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HomeMy WebLinkAbout2022-09-27 - AGENDA REPORTS - ENERGY INFRASTRUCTURE MODERNIZATION PGMO Agenda Item: 1 1. CITY OF SANTA CLARITA AGENDA REPORT PUBLIC HEARINGS CITY MANAGER APPROVAL: DATE: September 27, 2022 SUBJECT: IMPLEMENTATION AND FINANCING OF THE CITY' S ENERGY INFRASTRUCTURE MODERNIZATION PROGRAM AND THE SANTA CLARITA PFA LEASE REVENUE BONDS - ENERGY EFFICIENCY PROGRAM SERIES 2022A (GREEN BONDS) AND SERIES 2022B (GREEN BONDS) DEPARTMENT: Neighborhood Services PRESENTER: Darin Seegmiller RECOMMENDED ACTION City Council: 1. Conduct a public hearing. 2. Adopt a resolution to make certain findings and approve the implementation and financing of the City's Energy Infrastructure Modernization Program in accordance with Government Code Sections 4217.10 through 4217.18. 3. Award the City's Energy Infrastructure Modernization Program Installation Agreement to Climatec LLC in an amount not to exceed $35,129,467. 4. Appropriate $35,129,467 from the Facilities Fund (723) to Energy Efficiency Expenditure Account R0033723-516101. 5. Award the City's Energy Infrastructure Modernization Measurement and Verification Agreement to Climatec LLC upon completion and acceptance of the project in an annual amount not to exceed $28,000. 6. Appropriate funding from the General Fund (100) to Neighborhood Services Expenditure Account 1007000-516102 for guaranteed savings measurement and verification in the amount of $28,000 annually in Fiscal Year 2024-25 through Fiscal Year 2026-27; contingent upon the appropriation of funds in the annual budget for such fiscal years. Page 1 Packet Pg. 10 O 7. Adopt a resolution approving the issuance of the Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) and Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds), in the aggregate principal amount not to exceed $25,000,000, approving the execution and delivery of an amendment to two lease agreements, a Continuing Disclosure Certificate, two Bond Purchase Agreements, a Preliminary Official Statement, a Final Official Statement and Sale Documents; approving the retention of certain professional firms; and authorizing the taking of certain actions in connection therewith. 8. Adopt a resolution declaring the intent to reimburse certain expenditures from the proceeds of tax-exempt obligations expected to be issued to finance energy efficiency improvements buildings, and facilities as required by United States Department of Treasury Regulations Section 1.150-2. 9. Adopt a resolution authorizing the application for an Energy Efficiency Loan from the California Energy Commission to implement energy efficiency measures in the amount not to exceed $3,000,000 and authorizing the execution and delivery of a loan agreement, Promissory Note and Tax Certificate; and authorizing the taking of certain actions in connection therewith. 10. Authorize the City Manager or designee to execute all documents, subject to City Attorney approval. Public Financing Authority: Adopt a resolution approving the issuance of the Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) and Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds), in the aggregate principal amount not to exceed $25,000,000, approving the execution and delivery of two supplemental indentures, amendments to two lease agreements, two Bond Purchase Agreements, a Preliminary Official Statement, a Final Official Statement; and authorizing the taking of certain actions in connection therewith. BACKGROUND As part of the Santa Clarita 2025 Strategic Plan, the City Council identified a goal of completing energy efficiency upgrades to all City of Santa Clarita (City) facilities. The intent of completing these upgrades is to save money, reduce greenhouse gas emissions, and meet growing energy demand. By investing in efficient infrastructure, the City will achieve substantial long-term energy cost savings and demonstrate environmental leadership. To achieve this objective, a Request for Proposals (RFP) was posted on BidNet on June 14, 2021, seeking a qualified energy service company capable of developing and implementing projects that are consistent with the City's desire to deliver the best and most cost-efficient municipal services. The RFP asked firms to identify their relevant experience in similar projects and demonstrate their implementation approach to the project. Page 2 Packet Pg. 11 O Fifty-three consulting firms downloaded the RFP, and the City received proposals from five consultants on July 29, 2021. An evaluation team consisting of five City staff members, representing divisions across the organization, reviewed the proposals and scored the firms. Climatec LLC's (Climatec) proposal, interview, and references demonstrated their reputable qualifications for the project. Furthermore, Climatec demonstrated that it can provide quality service, sustained efficiencies, and energy cost savings expected by the City. On November 9, 2021, the City Council awarded a Professional Services Agreement to Climatec for the development of comprehensive energy and water infrastructure modernizations throughout City facilities and parks. The objectives of the program are to: Revitalize aging infrastructure Enhance economic vitality by mitigating rising utility and operational costs Promote sustainability through renewable energy and smart technologies Over the past nine months, staff has been working with Climatec to analyze the City's utility usage and conduct a Citywide assessment of aging infrastructure in the following areas: • Heating, Ventilation and A/C (HVAC) • Interior and Exterior Lighting • Sports Field Lighting • Building Automation Systems (BAS) • Windows • Roofing • Water conservation • Irrigation • Pools • Solar • Backup power • Battery storage Program Benefits Staff recommends implementing this program for operational, financial, and environmental reasons. Operationally, many of the proposed projects will address critical infrastructure that is past its useful life. The program also promotes operational efficiencies by modernizing and centralizing the outdated systems that control irrigation equipment at City parks and HVAC equipment at City facilities. This proposed program maximizes operational efficiency by addressing infrastructure needs much faster than the City's typical Capital Improvement Program. If the City were to manage these projects through its typical Capital Improvement process, staff anticipates that it would take approximately five years to complete. However, through this program, all of the projects will be managed by Climatec and be completed within 18 to 24 months. Financially, this program will result in utility savings that will generate a guaranteed return on investment. The energy savings realized by solar will generate approximately 66 percent of the project's guaranteed savings. Additionally, installation of solar infrastructure at City facilities now will allow the City to be grandfathered into the Net Energy Metering (NEM) 2.0 program, which allows the City to receive bill credits for the excess electricity that the solar panels will produce. Beyond its operational and financial benefits, this program demonstrates the City's commitment Page 3 Packet Pg. 12 O to environmental stewardship. If implemented, this project will result in the reduction of greenhouse gas emissions (CO2) by 3,322 metric tons per year, which is the equivalent of 716 gas -powered cars taken off the road each year. Detailed Scope of Work The analysis of City facilities identified opportunities for Energy Conservation Measures (ECM) at 36 different sites. Most of the sites are proposed to receive high efficiency HVAC modernizations, modern BAS, and lighting upgrades. Some of the sites will receive solar energy generating structures in the parking lots. In addition to those improvements, The Cube will receive a new roof and high efficiency improvements to the ice refrigeration system. Below is a summary of the detailed scope of work throughout all of the facilities: • High Efficiency HVAC at 15 sites • Ventilation and filtration improvements • BAS at 24 sites • Existing BAS integration at one site • Sports field LED lighting at seven sites • Interior LED lighting at 27 sites • Exterior LED lighting at 36 sites • Occupancy sensors at 30 sites • Roof replacement at one site • Window film at two sites • Solar at six sites • Solar thermal water heating at three sites • Battery storage systems at two sites • Smart irrigation controllers at 24 sites • Efficient water heaters at one site • Upgraded ice rink refrigeration • New dehumidification system • Ice Purification System • Efficient transformers at 14 sites Each ECM has a cost associated with it as shown in the table below. The total cost, inclusive of financing, is $46,538,667, compared to estimated utility and operational savings of $46,592,955, of which $35,129,467 is contractually guaranteed by Climatec over the useful life of the equipment. Guaranteed savings will be measured and verified annually as identified in the proposed Measurement and Verification Agreement. Project Costs Heating, Ventilation and A/C $5,527,360 Building Automation Systems 1,112,286 Interior and Exterior Lighting 3,046,768 Sports Field Lighting 5,534,786 Building Envelope Window Film 181,118 Building Envelope(New Roo 2,562,040 Smart Irrigation System 831,300 Ice Rink Refrigeration 4,671,218 Transformers 752,865 Solar PV 8,541,583 Energy Storage 2,004,379 Pool Solar Thermal 363,764 Climatec Project Cost $35,129,467 Financing Cost 11,409,200 Total Cost of Project $46,538,667 Page 4 Packet Pg. 13 O Projected Savings Utility Savings(Energy Efficiency Measures 7,942,787 Utility Savings Solar 23,039,330 Operational Savings 10,452,230 Inflation Savings for Capital Projects 5,158,608 Total Estimated Savings $46,592,955 In the event that the annual savings does not meet the Guaranteed Project Savings in accordance with the Measurement and Verification Agreement, then Climatec is obligated to repair, replace, or substitute the ECM that is not performing to the required level at Climatec's sole expense within twelve months. If, after the opportunity to make corrections, the verified savings are less than the Guaranteed Project Savings, then Climatec must pay the City the shortfall amount. The action today by the City is to hold a public hearing regarding the proposed implementation and financing of the City's Energy Infrastructure Modernization Program, the cost of which is less than the anticipated marginal cost of thermal, electrical, or other energy that would have been consumed in the absence of the program. At the conclusion of the public hearing, City Council will consider adoption of the resolution to make certain findings, and approve the implementation and financing of the City's Energy Infrastructure Modernization Program. Program Financing Staff is recommending entering into the agreement with Climatec to implement and manage the $35 million Energy Efficiency Program. The City's intent is to finance the energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "Project"), through a