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MTA 2024 Investor Information

Updated Mar 5, 2025

This ARCHIVE contains information provided for historical purposes only. Each document contained in this portion of the MTA website is marked with a Dated Date and speaks only as of that Dated Date. Readers are cautioned not to assume that any information has been updated beyond the Dated Date unless a document expressly states that it constitutes an update of a specific portion of a document. MTA, its affiliates and subsidiaries expressly disclaim any duty to provide an update of any document contained in this section.

OFFICIAL STATEMENTS and REMARKETING CIRCULARS

Transporation Revenue Bonds

Subseries 2012G-3, Remarketing Circular
Transportation Revenue Variable Rate Refunding Bonds, dated December 5, 2024

Subseries 2005D-2 and 2012G-4, Remarketing Circular
Transportation Revenue Variable Rate Bonds, dated November 6, 2024

Series 2024B (Climate Bond Certified), Official Statement
Transportation Revenue Refunding Green Bonds, dated October 23, 2024

Subseries 2002D-2a-1, 2002D-2b, 2005D-1, Remarketing Circular
Transportation Revenue Variable Rate Refunding Bonds, dated March 22, 2024

Series 2024A (Climate Bond Certified), Official Statement
Transportation Revenue Refunding Green Bonds, dated March 20, 2024

Series 2020B, Remarketing Circular
Transportation Revenue Variable Rate Refunding Bonds, dated March 14, 2024

Payroll Mobility Tax Senior Lien Obligations

Series 2024C (Climate Bond Certified), Official Statement
TBTA (MTA Bridges and Tunnels) Payroll Mobility Tax Senior Lien Refunding Green Bonds, dated June 26, 2024

Series 2024B (Climate Bond Certified), Official Statement
TBTA (MTA Bridges and Tunnels) Payroll Mobility Tax Senior Lien Green Bonds, dated May 8, 2024

BAN Series 2024A, Offering Memorandum
MTA Payroll Mobility Tax Bond Anticipation Notes (Federally Taxable), dated March 14, 2024

BAN Series 2024B, Offering Memorandum
TBTA (MTA Bridges and Tunnels) Payroll Mobility Tax Bond Anticipation Notes, dated March 14, 2024

Series 2024A (Climate Bond Certified), Official Statement
TBTA (MTA Bridges and Tunnels) Payroll Mobility Tax Senior Lien Green Bonds, dated January 18, 2024

Dedicated Tax Fund Bonds

Series 2024B (Climate Bond Certified), Official Statement
MTA Dedicated Tax Fund Green Bonds, dated October 1, 2024

Series 2024A (Climate Bond Certified), Official Statement
MTA Dedicated Tax Fund Green Bonds, dated July 19, 2024

Sales Tax Revenue Bonds (TBTA Capital Lockbox - City Sales Tax)

Series 2024A, Official Statement
TBTA (MTA Bridges and Tunnels) Sales Tax Revenue Bonds (TBTA Capital Lockbox - City Sales Tax), dated February 2, 2024

Triborough Bridge and Tunnel Authority General Revenue Bonds (Senior Lien)

Series 2024A, Official Statement
TBTA (MTA Bridges and Tunnels) General Revenue Bonds, dated August 16, 2024

Subseries 2003B-2, Remarketing Circular
TBTA (MTA Bridges and Tunnels) General Revenue Variable Rate Bonds, dated July 12, 2024

Triborough Bridge and Tunnel Authority Second Subordinate Lien (CBDTP)

BAN Series 2024A, Offering Memorandum
TBTA Second Subordinate Revenue Bond Anticipation Notes, dated December 20, 2024

DISCLOSURE FILINGS and FINANCIAL REPORTS

Annual Combined Continuing Disclosure Filings (CCDF)

Part I – MTA Annual Disclosure Statement (ADS)
Dated April 29, 2024, as supplemented July 3, 2024

Part II, Detailed List of All Debt Outstanding
As of April 29, 2024

Appendix A
Redirect to Part I – MTA Annual Disclosure Statement

Appendix B
Audited Consolidated Financial Statements of Metropolitan Transportation Authority for the Years Ended December 31, 2023 and 2022

Appendix C
Audited Financial Statements of the New York City Transit Authority for the Years Ended December 31, 2023 and 2022

