Provide 9-digit CUSIP* numbers to which the information relates:

Size: px
Start display at page:

Download "Provide 9-digit CUSIP* numbers to which the information relates:"

Transcription

1 Municipal Secondary Market Disclosure Information Cover Sheet This cover sheet should be sent with all submissions made to the Municipal Securities Rulemaking Board, Nationally Recognized Municipal Securities Information Repositories, and any applicable State Information Depository, whether the filing is voluntary or made pursuant to Securities and Exchange rule 15c2-12 or any analogous state statute. See for the list of current NRMSIRs and SIDs. If this filing relates to a Single Bond Issue: Provide name of bond issue exactly as it appears on the cover of the Official Statement (please include name of state where the Issuer is located). Provide 9-digit CUSIP* numbers to which the information relates: If this filing relates to all securities issued by the Issuer or all securities of a specific credit or issued under a single indenture: Issuer s Name (please include name of state where issuer is located): Abilene Health Facilities Development Corporation Other Obligated Person s Name (if any): Sears Methodist Retirement System Obligated Group (exactly as it appears on the Official Statement Cover) Provide six-digit CUSIP* number(s) of Issuer: See attached *(Contact CUSIP s Municipal Disclosure Assistance Line at for assistance with obtaining the proper CUSIP numbers). Type of Filing: (X) Electronic (number of pages attached) ( ) Paper (number of pages attached) 6 If information is also available on the Internet, give URL:

2 What type of information are you providing? (Check all that apply) A. ( ) Annual Financial Information and Operating Data pursuant to Rule 15c2-12 (Financial information and operating data should not be filed with the MSRB) Fiscal Year Covered: B. ( ) Audited Financial Statements of CAFR pursuant to Rule 15c2-12 Fiscal Year Covered: C. (X) Notice of Material Event pursuant to Rule 15c2-12 (Check as appropriate) 1. (X) Principal and interest payment delinquencies 2. ( ) Non-payment related defaults 3. (X) Unscheduled draws on debt service reserves reflecting financial difficulties 4. ( ) Unscheduled draws on credit enhancements reflecting financial difficulties 5. ( ) Substitution of credit or liquidity providers, or their failure to perform 6. ( ) Adverse tax opinions or events affecting the tax-exempt status of the security 7. ( ) Modifications to the rights of security holders 8. ( ) Bond calls 9. ( ) Defeasances 10. ( ) Release, substitution, or sale of property securing repayment of the securities 11. ( ) Rating changes D. ( ) Notice of Failure to Provide Annual Financial Information as Required E. ( ) Other Secondary Market Information (specify): I hereby represent that I am authorized by the issuer of obligor or its agent to distribute this information publicly: Issuer Contact: Name Title Employer City State Zip Code Telephone Fax Address Issuer Web Site Dissemination Agent Contact, if any: Name Title Employer City State Zip Code Telephone Fax Address Relationship to Issuer Obligor Contact, if any: Name D. Keith Perry Title President and CEO Employer Sears Methodist Retirement System, Inc. City Austin, TX State TX Zip Code Telephone Fax Address kperry@sears-methodist.com Obligor Web Site

3 Investor Relations Contact, if any: Name Title Telephone Address

4 9-Digit CUSIP numbers to which the information relates: Series 1998A AJ AK AL AM AN AP2 Series 1998B AA AU1 Series AW AX AY3 Series 2003A BB BC BD BE BF BG BH BJ BK BL BM8 Series 2003B BP BN6

5 Notice of Material Event pursuant to Rule 15c2-12 Principal and Interest Payment Delinquencies Due to current operating results, sources of working capital currently available to the Obligated Group and the current working capital needs of the Obligated Group discussed in further detail below, the Obligated Group did not make the scheduled principal and interest payments on the bonds to which this notice relates (the Bonds ) due May 1, Unscheduled Draw on Debt Service Reserve Fund The following principal and interest payments (the Payments ) are due on the Bonds on May 15, 2012: Principal Due 5/1/2012 Interest Due 5/1/2012 Total Payment Due 5/1/2012 Series 1998A $785, $942, $1,727, Series 1999 $135, $241, $376, Series 2003A $120, $1,404, $1,524, Total $1,040, $2,588, $3,628, As of April 30, 2012, the balances of the bond funds for the Bonds are as follows: Balance Series 1998 Bond Fund $2,115, Series 1999 Bond Fund $25, Series 2003 Bond Fund $114, Total $2,255, It is anticipated that a draw on the debt service reserve funds will be made in order to pay the Payments due on the Bonds on May 15, 2012 in excess of the funds available in the bond funds. The draw on the debt service reserve funds is anticipated to be approximately $1,373,000. Retention of Management Consultant The Obligated Group has retained CliftonLarsonAllen to provide a management consultant s report with respect to management s budget for the Obligated Group for the remainder of It is anticipated that the management consultant s report will be available the week of July 20, Liquidity Issues Management believes the current operating cash shortfall is due to five primary reasons: 1. Decline in community services and therapy operations due to reduced Medicare reimbursement rates and underlying census; 2. Decline in revenue from skilled nursing units in both the continuing care retirement communities and the stand-alone nursing centers resulting from lower Medicaid reimbursement rates and census;

