EX-4.1
from 8-K
76 pages
Madison Gas and Electric Company $25,000,000 5.30% Senior Notes, Series A, Due December 1, 2039 $25,000,000 5.59% Senior Notes, Series B, Due December 1, 2054 Note Purchase Agreement Dated October 31, 2024
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EX-4.1
from 8-K
77 pages
$40,000,000 5.61% Senior Notes, Series A, Due September 15, 2034 $30,000,000 5.91% Senior Notes, Series B, Due December 1, 2053 Note Purchase Agreement Dated August 31, 2023
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EX-4.1
from 10-Q
77 pages
Madison Gas and Electric Company $25,000,000 5.43% Senior Notes, Series A, Due December 1, 2032 $15,000,000 5.43% Senior Notes, Series B, Due February 15, 2033 $35,000,000 5.53% Senior Notes, Series C, Due February 15, 2035 Note Purchase Agreement Dated November 1, 2022
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EX-4
from 8-K
107 pages
Madison Gas and Electric Company $60,000,000 2.48% Senior Notes, Series A, Due August 15, 2031 $40,000,000 2.63% Senior Notes, Series B, Due June 15, 2033 Note Purchase Agreement Dated May 10, 2021
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EX-4
from 8-K
54 pages
Bond Purchase and Covenants Agreement Between Madison Gas and Electric Company, and U.S. Bank National Association Dated as of April 1, 2020 Relating to $19,300,000 City of Madison, Wisconsin Industrial Development Revenue Refunding Bonds (Madison Gas and Electric Company Project) Series 2020a
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EX-4
from 8-K
69 pages
Madison Gas and Electric Company $15,000,000 3.38% Senior Notes, Series A, Due December 20, 2020 $15,000,000 5.26% Senior Notes, Series B, Due December 20, 2040 Note Purchase Agreement Dated December 20, 2010
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