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Hartford HealthCare Issue, Series 2020 C

Borrower: 
Hartford HealthCare Corporation
Par Amount: 
$11,995,000
Purpose: 

Bond proceeds provided for the partial refunding of Hartford HealthCare 2015 Issue, Series F.  The fixed rate bonds were sold with a date of delivery of April 2, 2020.

Underwriter/Placement Agent: 
Citigroup
Closing Date: 
January 29, 2020
Final Maturity: 
July 1, 2045
Yield: 
3.60%
Anticipated Board Approval: 
Wednesday, December 18, 2019

For further information, search EMMA for this issue.