6 3. Reduced net turnover entry fees received in 2011 due to timing of entrance fee refunds; 4. Capital expenditure funding required for the Obligated Group campuses for immediate and necessary repairs; and 5. Required capital funding for the completion of the Meadowlake in the first quarter of In addition, the Obligated Group was required to repay approximately $465,000 in March 2012 on the Obligated Group s outstanding line of credit with Capital One, N.A. due to a reduction in the limit on the line of credit pursuant to the terms of the line of credit. Capital One, N.A. has also notified the Obligated Group that the interest rate on the borrowings under the line of credit and the interest rate on the term loan will increase by 2.5% in June 2012 and by an additional 2.5% in July 2012, for a total interest rate increase of 5%. Management estimates that the increased interest rate will result in additional interest charges of approximately $1 million annually, based on the existing loan balances. Proposed Restructuring Plan The Obliged Group anticipates that its representative will, on or before July 31, 2012, propose a plan to the holders of the obligations to restructure the Obligated Group debt. Audited Financial Statements It is anticipated that the audited financial statements for the Obligated Group for the fiscal year ended December 31, 2011 will be available on or about May 30, FORWARD-LOOKING STATEMENTS. This notice contains forward-looking information within the meaning of the federal securities laws. The forward-looking statements include statements about the Obligated Group s outlook for the future, as well as other statements of beliefs, future plans or strategies or anticipated events, and similar expressions concerning matters that are not historical facts. Forward-looking statements and information are subject to many risks and uncertainties that could cause actual results to differ materially from those expressed in, or implied by, the statements. The reader is cautioned not to place undue reliance on forward-looking statements because actual results may differ materially from those expressed in, or implied by, the statements. The forward looking statements contained in this notice are applicable only as of the date of this notice, and the Obligated Group undertakes no obligation to update any forwardlooking statements, whether as a result of new information, future events or otherwise.

See for the list of current NRMSIRs and SIDs.

See   for the list of current NRMSIRs and SIDs. Municipal Secondary Market Disclosure Information Cover Sheet This cover sheet should be sent with all submissions made to the Municipal Securities Rulemaking Board, Nationally Recognized Municipal Securities

More information

Municipal Secondary Market Disclosure Information Cover Sheet

Municipal Secondary Market Disclosure Information Cover Sheet Municipal Secondary Market Disclosure Information Cover Sheet This cover sheet should be sent with all submissions made to the Municipal Securities Rulemaking Board, Nationally Recognized Municipal Securities

More information

Municipal Secondary Market Disclosure Information Cover Sheet

Municipal Secondary Market Disclosure Information Cover Sheet Municipal Secondary Market Disclosure Information Cover Sheet This cover sheet should be sent with all submissions made to the Municipal Securities Rulemaking Board, Nationally Recognized Municipal Securities

More information

CUSIP Numbers. * Retired as of the date of this report.

CUSIP Numbers. * Retired as of the date of this report. VALLEJO CITY UNIFIED SCHOOL DISTRICT COMMUNITY FACILITIES DISTRICT NO. 2 SPECIAL TAX BONDS SERIES 2007 ($7,360,000) (Bank Qualified) CONTINUING DISCLOSURE ANNUAL REPORT FISCAL YEAR 2012-13 (per SEC Rule

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

VILLAGE OF BRADLEY, ILLINOIS (Kankakee County) $4,475,000 GENERAL OBLIGATION SEWERAGE REFUNDING BONDS (ALTERNATE REVENUE SOURCE), SERIES 2015A

VILLAGE OF BRADLEY, ILLINOIS (Kankakee County) $4,475,000 GENERAL OBLIGATION SEWERAGE REFUNDING BONDS (ALTERNATE REVENUE SOURCE), SERIES 2015A New Issue - Book Entry Only Bank Qualified FINAL OFFICIAL STATEMENT DATED AUGUST 26, 2015 Rating: Standard & Poor's AA- (See Rating Herein) Subject to compliance by the Village with certain covenants,

More information

Annual Submission of the Comprehensive Annual Financial Report (CAFR)

Annual Submission of the Comprehensive Annual Financial Report (CAFR) Roseville City School District Continuing Disclosure Policy Introduction This continuing disclosure policy is established to ensure that the Roseville City School District efficiently carries out its continuing

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

CUSIP Numbers. * Retired as of the date of this report. January 31, 2016

CUSIP Numbers. * Retired as of the date of this report. January 31, 2016 City of Merced Community Facilities District No. 2006-1 (Moraga of Merced) $5,840,000 Special Tax Bonds, Series 2006 Continuing Disclosure Annual Report for Fiscal Year 2014-15 (per SEC Rule 15c2-12(b)(5))

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

Municipal Secondary Market Disclosure Information Cover Sheet

Municipal Secondary Market Disclosure Information Cover Sheet Municipal Secondary Market Disclosure Information Cover Sheet This cover sheet should be sent with all submissions made to the Municipal Securities Rulemaking Board, Nationally Recognized Municipal Securities

More information

RULE 15c2-12FILING COVER SHEET

RULE 15c2-12FILING COVER SHEET RULE 15c2-12FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

$20,370,000 $465, Electric Revenue Refunding Bonds, Series A (Green Bonds)

$20,370,000 $465, Electric Revenue Refunding Bonds, Series A (Green Bonds) NEW ISSUE - FULL BOOK-ENTRY RATING: S & P: AA- See Rating In the opinion of Jones Hall, A Professional Law Corporation, San Francisco, California, Bond Counsel, subject, however to certain qualifications

More information

We recommend that you begin accumulating electronic copies of your documents from the various professionals involved in preparing them.

