Security Class |
Purpose Type |
Description |
Final Maturity |
Amount |
Revenue Bonds |
Health Care |
Pay a portion of the costs to construct, equip, install and expand the North Liberty facility |
09-01-2051 |
$179,705,000.00 |
Revenue Bonds |
Health Care |
Current Refunding Hospital Refunding Bond Anticipation Note, Series 2021B
Pay COI |
09-01-2038 |
$125,220,000.00 |
Revenue Bonds |
Health Care |
Current refunding of Hospital 2011 and 2011A, and pay a portion of the costs of constructing, equipping, installing and expanding hospital facilities |
09-01-2051 |
$102,820,000.00 |
Revenue Bonds |
Health Care |
Pay a portion of the costs to construct, equip, install and expand the North Liberty facility |
09-01-2061 |
$100,220,000.00 |
Revenue Bonds |
Transportation |
Finance a portion of the cost of a new Parking structure, fund capitalized interest, COI |
07-01-2026 |
$56,550,000.00 |
Revenue Bonds |
Health Care |
Pay portion of constructing, equipping etc. UIHC System, fund a reserve fund & pay the costs of issuance |
09-01-2039 |
$36,640,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Constructing & equipping a new residence hall, fund a reserve fund & pay the costs of issuance. |
07-01-2041 |
$31,660,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Constructing & equipping a new residence hall, fund a reserve fund, and pay the costs of issuance. |
07-01-2040 |
$30,345,000.00 |
Revenue Bonds |
Health Care |
Pay portion of constructing, equipping etc. UIHC System, fund a reserve fund & pay the costs of issuance |
09-01-2043 |
$28,740,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Constructing & equipping a new residence hall, fund a reserve fund and pay the costs of issuance |
07-01-2042 |
$27,410,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Portion of costs of improving & building additions to Kinnick Stadium, fund a reserve fund & pay the costs of issuance |
07-01-2038 |
$26,290,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Portion of costs of improving & building additions to Kinnick Stadium, fund reserve fund & pay costs of issuance |
07-01-2037 |
$24,155,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Portion of costs of improving & building additions to Kinnick Stadium, fund a reserve fund & pay costs of issuance. |
07-01-2038 |
$23,420,000.00 |
Revenue Bonds |
Health Care |
Current Refunding Hospital Revenue Bonds, Series 2010
Pay COI |
09-01-2036 |
$19,630,000.00 |
Revenue Bonds |
Transportation |
Finance a portion of the costs of constructing& improving University parking facilities |
07-01-2040 |
$19,055,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Pay portion of costs of constructing equipping improvements to existing residence halls, fund reserve, pay COI |
07-01-2046 |
$18,220,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Pay/reimburse costs of building,repairing,replacing,reconstructing & equipping flood damaged buildings/facilities on the campus of the University |
07-01-2035 |
$18,090,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Pay at maturity the Board's Academic Building Revenue Flood Anticipation Project Notes, Series SUI 2009 |
07-01-2033 |
$18,055,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Current Refunding Academic Revenue Bonds, Series 2013A
Pay COI |
07-01-2036 |
$17,515,000.00 |
Revenue Bonds |
Other |
Current Refunding of outstanding principal Telecom 2009 and payment of cost of issuance |
07-01-2036 |
$17,335,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Pay part of the costs of constructing & equipping a new residence hall on the campus of the University |
07-01-2034 |
$17,235,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Partial funding for construction of new residence hall. |
07-01-2033 |
$16,525,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Pay/reimburse costs of building, repairing, replacing, reconstructing & equipping flood damaged buildings/facilities on the campus of the University |
07-01-2035 |
$16,470,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refund Athletic 2009 Bond issue, pay costs of issuance. |
