Offerings

Offerings

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

StateMoodyS&PQty DescriptionCouponMaturity YTMWCY Price
MEA+15MAINE ST HEALTH & HIGHER EDL4.00007/01/20443.5322.244C107.648
CTA1A15CONNECTICUT ST HSG FIN4.00006/15/20312.9112.250C110.626
TX15FORT BEND CNTY TEX MUN UTIL3.62509/01/20493.4042.700C104.117
ALA1AA15ALABASTER AL BRD OF ED4.00009/01/20443.4522.000C109.067
NJAA-15NEW JERSEY ST HSG & MTG FIN3.60011/01/20403.1292.298C107.192
NYAa2AA+15NEW YORK NY CITY MULTI FAM HSG3.80011/01/20373.1672.299C108.615
PAA315SNYDER CNTY PA HIGHER ED4.00001/01/20383.2912.599C109.618
FLA1A+15GREATER ORLANDO FLA AVIATION4.00010/01/2052AMT3.4842.580C110.046
FLA2A10BREVARD CNTY FL HLTH FACS AUTH4.00004/01/20363.4122.229C107.321
AZAa1AAA10GILBERT ARIZ SUB LIEN PLEDGED3.62507/01/20403.1122.150C107.755
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