20
12/17/2012, page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

(NKO49' - State College Area School District · 2013. 5. 25. · 4/15/2022, page 4!"#$%&'()*+,+-%%./$+$('0,'1%!"#$%2"34,5"% Outstanding Debt Summary Interest Final Call Issue Prinicipal

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  • 12/17/2012, page 13

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  • 12/17/2012, page 14

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  • 2/18/2013, page 17

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  • 2/18/2013, page 20

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  • 2/18/2022, page 22

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  • 4/15/2022, page 3

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  • 4/15/2022, page 4

    !"#$%&'()*+,+-%%./$+$('0,'1%!"#$%2"34,5"%

    Outstanding Debt SummaryInterest Final Call

    Issue Prinicipal Purpose Rates Maturity Date2008 3,265,000 Current Refunding 3.15% 2016

    2009 8,645,000 Current Refunding 2.50-4.00% 2022 9/1/2014

    2010A 12,020,000 Current Refunding 3.00-3.75% 2025 11/15/2015

    2010B 7,990,000 Advance Refunding 3.00-4.00% 2026 11/15/2015

    2010C 5,420,000 Capital Projects 3.00-4.00% 2028 11/15/2015

    2011B 8,160,000 Current Refunding 1.00-4.00% 2028 5/15/2016

    2012 14,760,000 Advance Refunding .50-3.50% 2029 11/15/2019

    Total 60,260,000

    !

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    %!!*,-./01 %!!+ -./01 %!#!2 -./01 %!#!3 -./01 %!#!4 -./01 %!##3 -./01 %!#% -./01

    Districts debt service contains 100% fixed rate debt and remains relatively level over the next 12 years

  • 4/15/2022, page 5

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  • 4/15/2022, page 6

    !"#$%&'()$*+%,%-./"*+%+(%!012$+%345%6$"'%7.('89"8(:#;%New Project Funding Analysis

    Budget Analysis Minus Mills currently Additional30-Jun Existing Sub Total Operational Net Budget Budgeted for Millage

    Year Ending Debt Principal Interest Total Debt Svc Savings Impact Debt Svc. 1 Needed 2?

    2014 6,333,323 0 0 0 6,333,3232015 5,362,751 0 1,802,889 1,802,889 7,165,640 0 7,165,640 3.17 0.0002016 5,360,887 2,625,000 3,600,528 6,225,528 11,586,415 0 11,586,415 3.17 2.6272017 5,341,494 2,640,000 3,585,378 6,225,378 11,566,8722018 5,109,166 2,665,000 3,562,819 6,227,819 11,336,9852019 5,101,976 2,690,000 3,534,020 6,224,020 11,325,9962020 5,011,589 2,725,000 3,499,486 6,224,486 11,236,0752021 4,993,044 2,770,000 3,458,240 6,228,240 11,221,2842022 4,970,060 2,820,000 3,407,188 6,227,188 11,197,2482023 4,881,638 2,880,000 3,347,308 6,227,308 11,108,9452024 4,893,218 2,945,000 3,279,551 6,224,551 11,117,7692025 4,893,188 3,020,000 3,203,460 6,223,460 11,116,6482026 4,881,256 3,105,000 3,119,975 6,224,975 11,106,2312027 3,853,406 3,195,000 3,030,976 6,225,976 10,079,3832028 3,850,019 3,290,000 2,936,920 6,226,920 10,076,9392029 1,275,100 3,390,000 2,836,695 6,226,695 7,501,7952030 1,276,963 3,495,000 2,729,951 6,224,951 7,501,9142031 0 3,610,000 2,616,243 6,226,243 6,226,2432032 0 3,730,000 2,496,035 6,226,035 6,226,0352033 0 3,855,000 2,368,955 6,223,955 6,223,9552034 0 3,995,000 2,231,510 6,226,510 6,226,5102035 0 4,140,000 2,084,045 6,224,045 6,224,0452036 0 4,295,000 1,929,033 6,224,033 6,224,0332037 0 4,460,000 1,765,950 6,225,950 6,225,9502038 0 4,630,000 1,594,355 6,224,355 6,224,3552039 0 4,810,000 1,413,793 6,223,793 6,223,7932040 0 5,000,000 1,223,700 6,223,700 6,223,7002041 0 5,200,000 1,023,500 6,223,500 6,223,5002042 0 5,415,000 812,500 6,227,500 6,227,5002043 0 5,635,000 591,500 6,226,500 6,226,5002044 0 5,865,000 361,500 6,226,500 6,226,5002045 0 6,105,000 122,100 6,227,100 6,227,100

