Section 209. Title to Trust Property...............................................................16
Section 209. Title to Trust Property............................... 17 ARTICLE III Payment Account Section 301. Payment Account....................................... 17 ARTICLE IV Distributions; Redemption
Section 209. TITLE TO TRUST PROPERTY...................................................... 15
Section 209. Title to Trust Property...............................................................16 Article III -- Payment Account...................................................................................16 Section 301. Payment Account.......................................................................16
Section 209. TITLE TO TRUST PROPERTY. . . . . . . . . . . . . . . . . . . . . 15 ARTICLE III.
Section 209. Title to Trust Property. . . . . . . . . . . . . . . . . . . . 15 ARTICLE III PAYMENT ACCOUNT SECTION 301. Payment Account. . . . . . . . . . . . . . . . . . . . . . . . 16 ARTICLE IV DISTRIBUTIONS; REDEMPTION
Section 209. Payment of Principal and Interest; Interest Rights Preserved ............................................. 32 Section 210. Persons Deemed Owners ........................................ 33 Section 211. Mutilated, Destroyed, Lost, Stolen or Undelivered Bonds ............................................ 33
Section 209. Computation of Interest...............................................................23 Section 210. CUSIP Numbers.........................................................................24
Section 209. Remarketing..........................................................................22 Section 210. Purchase and Redemption of Notes.....................................................24 Section 211. Form and Other Terms of the Notes....................................................25 ARTICLE Three The REPS Mode................................................................................26 Section 301. Applicability of Article.............................................................26 TABLE OF CONTENTS (CONTINUED) PAGE Section 302. Initial REPS Rate Period.............................................................26 Section 303. Interest to REPS Remarketing Date....................................................26 Section 304. Tender to and Remarketing by the Callholder..........................................26 Section 305. Conversion or Redemption Following Election by the Callholder to Remarket............28 ARTICLE Four Additional Events of Default with Respect to the Notes........................................29
Section 209. Illegality...............................................................28