CUSIP 455057WR6

  • ISIN: US455057WR68
  • Entity Name: Indiana Finance Authority
  • Sector: Municipal Agency
  • Announcement Date: *****
  • Effective Date: *****
  • Issue Date: *****
  • Maturity Date: *****
  • Country of Issuer: *****
  • Region: N.Amer
  • Issue Currency: *****
  • CA Type: Amortizing
  • News: Notice is hereby given that, pursuant to the terms of an Indenture of Trust dated December 1, 2009 by and between Indiana Finance Authority (the Issuer) and UMB Bank, N.A. as Successor Trustee, $295,000.00 principal amount of the Series 2009A Bonds are hereby called for payment and redemption on October 1, 2016, at a redemption price of 100% of the principal amount thereof plus accrued interest to the redemption date (the Redemption Price). The bond numbers to be redeemed are below: Cusip Maturity Rate Bond Number Amount 455057WR6 10/01/2021 6.000% Book Entry $295,000 The designated Bonds or portion thereof called for redemption will be redeemed on or after October 1 st, 2016 at the payment office of the Trustee and Paying Agent, UMB Bank, N.A. For Bond Document please visit
  • Description: *****
  • Bond Document:
  • Latest Corporate Actions:

Data Unleashed

All of the Municipal Disclosure provided on MuniAlerts are sourced from FactEntry.

This website can be best viewed in all latest versions of Google Chrome or Firefox.
© FactEntry 2024