Optional Redemption With Premium During Fixed Rate Period. While the Bonds bear interest at the Fixed Rate, the Bonds shall be subject to redemption, at the option and upon the written direction of the Company delivered to the Trustee at least 45 days prior to the date set for redemption, in whole or in part, on any Interest Payment Date occurring on or after the dates set forth below, at the redemption prices (expressed as percentages of the principal amount to be redeemed) set forth below plus accrued interest to the redemption date as follows:
Appears in 1 contract
Optional Redemption With Premium During Fixed Rate Period. While the Bonds bear interest at the Fixed Rate, the Bonds shall be subject to redemption, at the option and redemption upon the written direction of the Company delivered to the Trustee at least 45 days prior to the date set for redemptionIssuer, in whole on any date, or in part, part on any Interest Payment Date Date, occurring on or after the dates set forth below, at the redemption prices (expressed as percentages of the principal amount to be redeemed) set forth below plus interest accrued interest to the redemption date as follows:
Appears in 1 contract
Optional Redemption With Premium During Fixed Rate Period. While the Bonds bear interest at the Fixed Rate, the Bonds shall be subject to redemption, at the option and redemption upon the written direction of the Company delivered to Issuer, given at the Trustee at least 45 days prior to request of the date set for redemptionLessee, in whole on any date, or in part, part on any Interest Payment Date Date, occurring on or after the dates set forth below, at the redemption prices (expressed as percentages of the principal amount to be redeemed) set forth below plus interest accrued interest to the redemption date as follows:
Appears in 1 contract
Optional Redemption With Premium During Fixed Rate Period. While the Bonds bear interest at the Fixed Rate, the Bonds shall be subject to redemption, at the option and upon the written direction of the Company delivered to Borrower on behalf of the Trustee at least 45 days prior to the date set for redemptionIssuer, in whole or in part, on any Interest Payment Date occurring on or after the dates set forth below, at the redemption prices (expressed as percentages of the principal amount to be redeemed) set forth below plus accrued interest to the redemption date as follows:
Appears in 1 contract
Optional Redemption With Premium During Fixed Rate Period. While the Bonds bear interest at the Fixed Rate, the Bonds shall be subject to redemption, at the option and redemption upon the written direction of the Company delivered to Issuer, given at the Trustee at least 45 days prior to request of the date set for redemptionCompany, in whole on any date, or in part, part on any Interest Payment Date Date, occurring on or after the dates set forth below, at the redemption prices (expressed as percentages of the principal amount to be redeemed) set forth below plus interest accrued interest to the redemption date as follows:
Appears in 1 contract