Bonds

Bond Offering

Permanent Improvement and Refunding Bonds Series 2019

Offering Summary

Bond Details

Par Amount
$55,940,000
Sale Date
June 5, 2019
Method of Sale
Competitive
Bond Type
Fixed Rate
Principal Payment Dates
August 15
Interest Payment Dates
February 15 & August 15
Optional Redemption
8 year call
Expected Structure
Serial Maturities 2020-2039
Denominations
$5,000
Tax Status
Federal Tax-Exempt