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Net Revenue by Object
Source: Bond and Note Proceeds
Fiscal Year 2025
September 1, 2024 - August 31, 2025
| Object | Revenue (All Funds) | Revenue (Excluding Trust) | |
|---|---|---|---|
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3353 - Sale of Veterans' Bonds | 531,135,000.00 | 531,135,000.00 |
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3354 - Water Development Bond Sales | 12,350,055.50 | 12,350,055.50 |
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3515 - College Student Loan Bond Sales | 96,840,915.58 | 96,840,915.58 |
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3744 - Sale of Public Building Bonds | 683,642.24 | 683,642.24 |
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3807 - Issuance of Commercial Paper | 344,770,000.00 | 344,770,000.00 |
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3870 - Bonds Issued to Refund Existing Bond Debt | 756,093.54 | 756,093.54 |
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3882 - Premium/Discount on Bonds Issued | 3,434,175.05 | 3,434,175.05 |
| Total | 989,969,881.91 | 989,969,881.91 |
= Comptroller Manual of Account details
= Amounts for all fiscal years