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Activity for Fund 5031 - GR Account - Excess Benefit Arrangement, Teacher Retirement System
Agency 323 - Teacher Retirement System of Texas
Fiscal Year 2021 - By Month
| Month | Revenue | Expenditures | Net Activity |
|---|---|---|---|
| September | 300,000.00 | 273,602.17 | 26,397.83 |
| October | 616,713.50 | 545,855.44 | 70,858.06 |
| November | 925,070.25 | 827,387.41 | 97,682.84 |
| December | 1,233,427.00 | 1,102,195.28 | 131,231.72 |
| January | 1,541,783.75 | 1,387,732.11 | 154,051.64 |
| February | 1,850,140.50 | 1,680,362.78 | 169,777.72 |
| March | 2,394,174.31 | 2,206,799.20 | 187,375.11 |
| April | 2,702,531.06 | 2,507,648.60 | 194,882.46 |
| May | 3,010,887.81 | 2,787,017.68 | 223,870.13 |
| June | 3,319,244.56 | 3,115,870.38 | 203,374.18 |
| July | 3,627,899.18 | 3,429,537.15 | 198,362.03 |
| August | 3,936,553.80 | 3,759,193.80 | 177,360.00 |