We recommend that you begin accumulating electronic copies of your documents from the various professionals involved in preparing them. THESE QUESTIONS AND ANSWERS ARE GIVEN SOLELY AS A GUIDE TO UNDERSTAND THE MECHANICS OF THE DISCLOSUREUSA SYSTEM AND PROVIDE BASIC INFORMATION REGARDING CONTINUING DISCLOSURE IN THE MUNICIPAL SECURITIES

More information

County of El Dorado CFD Series 1999 and 2004 Special Tax Bonds. Continuing Disclosure Annual Report. Fiscal Year Ending: June 30, 2011

County of El Dorado CFD Series 1999 and 2004 Special Tax Bonds. Continuing Disclosure Annual Report. Fiscal Year Ending: June 30, 2011 County of El Dorado CFD 1992-1 Series 1999 and 2004 Special Tax Bonds Continuing Disclosure Annual Report Fiscal Year Ending: June 30, 2011 Main Office 32605 Temecula Parkway, Suite 100 Temecula, CA 92592

More information

CONTINUING DISCLOSURE CERTIFICATE

CONTINUING DISCLOSURE CERTIFICATE CONTINUING DISCLOSURE CERTIFICATE THIS CONTINUING DISCLOSURE CERTIFICATE ("Disclosure Certificate") is executed and delivered by Citizens Property Insurance Corporation (the "Issuer") in connection with

More information

2015 CliftonLarsonAllen LLP CliftonLarsonAllen LLP. EMMA Requirements. CLAconnect.com

2015 CliftonLarsonAllen LLP CliftonLarsonAllen LLP. EMMA Requirements. CLAconnect.com 2015 CliftonLarsonAllen LLP EMMA Requirements CLAconnect.com Learning Objectives This session will provide a brief overview of the following: Municipal Securities Rulemaking Board (MSRB) Electronic Municipal

More information

FIRST FLORIDA GOVERNMENTAL FINANCING COMMISSION

FIRST FLORIDA GOVERNMENTAL FINANCING COMMISSION Issuer: First Florida Governmental Financing Commission Bond Issue: Series 2012, Series 2014 Issuer's Filing Reference Number: 2017-001 Filing Date: February 7, 2017 Information Available on Issuer's Web

More information

Bonds means the bonds as listed on the attached Exhibit A, with the 9-digit CUSIP numbers relating thereto.

Bonds means the bonds as listed on the attached Exhibit A, with the 9-digit CUSIP numbers relating thereto. DISCLOSURE DISSEMINATION AGENT AGREEMENT This Disclosure Dissemination Agent Agreement (the Disclosure Agreement ), dated as of [1], 20, is executed and delivered by [2] (the Issuer ) and Digital Assurance

More information

CENTENNIAL SCHOOL DISTRICT ADOPTED:

CENTENNIAL SCHOOL DISTRICT ADOPTED: No. 623 CENTENNIAL SCHOOL DISTRICT SECTION: TITLE: ADOPTED: REVISED: FINANCE POST-ISSUANCE COMPLIANCE 623. POST-ISSUANCE COMPLIANCE Purpose This Policy is designed to monitor post-issuance compliance of

More information

For more than 25 years, the Municipal Securities Rulemaking Board (MSRB) has led the effort to provide

For more than 25 years, the Municipal Securities Rulemaking Board (MSRB) has led the effort to provide Facilitating Disclosure: A 25-Year History of Providing Municipal Market Transparency For more than 25 years, the Municipal Securities Rulemaking Board (MSRB) has led the effort to provide investors and

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

NEW JERSEY ENVIRONMENTAL INFRASTRUCTURE TRUST POLICY AND PROCEDURE. Compliance with Rule 15c2-12 for all outstanding and new bond issues

NEW JERSEY ENVIRONMENTAL INFRASTRUCTURE TRUST POLICY AND PROCEDURE. Compliance with Rule 15c2-12 for all outstanding and new bond issues NEW JERSEY ENVIRONMENTAL INFRASTRUCTURE TRUST POLICY AND PROCEDURE NO. SUBJECT: POLICY: 1.24 Secondary Market Disclosure Compliance Policies Continuing Disclosure Requirements Compliance with Rule 15c2-12

More information

Chapter 802 CDX Index Untranched CDS Contracts: Part A

Chapter 802 CDX Index Untranched CDS Contracts: Part A Chapter 802 CDX Index Untranched CDS Contracts: Part A This Part A shall only be used in connection with 2014 Definitions Transactions 80201.A. SCOPE OF CHAPTER This Chapter 802: Part A sets forth the

More information

City of Oakland. Utility Underground Assessment District No Piedmont Pines Phase I. Continuing Disclosure Annual Report

City of Oakland. Utility Underground Assessment District No Piedmont Pines Phase I. Continuing Disclosure Annual Report City of Oakland Utility Underground Assessment District No. 2007-232 Piedmont Pines Phase I Continuing Disclosure Annual Report Fiscal Year Ended: June 30, 2014 Main Office 32605 Temecula Parkway, Suite

More information

The Board of Regents for the Oklahoma Agricultural and Mechanical Colleges. Debt Issuance and Management Guidelines

The Board of Regents for the Oklahoma Agricultural and Mechanical Colleges. Debt Issuance and Management Guidelines The Board of Regents for the Oklahoma Agricultural and Mechanical Colleges Debt Issuance and Management Guidelines November 2011 TABLE OF CONTENTS Project Planning / Identification of Potential Funding

More information

NOTICE OF SALE DATED MARCH 24, 2017

NOTICE OF SALE DATED MARCH 24, 2017 Banking & Advisory Group NOTICE OF SALE DATED MARCH 24, 2017 TOWN OF CASCO, MAINE $3,440,000 2017 GENERAL OBLIGATION BONDS SEALED PROPOSALS will be received by the Town of Casco, Maine at the office of

More information

Regulatory Notice 10-41

Regulatory Notice 10-41 Regulatory Notice 10-41 Municipal Securities FINRA Reminds Firms of Their Sales Practice and Due Diligence Obligations When Selling Municipal Securities in the Secondary Market Executive Summary Brokers,

More information

$114,995,000 MIDLAND COUNTY HOSPITAL DISTRICT OF MIDLAND COUNTY, TEXAS

$114,995,000 MIDLAND COUNTY HOSPITAL DISTRICT OF MIDLAND COUNTY, TEXAS NEW ISSUE - Book-Entry-Only OFFICIAL STATEMENT Dated August 18, 2009 RATINGS: Fitch: AA Moody s: A1 (see OTHER INFORMATION - Ratings herein) In the opinion of Bond Counsel, assuming continuing compliance

