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General Obligation Bonds
<br />(Continued):
<br />CITY OF RAMSEY, MINNESOTA Exhibit 1-2
<br />GENERAL LONG -TERM DEBT ACCOUNT GROUP
<br />SCHEDULE OF GENERAL LONG -TERM DEBT - BY TYPE (Continued)
<br />December 31, 1988
<br />Issue Date Interest Rates Maturity Dates Principal
<br />Improvement Bonds of 1984,
<br />Series II -
<br />$300,000 per year 10/01/84 7.50- 8.50% 4/01/89 -91 900,000
<br />$125,000 per year 10/01/84 8.75% 4/01/92 125,000
<br />$110,000 per year 10/01/84 9.00- 9.20% 4/01/93 -94 220,000
<br />$100,000 per year 10/01/84 9.40- 9.50% 4/01/95 -96 200,000
<br />1,445,000
<br />Refunding Improvement Bonds
<br />of 1985 -
<br />$100,000 per year 3/01/85 7.10% 4/01/89 100,000
<br />$110,000 per year 3/01/85 7.25% 4/01/90 110,000
<br />$105,000 per year 3/01/85 7.50- 7.75% 4/01/91 -92 210,000
<br />420,000
<br />Improvement Bonds of 1985 -
<br />$145,000 per year 8/01/85 6.50% 2/01/89 145,000
<br />$100,000 per year 8/01/85 6.75% 2/01/90 -91 200,000
<br />$ 10,000 per year 8/01/85 7.00- 8.40% 2/01/92 -96 50,000
<br />395,000
<br />Tax Increment Improvement
<br />Bonds of 1985 -
<br />$ 5,000 per year 12/31/85 6.70- 7.10% 6/01/89 -91 15,000
<br />$10,000 per year 12/31/85 7.25- 8.10% 6/01/92 -98 70,000
<br />$15,000 per year 12/31/85 8.20% 6/01/99 15,000
<br />100,000
<br />Tax Increment Bonds of 1987A -
<br />$ 50,000 per year 8/01/87 5.00- 5.25% 2/01/90 -91 100,000
<br />$100,000 per year 8/01/87 5.50- 6.00% 2/01/92 -94 300,000
<br />$125,000 per year 8/01/87 6.20- 6.50% 2/01/95 -97 375,000
<br />$150,000 per year 8/01/87 6.60- 6.70% 2/01/98 -99 300,000
<br />$175,000 per year 8/01/87 6.80- 6.90% 2/01/00 -01 350,000
<br />$200,000 per year 8/01/87 7.00- 7.10% 2/01/02 -03 400,000
<br />$225,000 per year 8/01/87 7.20- 7.25% 2/01/04 -05 450,000
<br />$250,000 per year 8/01/87 7.30% 2/01/06 250,000
<br />$275,000 per year 8/01/87 7.30% 2/01/07 275,000
<br />2,800,000
<br />(Continued)
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