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TABLE OF CONTENTS <br />Section 1.01 <br />Section 1.02 <br />Section 2.01 <br />Section 2.02 <br />Section 2.03 <br />Section 2.04 <br />Section 2.05 <br />Section 2.06 <br />ARTICLE I <br />DEFINITIONS; INTERPRETATION <br />Certain Defined Terms .......... <br />Other Definitional Provisions <br />ARTICLE II <br />THE BONDS <br />Issuance of Bonds; Form; Dating <br />Description of the Bonds ............. <br />Interest on the Bonds ................... <br />Medium of Payment .................... <br />Form............................................. <br />Additional Bonds ......................... <br />Page <br />.1 <br />13 <br />...............................................13 <br />...............................................13 <br />...............................................14 <br />...............................................14 <br />...............................................15 <br />...............................................15 <br />ARTICLE III <br />EXECUTION, AUTHENTICATION AND EXCHANGE OF BONDS; <br />BOOK ENTRY BONDS <br />Section 3.01 <br />Execution and Authentication; Registration............................................................15 <br />Section 3.02 <br />Transfer or Exchange of Bonds...............................................................................15 <br />Section 3.03 <br />Book -Entry Bonds...................................................................................................16 <br />Section 3.04 <br />Mutilated, Lost, Stolen or Destroyed Bonds...........................................................18 <br />Section 3.05 <br />Destruction of Bonds...............................................................................................18 <br />Section 3.06 <br />Temporary Bonds.................................................................................................... <br />18 <br />Section 4.01 <br />Section 4.02 <br />Section 4.03 <br />Section 4.04 <br />Section 4.05 <br />Section 4.06 <br />Section 5.01 <br />Section 5.02 <br />ARTICLE IV <br />REDEMPTION OF BONDS <br />Notices to Trustee; Notices to Bondholders; Notices to DTC.................................19 <br />Optional Redemption of Bonds............................................................................... 19 <br />Mandatory Sinking Fund Redemption of Bonds ..................................................... 20 <br />[Make -Whole Redemption of Bonds.......................................................................20 <br />Payment of Bonds Called for Redemption; Effect of Redemption Call .................. 22 <br />Selection of Bonds for Redemption; Bonds Redeemed in Part ............................... 22 <br />ARTICLE V <br />APPLICATION OF PROCEEDS; <br />SOURCE OF PAYMENT OF BONDS <br />Application of Proceeds and City Contribution ................................ <br />Sources of Payment of Bonds; Semi -Annual Payments by the City <br />ARTICLE VI <br />CREATION OF CERTAIN FUNDS AND ACCOUNTS <br />Section 6.01 <br />Creation of Costs of Issuance Fund ..................... <br />Section 6.02 <br />Creation of Revenue Fund and Certain Accounts <br />Section 6.03 <br />Creation of Redemption Fund ............................. <br />Section 6.04 <br />Moneys Held in Redemption Fund ...................... <br />23 <br />23 <br />24 <br />24 <br />25 <br />25 <br />City Council i 33 — 11 3/16/2021 <br />4846-535-8811v3/200434-0005 <br />