Appendix D
Audited Financial Statements of Triborough Bridge and Tunnel Authority for the Years Ended December 31, 2023 and 2022

Appendix E
History and Projection of Traffic, Toll Revenues and Expenses and Review of Physical Conditions of the Facilities of Triborough Bridge and Tunnel Authority, dated April 29, 2024 prepared by Stantec Consulting Services – New York

Annual Compliance Certification in connection with Climate Bonds Initiative Annual Reporting
MTA’s Climate Bond Certified Green Bonds, as of April 29, 2024

Complete 2024 CCDF PDF with Parts I and II and Appendices (Large File, 862 pages)

MATERIAL EVENT NOTICES and VOLUNTARY NOTICES

Bond calls/redemption notices/defeasance

Transportation Revenue Bonds, Series 2014C, Subseries 2014D-1 and Subseries 2019D-1
Notice of Defeasance, dated October 29, 2024

Transportation Revenue Bonds Green Bonds, Subseries 2019A-1
Notice of Defeasance, dated October 9, 2024

Payroll Mobility Tax Bond Anticipation Notes, Series 2022B
Notice of Escrow Deposit of Funds to Pay in Full for $766.54 million of PMT BANs Series 2022B, dated October 9, 2024

Transportation Revenue Variable Rate Refunding Bonds, Series 2020B
Notice of Partial Redemption of TRB Series 2020B ($7.175 million on CUSIP 59261AX28), on September 9, 2024

TBTA General Revenue Bonds, Series 2012A and 2014A
Notice of Defeasance, dated August 22, 2024

TBTA General Revenue Bonds Subseries 2010A-2 (Build America Bonds)
Conditional Notice of Redemption for certain TBTA Subseries 2010A-2 at Extraordinary Optional Redemption Price, dated August 16, 2024

Dedicated Tax Fund Bonds, Series 2009C, 2010A-2, 2016A, and Transportation Revenue Bonds, Subseries 2009A-1
Notice of Redemption for Certain DTF and TRB Bonds dated August 9, 2024

Payroll Mobility Tax Bond Anticipation Notes, Series 2022A
Notice of Escrow Deposit of Funds to Pay in Full for $425.685 million of PMT BANs Series 2022A (CUSIP 89602HHM2), dated July 23, 2024

Dedicated Tax Fund Bonds, Series 2009C (Build America Bonds) and Subseries 2010A-2 (Build America Bonds)
Conditional Notice of Partial Redemption for the Series 2009C and Subseries 2010A-2 at Extraordinary Optional Redemption Price, dated June 27, 2024

Dedicated Tax Fund Bonds, Series 2016A
Conditional Notice of Partial Redemption for Series 2016A at Make Whole Redemption Price, dated June 27, 2024

Transportation Revenue Bonds, Subseries 2009A-1 (Build America Bonds)
Conditional Notice of Redemption for the Subseries 2009A-1 at Extraordinary Optional Redemption Price, dated June 27, 2024

Transportation Revenue Bonds Series 2012C, 2013C, and 2013E
Notice of Defeasance and Prior Designation for Redemption for Certain Transportation Revenue Bonds, dated May 20, 2024

Payroll Mobility Tax Bond Anticipation Notes, Series 2022A
Notice of Partial Defeasance for $525.685 million of PMT BANs Series 2022A (CUSIP 89602HDT1), dated May 20, 2024

Transportation Revenue Bonds Series 2012B, 2012C, 2012E, 2012H, 2013A, 2013C, 2014A-1, 2014B, 2020A-2, 2020C-2
Notice of Defeasance and Prior Designation for Redemption for Certain Transportation Revenue Bonds, dated March 27, 2024

Payroll Mobility Tax Senior Lien Bonds, Subseries 2021A-2
Notice of Defeasance for PMT Subseries 2021A-2 (Tax-Exempt Mandatory Tender Bonds) (CUSIP 89602HAC1) on March 27, 2024

Transportation Revenue Variable Rate Refunding Bonds, Subseries 2020B-2
Notice of Partial Redemption of TRB Subseries 2020B-2 ($33.27 million on CUSIP 59261AN37), on March 6, 2024

Transportation Revenue Variable Rate Bonds Subseries 2005E-1 and 2005E-2
Notice of Partial Redemptions of the TRB Subseries 2005E-1 ($21.07 million on CUSIP 59261AM38) and TRB Subseries 2005E-2 ($14.96 m on CUSIP 59261ASD0), on January 8, 2024

Letter of Credit (LOC) Substitutions

Transportation Revenue Variable Rate Bonds, Subseries 2005D-2 and 2012G-4
Notice of Letter of Credit Facilities Substitution (CUSIPs 59261AS57 and 59261AS65) on November 13, 2024.

