Municipal Bond Offerings

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WCY=Worst Case Yield   YTM=Yield to Maturity
PRE=Pre-Refunded   P=Yield to Put
C=Yield to Call   ETM=Escrowed to Maturity
AMT=Subject to AMT


Refresh Offerings

Offerings are listed chronologically by maturity date. Click on the column heading to sort by State, Rating, Quantity, etc.

State Moody S&P Qty   Description Coupon Maturity   YTM WCY Price
IL Baa2 BBB 15  ILLINOIS ST 3.500 06/01/2031 2.324 1.300 C 110.295
FL A- 25  FLORIDA HIGHER EDL FACS FING 5.000 11/01/2031 2.703 0.998 C 120.459
MO A 65  ST LOUIS MO LD CLEARANCE 3.400 04/01/2032 2.306 1.500 C 110.302
NJ AA- 25  NEW JERSEY ST HSG & MTGE FIN 3.250 11/01/2033 2.362 0.990 C 109.404
KS A3 AA 15  LEAVENWORTH CNTY KS LIBRARY 4.850 03/01/2036 3.337 0.975 C 117.367
UT Aa1 AA+ 25  UTAH ST BLDG OWNERSHIP AUTH 3.000 05/15/2036 2.398 0.995 C 107.459
NY Aa1 35  ORCHARD PARK TWN N Y VARIOUS 3.250 07/15/2036 2.438 1.145 C 110.136
KS AA 35  FRANKLIN CNTY KANSAS UNI SCH 3.375 09/01/2036 2.876 0.457 C 106.076
VT A3 A 15  VERMONT ST EDL & HLTH 3.500 12/01/2036 2.565 0.999 C 111.799
IL Baa2 BBB 145  ILLINOIS ST GENERAL OBLIGATION 4.000 06/01/2037 2.974 1.250 C 112.886

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