Municipalbonds.com

Yield Buyer's Report for 05/07/2008

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

All Information for Trade Date: 05/07/2008.

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)
253363-SY-2DICKINSON TEX INDPT SCH DIST SCHOOLHOUSE 4.750%02/15/2031  /   4.767 / 101.000 97.26% / 4.62%6200
216144-CE-3COOK CNTY ILL SINGLE FAMILY MTG REV MUN MULTIPLIER-1983 SER A 0.000%07/01/2015  /   25.000 / 25.000 20.37% / 20.37%15
594519-K6-6MICHIGAN HIGHER ED FACS AUTH REV VAR-REF-LTD OBLIG-THOMAS B3 %07/01/2037 100.000 / 100.000  100.000 / 100.000 12.00% / 12.00%71045
906148-AF-8UNION CNTY ARK REV TAXABLE-SR MTG-HILLSBORO-A 9.500%09/01/2017  /   92.000 / 92.000 10.88% / 10.88%1200
745290-EA-0PUERTO RICO PORTS AUTH REV SPL FACS-AMERICAN AIRLINES-A 6.300%06/01/2023 73.277 / 73.277 76.277 / 78.076 9.25% / 8.98%555
453419-AV-5INDEPENDENCE CNTY ARK HYDROELECTRIC REV POWER 5.000%05/01/2021  /   68.500 / 98.500 9.21% / 5.16%240
745290-EB-8PUERTO RICO PORTS AUTH REV SPL FACS-AMERN AIRLINES-SER A 6.250%06/01/2026  /   74.987 / 74.987 9.10% / 9.10%270
890684-CC-5TOPEKA KANS WTR & WTR POLLUTN CTL UTIL REV SER A 5.400%08/01/2031  /   100.199 / 100.199 8.90% / 8.90%15
414152-RE-0HARRIS CNTY TEX HEALTH FACS DEV CORP HOSP REV VAR-MEMORIAL HERMANN-SER B %06/01/2024  /   100.000 / 100.000 8.80% / 8.80%1500
517082-BC-6LARGO FLA SUN COAST HEALTH SYS REV HOSP  6.300%03/01/2020 80.000 / 80.000  82.000 / 82.000 8.78% / 8.78%4120
745271-DK-9PUERTO RICO INDL MED & ENVIRML POLLUTN CTL FACS FING AUTH REV VAR-SPL FACS-AMERN AIRLS-SER A 6.450%12/01/2025  /   79.700 / 79.700 8.73% / 8.73%130
119313-BY-9BUENA VISTA TWP MICH  8.000%04/01/2032  /   95.000 / 95.000 8.49% / 8.49%150
088354-DU-6BEXAR CNTY TEX HEALTH FACS DEV CORP REV ESPLANADE GARDENS-SR SER A 7.250%06/01/2017  /   92.946 / 92.946 8.38% / 8.38%150
443731-BH-6HUDSON CNTY N J IMPT AUTH SOLID WASTE SYS REV TAXABLE-SER B 8.625%01/01/2014 100.000 / 100.000  102.000 / 102.000 8.17% / 8.17%260
106213-FH-9BRAZOS RIVER AUTH TEX POLLUTN CTL REV ADJ-REF-TXU ELEC CO PJ-SER C 5.750%05/01/2036 89.860 / 90.792  92.860 / 93.295 8.15% / 8.15%690
077327-AT-1BEL AIRE KANS CTFS PARTN TAXABLE-SER A 8.000%05/01/2021  /   99.000 / 99.000 8.13% / 8.13%110
077327-AR-5BEL AIRE KANS CTFS PARTN TAXABLE-SER B 8.350%05/01/2025 101.352 / 101.352  101.352 / 101.352 8.09% / 8.09%224
161044-BE-1CHARLOTTE N C SPL FACS REV REF-CHARLOTTE/DOUGLAS INTL ARP 5.600%07/01/2027 75.484 / 75.484  76.000 / 76.000 8.08% / 8.08%2+2
721876-KT-6PIMA CNTY ARIZ SWR REV REF & IMPT 5.250%07/01/2008 99.602 / 99.602  99.602 / 99.602 8.05% / 8.05%250
899661-EG-3TULSA OKLA MUN ARPT TR REV VAR-REF-SER A RMKT 12/1/04 7.750%06/01/2035 98.500 / 98.500  98.650 / 98.986 8.02% / 7.95%3+3


