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HomeMy WebLinkAbout01755,, , ; Interest Bond Nos. Maturity Date Amount Rate 463-522 April 1, 1966 $ 6o,000 2 3/4% 523-584 April 1, 1967 62,000 2 3/4% 585-648 April 1, 1968 64,000 2 3/4% 649-713 April 1, 1969 65,000 2 3/4% 714-781 April 1; 1970 68,000 3% 782-851 April 1, 1971 70,000 3% 852-923 April 1, 1972 72,000 3% 924-997 April 1, 1973 74,000 3% 998-1073 April 1, 1974 76,000 3% 1074-1152 April 1, 1975 79,000 3.10% 1153-1233 April 1, 1976 81,000 3.10% 1234-1317 April 1, 1977 84,000 3.10% 1318-1403 April 1, 1978 86,000 3.10% 14o4-i492 April 1, 1979 89,000 3.10% 1493-1584 April 1, 1980 92,000 3,10% 1585-1679 April 1, 1981 95,000 3.10% 1680-1777 April 1, 1982 98,000 3.10% 1778-1878 April 1, 1983 101,000 3.15% 1879-1982 April 1, 1984 104,000 3.15% 1983-2089 April 1, 1985 107,000 3.15% 2090-2200 April 1, 1986 111,000 3.15% Both principal of and interest on the Bonds shall be payable in lawful money of the United States of America at the office of the City Treasurer in Port Townsend, Washington, or at the option of the holder, at the main office of The Pacific National Bank of Seattle in Seattle, Washington, and shall be obligations only of the special bond redemption fund hereinafter created. Section 3. The city hereby reserves the right to redeem any or all of the outstanding Bonds in inverse numerical order on each of the following interest payment dates at the following pricest On April 1, 1961 through October 1, 1963, at $103.00 per $100 par value On April 1, 1964 through October 1, 1966, at $102.50 per $100 par value On April 1, 1967 through October 1, 1969, at $102.00 per $100 par value On April 1, 1970 through October 1, 1972, at $101.50 per $100 par value On April 1, 1973 through October 1, 1975, at $101.00 per $100 par value On April 1, 1976 through October 1, 1978, at $100.50 per $100 par value On April 1, 1979 and any interest payment date thereafter, at par. 1} ,