Investor Calls & Presentations
Investor Call Slide Shows and Q&A's.
2023
- $1,500,000,000* General Obligation Bonds and General Obligation Refunding Bonds
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- $300,000,000* Commonwealth Transportation Fund Revenue Bonds (Rail Enhancement Program) 2023 Series A (Sustainability Bonds), $200,000,000* Commonwealth Transportation Fund Revenue Bonds (Rail Enhancement Program) 2023 Series B
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- $1,000,000,000* General Obligation New Money and Refunding Bonds
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Investor Presentation (Slide Deck)
2022
- $1,000,000,000* General Obligation Bonds Consolidated Loan of 2022, Series C, $104,770,000* General Obligation Refunding Bonds 2022 Series A
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- $1,977,735,000* Special Obligation Revenue Bonds (Unemployment Insurance Trust Fund) 2022 Series A (Federally Taxable) (Social Bonds), $722,265,000* Special Obligation Revenue Bonds (Unemployment Insurance Trust Fund) 2022 Series B (Federally Taxable) (Social Bonds)
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- $200,000,000* Commonwealth Transportation Fund Revenue Bonds 2022 Series A (Sustainability Bonds), $100,000,000* Commonwealth Transportation Fund Revenue Bonds 2022 Series B
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- $300,000,000* General Obligation Bonds Consolidated Loan of 2022, Series A, $350,000,000* General Obligation Bonds Consolidated Loan of 2022, Series B
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2021
- $385,000,000* General Obligation Bonds Consolidated Loan of 2021, Series C, $350,000,000* General Obligation Bonds Consolidated Loan of 2021, Series D, $226,215,000* General Obligation Refunding Bonds Series A
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- $200,000,000* General Obligation Bonds Consolidated Loan of 2021, Series A, $400,000,000* General Obligation Bonds Consolidated Loan of 2021, Series B
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