CUSIP 66285WFK7


  • ISIN: US66285WFK71
  • Entity Name: North Texas Tollway Authority
  • Sector: Municipal Agency
  • Announcement Date: *****
  • Effective Date: *****
  • Issue Date: *****
  • Maturity Date: *****
  • Country of Issuer: *****
  • Region: N.Amer
  • Issue Currency: *****
  • CA Type: Defeasance
  • News: On June 1, 2016, the North Texas Tollway Authority (the ""Authority"") defeased and called for redemption on January 1, 2019, a portion of the Authority`s North Texas Tollway Authority System First Tier Current Interest Revenue Refunding Bonds, Series 2009A, maturing on the dates and in the amounts as follows: Maturity Date Interest Rate Principal Amount Outstanding Principal Amount To Be Redeemed Redemption Price (%) Redemption Date CUSIP Number 1/1/2024 6.250% $55,000,000 $44,710,000 100 1/1/2019 66285WFF8 1/1/2028 6.100% 30,905,000 25,120,000 100 1/1/2019 66285WFH4 1/1/2028 6.000% 123,405,000 100,320,000 100 1/1/2019 66285WFK7 1/1/2039 6.250% 164,115,000 133,410,000 100 1/1/2019 66285WFG6 For Bond Document please visit www.BondPDF.com
  • Description: *****
  • Bond Document: https://www.bondpdf.com/bonds/9264144a
  • Latest Corporate Actions: https://www.CAalerts.com/credit-corporate-action/ISIN/US66285WFK71

Data Unleashed

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