combination of cash, tax-exempt bond financing and a $3 million California Energy Commission (CEC) loan. Additionally, with the recent passage of the Federal Inflation Reduction Act, the Clean Electricity Tax Credit Provisions are being closely monitored by staff and Climatec. Depending on the final rules, the City may be able to access funds that would reduce the City's capital outlay. California Energy Commission (CEC Loam Staff is recommending the City approve a resolution authorizing the application for an energy efficiency loan from the CEC to implement energy efficiency measures in the amount not to exceed $3 million, and authorizing the execution and delivery of a Loan Agreement, Promissory Note and Tax Certificate, and other actions related thereto. If approved as expected, the loan proceeds of $3 million will be available to reimburse a portion of the cash contributed to the cost of the Project. The CEC loan is advantageous since it offers a 20-year fixed one percent low interest rate when compared to the current market interest rate of 4.27 percent. Bond Issuance The structure of the proposed tax-exempt bond financing will be identical to the City's other General Fund backed bond debt. The City's Public Financing Authority (PFA) will issue lease revenue bonds secured by a lease of City property. Staff reviewed all available City facilities and it was determined that The Cube and City Hall would be best since both properties already have Page 5 Packet Pg. 14 O lease secured bond financing and there are provisions under both bond issues that allow for additional bonds. Additionally, a significant amount of the energy efficiency improvements will benefit and improve these two properties. Existing financing include the Recreational Facility Lease for the tax-exempt and taxable lease revenue bonds issued in 2020 for acquisition of The Cube (the "2020 Bonds") and the City Hall Lease for the lease revenue bonds for Golden Valley Road related judgment refinanced in 2016 (the "2016 Bonds"). The 2020 Bonds will mature in 28 years, in June 2050 and the 2016 Bonds will mature in 13 years, in December 2035. It is estimated that the total cost of the Project is $35.129 million. Approximately $15 million will be funded with cash initially with $3 million to be reimbursed from a CEC Loan, if approved. The remaining amount of approximately $20 million would be financed through the issuance of tax-exempt lease revenue bonds under the two existing Recreational Facility Lease and the City Hall Lease. The City's PFA will issue its lease revenue bonds (Energy Efficiency Program) (the "Bonds") in two bond series, one series as additional bonds under the Recreational Facility Lease, designated as "Lease Revenue Bonds (Energy Efficiency Program) Series 2022A" (the "2022A Bonds") and one series as additional bonds under the City Hall Lease, designated as "Lease Revenue Bonds (Energy Efficiency Program) Series 2022B" (the "2022B Bonds"). The 2022A Bonds would be parity to the 2020 Bonds and payable from increased base rental payments under the Recreational Facility Lease. The 2022B Bonds would be parity to the 2016 Bonds and payable from increased base rental payments under the City Hall Lease. The proposed debt structure of the Series 2022A and B Bonds is designed to match the existing debt maturity of the prior 2020 Bonds and the 2016 Bonds. The Series 2022A Bonds and the 2020 Bonds will both mature in 2050 and the Series 2022B Bonds and the 2016 Bonds will both mature in 2035. Debt service on all bonds will be level. In 2035 the City Hall, which is encumbered by the 2016 Golden Valley Road debt, will be free and clear of all debt. Proceeds of the Bonds will be held by the bond trustee and used to pay Climatec for a portion of the Project. The PFA and the City will enter into a first amendment to each existing lease (each a "First Amendment to Lease") which will increase the base rental payments to pay for the increased debt service due to the additional Series 2022 A and B bonds. Under the PFA bond structure, the City has leased the Recreational Facility to the PFA pursuant to a Site and Facility Lease, and the PFA has lease -backed the Recreational Facility to the City pursuant to a Lease Agreement. The City will make Base Rental Payments from the City's General Fund for use of the Recreational Facility. The new Base Rental Payments will be equal to the debt service on the 2022A Bonds and the 2020 Bonds. Likewise, under the PFA bond structure, the City has leased the City Hall to the PFA pursuant to a Site and Facility Lease, and the PFA has lease -backed the City Hall to the City pursuant to a Lease Agreement. The City will make Base Rental Payments from the City's General Fund for use of the City Hall. The new Base Rental Payments will be equal to the debt service on the 2022B Bonds and the 2016 Bonds. The PFA transfers the Base Rental Payments to the bond trustee to pay bond holders. No bond reserve fund is contemplated for either the 2022A Bonds or the 2022B Bonds. The PFA bond structure is widely used in California and is identical to the structure used in the City's other general fund financings, including the issuance of the Sheriffs Station Project, Series 2019 Bonds, the 2020 Recreational Facility Project Bonds, and the 2016 Golden Valley Road Bonds discussed herein. The proposed Bonds are expected to be rated by Standard and Poor's Corporation and are Page 6 Packet Pg. 15 O expected to be sold with "AA+" category bond ratings. A Request for Proposal (RFP) was sent out to bond underwriters