More information

CUSIP Numbers. * Retired as of the date of this report. January 31, 2016

CUSIP Numbers. * Retired as of the date of this report. January 31, 2016 Improvement Area No. 1 of the City of Merced Community Facilities District No. 2005-1 (Bellevue Ranch West) $7,410,000 Special Tax Bonds, Series 2006 Continuing Disclosure Annual Report for Fiscal Year

More information

MATERIAL EVENT NOTICE COVER SHEET

MATERIAL EVENT NOTICE COVER SHEET MATERIAL EVENT NOTICE COVER SHEET This cover sheet and material event notice should be sent to the Municipal Securities Rulemaking Board pursuant to Securities and Exchange Commission Rule 15c2-12(b)(5)(i)(C)

More information

Davenport & Company, LLC. See ("Rating" herein)

Davenport & Company, LLC. See (Rating herein) NEW ISSUE - BOOK ENTRY ONLY RATING: Fitch: BBB See ("Rating" herein) In the opinion of Christian & Barton, L.L.P., Bond Counsel, under existing law (i) assuming continuing compliance with certain covenants

More information

FULLERTON SCHOOL DISTRICT FINANCING AUTHORITY

FULLERTON SCHOOL DISTRICT FINANCING AUTHORITY NEW ISSUE FULL BOOK-ENTRY RATINGS: Series A Bonds S&P: AA- (Insured Bonds Only) Series A Bonds S&P: A (Underlying) Series B Bonds Not Rated (See MISCELLANEOUS Ratings herein) In the opinion of Stradling

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

CLARK COUNTY WATER RECLAMATION DISTRICT

CLARK COUNTY WATER RECLAMATION DISTRICT CLARK COUNTY WATER RECLAMATION DISTRICT $47,170,000 GENERAL OBLIGATION REFUNDING BONDS, SERIES 2003 $55,000,000 GENERAL OBLIGATION WATER RECLAMATION BONDS, SERIES 2007 $115,825,000 GENERAL OBLIGATION WATER

More information

Solvang School District

Solvang School District Solvang School District Continuing Disclosure Filing For the Period Ending June 30, 2014 Prepared by Solvang School District 565 Atterdag Road Solvang, CA 93463 Table of Contents A. Introduction... 1 B.

More information

Debt Compliance Procedures School District of Palm Beach County, FL

Debt Compliance Procedures School District of Palm Beach County, FL Debt Compliance Procedures School District of Palm Beach County, FL as of October 30, 2015 Contents Purpose... 2 Debt Management... 2 Responsible Parties... 2 Debt Issuance... 3 Use of Debt Proceeds...

More information

CITY OF HARTFORD, CONNECTICUT $71,280,000 GENERAL OBLIGATION BONDS Consisting of: $50,000,000 General Obligation Bonds

CITY OF HARTFORD, CONNECTICUT $71,280,000 GENERAL OBLIGATION BONDS Consisting of: $50,000,000 General Obligation Bonds Refunding Issue/New Issue Book-Entry-Only OFFICIAL STATEMENT DATED MARCH 22, 2012 Ratings: (See Ratings herein) In the opinion of Bond Counsel, based on existing statutes and court decisions and assuming

More information

CLARK COUNTY WATER RECLAMATION DISTRICT Clark County, Nevada

CLARK COUNTY WATER RECLAMATION DISTRICT Clark County, Nevada CLARK COUNTY WATER RECLAMATION DISTRICT Clark County, Nevada $55,000,000 GENERAL OBLIGATION WATER RECLAMATION BONDS, SERIES 2007 DATED: NOVEMBER 13, 2007 BASE CUSIP : 181070 $135,000,000 GENERAL OBLIGATION

More information

focus on ongoing compliance issues relating to outstanding indebtedness.

focus on ongoing compliance issues relating to outstanding indebtedness. BEYOND THE CLOSING A Guide to Post-Issuance Compliance Presented by: Womble Carlyle Sandridge & Rice, PLLC Paul H. Billow G. Thomas Lee Activities relating to a bond issue do not end at closing. This presentation

More information

City Securities Corporation

City Securities Corporation NEW ISSUE--BOOK-ENTRY ONLY RATINGS: Moody s: Aaa Standard & Poor s: AA+ See RATINGS herein. In the opinion of Ice Miller LLP, Bond Counsel, conditioned on continuing compliance with the Tax Covenants (as

More information

Rule 15c2-12 Whitepaper

Rule 15c2-12 Whitepaper Rule 15c2-12 Whitepaper April 2016 OVERVIEW This Rule 15c2-12 Whitepaper has been prepared by the Securities Industry and Financial Markets Association ( SIFMA ) to offer a current perspective on the existing

More information

TAX-EXEMPT FINANCING COMPLIANCE PROCEDURE

TAX-EXEMPT FINANCING COMPLIANCE PROCEDURE Governmental issuers are welcome to use these model procedures as they develop their own set of written tax compliance procedures. However please keep in mind that any model document may not be appropriate

More information

Continuing Disclosure Annual Report. Fiscal Year Ended: June 30, 2013

Continuing Disclosure Annual Report. Fiscal Year Ended: June 30, 2013 Alameda Public Financing Authority Local Agency Refunding Revenue Bonds (Harbor Bay CFD And Marina Village AD) Series 2010A and Subordinate Series 2010B Continuing Disclosure Annual Report Fiscal Year

More information

POST-ISSUANCE COMPLIANCE: HOW TO AVOID SEC AND IRS PROBLEMS

POST-ISSUANCE COMPLIANCE: HOW TO AVOID SEC AND IRS PROBLEMS POST-ISSUANCE COMPLIANCE: HOW TO AVOID SEC AND IRS PROBLEMS Illinois Community College Chief Financial Officers October 17, 2013 Presented by: William L. Hirata, Esq., General Counsel Learning Objectives

