Municipalbonds.com

Yield Buyer's Report for 03/17/2008

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

All Information for Trade Date: 03/17/2008.

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)
546398-LN-6LOUISIANA PUB FACS AUTH REV UNIV NEW ORLEANS RESH & TECH 5.250%03/01/2037  /   5.342 / 5.342 97.43% / 97.43%1250
38251N-BW-4GOODYEAR ARIZ CMNTY FACS UTILS DIST NO 1  5.200%07/15/2024  /   5.250 / 99.448 96.91% / 5.25%230
196345-BL-5COLORADO CENTRE MET DIST COLO ADJ-INT ONLY-SER A  9.000%01/01/2027 41.500 / 41.500 62.532 / 62.532 15.02% / 15.02%42.844
762212-7D-4RHODE ISLAND HSG & MTG FIN CORP AMT-SER A-1 4.800%10/01/2027  /   95.050 / 95.050 14.83% / 14.83%15
106214-DS-5BRAZOS RIVER AUTH TEX REV HOUSTON INDS INC PROJ-C 5.125%05/01/2019  /   101.096 / 101.096 12.67% / 12.67%4200
79130M-SY-5ST LOUIS CNTY MO INDL DEV AUTH MULTIFAMILY HSG REV RIDGETOP MNR APTS PJ-SR-SER A 8.000%01/01/2030  /   72.800 / 72.800 11.40% / 11.40%225
515847-BT-7LANGSTON OKLA ECONOMIC DEV AUTH REV LANGSTON UNIV/LDF PROJ-SER A 4.750%05/01/2021  /   93.150 / 93.941 11.19% / 5.40%2295
005622-AG-0ADAMS CNTY COLO REV TAXABLE-VILLA & PHOENIX-A-2 10.250%08/01/2024  /   100.000 / 100.000 10.24% / 10.24%360
64983Q-U9-8NEW YORK ST DORM AUTH REVS NON ST SUPPORTED DEBT VAR-LONG ISLAND UNIV %09/01/2026  /   100.000 / 100.000 8.50% / 8.50%1800
45202U-AM-6ILLINOIS FIN AUTH SPORTS FAC REV TAXABLE-UNITED SPORTS ORG-B 9.000%10/01/2017 101.000 / 101.000  103.375 / 103.375 8.48% / 8.48%3250
517082-AV-5LARGO FLA SUN COAST HEALTH SYS REV HOSP  6.200%03/01/2013  /   91.000 / 91.000 8.46% / 8.46%220
796265-BW-5SAN ANTONIO TEX HSG FIN CORP MULTI-FAMILY HSG REV FIRST MTG-LA RISA APTS PJ-A 8.250%01/01/2026 96.000 / 97.500  99.750 / 99.750 8.28% / 8.28%6420
939741-HA-5WASHINGTON ST ZERO CPN 0.000%08/01/2008 95.788 / 95.788  97.088 / 97.088 8.24% / 8.24%420
077327-AR-5BEL AIRE KANS CTFS PARTN TAXABLE-SER B 8.350%05/01/2025  /   101.000 / 101.000 8.16% / 8.16%125
64966E-U4-7NEW YORK N Y PREREFUNDED-SER I 5.000%05/15/2012 99.311 / 99.311  100.511 / 100.511 8.02% / 8.02%420
798147-Q3-1SAN JOSE CALIF REDEV AGY TAX ALLOCATION UNREFUNDED BAL-MERGED AREA PJ 5.375%08/01/2008 99.044 / 99.044  99.044 / 99.044 8.00% / 8.00%210
132047-BX-8CAMBRIA CNTY PA INDL DEV AUTH REV FIRST MTG-SR CHOICE INC PROJ 4.500%10/01/2031  /   63.500 / 63.500 7.95% / 7.95%110
132814-AT-1CAMDEN CNTY NJ POLLTN CTL FING AUTH SOLID WASTE RES RECOV REV AMT-SER B 7.500%12/01/2009 98.037 / 100.000  99.300 / 99.300 7.94% / 7.94%6350
801330-BM-2SANTA BARBARA CNTY CALIF IMPT BD ACT 1915 SEISMIC SAFETY ASSMT DIST NO 1 10.000%08/01/2017 101.280 / 101.280  102.280 / 102.280 7.58% / 7.58%340
745290-EB-8PUERTO RICO PORTS AUTH REV SPL FACS-AMERN AIRLINES-SER A 6.250%06/01/2026 86.700 / 86.700  87.200 / 87.200 7.55% / 7.55%2110


