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Presented below is a bond-investment amortization schedule for New York Company with related fair values provided. These bonds are classified as available-for-sale; they were purchased

Presented below is a bond-investment amortization schedule for New York Company with related fair values provided. These bonds are classified as available-for-sale; they were purchased on 1/1/10.

Were these bonds purchased at a premium or discount, and was the value of the FVA account a debit or credit on 12/31/12?

12/31/10 12/31/11 12/31/12

Amortized Cost 550,000 519,442 491,150

Fair Value 539,000 509,000 485,300

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