Bonds

Bond Offering

Revenue Bonds Series 2019B

Offering Summary

Bond Details

Par Amount
$30,000,000
Retail Order Period Begins
No early retail period
Sale Date
March 6, 2019
Closing Date
March 7, 2019
Method of Sale
Negotiated
Bond Type
Variable Rate
Principal Payment Dates
April 1st & October 1st
Interest Payment Dates
April 1st & October 1st
Optional Redemption
Bonds in a Weekly Interest Period are subject to Optional Redemption on any date from moneys available for such purpose as Redemption Price equal 100% of principal
Expected Structure
Variable Rate Term Bond
Denominations
$100,000 or any integral multiple of $5,000 in excess during any Weekly Interest Rate Period
Tax Status
Interest on the 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

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

Selling Group

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

Trustee Bank

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

Standby Purchase Agreement Provider

Federal Home Loan Bank of Chicago