More information

MISSOURI STATE UNIVERSITY TAX-ADVANTAGED BONDS COMPLIANCE PROCEDURE. Dated as of May 15, 2013

MISSOURI STATE UNIVERSITY TAX-ADVANTAGED BONDS COMPLIANCE PROCEDURE. Dated as of May 15, 2013 G8.08 MISSOURI STATE UNIVERSITY TAX-ADVANTAGED BONDS COMPLIANCE PROCEDURE Dated as of May 15, 2013 May 15, 2013 TAX-ADVANTAGED BOND COMPLIANCE PROCEDURE TABLE OF CONTENTS ARTICLE I DEFINITIONS Section

More information

Municipal Market Disclosure Information Cover Sheet

Municipal Market Disclosure Information Cover Sheet Municipal Market Disclosure Information Cover Sheet This Filing Applies to: 1. Township of Montclair, In the County of Essex, New Jersey, Notes, $28,478,200 Consisting of: Bond Anticipation Note, $18,638,000,

More information

OFFICIAL STATEMENT. Rating: Standard & Poor s: A+ Due. Interest Rate Yield CUSIPs 2017 $ 385, % 0.70% AU $ 250, % 2.

OFFICIAL STATEMENT. Rating: Standard & Poor s: A+ Due. Interest Rate Yield CUSIPs 2017 $ 385, % 0.70% AU $ 250, % 2. NEW ISSUE Book-Entry-Only OFFICIAL STATEMENT Rating: Standard & Poor s: A+ (See MISCELLANEOUS-Rating ) In the opinion of Bond Counsel, based on existing law and assuming compliance with certain tax covenants

More information

RULE 15c2-12FILING COVER SHEET

RULE 15c2-12FILING COVER SHEET RULE 15c2-12FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

NOVA SCOTIA MUNICIPAL FINANCE CORPORATION

NOVA SCOTIA MUNICIPAL FINANCE CORPORATION Financial Statements of NOVA SCOTIA MUNICIPAL FINANCE CORPORATION INDEPENDENT AUDITORS' REPORT To the Directors of Nova Scotia Municipal Finance Corporation We have audited the accompanying financial statements

More information

Continuing Disclosure Policy Best Practices. Andrew C. Maher, Esq.

Continuing Disclosure Policy Best Practices. Andrew C. Maher, Esq. Continuing Disclosure Policy Best Practices Andrew C. Maher, Esq. Topics Covered in this Presentation: Primary Offering Disclosure Continuing Disclosure Agreements Continuing Disclosure Policies and Procedures

More information

Long-Term Care/Senior Living Debt

Long-Term Care/Senior Living Debt Long-Term Care/Senior Living Debt The following template derives from NFMA Recommended Guidelines on Operating Data. This constitutes a capsule summary of the operating data and utilization statistics

More information

$25,000,000 Limited Obligation Bonds (City of Asheville, North Carolina) Series 2017

$25,000,000 Limited Obligation Bonds (City of Asheville, North Carolina) Series 2017 New Issue/Book-Entry-Only $25,000,000 Limited Obligation Bonds (City of Asheville, North Carolina) Series 2017 Ratings: Moody s: Aa1 S&P: AA+ (See RATINGS herein) Dated: Date of Delivery Due: October 1,

More information

DMMS TECHNICAL INSTRUCTION MANUAL

DMMS TECHNICAL INSTRUCTION MANUAL Payment Systems & Business Technology Domestic Money Monitoring System DMMS TECHNICAL INSTRUCTION MANUAL DMMS Instruction Manual. Ver004 Page 1 Identifier: Revision: Effective Date: Last Update Date: DMMS.001

More information

Mortgage Bankers Financial Reporting Form

Mortgage Bankers Financial Reporting Form Mortgage Bankers Financial Reporting Form Fannie Mae Form 1002 / Freddie Mac Form 1055 Ginnie Mae Form HUD 11750 Reporting Period: Second Quarter 2016 Data for the Period Ending: This form was generated

More information

The Seven Hobbits of Continuing Disclosure

The Seven Hobbits of Continuing Disclosure The Seven Hobbits of Continuing Disclosure Best Practices and Example Filings Presentation by: Erika Miller, Assistant Vice President Sandra Park, Assistant Vice President July 19, 2012 TABLE OF CONTENTS

More information

ANNUAL REPORT CITY OF NORTH LAS VEGAS, NEVADA FINANCIAL INFORMATION AND OPERATING DATA PURSUANT TO AMENDED SEC RULE 15C2-12 AS OF JUNE 30, 2006

ANNUAL REPORT CITY OF NORTH LAS VEGAS, NEVADA FINANCIAL INFORMATION AND OPERATING DATA PURSUANT TO AMENDED SEC RULE 15C2-12 AS OF JUNE 30, 2006 CITY OF NORTH LAS VEGAS, NEVADA ANNUAL REPORT FINANCIAL INFORMATION AND OPERATING DATA PURSUANT TO AMENDED SEC RULE 15C2-12 AS OF JUNE 30, 2006 PREPARED BY: CITY OF NORTH LAS VEGAS, NEVADA 2200 Civic Center

More information

MATURITY SCHEDULE (See inside cover)

MATURITY SCHEDULE (See inside cover) NEW ISSUE BOOK-ENTRY ONLY RATING: SERIES B BONDS: S&P : BBB SERIES C BONDS: UNRATED In the opinion of Best Best & Krieger LLP, San Diego, California, Bond Counsel, subject to certain qualifications described

More information

Post-Issuance Compliance Policy For Tax-Exempt and Tax-Credit Bonds

Post-Issuance Compliance Policy For Tax-Exempt and Tax-Credit Bonds Policy V. 4.15.1 Responsible Official: Vice President for Finance and Treasurer Effective Date: January 6, 2015 Post-Issuance Compliance Policy Policy Statement It is the University s policy to comply