with relevant experience and four proposals were received. The City's Financing Team reviewed the proposals and scored the firms. The firm, Stifel, Nicolaus & Company, Incorporated, was selected as their proposal demonstrated their reputable qualifications including California lease revenue bond experience, bond structuring, and staffing for the project. Bonds are proposed to be sold through a negotiated sale with the selected underwriter in October with closing scheduled for later in that month. The proposed term of the 2022A Bonds is 28 years and the payments are expected to be level. The proposed term of the 2022B Bonds is 13 years and the payments are expected to be level. The final interest cost on the Bonds will depend on market interest rates at time of sale. The current estimated all in true interest cost for the 2022A Bonds is 4.43 percent. The estimated all in true interest cost for the 2022B Bonds is 3.69 percent. The bond markets have been relatively stable at the present time but final bond interest rates may be higher or lower depending on interest rates at time of sale. The Bonds are expected to be sold with the standard eight years of bond call protection and will be redeemable beginning in 2030. The public disclosures required under SB 450, effective January 1, 2018, are incorporated herein. The estimates have been determined as of September 12, 2022. Specifically: Energy Efficiency Program - 2022A Bonds 1) The all -in true interest cost of the bonds, which means the rate necessary to discount the amounts payable on the respective principal and interest payment dates to the purchase price received for the new issue of bonds is estimated to be 4.43 percent. 2) The finance charge of the bonds, which means the sum of all fees and charges paid to third parties is estimated to be $241, 073. Bond insurance premiums, which lower interest cost in excess of the fees charged, are estimated to be $0. Such insurance is not expected to be cost effective. 3) The amount ofproceeds received by the public body for sale of the bonds less the finance charge of the bonds described and any reserves or capitalized interest paid or funded with proceeds of the bonds is estimated to be $13, 081,473. 4) The total payment amount, which means the sum total of all payments the borrower will make to pay debt service on the bonds plus any finance charge of the bonds not paid with the proceeds of the bonds. The total payment amount calculated to the final maturity of the bonds is estimated to be $22, 675, 950. Energy Efficiency Program -2022B Bonds 5) The all -in true interest cost of the bonds, which means the rate necessary to discount the amounts payable on the respective principal and interest payment dates to the purchase price received for the new issue of bonds is estimated to be 3.69 percent. 6) The finance charge of the bonds, which means the sum of all fees and charges paid to third parties is estimated to be $109, 412. Bond insurance premiums, which lower interest cost in excess of the fees charged, are estimated to be $0. Such insurance is not expected to be cost effective. Page 7 Packet Pg. 16 O 7) The amount ofproceeds received by the public body for sale of the bonds less the finance charge of the bonds described and any reserves or capitalized interest paid or funded with proceeds of the bonds is estimated to be $6, 484, 672. 8) The total payment amount, which means the sum total of all payments the borrower will make to pay debt service on the bonds plus any finance charge of the bonds not paid with the proceeds of the bonds. The total payment amount calculated to the final maturity of the bonds is estimated to be $8,299,395. At the conclusion of the public hearing, City Council and the PFA will consider adoption of the resolutions authorizing the issuance of the Bonds. A resolution for each of the City and the PFA is attached and would authorize the issuance of a not to exceed amount of $25,000,000 in aggregate 2022A Bonds and 2022B Bonds. Final sizing will be determined at time of bond sale. The Bonds will be sold on a negotiated basis. The resolution also approves the various documents in connection with the issuance of the Bonds. The City resolution also approves the appointment of a) Columbia Capital Management LLC, as Municipal Advisor, b) Norton Rose Fulbright US LLP, as Bond and Disclosure Counsel, (c) U.S. Bank National Association, as Trustee, and (d) Digital Assurance Certification as dissemination agent. General Summary of Security: The Bonds are secured by the revenues from the Base Rental Payments payable from the City's General Fund. The City covenants in each Lease to make annual appropriations for the Base Rental Payments under each Lease, subject to abatement for nonuse of the project. Potential investors will look closely at the strengths and weaknesses of the City's General Fund and essentiality of the project. The financing documents are described below. First Supplemental Indentures and Indentures: Key legal document that lays out the legal structure and terms of the financing of the 2022A Bonds and the 2022B Bonds, as applicable. Revenues received from each Lease Agreement are assigned to the trustee to make debt service payments on the applicable Bonds. The First Supplemental Indenture and Indenture specifies payment dates, maturity dates of the applicable Bonds; revenues and accounts specifically pledged to the repayment of the applicable Bonds; the project fund; flow of funds, default and remedy provisions; redemption and defeasance provisions in the event