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)
01728A-MH-6ALLEGHENY CNTY PA HOSP DEV AUTH REV HOSP-PITTSBURGH MERCY HLTH SYS 5.625%08/15/2018  /  107.784 / 107.784 -83.54% / -83.54%2240
246361-AV-1DELAWARE RIV PORT AUTH PA & NJ DEL RIV BRDGS REV  6.500%01/15/2011  /  105.734 / 105.734 -70.09% / -70.09%145
621191-BS-3MT DIABLO CALIF HOSP DIST REV INSD-SER A 5.125%12/01/2023 103.474 / 103.474 104.474 / 104.474 -55.59% / -55.59%2130
649834-YP-7NEW YORK ST DORM AUTH REVS INSD-MT SINAI SCH MED-SER A  5.000%07/01/2021 96.900 / 96.900100.000 / 104.400 4.89% / -54.77%3155
341150-LR-9FLORIDA ST PREREFUNDED 5.000%07/01/2011  /  105.296 / 105.296 -52.92% / -52.92%120
581408-QV-6MC KEESPORT PA AREA SCH DIST PREREFUNDED-SER C 5.000%04/01/2013  /  103.989 / 103.989 -49.41% / -49.41%130
130663-CK-1CALIFORNIA ST DEPT WTR RES CENT VY PROJ REV  5.250%07/01/2022 102.137 / 102.137 103.137 / 103.137 -37.88% / -37.88%2310
60636X-D9-1MISSOURI ST HSG DEV COMMN SINGLE FAMILY MTG REV PAC-AMT-HOMEOWNERSHIP LN-A-1 6.000%03/01/2038  /  102.950 / 102.950 -34.57% / -34.57%2+2
130625-AJ-5CALIFORNIA ST  4.750%11/01/2012  /  102.834 / 102.834 -34.38% / -34.38%115
986392-DL-9YORK CNTY PA HOSP AUTH REV HANOVER GEN HOSP 9.000%12/01/2008  /  103.121 / 103.121 -33.59% / -33.59%110
896033-MN-4TRIBOROUGH BRDG & TUNL AUTH N Y SPL OBLIG REF-SER A 5.000%01/01/2016  /  103.522 / 103.522 -29.64% / -29.64%115
59465E-QR-7MICHIGAN ST HOSP FIN AUTH REV MERCY HLTH SVCS-SER W  5.250%08/15/2027  /  103.060 / 103.060 -23.18% / -23.18%110
502828-AH-9LA CYGNE KANS POLLUTN CTL REV REF-KANS GAS & ELEC CO PJ  5.100%03/01/2023  /  101.000 / 101.000 -19.95% / -19.95%115
717817-GC-8PHILADELPHIA PA ARPT REV REF-AMT-PHIL ARPT SYS-SER A 5.375%06/15/2015  /  104.337 / 104.337 -18.89% / -18.89%315
132814-AT-1CAMDEN CNTY NJ POLLTN CTL FING AUTH SOLID WASTE RES RECOV REV AMT-SER B 7.500%12/01/2009 100.000 / 100.000 102.000 / 102.000 -17.32% / -17.32%4140
13937T-BD-8CAPE CORAL FLA HEALTH FACS AUTH REV REF-FIRST MTG-GULF CARE INC PJ 6.000%10/01/2016  /  101.162 / 101.660 -10.35% / -17.18%260
130625-BT-2CALIFORNIA ST  5.800%06/01/2014 100.619 / 100.619 101.619 / 101.619 -16.82% / -16.82%250
251440-AR-4DETROIT/WAYNE CNTY MICH STAD AUTH  5.500%02/01/2017  /  102.275 / 102.350 -12.29% / -13.31%4450
60562P-AJ-7MISSISSIPPI ST DEPT MENTAL HEALTH LEASE REV CTFS PARTN SER A 4.700%11/15/2011  /  101.289 / 101.289 -10.95% / -10.95%1200
514045-TZ-6LANCASTER CNTY PA HOSP AUTH REV HLTH CTR-WILLOW VY LAKES-A 5.125%12/01/2023  /  101.020 / 101.020 -9.26% / -9.26%240
62619R-AS-2MUNICIPAL ASSISTANCE CORP FOR CITY TROY NY SER A 5.000%01/15/2022  /  101.750 / 101.750 -9.05% / -9.05%110










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

Top   Home