Davenport Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Other 2020A Improvements to sewers, streets, streetscape, sidewalks and paths, airport, housing proj., fire & police, and refunding 2012A & 2012D. 06-01-2035 $35,720,000.00
General Obligation Other 2016A GO streets, sewer, equipment, solid waste, facilities 06-01-2031 $30,575,000.00
General Obligation Other 2018A GO CORPORATE AND REFUNDING BUNDS REFUNDING 2010A & 2010B 06-01-2026 $22,670,000.00
General Obligation Other 2020B improvements to sanitary sewers, sewage treatment works, storm sewers, streets, streetscape, sidewalks & paths, airport, and miscellaneous 06-01-2036 $21,675,000.00
General Obligation Other 2019A Sanitary sewers, storm sewers, streets, airport, municipal housing projects, fire & police department parks and equipment 06-01-2034 $19,175,000.00
General Obligation Other 2017A 06-01-2032 $15,790,000.00
General Obligation Other 2014 A equipment, public building improvements, street improvements 06-01-2029 $12,855,000.00
General Obligation Other 2015 GO issue sewers, streets, solid waste, buildings 06-01-2030 $10,305,000.00
General Obligation Other 2017C CROSSOVER REFUNDING OF 2010D 06-01-2025 $8,175,000.00
General Obligation Other 2021A refunding 2013A 06-01-2032 $8,175,000.00
General Obligation Other 2018B TAXABLE GO CORPORATE AND REFUNDING BONDS. REFUNDING 2010C 06-01-2026 $5,895,000.00
General Obligation Other 2017B REFUNDING OF 2009C COMMUNICATION BONDS 06-01-2029 $5,300,000.00
General Obligation Other 2016C advance refunding of 2009a 06-01-2024 $3,335,000.00
General Obligation Other 2016b advance refunding of 2008d and 2009b 06-01-2028 $2,650,000.00
General Obligation Other 2014 B refunding of 2007a and 2008c 06-01-2023 $1,550,000.00
Revenue Bonds Utilities/Sewers srf loan 06-01-2041 $7,661,000.00
Revenue Bonds Utilities/Sewers SRF #4 1930'S sanitary sewer riverfront interceptor 06-01-2040 $7,233,218.00
Revenue Bonds Utilities/Sewers srf #3 plant optimization 06-01-2036 $5,049,022.00
Revenue Bonds Utilities/Sewers UV disinfection project & gray water system addition project 06-01-2041 $4,439,463.00
Revenue Bonds Utilities/Sewers srf #2 06-01-2034 $3,864,000.00
Revenue Bonds Utilities/Sewers 28E WITH SOLID WASTE COMMISSION FOR SINGLE STREAM WASTE CARTS 07-01-2025 $990,060.00
Loans Transportation RAIL DEBT 06-30-2026 $155,396.00
Loans Transportation Amoco loan for two heavy duty buses 10-01-2022 $48,945.00
Total Debt as of 2021: $233,286,104.00

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