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140 REPORT OF THE COMPTROLLER OF THE TREASURY
SCHEDULE A—13-1
Debt Service Requirements
June 30, 1967
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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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1968...
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$31,549,000.00
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$13,318,320.63
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$44,867,320.63
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1969...............
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34,178,000.00
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12,462,592.50
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46,640,592.60
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1970.......................
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39,166,000.00
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11,477,478.75
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50,643,478.75
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1971.......................
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36,758,000.00
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10,327,417.50
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47,085,417.50
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1972. .........
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37,296,000.00
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9,180,441.87
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46,476,441.87
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1973...................
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36,837,000.00
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8,019,706.25
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44,856,706.25
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1974................
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34,363,000.00
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6,904,698.75
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41,267,698.75
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1975.......
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33,907,000.00
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5,850,989.38
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39,767,989.38
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1976.......................
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31,826,000.00
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4,799,603.75
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36,625,603.75
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1977.......................
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29,483,000.00
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3,824,113.12
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33,807,113.12
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1978...............
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26,200,000.00
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2,920,493.75
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29,120,493.75
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1979.......................
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24,250,000.00
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2,086,261.88
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26,336,261.88
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1980.......................
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21,445,000.00
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1.352,061.25
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22,797,061.26
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1981...........
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15,650,000.00
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700,573.75
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16,350,573.75
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1982.......................
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9,260,000.00
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236,773.75
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9,496,773.75
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Total
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$442,168,000.00
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$93.461,526.88
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$535.629,526.88
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