EX-4.12
from 8-K
37 pages
Tampa Electric Company and the Bank of New York Mellon, as Trustee Seventeenth Supplemental Indenture Dated as of July 12, 2022 Supplementing the Indenture Dated as of July 1, 1998 $300,000,000 3.875% Notes Due 2024 $300,000,000 5.00% Notes Due 2052
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EX-4.9
from 8-K
32 pages
Tampa Electric Company and the Bank of New York Mellon, as Trustee Sixteenth Supplemental Indenture Dated as of March 18, 2021 Supplementing the Indenture Dated as of July 1, 1998 $400,000,000 2.40% Notes Due 2031 $400,000,000 3.45% Notes Due 2051
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EX-4.5
from 10-Q
124 pages
New Mexico Gas Intermediate, Inc. $50,000,000 2.71% Series a Senior Unsecured Notes Due July 30, 2019 $150,000,000 3.64% Series B Senior Unsecured Notes Due July 30, 2024 Note Purchase Agreement Dated July 30, 2014
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