2.08.
MUTILATED, DESTROYED, LOST OR STOLEN BONDS
29
Section 2.09.
TEMPORARY BONDS
29
Section 2.10.
CANCELLATION AND DISPOSITION OF SURRENDERED BONDS
29
Section 2.11.
USE OF CERTAIN MONEYS IN THE BOND FUND UPON REFUNDING
30
Section 2.12.
DELIVERY OF THE BONDS
30
Section 2.13.
BOOK-ENTRY SYSTEM
30
Section 2.14.
DELIVERY OF THE BONDS.
DESIGNATION OF THE BONDS AS BOOK-ENTRY BONDS;
APPOINTMENT OF INITIAL SECURITIES DEPOSITORY FOR THE BONDS
34
ARTICLE III
REDEMPTION OF BONDS BEFORE MATURITY
35
Section 3.01.
REDEMPTION DATES AND PRICES
35
-i-
Section 3.02.
NOTICE OF REDEMPTION
37
Section 3.03.
DEPOSIT OF FUNDS
39
Section 3.04.
PARTIAL REDEMPTION OF BONDS
39
Section 3.05.
SELECTION OF BONDS FOR REDEMPTION
39
ARTICLE IV
TENDER AND PURCHASE OF BONDS; REMARKETING;
REMARKETING AGENT
40
Section 4.01.
PURCHASE OF BONDS AT OPTION OF OWNERS
40
Section 4.02.
MANDATORY PURCHASE OF BONDS
41
Section 4.03.
OBLIGATION TO SURRENDER BONDS
42
Section 4.04.
REMARKETING OF BONDS
42
Section 4.05.
PURCHASE OF BONDS TENDERED TO TRUSTEE
44
Section 4.06.
DELIVERY OF PURCHASED BONDS
45
Section 4.07.
NO SALES AFTER DEFAULT
46
Section 4.08.
REMARKETING AGENT
46
Section 4.09.
QUALIFICATIONS OF REMARKETING AGENT
47
Section 4.10.
TENDER AND PURCHASE OF BOOK-ENTRY BONDS
47
Section 4.11.
DRAWS ON THE LIQUIDITY FACILITY OR LETTER OF CREDIT FOR PURCHASE OF BONDS
48
ARTICLE V
PAYMENT; FURTHER ASSURANCES
48
Section 5.01.
PAYMENT OF PRINCIPAL OR REDEMPTION PRICE OF AND INTEREST ON BONDS
48
Section 5.02.
EXTENSION OR FUNDING OF CLAIMS FOR INTEREST
48
Section 5.03.
PRESERVATION OF REVENUES
49
Section 5.04.
OTHER LIENS
49
Section 5.05.
COMPLIANCE WITH THE INDENTURE
49
Section 5.06.
PERFORMANCE OF COVENANTS
49
Section 5.07.
RIGHT TO PAYMENTS UNDER AGREEMENT; INSTRUMENTS OF FURTHER ASSURANCE
49
Section 5.08.
TAX COVENANTS
49
Section 5.09.
INSPECTION OF PROJECT BOOKS
50
Section 5.10.
RIGHTS UNDER AGREEMENT
50
Section 5.11.
CONTINUING DISCLOSURE
50
Section 5.12.
DELIVERY OF BOND INSURANCE, LIQUIDITY FACILITY OR LETTER OF CREDIT; TERMINATION
OF LETTER OF CREDIT
51
-ii-
ARTICLE VI
REVENUES AND FUNDS
51
Section 6.01.
SOURCE OF PAYMENT OF BONDS; LIABILITY OF ISSUER LIMITED TO REVENUES
51
Section 6.02.
CREATION OF THE BOND FUND
52
Section 6.03.
PAYMENTS INTO THE BOND FUND
53
Section 6.04.
DRAWS ON THE LETTER OF CREDIT
53
Section 6.05.
USE OF MONEYS IN THE BOND FUND AND CERTAIN OTHER MONEYS
54
Section 6.06.
CUSTODY OF THE BOND FUND
55
Section 6.07.
CREATION OF THE CONSTRUCTION FUND; DISBURSEMENTS
55
Section 6.08.
COSTS OF ISSUANCE FUND; DISBURSEMENTS
56
Section 6.09.
USE OF MONEYS IN CONSTRUCTION FUND UPON DEFAULT
56
Section 6.10.
USE OF MONEYS IN CONSTRUCTION FUND UPON REDEMPTION
56
Section 6.11.
USE OF MONEYS IN CONSTRUCTION FUND UPON PAYMENT OF BONDS
56
Section 6.12.
NON-PRESENTMENT OF BONDS
56
Section 6.13.
TRUSTEE FEES, CHARGES AND EXPENSES
57
Section 6.14.
MONEYS TO BE HELD IN TRUST
57
Section 6.15.
REPAYMENT TO THE BORROWER FROM THE BOND FUND
57
Section 6.16.
REVENUES TO BE PAID OVER TO TRUSTEE
57
Section 6.17.
PAYMENTS OF PRINCIPAL AND INTEREST
58
Section 6.18.
REVENUES TO BE HELD