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i <br />TABLE OF CONTENTS <br /> Page <br />INTRODUCTION ................................................ 1 <br />FINANCING PLAN ............................................. 3 <br />The Project ..................................................... 3 <br />Estimated Sources and Uses of Funds .......... 3 <br />THE 2024 BONDS ............................................. 4 <br />Authority for Issuance .................................... 4 <br />General Bond Terms ...................................... 4 <br />Redemption* ................................................... 5 <br />Registration, Transfer and Exchange ............ 7 <br />SECURITY FOR THE 2024 BONDS ............... 10 <br />General; Limited Obligation .......................... 10 <br />Installment Payments; Pledge of Net <br />Revenues ................................................. 10 <br />Receipt and Use of Gross Revenues under <br />Installment Sale Agreement ..................... 11 <br />Receipt and Use of Revenues under <br />Indenture .................................................. 12 <br />No Reserve Fund ......................................... 13 <br />Rate Stabilization Fund ................................ 13 <br />Rate Covenants under Indenture ................. 14 <br />Parity Debt .................................................... 14 <br />No Senior Debt ............................................. 16 <br />Casualty Insurance and Eminent Domain <br />Proceeds .................................................. 16 <br />THE AUTHORITY AND THE CITY .................. 17 <br />The Authority ................................................ 17 <br />The City ........................................................ 17 <br />City Pension Plans and OPEB ..................... 17 <br />THE WATER SYSTEM .................................... 23 <br />General ......................................................... 23 <br />Service Area ................................................. 23 <br />Physical Assets ............................................ 23 <br />Management ................................................ 24 <br />Sources of Water Supply ............................. 26 <br />Regulatory Requirements ............................ 27 <br />Historical Water Purchases.......................... 29 <br />Customer Base ............................................ 29 <br />Water Rates and Revenues ......................... 30 <br />Billing and Collection .................................... 34 <br />Capital Improvement Program ..................... 35 <br />Outstanding Indebtedness ........................... 35 <br />Funds and Reserves .................................... 36 <br />Pro Forma Debt Service Coverage .............. 37 <br />BOND OWNERS’ RISKS ................................. 39 <br />Revenues; Rate Covenant ........................... 39 <br />No Debt Service Reserve Fund ................... 39 <br />Maintenance and Operation Costs; Third- <br />Party Sources of Water Supply ............... 39 <br />Limitations on Remedies Available to Bond <br />Owners ..................................................... 40 <br />Seismic and other Natural Disasters; Climate <br />Change .................................................... 40 <br />Loss of Tax-Exemption ................................ 41 <br />Proposition 218 ............................................ 41 <br />Environmental Regulation ............................ 42 <br />Cybersecurity ............................................... 43 <br />Initiative Measure Relating to Water <br />Revenues ................................................. 43 <br />Secondary Market for Bonds ....................... 44 <br />Future Parity Debt ........................................ 45 <br />TAX MATTERS ................................................ 45 <br />CERTAIN LEGAL MATTERS .......................... 46 <br />NO MATERIAL LITIGATION ........................... 47 <br />RATING ........................................................... 47 <br />CONTINUING DISCLOSURE .......................... 47 <br />UNDERWRITING ............................................. 48 <br />MUNICIPAL ADVISOR .................................... 48 <br />EXECUTION .................................................... 49 <br /> <br /> <br />APPENDIX A: SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS <br />APPENDIX B: AUDITED FINANCIAL STATEMENTS OF THE CITY <br /> FOR THE FISCAL YEAR ENDED JUNE 30, 2023 <br />APPENDIX C: FORM OF CONTINUING DISCLOSURE CERTIFICATE <br />APPENDIX D: GENERAL INFORMATION ABOUT THE CITY OF PLEASANTON AND THE COUNTY <br />OF ALAMEDA <br />APPENDIX E: FORM OF OPINION OF BOND COUNSEL <br />APPENDIX F: DTC AND THE BOOK-ENTRY ONLY SYSTEM <br />