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  Poway Unified School District’s Property Tax Information




Bond Details - CUSIP 73885QKC2
Obligation Special Tax Refunding Bonds, Series 2017A
Issue Name Special Tax Refunding Bonds, Series 2017A
Project Name 4S Ranch
Issue Type Mello-Roos
CDIAC Number 2016-3033
Ratings &P: AA (Insured); S&P: BBB+ (Underlying)
Issued $14,470,000.00
New Money $0.00
Outstanding $10,410,000.00
Dated Date 2/2/2017
1 st Coupon Date 9/1/2017
Last Coupon Date 9/1/2023
Date Refunded
Maturity Date 9/1/2033
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 False
Amount
Percentage
Definition
Update Type Automatic
Obligation Special Tax Refunding Bonds, Series 2017A
Issue Name Special Tax Refunding Bonds, Series 2017A
Project Name Torrey Highlands - Subarea IV
Issue Type Mello-Roos
CDIAC Number 2016-3839
Ratings S&P: AA (Insured); S&P: BBB+ (Underlying)
Issued $7,030,000.00
New Money $0.00
Outstanding $4,495,000.00
Dated Date 2/2/2017
1 st Coupon Date 9/1/2017
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
Annual Average
Reserve Fund False
Amount
Percentage
Definition
Update Type Automatic
Obligation Special Tax Refunding Bonds, Series 2017A
Issue Name Special Tax Refunding Bonds, Series 2017A
Project Name Torrey Highlands - Subarea IV
Issue Type Mello-Roos
CDIAC Number 2016-3899
Ratings S&P: AA (Insured); S&P: BBB+ (Underlying)
Issued $4,680,000.00
New Money $0.00
Outstanding $2,990,000.00
Dated Date 2/2/2017
1 st Coupon Date 9/1/2017
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
Annual Average
Reserve Fund False
Amount
Percentage
Definition
Update Type Automatic

Maturity: Friday, September 01, 2028 Callable: YES Status: 9/1/2027 @ 100.0%
Coupon: 0.05000 Principal: $2,020,000.00 Interest: $518,825.00
Maturity: Friday, September 01, 2028 Callable: YES Status: 9/1/2027 @ 100.0%
Coupon: 0.05000 Principal: $985,000.00 Interest: $315,575.00
Maturity: Friday, September 01, 2028 Callable: YES Status: 9/1/2027 @ 100.0%
Coupon: 0.05000 Principal: $625,000.00 Interest: $120,750.00
Maturity: Friday, September 01, 2028 Callable: YES Status: 9/1/2027 @ 100.0%
Coupon: 0.05000 Principal: $405,000.00 Interest: $82,500.00