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  Poway Unified School District’s Property Tax Information




Bond Details - CUSIP 73885QJM2
Obligation Special Tax Refunding Bonds, Series 2016A
Issue Name Special Tax Refunding Bonds, Series 2016A
Project Name
Issue Type Mello-Roos
CDIAC Number 2016-2347
Ratings S&P: AA (Insured); S&P: A- (Underlying)
Issued $8,966,000.00
New Money $0.00
Outstanding $5,035,000.00
Dated Date 8/18/2016
1 st Coupon Date 3/1/2017
Last Coupon Date 9/1/2023
Date Refunded
Maturity Date 9/1/2031
Issuer Status Sold
Documentation Official Statement
Cap Interest False
Cap Interest Amount
Number of Months
Net Funded False
Debt Service True
Debt Service Type Escalating/Declining
Annual Average
Reserve Fund True
Amount $323,864.69
Percentage 0.03612
Definition Lesser:10% IP; MADS; 125% AADS
Update Type Automatic
Obligation Special Tax Refunding Bonds, Series 2016A
Issue Name Special Tax Refunding Bonds, Series 2016A
Project Name
Issue Type Mello-Roos
CDIAC Number 2016-2365
Ratings S&P: AA (Insured); S&P: A- (Underlying)
Issued $34,006,000.00
New Money $0.00
Outstanding $21,790,000.00
Dated Date 8/18/2016
1 st Coupon Date 3/1/2017
Last Coupon Date 9/1/2023
Date Refunded
Maturity Date 9/1/2032
Issuer Status Sold
Documentation Official Statement
Cap Interest False
Cap Interest Amount
Number of Months
Net Funded False
Debt Service True
Debt Service Type Escalating/Declining
Annual Average
Reserve Fund True
Amount $10,526,290.90
Percentage 0.03106
Definition Lesser:10% IP; MADS; 125% AADS
Update Type Automatic
Obligation Special Tax Refunding Bonds, Series 2016A
Issue Name Special Tax Refunding Bonds, Series 2016A
Project Name
Issue Type Mello-Roos
CDIAC Number 2016-2347
Ratings S&P: AA (Insured); S&P: A- (Underlying)
Issued $6,635,000.00
New Money $0.00
Outstanding $4,257,000.00
Dated Date 8/18/2016
1 st Coupon Date 3/1/2017
Last Coupon Date 9/1/2023
Date Refunded
Maturity Date 9/1/2032
Issuer Status Sold
Documentation Official Statement
Cap Interest False
Cap Interest Amount
Number of Months
Net Funded False
Debt Service True
Debt Service Type Escalating/Declining
Annual Average
Reserve Fund True
Amount $144,572.40
Percentage 0.02179
Definition Lesser:10% IP; MADS; 125% AADS
Update Type Automatic

Maturity: Monday, September 01, 2031 Callable: YES Status: 9/1/2026 @ 100.0%
Coupon: 0.05000 Principal: $3,450,000.00 Interest: $271,700.00
Maturity: Monday, September 01, 2031 Callable: YES Status: 9/1/2026 @ 100.0%
Coupon: 0.02330 Principal: $176,000.00 Interest: $4,100.80
Maturity: Monday, September 01, 2031 Callable: YES Status: 9/1/2026 @ 100.0%
Coupon: 0.02220 Principal: $2,835,000.00 Interest: $111,177.60
Maturity: Monday, September 01, 2031 Callable: YES Status: 9/1/2026 @ 100.0%
Coupon: 0.02150 Principal: $557,000.00 Interest: $0.00