Revenue Financing System Refunding Bonds, Series 2019A

Offering Summary

Par Amount
$330,000,000
Retail Order Period Begins
05/07/2019
Sale Date
05/08/2019
Closing Date
Jun 2019
Method of Sale
Negotiated
Bond Type
Fixed Rate
Principal Payment Dates
August 15th
Interest Payment Dates
February 15th and August 15th
Optional Redemption
TBD
Expected Structure
TBD
Denominations
$5,000 or any integral multiples thereof
Tax Status
Interest on the Bonds is exempt from Federal income tax.

Offering Documents

Roadshow

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