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6566
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Last modified
7/27/2005 12:46:20 PM
Creation date
11/5/2014 12:24:36 PM
Metadata
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City Ordinances
Passed
6/27/2005
Ordinance Number
6566
Bill Number
8796
Introdate
6/6/2005
Description
Authorizing the issuance sale and delivery of special obligation bonds series 2005 for $700,000
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<br />EXHIBIT A <br />TO ORDINANCE <br /> <br />(FORM OF BONDS) <br /> <br />EXCEPT AS OTHERWISE PROVIDED IN THE ORDINANCE <br />DESCRIBED HEREIN), THIS GLOBAL BOND MAY BE <br />TRANSFERRED, IN WHOLE BUT NOT IN PART, ONLY TO <br />ANOTHER NOMINEE OF THE SECURITIES DEPOSITORY <br />(DESCRIBED HEREIN) OR TO A SUCCESSOR SECURITIES <br />DEPOSITORY OR TO A NOMINEE OF A SUCCESSOR <br />SECURITIES DEPOSITORY. <br /> <br />UNITED STATES OF AMERICA <br />STATE OF MISSOURI <br /> <br />Registered <br />No. <br /> <br />Registered <br />$ <br /> <br />CITY OF UNIVERSITY CITY, MISSOURI <br /> <br />SPECIAL OBLIGATION BOND <br />SERIES 2005 <br /> <br />Interest Rate <br /> <br />Maturity Date <br /> <br />Dated Date <br /> <br />CUSIP Number <br /> <br />% <br /> <br />February 1,20_ <br /> <br />July 1,2005 <br /> <br />REGISTERED OWNER: CEDE & CO. <br /> <br />PRINCIP AL AMOUNT: <br /> <br />DOLLARS <br /> <br />THE CITY OF UNIVERSITY CITY, MISSOURI, a home rule city and political subdivision <br />of the State of Missouri (the "City"), for value received, hereby acknowledges itself to be indebted and <br />promises to pay to the Registered Owner shown above unless called for redemption prior to said maturity <br />date, or registered assigns, the principal amount shown above on the maturity date shown above and to <br />pay interest thereon at the interest rate per annum shown above (computed on the basis of a 360-day year <br />of twelve 30-day months) from the Dated Date shown above or from the most recent Interest Payment <br />Date to which interest has been paid or duly provided for, payable semiannually on February I and <br />August I in each year, beginning on February 1,2006, until said principal amount has been paid. <br /> <br />The principal or Redemption Price of this Bond shall be paid at maturity or upon earlier <br />redemption by check or draft to the Person in whose name this Bond is registered on the Bond Register at <br />the maturity date or Redemption Date thereof, upon presentation and surrender of this Bond at the <br />principal payment office of The Bank of New York Trust Company, N.A., St. Louis, Missouri (the <br />"Paying Agent"). The interest payable on this Bond on any Interest Payment Date shall be paid to the <br /> <br />A-I <br />
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