TABLE II:  BOND ISSUES
Ord. No.
Date Passed
Description
Ord. No.
Date Passed
Description
8-11-50
Authorizing the providing for the issuance of Water Revenue Bonds in the amount of $365,000 for the purpose of refunding outstanding Water Works (Revenue) Bonds of the city and constructing extensions and improvements to the municipal water works system.
5-21-51
Authorizing the issuance of $50,000 General Obligation Park and Playground Bonds of the city for the purpose of establishing a park and playground in and for the city.
9-4-79
Authorizing the issuance and sale of $1,000,000 principal amount of city combined revenue bonds, series of 1979.
79-07
10-26-79
Clarifying the ordinance enacted on September 4, 1979, to provide for the deposit into the debt service reserve of the sum of $147,500 out of the proceeds of the bonds.
81-09
9-1-81
Authorizing and providing for the issuance of the City Economic Development Revenue Bond (Blake Ratliff Enterprises, Inc. Project), dated the date of delivery, in the principal amount of $2,800,000, to pay the costs of the acquisition and construction of an economic development project by the city for use and occupancy as a resort hotel complex.
82-03
3-29-82
Authorizing the issuance and sale of not to exceed $9,500,000 city first mortgage hospital revenue bonds (Paintsville Hospital Project) series 1982, to finance the acquisition, construction, improving and equipping of a certain industrial building constituting a hospital facility.
82-06
6-10-82
Supplementing Ordinance [82-03] of the City Council adopted on March 29, 1982; authorizing the acquisition, construction, improving and equipping of a certain industrial building constituting a hospital facility:  authorizing the issuance and sale of not to exceed $9,500,0000 city first mortgage hospital revenue bonds (Paul B. Hall Medical Center Project).
89-08
11-14-89
Authorizing the issuance of $1,091,000 of the city's water revenue bonds, series of 1989, to provide part of the costs of the construction of extensions, additions and improvements to that portion of the city's water distribution which formerly constituted the Johnson County Water District's Water Distribution System.
91-012
9-10-91
Authorizing the city to issue $8,130,000 aggregate principal amount of first mortgage hospital revenue refunding bonds (Paul B. Hall Medical Center Project) series 1991, for the purpose of refunding certain first mortgage hospital revenue bonds for Paintsville Hospital Company, a Kentucky corporation.
93-001
4-13-93
Relating to $2,265,000 (plus or minus up to $225,000) principal amount of city combined utility refunding revenue bonds, series 1993, for the purpose of financing the cost of refunding through the deposit in escrow of sufficient government securities and cash to pay the principal and interest on the outstanding city combined utility revenue bonds, series 1986.
93-010
12-14-93
Providing for the issuance of the City of Paintsville, Kentucky revenue bonds (Mountain Homeplace Historical Area Project) series 1993, in the principal amount of $1,500,000, for the educational and heritage preservation purposes of the Paintsville Lake Historical Association, Inc.
94-006
8-16-94
Authorizing the issuance of $457,000 of the city's water revenue bonds, series 1994, to provide part of the costs for construction of extensions, additions, and improvements to that portion of the city's water distribution which formerly constituted the Johnson County Water District's water distribution system.
98-008
9-8-98
Authorizing the construction of extensions, additions and improvements to that portion of the city's water distribution system which formerly constituted the Johnson County Water District's water distribution system (The "System"); authorizing the issuance of $351,000 of the city's water revenue bonds, series of 1998, to provide part of the costs of said construction; providing for the terms and conditions upon which said bonds are to be issued; setting forth the terms and conditions upon which the system shall be operated; and authorizing certain other action in connection with said construction and the issuance of said bonds.
98-009
7-14-98
An ordinance relating to $3,300,000 principal amount of City of Paintsville, Kentucky Combined Utility Revenue Bonds, series 1998, dated July 1, 1998, for the purpose of financing the cost of constructing multiple utility system improvements, providing for said bonds to rank on a parity with the outstanding $701,000 of City of Paintsville Combined Utility Revenue Bonds of 1978, $795,000 of City of Paintsville Combined Utility Refunding Revenue Bonds, series 1992, $2,000,000 of City of Paintsville Combined Utility Refunding Revenue Bonds, series 1993 and $460,000 City of Paintsville Combined Utility Revenue Bonds, series 1996, setting forth the terms and conditions on which said bonds may be issued and outstanding; providing for the payment of the principal of and interest on said bonds; providing for the rights of the owners of said bonds and the enforcement thereof; and providing for an advertised public competitive sale of said bonds.
2006-004
8-8-06
An ordinance relating to the issuance of $250,000 of Water Revenue Bonds, Series 2006, providing for the terms and conditions upon which bonds are to be issued; setting forth the terms and conditions upon which the system shall be operated; and authorizing certain other action in connection with the construction and issuance of the bonds.
2011-004
4-12-11
Authorizing the issuance and sale of $13,500,000 principal amount of Combined Utilities Revenue Bonds, Series 2011, for the purpose of financing the construction of extensions, additions and improvements to the water, sewer and gas system of the city.
2017-007
7-24-17
Authorizing the issuance and sale of $4,900,000 principal amount of Combined Utilities Revenue Bonds, Series 2018, for the purpose of financing the construction of extensions, additions and improvements to the water, sewage and gas system of the city.