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Rate <br />6.70% <br />6.80% <br />EXHIBIT A <br />NOTICE OF REDEMPTION <br />CITY OF LINO LAKES <br />ANOKA COUNTY, MINNESOTA <br />GENERAL OBLIGATION IMPROVEMENT BONDS, SERIES 1988A <br />DATED OCTOBER 1, 1988 <br />Maturity <br />2/1/1996 <br />2/1/1997 <br />CUSIP <br />536060BN5 * <br />536060 BP 0 * <br />* Indicates a full call of the CUSIP <br />Principal Amount <br />$165,000 <br />$185,000 <br />NOTICE IS HEREBY GIVEN that the City of Lino Lakes called for redemption on February 1, 1995, the <br />aggregate amount outstanding of its General Obligation Improvement Bonds, Series 1988A Dated October 1, <br />1988. <br />The bends are being redeemed at a price of 100% plus accrued interest to the redemption date. On said <br />date, the principal amount of each bond redemption shall become due and payable, and from and after said <br />date interest thereon will cease to accrue and be payable. <br />A form W-9, Payer's Request for Taxpayer Identification Number, must be completed and returned with the <br />called bond or 31 % of the bond redemption proceeds will be withheld. Payment of bonds to be redeemed will <br />be made on and after February 1, 1995, by submitting said bond along with the completed form W-9 to the <br />following address: <br />By Mail or Courier Service: <br />Norwest Bank Minnesota, N.A. <br />Corporate Trust Operations <br />6th Street & Marquette Avenue <br />Minneapolis, MN 55479-0113 <br />By Registered or Certified Mail: In Person, By Hand: <br />Norwest Bank Minnesota, N.A. <br />Corporate Trust Operations <br />P.O. Box 1517 <br />Minneapolis, MN 55480-1517 <br />Corporate Trust Services, 12th Floor <br />Northstar East Building <br />608 2nd Avenue South <br />Minneapolis, MN <br />If you request payment of principal and/or interest via wire transfer, please be advised there is a wire transfer <br />fee which will be deducted from your payment. <br />Telephone inquires may be made by calling (612) 667-9764. <br />NORWEST BANK MINNESOTA, N.A. <br />as Registrar <br />Dated: November 14, 1994 <br />The Registrar shall not be responsible for the selection or use of the CUSIP numbers, nor is any <br />representation made as to their correctness indicated in the Redemption Notice or on any Bond. They are <br />included solely for the convenience of the Holders. <br />