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)
19058F-BB-2COASTAL WTR AUTH TEX WTR CONVEYANCE SYS REV REF 6.250%12/15/2017  /  108.224 / 108.224 -93.26% / -93.26%140
724506-BX-7PITT CNTY N C REV PITT CNTY MEM HOSP  5.375%12/01/2010  /  106.104 / 106.104 -70.13% / -70.13%250
207742-W2-9CONNECTICUT ST HEALTH & EDL FACS AUTH REV NEW BRITAIN GEN HOSP-SER B  6.000%07/01/2024 102.500 / 102.500 103.500 / 103.500 -68.48% / -68.48%210
786004-RD-5SACRAMENTO CALIF MUN UTIL DIST ELEC REV  6.800%10/01/2019 105.000 / 105.000 105.500 / 105.500 -56.74% / -56.74%4160
523462-CE-7LEE CNTY FLA CAP BDS 7.400%10/01/2009  /  104.247 / 104.247 -45.84% / -45.84%120
515741-BX-3LANGHORNE MANOR BORO PA HIGHER ED & HEALTH AUTH REV HOSP-LOWER BUCKS HOSP 7.350%07/01/2022  /  103.100 / 103.100 -31.99% / -31.99%225
678237-AQ-1OKALOOSA CNTY FLA SCH BRD REV REF 5.875%07/01/2009 100.190 / 100.190 101.975 / 101.975 -19.58% / -19.58%230
666447-CZ-8NORTHGLENN COLO  6.800%12/01/2008  /  101.845 / 101.845 -17.00% / -17.00%15
645780-CT-2NEW JERSEY ECONOMIC DEV AUTH WTR FACS REV N J AMERICAN WTR CO INC PROJ  5.950%11/01/2029  /  102.500 / 102.500 -15.27% / -15.27%110
108003-BM-5BRICK TWP N J NEW PUB HSG AUTH  5.250%05/01/2010  /  103.400 / 103.400 -15.01% / -15.01%220
725304-HX-0PITTSBURGH PA WTR & SWR AUTH WTR & SWR SYS REV FIRST LIEN-SER A 5.050%09/01/2025  /  101.529 / 101.529 -14.79% / -14.79%110
64988H-RV-8NEW YORK ST MED CARE FACS FIN AGY REV HOSP & NURSING HOME INSD MTG-B 7.000%08/15/2032  /  101.650 / 101.650 -13.59% / -13.59%130
658196-PH-7NORTH CAROLINA EASTN MUN PWR AGY PWR SYS REV REF-SER B 5.500%01/01/2017 99.064 / 99.797 101.250 / 101.250 -10.78% / -10.78%10125
57604E-AA-7MASSACHUSETTS ST TPK AUTH WESTERN TPK REV SER A 5.550%01/01/2017  /  101.145 / 101.145 -9.39% / -9.39%2200
649838-SV-2NEW YORK ST DORM AUTH REVS REF-SECD HOSP-G-ACA/FSA-CR 5.100%02/15/2011  /  102.511 / 102.511 -8.00% / -8.00%2200
649787-BQ-0NEW YORK ST REF-SER C 5.375%10/01/2011 100.172 / 100.172 101.000 / 101.000 -7.70% / -7.70%6560
558447-4Y-1MADISON WIS PROM NTS-SER A 5.500%05/01/2009 100.870 / 100.870 100.950 / 100.950 -6.94% / -6.94%2+2
647293-KH-1NEW MEXICO ST CAP PROJS 4.000%03/01/2009 100.401 / 100.401 100.743 / 100.743 -5.10% / -5.10%4+4
606603-FR-4MITCHELL IND SCH BLDG CORP BRUTS-SER D91-5 %01/15/2014 129.924 / 129.924 129.924 / 129.924 -4.44% / -4.44%345
896029-R8-0TRIBOROUGH BRDG & TUNL AUTH N Y REVS GEN PURP-SER A 5.500%01/01/2009 100.700 / 100.700 101.200 / 101.200 -3.70% / -3.70%2100
952108-BK-3WEST CLARK 2000 SCH BLDG CORP IND BRUTS-SER D93-1 %07/15/2013 117.179 / 117.179 117.179 / 117.179 -2.95% / -2.95%3120










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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