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<br />30 <br />ARTICLE V <br />REDEMPTION OF BONDS PRIOR TO MATURITY <br />Section 5.1 Redemption Dates and Prices. <br /> <br />(a) The Series 2022 Bonds maturing on or after ____________ 1, 20__, are <br />subject to redemption at the option of the Issuer on any date on or after __________, 1, 20___, in <br />whole or in part, in order of maturity determined by Issuer and by lot within maturities, at face <br />value, plus accrued interest to the date fixed for redemption and without premium. <br />(b) The Series 2022 Bonds maturing on _________ 1, 20__, __________ 1, <br />20__, and _____________ 1, 20__, are subject to mandatory sinking fund redemption prior to <br />maturity on the dates and in the amounts set forth below at a price equal to 100% of the principal <br />amount to be redeemed, plus accrued interest to the date of redemption: <br />Term Bonds Due __________ 1, 20___ <br />Date Amount <br /> <br /> <br /> <br /> <br />* <br /> <br /> *Final maturity <br />Term Bonds Due __________ 1, 20__ <br />Date Amount <br /> <br /> <br /> <br /> <br />* <br /> <br /> *Final maturity <br />Term Bonds Due _________ 1, 20__ <br /> <br />Date Amount <br /> <br /> <br /> <br />* <br /> <br /> *Final maturity <br /> <br /> <br />