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126 REPORT OF THE COMPTROLLER OF THE TREASURY
SCHEDULE A—13—1
Debt Service Requirements as at June 30, 1966
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Amount of
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Total Public
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Fiscal Year Ending June 30th
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Bonds
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Interest
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Debt
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Maturing
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Requirements
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Requirements
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1967.......................
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$28,176,000.00
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$10,688,413.12
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$38,864,413.12
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1968.........
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81,549,000.00
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9,961,505.63
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41,510,505.63
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1969 .........
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34,178,000.00
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9,105,777.50
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43,283,777.50
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1970......
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33,406,000.00
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8,171,763.75
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41,577,768.75
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1971.....................
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30,783,000.00
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7,245,990.00
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38,028,990.00
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1972.....................
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31,066,000.00
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6,332,001.87
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37,398,001.87
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1973...... ..........
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30,367,000.00
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5,413,903.75
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35,780,903.75
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1974........
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27,628,000.00
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4,524,096.25
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32,147,096.25
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1975..........
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26,907,000.00
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3,704,786.88
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30,611,786.88
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1976....... .......
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24.536.000.00
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2,897,151.25
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27,433,151.25
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1977 .
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21,893,000.00
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2,175,850.62
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24,068,850.62
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1978 .. ...... ..
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18,385,000.00
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1,533,416.25
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19,868,416.25
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1979.. .
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16,050,000.00
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970,339.38
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17,020,339,38
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1980 ......
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12,915,000.00
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518,573.75
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13,433,573.75
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1981..... ...
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6,776,000.00
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159,971.25
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6,934,971.25
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TOTAL. .......
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$374,559,000.00
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$73,403,541.25
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$447,962,541.25
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