Bonds

Bond Offering

Trustees of the California State University Systemwide Revenue Bonds Series 2024A and Series 2024B (Taxable)*

Trustees of the California State University Systemwide Revenue Bonds Series 2024A and Series 2024B (Taxable)*

Offering Summary

Sale Date
Week of 08/04/2024
Sector
Higher Education
State
California
Method of Sale
Negotiated

Offering Participants

Joint Senior Manager

BofA Securities, Inc.

Rob East

(800) 937-0616

Wells Fargo Bank, N.A.

(866) 287-3221

Co-Senior Manager

Jefferies LLC

Denise Gibbs

(212) 336-7101

Siebert Williams Shank & Co., LLC

Ed Tishelman

(212) 373-4226

Co-Manager

AmeriVet Securities, Inc.

Jason Wong

(646) 809-6937

Backstrom McCarley Berry & Co., LLC

Don Backstrom

(310) 221-0640

Barclays Capital Inc.

Carmen Vargas

(310) 481-4929

Cabrera Capital Markets, LLC

Merita Kulpinski

(312) 931-6654

Goldman, Sachs & Co. LLC

Galen Wilson

(415) 834-7958

Hilltop Securities Inc.

(214) 953-4000

Huntington Capital Markets

Huntington Securities, Inc.

(312) 443-1561

J.P. Morgan Securities LLC

J.P. Morgan

(855) 231-8873

Loop Capital Markets LLC

(212) 619-2250

Mischler Financial Group, Inc.

Scott C. Kersh

(949) 720-0640

Morgan Stanley & Co. LLC

Morgan Stanley Wealth Management

(213) 486-8811

Piper Sandler & Co.

Tom Tisel

(612) 303-6658

Ramirez & Co., Inc.

Samuel Ramirez

(212) 248-0528

RBC Capital Markets, LLC

Matt Ricci

(415) 455-6388

Stifel, Nicolaus & Company, Inc

Katherine Hamburger

(415) 364-2810

General Offering Information

*The offerings above may from time to time include obligations payable solely or primarily from sources other than the State’s General Fund.  As described herein, the financial documents and other materials on this website generally relate to the State’s General Fund, which is the source of payment for State General Obligation Bonds (non-self liquidating) and primarily but not exclusively the source of payment for State Public Works Board Lease Revenue Bonds. The particular source of security and payment for each bond offering is described in the official statement for the bond offering, which should be read in its entirety.