CUSIP 286821JZ7


  • ISIN: US286821JZ77
  • Entity Name: City of Elizabethton, Tennessee
  • Sector: Municipal
  • Announcement Date: 07-Mar-2017
  • Effective Date: *****
  • Issue Date: *****
  • Maturity Date: 01-Jun-2029
  • Country of Issuer: United States
  • Region: N.Amer
  • Issue Currency: United States of America Dollars
  • CA Type: Offer Defeasance
  • News: Notice is hereby given that the City of Elizabethton, Tennessee (the City) intends to advance refund the Refunded Bonds by the issuance of its General Obligation Refunding and Improvement Bonds, Series 2017 (the Refunding Bonds) and deposit with Regions Bank, Nashville, Tennessee, as Escrow Agent, a portion of the proceeds of the Refunding Bonds sufficient to provide for the payment of principal of and interest on the Refunded Bonds until their optional redemption date of June 1, 2020. The Refunded Bonds will be redeemed on June 1, 2020, at a redemption price of par, plus accrued interest to the redemption date. The estimated date of delivery of the Refunding Bonds is March 10, 2017.
  • Description: Municipal Name: City of Elizabethton, Tennessee CUSIP: 286821JZ7 Currency: USD City of Elizabethton, Tennessee today announced that it will refunding all or a portion of the General Obligation Improvement Bonds, Series 2010B on June 1, 2020.
  • Bond Document: https://www.bondpdf.com/
  • Latest Corporate Actions: https://www.CAalerts.com/credit-corporate-action/ISIN/US286821JZ77

Data Unleashed

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