Ziegler Companies Inc

Underwriting Agreements Filter

EX-1
from 8-K 1 page Collateralized Bonds of Ziegler Collateralized Securities, Inc. Terms Agreement Dated: September 15, 1995 To: Ziegler Collateralized Securities, Inc. Re: Underwriting Agreement Dated December 1, 1991, as Amended ("Agreement") Series Designation: Series 6 Terms of the Bonds and Underwriting Compensation: Original Stated Principal Maturity Amount Interest Rate Price Public/1 September 1, 1996 $1,400,000 6.00% $1,400,000 March 1, 1997 $ 795,000 6.25% $ 795,000 September 1, 1997 $ 795,000 6.25% $ 795,000 March 1, 1998 $ 810,000 6.50% $ 810,000 September 1, 1998 $ 810,000 6.50% $ 810,000 March 1, 1999 $ 808,000 6.75% $ 808,000 September 1, 1999 $ 807,000 6.75% $ 807,000 March 1, 2000 $ 433,000 7.00% $ 433,000 September 1, 2000 $ 432,000 7.00% $ 432,000 March 1, 2001 $ 110,000 7.00% $ 110,000 1 Plus Accrued Interest From September 1, 1995. Collateral: The Pooled Assets as Described in Appendix a Hereto. Interest Payment Date: March 1 and September 1, Commencing March 1, 1996. Purchase Price: The Purchase Price Payable by the Underwriter for the Bonds Covered by This Agreement Will Be 97.50% of the Principal Amount to Be Issued ("Purchase Price"). Rating: The Bonds Will Be Rated Bbb by Duff & Phelps, Inc. Closing Date and Location: September 19, 1995 ("Closing Date") at the Offices of M&I First National Bank, West Bend, Wisconsin. the Appendix Hereto Is Incorporated Herein by Reference and Made a Part Hereof. B.C. Ziegler and Company By:/S/ Peter D. Ziegler Peter D. Ziegler, President Accepted: Ziegler Collateralized Securities, Inc. By:/S/ Lynn R. Van Horn Lynn R. Van Horn, President the Ziegler Companies, Inc. By:/S/ Peter D. Ziegler Peter D. Ziegler, President
12/34/56