580224 PATCHOGUE-MEDFORD UFSD
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Amount Issued: 6,956,400 BLD
Date of Original Issuance: 17-Jan-89
______________________________________________________________________________
New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
0001 002 698,848 0 0 698,848 15.0 10,482,720
0002 001 929,938 0 0 929,938 15.0 13,949,070
0003 001 691,452 0 0 691,452 15.0 10,371,780
0004 001 118,677 0 0 118,677 15.0 1,780,155
0005 002 1,769,128 0 1,428,634 340,494 19.0 33,613,432
0008 001 464,459 0 0 464,459 15.0 6,966,885
0009 001 257,869 0 0 257,869 15.0 3,868,035
0010 002 646,634 0 0 646,634 15.0 9,699,510
0011 001 623,156 0 0 623,156 15.0 9,347,340
0013 001 283,479 0 0 283,479 15.0 4,252,185
0015 001 448,953 0 0 448,953 15.0 6,734,295
_______________________________________________________________________________
6,932,593 111,065,407
Blended Maximum Useful Life: 16.0
Original Term of Bond: 20.0
Selected Maximum Useful Life: 20.0
Period Prior to 1 July 2002: 13.0
Sel. Remaining Term for Amortization: 7.0
Principal Outstanding as of July 2002: 3,010,000
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 5 of 7 : 506,056
Bond Percent: 99.657%
Aidable Debt Service for Amortization Year 5 of 7 : 504,320
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Amount Issued: 1,574,826 BLD
Date of Original Issuance: 30-Sep-98
______________________________________________________________________________
New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
7999 004 2,474,116 0 0 2,474,116 15.0 37,111,740
_______________________________________________________________________________
2,474,116 37,111,740
Blended Maximum Useful Life: 15.0
Original Term of Bond: 8.0
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: 869,586
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 5 of 11 : 101,094
Bond Percent: 96.167%
Aidable Debt Service for Amortization Year 5 of 11 : 97,219
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Amount Issued: 50,675,000 BLD-10
Date of Original Issuance: 19-Sep-02
______________________________________________________________________________
New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
0001 008 33,157 0 0 33,157 15.0 497,355
0001 009 314,834 0 0 314,834 15.0 4,722,510
0002 006 229,600 0 0 229,600 15.0 3,444,000
0004 007 414,129 0 0 414,129 15.0 6,211,935
0004 008 601,131 0 0 601,131 15.0 9,016,965
0005 007 384,855 0 0 384,855 15.0 5,772,825
0005 008 965,456 0 0 965,456 15.0 14,481,840
0005 010 573,370 0 0 573,370 15.0 8,600,550
0008 006 390,490 0 0 390,490 15.0 5,857,350
0009 006 392,522 0 0 392,522 15.0 5,887,830
0010 006 402,270 0 0 402,270 15.0 6,034,050
0010 007 312,945 0 0 312,945 15.0 4,694,175
0011 007 378,210 0 0 378,210 15.0 5,673,150
0013 003 273,886 0 0 273,886 15.0 4,108,290
0015 011 2,299,458 0 0 2,299,458 15.0 34,491,870
0015 012 105,398 0 0 105,398 15.0 1,580,970
0024 001 1,154,438 0 1,154,438 0 20.0 23,088,760
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9,226,149 144,164,425
Blended Maximum Useful Life: 15.5
Original Term of Bond: 27.5
Selected Maximum Useful Life: 27.5
Period Prior to 1 July 2002: 1.5
Sel. Remaining Term for Amortization: 26.0
Principal Outstanding as of July 2002: 50,675,000
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 5 of 26 : 3,326,188
Bond Percent: 6.999%
Aidable Debt Service for Amortization Year 5 of 26 : 232,800
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Amount Issued: 50,000,000 BLD-10
Date of Original Issuance: 01-Jul-03
______________________________________________________________________________
New Alt./ Max. Weighted
Bldg. Proj. Allowable Constr. Additions Reconstr Project Useful
No. Cost Cost Cost Cost Life Life
______________________________________________________________________________
0001 008 33,157 0 0 33,157 15.0 497,355
0001 009 314,834 0 0 314,834 15.0 4,722,510
0002 006 229,600 0 0 229,600 15.0 3,444,000
0004 007 414,129 0 0 414,129 15.0 6,211,935
0004 008 601,131 0 0 601,131 15.0 9,016,965
0005 007 384,855 0 0 384,855 15.0 5,772,825
0005 008 965,456 0 0 965,456 15.0 14,481,840
0005 010 573,370 0 0 573,370 15.0 8,600,550
0008 006 390,490 0 0 390,490 15.0 5,857,350
0009 006 392,522 0 0 392,522 15.0 5,887,830
0010 006 402,270 0 0 402,270 15.0 6,034,050
0010 007 312,945 0 0 312,945 15.0 4,694,175
0011 007 378,210 0 0 378,210 15.0 5,673,150
0013 003 273,886 0 0 273,886 15.0 4,108,290
0015 011 2,299,458 0 0 2,299,458 15.0 34,491,870
0015 012 105,398 0 0 105,398 15.0 1,580,970
0024 001 1,154,438 1,154,438 0 0 30.0 34,633,140
_______________________________________________________________________________
9,226,149 155,708,805
Blended Maximum Useful Life: 17.0
Original Term of Bond: 27.0
Term based on prior Retro borrowing: 27.5
Selected Maximum Useful Life: 27.5
Period Prior to 1 July 2002: 2.5
Sel. Remaining Term for Amortization: 25.0
Principal Outstanding as of July 2002: 50,000,000
Assumed Interest Rate: 4.500%
Debt Service for Amortization Year 4 of 25 : 3,351,836
Bond Percent: 6.999%
Aidable Debt Service for Amortization Year 4 of 25 : 234,595
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End of Report
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