    Total 77,389,077 115,000,000 73,570,100 188,570,100 265,959,177Notes1. Mills currently budgeted for debt service is based off of 2014 debt service budgeted2. Based on a value of a mill of $2,000,000

    Millage Impact

    Funding Assumptions

    1.  Amount - $115,000,000

    2.  Term – 30 years

    3.  Type-Level

    4.  Rate – 3.57%

    0

    2,000

    4,000

    6,000

    8,000

    10,000

    12,000

    Thousands

    2014 2016 2018 2020 2022 2024 2026 2028 2030 2032 2034 2036 2038 2040 2042 2044

    Existing Debt New Debt

    Notes: Based upon prior reimbursement formulas, the District would have been eligible for 5%in reimbursement

  • 4/15/2022, page 7

    !"#"$%&'$()%*#+&,-.&/".0%#+&&Phased Funding and Future Plans

    85,000,000 30,000,000 42,480,000 Minus Divert Mills currently Additional30-Jun Existing Borrow ing Borrow ing Borrow ing Total Operational Capital Net Budget Budgeted for Millage

    Year Ending Debt 2014 2015 Future Needs Debt Svc Savings Reserve mills Impact Debt Svc. 1 Needed 2?

    2014 6,333,323 0 0 6,333,3232015 5,362,751 1,332,538 0 0 6,695,289 0 6,695,289 3.172016 5,360,887 4,601,195 477,856 0 10,439,939 0 10,439,939 3.172017 5,341,494 4,600,003 1,105,413 0 11,046,909 0 11,046,909 3.172018 5,109,166 4,603,333 1,652,488 666,003 12,030,989 0 -666,003 11,364,986 3.172019 5,101,976 4,602,035 1,651,514 2,300,065 13,655,590 0 -2,300,000 11,355,590 3.17 2.5112020 5,011,589 4,601,494 1,653,875 2,299,469 13,566,4262021 4,993,044 4,601,021 1,654,691 2,301,134 13,549,8902022 4,970,060 4,603,300 1,653,734 2,300,485 13,527,5792023 4,881,638 4,604,020 1,655,170 2,297,731 13,438,5592024 4,893,218 4,603,885 1,654,255 2,297,533 13,448,8902025 4,893,188 4,602,566 1,651,285 2,298,718 13,445,7562026 4,881,256 4,600,823 1,651,130 2,301,603 13,434,8112027 3,853,406 4,600,063 1,653,980 2,301,535 12,408,9842028 3,850,019 4,600,590 1,655,318 2,298,409 12,404,3352029 1,275,100 4,601,546 1,655,299 2,297,605 9,829,5502030 1,276,963 4,602,631 1,653,668 2,299,760 9,833,0212031 0 4,603,530 1,655,295 2,300,024 8,558,8492032 0 4,599,685 1,655,048 2,298,040 8,552,7732033 0 4,600,778 1,653,113 2,298,660 8,552,5502034 0 4,599,228 1,654,353 2,301,649 8,555,2292035 0 4,600,283 1,652,848 2,302,185 8,555,3152036 0 4,600,700 1,653,693 2,300,190 8,554,5832037 0 4,600,181 1,652,528 2,299,415 8,552,1242038 0 4,603,325 1,654,219 2,299,943 8,557,4862039 0 4,599,816 1,653,630 2,297,698 8,551,1442040 0 4,599,330 1,655,620 2,302,438 8,557,3882041 0 4,601,339 1,655,045 2,299,010 8,555,3942042 0 4,600,400 1,651,855 2,302,255 8,554,5102043 0 4,602,100 1,655,800 2,301,915 8,559,8152044 0 4,602,100 1,652,100 2,297,920 8,552,1202045 0 4,600,200 1,656,000 2,300,000 8,556,2002046 0 0 1,652,400 2,298,400 3,950,8002047 0 0 0 2,298,500 2,298,500

