Section 1105. Deposit of Redemption Price...................................... 54 Section 1106. Securities Payable on Redemption Date............................ 54
Section 1105. Deposit of Redemption Price................................ 80 Section 1106. Securities Payable on Redemption Date...................... 80 Section 1107. Securities Redeemed in Part................................ 81 ARTICLE TWELVE -------------- SINKING FUNDS Section 1201. Applicability of Article................................... 82 -------------- NOTE: This table of contents shall not, for any purpose, be deemed to be a part of the Indenture. ARTICLE THIRTEEN ---------------- DEFEASANCE AND COVENANT DEFEASANCE
Section 1105. Deposit of Redemption Price............................................................. 65 SECTION 1106. Securities Payable on Redemption Date................................................... 65 SECTION 1107. Securities Redeemed in Part............................................................. 65 ARTICLE TWELVE SINKING FUNDS..................................................................................... 66 SECTION 1201. Applicability of Article................................................................ 66 SECTION 1202. Satisfaction of Sinking Fund Payments with Securities................................... 66 SECTION 1203. Redemption of Securities for Sinking Fund............................................... 66
Section 1105. Deposit of Redemption Price...........................................................74 Section 1106. Securities Payable on Redemption Date.................................................74 Section 1107. Securities Redeemed in Part...........................................................75 ARTICLE TWELVE SINKING FUNDS Section 1201. Applicability of Article..............................................................75 Section 1202. Satisfaction of Sinking Fund Payments with Securities.................................76 Section 1203. Redemption of Securities for Sinking Fund.............................................76 ARTICLE THIRTEEN REPAYMENT AT THE OPTION OF HOLDERS Section 1301. Applicability of Article..............................................................77 ARTICLE FOURTEEN SECURITIES IN FOREIGN CURRENCIES Section 1401. Applicability of Article..............................................................77 ARTICLE FIFTEEN
Section 1105. Deposit of Redemption Price................................ 90 SECTION 1106. Notes Payable on Redemption Date........................... 90 SECTION 1107. Notes Redeemed in Part..................................... 90 SECTION 1108. Redemption................................................. 90 ARTICLE TWELVE SECTION 1201.............................................................. 91 ARTICLE THIRTEEN SECTION 1301.............................................................. 91
Section 1105. Deposit of Redemption Price............................................................59
Section 1105. Deposit of Redemption Price. . . . . . . . . . . . . . . . . .65 SECTION 1106. Debt Securities Payable on Redemption Date . . . . . . . . . .66
Section 1105. Securities Payable on Redemption Date.................................. 59 Section 1106. Securities Redeemed in Part............................................ 60
Section 1105. Deposit of Redemption Price . . . . . . . . . . . . . . . . .67 SECTION 1106. Securities Payable on Redemption Date . . . . . . . . . . . .67 SECTION 1107 Securities Redeemed in Part . . . . . . . . . . . . . . . . .68 SECTION 1108. Conversion Arrangement on Call for Redemption . . . . . . . .68 ARTICLE
Section 1105. Deposit of Redemption Price............................ 60 Section 1106. Securities Payable on Redemption Date.................. 60 Section 1107. Securities Redeemed in Part............................ 61 ARTICLE TWELVE Sinking Funds