TABLE III:  BONDS
Ord. No.
Date Passed
Description
Ord. No.
Date Passed
Description
85-03
2-7-85
Authorizing and providing for the issuance of $16,215,000 principal amount (which may be increased or reduced by up to $500,000 to as much as $16,715,000 or to as little as $15,715,000) of Richmond Water, Gas, and Sewer revenue refunding and improvement bonds.
85-22
7-16-85
Authorizing the issuance of city industrial building revenue bond (Electronic Assembly, Inc. Project), in the amount of $2,000,000.
85-41
12-17-85
Providing for the issuance of $630,000 of special obligation bonds (school building revenue bonds) in accordance with §§ 162.120 through 162.290 of Kentucky Revised Statutes.
87-25
6-30-87
Authorizing the issuance of Richmond Water, Gas, and Sewer revenue refunding bonds, Series A and B, dated July 1, 1987.
90-46
12-21-90
Authorizing the issuance of the city economic development revenue bonds (Telford Project) series 1990, dated the date of delivery, in the principal amount of $950,000 for the purpose of financing an economic development project for use and occupancy by Telford Community Center YMCA, Inc.
91-29
7-21-91
Authorizing the issuance of Kentucky Construction Note (Downtown Development Project) Series 1991, dated the date of delivery, in the principal amount of $500,000 for the purpose of providing construction financing for the downtown development revitalization project.
94-01
2-1-94
Authorizing the issuance of Kentucky Industrial Building Revenue Bonds (American Tape Project) Series 1994, in the principal amount of $2,725,000 for the purpose of financing an industrial building project for use and occupancy by American Tape Company.
94-33
7-19-94
Authorizing the issuance of a Floating Indebtedness Funding Bond in the principal amount of $1,430,649.
94-43
10-4-94
Authorizing the issuance of up to $4,500,000 principal amount of Hospital Revenue Bonds, Series 1994 (Pattie A. Clay Infirmary Association), for the purpose of refunding certain 1979 bonds and financing new hospital facilities at Pattie A. Clay Hospital.
94-48
11-15-94
Authorizing the issuance of Kentucky Economic Development Refunding Revenue Bonds (Telford Project) Series 1994, dated the date of delivery, in the principal amount of $650,000 for the purpose of refinancing and financing an economic development project for use and occupancy by Telford Community Center YMCA, Inc.
95-06
1-11-95
Authorizing the issuance and sale of $400,000 principal amount of Kentucky Water, Gas and Sewer Revenue Bond Anticipation Notes, Series 1994, dated the date of delivery, under the provisions of Chapter 82 and §§ 58.010 through 58.140 of the Kentucky Revised Statutes.
95-21
6-6-95
Authorizing the issuance of Industrial Building Revenue Bonds (Pattie A. Clay Infirmary Association Project) of the city in an amount not to exceed $368,000.
95-60
12-13-95
Authorizing the issuance of Water, Gas and Sewer Revenue Refunding and Improvement Bonds in the amount of $7,150,000 (plus or minus $715,000).
95-61
12-13-95
Authorizing the issuance of Industrial Building Revenue Bonds (American Tape Project), in the amount of $1,500,000.
96-14
2-20-96
Authorizing the issuance of Water, Gas and Sewer Revenue Bonds, in the amount of $8,210,000 (plus or minus $820,000).
97-34
7-15-97
Authorizing the issuance of Industrial Building Taxable Revenue Bonds (AFG Industries Project), Series 1997, in the amount of $75,000,000.
98-18
4-21-98
Authorizing the issuance of Water, Gas and Sewer Revenue Bonds, Series 1998A and Series 1998B, in the amount of $9,110,000.
99-11
4-20-99
Authorizing the issuance of General Obligation Refunding Bonds (Gibson Bay/Lake REBA Project), Series 1999, in the amount of $5,585,000.
99-45
12-1-99
Authorizing the issuance of General Obligation Refunding Bonds (RIDC Project), Series 1999, in the amount of $690,000 (plus or minus up to $65,000).
00-09
2-15-00
Authorizing and providing for the issuance of the city Water, Gas and Sewer Revenue Bond, Series 2000, in the amount of $3,500,000 (plus or minus $350,000).