    Total 77,389,077 139,374,035 47,890,818 62,761,388 333,664,617Notes1. Mills currently budgeted for debt service is based off of 2014 debt service budgeted2. Based on a value of a mill of $2,000,0003. Future needs funded by mills currently budgeted for Capital Reserve Fund

    Millage Impact

    0

    2,000

    4,000

    6,000

    8,000

    10,000

    12,000

    14,000

    Thousands

    2014 2017 2020 2023 2026 2029 2032 2035 2038 2041 2044 2047

    Existing Debt 85,000,000 Borrowing 2014

    30,000,000.00 Borrowing 2015 42,480,000.00 Future Future Needs

    Future Needs

    1.  Debt Service declines in the future

    2.  Additional Projects feasible without affecting the budget

  • 4/15/2022, page 8

    !"#$%&'()$*+%,%-./"*+%+(%!012$+%345%6$"'%7.('89"8(:#;%

    Millage Impact

    Notes: Based upon prior reimbursement formulas, the District would have been eligible for 5%in reimbursement

    Funding Assumptions

    1.  Amount - $115,000,000

    2.  Term – 20 years

    3.  Type-Level

    4.  Rate – 2.94%

    New Project Funding AnalysisBase Project Budget Analysis Minus Mills currently Additional

    30-Jun Existing Sub Total Operational Net Budget Budgeted for MillageYear Ending Debt Principal Interest Total Debt Svc Savings Impact Debt Svc. 1 Needed 2

    ?2014 6,333,323 0 0 0 6,333,3232015 5,362,751 0 1,444,458 1,444,458 6,807,209 0 6,807,209 3.17 0.0002016 5,360,887 4,750,000 2,879,415 7,629,415 12,990,302 0 12,990,302 3.17 3.3282017 5,341,494 4,775,000 2,852,009 7,627,009 12,968,5032018 5,109,166 4,815,000 2,811,231 7,626,231 12,735,3982019 5,101,976 4,870,000 2,759,140 7,629,140 12,731,1162020 5,011,589 4,930,000 2,696,643 7,626,643 12,638,2312021 4,993,044 5,005,000 2,622,074 7,627,074 12,620,1182022 4,970,060 5,095,000 2,529,833 7,624,833 12,594,8932023 4,881,638 5,205,000 2,421,628 7,626,628 12,508,2652024 4,893,218 5,330,000 2,299,080 7,629,080 12,522,2982025 4,893,188 5,465,000 2,161,376 7,626,376 12,519,5642026 4,881,256 5,615,000 2,010,355 7,625,355 12,506,6112027 3,853,406 5,780,000 1,849,380 7,629,380 11,482,7862028 3,850,019 5,950,000 1,679,253 7,629,253 11,479,2712029 1,275,100 6,130,000 1,498,008 7,628,008 8,903,1082030 1,276,963 6,320,000 1,304,985 7,624,985 8,901,9482031 0 6,530,000 1,099,333 7,629,333 7,629,3332032 0 6,745,000 881,928 7,626,928 7,626,9282033 0 6,975,000 652,060 7,627,060 7,627,0602034 0 7,225,000 403,435 7,628,435 7,628,4352035 0 7,490,000 136,693 7,626,693 7,626,6932036 0 0 0 0 02037 0 0 0 0 02038 0 0 0 0 02039 0 0 0 0 02040 0 0 0 0 02041 0 0 0 0 02042 0 0 0 0 02043 0 0 0 0 02044 0 0 0 0 02045 0 0 0 0 0

    Total 77,389,077 115,000,000 38,992,313 153,992,313 231,381,389Notes1. Mills currently budgeted for debt service is based off of 2014 debt service budgeted2. Based on a value of a mill of $2,000,000