the applicable Bonds are prepaid or redeemed early; and covenants of the issuer. It is drafted by Bond Counsel and executed by the PFA and U.S. Bank National Association, as trustee. First Amendment to Lease Agreements and Lease Agreements: Document in which the City agrees to leaseback the site and facility from the PFA. It specifies amount and dates of the Base Rental Payments, including the increased Base Rental Payments relating to the additional bonds; covenant to appropriate the Base Rental Payments; flow of funds; default and remedy provisions; prepayment provisions; and covenants of the City regarding use of the project and funds pledged to the payment of the Base Rental Payments. The document is drafted by Bond Counsel and executed by the City and PFA. Continuing Disclosure Certificate: This undertaking outlines the updated information related to the security that the City will agree to provide to the bond markets. Disclosure is required annually and on an exceptional basis for any major "material" event. This document is drafted by Bond Counsel and executed by the City. Page 8 Packet Pg. 17 O Bond Purchase Agreements: Each Bond Purchase Agreement is the contract among the PFA, the City and the Underwriter, pursuant to which the Underwriter agrees to buy the applicable Bonds when issued, subject to certain termination events, for resale to investors. The bond sale is scheduled for October, with a closing in the latter part of October. The document is drafted by underwriter's counsel, reviewed by City staff, City Attorney and Bond Counsel, and executed by the City, PFA and the underwriter, Stifel, Nicolaus & Company, Incorporated. Preliminary Official Statement (POS): The POS is the "offering document" for the Bonds. The City and the PFA have an obligation to ensure that the POS includes all information that would be material to a prospective investor's decision whether to purchase the Bonds. The POS describes the terms of the bonds, the pledged revenues, the PFA and City, investor risk and other information for potential investors. While the City's legal counsel, consultants, and the staff have participated in preparing the POS, the City/PFA and staff are ultimately responsible for ensuring that the POS is accurate, contains no misleading information, and does not omit any information necessary to make the POS not misleading to investors. Reimbursement Resolution: The City, or its related entity, the Santa Clarita Public Financing Authority, intends to issue one or more series of tax-exempt bonds (the "Obligations"), to finance a portion of the Project. Certain expenditures with respect to the Project are expected to be paid by the City prior to the date of issuance of the Obligations. The proposed resolution would allow for the City to be reimbursed for such expenditures. Section 1.150-2 of the Treasury Regulations (the "Treasury Regulations") promulgated under the Internal Revenue Code of 1986, as amended, requires that for an allocation of proceeds of tax-exempt obligations to a capital expenditure paid prior to the issuance of the obligations to be respected by the Internal Revenue Service, the City generally must no later than sixty (60) days following such expenditures have declared their reasonable official intent to reimburse the City for such payment out of the proceeds of the obligations. The proposed resolution would evidence the City's reasonable official intent for purposes of the Treasury Regulations. The resolution is adopted only for the purpose of establishing compliance with the requirements of the Treasury Regulations. It does not obligate the City to make any expenditure or proceed with the Project or obligate the City to issue any Obligations. More specific details of the financing can be found in the drafts of the documents referenced above. The documents being recommended for approval are available in the office of the City Clerk. ALTERNATIVE ACTION Other action as determined by the City Council. FISCAL IMPACT Upon approval of the recommended action, $35,129,467 will be available in Energy Efficiency Expenditure Account R0033723-516101 for the City's Energy Infrastructure Modernization Program Installation, funded by bond proceeds ($19,775,512) and cash ($15,353,955). Climatec Page 9 Packet Pg. 18 O contractually guarantees savings in the amount of $35,129,467 over the useful life of the equipment. These savings will be measured and verified per the Measurement and Verification agreement. The total estimated operating budget savings is expected to offset the bond debt service. ATTACHMENTS Notice of Public Benefit Hearing Resolution Energy Infrastructure Modernization Program Resolution City Approving Bond Issuance Resolution Public Financing Authority Approving Bond Issue Resolution Reimbursement Resolution California Energy Commission Loan Energy Infrastructure Modernization Program Installation Agreement (available in the City Clerk's Reading File) Energy Infrastructure Measurement and Verification Agreement (available in the City Clerk's Reading File) Form of CEC Loan Agreement (available in the City Clerk's Reading File) Form of First Supplemental Indenture along with copy of 2020 Indenture — Series 2022A (available in the City Clerk's Reading File) Form of First Supplemental Indenture along with copy of 2016 Indenture — Series 2022B (available in the City Clerk's Reading File) Form of First Lease Amendment along with copy of CUBE Lease — Series 2022A (available in the City Clerk's Reading File) Form of First Lease Amendment along with copy of City