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Activity for Fund 7061 - T.P.F.A. G.O. and Refunding Bonds (CPRIT),Series 2015C, Interest and Sinking Fund
Fiscal Year 2025 activity September 1, 2024 - November 30, 2024
Prior fiscal years September 1 - August 31
Fiscal Year | Revenue | Expenditures | Net Activity | |
---|---|---|---|---|
2025 | 22,355,673.68 | 22,343,038.65 | 12,635.03 | |
2024 | 26,430,208.05 | 26,430,068.25 | 139.80 | |
2023 | 26,878,914.01 | 26,877,156.45 | 1,757.56 | |
2022 | 27,282,131.14 | 27,282,087.45 | 43.69 | |
2021 | 27,637,377.43 | 27,638,204.85 | (827.42) | |
2020 | 27,940,500.24 | 27,940,886.15 | (385.91) | |
2019 | 28,180,296.11 | 28,180,146.75 | 149.36 | |
2018 | 28,348,418.48 | 28,347,851.05 | 567.43 | |
2017 | 28,447,510.51 | 28,468,311.53 | (20,801.02) | |
2016 | 4,239,143.17 | 4,217,749.79 | 21,393.38 |