| Municipal Bond Name / Description |
Coupon |
Maturity |
Offer Side Customer Purchase from Dealer (Lowest / Highest) |
Yield* Offer Side (Lo Px / Hi Px) |
# of Trades |
Volume |
| TULSA CNTY OKLA INDPT SCH DIST NO 001 TULSA COMB PURP-SER B | 4.000 | 08/01/2012 | 101.941 / 103.596 | 3.48% / 3.09% | 80 | 15050+3 |
| OKLAHOMA DEV FIN AUTH REV REF-ST JOHN HEALTH SYS | 5.000 | 02/15/2042 | 95.744 / 100.469 | 5.27% / 4.93% | 33 | 930 |
| OKLAHOMA CITY OKLA WTR UTILS TR WTR & SWR REV | 5.000 | 07/01/2034 | 99.993 / 101.500 | 5.00% / 4.71% | 31 | 1370 |
| TULSA CNTY OKLA INDPT SCH DIST NO 9 UNION BRD ED COMB PURP | 3.000 | 04/01/2010 | 100.545 / 101.174 | | 30 | 3270+7 |
| OKLAHOMA ST MUN PWR AUTH PWR SUPPLY SYS REV SAVRS-REF-SER A | | 01/01/2023 | 100.000 / 100.000 | 0.00% / 0.00% | 27 | 2575 |
| TULSA CNTY OKLA INDPT SCH DIST NO 001 TULSA COMB PURP-SER B | 3.500 | 08/01/2010 | 101.054 / 101.904 | 2.95% / 2.51% | 25 | 10455 |
| TULSA CNTY OKLA INDPT SCH DIST NO 001 TULSA COMB PURP-SER B | 4.000 | 08/01/2013 | 101.582 / 103.347 | 3.65% / 3.51% | 23 | 2100+9 |
| TULSA CNTY OKLA INDL AUTH HEALTH CARE REV ST FRANCIS HEALTH SYS | 5.000 | 12/15/2036 | 89.396 / 98.000 | 5.76% / 5.13% | 22 | 1815 |
| COMANCHE CNTY OKLA HOSP AUTH REV REF-HOSP | 5.250 | 07/01/2020 | 100.000 / 100.000 | 5.25% / 5.25% | 21 | 1970+3 |
| OKLAHOMA DEV FIN AUTH LEASE REV OKLAHOMA DEPT HUMAN SVCS PROJ | 3.500 | 02/01/2010 | 100.994 / 101.611 | 2.85% / 2.40% | 19 | 2200 |