cityofnewyork-us/quarterly-bond-update-variable-bond-outstanding-xprg-trsi

  • bonds
  • debt service
  • interest rate exchange

Quarterly Bond Update: Variable Bond Outstanding

Quarterly Bond Update: Variable Bond Outstanding

This data set provides information on outstanding New York city bonds, interest rate exchange agreements, and projected debt service on those bonds

Columns

NameSocrata field nameColumn name in sgr mountData typeDescription
ExpirationexpirationexpirationCalendar dateThis column sets forth the date on which the outstanding standy purchase agreement or letter of credit agreement expires; See data dictionary for more details
Data As Ofdata_as_ofdata_as_ofCalendar dateIndicates Report Date for for row-level data.
ProviderproviderproviderTextThis column sets forth the bank that is serving as the liquidity provider for the series of variable rate bonds outstanding at the time the quarterly report is issued
SeriesseriesseriesTextThis column sets forth the series number for the series of variable rate bonds outstanding at the time the quarterly report is issued
Remarketing Agentremarketing_agentremarketing_agentTextThis column sets forth the entity that serves as re-marketing agent for the outstanding variable rate bonds issued in the series; See data dictionary for more details
Outstanding Principal Amountoutstanding_principal_amountoutstanding_principal_amountNumberThis column sets forth the outstanding principal amount for the series of variable rate bonds outstanding at the time the quarterly report is issued
Facility Typefacility_typefacility_typeTextThis column sets forth the type of credit facility that the liquidity provider is using; "SBPA" stands for standby purchase agreement; "LOC" stands for letter of credit; See data dictionary for more details

Upstream Metadata