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Greater Texoma UA

Contract Rev Bonds Ser 2014 (City of Sherman Proj)

$1,025,000 of principal outstanding at the end of fiscal year 2025.

Terms

Closing date
August 26, 2014
Fiscal year issued
Not reported
Par amount
Not reported
Pledge
Revenue
Purpose
Water and sewer
Sale
Not reported
Final maturity
April 1, 2035

Debt outstanding by fiscal year

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Principal, interest and debt service outstanding at each reporting date
Fiscal yearPrincipalInterestTotal debt service
2025$1,025,000$132,697$1,157,697
2024$1,120,000$157,401$1,277,401
2023$1,215,000$183,720$1,398,720
2022$1,305,000$211,443$1,516,443
2021$1,395,000$240,327$1,635,327
2020$1,425,000$269,865$1,694,865
2019$1,465,000$299,636$1,764,636
2018$1,530,000$329,741$1,859,741
2017$1,615,000$360,074$1,975,074
2016$1,700,000$390,406$2,090,406

Costs of issuance

No costs of issuance are reported for this issue. Cost data covers issues sold in the loaded fiscal years.

Source: Local Issuance Fee By Year (updated by the publisher Sep 9, 2026); Debt Outstanding By Issuance Local By Year (updated by the publisher Sep 9, 2026). Loaded here Oct 3, 2026.

Texas fiscal years run September 1 to August 31.

Figures are as reported to the agency and have not been independently verified.