03-28
5-27-03
Authorizing the issuance of a General Obligation Floating Indebtedness Refunding Bond, Series 2003, in the aggregate principal amount required to (i) refund the prior obligation, and (ii) pay the costs of issuing the Series 2003 Bond.
03-29
5-27-03
Authorizing the issuance of a General Obligation Taxable Funding Bond, Series 2003, in the aggregate principal amount required to (i) refund the prior obligation, and (ii) pay the costs of issuing the Series 2003 Bond.
05-08
3-22-05
Authorizing the issuance of Kentucky Water, Gas and Sewer Refunding Revenue Bonds, Series 2005A for the purpose of refunding the outstanding City of Richmond Water, Gas and Sewer Revenue Refunding and Improvement Bonds, Series 1995.
05-21
5-24-05
Authorizing the issuance of Water, Gas and Sewer Revenue Bonds, Series 2005B for the purpose of providing funds for additions, modifications and improvements to the city’s combined utility system.
06-07
2-28-06
Authorizing the issuance and sale of its Kentucky League of Cities Funding Trust Lease Program Revenue Bonds, variable rate 2006 Series A, in an aggregate principal amount of up to $50,000,000.
07-01
1-23-07
Authorizing issuance of general obligation bonds (Aquatic Center Project) Series 2007.
07-16
6-21-07
Authorizing issuance of Water, Gas and Sewer Revenue Bonds, Series 2007 for purpose of providing funds for additions, modifications and improvements to the city’s combined utility system.
08-07
2-26-08
Authorizing and providing for the issuance of Kentucky Water, Gas, and Sewer Refunding Revenue Bonds, Series 2008 for the purpose of refunding the outstanding City of Richmond Water, Gas, and Sewer Revenue Refunding and Improvement Bonds, Series 1998B.
08-25
7-22-08
Authorizing and providing for the issuance of General Obligation Bonds (Fire Station Project), Series 2008, in the approximate amount of $1,825,000.
09-09
5-14-09
Authorizing and providing for the issuance and sale of $650,000 principal amount of City of Richmond, Kentucky water, gas and sewer revenue bond anticipation notes, series 2009, for extensions and improvements to the combined and consolidated water, gas and sewer system.
10-16
9-14-10
Authorizing and providing for the issuance and sale of City of Richmond, Kentucky water, gas and sewer revenue bonds, series 2010, for the purpose of providing funds for additions, modifications and improvements to the city’s combined utility system.
11-13
6-14-11
Providing for the issuance of City of Richmond, Kentucky, general obligation notes, series 2011, for the purpose of paying all or any portion of the costs of various public projects.
11-15
6-28-11
Providing for the issuance of City of Richmond, Kentucky, general obligation refunding notes, series 2011, for the purpose of providing funds necessary to pay the cost to refund certain outstanding indebtedness of the city.
11-27
9-27-11
Amending Ordinance 09-09 for the purpose of extending the maturity date of the notes until July 1, 2012.
12-24
6-26-12
Providing for the issuance of City of Richmond, Kentucky, general obligation notes, series 2012, for the purpose of paying all or any portion of the cost of various public projects.
12-50
11-27-12
Providing for the issuance of General Obligation Refunding Bonds, Series 2012, for the purpose of providing funds necessary to refund certain obligations of the city.
13-05
2-26-13
Providing for the issuance of General Obligation Refunding Bonds, Series 2013, for the purpose of providing funds necessary to refund certain obligations of the city.
13-18
6-25-13
Providing for the issuance of City of Richmond, Kentucky, general obligation notes, series 2013, for the purpose of paying all or any portion of the costs of various public projects.
14-15
6-10-14
Providing for the issuance of City of Richmond, Kentucky, general obligation notes, series 2014, for the purpose of paying all or any portion of the costs of various public projects.
15-10
6-19-15
Authorizing issuance of City of Richmond, Kentucky, general obligation notes, series 2015, for the purpose of paying all or any portion of the costs of various public projects.
19-18
9-10-19
Providing for the issuance of its general obligation refunding bonds, series 2019 for the purpose of providing funds necessary to refund certain obligations of the city.