Colorado Code
Part 5 - Indebtedness and Financial Provisions
§ 32-11-515. Repurchase of Securities

Any bonds or other district securities may be repurchased by the board out of any funds available for such purpose at a price of not more than the principal amount thereof and accrued interest, plus the amount of the premium, if any, which might on the next prior redemption date of such securities be paid to the holders thereof if such securities should be called for redemption on such date pursuant to their terms. All securities so repurchased shall be canceled; but if the securities are not called for prior redemption at the district's option within one year from the date of their purchase, they may be repurchased without limitation as to price.
Source: L. 69: p. 769, § 57. C.R.S. 1963: § 89-21-57.

Structure Colorado Code

Colorado Code

Title 32 - Special Districts

Article 11 - Urban Drainage and Flood Control Act

Part 5 - Indebtedness and Financial Provisions

§ 32-11-501. Forms of Borrowing

§ 32-11-502. Limitations Upon Security

§ 32-11-503. Recourse Against District Personnel

§ 32-11-504. Repeal of Article

§ 32-11-505. Registration of Securities

§ 32-11-506. Details of Securities

§ 32-11-507. Recital of Issuance Under Article

§ 32-11-508. Additional Securities Details

§ 32-11-509. Payment Without Further Order

§ 32-11-510. Interest Coupons

§ 32-11-511. Execution of Securities

§ 32-11-512. Use of Facsimiles

§ 32-11-513. Execution by Incumbents

§ 32-11-514. Execution With Predecessor's Facsimile

§ 32-11-515. Repurchase of Securities

§ 32-11-516. Use of Securities Proceeds

§ 32-11-517. Use of Surplus Proceeds

§ 32-11-518. Validity of Securities Unaffected by Project

§ 32-11-519. Employment of Experts

§ 32-11-520. Investments and Reinvestments

§ 32-11-521. Rights and Remedies Cumulative

§ 32-11-522. Continuation of Liabilities

§ 32-11-523. Temporary Bonds

§ 32-11-524. Statement of Purpose

§ 32-11-525. Prior Redemption Calls

§ 32-11-526. Surrender of District Securities by State

§ 32-11-527. Notes and Warrants

§ 32-11-528. General Obligation Securities

§ 32-11-529. Special Obligation Securities

§ 32-11-530. Covenant to Pay Operation and Maintenance Expenses

§ 32-11-531. Securities Constituting Indebtedness

§ 32-11-532. Securities Not Constituting Indebtedness

§ 32-11-533. Election to Authorize Debt

§ 32-11-534. Limitations Upon Incurring Debt

§ 32-11-535. Interest and Prior Redemption Charges

§ 32-11-536. Recitals in Securities

§ 32-11-537. Consolidated Bond Fund

§ 32-11-538. Securities Tax Levies

§ 32-11-539. Initial Levies

§ 32-11-540. Payments From General Fund

§ 32-11-541. Use of Other Moneys

§ 32-11-542. Appropriation of Taxes

§ 32-11-543. Special Obligation Limitations

§ 32-11-544. Purchase Price and Interest

§ 32-11-545. Public and Private Sales

§ 32-11-546. Notice of Public Sale

§ 32-11-547. Contents of Sale Notice

§ 32-11-548. Bid Requirements

§ 32-11-549. Acceptance of Best Bid

§ 32-11-550. Rejection of Bids

§ 32-11-551. Bond Maturities

§ 32-11-552. Prior Redemption Provisions

§ 32-11-553. Special Funds and Accounts

§ 32-11-554. Covenants and Other Provisions

§ 32-11-555. Liens on Pledged Revenues

§ 32-11-556. Rights and Powers of Securities Holders

§ 32-11-557. Receivers

§ 32-11-558. Issuance of Interim Debentures

§ 32-11-559. Limitations Upon Funding and Refunding Securities

§ 32-11-560. Interim Debenture Details

§ 32-11-561. Payment of Interim Debentures

§ 32-11-562. Funding Interim Debentures

§ 32-11-563. Funding Bonds

§ 32-11-564. Refunding Bonds

§ 32-11-565. Method of Issuing Refunding Bonds

§ 32-11-566. Conditions for Refunding

§ 32-11-567. Disposition of Refunding Bond Proceeds

§ 32-11-568. Administration of Escrow or Trust

§ 32-11-569. Security for Payment of Refunding Bonds

§ 32-11-570. Combination of Bond Purposes

§ 32-11-571. Applicability of Other Statutory Provisions