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NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the "Bonds"), $693,260,000 principal amount of the Bonds will be redeemed on June 15, 2022, at a Redemption Price of 100.00%, together with interest accrued to June 15, 2022, interest on the Bonds shall cease to accrue.
May 13 - Other Legal Notices
NOTICE IS HEREBY GIVEN to the holders of the bonds set forth below (the “Refunded Bonds”) of the defeasance of such bonds. In accordance with the General Bond Resolution of the South Central Connecticut Regional Water Authority (the “Authority”), there have been deposited with the Trustee on May 3, 2022, monies, which have been invested by U.S. Bank National Association in direct obligations of the United States of America, the principal of and the interest on which when due will provide moneys which shall be sufficient to pay (i) interest on the Refunded Bonds due and to become due on or prior to the Redemption Dates or maturity date, and (ii) the principal or the Redemption Price of the Refunded Bonds and accordingly the Refunded Bonds are deemed to be paid in accordance with Section 1101.B of the General Bond Resolution.
May 11 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the "Bonds"), $236,185,000 principal amount of the Bonds will be redeemed on June 1, 2022, at a Redemption Price of 100.00%, together with interest accrued to June 1, 2022 interest on the Bonds shall cease to accrue.
May 11 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the "Bonds"), $326,255,000 principal amount of the Bonds will be redeemed on June 15, 2022, at a Redemption Price of 1 00.00%, together with interest accrued to June 15, 2022, interest on the Bonds shall cease to accrue.
May 6 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the "Bonds"), $693,260,000 principal amount of the Bonds will be redeemed on June 15, 2022, at a Redemption Price of 100.00%, together with interest accrued to June 15, 2022, interest on the Bonds shall cease to accrue.
May 6 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the "Bonds"), $9,150,000 principal amount of the Bonds will be redeemed on June 1, 2022, at the price listed below, together with interest accrued to June 1, 2022, interest on the Bonds shall cease to accrue.
April 20 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the “Bonds”), $890,000 principal amount of the Bonds will be redeemed on May 15, 2022, at a Redemption Price of 100.00%, together with interest accrued to May 15, 2022, interest on the Bonds shall cease to accrue.
April 12 - Other Legal Notices
NOTICE IS HEREBY GIVEN to the holders of the above-referenced bonds that the City of Bennettsville, South Carolina, on April 7, 2022, issued its $7,421,000 Combined Utility System Refunding Revenue Bond, Taxable Series 2022A (the “Series 2022A Bond”). A portion of the proceeds of the Series 2022A Bond will be used for the purpose of effecting the advanced refunding of the 2013 Bonds which mature on February 1 in the years 2023 to and including 2034 which will be called for redemption on February 1, 2024.
April 12 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the “Bonds”), $890,000 principal amount of the Bonds will be redeemed on May 15, 2022, at a Redemption Price of 100.00%, together with interest accrued to May 15, 2022, interest on the Bonds shall cease to accrue.
April 5 -
NOTICE IS HEREBY GIVEN that, pursuant to the applicable provisions of the governing documents of the above captioned bonds (the “Bonds”), $3,105,000 principal amount of the Bonds will be redeemed on May 1, 2022, at a Redemption Price of 100.00%, together with interest accrued to May 1, 2022, interest on the Bonds shall cease to accrue.
March 31