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(continued) Amount <br /> Serial Outstanding <br /> Maturities Interest as of <br /> Through Rates % June 30, 1996 <br /> Santuit Roads 1/15/08 4.9- 5.5 345,000 <br /> John's Pond Roads 9/23/02 4.25- 5.00 325,000 <br /> Donna's Lane 1/14/99 4.75 81,000 <br /> Cotuit Corner Road 10/13/04 5.58 165,000 <br /> Scituate Road 10/13/04 5.58 267.000 <br /> Total Inside Debt Limit 3,357,200 <br /> Outside Debt Limit: <br /> 'i <br /> I <br /> School Construction 12/15/97 6.7 782,000 <br /> School Construction 7/15/98 6.0-6.7 1,095,000 <br /> Water Construction 6/01/99 6.6-6.7 330,000 <br /> Transfer Station Construction 6/01/99 6.6-6.7 585,000 <br /> Reg. Transfer Station Construction 6/01/99 6.6-6.7 79,500 <br /> MMS Addition 1/15/08 4.9- 5.5 1,555,000 <br /> Total Outside Debt Limit 4,426,500 <br /> Total Debt $7.783.700 <br /> B. Future Debt Service <br /> The annual principal and interest payments to retire all general obligation <br /> long-term debt outstanding as of June 30, 1996 are as follows: <br /> Governmental Principal Interest Total <br /> 1997 $ 2,175,900 $ 446,498 $ 2,622,398 <br /> 1998 1,948,900 283,825 2,232,725 <br /> 1999 1,518,900 142,941 1,661,841 <br /> 2000 477,500 43,323 520,823 <br /> 2001 457,500 20,973 478,473 <br /> Thereafter 1,205,000 40.555 1,245.555 <br /> Total $ 7.783.700 $ 978.115 $ 8.761.815 <br /> C. Bond Authorizations <br /> Long-term debt authorizations which have not been issued or rescinded <br /> as of June 30, 1996 are as follows: <br /> 17 <br />