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 |