Bonds

Bond Offering

Special Program Refunding Bonds, Series 2019 A-1 & A-2

Offering Summary

Bond Details

Par Amount
$11,275,000
Retail Order Period Begins
No early retail period
Sale Date
October 1, 2019
Closing Date
November 5, 2019
Method of Sale
Negotiated
Interest Payment Dates
February 1 and August 1
Optional Redemption
Not subject to optional redemption prior to maturity
Denominations
$5,000 or any integral multiple thereof

Additional Information

Special Program Refunding Bonds, Series 2019 A-1
$11,110,000

Taxable Special Program Refunding Bonds, Series 2019 A-2
$165,000

Offering Participants

Municipal Advisor

Bond Counsel

Underwriter

Underwriter's Counsel