My WebLink
|
Help
|
About
|
Sign Out
Home
Agenda - Council - 08/13/2013
Ramsey
>
Public
>
Agendas
>
Council
>
2013
>
Agenda - Council - 08/13/2013
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
3/18/2025 9:36:06 AM
Creation date
10/25/2013 4:02:45 PM
Metadata
Fields
Template:
Meetings
Meeting Document Type
Agenda
Meeting Type
Council
Document Date
08/13/2013
Jump to thumbnail
< previous set
next set >
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
868
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />ARTICLE VI <br />Section <br />ARTICLE VII <br />ARTICLE VIII <br />ARTICLE IX <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />Section <br />5.16 Termination of Costs of Issuance Fund 28 <br />5.17 Custody of the Costs of Issuance Fund 28 <br />5.18 Nonpresentment of the Bonds 28 <br />5.19 Moneys to be Held in Trust.... 28 <br />5.20 Repayment to Company From Funds 28 <br />5.21 Custody of Separate Trust Fund 29 <br />5.22 Creation of the Rebate Fund 29 <br />5.23 Payments into the Rebate Fund 29 <br />5.24 Use of Moneys in the Rebate Fund 29 <br />5.25 Trustee's and Issuer's Responsibility with Respect to the Rebate <br />Fund 29 <br />5.26 [Reserved.] 30 <br />5.27 [Reserved.] 30 <br />5.28 [Reserved.] 30 <br />5.29 [Reserved.] 30 <br />5.30 [Reserved.] 30 <br />5.31 [Reserved.] 30 <br />5.32 [Reserved.] 30 <br />5.33 [Reserved.] 30 <br />5.34 Creation of the Capital Improvement Fund 30 <br />5.35 Payments in the Capital Improvement Fund 30 <br />5.36 Use of Moneys in the Capital Improvement Fund 30 <br />5.37 Custody of the Capital Improvement Fund 30 <br />5.38 Creation of the Expense Fund 31 <br />5.39 Payments 111 the Expense Fund . 31 <br />5.40 Use of Moneys in the Expense Fund.... 31 <br />5.41 Custody of the Expense Fund 31 <br />REFUNDING OF PRIOR BONDS .... 32 <br />6.01 Refunding of Prior Bonds 32 <br />INVESTMENT OF MONEY 33 <br />DISCHARGE OF LIEN 34 <br />DEFAULT PROVISIONS AND REMEDIES OF TRUSTEE AND <br />REGISTERED OWNERS 36 <br />9.01 Defaults; Events of Default 36 <br />9.02 Acceleration 36 <br />9.03 Other Remedies; Rights of Registered Owners 36 <br />9.04 Right of Registered Owners to Direct Proceedings 37 <br />9.05 Appointment of Receivers 37 <br />9.06 Waiver By Issuer 37 <br />9.07 Application of Moneys 37 <br />9.08 Remedies Vested in the Trustee 38 <br />9.09 Rights and Remedies of Registered Owners 39 <br />9.10 Termination of Proceedings 39 <br />9.11 Waivers of Events of Default 39 <br />9.12 Notice of Defaults under Section 9.01(c); Opportunity of the Issuer <br />and the Company to Cure Such Defaults 40 <br />ARTICLE X TRUSTEE 41 <br />Section 10.01 Acceptance of Trusts 41 <br />ii <br />5600797v 1 <br />
The URL can be used to link to this page
Your browser does not support the video tag.