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HomeMy WebLinkAboutUS Bank 32M021302 Nov 2013 ^15384532W21302 003000312DG5" 00-0-M 053 6-00- 2965-1 3845 0005386-00-02965-01 Page 1 of 5 ACCOUNT NUMBER: 32M021302 CARMEL REDEVELOPMENT DISTRICT TAX INCREMENT REVENUE BONDS OF 1998 (MERCHANTS SQUARE) TAX INCREMENT This statement is for the period from November 1, 2013 to November 30; 2013 Ir11IniIII111111111u111111111 n1 1IIiL111111111111111iiIII1iIi 000003773 1 SP 106451367935528 P QUESTIONS? CITY OF CARMEL ATTN SHARON KIBBE If you have any questions regarding OFFICE OF THE MAYOR your account or this statement. please 1 CIVIC SQUARE contact your Account Manager or Analyst. CARMEL, IN 46032-2584 Account Manager: LOIS MOORE H O-I N-W M 11 10 W MARKET ST SUITE 1.150 INDIANAPOLIS IN 46204 Phone 317-264-2503 E-mail lois.moorel@usbank.com Analyst: SHARADA JOSHI Phone 651-466-6184 40 • 00-0-M -Q-PC -334-01 00389501 3845 EZ1 .,. 0005386-00-02965-01 Page 2 of 5 ACCOUNT NUMBER: 32M021302 CARMEL REDEVELOPMENT DISTRICT TAX INCREMENT REVENUE BONDS OF 1998 (MERCHANTS SQUARE) TAX INCREMENT This statement is for the period from November 1, 2013 to November 30, 2013 • MARKET VALUE SUMMARY Current Period 11101/13 to 11/30/13 Beginning Market Value $1,421,834.56 Ending Market Value $1,421,834.56 MARKET,VALU U M MA RT11A ESSAGES `E No activity qualifies for this statement period. S 1n I5384532MP21302 003000312965- QOO53 -Q-PC 2965-1 00384501 of 5 nit 0005386-00-02965-01 Page 3 of 5 ACCOUNT NUMBER: 32M021302 CARMEL REDEVELOPMENT DISTRICT TAX INCREMENT REVENUE BONDS OF 1998 (MERCHANTS SQUARE) TAX INCREMENT • This statement is for the period from November 1, 2013 to November 30. 2013 •ASSET DETAIL AS OF, I1/30/13 Shares or Market Value/ Tax Cost! % of Total Face Amount Security Description Price Unit Cost Yield at Market Est Ann Inc Cash Equivalents • 1;421,834.560 First Amer US Treas Money Mkt CI Y 1.421,834.56 1,421.834.56 100.0 3.41 31846V534 1.0000 1.00 .00" Total Cash Equivalents $1,421,934.56 $1,421,834.56 100.0 $3.41 Cash Principal Cash -39,543.00 -39.543.00 -2.8 Income Cash 39,543.00 39,543.00 2.8 Total Cash $0.00 $0.00 0.0 • Total Assets $1,421,834.56 $1,421.834.56 100.0 $3.41 ASSET D ETA!j12.MESSAGES Time of trade execution and trading party (if not disclosed) will be provided upon request. Publicly traded assets are valued in accordance with market quotations or valuation methodologies from financial industry services believed by us to be reliable. Assets that are not publicly traded may be reflected at values from other external sources. Assets for which a current value is not available may be reflected at a previous value or as not valued, at par value, or at a nominal value. Values shown do not necessarily reflect prices at which assets could be bought or sold. Values are updated based on internal policy and may be updated less frequently than statement generation. For further information, please contact your Analyst. " The Yield at Market set forth in this statement for any money market fund is based on the interest rate applicable to that money market fund as of the last business day of the statement period only and may not be relied upon as (i) a yield estimate for the statement period as a whole,or (ii) a guarantee of future performance. • 00-0-M -0-PC -334-01 00384501 3845 0 0005386-00-02965-01 Page 4 of 5 ACCOUNT NUMBER: 32M021302 CARMEL REDEVELOPMENT DISTRICT TAX INCREMENT REVENUE BONDS OF 1998 (MERCHANTS SQUARE) TAX INCREMENT This statement is for the period from November 1. 2013 to November 30, 2013 • CASH SUMMARY_, Income Principal Total Cash Cash Cash Beginning Cash Balance as of 11/01/2013 $39,543.00 - $39,543.00 $.00 Ending Cash Balance as of 11/30/2013 $39,543.00 - $39,543.00 $0.00 CASH SUMMARY::MESSAGES No activity qualifies for this statement period. S 1 nQ 15384532M021302 0030003120GS^ 00-0-M -O-PC -334-01 00384501 3845 ank. 0005386-00-02965-01 Page 5 of 5 ACCOUNT NUMBER: 32M021302 CARMEL REDEVELOPMENT DISTRICT TAX INCREMENT REVENUE BONDS OF 1998 (MERCHANTS SQUARE) TAX INCREMENT • This statement is for the period from November 1. 2013 to November 30. 2013 TRANSACTION DETAIL Date Income Principal Tax Posted Description Cash Cash Cost Beginning Balance 11/01/2013 $39,543.00 - $39,543.00 $1,421,834.56 Ending Balance 11130/2013 $39,543.00 - $39,543.00 $1,421.834.56 I