TABLE II:  BONDS
 
Ord./Res. No.
Date Passed
Description
Res. 6, 2004
6-7-2004
Ratifying the extension of certain outstanding bond anticipation notes
Res. 9, 2004
9-27-2004
Establishing intent to reimburse certain preliminary costs from the proceeds of bonds
19, 2004
10-4-2004
Amendment to Ord. 11, 2000; issuance and sale of transportation revenue bonds
20, 2004
10-4-2004
Appropriation of proceeds derived from sale of bonds
7, 2006
5-1-2006
Authorizing issuance of educational facilities revenue bonds
25, 2006
11-15-2006
Approving refunding for the Lawrence Government Center Building Corporation and the Lawrence Fire Station Building Corporation and issuance of first mortgage refunding bonds
Res. 12, 2007
- -2007
Establishing intent to reimburse certain preliminary costs from the proceeds of bonds and approving a standstill agreement with Fifth Third Bank
Res. 13, 2007
- -2007
Establishing intent to reimburse certain preliminary costs from the proceeds of bonds and approving a standstill agreement with Fifth Third Bank
14, 2007
11-21-2007
Authorizing the issuance and sale of sewage works revenue bonds and anticipation notes
15, 2007
12-6-2007
Authorizing the issuance of waterworks utility revenue refunding bonds
16, 2007
12-6-2007
Authorizing the issuance of sewage works revenue refunding bonds
17, 2007
12-6-2007
Authorizing the acquisition, construction and installation of improvement and extensions to the waterworks, and the issuance and sale of revenue bonds and anticipation notes
18, 2007
12-6-2007
Authorizing the acquisition, construction and installation of improvement and extensions to the sewage works, and the issuance and sale of revenue bonds and anticipation notes
Res. 5, 2008
7-7-2008
Approving the issuance of bonds of the City Redevelopment District
Res. 3, 2009
3-2-2009
Approving the issuance of bonds of the Fort Harrison Military Base Reuse District
38, 2009
8-3-2009
Authorizing the issuance and sale of one or more series of revenue bonds for improvements and extensions to the city’s sewage works
Res. 5, 2010
11-17-2010
Approving the issuance of bonds of the city of Lawrence Redevelopment District to fund projects and improvements in or serving the Pendleton Pike Allocation Area No. 1
3, 2012
2-15-2012
Authorizing the issuance of Indiana Adjustable Rate Demand Economic Development Revenue Refunding and Improvement Bonds, Series 2012, for Westminister Village North, Inc., Project
Res. 1, 2012
4-2-2012
Approving the advance refunding of the Lawrence Fire Station Building Corporation First Mortgage Bonds, Series 2002
Res. 11, 2012
9-4-2012
Approving the current refunding of Park Facility Improvement Bonds, Series 2000, issued by the Lawrence Government Center Building Corporation
12, 2012
9-4-2012
Approving the issuance and sale of special taxing district refunding bonds to finance the costs of currently refunding the outstanding Park and Recreation District Park Bonds of 1998
7, 2014
4-16-2014
Refunding by the City of its Transportation Revenue Bonds of 2004; authorizing the issuance of Transportation Refunding Revenue Bonds for such purpose
8, 2014
4-16-2014
Appropriating the proceeds and investment earning of Transportation Refunding Revenue Bonds as authorized by Ord. 7, 2014 for the purpose of the refinancing of said Bonds
21, 2015
10-5-2015
Authorizing the issuance of Indiana Adjustable Rate Demand Economic Development Revenue Refunding and Improvement Bonds, Series 2015A and B, for Westminister Village North, Inc., Project
22, 2015
10-21-2015
Authorizing the issuance of waterworks utility revenue refunding bonds
23, 2015
10-21-2015
Authorizing the issuance of sewage works revenue refunding bonds
26, 2015
12-7-2015
Authorizing temporary loans and the issuance of temporary loan tax anticipation warrants
8-2017
5-1-2017
Authorizing the acquisition, construction, and installation by the city of certain improvements and extensions to the city’s Waterworks, the issuance and sale of revenue bonds to provide funds for the payment of the costs thereof
22-2017
10-18-2017
Authorizing the issuance of one or more series of Waterworks Revenue Refunding Bonds, Series 2017 to provide funds to refund the city’s outstanding 2007 and 2009 Waterworks Utility Revenue Refunding Bonds
23, 2017
12-20-2017
Amending prior bond ordinances authorizing the issuance of certain Waterworks Revenue Bonds, Series 2017
5, 2018   
7-2-2018
Authorizing the issuance of Taxable Economic Development Tax Increment Revenue Bonds, Series 2018 (Meyer Plastics Project), authorizing proceeds to finance the development, acquisition and equipping of an economic development facility, providing for the pledge and assignment of revenues for the payment of said bonds, authorizing a loan agreement with respect to the project, and authorizing other actions
6, 2019
7-17-2019
Supplementing and amending Ordinance No. 38, 2009 for the purpose of authorizing the modification of certain contractual rights of the city, the execution and delivery of its amended Sewage Works Revenue Bonds, Series 2009B and Series 2009C (taxable)
15, 2019
11-20-2019
Authorizing issuance of taxable economic development revenue bonds and the lending of the proceeds thereof to Fort Living, LLC