Hall Lease — Series 2022B (available in the City Clerk's Reading File) Form of Bond Purchase Agreement — Series 2022A Bonds (available in the City Clerk's Reading File) Form of Bond Purchase Agreement — Series 2022B Bonds (available in the City Clerk's Reading File) Form of Continuing Disclosure Certificate (available in the City Clerk's Reading File) Form of Preliminary Official Statement (available in the City Clerk's Office) Page 10 Packet Pg. 19 1.a CITY OF SANTA CLARITA NOTICE OF PUBLIC HEARING NOTICE IS HEREBY GIVEN that a Public Hearing will be held by the City Council of the City of Santa Clarita in the City Hall Council Chambers, 23920 Valencia Boulevard, 1st floor, Santa Clarita, California, at or after 6 p.m. on September 27, 2022, regarding two items. The first is the proposed implementation and financing of the City's Energy Infrastructure Modernization Program, pursuant to Government Code section 4217.12, for the Council to review the findings that demonstrate the cost of the City's Energy Infrastructure Modernization Program will be less than the anticipated marginal cost of thermal, electrical, or other energy that would have been consumed in the absence of those purchases. The second item is in regards to the proposed issuance of Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "Series A Bonds") and Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "Series B Bonds," and together with the Series A Bonds, the "Bonds"), by the Santa Clarita Public Financing Authority pursuant to Section 6586.5(a)(2) of the Government Code of the State of California. The Bond proceeds are expected to be applied to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements. At the hearing, the testimony either for or against the above items of all interested persons will be heard. If you challenge the proposed action in court, you may be limited to raising only those issues you or someone else raised at the public hearing described in this notice or in written correspondence delivered to the City Council at or prior to the public hearing. For further information concerning the Energy Infrastructure Modernization Program, contact Darin Seegmiller, Environmental Services Manager, at (661)255-4930 or via email dseegmiller@santa-clarita.com. Persons seeking information concerning the issuance of Bonds should contact Johanna Medrano, Management Analyst, at (661) 255-4338 or via email jmedrano@santa-clarita.com. Persons who require accommodation for any audio, visual or other disability in order to participate in a public hearing of the City Council may obtain assistance by requesting such accommodation in writing addressed to the City Clerk, 23920 Valencia Boulevard, Santa Clarita, 91355, or by calling (661) 255-4391. Any such request for accommodation should be made at least 48 hours prior to the scheduled meeting for which assistance is requested. Furthermore, notice of the aforementioned hearing was posted on September 13, 2022 at City Hall. Dated: September 13, 2022 Mary Cusick, MMC City Clerk Publish Date: September 16, 2022 Packet Pg. 20 1.b RESOLUTION NO. 22 - A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SANTA CLARITA, CALIFORNIA, AUTHORIZATION FOR IMPLEMENTING AND FINANCING THE CITY' S ENERGY INFRASTRUCTURE MODERNIZATION PROGRAM PURSUANT TO GOVERNMENT CODE SECTION 4217.10-18, MAKING CERTAIN FINDINGS AND AUTHORIZING RELATED ACTIONS WHEREAS, the City of Santa Clarita (City) finds it to be in the best interests of the City to implement projects to promote energy efficiency and renewable energy to achieve utility budget cost reductions; and WHEREAS, Government Code sections 4217.10 through 4217.18 authorizes the City Council to enter into one or more agreements with any person or entity if the anticipated cost to the City for thermal or electrical energy or conservation services provided under the contract is less than the anticipated marginal cost to the City of thermal, electrical, or other energy that would have been consumed by the City in the absence of the program (Savings); and WHEREAS, Government Code sections 4217.10 through 4217.18 require that a public hearing be held, and public comment be taken, at a regularly scheduled meeting of the City Council, at which meeting the City Council may consider and adopt the findings described herein and authorize implementation and financing of the City's Energy Infrastructure Modernization Program, and that notice thereof must be given at least two weeks prior to the meeting; and WHEREAS, the City gave notice of its intent to conduct a public hearing and take public comment upon the subject matter of this resolution two weeks prior to the regularly scheduled public meeting at which the City Council has held a public hearing and taken public comment and has now considered this resolution, all as required under Government Code sections 4217.10 through 4217.18; and WHEREAS, the City Council and City staff reviewed the qualifications and competitive proposal submitted by Climatec LLC(Climatec) via Request for Proposals (RFP) for Citywide Energy Efficiency Upgrades conducted in July 2021 and found Climatec's qualifications to appear bona fide and adequate; and WHEREAS, Climatec assessed the feasibility of various potential energy conservation and modernization measures to reduce the City's energy consumption and expense and recommended specific energy conservation measures based thereon (Analysis as set forth in Exhibit A) upon which the City Council and City Staff have relied; and WHEREAS, Climatec has offered to implement the City's