pursuant to SEC Rule 144A. AMC ENTMT HLDGS INC + ADD TO WATCHLIST Coupon Rate Maturity Date Callable 10.500% 04/15/2025 Symbol AMC4978205 CUSIP 00165CANA Next Call Date 04/15/2022 Yes Last Trade Price Last Trade Yield Last Trade Date US Treasury $59.50 26.483% 10/23/2020 Yield Trade History Price/Yield Chart Classification Elements Price Chart Yield Chart Bond Type US Corporate Debentures 04/17/2020 - 10/23/2020 Zoom: 5D 1M 3M YTD 1Y 3Y 5Y 10Y Max Note -Price Price $ Debt Type Industry Group Industry Sub Group Sub-Product Asset Sub-Product Asset Type - State Use of Proceeds Security Code Financial Banking CORP Corporate Bond Date : 09/04/2020 Price: $91.06 90.00 80.00 70.00 Special Characteristics Medium Term Note N 60.00 50.00 06/2020 08/2020 10/2020 04/17/2020 04/24/2020 10/15/2020 Credit and Rating Elements Issue Elements Offering Date Dated Date First Coupon Date Original Offering Amount Outstanding Series Issue Description Project Name Payment Frequency Day Count Form $500,000.00 $500,000.00 Moody's Rating Standard & Poor's Rating TRACE Grade Default Caa2 (08/03/2020) CCC (10/01/2020) High Yield Semi-Annual N Depository/Registration Bankruptcy Insurance Mortgage Insurer Pre-Refunded/Escrowed Additional Description 30/360 Book Entry Depository Trust Company Senior Secured First Lien Note Security Level Collateral Pledge Capital Purpose *dollar amount in thousands Put & Redemption Provisions Call Date Call Price Call Frequency 04/15/2022 $105.25 Bond Elements Continuously Original Maturity Size Amount Outstanding Size 500,000.00 500,000.00 Put Date Put Price Put Frequency 11.03% Yield at Offering Price at Offering Coupon Type Escrow Type $98.00 Fixed *dollar amount in thousands I) Given the current "Last Trade Price", how many of these $1000 face value bonds could you buy with $1,000,000? H) When these bonds were issued, they were issued at PAR, or a PREMIUM, or a DISCOUNT? I) Make a table (below) of the cash flows you can expect if you bought the bond on 10/15/20 and hold them to maturity Calculate the IRR of the cash flows. include the price you would pay for the bond (see D above). include the dates for each flow. D) If the price on 4/17/20 was $61.50 (term for 61.5% of $1000), then what would the yield to maturity be (use the "rate" formula)

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