Bonds

Bond Offering

Public Facilities Revenue Bonds, Series 2021A-1

Offering Summary

Bond Details

Retail Order Period Begins
No early retail period
Sale Date
March 9, 2021
Closing Date
March 31, 2021
Method of Sale
Competitive
Bond Type
Fixed Rate
Principal Payment Dates
August 1st
Interest Payment Dates
February 1st and August 1st
Optional Redemption
10-year par call
Expected Structure
Serial maturities 2022-2033
Denominations
$5,000 or integral multiples thereof
Tax Status
Interest on the Bonds is exempt from Federal and Virginia income taxes

Offering Participants

Municipal Advisor

Frasca & Associates, LLC
Frasca & Associates, LLC

Dianne Klaiss

212-355-4050

Bond Counsel

Kaufman & Canoles, P.C.
Kaufman & Canoles, P.C.

Eric E. Ballou

(804) 771-5741

eeballaou@kaufcan.com

Kaufman & Canoles, P.C.
Kaufman & Canoles, P.C.

Megan M. Gilliland

(804) 771-5742

mmgilliland@kaufcan.com

Trustee Bank

The Bank of New York Mellon Trust Company, N.A.
The Bank of New York Mellon Trust Company, N.A.

Kerry Zombeck

(412) 236-5720

kerry.zombeck@bnymellon.com