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Annual Comprehensive Financial Report

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Document Summary

The report that updates the impact of the 2017 -B green bond proceeds

Document Summary

City of Lawrence, Kansas General Obligation Bonds, Series 2017-D

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Official Statement for series 2017-A; 2017-B; 2017-I

Document Summary

FOS 2017-C "Neighborly Bonds"

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2017 Comprehensive Annual Financial Report

Document Summary

FOS 2016-A Refunding

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FOS Revenue Bonds 2016-A

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2016 Comprehensive Annual Financial Report
DateNameCategorySummary
October 2022 October 2022 Investment Report Monthly Investment Reports
September 2022 September 2022 Investment Report Monthly Investment Reports
August 2022 August 2022 Investment Report Monthly Investment Reports
August 2022 August 2022 Sales Tax Report Sales Tax Reports
July 2022 July 2022 Investment Report Monthly Investment Reports
July 2022 July 2022 Sales Tax Report Sales Tax Reports
June 2022 June 2022 Investment Report Monthly Investment Reports
June 2022 June 2022 Sales Tax Report Sales Tax Reports
May 2022 May 2022 Investment Report Monthly Investment Reports
April 11, 2022 $57.935 Million General Obligation Improvement Bonds, Series 2022-A and General Obligation Temporary Notes, Series 2022-I Official Statements
April 2022 April 2022 Investment Report Monthly Investment Reports
April 2022 April 2022 Sales Tax Report Sales Tax Reports
March 2022 March 2022 Investment Report Monthly Investment Reports
March 2022 March 2022 Sales Tax Report Sales Tax Reports
February 2022 February 2022 Investment Report Monthly Investment Reports
February 2022 February 2022 Sales Tax Report Sales Tax Reports
2022 FY2022 Operating Budget Annual Operating Budget
January 2022 January 2022 Investment Report Monthly Investment Reports
January 2022 January 2022 Sales Tax Report Sales Tax Reports
December 10, 2021 $46.560 Million Water and Sewage System Improvement Revenue Bonds, Series 2021 Official Statements
December 2021 December 2021 Investment Report Monthly Investment Reports
December 2021 December 2021 Sales Tax Report Sales Tax Reports
November 2021 November 2021 Investment Report Monthly Investment Reports
November 2021 November 2021 Sales Tax Report Sales Tax Reports
October 2021 October 2021 Investment Report Monthly Investment Reports
October 2021 October 2021 Sales Tax Report Sales Tax Reports
September 2021 2021 Third Quarter Financial Report Quarterly Reports
September 2021 September 2021 Investment Report Monthly Investment Reports
September 2021 September 2021 Sales Tax Report Sales Tax Reports
August 31, 2021 2021 Recovery Plan Other Reports
August 2021 August 2021 Investment Report Monthly Investment Reports
August 2021 August 2021 Sales Tax Report Sales Tax Reports
July 2021 July 2021 Investment Report Monthly Investment Reports
July 2021 July 2021 Sales Tax Report Sales Tax Reports
June 2021 June 2021 Investment Report Monthly Investment Reports
June 2021 June 2021 Sales Tax Report Sales Tax Reports
May 4, 2021 Fund Balance Policy Policies
May 2021 May 2021 Investment Report Monthly Investment Reports
May 2021 May 2021 Sales Tax Report Sales Tax Reports
April 6, 2021 $29.740 Million General Obligation Improvement Bonds, Series 2021-A and $22.605 Million General Obligation Temporary Notes, Series 2021-I Official Statements
April 2021 April 2021 Investment Report Monthly Investment Reports
April 2021 April 2021 Sales Tax Report Sales Tax Reports
March 2021 2021 First Quarter Financial Report Quarterly Reports
March 2021 March 2021 Investment Report Monthly Investment Reports
March 2021 March 2021 Sales Tax Report Sales Tax Reports
February 2021 February 2021 Investment Report Monthly Investment Reports
February 2021 February 2021 Sales Tax Report Sales Tax Reports
2021 2021 Report Annual Comprehensive Financial Reports
2021 FY2021 Operating Budget Annual Operating Budget
January 2021 January 2021 Investment Report Monthly Investment Reports
January 2021 January 2021 Sales Tax Report Sales Tax Reports
December 2020 December 2020 Sales Tax Report Sales Tax Reports
November 2020 November 2020 Sales Tax Report Sales Tax Reports
October 2020 October 2020 Sales Tax Report Sales Tax Reports
September 2020 2020 Third Quarter Financial Report Quarterly Reports
September 2020 September 2020 Sales Tax Report Sales Tax Reports
August 2020 August 2020 Sales Tax Report Sales Tax Reports
July 2020 July 2020 Sales Tax Report Sales Tax Reports
June 26, 2020 $2.325 Million Taxable General Obligation Refunding Bonds, Series 2020-B Official Statements
June 2020 2020 Second Quarter Financial Report Quarterly Reports
June 2020 June 2020 Sales Tax Report Sales Tax Reports
May 2020 May 2020 Sales Tax Report Sales Tax Reports
April 17, 2020 $5.775 Million General Obligation Improvement Bonds, Series 2020-A and $2.445 Million General Obligation Temporary Notes, Series 2020-I Official Statements
April 2020 April 2020 Sales Tax Report Sales Tax Reports
March 2020 2020 First Quarter Financial Report Quarterly Reports
March 2020 March 2020 Sales Tax Report Sales Tax Reports
February 2020 February 2020 Sales Tax Report Sales Tax Reports
2020 2019-2020 Green Bond Impact Report

