246 MARYLAND MANUAL
SUMMARY
|
Amount of
|
|
Total Public
|
Fiscal Year Ending June 30th
|
Bonds
|
Interest
|
Debt
|
|
Maturing
|
Requirements
|
Requirements
|
1958
1959
|
$ 13,100,000.00
13,890,000.00
|
$ 8,082,530.00
2,873,851.25
|
$ 16,182,530.00
16,763,851.25
|
1960
|
15,445,000.00
|
2,642,001.26
|
18,087,001.25
|
1961
|
16,837,000.00
|
2,377,700.00
|
18,214,700.00
|
1962
1963
|
16,244,000.00
16,429,000.00
|
2,106,700.00
1,829,897.60
|
18,350,700.00
18,258,897.60
|
1964
|
16,177,000.00
|
1,552,088 75
|
17,729,088.75
|
1965
|
15,959,000.00
|
1,271,788.75
|
17,230,788.76
|
1966
|
15,448,000.00
|
993,460.00
|
16,441,460.00
|
1967
|
11,831,000.00
|
737,188.75
|
12,568,188.76
|
1968
|
10,281.000.00
|
519,721.25
|
10,760,721.25
|
1969
|
7,474,000.00
|
332,641.25
|
7,806,641.25
|
1970
|
5,847,000.00
|
198,635.00
|
6,045,636.00
|
1971
|
2,315,000.00
|
98,480.00
|
2,413,480.00
|
1972
|
1,670,000.00
|
37,490.00
|
1,707,490.00
|
Total
|
$177,897,000.00
|
$20,654,123.75
|
$198,551,123.75
|
NOTE: The following bonds have been authorized but have not been issued as of June 30,1957:
NAME OF LOAN
|
AUTHORITY
|
AMOUNT
|
General Public School Construction Loan
|
|
|
of 1963
|
Chapter 609 of the Acts of 1958
|
$ 2,590,000.00
|
State Office Building Loan of 1954
General Construction Loan of 1955
|
Chapter 55 of the Acts of 1954
Chapter 266 of the Acts of 1955
|
2,000,000.00
9,196,750.00
|
State Office Building Loan of 1956
General Construction Loan of 1956
|
Chapter 104 of the Acts of 1956
Chapter 98 of the Acts of 1956
|
5,686,000.00
8,550,167.00
|
General Public School Construction Loan of
|
|
|
1956
|
Chapter 80 of the Acts of 1956
|
61,179,000.00
|
General Construction Loan of 1957
Sewage Treatment Plant Loan of 1967
|
Chapter 532 of the Acts of 1957
Chapter 741 of the Acts of 1957
|
16,806,100.00
5,000,000.00
|
Total
|
|
$110,906,017.00
|
|
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