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<br />8e <br />Page 24 <br /> <br />date of the Bonds to be redeemed, has been set aside in the Redemption Account or Payment <br />Account, the portion of Bonds to be redeemed shall become due and payable on said <br />redemption date, and, upon presentation and surrender thereof at the office or offices specified <br />in said notice, said Bonds shal! be paid at the unpaid principal amount and premium, if any, with <br />respect thereto, plus any unpaid and accrued interest to the redemption date. <br /> <br />Debt Service Schedule <br /> <br />The following table sets forth the annual debt service on the Bonds, the 2005 Bonds and <br />the 2006 Bonds (assuming no optional redemption or mandatory redemption from proceeds of <br />insurance, sale and condemnation). The obligation of the City to make Installment Payments <br />under the Installment Purchase Contract is on a parity with the obligation of the City to make <br />the 2005 Installment Payments and the 2006 Installment Payments. <br /> <br />2007 Bonds <br />Principal <br /> <br />2007 Bonds <br />Interest <br /> <br />Total Debt <br />Service <br /> <br />Bond Year <br />(February 1) <br /> <br />2005 Bonds <br />Debt Service <br /> <br />2006 Bonds <br />Debt Service <br /> <br />2008 <br />2009 <br />2010 <br />2011 <br />2012 <br />2013 <br />2014 <br />2015 <br />2016 <br />2017 <br />2018 <br />2019 <br />2020 <br />2021 <br />2022 <br />2023 <br />2024 <br />2025 <br />2026 <br />2027 <br />2028 <br />2029 <br />2030 <br />2031 <br />2032 <br />2033 <br />2034 <br />2035 <br />2036 <br />TOTAL <br /> <br />9 <br />