CUSIP 374118ZE0
- ISIN: US374118ZE03
- Entity Name: Village of Germantown
- Sector: Municipal
- Announcement Date: 20-Mar-2018
- Effective Date: 05-Apr-2018
- Issue Date: 05-Apr-2018
- Maturity Date: 01-Mar-2027
- Country of Issuer: United States
- Region: N.Amer
- Issue Currency: United States of America Dollars
- CA Type: New Bond
- News: Village of Germantown has issued USD 280M, 3% fixed rate bond due 01-Mar-2027.
- Description: Village of Germantown has issued USD 280M, 3% fixed rate bond due 01-Mar-2027. www.BondPDF.com
- Bond Document: https://www.bondpdf.com/bonds/f2d94bc7
- Latest Corporate Actions: https://www.CAalerts.com/credit-corporate-action/ISIN/US374118ZE03