Bond details:

Face value

100.00

Issue price

100.00

Maturity

15-Feb-X4

Rate of Interest

10.00

Currency

GBP

Coupon dates (until

Coupon date

FX rate

Settle date

FX rate

maturity)

Previous coupon

15-Feb-X2

.64715

18-Feb-X2

.62649

Coupon date-1

15-Aug-X2

.65113

18-Aug-X2

.65501

Coupon date-2

15-Feb-X3

.61900

18-Feb-X3

.62846

Coupon date-3

15-Aug-X3

.62649

18-Aug-X3

.62861

Coupon date-4

15-Feb-X4

.53043

18-Feb-X4

.52938

Day count

ActuaV365

Transaction details

Particulars

Wade date

FX rate

Settle date

FX rate

Quantity

Clean price

Bought

06-Jan-X3

.62162

09-Jan-X3

.62197

12,000

109.00

Sold

04-Nov-X3

.59508

07-Nov-X3

.59661

5,000

104.50

Valuation dates and

Date

Market rate

FX rate

market value

Valuation date 1

31-Mar-X3

107.00

.63183

Valuation date 2

30-Jun-X3

106.00

.60438

Valuation date 3

30-Sep-X3

105.00

.60176

Valuation date 4

31-Dec-X3

103.50

.55997

Functional currency

USD

Other details

Date

GBP

FX rate

Capital introduced

01-Jan-X3

2,000,000

.62735

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