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BOND PRICING <br />$6.425.000* <br />CITY OF PARIS, TEXAS <br />General Obligation Refunding Bonds. Series 2009 <br />Ref'unded Bonds: Series 1998. 2000, & 2001 <br />Market Scale: Bank Qualitied - Insured <br />December Delivery: Perfect Escrow - No Slg Escrow <br />Preliminary Numbers: As of Ocrober 20. 2009 <br />Maturity <br />Bond Component Date <br />Amount <br />Rate <br />Yield <br />Price <br />Premium <br />(-Discount) <br />Serial Bond: <br />12/15/2010 <br />1,610.000 <br />3.000% <br />0.950% <br />102.007 <br />32,312.70 <br />12/1S/201 1 <br />1,670,000 <br />3.000% <br />1.200% <br />103.522 <br />58,817.40 <br />12/15/2012 <br />350.000 <br />3.000% <br />1.550% <br />104.215 <br />14,752.50 <br />12/15/2013 <br />360.000 <br />3.000% <br />1.800% <br />104.595 <br />16,542.00 <br />12/15/2014 <br />375.000 <br />3.000% <br />2.200% <br />103.758 <br />14,092.50 <br />12/15/2015 <br />385.000 <br />3.000% <br />2.500% <br />102.763 <br />10,637.55 <br />12/15/2016 <br />400,000 <br />3.000% <br />2.700% <br />101.898 <br />7,592.00 <br />12/15/2017 <br />410.000 <br />3.000% <br />3.000% <br />100.000 <br />12/15/2018 <br />425,000 <br />4.000% <br />3.200% <br />106.204 <br />26,367.00 <br />12/ 15/2019 <br />440,000 <br />4.000% <br />3.400% <br />105.044 <br />22,193.60 <br />6,425,000 <br />203,307.25 - 56~C, Qq(~ 2 <br /> <br />r ~ <br />Dated Date <br />12/20/2009 <br />Delivery Date <br />12/20/2009 <br />First Coupon <br />06/15/2010 <br />Par Amount <br />6.425,000.00 <br />Premium <br />203307.25 <br />Production <br />6.628.307.25 <br />103.16431 5% <br />Underwriter's Discount <br />(44_975.00) <br />(0.70000{}) <br />Purchase Price <br />6.583.332.25 <br />102.464315% <br />Accrued Interest <br />Net Proceeds <br />6.5837332.25 <br />Oct 20, 2009 1:10 pm Prepared by Southwest Securities. Inc. (Finance 6.014 Paris. City of:PARISGO-2009REF,2009RE}=) Page 4 <br />