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1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />4 <br />41 <br />Worksheet 43 <br />Section <br />B <br />B. METHODS OF FINANCING THE AMOUNT <br />TO BE BORROWED <br />Financing <br />Amount <br />Interest <br />Term of <br />Annual Debt <br />Service <br />Method <br />Borrowed <br />Rate <br />Maturity <br />Payment <br />Special Ass ssment Bon <br />XGxx <br />AWjWXbon <br />$185,000 <br />8% 20 years <br />$18,870 <br />X7d1C <br />(322) <br />Revenue <br />Bond <br />-0- <br />N/A <br />N/A <br />-0- <br />(323) <br />Loan <br />-0- <br />N/A <br />N/A I <br />-0- <br />(324) <br />Total <br />$185,000 <br />$18,870 <br />(325) <br />Capital Recovery Table <br />Length of <br />Interest Rates in Percents <br />Maturity in <br />7 <br />8 <br />9 <br />10 <br />11 <br />12 <br />13 <br />14 <br />15 <br />Years <br />10 <br />.142 <br />.149 <br />.156 <br />.163 <br />.170 <br />.177 <br />.184 <br />.192 <br />.199 <br />15 <br />.110 <br />.117 <br />.124 <br />.131 <br />.139 <br />.147 <br />.155 <br />.163 <br />.171 <br />20 <br />.094 <br />.102 <br />.110 <br />.117 <br />.126 <br />.134 <br />.142 <br />.151 <br />.160 <br />25 <br />.086 <br />.094 <br />.102 <br />.110 <br />.119 <br />.128 <br />.136 <br />.145 <br />.155 <br />30 <br />.081 <br />.089 <br />.097 <br />.106 <br />.115 <br />.124 <br />.133 <br />.143 <br />.152 <br />35 <br />.077 <br />.086 <br />.095 <br />.104 <br />.113 <br />.122 <br />.132 <br />.141 <br />.151 <br />40 <br />.075 <br />.084 <br />.093 <br />.102 <br />.112 <br />.121 <br />.131 <br />.141 <br />.151 <br />4 <br />41 <br />