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. . • . <br /> z'. <br /> SCHEDULE OF MATURITIES <br /> Principal Amount Maturity Date <br /> $l,000,000 September 1, 2001 <br /> The Bonds are subject to redemption as follows: <br /> Redemption Dates Redemption <br /> (Dates Inclusive) Price <br /> September 1, 1986 through March 1, 1987 103 0 <br /> September 1, 1987 through March l, 1988 102 1/2 % <br /> September 1, 1988 through March l, 1989 102 0 <br /> September 1, 1989 through March 1, 1990 101 1/2 0 <br /> September 1, 1990 through March 1, 1991 101 0 <br /> September 1, 1991 through March l, 1992 100 1/2 0 <br /> September 1, 1992 and thereafter 100 $ <br /> Sinking Fund Redemption <br /> Year Amount <br /> September l, 1992-2001, inclusive $100,000 <br />