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
FL 168  BLACK CREEK CDD FL SPEC 4.000 05/01/2033 4.000 4.000 99.996
NJ A1 AA 25  NEW JERSEY ST HEALTH CARE 4.125 07/01/2038 4.125 4.054 C 100.000
FL 50  RIVERBEND WEST CDD FL SPECIAL 4.000 11/01/2039 4.500 4.500 95.013
PA A1 AA 105  LEHIGH CNTY PA GEN PURP HOSP 4.125 07/01/2040 4.150 4.150 99.734
NY Aa3 AA- 15  PORT AUTH OF NY & NJ NY 3.750 07/15/2041  AMT 4.621 4.621 90.625
WV A2 85  FAIRMONT ST UNIV WV BRD 3.750 06/01/2045 4.880 4.880 86.127
TX 700  DECATUR TX SPL ASSMNT REV 5.500 09/15/2045 5.148 4.919 C 104.259
NY Aa2 40  NEW YORK ST HSG FIN 3.350 11/01/2046 4.705 4.705 82.370
NY Aa2 AA+ 20  NEW YORK CITY NY HSG DEV 3.400 11/01/2047 4.687 4.687 82.750
CA Aa2 AA+ 100  CALIFORNIA ST 3.300 12/01/2047 4.307 4.307 86.000

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