U.S. Treasury Note Matures Oct 2026 for Tyler ISD
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Description
ISD invested in a U.S. Treasury Note maturing October 31, 2026 to enhance general fund security.
Contract Details
Contract Amount
$659,783.08 (GEN OP)
Vendor
UNITED STATES TREASURY NOTES
Agency
Tyler Isd, TX
Contract Type
FINANCIAL_SERVICES
Document Date
February 28, 2025
Contract Term
Matures 10/31/2026 (purchased 11/04/2024)
Renewal Date
2026-10-31
Renewal Info
Funds reinvested at maturity.
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