Illegal Activity
none
Blackmail
none
Date
1/20/2017
Document Type
other
Model
gemini-2.0-flash-001
Processed
2026-02-07T18:41
Summary
This document presents indicative returns for selected municipal bonds as of January 20, 2017. It includes information on bond yields, prices, ratings, and maturity dates for various municipal bonds, intended for key client partners and US institutional investors.
Metadata
- Subject
- Indicative NB Returns for Selected Muni Bonds
- Sender
- —
- Recipients
- —
- Document ID
- DB-SDNY-0068131
- Date
- 1/20/2017
Relationships 1
| Entity 1 | Relationship | Entity 2 | Description |
|---|---|---|---|
| Class A Rate | financial | LIBOR swaps | Class A Rate is calculated as a spread to LIBOR swaps |
Financial Information
Amounts:3.50%4.23%112.929%77.50%6.75%4.71%104.045%75.00%8.35%3.71%102.309%80.00%4.55%3.83%109.600%77.50%4.98%4.17%106.651%77.50%6.49%6.04%99.524%75.00%13.66%
Assets:
- Muni Bonds
Raw Analysis JSON
click to expand
Themes
Financial transactions/money flow
Organizations 3
Deutsche BankS&PMoody's
Locations 3
AlabamaChicagoO'Hare Intl Arpt
Financial Entities 1
LIBOR
Text Analysis
- Tone
- Informative
- Purpose
- To provide indicative returns for selected municipal bonds to key client partners and US institutional investors.
- Significance
- This document provides financial information about municipal bonds, including their yields, prices, and ratings.
File Info
- File Name
- EFTA01373774.txt
- Dataset
- dataset_10
- Type
- Text
- Model
- gemini-2.0-flash-001
- Processed
- 2026-02-07T18:41:22.465041
- DOJ Source
- View on DOJ