Problem 6-1
Req 1
Jan-01 Cash 6,737,000
Bond Payable 6,000,000
Premium 737,000
Dec-31 Interest Expense 720,000
Cash 720,000
Settled Interest 720,000
Interest Expense 673,700
Premium 46,300
Premium 46,300
Interest 46,300
Req 2 Noncurrent Liabilities
Bond Payable 6,000,000
Premium 690,700
Carrying Amount 6,690,700
Problem 6-2
Req 1 Principal 5,000,000 Present Value
Normal Rate 6% 3% PV of Annuity
Effective Rate 8% 4%
Maturity Date 2,021 Principal
Period 1 Year 2 Periods Interest
Payable Semi-annually June 30 and December 31 Present Value
Date Interest Payment Interest ExpenseAmortization Carrying Amount
01/01/2020 4,818,500
6/30/2020 150,000 192,740 42,740 4,861,240
12/31/2020 150,000 194,450 44,450 4,905,690
6/30/2021 150,000 196,228 46,228 4,951,917
12/31/2021 150,000 198,077 48,077 4,999,994
Revised 198,083 48,083 5,000,000
Req 2
Year 2020
Jan-01 Cash 4,818,500
Discount 181,500
Bond Payable 5,000,000
Jun-30 Interest Expense 192,740
Cash 150,000
Discount 42,740
Dec-31 Interest Expense 194,450
Cash 150,000
Discount 44,450
Year 2021
Jun-30 Interest Expense 196,228
Cash 150,000
Discount 46,228
Dec-31 Interest Expense 198,083
Cash 150,000
Discount 48,083
Bond Payable 5,000,000
Cash 5,000,000
Problem 6-3
A Principal 3,000,000 Present Value
Normal Rate 16% 8% PV of Annuity
Effective Rate 20% 10%
Maturity Date 2,022 Principal
Period 3 Year 6 Interest
Payable Semi-annually June 30 and December 31 Present Value
Date Interest Payment Interest ExpenseAmortization Carrying Amount
01/01/2020 2,738,682
6/30/2020 240,000 273,868 33,868 2,772,550
12/31/2020 240,000 277,255 37,255 2,809,805
6/30/2021 240,000 280,981 40,981 2,850,786
12/31/2021 240,000 285,079 45,079 2,895,864
6/30/2022 240,000 289,586 49,586 2,945,451
12/31/2022 240,000 294,545 54,545 2,999,996
Revised 294,549 54,549 3,000,000
B
Year 2020
Jan-01 Cash 2,738,682
Discount 261,318
Bond Payable 3,000,000
Jun-30 Interest Expense 273,868
Cash 240,000
Discount 33,868
Year 2022
Dec-31 Interest Expense 294,549
Cash 240,000
Discount 54,549
Bond Payable 3,000,000
Cash 3,000,000
Problem 6-4
A Principal 2,000,000
Normal Rate 12% 6%
Effective Rate 10% 5%
Maturity Date 2,022 Principal
Period 3 Year 6 Interest
Payable Semi-annually April 1 and October 1 Present Value
Date Interest Payment Interest ExpenseAmortization Carrying Amount
04/01/2020 2,101,520
10/01/2020 120,000 105,076 14,924 2,086,596
04/01/2021 120,000 104,330 15,670 2,070,926
10/01/2021 120,000 103,546 16,454 2,054,472
04/01/2022 120,000 102,724 17,276 2,037,196
10/01/2022 120,000 101,860 18,140 2,019,055
04/01/2023 120,000 100,953 19,047 2,000,008
Revised 100,945 19,055 2,000,000
B
Year 2020
Apr-01 Cash 2,101,520
Bond Payable 2,000,000
Premium 101,520
Oct-01 Interest Expense 105,076
Premium 14,924
Cash 120,000
Dec-31 Interest Expense 52,165
Premium 7,835
Accrued Interest Payable 60,000
Year 2021
Jan-01 Accrued Interest Payable 60,000
Interest Expense 60,000
Apr-01 Interest Expense 112,165
Premium 7,835
Cash 120,000
Oct-01 Interest Expense 103,546
Premium 16,454
Cash 120,000
Dec-31 Interest Expense 51,362
Premium 8,638
Cash 60,000
Problem 6-5
Req 1
Interest Paid 320,000
Interest Expense 380,560
Discount Amortization 60,560
Carrying Amount as of 2020 3,805,600
Discount Amortization 60,560
Before Payment 3,866,160
Repayment 800,000
Carrying Amount as of 2021 3,066,160
Req 2 Cash 3,805,600
Discount 194,400
Bond Payable 4,000,000
Interest Expense 380,560
Cash 320,000
Discount 60,560
Bond Payable 800,000
Cash 800,000
Problem 6-6
12/31/2020 Principal 2,000,000
Interest 360,000
Payment 2,360,000
Present Value of 1 1
Present Value 2,185,124
12/31/2021 Principal 2,000,000
Interest 240,000
