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Ordinance 3700-19
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Ordinance 3700-19
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10/18/2019 3:40:05 PM
Creation date
9/30/2019 4:30:15 PM
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Ordinances
Ordinance Number
3700-19
Date
9/25/2019
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(D) that on the redemption date the redemption price will become due <br /> and payable upon each such Bond or portion thereof called for redemption, and that interest <br /> thereon shall cease to accrue from and after said date, and <br /> (E) the place where such Bonds are to be surrendered for payment of <br /> the redemption price, which place of payment shall be the principal office of the Bond Registrar. <br /> On or prior to any redemption date, the City shall deposit with the Bond Registrar an <br /> amount of money sufficient to pay the redemption price of all the Bonds or portions of Bonds <br /> which are to be redeemed on that date. <br /> (2) Effect of Notice; Bonds Due. If an unconditional notice of redemption has <br /> been given as aforesaid, the Bonds or portions of Bonds so to be redeemed shall, on the <br /> redemption date, become due and payable at the redemption price therein specified, and from <br /> and after such date such Bonds or portions of Bonds shall cease to bear interest. Upon surrender <br /> of such Bonds for redemption in accordance with said notice, such Bonds shall be paid by the <br /> Bond Registrar at the redemption price. Installments of interest due on or prior to the <br /> redemption date shall be payable as herein provided for payment of interest. All Bonds which <br /> have been redeemed shall be canceled and destroyed by the Bond Registrar and shall not be <br /> reissued. <br /> (3) Additional Notice. In addition to the foregoing notice, further notice shall <br /> be given by the City as set out below, but no defect in said further notice nor any failure to give <br /> all or any portion of such further notice shall in any manner defeat the effectiveness of a call for <br /> redemption if notice thereof is given as above prescribed. Each further notice of redemption <br /> given hereunder shall contain the information required above for an official notice of redemption <br /> plus (A) the CUSIP numbers of all Bonds being redeemed; (B)the date of issue of the Bonds as <br /> -14- 502395238 v2 <br />
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