Compton Public Finance Authority


CUSIP 204726AH6
  • Issue Currency: United States of America Dollars
  • Announcement Date: 08-Dec-2016
  • News: Interest on the Bonds to be refunded or portions thereof which are redeemed shall cease to accrue on September l, 2018. The Optional Redemption of the 2008 Bonds ls described as follows: Maturity Dates (September 1) 2022 2027 2032 Principal Interest New Refunded Amounts Rates CUSIP Number --- $6,390,000 5,000% 204726AH6 $10,010,000 5.250 204726AJ2 $12,625,000 5.000 204726AK9
CUSIP 204726AJ2
  • Issue Currency: United States of America Dollars
  • Announcement Date: 08-Dec-2016
  • News: Interest on the Bonds to be refunded or portions thereof which are redeemed shall cease to accrue on September l, 2018. The Optional Redemption of the 2008 Bonds ls described as follows: Maturity Dates (September 1) 2022 2027 2032 Principal Interest New Refunded Amounts Rates CUSIP Number --- $6,390,000 5,000% 204726AH6 $10,010,000 5.250 204726AJ2 $12,625,000 5.000 204726AK9
CUSIP 204726AK9
  • Issue Currency: United States of America Dollars
  • Announcement Date: 08-Dec-2016
  • News: Interest on the Bonds to be refunded or portions thereof which are redeemed shall cease to accrue on September l, 2018. The Optional Redemption of the 2008 Bonds ls described as follows: Maturity Dates (September 1) 2022 2027 2032 Principal Interest New Refunded Amounts Rates CUSIP Number --- $6,390,000 5,000% 204726AH6 $10,010,000 5.250 204726AJ2 $12,625,000 5.000 204726AK9



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