• ISIN: US34074MMX64
  • Entity Name: Florida Housing Finance Corporation
  • Sector: Sub Sovereign Agency
  • Announcement Date: 14-Jun-2016
  • Effective Date: 01-Jul-2016
  • Issue Date: *****
  • Maturity Date: 01-Jul-2045
  • Country of Issuer: United States
  • Region: N.Amer
  • Issue Currency: United States of America Dollars
  • CA Type: Partial Redemption
  • News: NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned Bonds (the ""Bonds""), $20,000.00 principal amount of the Bonds will be redeemed on July 1, 2016, at the referenced Redemption Price, together with interest accrued to July 1, 2016. From and after July 1, 2016, interest on the Bonds shall cease to accrue. The following Bonds will be redeemed and paid upon presentation to the office(s) shown below. NOTICE OF PARTIAL REDEMPTION TO THE HOLDERS OF Rate Maturity Redemption Price *CUSIP Number Bond Number Amount Called 3.45% 07/01/2030 34074MMU2 100.00% _BOOK $5,000.00 3.75% 07/01/2035 34074MMV0 100.00% _BOOK $5,000.00 3.90% 07/01/2040 34074MMW8 100.00% _BOOK $5,000.00 3.95% 07/01/2045 34074MMX6 100.00% _BOOK $5,000.00 For Bond Document please visit
  • Description: Municipal Name: Florida Housing Finance Corporation CUSIP: 34074MMX6 Partial Redemption: USD 5M Redemption Date: July 1, 2016
  • Bond Document:
  • Latest Corporate Actions:

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