Payment 2,240,000
Present Value of 1 1
Present Value 1,920,352
12/31/2022 Principal 2,000,000
Interest 120,000
Payment 2,120,000
Present Value of 1 1
Present Value 1,682,856
Total Present Value 5,788,332
Req 2 Cash 5,788,332
Discount 211,668
Bond Payable 6,000,000
Interest Expense 463,067
Cash 360,000
Discount 103,067
Bond Payable 2,000,000
Cash 2,000,000
Req 3 Bond Payable 6,000,000
Discount 108,601
Payment on 2020 2,000,000
Carrying Amount as of 2020 3,891,399
Problem 6-7
Req 1 Principal 6,236,000
Interest 11,470,000
Price of Bonds 17,706,000
Req 2 Cash 17,706,000
Discount 2,294,000
Bond Payable 20,000,000
Req 3 interest Expense 1,062,360
Discount 62,360
Cash 1,000,000
Req 4 Interest Expense 1,066,102
Discount 66,102
Cash 1,000,000
Problem 6-8
Req 1 Principal 7,540,000
Interest 14,952,000
Price of Bonds 22,492,000
Req 2 Cash 22,492,000
Premium 2,492,000
Bond Payable 20,000,000
Req 3 Interest Expense 1,124,600
Premium 75,400
Cash 1,200,000
Req 4 Interest Expense 1,120,830
Premium 79,170
Cash 1,200,000
Problem 6-9
Req 1 Principal 4,000,000
Normal Rate semiannually 0
Interest 240,000
Present Value of 1 1
PV of Interest Payment 230,760
Principal 2,000,000
Interest 240,000
Present Value of 1 1
Total Present Value 2,071,104
Interest 120,000
Present Value of 1 1
PV of Interest Payment 106,680
Principal 2,000,000
Interest 120,000
Present Value of 1 1
Total Present Value 1,812,176
Total PV of Bond 4,220,720
Req 2
Date Interest Payment Interest ExpenseAmortization Principal Payment
01/01/2020
6/30/2020 240,000 168,829 71,171
12/31/2020 240,000 165,982 74,018 2,000,000
6/30/2021 120,000 83,021 36,979
12/31/2021 120,000 81,542 38,458 2,000,000
Revised 81,448 38,552
Req 3
Year 2020
Jan-01 Cash 4,220,720
Bond Payable 4,000,000
Premium 220,720
Jun-20 Interest Expense 168,829
Premium 71,171
Cash 240,000
Dec-31 Interest Expense 165,982
Premium 74,018
Cash 240,000
Bond Payable 2,000,000
Cash 2,000,000
Year 2021
Jun-01 Interest Expense 83,021
Premium 36,979
Cash 120,000
Dec-31 Interest Expense 81,448
Premium 38,552
Cash 120,000
Bond Payable 2,000,000
Cash 2,000,000
Problem 6-10
Req 1 Principal 3,192,000
Interest 4,756,500
Total Market Price 7,948,500
Req 2
Date Interest Payment Interest ExpenseAmortization Carrying Amount
03/01/2020 7,948,500
09/01/2020 350,000 317,940 32,060 7,916,440
03/01/2021 350,000 316,658 33,342 7,883,098
09/01/2021 350,000 315,324 34,676 7,848,422
03/01/2022 350,000 313,937 36,063 7,812,358
09/01/2022 350,000 312,494 37,506 7,774,853
03/01/2023 350,000 310,994 39,006 7,735,847
09/01/2023 350,000 309,434 40,566 7,695,281
03/01/2024 350,000 307,811 42,189 7,653,092
09/01/2024 350,000 306,124 43,876 7,609,216
03/01/2025 350,000 304,369 45,631 7,563,584
09/01/2025 350,000 302,543 47,457 7,516,128
03/01/2026 350,000 300,645 49,355 7,466,773
09/01/2026 350,000 298,671 51,329 7,415,444
03/01/2027 350,000 296,618 53,382 7,362,061
09/01/2027 350,000 294,482 55,518 7,306,544
03/01/2028 350,000 292,262 57,738 7,248,806
09/01/2028 350,000 289,952 60,048 7,188,758
03/01/2029 350,000 287,550 62,450 7,126,308
09/01/2029 350,000 285,052 64,948 7,061,360
03/01/2030 350,000 282,454 67,546 6,993,815
Revised 288,640 61,360 7,000,000
Req 3
Year 2020
Mar-01 Cash 7,948,500
Bond Payable 7,000,000
Premium 948,500
Sep-01 Interest Expense 317,940
Premium 32,060
Cash 350,000
Dec-31 Interest Expense 211,105
Premium 22,228
Accrued Interest Payable 233,333
0.92
1.30
5,000,000 4,623,000
150,000 195,500
4,818,500
0.56
3,000,000 1,693,500
240,000
2,738,682
2,000,000
120,000
2,101,520
Carrying Amount
4,220,720
4,149,549
2,075,531
2,038,552
94
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