Form of Redemption Notice. Notice of redemption under Section 10.01 shall be given by the Indenture Trustee by first-class mail, postage prepaid, or by facsimile mailed or transmitted not later than 10 days prior to the applicable Redemption Date to each Holder of Notes, as of the close of business on the Record Date preceding the applicable Redemption Date, at such Holder’s address or facsimile number appearing in the Note Register. All notices of redemption shall state:
Form of Redemption Notice. (a) Notice of redemption under Section 10.01(a) shall be given by the Trustee by first-class mail, postage prepaid, mailed not less than 20 days prior to the applicable Redemption Date to each Holder of Notes, as of the close of business on the Record Date preceding the applicable Redemption Date, at such Holder's address appearing in the Note Register. In addition, the Administrator shall notify the Rating Agencies upon the redemption of any Class of Notes, pursuant to Section 1(a)(i) of the Administration Agreement. All notices of redemption shall state:
Form of Redemption Notice. 61 Section 10.03. Notes Payable on Redemption Date....................................................62
Form of Redemption Notice. Notice of redemption under Section 10.1 shall be given by the Issuer by first-class mail, postage prepaid, mailed not less than five (5) days prior to the applicable Redemption Date to each Noteholder, as of the close of business on the last day of the calendar month preceding the applicable Redemption Date, at such Noteholder’s address appearing in the Note Register. All notices of redemption shall state:
Form of Redemption Notice. 75 SECTION 10.3 Notes Payable on Redemption Date..........................................................76
Form of Redemption Notice. Notice of redemption shall be given by the Indenture Trustee in the name of and at the expense of the Issuer by first class mail, postage prepaid, mailed not less than ten days prior to the proposed Redemption Date to each Holder of Bonds to be redeemed, such Holders being determined as of the Record Date for such Payment Date. All notices of redemption shall state:
Form of Redemption Notice. (a) Notice of redemption of the Class A-4 Notes and Class B Notes under Section 10.1(a) shall be given by the Indenture Trustee by first-class mail, postage prepaid, mailed not less than five days prior to the applicable Redemption Date to each Holder of the Class A-4 Notes and Class B Notes of record, respectively, at such Noteholder's address appearing in the Note Register.
Form of Redemption Notice. Notice of redemption under Section 10.01 shall be given by the Indenture Trustee by first-class mail, postage prepaid, mailed to each holder of Senior Notes as of the close of business on the Record Date preceding the applicable Redemption Date at such holder's address appearing in the Senior Note Register. In addition, the Administrator shall notify each Rating Agency upon the redemption of the Senior Notes, pursuant to the Issuer Administration Agreement. All notices of redemption shall state:
Form of Redemption Notice. Unless otherwise specified in the Series Supplement relating to a Series of Transition Bonds, notice of redemption under Section 10.01 or 10.02 hereof shall be given by the Trustee by first-class mail, postage prepaid, mailed not less than five days nor more than 45 days prior to the applicable Redemption Date to each Holder of Transition Bonds to be redeemed, as of the close of business on the Record Date preceding the applicable Redemption Date at such Holder's address appearing in the Transition Bond Register. All notices of redemption shall state:
Form of Redemption Notice. SECTION 10.03. NOTES PAYABLE ON REDEMPTION DATE ARTICLE ELEVEN MISCELLANEOUS