Municipalbonds.com

Yield Buyer's Report for 04/02/2008

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

All Information for Trade Date: 04/02/2008.

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)
610747-6U-6MONROE CNTY N Y PUB IMPT 4.000%06/01/2010 63.020 / 63.020  63.140 / 63.140 27.92% / 27.92%2100
797415-EK-8SAN DIEGO CNTY CALIF WTR AUTH WTR REV CTFS PARTN SER A 5.000%05/01/2013 100.574 / 100.574  100.590 / 100.590 10.00% / 10.00%250
514045-ZC-0LANCASTER CNTY PA HOSP AUTH REV BRETHREN VLG PROJ-SER A 5.200%07/01/2012  /   102.626 / 102.626 9.49% / 9.49%131535
092840-AS-6BLAIR CNTY PA HOSP AUTH REV  6.900%07/01/2008 98.400 / 98.400  99.400 / 99.400 9.36% / 9.36%210
956704-RA-0WEST VIRGINIA UNIV REVS WEST VA U PJ-STUDENT UNION-B  5.000%05/01/2027  /   100.695 / 100.695 9.31% / 9.31%115
734740-GD-9PORT MORROW ORE REV TAXABLE-HEPPNER COGENERATION-A 8.500%12/01/2021  /   95.000 / 95.000 9.15% / 9.15%1105
734740-GC-1PORT MORROW ORE REV TAXABLE-HEPPNER COGENERATION-A 8.250%12/01/2016  /   95.000 / 95.000 9.09% / 9.09%1220
949563-DJ-6WELLINGTON KANS ELEC WTRWKS & SEW UTIL SYS REV REF & IMPT 5.150%05/01/2018 98.130 / 98.130  99.731 / 99.731 9.01% / 9.01%315
386545-FU-6GRAND VALLEY MICH ST UNIV REV VAR-REF-GEN %12/01/2025 100.000 / 100.000  100.000 / 100.000 9.00% / 9.00%4975+1
594693-AQ-6MICHIGAN ST STRATEGIC FD POLLUTION CTL REV ADJ-REF-GEN MTRS CORP 6.200%09/01/2020 77.066 / 77.066  79.321 / 79.321 9.00% / 9.00%3515
453419-AR-4INDEPENDENCE CNTY ARK HYDROELECTRIC REV POWER 4.700%05/01/2017  /   74.890 / 74.890 8.77% / 8.77%150
560060-EU-5MAHONING CNTY OHIO HOSP FACS REV VAR-FORUM HLTH OBLIG GRP-B  %12/01/2027  /   100.000 / 100.000 8.50% / 8.50%15
915138-GB-1UNIVERSITY TOLEDO OHIO GEN RCPTS VAR %06/01/2032  /   100.000 / 100.000 8.50% / 8.50%42000+2
794173-BL-7SALEM-KEIZER ORE SCH DIST NO 24J REF 4.800%06/01/2013 96.374 / 96.374  99.436 / 99.436 8.47% / 8.47%432
443731-BH-6HUDSON CNTY N J IMPT AUTH SOLID WASTE SYS REV TAXABLE-SER B 8.625%01/01/2014 98.000 / 98.000  101.000 / 101.000 8.40% / 8.40%7115
47136P-AC-6JASPER CNTY IND ECONOMIC DEV REV GEORGIA PACIFC CORP PJ 5.600%04/01/2029 73.000 / 73.000  73.000 / 73.000 8.35% / 8.35%260
311551-AB-1FARMS NEW KENT VA CMNTY DEV AUTH SPL ASSMT SER B 5.450%03/01/2036 69.366 / 69.366  69.875 / 69.875 8.22% / 8.22%2+2
145118-AF-2CARROLL CNTY TENN HEALTH & EDL FACS BRD REV 1ST MTG-CARRIAGE CROSSING-A 8.500%12/01/2026  /   100.000 / 100.000 8.20% / 8.20%110
119313-BY-9BUENA VISTA TWP MICH  8.000%04/01/2032  /   97.920 / 97.920 8.20% / 8.20%115
952204-EJ-0WEST COAST REGL WTR SUPPLY AUTH FLA CAP IMPT REV REFUNDED 10.400%10/01/2013  /   110.158 / 110.158 8.07% / 8.07%110


