Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2024 Series B-2 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m. New York City time with respect to 2024 Series B-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
Appears in 1 contract
Samples: Series Indenture
Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2024 Series B-2 C-2 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m. New York City time with respect to 2024 Series B-2 C-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
Appears in 1 contract
Samples: Series Indenture
Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2024 Series B-2 A-2 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m. New York City time with respect to 2024 Series B-2 A-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
Appears in 1 contract
Samples: Series Indenture
Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2024 2023 Series B-2 N-2 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m. New York City time with respect to 2024 2023 Series B-2 N-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
Appears in 1 contract
Samples: Series Indenture
Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2024 2023 Series B-2 Q-2 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m. New York City time with respect to 2024 2023 Series B-2 Q-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
Appears in 1 contract
Samples: Series Indenture