Oklahoma Municipal Bonds - November 20, 2009


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Trades by Maturity Year: 2015

Time of Trade Security Description Maturity Date Coupon Price Yield Trade Amount Trade Type
4:58pm Oklahoma City Okla Mun Impt Defd Int-ser C 2015-Jul N/R 82.388 3.500 $25,000 Investor bought
4:43pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 80.000 8.357 $15,000 Investor bought
4:00pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 76.675 9.193 $15,000 Investor sold
4:00pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 77.300 N/R $15,000 Inter-dealer
3:39pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 78.300 N/R $15,000 Inter-dealer
3:34pm Oklahoma Dev Fin Auth Lease Dept Of Corr Pj 2015-Apr 3.900% 102.135 3.222 $5,000 Investor sold
1:46pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 78.090 8.832 $20,000 Investor sold
1:40pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 80.690 N/R $20,000 Inter-dealer
1:11pm Oklahoma Hsg Fin Agy Rev Unrefunded Balance 2015-Dec 4.060% 81.690 N/R $20,000 Inter-dealer
8:48am Oklahoma City Okla 2015-Mar 4.000% 107.111 1.752 $195,000 Investor bought
   Page 1 of 1 - 10 total trades

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