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)
64988H-7D-0NEW YORK ST MED CARE FACS FIN AGY REV NORTH SHORE UNIV-GLEN COVE-A 5.125%11/01/2012  /  99.000 / 105.145 5.37% / -64.24%230
472682-CQ-4JEFFERSON CNTY ALA SWR REV WTS 7.500%09/01/2013 102.000 / 102.000 104.500 / 104.500 -53.19% / -53.19%220
545901-AJ-9LOUDOUN CNTY VA INDL DEV AUTH INDL DEV REV REF-DULLES ARPT MARRIOTT HOTEL 7.125%09/01/2015  /  101.750 / 102.875 -17.24% / -50.67%6230
875231-CN-0TAMPA FLA REV ALLEGANY HLTH SYS-ST MARYS  5.125%12/01/2023 103.000 / 103.000 103.661 / 103.661 -44.95% / -44.95%3520
454797-RR-4INDIANA HEALTH FAC FING AUTH HOSP REV CMNTY HOSP OF ANDERSON PROJ 6.000%01/01/2023  /  102.400 / 102.400 -27.20% / -27.20%150
163098-AP-1CHELAN CNTY WASH DEV CORP REV REF-POLLUTN CTL-ALCOA PROJ 5.850%12/01/2031  /  102.000 / 102.000 -25.70% / -25.70%120
592596-B3-3METROPOLITAN TRANSN AUTH N Y COMMUTER FACS REV PREREFUNDED-SER D 5.000%07/01/2012  /  103.145 / 103.145 -24.59% / -24.59%125
960895-JV-3WESTMORELAND CNTY PA REF-SER D 5.250%08/01/2009  /  101.913 / 101.913 -21.40% / -21.40%120
084387-CS-6BERKELEY TWP N J HSG FIN CORP HSG REV REF-SECT 8-BAYVILLE HSG-SER A 5.750%08/01/2014  /  101.810 / 101.810 -19.48% / -19.48%115
800463-AT-8SANFORD FLA CMNTY REDEV AGY PUB IMPT REV SER A  6.000%06/01/2011  /  101.675 / 101.675 -17.38% / -17.38%285
736576-GJ-2PORTLAND ME NEW PUB HSG AUTH  5.125%07/01/2011  /  106.500 / 106.500 -17.10% / -17.10%210
303833-HM-2FAIRFAX CNTY VA REDEV & HSG AUTH MULTI-FAMILY HSG REV REF-FHA-PAUL SPRING CTR-SER A 6.000%12/15/2028 101.370 / 101.370 103.421 / 103.421 -13.64% / -13.64%440
296803-K3-2ESSEX CNTY N J CAP APPREC-REF 0.000%12/01/2012 74.625 / 74.625 76.700 / 76.700 -13.27% / -13.27%7550
047772-TV-0ATLANTA GA UNREFUNDED BALANCE 4.700%12/01/2010 100.100 / 100.100 102.000 / 102.000 -9.32% / -9.32%250
433851-AR-3HOBBS N MEX HEALTH FACS REV EVANGELICAL LUTHERAN PROJ 5.700%05/01/2016 98.456 / 98.456 101.000 / 101.000 -8.41% / -8.41%4165
952347-DV-1WEST CONTRA COSTA CALIF UNI SCH DIST SER D 5.200%08/01/2016  /  102.000 / 102.000 -8.30% / -8.30%110
600029-BH-4MILL VALLEY CALIF REV CTFS PARTN THE REDWOODS  5.400%12/01/2011  /  102.000 / 102.000 -8.10% / -8.10%115
621075-AD-2MOUNT CLEMENS MICH HSG CORP MULTIFAMILY REV REF-HSG-FHA-SEC 8 ASSTD-SER A 6.600%06/01/2022  /  101.000 / 101.000 -8.09% / -8.09%220
790903-BM-9ST LOUIS CNTY MO INDL DEV AUTH HSG DEV REV REF-GNMA COLL-WATERFORD PROJ 5.400%12/01/2028 97.810 / 97.810 100.911 / 100.911 -7.48% / -7.48%420
454621-DW-0INDIANA BD BK SPL PROGRAM-SER A 9.750%08/01/2009 104.971 / 104.971 105.456 / 105.456 -6.97% / -6.97%31065
630475-CW-9NAPLES FLA HOSP REV NAPLES CMNTY HOSP INC PJ  5.500%10/01/2016  /  101.875 / 101.875 -6.81% / -6.81%125










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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