Energy Infrastructure Modernization Program for the price stated therein; and WHEREAS, the Analysis demonstrates that the cost for energy infrastructure modernizations provided under the agreements is less than the anticipated marginal cost to the Page 1 of 3 Packet Pg. 21 1.b City of thermal, electrical, or other energy that would have been consumed in the absence of the program. (Savings). NOW THEREFORE, the City Council of the City of Santa Clarita, California, does hereby resolve as follows: SECTION 1. Recitals. All of the recitals herein contained are true and correct. SECTION 2. Agreement Findings. The City Council finds that the cost of the Agreements for the energy infrastructure modernization services provided by Climatec thereunder is less than the anticipated marginal cost of thermal, electrical, or other energy that would have been consumed in the absence of the program and that it is in the best interest of the City to approve and enter into the Agreements with Climatec. SECTION 3. Agreement Approval. The fonns of the Agreements by and between the City and Climatec, in the forms on file with the Clerk of the Council, are hereby approved, subject to final approval by the City Manager and City Attorney. The City Manager is hereby authorized and directed, for and in the name of and on behalf of the City, to execute and deliver to Climatec the Agreements and related documents as necessary to carry out the energy infrastructure modernization program contemplated therein, subject to such minor changes thereto as the City Manager may require and approve. SECTION 4. Financing Agreements Approval. The forms of the Financing Agreements, in the forms on file with the Clerk, are hereby approved, subject to final approval by the City Manager and City Attorney. The City Manager is hereby authorized and directed, for and in the name of and on behalf of the City, to execute and deliver the associated financing agreements and related documents as necessary to carry out the financing transactions contemplated therein, subject to such minor changes thereto as the City Manager may require and approve, with the approval of the City Attorney. SECTION 5. The City Clerk shall certify to the adoption of this resolution. PASSED, APPROVED, AND ADOPTED this 27rh day of September 2022. ATTEST: CITY CLERK DATE: MAYOR Page 2 of 3 Packet Pg. 22 1.b STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES ) ss. CITY OF SANTA CLARITA ) I, Mary Cusick, City Clerk of the City of Santa Clarita, do hereby certify that the foregoing Resolution No. 22- was duly adopted by the City Council of the City of Santa Clarita at a regular meeting thereof, held on the 27th day of September 2022, by the following vote: AYES: COUNCILMEMBERS: NOES: COUNCILMEMBERS: ABSENT: COUNCILMEMBERS: CITY CLERK Page 3 of 3 Packet Pg. 23 1.b Exhibit A: Analysis r Q Packet Pg. 24 CITY OF SANTA CLARITA ENERGY INFRASTRUCTURE MODERNIZATION PROGRAM DETAILED SCOPE OF WORK `h Efficiency HVAC Modern4zatlons irtdation & Filtration Improvements BAS ` ing BAS Integration rSports Field LED Lighting Interior LED Modernization Exterior LED Madernization Occupancy Sensors/ Dimming Control Roof Replacement Solar Control &Sai Window Film Solar Rooftop and/or Parking Structures Solar Thermal Water Hearing Battery Storage System Smart Irrigation Control System High Efficiency Water Huai — Redesign Ice Rink Retrgemfion Redesign & Upsae De -humidification Sysrem REALice Ice Purification System High Efficiency Transformers 9/2/2022 1.b CITY OF SANTA CLARITA ENERGY INFRASTRUCTURE MODERNIZATION PROGRAM DETAILED SCOPE OF WORK & FUNDING PLAN HVAC - High Efficiency HVAC modernizations at 15 sites - Ventilation & filtration improvements BUILDING AUTOMATION SYSTEM (BAS) - New BAS at 24 sites - Existing BAS integration at 1 site - Sports field LED lighting & controls at 7 sites LIGHTING - Interior LED lighting modernizations at 27 sites - Exterior LED lighting modernizations at 36 sites - Occupancy sensors,/ dimming control at 30 sites BUILDING ENVELOPE - Roof replacement & new insulation at 1 site - Solar control & safety window film at 2 sites - Solar rooftop and/or parking structures at 6 sites SOLAR & ENERGY STORAGE - Solar thermal water heating at 3 sites - Battery storage systems at 2 sites WATER INFRASTRUCTURE & POOLS - Smart irrigation control system at 24 sites - High efficiency water heaters at 1 site - Redesign & upsize ice rink refrigeration plant ICE RINK REFRIGERATION - Redesign & upsize dehumidification system - REALice Ice Purification System ELECTRICAL UPGRADES - High efficiency transformers at 14 sites TOTAL PROJECT S 35,129,467 TOTAL PROJECT WITH FINANCING $ 46,538,667 TOTAL PROGRAM SAVINGS $ 46,592,995 September 2, 2022 Ciry of SANTA CGLARITA U Z W_ U LL W O LU Z W W H U E O O L- a. c O r ca N L O m L Y r i a� L W r- O O Ul N r C N t V r r Q Packet Pg. 26 1.c RESOLUTION NO. 22- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SANTA CLARITA, CALIFORNIA, APPROVING THE ISSUANCE OF THE SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM), SERIES 2022A (GREEN BONDS) AND SERIES 2022B (GREEN BONDS), IN THE AGGREGATE PRINCIPAL AMOUNT NOT TO EXCEED $25,000,000, APPROVING THE EXECUTION AND DELIVERY OF AMENDMENTS TO TWO LEASES, A CONTINUING DISCLOSURE CERTIFICATE, A PRELIMINARY OFFICIAL STATEMENT, A FINAL OFFICIAL STATEMENT AND TWO BOND PURCHASE AGREEMENTS; APPROVING THE RETENTION OF CERTAIN PROFESSIONAL FIRMS; AND AUTHORIZING THE TAKING OF CERTAIN ACTIONS IN CONNECTION THEREWITH WHEREAS, pursuant to Articles 1 through 4 (commencing with Section 6500) of