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Tab_48ai *i :11 iiu Schedule of Refunded Bonds Alaska Municipal Bond Bank General Obligation Bonds, 2007 Series Five Redemption or Redemption or Retirement Existing Maturity Date Principal Amount Retirement Date Price (% of CUSIP (September 1) Defeased Interest Rate (September 1) Principal) (01179) 2017 $130,000.00 6.000% 2017 100% PVR5 2018 135,000.00 6.000 2017 100 PVS3 2019 145,000.00 4.000 2017 100 PVT1 2020 150,000.00 4.125 2017 100 PVU8 2021 160,000.00 4.250 2017 100 PVV6 2022 165,000.00 4.300 2017 100 PVW4 2023 175,000.00 4.400 2017 100 PVX2 2024 180,000.00 4.500 2017 100 PVYO 2025 190,000.00 4.500 2017 100 PVZ7 2026 200,000.00 4.500 2017 100 PWA1 2027 205,000.00 4.625 2017 100 PWB9 2028 215,000.00 4.625 2017 100 PWC7 2029 285,000.00 4.625 2017 100 PWD5 2030 300,000.00 4.750 2017 100 PWE3 2031 315,000.00 4.750 2017 100 PWFO 2032 330,000.00 4.750 2017 100 PWG8 2033* 350,000.00 4.750 2017 100 PWH6 2034* 360,000.00 4.750 2017 100 PWJ2 2035* 380,000.00 4.750 2017 100 PWK9 2036* 400,000.00 4.750 2017 100 PWL7 2037 420,000.00 4.750 2017 100 PWM5 * Represent scheduled mandatory sinking fund redemption dates. AMBB - General Obligation and Refunding Bonds, 2016 Series Three Escrow Agreement (2007 Series Five) Page A-i