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ti PART 7 <br />SCHEDULE OF BONDED INDEBTEDNESS <br />k . <br />INTEREST RATES SOURCE OF FUNDS FINAL MATURITY DATE BALANCE ON OCTOBER 1,1976 AMOUNT MATURED OR RETIRED AMOUNT TO BE PAID OVER THE REMAINING <br />HIGH LOW PLEDGED. MO DAY YR PRINCIPAL INTEREST DURING FISCAL YEAR 1976 - 1977 LIFE AS OF SEPTEMBER 30.1977 <br />USE CODES. PRINCIPAL INTEREST PRINCIPAL INTEREST <br />--—Ell .._--------------_ ---- -- — -----_ — <br />-- --- --_ None —_ --- --- ------ -- — <br />PRIMARY SOURCE OF FUNDS PLEDGED • . <br />SECONDARY SOURCE OF FUNDS PLEDGED <br />24 <br />�rA g <br />0 <br />m <br />n <br />Cl2 <br />C�j <br />LLl <br />