Bonds

Bond Offering

Revenue Bonds Series 2019A

Offering Summary

Bond Details

Par Amount
$66,750,000
Retail Order Period Begins
February 20, 2019
Sale Date
Week of 02/17/2019
Closing Date
March 7, 2019
Method of Sale
Negotiated
Bond Type
Fixed Rate
Principal Payment Dates
April 1st & October 1st
Interest Payment Dates
April 1st & October 1st
Optional Redemption
Optional Redemption on any date after April 1, 2028
Expected Structure
Fixed Rate Level Debt with 100% PSA PAC Bond
Denominations
$5,000 or any integral multiple of $5,000
Tax Status
Interest on Bonds is exempt from both Federal and State tax

Offering Participants

Co-Manager

Barclays Capital
Wells Fargo Bank

Municipal Advisor

Caine Mitter & Associates Incorporated

Senior Manager

Bank of America Merrill Lynch

Co-Senior Manager

Citigroup Global Markets
Morgan Stanley
J.P. Morgan Securities
RBC Capital Markets

Selling Group

Raymond James
Robert W. Baird & Co. Incorporated
Hilliard Lyons
Drexel Hamilton

Trustee Bank

Bank of New York Mellon Trust Company, N.A.