Content Row
Content Row
2019 Bond  Proposition B Financial Report
Bulldog Stadium
as of
March 31, 2025
             
    $4,500,000      
Bond Proceeds   $4,500,000.00    
Buyboard Rebate (Turf)   $12,951.00    
Interest     $3,193,277.31    
Total Revenue       $7,706,228.31
             
Bond Expenditures          
             
Architect/Engineers/Miscellaneous $590,198.64    
Phase I -  Artificial Field Turf - Complete $1,341,644.00    
Phase I - GMP - Complete   $303,831.15    
Phase II GMP     $2,493,652.38    
Phase III GMP   $2,971,666.02    
Total Expenditures       $7,700,992.19
Bond Balance as of   March 31, 2025   $5,236.12