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FINANCIAL_SERVICESONGOING

Paint Creek ISD Annual Local Debt Report 2025

Paint Creek Issues $3.7M in 2025 Bonds for Projects

$3,675,000 principal issued and outstanding as of report;$4,042,538 total principal and interestPaint Creek Isd2025 SERIES BONDSAugust 31, 2025

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Veritone logo
TerraCycle logo
Cyvl logo
WithersRavenel logo
Derivita logo
Comcate logo
SafeTouch logo
IANS Research logo
Motive logo
Veritone logo
TerraCycle logo
Cyvl logo
WithersRavenel logo
Derivita logo
Comcate logo
SafeTouch logo
IANS Research logo
Motive logo
Veritone logo
TerraCycle logo
Cyvl logo
WithersRavenel logo
Derivita logo
Comcate logo
SafeTouch logo
IANS Research logo

Description

The 2025 Series Bonds were issued to finance construction and purchase school buses for Paint Creek ISD, with $3,675,000 principal outstanding and $4,042,538 total principal and interest due through February 15, 2041.

Contract Details

Contract Amount

$3,675,000 principal issued and outstanding as of report;$4,042,538 total principal and interest

Vendor

2025 SERIES BONDS

Agency

Paint Creek Isd, TX

Contract Type

FINANCIAL_SERVICES

Document Date

August 31, 2025

Contract Term

Until 2/15/2041

Renewal Date

2041-02-15

Renewal Info

Long-term bond, matures on 2/15/2041; repayment schedule set at issuance.

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