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Treasury Notes and Bonds Chg Asked Yield Maturity Coupon Bid Asked ry ces 11/15/2018 1.250 100.1641 99.0859 98.6094 with ry 0.875 1.125 8.125 2.000 1.160

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Treasury Notes and Bonds Chg Asked Yield Maturity Coupon Bid Asked ry ces 11/15/2018 1.250 100.1641 99.0859 98.6094 with ry 0.875 1.125 8.125 2.000 1.160 1.286 1.558 1.857 2.004 0.0391 0.0625 0.1016 0.2344 0.2266 0.2500 0.3125 0.3438 0.2969 0.4688 4/15/2019 4/30/2020 8/15/2021 7/31/2022 2/28/2023 5/15/2024 8/15/2025 8/15/2026 8/15/2027 8/15/2028 2.096 1.500 2.500 6.875 2.210 2.262 2.380 1.500 6.375 5.500 11/15/2028 5.250 0.4531 0.4453 0.4609 0.5391 0.5938 5.250 100.1484 99.0703 98.5938 127.4844 99.9609 96.5703 101.9375 135.8438 92.4766 136.8281 130.2891 128.1563 128.7578 139.1875 142.5781 134.3438 128.0781 131.7891 135.9531 128.0625 110.9844 127.4922 129.7188 123.3438 132.4688 103.3516 103.1406 6.125 2.414 2.473 2.485 2.478 2.478 2.478 2.470 2.618 6.250 127.5000 99.9766 96.5859 101.9531 135.8594 92.4922 136.8438 130.3516 128.2188 128.8203 139.2500 142.6406 134.4063 128.1406 131.8516 136.0156 128. 1250 111.0469 127.5547 129.7813 123.4063 132.5000 103.3828 103.1719 2/15/2029 8/15/2029 5/15/2030 2/15/2031 2/15/2036 2/15/2037 5/15/2037 5/15/2038 0.5625 5.375 4.500 4.750 0.7031 0.7500 0.7656 2.688 2.690 5.000 0.6875 2.749 4.500 2/15/2039 3.500 0.6406 0.7344 4.500 4.625 0.6953 0.7422 4.250 2.824 2.839 2.855 2.885 2.872 2.934 2.950 2.963 0.7578 8/15/2039 2/15/2040 11/15/2040 2/15/2041 2/15/2042 2/15/2043 5/15/2043 2/15/2044 2/15/2045 11/15/2046 0.6484 4.750 3.125 3.125 2.875 0.6250 98.3594 0.5625 98.3906 112.7578 0.6484 3.625 2.500 112.7266 90.7578 98.1172 2.939 2.987 90.7891 0.6016 98.1484 0.6719 2.875 2.969 SELECTED INTERNATIONAL GOVERNMENT 10-YEAR BOND YIELDS Yield (%) 2.41 United States United Kingdom Japan Canada Australia Greece Spain Italy India 1.19 .04 2.04 2.63 4.03 1.55 2.00 7.32 SOURCE: Data pulled from www.bloomberg.com, December 30, 2017, 17. Using Treasury Quotes [LO2] Locate the Treasury bond in Figure 7.4 maturing in February 2040. Is this a premium or a discount bond? What is its current yield? What is its yield to maturity? What is the bid-ask spread in dollars? Assume a par value of $10,000

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