YORK CNTY PA REF, 4.00%, 3/1/2035

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Fund(s) Own Of This Bond.

Symbol % of Fund Reported Market Value Held
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Price Summary

Last Trade Price Date Current Yield Yield to Worst Spread
Dealer 107.31 1/16/2018 3.73 3.15 -
Buyer 107.67 1/16/2018 3.72 3.11 +0.36%
Seller 106.95 1/10/2018 3.74 3.19 -0.36%
30 Day Averages Price Current Yield Yield to Worst Spread
Dealer N/A - -
Buyer N/A - -
Seller N/A - -

Bond Summary

bond name cusip maturity date coupon
YORK CNTY PA REF 03/01/2035 4.00
# of 30 day trades high/low 30 day avg vol last trade volume
0 0 3,565,000
next pay date call date market sector state in default
09/01/2018 Pennsylvania No
30 day yield range # total trades dated date insurer
76 12/28/2017 -

See what other Investors Paid

Price Yield to Worst Amount Trade Type Date Traded