Davenport Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Other 2022A REFUNDING OF 2014A AND PROCEEDS OF THE BONDS ARE BEING USED TO PAY COSTS OF CARRYING OUT ESEENTIAL AND GENERAL CORPORATE PURPOSE PROJECTS. 06-01-2037 $26,840,000.00
General Obligation Other Series 2024 Proceeds of the Bonds are being issued for sewers, storm water, public safety, facilities, parks, IT, equipment 06-01-2039 $24,805,000.00
General Obligation Other 2016A GO streets, sewer, equipment, solid waste, facilities 06-01-2031 $22,400,000.00
General Obligation Other The $ 31,880,000 GO Bonds Series 2023 are issued for: sanitary sewers, streets, parks, vehicles, IT, Library, bridges, streetscapes, sidewalks. 06-01-2038 $22,315,000.00
General Obligation Other 2020A Improvements to sewers, streets, streetscape, sidewalks and paths, airport, housing proj., fire & police, and refunding 2012A & 2012D. 06-01-2035 $21,945,000.00
General Obligation Other 2020B improvements to sanitary sewers, sewage treatment works, storm sewers, streets, streetscape, sidewalks & paths, airport, and miscellaneous 06-01-2036 $16,580,000.00
General Obligation Other 2019A Sanitary sewers, storm sewers, streets, airport, municipal housing projects, fire & police department parks and equipment 06-01-2034 $14,765,000.00
General Obligation Other 2018A GO CORPORATE AND REFUNDING BUNDS REFUNDING 2010A & 2010B 06-01-2026 $14,470,000.00
General Obligation Other 2017A 06-01-2032 $11,815,000.00
General Obligation Other 2015 GO issue sewers, streets, solid waste, buildings 06-01-2030 $7,065,000.00
General Obligation Other 2021A refunding 2013A 06-01-2032 $5,650,000.00
General Obligation Other 2018B TAXABLE GO CORPORATE AND REFUNDING BONDS. REFUNDING 2010C 06-01-2026 $4,625,000.00
General Obligation Other 2017B REFUNDING OF 2009C COMMUNICATION BONDS 06-01-2029 $3,525,000.00
General Obligation Other 2016b advance refunding of 2008d and 2009b 06-01-2028 $1,565,000.00
Revenue Bonds Utilities/Sewers SRF #4 1930'S sanitary sewer riverfront interceptor 06-01-2040 $8,526,246.00
Revenue Bonds Utilities/Sewers srf loan 06-01-2041 $6,800,000.00
Revenue Bonds Utilities/Sewers UV disinfection project & gray water system addition project 06-01-2041 $6,006,026.00
Revenue Bonds Utilities/Sewers srf #3 plant optimization 06-01-2036 $4,359,000.00
Revenue Bonds Utilities/Sewers srf #2 06-01-2034 $3,015,000.00
Revenue Bonds Utilities/Sewers 28E WITH SOLID WASTE COMMISSION FOR SINGLE STREAM WASTE CARTS 07-01-2025 $405,549.00
Capital Leases/Lease to Purchase Public Safety AXON-Cameras 07-31-2028 $589,115.00
Capital Leases/Lease to Purchase Public Safety AXON-Taser 10-Holster 06-30-2029 $411,393.00
Capital Leases/Lease to Purchase Parks/Recreation HARRIS GOLF CARTS 4889-000125 10-31-2027 $23,559.00
Capital Leases/Lease to Purchase Parks/Recreation M&M GOLF CARS 4889-4-000123 02-28-2028 $14,111.00
Loans Transportation RAIL DEBT 06-30-2026 $62,158.00
Total Debt as of 2025: $228,577,157.00

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