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(1) Each further notice of redemption given hereunder shall contain the information <br /> required above for an official notice of redemption plus: the CUSIP numbers of all Bonds being <br /> redeemed; the date of issue of the Bonds as originally issued; the rate of interest borne by each <br /> Bond being redeemed; the maturity date of each Bond being redeemed; and any other descriptive <br /> information needed to identify accurately the Bonds being redeemed. <br /> (2) Each further notice of redemption shall be sent at least 35 days before the <br /> redemption date by registered or certified mail or overnight delivery service to The Depository <br /> Trust Company of New York or its business successor, if any. <br /> The requirements of this section shall be deemed to be complied with when notice is <br /> mailed as herein provided, whether or not it is actually received by the owner. <br /> • <br /> -8- ooroeM.00c 64/01n9 <br />