280205 LEVITTOWN UFSD
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Amount Issued: 17,390,000 BLD
Date of Original Issuance: 25-Sep-96
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New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
0001 010 1,659,993 0 0 1,659,993 15.0 24,899,895
0002 006 1,597,998 0 155,753 1,442,245 15.5 24,768,969
0003 006 890,177 0 0 890,177 15.0 13,352,655
0003 007 416,598 0 0 416,598 15.0 6,248,970
0005 006 682,122 0 0 682,122 15.0 10,231,830
0008 006 574,539 0 0 574,539 15.0 8,618,085
0009 005 708,445 0 0 708,445 15.0 10,626,675
0011 005 1,079,263 0 0 1,079,263 15.0 16,188,945
0011 006 114,450 0 0 114,450 15.0 1,716,750
0013 006 524,753 0 0 524,753 15.0 7,871,295
0015 006 745,278 0 0 745,278 15.0 11,179,170
0015 007 314,207 0 0 314,207 15.0 4,713,105
0018 008 1,496,365 0 0 1,496,365 15.0 22,445,475
0018 009 654,000 0 654,000 0 20.0 13,080,000
0018 010 1,315,030 0 0 1,315,030 15.0 19,725,450
7999 003 3,800,000 0 0 3,800,000 15.0 57,000,000
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16,573,218 252,667,269
Blended Maximum Useful Life: 15.0
Original Term of Bond: 17.0
Selected Maximum Useful Life: 17.0
Period Prior to 1 July 2002: 6.0
Sel. Remaining Term for Amortization: 11.0
Principal Outstanding as of July 2002: 13,850,000
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 3 of 11 : 1,610,152
Bond Percent: 94.322%
Aidable Debt Service for Amortization Year 3 of 11 : 1,518,728
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Amount Issued: 3,235,781 BLD
Date of Original Issuance: 23-Jul-97
______________________________________________________________________________
New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
0014 004 3,058,890 0 0 3,058,890 15.0 45,883,350
7999 004 375,595 0 0 375,595 15.0 5,633,925
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3,434,485 51,517,275
Blended Maximum Useful Life: 15.0
Original Term of Bond: 15.0
Selected Maximum Useful Life: 15.0
Period Prior to 1 July 2002: 4.0
Sel. Remaining Term for Amortization: 11.0
Principal Outstanding as of July 2002: 2,507,428
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 3 of 11 : 291,504
Bond Percent: 100.000%
Aidable Debt Service for Amortization Year 3 of 11 : 291,504
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Amount Issued: 8,000,000 BLD
Date of Original Issuance: 22-Jul-99
______________________________________________________________________________
New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
0005 008 1,169,237 0 1,115,237 54,000 20.0 23,384,740
0008 007 718,222 0 664,222 54,000 20.0 14,364,440
0011 007 776,850 0 687,200 89,650 19.5 15,148,575
0011 008 4,923,150 0 4,671,400 251,750 20.0 98,463,000
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7,587,459 151,360,755
Blended Maximum Useful Life: 20.0
Original Term of Bond: 18.0
Selected Maximum Useful Life: 20.0
Period Prior to 1 July 2002: 3.0
Sel. Remaining Term for Amortization: 17.0
Principal Outstanding as of July 2002: 7,565,000
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 3 of 17 : 641,460
Bond Percent: 78.652%
Aidable Debt Service for Amortization Year 3 of 17 : 504,521
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End of Report
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