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NET TRUE <br />MATURITY REOFFERING INTEREST INTEREST <br />NAME OF BIDDER (February 1) RATE YIELD PRICE COST RATE <br />FTN FINANCIAL CAPITAL <br />$2,744,712.77 <br />$542,890.98 2.2084% <br />MARKETS <br />Memphis, Tennessee <br />2017 <br />2.000% <br />2018 <br />2.000% <br />2019 <br />2.000% <br />2020 <br />2.000% <br />2021 <br />2.000% <br />2022 <br />2.000% <br />2023 <br />2.000% <br />2024 <br />2.000% <br />2025 <br />2.000% <br />2026 <br />2.500% <br />2027 <br />2.500% <br />2028 <br />2.750% <br />2029 <br />2.750% <br />2030 <br />3.250% <br />2031 <br />3.250% <br />BAIRD <br />$2,740,824.70 <br />$544,302.80 2.2177% <br />Milwaukee, Wisconsin <br />2017 <br />2.000% <br />2018 <br />2.000% <br />2019 <br />2.000% <br />2020 <br />2.000% <br />2021 <br />2.000% <br />2022 <br />2.000% <br />2023 <br />2.000% <br />2024 <br />2.000% <br />2025 <br />2.000% <br />2026 <br />2.500% <br />2027 <br />2.500% <br />2028 <br />3.000% <br />2029 <br />3.000% <br />2030 <br />3.000% <br />2031 <br />3.000% <br />PIPER JAFFRAY & CO. <br />$2,808,729.20 <br />$551,148.30 2.2268% <br />Minneapolis, Minnesota <br />2017 <br />3.000% <br />2018 <br />3.000% <br />2019 <br />3.000% <br />2020 <br />3.000% <br />2021 <br />3.000% <br />2022 <br />3.000% <br />2023 <br />3.000% <br />2024 <br />3.000% <br />2025 <br />2.750% <br />2026 <br />2.750% <br />2027 <br />2.750% <br />2028 <br />2.750% <br />2029 <br />2.750% <br />2030 <br />2.750% <br />2031 <br />3.000% <br />Bid Tabulation <br />April 28, 2015 <br />City of St. Anthony, Minnesota <br />$2,675,000* General Obligation <br />Improvement <br />Bonds Series 2015A <br />Page 2 <br />