MSRB Summary

The Municipal Securities Rulemaking Board (MSRB) publishes on a delayed daily basis the trade history of all municipals that traded four or more time during the day. This trade information is optionally made available to users based on the group or audience. The MSRB Summary tool allows a user to view and explore the MSRB trade information from a high level and gradually drill-down through the information to the detail on individual bonds.

At the highest level, the Summary table displays the trade summary information for four weeks at a time. Summary trade information for each business day is shown on a row including the trade date, total number of trades, total dollar volume traded, issues traded, and issues reported.

Click on the trade date in blue to drill-down to the individual issues for that date. The issues are listed in descending order by number of trades, so the most active issues for the selected date are at the top of the list. Other information about each issue includes the number of trades, CUSIP, issuer description, coupon rate, maturity date, and dated date.

Click on the 'Return' link at the bottom-left of the list to return to the previous page. Click on the 'Next 100' or 'Prev 100' links at the bottom-right to page through the list of issues traded on this date.

Click on the issuer description link in blue for the selected bond to drill-down to the trade detail for that issue. All of the individual trades for the selected security on the selected date are shown in a list sorted in descending order by trade time. The information for each trade includes the trade time, quantity traded, type of trade (Customer Sell, Customer Buy, or Dealer to Dealer), price, and yield.

Select the 'Return' link at the bottom-right of the list to return to the previous page.

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