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<br />SCHEDULE A <br /> <br />Terms of the Bonds <br /> <br />Dated: <br /> <br />, 2002 <br /> <br />Interest Payment Dates: <br /> <br />land <br /> <br />1, commencing <br /> <br />1, <br /> <br />Maturity Date <br />( 1) <br /> <br />Amount <br /> <br />Interest <br />Rate <br /> <br />OPTIONAL REDEMPTION <br /> <br />The Bonds maturing on or before 1, are not subject to optional <br />redemption by the Issuer. The Bonds maturing after 1, are subject to <br />redemption at the option of the Issuer at the following prices plus accrued interest as <br />follows: <br /> <br />Redemption Date <br /> <br />Redemption Price <br /> <br />1, <br />1, <br /> <br />through <br />and thereafter <br /> <br />31, <br /> <br />_% <br /> <br />_% <br /> <br />MANDATORY REDEMPTION OF TERM BONDS <br /> <br />The term bond maturing 1, is subject to mandatory <br />redemption on November 1 in the following years and amounts: <br /> <br />Amount <br />$ <br /> <br />Year <br /> <br />15 <br />