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Res13 15263
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Res13 15263
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Last modified
10/11/2019 7:49:21 AM
Creation date
10/11/2019 7:49:02 AM
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Template:
CC Index
CC Index - Document Type
Resolution
Meeting Type
Joint
Agency Type
City Council and Public Finance Authority
Date
5/20/2013
Description
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF REDWOOD CITY AUTHORIZING PROCEEDINGS AND AGREEMENTS RELATING TO THE REFINANCING AND FINANCING OF CERTAIN WATER FACILITIES, APPROVING ISSUANCE AND SALE OF BONDS BY THE CITY OF REDWOOD CITY PUBLIC FINANCING AUTHORITY, APPROVING AN OFFICIAL STATEMENT AND AUTHORIZING OFFICIAL ACTIONS
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nationally recognized rating service and with a maximum remaining maturity of no more than <br /> three (3)years after the date of purchase. <br /> 12. The Local Agency Investment Fund created pursuant to Section 16429.1 of the <br /> California Government Code, to the extent the Trustee is authorized to register such investment <br /> in its name. <br /> 13. The San Mateo County Pooled Investment Fund. <br /> 14. Investment Trust of California,doing business as CaITRUST. <br /> 15. Shares in a California common law trust established pursuant to Title 1, Division <br /> 7, Chapter 5 of the Government Code of the State of California which invests exclusively in <br /> investments permitted by Section 53601 of Title 5, Division 2, Chapter 4 of the Government <br /> Code of California, as it may be amended. <br /> � "Payment Account" means the account of that name established by the Trustee pursuant <br /> to Section 3.04 hereof. <br /> "Principal Office" means the corporate trust office of the Trustee set forth in <br /> Section 10.13 (except for payment, surrender and exchanges of the Bonds which shall be the <br /> corporate trust office of the Trustee in St. Paul, Minnesota), or such other or additional offices as <br /> may be designated by the Trustee. <br /> "Prior Bonds" mean the City of Redwood City Public Financing Authority Water <br /> Revenue Bonds, Series 2005A. <br /> "Prior Trustee" means The Bank of New York Mellon Trust Company, N.A., as trustee <br /> under the 2005 Indenture. <br /> "Project"shall have the meaning set forth in the Installment Purchase Contract. <br /> "Rebate Fund" means the fund by that name established and held by the Trustee pursuant <br /> to Section 5.13 hereof. <br /> "Record Date"means the fifteenth day of the calendaz month prior to an Interest Payment <br /> Date. <br /> "Redemption Account" means the account of that name established by the Trustee <br /> pursuant to Section 3.04 hereof. <br /> "Reserve Requirement" means, with respect to the Series 2013 Bonds, as of any date of <br /> calculation, the lesser of(i) 10% of the original principal amount of the Series 2013 Bonds, (ii) <br /> an amount equal to maximum annual Debt Service on the Series 2013 Bonds payable by the <br /> Authority between the date of such calculation and the final maturity of the Series 2013 Bonds, <br /> or (iii) 125% of average annual Debt Service on the Series 2013 Bonds payable hereunder. <br /> -9- <br /> 338471 I.DOC <br />
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