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No. R- <br />EXHIBIT A <br />FORM OF BOND <br />UNITED STATES OF AMERICA <br />COMMONWEALTH OF VIRGINIA <br />CITY OF PORTSMOUTH <br />GENERAL OBLIGATION PUBLIC IMPROVEMENT BOND <br />SERIES 2021 <br />MATURITY" DATE INTEREST RATE CUSIP DATED DATE <br />REGISTERED OWNER: <br />PRINCIPAL AMOUNT: <br />The CITY OF PORTSMOUTH, VIRGINIA ( "City "), for value received, acknowledges <br />itself indebted and promises to pay to the registered owner of this Bond or legal representative, the <br />principal amount stated above on the maturity date set forth above and to pay interest on the <br />principal amount of this Bond at the rate specified above per anm.un, payable semiannually on <br />and beginning on -,20 This Bond shall bear interest (a) <br />from 20_, if this Bond is authenticated before 20_ or (b) otherwise <br />from the or that is, or immediately precedes, the date on which this Bond <br />is authenticated: provided that, if at the time of authentication of this Bond, interest on this Bond <br />is in default, this Bond shall bear interest from the date to which interest has been paid. Both <br />principal of and interest on this Bond are payable in lawful money of the United States of America. <br />The principal of this Bond is payable upon presentation and surrender hereof at the office of the <br />Chief Financial Officer of the City, as Registrar and Paying Agent ( "Registrar "). Interest on this <br />Bond is payable by check or draft mailed to the registered owner hereof at its address as it appears <br />