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HARDYSTON TWP N J BRD ED SCH BDS 02.50000% 08/01/2014
CUSIP 412471CD4 Pay Frequency SEMI-ANNUALLY Coupon 2.500 Maturity Date 08/01/2014 Moody's Rating NR S&P Rating AA Material Events YES Call Protection YES Sinking Fund Protection YES Put Option NO Bond Type Municipal Interest Accrual Date 06/23/2009 Issue Date 06/23/2009 Dated Date 06/23/2009 First Coupon Date 02/01/2010 Next Coupon -- Last Coupon -- Workout Date 08/01/2014 Use of Proceeds PRIM/SECNDRY ED State NJ Insurer -- Federally Taxable NO Subject to Alternative Minimum Tax NO Minimum Investment Qty 5 Incremental Investment Qty 5 Marginable YES Original Issue Discount [OID] -- Pre-Refund NO Escrow to Maturity NO Delivery BOOK ENTRY First Settlement Date 06/23/2009 Bank Qualified YES Original Payment Rate 2.45000 Day Count Basis 30/360 Coupon Type FIXED Current Rate Effective Date 07/08/2009 Reset Frequency -- Benchmark Reference -- Benchmark Formula -- Next Reset Date -- Next Reset Rate -- Minimum Rate -- Maximum Rate -- -