Transportation Revenue Variable Rate Refunding Bonds, Subseries 2020B-1 and 2020B-2
Notice of Letter of Credit Facilities Substitution (CUSIPs 59161AL70 and 59261AN37) on March 20, 2024.  

Mandatory Tender Notices

Transportation Revenue Variable Rate Refunding Bonds, Subseries 2012G-3
Notice of Mandatory Tender (CUSIP 59261AE94) on December 11, 2024

Transportation Revenue Variable Rate Bonds, Subseries 2005D-2
Notice of Mandatory Tender (CUSIP 59261AS57) on November 13, 2024

Transportation Revenue Variable Rate Refunding Bonds, Subseries 2012G-4
Notice of Mandatory Tender (CUSIP 59261AS65) on November 13, 2024

TBTA General Revenue Variable Rate Bonds, Subseries 2003B-2
Notice of Mandatory Tender (CUSIP 89602RFW0) and Mode Change on July 18, 2024

Transportation Revenue Variable Rate Refunding Bonds Subseries 2002D-2a-1 and Subseries 2002D-2b and Transportation Revenue Variable Rate Bonds, Subseries 2005D-1
Notices of Mandatory Tender (CUSIPs 59261AL47, 59261AL62, 59261AM20) on March 28, 2024

Transportation Revenue Variable Rate Refunding Bonds Subseries 2020B-1 and Subseries 2020B-2
Notices of Mandatory Tender (CUSIPs 59261AL70 and 59261AN37) on March 20, 2024

Ratings actions

On October 31, 2024, Moody's ratings downgraded enhanced ratings for two VRDBs supported by LOCs from TD Bank (TRB 2012G-2, TRB 2002G-1g) as result of its downgrade of TD Bank N.A. on 10/23/2024.  See the Moody's press release for more information.

On October 18, 2024, S&P downgraded enhanced ratings for six VRDBs supported by LOCs from TD Bank (DTF 2008A-1, DTF 2008A-2a, TRB 2012G-2, TRB 2002G-1g, TBTA 2003B-2, TBTA 2005B-4a) as result of its downgrade of TD Bank N.A. on 10/15/2024.  See the S&P release for more information.

On May 10, 2024, Moody's Ratings downgraded  its long-term enhanced ratings on three subseries of Transportation Revenue Variable Rate Bonds, Subseries 2002D-2a-1, 2002D-2b, and 2005D-1, to 'Aa3', as a result of the 5/8/24 Moody's downgrade on Truist Bank, which is the Letter of Credit provider for these TRB VRDBs.  See the Moody's release for more information.

On March 8, 2024, Fitch Ratings upgraded its long-term enhanced ratings on ten existing subseries of Transportation Revenue Variable Rate Bonds to 'AAA', and affirmed the 'AAA' on two existing subseries, as a result of the Fitch Ratings upgrade on the underlying rating on Transportation Revenue Bonds to 'AA' on March 7, 2024.  See the Fitch release for more information.

On March 7, 2024, Fitch Ratings upgraded MTA's Transportation Revenue Bonds to 'AA' from 'A' with a stable outlook, under the application of Fitch's revised Government-Related Entities Rating Criteria.  See the Fitch rating action release for more information.

Financial obligations

On November 8, 2024, MTA executed a First Amendment to an existing taxable Revolving Credit Agreement with Bank of America, N.A., adjusting the credit agreement amount to $200 million and extending the credit agreement to July 30, 2027. For information see the First Amendment.   Additional information regarding the credit agreement is available here: https://new.mta.info/investor-info/lines-of-credit.

On August 21, 2024, MTA executed a First Amendment to existing $800 million taxable Revolving Credit Agreement with JPMorgan Chase Bank, NA, extending the credit agreement to April 28, 2026. For information see the First Amendment.   Additional information regarding the credit agreement is available here: https://new.mta.info/investor-info/lines-of-credit