Connecticut Municipal Bonds - November 20, 2009


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Trades by Maturity Year: 2033

Time of Trade Security Description Maturity Date Coupon Price Yield Trade Amount Trade Type
4:57pm South Cent Conn Regl Wtr Auth 18th Ser-ser A 2033-Aug 5.000% 104.375 3.717 $25,000 Investor bought
4:49pm South Cent Conn Regl Wtr Auth 18th Ser-ser A 2033-Aug 5.000% 101.750 N/R $25,000 Inter-dealer
4:49pm South Cent Conn Regl Wtr Auth 18th Ser-ser A 2033-Aug 5.000% 102.000 N/R $25,000 Inter-dealer
2:08pm Naugatuck Conn Taxable-pension-fgic-fsa-cr 2033-Jun 5.910% 99.500 5.950 $250,000 Investor bought
2:07pm Naugatuck Conn Taxable-pension-fgic-fsa-cr 2033-Jun 5.910% 97.701 6.095 $250,000 Investor sold
2:06pm West Haven Conn Hsg Auth Hsg-meadow Landing Apts-ser A 2033-Jan 6.000% 87.823 7.077 $10,000 Investor sold
1:50pm South Cent Conn Regl Wtr Auth 18th Ser-ser A 2033-Aug 5.000% 104.375 3.717 $50,000 Investor bought
1:45pm South Cent Conn Regl Wtr Auth 18th Ser-ser A 2033-Aug 5.000% 101.875 N/R $50,000 Inter-dealer
1:44pm South Cent Conn Regl Wtr Auth 18th Ser-ser A 2033-Aug 5.000% 102.000 N/R $50,000 Inter-dealer
11:48am Bethel Conn Swr-ser B 2033-Nov 4.250% 98.419 N/R $10,000 Inter-dealer
11:48am Bethel Conn Swr-ser B 2033-Nov 4.250% 98.519 4.350 $10,000 Investor bought
11:45am Bethel Conn Swr-ser B 2033-Nov 4.250% 97.269 N/R $10,000 Inter-dealer
   Page 1 of 1 - 12 total trades

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