More information

City of Highland, Utah

City of Highland, Utah Supplemental Continuing Disclosure Memorandum Summary of Debt Structure and Financial Information SEC Rule 15c2 12 For City of Highland, Utah Filed with Electronic Municipal Market Access ( EMMA ) emma.msrb.org

More information

QUESTIONS AND ANSWERS ABOUT THE SEC's NEW MUNICIPAL DISCLOSURE RULES. JONES HALL, A Professional Law Corporation

QUESTIONS AND ANSWERS ABOUT THE SEC's NEW MUNICIPAL DISCLOSURE RULES. JONES HALL, A Professional Law Corporation QUESTIONS AND ANSWERS ABOUT THE SEC's NEW MUNICIPAL DISCLOSURE RULES JONES HALL, A Professional Law Corporation This memorandum provides an overview of the obligations imposed on municipal issuers as a

More information

INVITATION TO OFFER BONDS. made by the CONNECTICUT STUDENT LOAN FOUNDATION

INVITATION TO OFFER BONDS. made by the CONNECTICUT STUDENT LOAN FOUNDATION EXECUTION COPY INVITATION TO OFFER BONDS made by the CONNECTICUT STUDENT LOAN FOUNDATION The Foundation invites its Bondowners to offer to sell to the Foundation for cash the AUCTION RATE BONDS of the

More information

SEC c2-12 Municipal Securities Disclosure Including Ongoing Tax-Exempt Bond Disclosure

SEC c2-12 Municipal Securities Disclosure Including Ongoing Tax-Exempt Bond Disclosure SEC 240.15c2-12 Municipal Securities Disclosure Including Ongoing Tax-Exempt Bond Disclosure 240.15c2-12 Municipal securities disclosure. Preliminary Note: For a discussion of disclosure obligations relating

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

Cupertino Union School District

Cupertino Union School District Cupertino Union School District Continuing Disclosure Annual Report Fiscal Year Ended June 30, 2015 Cupertino Union School District 10301 Vista Drive Cupertino, California 95014 Disseminated by: Keygent

More information

Disclosure Update. 112 th Annual Conference. Gregg L. Bienstock. Ed Fierro. Peg Henry. Ethan Klos. 2:00 3:15 May 8, 2018 Ferrara Theater

Disclosure Update. 112 th Annual Conference. Gregg L. Bienstock. Ed Fierro. Peg Henry. Ethan Klos. 2:00 3:15 May 8, 2018 Ferrara Theater 2:00 3:15 May 8, 2018 Ferrara Theater 112 th Annual Conference May 6-9, 2018 St. Louis, Missouri Moderator/Speakers: Gregg L. Bienstock CEO and Co-Founder, Lumesis, Inc. Ed Fierro Senior Counsel, Bracewell

More information

CONTINUING DISCLOSURE ANNUAL REPORT

CONTINUING DISCLOSURE ANNUAL REPORT CONTINUING DISCLOSURE ANNUAL REPORT FISCAL YEAR ENDING JUNE 30, 2009 IN CONNECTION WITH THE CONTINUING DISCLOSURE OBLIGATIONS: $29,999,445.15 BUTTE-GLENN COMMUNITY COLLEGE DISTRICT (Butte and Glenn Counties,

More information

OFFICE LOCATIONS: Temecula Corporate Headquarters Temecula Parkway, Suite 100 Temecula, CA 92592

OFFICE LOCATIONS: Temecula Corporate Headquarters Temecula Parkway, Suite 100 Temecula, CA 92592 Local Agency Refunding Revenue Bonds (Harbor Bay CFD And Marina Village AD) Series 2010A and Subordinate Series 2010B Continuing Disclosure Annual Report Fiscal Year Ended June 30, 2017 OFFICE LOCATIONS:

More information

In re Caesars Entertainment Operating Company, Inc., et al. (Chapter 11 Case No )

In re Caesars Entertainment Operating Company, Inc., et al. (Chapter 11 Case No ) In re Caesars Entertainment Operating Company, Inc., et al. (Chapter 11 Case No. 15-01145) NOTICE OF DISTRIBUTION TO HOLDERS OF THE FOLLOWING: 11.25% due 2017 (Cusips 413627BL3, 413622AA9) 11.25% due 2017

More information

OFFICIAL STATEMENT. New Money/Refunding Issue - Book-Entry Only. Dated: Date of Delivery

OFFICIAL STATEMENT. New Money/Refunding Issue - Book-Entry Only. Dated: Date of Delivery New Money/Refunding Issue - Book-Entry Only OFFICIAL STATEMENT Ratings: Moody s Aa3 S &P AA- See RATINGS herein In the opinion of Bond Counsel, under existing law and assuming continuous compliance by

More information

ANNUAL FINANCIAL INFORMATION for the Fiscal Year Ended June 30, Relating to:

ANNUAL FINANCIAL INFORMATION for the Fiscal Year Ended June 30, Relating to: ANNUAL FINANCIAL INFORMATION for the Fiscal Year Ended June 30, 2016 Relating to: DEPARTMENT OF AIRPORTS OF THE CITY OF LOS ANGELES (LOS ANGELES INTERNATIONAL AIRPORT) $602,075,000 Senior Revenue Bonds

More information

Cayucos Elementary School District

Cayucos Elementary School District Cayucos Elementary School District Continuing Disclosure Filing For the Period Ending June 30, 2014 Prepared by Cayucos Elementary School District 301 Cayucos Drive Cayucos, CA 93430 Table of Contents

More information

Consent Solicitation Statement Level 3 Communications, Inc. Level 3 Financing, Inc.

