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2000_Ordinances
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2000_Ordinances
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3/12/2025 1:16:41 PM
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• UNITED STATES OF AMERICA <br />COMMONWEALTH OF VIRGINIA <br />CITY OF CHARLOTTESVILLE <br />GENERAL OBLIGATION PUBLIC IMPROVEMENT BOND, SERIES <br />REGISTERED REGISTERED <br />No. R - <br />INTEREST MATURITY <br />RATE: DATE: DATE OF BONDS: CUSIP NO.: <br />161069 <br />REGISTERED OWNER: <br />PRINCIPAL SUM: DOLLARS <br />The City of Charlottesville, a municipal corporation of the Commonwealth of <br />Virginia (the "City"), for value received, acknowledges itself indebted and hereby promises to pay <br />• to the Registered Owner (named above), or registered assigns, on the Maturity Date (specified <br />above) unless this Bond shall have been duly called for previous redemption and payment of the <br />redemption price duly made or provided for, the Principal Sum (specified above) and to pay <br />interest on such Principal Sum until the payment of such Principal Sum in full, at the Interest Rate <br />(specified above) per annum, on I and semiannually on each and <br />thereafter (each such date is hereinafter referred to as an "interest payment date"), from the date <br />hereof or from the interest payment date next preceding the date of authentication to which interest <br />shall have been paid, unless such date of authentication is an interest payment date, in which case <br />from such interest payment date, or unless such date of authentication is within the period from <br />the sixteenth (16th) day to the last day of the calendar month next preceding the following interest <br />payment date, in which case from such following interest payment date. [To be substituted if the <br />interest payment date is the 15th day of the month: or unless such date of authentication is within <br />the period from the first (1st) day to fourteenth (14th) day of the calendar month in which the <br />following interest payment date shall occur, in which case from such following interest payment <br />date]. Such interest is payable on each interest payment date by check mailed by the Registrar <br />hereinafter mentioned to the Registered Owner hereof at his address as it appears on the books <br />of registry kept by the Registrar, as of the close of business on the fifteenth (15th) day (whether <br />or not a business day) of the calendar month next preceding each interest payment date. [To be <br />substituted if the interest payment date is the 15th day of the month: Such interest is payable on <br />each interest payment date by check mailed by the Registrar hereinafter mentioned to the <br />Registered Owner hereof at his address as it appears on the books of registry kept by the <br />Registrar, as of the close of business on the last day (whether or not a business day) of the <br />• calendar month next preceding each interest payment date.] Interest on this Bond shall be <br />341373.2 021945 ORD <br />
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