Hyperion Bank
Philadelphia,
Pa. |
See all recipients in
Pennsylvania
$1.55M
Disbursed
$984K
Returned
$353K
Revenue to Gov't
$215K
Net Outstanding
This investment resulted in a loss to taxpayers.
Date | Type | Amount | Program | Description |
---|---|---|---|---|
12/20/2012 | Warrant | $25,700 | CPP |
Warrant Proceeds
|
12/20/2012 | Dividend | $8,225 | CPP |
Dividend - Non-Cumulative
|
12/20/2012 | Refund | $983,800 | CPP |
Partial Repayment
On 12/20/2012, Treasury completed the sale of 1,552 shares of Hyperion Bank preferred stock at $650.00 per share (less a placement agent fee) for net proceeds of $983,800.00 and 78 shares of Hyperion Bank preferred stock received upon the exercise of warrants at $650.00 per share (less a placement agent fee) for net proceeds of $25,700.00, pursuant to a placement agency agreement executed on 12/11/2012.
|
11/15/2012 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
08/15/2012 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
05/15/2012 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
02/15/2012 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
11/15/2011 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
08/15/2011 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
05/16/2011 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
02/15/2011 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
11/15/2010 | Dividend | $21,155 | CPP |
Dividend - Non-Cumulative
|
08/16/2010 | Dividend | $21,155 | CPP |
Dividends payment
|
05/17/2010 | Dividend | $21,155 | CPP |
Dividends payment
|
02/16/2010 | Dividend | $21,155 | CPP |
Dividends payment
|
11/16/2009 | Dividend | $21,155 | CPP |
Dividends payment
|
08/17/2009 | Dividend | $21,155 | CPP |
Dividends Paid in Aug. 2009
|
05/31/2009 | Dividend | $23,271 | CPP |
Dividends Paid Through 5/31/2009
This amount reflects the sum of dividends paid up to 5/31/2009
|
02/06/2009 | Purchase | $1,552,000 | CPP |
Purchase - Preferred Stock w/ Exercised Warrants
|