Consent Solicitation Statement Level 3 Communications, Inc. Level 3 Financing, Inc. Consent Solicitation Statement Level 3 Communications, Inc. Level 3 Financing, Inc. Solicitation of Consents Relating to Level 3 Communications, Inc. s 5.750% Senior Notes due 2022 (CUSIP No. 52729N BX7)

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

Rule 15c2-12 Disclosure

Rule 15c2-12 Disclosure Issuer: Sunshine State Governmental Financing Commission Municipal Secondary Market Disclosure Municipal Securies Rulemaking Board Electronic Municipal Market Access 1300 I Street NW, Suite 1000 Washington,

More information

SUPPLEMENT DATED DECEMBER 20, 2017 TO OFFICIAL STATEMENT DATED DECEMBER 19, relating to the

SUPPLEMENT DATED DECEMBER 20, 2017 TO OFFICIAL STATEMENT DATED DECEMBER 19, relating to the SUPPLEMENT DATED DECEMBER 20, 2017 TO OFFICIAL STATEMENT DATED DECEMBER 19, 2017 relating to the $14,035,000 City of Sunnyvale Wastewater Revenue Refunding Bonds, Series 2017A $10,585,000 City of Sunnyvale

More information

CONTINUING DISCLOSURE What am I continuing to disclose and who is EMMA?

CONTINUING DISCLOSURE What am I continuing to disclose and who is EMMA? CONTINUING DISCLOSURE What am I continuing to disclose and who is EMMA? Ohio GFOA Annual Conference & Membership Meeting September 21-23, 2016 Jennifer Blaser & Diana Silveira, Dinsmore & Shohl LLP TABLE

More information

NEW ISSUE BOOK-ENTRY ONLY INSURED RATING:

NEW ISSUE BOOK-ENTRY ONLY INSURED RATING: NEW ISSUE BOOK-ENTRY ONLY INSURED RATING: UNDERLYING RATING: Standard & Poor s: AA Standard & Poor s: A (See RATINGS. ) In the opinion of Goodwin Procter LLP, Los Angeles, California, Special Counsel,

More information

$41,745,000 ADAMS 12 FIVE STAR SCHOOLS ADAMS COUNTY AND CITY AND COUNTY OF BROOMFIELD, COLORADO General Obligation Refunding Bonds, Series 2005B

$41,745,000 ADAMS 12 FIVE STAR SCHOOLS ADAMS COUNTY AND CITY AND COUNTY OF BROOMFIELD, COLORADO General Obligation Refunding Bonds, Series 2005B NEW ISSUE BOOK-ENTRY-ONLY INSURED RATINGS: Moodys Aaa Standard & Poors AAA STATE INTERCEPT RATINGS: Moodys Aa3 Standard & Poors AA- UNDERLYING RATINGS: Moodys Aa3 Standard & Poors AA- INSURANCE: FINANCIAL

More information

ANNUAL REPORT CITY OF NORTH LAS VEGAS, NEVADA FINANCIAL INFORMATION AND OPERATING DATA PURSUANT TO AMENDED SEC RULE 15C2-12 AS OF JUNE 30, 2008

ANNUAL REPORT CITY OF NORTH LAS VEGAS, NEVADA FINANCIAL INFORMATION AND OPERATING DATA PURSUANT TO AMENDED SEC RULE 15C2-12 AS OF JUNE 30, 2008 CITY OF NORTH LAS VEGAS, NEVADA ANNUAL REPORT FINANCIAL INFORMATION AND OPERATING DATA PURSUANT TO AMENDED SEC RULE 15C2-12 AS OF JUNE 30, 2008 PREPARED BY: CITY OF NORTH LAS VEGAS, NEVADA 2200 Civic Center

More information

Finance Officers of North Carolina Local Governments and Public Authorities

Finance Officers of North Carolina Local Governments and Public Authorities NORTH CAROLINA DEPARTMENT OF STATE TREASURER STATE AND LOCAL GOVERNMENT FINANCE DIVISION AND THE LOCAL GOVERNMENT COMMISSION JANET COWELL TREASURER T. VANCE HOLLOMAN DEPUTY TREASURER Memorandum #2015-07

More information

Municipal Securities Rulemaking Board

Municipal Securities Rulemaking Board Municipal Securities Rulemaking Board Justin Pica Director, Uniform Practice Policy CDFA The Advanced Bond Finance Course Washington, DC January 29-30, 2009 MSRB in a Nutshell SRO for broker-dealers and

More information

Tax-Exempt Financing for Wyoming Municipalities

Tax-Exempt Financing for Wyoming Municipalities Tax-Exempt Financing for Wyoming Municipalities Fred Marienthal Partner Ryan Jardine Partner November 2, 2017 1 Tax-Exempt for Whom? Tax-Exempt financing benefits a municipality as it is able to borrow

More information

(-J. MQ Gateway Trust. Financial Report ARSN MACQUARIE. For the year ended 30 June 2011

(-J. MQ Gateway Trust. Financial Report ARSN MACQUARIE. For the year ended 30 June 2011 (-J MACQUARIE MQ Gateway Trust Financial Report ARSN 123 784 930 The Responsible Entity of MQ Gateway Trust is MQ Portfolio Management Limited (ACN 092 552 611) The Responsible Entity's registered office

More information

Maine Educational Loan Authority MELA Statement of Net Assets September 30, 2011 LIABILITIES AND NET ASSETS

Maine Educational Loan Authority MELA Statement of Net Assets September 30, 2011 LIABILITIES AND NET ASSETS Maine Educational Loan Authority MELA Statement of Net Assets September 30, 2011 UNAUDITED 11/14/2011 15:20 ASSETS LIABILITIES AND NET ASSETS CURRENT ASSETS CURRENT LIABILITIES 1 Cash & Cash Equivalents

