Municipalbonds.com

Yield Buyer's Report for 01/15/2008

Here is the list of the 20 HIGHEST and the 20 WORST Yields from yesterday's Municipal Bond trades.

All Information for Trade Date: 01/15/2008.

The Red Flag indicates the bid/offer market spread for this Municipal Bond exceeded 4 points.
Red numbering in the Bid or Offer column indicates the spread between high and low price exceeded 1 point.
Red numbering in the Yield column indicates a negative yield.

20 HIGHEST Yields

CUSIP Municipal Bond Name / Description Coupon Maturity Bid Side
Customer Sold
to Dealer
(Lowest / Highest)
Red Flag Offer Side
Customer Purchase
from Dealer
(Lowest / Highest)
Yield*
Offer Side
(Lo Px / Hi Px)
# of
Trades
Volume
(000)
305726-BP-5FAIRVIEW HEIGHTS ILL RESIDENTIAL CARE FAC REV REF-TAXABLE-CHARLES GARDENS-B 12.000%07/01/2018  /   52.000 / 52.000 25.19% / 25.19%1260
919676-AE-6VALLEY HEALTH SYS CALIF HOSP REV REF & IMPT PROJ-SER A 6.500%05/15/2015 52.465 / 52.465  55.000 / 55.000 17.68% / 17.68%470
90206X-AB-6TWO RIVS AUTH INC MONT PROJ REV SR LIEN 6.750%11/01/2016 70.000 / 70.000  70.000 / 70.000 12.46% / 12.46%3300
866423-AN-6SUMNER ILL HEALTHCARE FAC REV TAXABLE-NATL ASSISTANCE PJ-B 11.000%02/01/2011  /   100.000 / 100.000 10.51% / 10.51%15
005622-AC-9ADAMS CNTY COLO REV TAXABLE-VILLA & PHOENIX-A-1 9.125%08/01/2016  /   95.464 / 95.464 9.92% / 9.92%135
005622-AF-2ADAMS CNTY COLO REV TAXABLE-VILLA & PHOENIX-A-2 9.125%08/01/2016  /   98.430 / 99.750 9.39% / 9.17%4120
384199-AX-3GRADY CNTY OKLA INDL AUTH LEASE REV CORRECTIONAL FACS 7.900%11/01/2026  /   87.000 / 87.000 9.38% / 9.38%110
544628-GA-2LOS ANGELES CALIF REGL ARPTS IMPT CORP LEASE REV FACS-SUBLEASE-CONTINENTAL AIRL 9.250%08/01/2024  /   100.550 / 100.550 9.18% / 9.18%145
957367-AW-5WESTCHESTER CNTY N Y INDL DEV AGY ARPT FAC REV TAXABLE-WESTCHESTER ARPT-SER B 8.200%08/01/2024 96.000 / 96.000  98.000 / 98.250 8.43% / 8.40%320
443731-BH-6HUDSON CNTY N J IMPT AUTH SOLID WASTE SYS REV TAXABLE-SER B 8.625%01/01/2014  /   101.250 / 101.250 8.35% / 8.35%330
964075-AD-7WHITE MTN APACHE TRIBE FT APACHE INDIAN RESERVATION ARIZ TAXABLE-SER B 8.250%06/01/2015 99.000 / 99.000  100.000 / 100.000 8.24% / 8.24%3250
725209-FQ-8PITTSBURGH PA PREREFUNDED-CAP APPREC-SER A 0.000%03/01/2008 99.376 / 99.376  99.592 / 99.592 8.19% / 8.19%230
088379-SW-3BEXAR CNTY TEX HSG FIN CORP MULTIFAMILY HSG REV REF-NOB HILL APTS-SER A 6.000%06/01/2031 75.520 / 78.743  79.500 / 79.500 7.94% / 7.94%5710
87638L-BX-7TARRANT CNTY TEX HEALTH FACS DEV CORP REV HLTH FACS-WESTCHESTER RETIRE-A 7.750%08/01/2018  /   99.000 / 100.000 7.89% / 7.50%9270
955489-AF-6WEST POINT VA INDL DEV AUTH SOLID WASTE DISP REV REF-CHESAPEAKE CORP PJ-SER B  6.250%03/01/2019  /   88.800 / 88.800 7.77% / 7.77%3195
87638L-BY-5TARRANT CNTY TEX HEALTH FACS DEV CORP REV HLTH FACS-WESTCHESTER RETIRE-A 8.000%08/01/2025 96.100 / 96.100  100.000 / 100.000 7.74% / 7.74%450
582359-AC-9MCMINN CNTY TENN INDL DEV BRD POLLUTION CTL REV CALHOUN NEWSPRINT CO PROJ 7.625%03/01/2016 99.375 / 99.375  99.500 / 99.500 7.71% / 7.71%22000
658546-TB-2NORTH CENT TEX HEALTH FAC DEV CORP REV TEX HLTH RESOURCES SYS-SER B 5.000%02/15/2017  /   101.784 / 101.784 7.58% / 7.58%110
480502-AC-7JONESVILLE LA UTIL REV REF-TAXABLE 7.500%12/01/2027 98.000 / 98.000  99.500 / 99.500 7.55% / 7.55%3135
380299-AL-1GODFREY ILL REV UTD METHODIST VLG-SER A 5.900%11/15/2021  /   86.361 / 86.361 7.50% / 7.50%15