07-01-2035 |
$15,925,000.00 |
Revenue Bonds |
Parks/Recreation |
Advance Refunding of Recreation Revenue Bond, Series 2009 |
07-01-2034 |
$15,395,000.00 |
Revenue Bonds |
Transportation |
Pay portion of costs of constructing/extending/equipping/improving Parking Facilities on campus adjacent to UIHC |
07-01-2040 |
$15,165,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Current Refunding Athletic Facilities Revenue Bonds, Series 2010
Pay COI |
07-01-2036 |
$13,625,000.00 |
Revenue Bonds |
Parks/Recreation |
Advance Refunding of Recreation Revenue Bond, Series 2008 |
07-01-2034 |
$13,245,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refunding of Academic Building Bond, Series 2008 |
07-01-2030 |
$13,115,000.00 |
Revenue Bonds |
Parks/Recreation |
Advance Refunding of Recreation Revenue Bond, Series 2007 |
07-01-2034 |
$13,020,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Provide for the defeasance & Advance refunding Athletic Revenue Bonds Series SUI 2005A |
07-01-2031 |
$12,055,000.00 |
Revenue Bonds |
Health Care |
Advance Refund Hospital 2007 & 2007A Bond issues, pay costs of issuance. |
09-01-2027 |
$12,020,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refund Athletic 2006 Bond issue, pay costs of issuance. |
07-01-2031 |
$11,635,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Provide for the defeasance & current refunding Athletic Revenue Bonds, Series SUI 2005 |
07-01-2030 |
$10,870,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refund Athletic 2006A Bond issue, pay costs of issuance. |
07-01-2031 |
$10,850,000.00 |
Revenue Bonds |
Health Care |
Advance Refund Hospital 2009 Bond issue, pay costs of issuance. |
09-01-2028 |
$10,775,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Pay or reimburse costs of building, repairing, replacing, etc. flood damaged buildings, fund reserve fund, pay costs of issuance |
07-01-2036 |
$10,040,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refunding of Academic Building Revenue Bond, Series 2007 |
07-01-2028 |
$9,135,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refunding of Athletic 2005B Bond issue and pay the costs of issuance. |
07-01-2031 |
$6,755,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Current Refunding Academic Revenue Bonds, Series 2010
Pay COI |
07-01-2033 |
$5,580,000.00 |
Revenue Bonds |
Other |
Current Refunding Telecommunications Revenue Bonds, Series 2011
Pay COI |
07-01-2032 |
$5,010,000.00 |
Revenue Bonds |
Transportation |
Provide for the defeasance and Advance Refund Parking System Revenue Bonds, Series SUI 2004 |
07-01-2025 |
$2,295,000.00 |
Revenue Bonds |
Public Buildings/Schools |
Advance Refunding of IMU Revenue Bonds, Series SUI 2005 |
07-01-2025 |
$1,410,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Finance portion of costs of building, furnishing & equipping a Health Sciences Academic Building and the costs of issuance |
06-01-2048 |
$28,720,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Finance portion of costs of constructing & equipping a new Museum of Art and pay Cost of Issuance |
06-01-2050 |
$27,620,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Current Refunding CBRB 2010, COPH 2010 & PBDB 2011 and pay Cost of Issuance |
06-01-2037 |
$26,985,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Current Refunding CBRB 2012/2012A PBDB 2012
Pay COI |
06-01-2038 |
$23,800,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Finance portion of costs of building, furnishing & equipping Athletic Training facilities and costs of issuance |
06-01-2044 |
$19,615,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Advance Refunding Old Capitol Town Center Series 2006 and pay Cost of Issuance |
06-01-2031 |
$9,335,000.00 |
Capital Leases/Lease to Purchase |
Public Buildings/Schools |
Refinance Football Operations/Rec Building Track Master Leases |
08-03-2030 |
$8,237,257.11 |
Capital Leases/Lease to Purchase |
Parks/Recreation |
Refinance Carver Hawkeye Arena Video equipment |
08-03-2030 |
$824,245.28 |
Total Debt as of 2025: |
$1,324,361,502.39 |