CUSIP 717813LE7

  • ISIN: US717813LE72
  • Entity Name: City of Philadelphia
  • Sector: Municipal
  • Announcement Date: 10-Jun-2016
  • Effective Date: 15-Jul-2016
  • Issue Date: 06-Jan-2009
  • Maturity Date: 15-Jul-2028
  • Country of Issuer: United States
  • Region: N.Amer
  • Issue Currency: United States of America Dollars
  • CA Type: Bond Called
  • News: NOTICE IS HEREBY GIVEN pursuant to the terms of the governing document dated as of January 6, 2009, between City of Philadelphia, as Issuer, and U.S. Bank National Association, as Trustee or Agent, that the bonds listed below have been selected for Full Redemption on July 15, 2016 (the Redemption Date) at the price listed below of the principal amount (the Redemption Price) together with interest accrued to the Redemption Date. *CUSIP Maturity Rate Amount Price 717813LB3 07/15/2017 5.75% $3,020,000 100.00% 717813LC1 07/15/2018 6.00% $3,200,000 100.00% 717813LD9 07/15/2023 6.25% $19,355,000 100.00% 717813LE7 07/15/2028 7.00% $25,000,000 100.00% 717813LF4 07/15/2038 7.125% $95,365,000 100.00% For Bond Document please visit
  • Description: Municipal Name: City of Philadelphia CUSIP: 717813LE7 Redemption Amount: USD 25MM Redemption Date: July 15, 2016
  • Bond Document:
  • Latest Corporate Actions:

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