20 WORST Yields

CUSIP Municipal Bond Name / Description Coupon Maturity Bid Side
Customer Sold
to Dealer
(Lowest / Highest)
Red Flag Offer Side
Customer Purchase
from Dealer
(Lowest / Highest)
Yield*
Offer Side
(Lo Px / Hi Px)
# of
Trades
Volume
(000)
79289E-AN-5ST PAUL MINN HSG & REDEV AUTH SALES TAX REV CIVIC CENTER PROJ  5.550%11/01/2023  /  108.500 / 108.655 -97.23% / -98.95%345
724506-BS-8PITT CNTY N C REV PITT CNTY MEM HOSP  5.500%12/01/2015 103.111 / 103.111107.789 / 108.122 -89.31% / -93.06%670
817393-CA-7SEQUOIA CALIF HOSP DIST REV  5.375%08/15/2023  /  106.750 / 106.750 -77.61% / -77.61%115
207742-W2-9CONNECTICUT ST HEALTH & EDL FACS AUTH REV NEW BRITAIN GEN HOSP-SER B  6.000%07/01/2024  /  102.550 / 102.550 -73.51% / -73.51%15
075791-AM-5BECKLEY W VA NURSING FAC REV REF-BECKLEY HLTH CARE CORP PJ 6.000%09/01/2012  /  103.950 / 103.950 -65.46% / -65.46%110
896029-G4-1TRIBOROUGH BRDG & TUNL AUTH N Y REVS GENL PURP-SER A  5.200%01/01/2020  /  105.060 / 105.164 -58.04% / -59.28%4160
59465E-FC-2MICHIGAN ST HOSP FIN AUTH REV HOSP-ST JOHN HOSP & MED CTR-A  5.250%05/15/2026  /  105.937 / 105.937 -56.00% / -56.00%240
658196-PH-7NORTH CAROLINA EASTN MUN PWR AGY PWR SYS REV REF-SER B 5.500%01/01/2017  /  103.500 / 103.500 -54.27% / -54.27%125
875231-BX-9TAMPA FLA REV ALLEGANY HLTH SYS-ST JOSEPH  5.125%12/01/2023  /  104.573 / 104.573 -52.31% / -52.31%450
658196-RG-7NORTH CAROLINA EASTN MUN PWR AGY PWR SYS REV REF-SER B-FSA-CR 5.500%01/01/2021  /  103.400 / 103.400 -45.10% / -45.10%125
875231-CN-0TAMPA FLA REV ALLEGANY HLTH SYS-ST MARYS  5.125%12/01/2023  /  103.828 / 103.828 -43.31% / -43.31%240
071877-AB-0BAXTER SPRINGS KANS POLLUTN CTL REV REF-EMPIRE DIST ELEC CO PJ 5.200%11/01/2013  /  102.500 / 102.500 -37.97% / -37.97%125
726354-BJ-1PLAINFIELD N J HSG FIN CORP SECT 8 HSG REV REF-LIBERTY VLG APTS PROJ-A 6.200%11/01/2014  /  103.000 / 103.000 -32.00% / -32.00%2140
379695-BE-8GLOUCESTER CNTY N J SRS HSG DEV CORP MTG REV REF-SECTION 8-COLONIAL PK PJ-A 6.200%09/15/2011  /  102.890 / 102.890 -30.64% / -30.64%2140
543762-AR-9LORAIN OHIO SWR SYS REV REF 5.600%04/01/2011  /  102.625 / 102.625 -28.00% / -28.00%110
735040-CR-6PORT ORANGE FLA CAP IMPT REV REF 5.000%10/01/2016  /  103.550 / 103.550 -27.44% / -27.44%15
207742-V9-5CONNECTICUT ST HEALTH & EDL FACS AUTH REV NEW BRITAIN GEN HOSP-SER B  6.125%07/01/2014  /  102.550 / 102.550 -26.51% / -26.51%15
233559-QW-6DADE CNTY FLA SEAPORT REV REF 5.750%10/01/2015  /  102.500 / 102.500 -26.28% / -26.28%290
13033E-A8-6CALIFORNIA HSG FIN AGY REV AMT-MULTIFAMILY HSG III-SER A 5.950%08/01/2028  /  103.500 / 103.500 -25.83% / -25.83%125
340736-XQ-5FLORIDA HSG FIN AGY HSG-MYSTIC WOODS II APTS PJ-J 6.150%07/01/2026 101.000 / 101.000 103.500 / 103.500 -25.62% / -25.62%290
92706N-BL-6VILLAGE CTR CMNTY DEV DIST FLA RECREATIONAL REV REF-SER A 5.000%11/01/2021  /  104.410 / 104.410 -25.47% / -25.47%150










These reports represent inter-dealer and customer trades in municipal securities that have been reported by dealers to the Municipal Securities Rulemaking Board. The reports do not necessarily reflect all transactions that were effected on the specific trade date. Because of the possibility of errors in the trade submission process or errors or omissions in other processing of data, the reports should not be used as the sole basis for pricing or executing transactions in municipal securities. Prices for securities transactions vary with market conditions and can be affected by trade size and other factors.

Data provided by: msrb.org

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