This document is related to our ESG program.Learn more
Green Bond Reports
2020 2020 Annual Projections Quarterly Reports
2020 2020 Report Annual Comprehensive Financial Report
2020 FY2020 Operating Budget Annual Operating Budget
January 2020 January 2020 Sales Tax Report Sales Tax Reports
2020 Strategic Plan Other Reports
2020 Year 2 Measurement and Verification Report 2020

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Green Bond Reports
December 2019 December 2019 Sales Tax Report Sales Tax Reports
November 22, 2019 $8.970 Million G.O. Temporary Notes, Series 2019-II Official Statements
November 5, 2019 Investment Policy Policies
November 2019 November 2019 Sales Tax Report Sales Tax Reports
October 2019 October 2019 Sales Tax Report Sales Tax Reports
September 2019 2019 Third Quarter Financial Report Quarterly Reports
September 2019 September 2019 Sales Tax Report Sales Tax Reports
March 8, 2019 $28.665 Million G.O. Temporary Notes, Series 2019-I Official Statements
March 8, 2019 $3.880 Million G.O. Improvement Bonds, Series 2019-A Official Statements
2019 2018-2019 Green Bond Impact Report

This document is related to our ESG program.Learn more
Green Bond Reports
2019 2019 Report Annual Comprehensive Financial Report
2019 FY19 Operating Budget Annual Operating Budget
2019 Year 1 Measurement and Verification Report 2019

This document is related to our ESG program.Learn more
Green Bond Reports
October 25, 2018 $20.070 Million Water and Sewage System Improvement Revenue Bonds, Series 2018 Official Statements
2018 2017-2018 Green Bond Impact Report

This document is related to our ESG program.Learn more
Green Bond ReportsThe report that updates the impact of the 2017 -B green bond proceeds
2018 2018 Report Annual Comprehensive Financial Report
2018 FY18 Operating Budget Annual Operating Budget
December 19, 2017 $17.195 Final Official Statement, Water and Sewage System Improvement and Refunding Revenue Bonds, Series 2017 Official Statements
September 15, 2017 $13.975 Million Final Official Statement General Obligation Bonds, Series 2017-D Official StatementsCity of Lawrence, Kansas General Obligation Bonds, Series 2017-D
May 10, 2017 $11,375,000 General Obligation Energy Improvement Bonds, Series 2017-B (the "Green Bonds") Final Official Statement

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Official Statements
May 10, 2017 $3.030 million Lawrence GO, Series 2017-A; $11.375 million Lawrence GO; $6 million GO Temp Notes Official StatementsOfficial Statement for series 2017-A; 2017-B; 2017-I
May 10, 2017 $654,000 Lawrence GO, Series 2017-C "Neighborly Bonds" Official StatementsFOS 2017-C "Neighborly Bonds"
April 7, 2017 Capital Improvement Plan Policy Policies
January 15, 2017 Economic Development Policy Policies
2017 2017 Report Annual Comprehensive Financial Report2017 Comprehensive Annual Financial Report
2017 Investment Grade Audit Report

This document is related to our ESG program.Learn more
Green Bond Reports
November 29, 2016 FY17 Operating Budget Annual Operating Budget
September 7, 2016 Purchasing Policy Policies
June 10, 2016 $13.385 million Lawrence Refunding GO, Series 2016-A Official StatementsFOS 2016-A Refunding
June 10, 2016 $60.310 million Lawrence Water and Sewage Revenue bonds, Series 2016-A Official StatementsFOS Revenue Bonds 2016-A
2016 2016 Report Annual Comprehensive Financial Report2016 Comprehensive Annual Financial Report
2015 2015 Report Annual Comprehensive Financial Report
2014 2014 Report Annual Comprehensive Financial Report
2013 2013 Report Annual Comprehensive Financial Report
2012 2012 Report Annual Comprehensive Financial Report
2011 2011 Report Annual Comprehensive Financial Report
August 24, 2010 $7.465 million Lawrence GO & Ref Bonds, Series 2010-B:C Official Statements
2010 2010 Report Annual Comprehensive Financial Report