    0

    2,000

    4,000

    6,000

    8,000

    10,000

    12,000

    14,000

    Thousands

    2014 2017 2020 2023 2026 2029 2032 2035 2038 2041 2044

    Existing Debt New Debt

  • 4/15/2022, page 9

    !"#$%&'()*+,+&*+-().'."%(!"#$%&'/(,+0(1.0-%'/(234(5%,"(67#"89,8#+/:(

    Future Needs

    1.  Debt Service declines in the future

    2.  Additional Projects feasible without affecting the budget

    Phased Funding and Future Plans85,000,000 30,000,000 34,680,000 Minus Divert Mills currently Additional

    30-Jun Existing Borrow ing Borrow ing Future Total Operational Capital Net Budget Budgeted for MillageYear Ending Debt 2014 2015 Future Needs Debt Svc Savings Reserve mills Impact Debt Svc. 1 Needed 2

    ?2014 6,333,323 0 0 6,333,3232015 5,362,751 1,067,601 0 0 6,430,353 0 6,430,353 3.172016 5,360,887 5,638,183 388,763 0 11,387,832 0 11,387,832 3.172017 5,341,494 5,637,925 927,225 0 11,906,644 0 11,906,644 3.172018 5,109,166 5,637,778 2,067,069 435,670 13,249,683 0 -435,670 12,814,013 3.172019 5,101,976 5,639,268 2,066,014 2,298,480 15,105,738 0 -2,300,000 12,805,738 3.17 3.2362020 5,011,589 5,638,064 2,066,895 2,300,220 15,016,7682021 4,993,044 5,637,935 2,064,964 2,297,933 14,993,8752022 4,970,060 5,639,710 2,064,774 2,302,225 14,976,7692023 4,881,638 5,634,715 2,064,795 2,298,381 14,879,5292024 4,893,218 5,639,155 2,065,485 2,300,900 14,898,7582025 4,893,188 5,637,360 2,062,335 2,298,093 14,890,9752026 4,881,256 5,635,730 2,065,085 2,300,473 14,882,5442027 3,853,406 5,636,783 2,064,195 2,298,541 13,852,9252028 3,850,019 5,636,109 2,065,614 2,302,018 13,853,7592029 1,275,100 5,637,200 2,064,565 2,301,425 11,278,2902030 1,276,963 5,639,486 2,065,503 2,297,900 11,279,8512031 0 5,637,449 2,063,255 2,301,629 10,002,3332032 0 5,636,790 2,062,641 2,301,940 10,001,3712033 0 5,636,903 2,063,848 2,298,724 9,999,4742034 0 5,638,148 2,066,605 2,301,708 10,006,4602035 0 5,636,014 2,064,285 2,301,118 10,001,4162036 0 0 2,067,048 2,301,755 4,368,8032037 0 0 0 2,301,730 2,301,7302038 0 0 0 2,301,245 2,301,2452039 0 0 0 0 02040 0 0 0 0 02041 0 0 0 0 02042 0 0 0 0 02043 0 0 0 0 02044 0 0 0 0 02045 0 0 0 0 02046 0 0 0 0 02047 0 0 0 0 0

    Total 77,389,077 113,818,303 40,550,960 46,442,105 278,200,444Notes1. Mills currently budgeted for debt service is based off of 2014 debt service budgeted2. Based on a value of a mill of $2,000,0003. Future needs funded by mills currently budgeted for Capital Reserve Fund

    Millage Impact

    0

    2,000

    4,000

    6,000

    8,000

    10,000

    12,000

    14,000

    16,000

    Thousands

    2014 2016 2018 2020 2022 2024 2026 2028 2030 2032 2034 2036 2038 2040 2042 2044 2046

    Existing Debt 85,000,000 Borrowing 2014

    30,000,000.00 Borrowing 2015 34,680,000.00 Future Future Needs

  • 32

    !"#$%&'()*+$%$(

    4/15/2013, page 32

  • 5/13/2013, page 24

  • 5/13/2013, page 25

  • 5/13/2013, page 26