I am having a problem figureing out how to find a bonds issue price here is one of the many account problems I need to solve. I figure if I can see how one is calculated I could figure out the rest. The interest is paid semiannually on June 30 and dec 31. The bonds have a $20,000 par value an annual contract rate of 10% and mature in 10 years. The market rate at the date of issuance is 8%
I need to determine the bonds issue price on the date of the sale of Jan 1, 05