Bond Detail

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  LAKESIDE PRESERVE CDD FL
SPECIAL ASSESSMENT BONDS
   Coupon:  4.875
Maturity:  05/01/2039
 
 Description
 
State   FL
Ratings  
Insurance  
Delivery   Book Entry
First Coupon   05/01/2019
Pay Frequency   Semi-Annual
Tax Status   Non-Taxable
Settlement Date   11/19/2025


NOTE:
Settlement Date: Settlement date is the date on which payment for all bond trades is due. Regular way settlement is one business day after trade date.
 
 Offering
 
Quantity Available   420
Price   101.025
Yield to Maturity   4.771
 
 Call Schedule
 
  Type Date Price Yield
   Call 05/01/2029 100.000 4.550
 
 Calculator
 
Bond Quantity
(min. purchase 15.000000)
 
 
Principal  
Accrued Interest  
     
Total