REPORT OF THE COMPTROLLER OF THE TREASURY 109
STATEMENT A—13—Continued
|
|
Amount of
|
|
|
|
|
Bonds Issued
|
|
|
Character
|
of Bonded Debt
|
and
|
Maturity
|
Purpose of Bond Issue
|
|
|
Outstanding
|
|
|
General Public
|
School Construction
|
|
|
|
Loan of 1962,
|
per Chapter 25 of the
|
|
|
|
Laws of 1962
|
|
|
|
|
Series 'A"
|
25/8%..........
|
$600,000.00
|
Apr. 1, 1966
|
|
Series 'B"
|
25/8%..
|
620,000.00
|
Apr. 1, 1967
|
|
Series 'C"
|
25/8%....
|
635,000.00
|
Apr. 1, 1968
|
|
Series 'D"
|
|
655,000.00
|
Apr 1, 1969
|
|
Series 'E"
|
25/8%
|
675,000.00
|
Apr. 1, 1970
|
|
Series 'F"
|
25/8%.......
|
695,000.00
|
Apr. 1, 1971
|
|
Series 'G"
|
|
715,000.00
|
Apr. 1, 1972
|
Building, Construction,
|
Series *H"
|
25/8%
|
735,000.00
|
Apr. 1, 1973
|
Deferred Maintenance,
|
Series 'I"
|
25/8%.. ....
|
760,000.00
|
Apr. 1, 1974
|
and Equipment
|
Series 'J"
|
25/8%.
|
780,000.00
|
Apr. 1, 1975
|
|
Series 'K"
|
25/8%........
|
805,000.00
|
Apr. 1, 1976
|
|
Series 'L"
|
25/8%. ...
|
830,000.00
|
Apr. 1, 1977
|
|
Senes £M"
|
25/8%
|
860,000.00
|
Apr. 1, 1978
|
|
Series 'N"
|
3%
|
680,000.00
|
Dec. 1, 1966
|
|
Series 'O"
|
3%
|
700,000.00
|
Dec. 1, 1967
|
|
Series T"
|
3%
|
720,000.00
|
Dec. 1, 1968
|
|
Series 'Q"
|
3%
|
745,000.00
|
Dec. 1, 1969
|
|
Series 'R"
|
3%
|
765,000.00
|
Dec. 1, 1970
|
|
Series 'S"
|
3%
|
790,000.00
|
Dec. 1, 1971
|
|
Series 'T"
|
3%.
|
815,000.00
|
Dec. 1, 1972
|
|
Series 'U"
|
3%........
|
835,000.00
|
Dec. 1, 1973
|
|
Series 'V"
|
3%....
|
860,000.00
|
Dec. 1, 1974
|
|
Series 'W"
|
3 %
|
890,000.00
|
Dec. 1, 1975
|
|
Series 'X"
|
3%..
|
915,000.00
|
Dec. 1, 1976
|
|
Series "Y"
|
3%........ ..
|
940,000.00
|
Dec. 1, 1977
|
|
Series "L"
|
3%..
|
980,000.00
|
Dec. 1, 1978
|
|
|
Total...............
|
$20,000,000.00
|
|
|
|
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