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SA_FULL PACKET_2016-07-05
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SA_FULL PACKET_2016-07-05
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Last modified
6/30/2016 5:41:03 PM
Creation date
6/30/2016 5:40:40 PM
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Template:
City Clerk
Doc Type
Agenda Packet
Agency
Community Development
Item #
3
Date
7/5/2016
Destruction Year
2021
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amount equal to any deficiencies which may exist from time to time in the Interest Account, the <br />Principal Account or the Term Bonds Sinking Account for the purpose of making payments <br />required pursuant to Section 5,03(d); and (e) prior written notice is given to the Trustee before <br />the effective date of any such Qualified Reserve Account Credit Instrument. <br />"Rebate Fund" shall mean the Rebate Fund established pursuant to Section 6.11 hereof <br />"Rebate Instructions" shall mean those calculations and directions required to be <br />delivered to the Trustee by the Agency pursuant to the Tax Certificate, <br />"Rebate Requirement" shall mean the Rebate Requirement defined in the Tax <br />Certificate. <br />"Recognized Obligation Payment Schedule" or "BOPS" shall mean a Recognized <br />Obligation Payment Schedule, setting forth the minimum payment amounts and due dates of <br />payments required by enforceable obligations for each fiscal year as provided in subdivision (o) <br />of Section 34177 of the Dissolution Act, each prepared and approved from time to time pursuant <br />to the Dissolution Act. <br />"Redevelopment Obligation Retirement Fund" shall mean the fund by that name <br />established pursuant to Section 34170.5(a) of the Law and administered by the Agency. <br />"Redevelopment Plan" shall mean the [Amended and Restated Redevelopment Plan for <br />the Santa Ana Merged Redevelopment Project Area], together with any amendments to such <br />redevelopment plan duly authorized pursuant to the Law. <br />"Redevelopment Property Tax Trust Fund" shall mean the fund by that name <br />established pursuant to Section 34170.5(b) of the Law and administered by the County Auditor - <br />Controller. <br />"Refunded Bonds" shall have the meaning set forth in the whereas clauses above, <br />"Regulations" shall mean temporary and permanent regulations promulgated or <br />applicable under Section 103 and all related provisions of the Code. <br />"Related Documents" shall mean the Indenture and any other document executed by the <br />Agency in connection with the issuance of the Series 2016 Bonds including, without limitation, <br />the Series 2016 Bonds issued hereunder. <br />"Reserve Account" shall mean the account maintained within the Tax Increment Fund <br />pursuant to Section 5.03 of the Indenture. <br />"Reserve Account Requirement" shall mean as of the date of any calculation, with <br />respect to all Outstanding Bonds an amount equal to the lesser of (i) the Maximum Annual Debt <br />Service attributable to the Outstanding Bonds or (ii) 125% of Average Annual Debt Service <br />attributable to the Outstanding Bonds; provided however, that the Reserve Account Requirement <br />when issuing a new Series of Bonds shall be the lesser of (i) or (ii) above, but limited to the <br />12 <br />3 -30 <br />
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