More information

POST ISSUANCE COMPLIANCE FOR GOVERNMENTAL BONDS

POST ISSUANCE COMPLIANCE FOR GOVERNMENTAL BONDS POST ISSUANCE COMPLIANCE FOR GOVERNMENTAL BONDS Policy No. 6050 Scope. This Post Issuance Compliance Policy addresses the Issuer s compliance with federal tax, federal securities and state law requirements

More information

Post-Issuance Compliance Policy for Tax-Exempt and Tax-Advantaged Obligations and Continuing Disclosure. Adopted:, 20

Post-Issuance Compliance Policy for Tax-Exempt and Tax-Advantaged Obligations and Continuing Disclosure. Adopted:, 20 Post-Issuance Compliance Policy for Tax-Exempt and Tax-Advantaged Obligations and Continuing Disclosure Adopted:, 20 Statement of Purpose This Post-Issuance Compliance Policy (the "Policy") sets forth

More information

DEBT SCHEDULES. Total $1,300,000,000

DEBT SCHEDULES. Total $1,300,000,000 American Electric Power, Inc Interest Maturity CUSIP / PPN* Amount Senior Notes, Series G 2.150% 11/13/2020 025537AH4 $500,000,000 Senior Notes, Series H 3.200% 11/13/2027 025537AJ0 $500,000,000 Senior

More information

$437,025,000 City of Aurora, Colorado acting by and through its Utility Enterprise First-Lien Water Refunding Revenue Bonds, Series 2016 (Green Bonds)

$437,025,000 City of Aurora, Colorado acting by and through its Utility Enterprise First-Lien Water Refunding Revenue Bonds, Series 2016 (Green Bonds) NEW ISSUE BOOK-ENTRY-ONLY RATINGS (See RATINGS ): S&P: AA+ Fitch: AA+ In the opinion of Kutak Rock LLP, Bond Counsel, under existing laws, regulations, rulings and judicial decisions and assuming the accuracy

More information

Austin Independent School District

Austin Independent School District Tab 1 Contact Information Tab 2 Summary of Debt Obligations Tab 3 Individual Debt Obligations Tab 4 Additional Notes Tab 5 Optional Reporting Tab 6 Instructions and Glossary End of Worksheet Per House

More information

2011/12 Annual Report. Western Municipal Water District Community Facilities District No December 2011

2011/12 Annual Report. Western Municipal Water District Community Facilities District No December 2011 2011/12 Annual Report Western Municipal Water District Community Facilities District No. 99-1 December 2011 Main Office 32605 Temecula Parkway, Suite 100 Temecula, CA 92592 Toll free: 800.676.7516 Fax:

More information

Tariff Revisions to Accommodate California Department of Water Resources (DWR) Bond-Related Costs

Tariff Revisions to Accommodate California Department of Water Resources (DWR) Bond-Related Costs December 4, 2002 Advice 2315-E (Pacific Gas and Electric Company ID U 39 E) Public Utilities Commission of the State of California Subject: Tariff Revisions to Accommodate California Department of Water

More information

Rule 15c2-12 Filing Cover Sheet. Filing Format: electronic paper; If available on the Internet, give URL:

Rule 15c2-12 Filing Cover Sheet. Filing Format: electronic paper; If available on the Internet, give URL: Rule 15c2-12 Filing Cover Sheet Issuer Name: City of League City, Texas 300 West Walker League City, Texas 77573 Issues: League City, Texas (see attached summary) Filing Format: electronic paper; If available

More information

SUMMARY: The Securities and Exchange Commission ( Commission ) is adopting

SUMMARY: The Securities and Exchange Commission ( Commission ) is adopting SECURITIES AND EXCHANGE COMMISSION 17 CFR Part 240 [Release No. 34-59062; File No. S7-21-08] RIN 3235-AK20 Amendment to Municipal Securities Disclosure AGENCY: Securities and Exchange Commission. ACTION:

More information

SuperStream Alternative File Format (SAFF)

SuperStream Alternative File Format (SAFF) SuperStream Alternative File Format (SAFF) Supplementary information for creating contributions data - Accumulation data only This document contains additional information about creating contributions

More information

New Municipal Advisor Rules and Continuing Disclosure Initiative

New Municipal Advisor Rules and Continuing Disclosure Initiative A Newsletter from Shumaker, Loop & Kendrick, LLP Fall 2014 New Municipal Advisor Rules and Continuing Disclosure Initiative I n an era of increased scrutiny and regulation of the municipal market, the

More information

MQ Gateway Trust (ARSN ) Interim report - for the half-year ended 31 December 2008

MQ Gateway Trust (ARSN ) Interim report - for the half-year ended 31 December 2008 (ARSN 123 784 930) Interim report - for the half-year ended MQ Portfolio Management Limited ACN 092 552 611 (Responsible Entity of MQ Gateway Trust ("Trust" ARSN 123 784 930) is a wholly owned subsidiary

More information

Committee on Payments and Market Infrastructures

Committee on Payments and Market Infrastructures Committee on Payments and Market Infrastructures Outline of the new structure of statistical tables Statistics on payments and financial market infrastructures in the CPMI countries (Red Book statistics)

More information

Small Business Enrollment Spreadsheet Guide

Small Business Enrollment Spreadsheet Guide Small Business Enrollment Spreadsheet Guide June 2018 Table of contents Introduction... 2 How the Enrollment Spreadsheet enrollment works and benefits of use... 2 When may the Enrollment Spreadsheet be

More information

NEW ISSUE BOOK-ENTRY ONLY INSURED RATING: S&P: AAA

NEW ISSUE BOOK-ENTRY ONLY INSURED RATING: S&P: AAA NEW ISSUE BOOK-ENTRY ONLY INSURED RATING: S&P: AAA (See RATING. ) In the opinion of Goodwin Procter LLP, Bond Counsel, based upon an analysis of existing laws, regulations, rulings, and court decisions,

More information