Below are EBMUD’s Official Statements and Remarketing Memoranda for financings issued during the current and previous fiscal year.
The information is current only as of the date it was published. The availability of any Official Statement or Remarketing Memorandum on this website should not be taken to mean that there has been no change since it was published. For example, portions of the obligations may have been refunded and are no longer outstanding, or information may be out-of-date. Updates may be published under various circumstances, particularly for variable rate debt.
Additional information may be found on the Municipal Securities Rulemaking Board’s Electronic Municipal Market Access (EMMA) website. Searching by CUSIP number is the easiest way to find information on the EMMA website. The base CUSIP numbers for the District’s debt are:
- Water System Revenue Bonds – 271014
- Water System Commercial Paper – 27102R, 27102T
- Wastewater System Revenue Bonds – 271012
- Wastewater System General Obligation Bonds – 271011
- Wastewater System Commercial Paper – 27102C
FY 2019 (July 1, 2018 - June 30, 2019)
|Water System Revenue Bonds, Series 2019A (Green Bonds)||3.8 MB|
FY 2017 (July 1, 2016 - June 30, 2017)
FY 2016 (July 1, 2015 - June 30, 2016)
|Commercial Paper Notes (Water Series), Subseries A-1 and A-2 (November 25, 2015)||1.4 MB|
FY 2015 (July 1, 2014 - June 30, 2015)
For more information please contact Sam Feldman-Crough, EBMUD Debt Administrator, Samuel.Feldman@ebmud.com, 510-287-0441.