Chapter 5, Division 7, Title 1 of the Government Code of the State of California (Act), the City of Santa Clarita, California (City), and the Redevelopment Agency of the City of Santa Clarita have heretofore entered into that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, and as amended on May 10, 2016, by and among the City, the City as successor agency to the Redevelopment Agency of the City of Santa Clarita, and the Santa Clarita Parking Authority, relating to the Santa Clarita Public Financing Authority (Authority), for the purpose, among other things, of issuing its bonds to be used to provide financing and refinancing for public capital improvements of the City; and WHEREAS, the City desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "Project"); and WHEREAS, in October 2020 the Authority assisted the City with financing the acquisition of a parcel of land and improvements to be used for recreational facilities by the issuance of its $10,645,000 Lease Revenue Bonds (Recreational Facility), Series 2020A and its $3,625,000 Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (collectively, the "2020 Bonds"), pursuant to the Bond Law, and an Indenture dated as of October 1, 2020 (the "2020 Indenture"), by and between the Authority and U.S. Bank Trust Company, National Association (formerly US Bank National Association), as trustee (Trustee), secured by lease payments under a Lease Agreement dated as of October 1, 2020 (the "Cube Lease") by and between the Authority, as lessor and the City, as lessee, of land and improvements located at property located at 27745 Smyth Drive within the City (the "Cube Leased Property"); and WHEREAS, in June 2016 the Authority assisted the City with refinancing the acquisition of right-of-way for a portion of Golden Valley Road by the issuance of its $10,320,000 Lease Revenue Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds"), pursuant to the Marks -Roos Local Bond Pooling Act of 1985 (the "Bond Law"), constituting Article 4 (commencing with Section Page 1 of 6 Packet Pg. 27 1.c 6584) of the Act, and an Indenture dated as of June 1, 2016 (the "2016 Indenture"), by and between the Authority and the Trustee, secured by lease payments under a Lease Agreement dated as of June 1, 2016 (City Hall Lease) by and between the Authority, as lessor and the City, as lessee, of certain real property and the improvements thereon, more commonly known as the Santa Clarita City hall, located at 23920 Valencia Boulevard, Santa Clarita (City Hall Leased Property); and WHEREAS, the 2016 Indenture provides for the issuance of additional bonds and the amendment of 2016 Lease to increase base rental payments thereunder; and WHEREAS, the 2020 Indenture provides for the issuance of additional bonds and the amendment of 2020 Lease to increase base rental payments thereunder; and WHEREAS, the City has requested that the Authority issue its (a) Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "Series A Bonds") as Additional Bonds on parity with the 2020 Bonds and (b) Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "Series B Bonds," and together with the Series A Bonds, the "Bonds") as Additional Bonds on parity with the 2016 Bonds, for the purpose of financing the costs of the Project and to pay for the costs of issuing the Bonds; and WHEREAS, it is proposed that the Authority and the Trustee enter into a first supplemental indenture with respect to each of the 2020 Indenture and the 2016 Indenture (collectively, the "Supplemental Indentures"), and the City and the Authority enter into an amendment to each of the CUBE Lease and the City Hall Lease (collectively, the "Lease Amendments"); and WHEREAS, the Series A Bonds are to be issued pursuant the 2020 Indenture, as supplemented by a First Supplemental Indenture (collectively, the "Series A Indenture"), each by and between the Authority and the Trustee; and WHEREAS, the Series B Bonds are to be issued pursuant the 2016 Indenture, as supplemented by a First Supplemental Indenture (collectively, the "Series B Indenture"), each by and between the Authority and the Trustee; and WHEREAS, as a condition precedent to the Bonds to provide financing for the Project, Section 6586.5 of the California Government Code requires that the City approve the proposed financing by the Authority and that the City make certain findings with respect to such financing, as hereinafter set forth, and said Section 6586.5 further requires that such approval be given and findings be made only after noticed public hearing thereon; and WHEREAS, as required by Section 6586.5, the City has caused publication of a notice of a public hearing on the financing of the Project once at least five days prior to the hearing in a newspaper of general circulation in the City; and WHEREAS, this City Council held a public hearing at which all interested persons were provided the opportunity to speak on the subject of financing the Project; and WHEREAS, Senate Bill 450 (Chapter 625 of the 2017-2018 Session of the California Legislature) (SB450) requires that the governing body of a public body obtain prior to authorizing Page 2 of 6 Packet Pg. 28 1.c the issuance of bonds with a term of greater than 13 months, good faith estimates of the following information in a meeting open to the public: (a) the true interest cost of the bonds, (b) the sum of all fees and charges paid to third parties with respect to the bonds, (c) the amount of proceeds of the bonds expected to be received net of the fees and charges paid to third parties and any reserves or capitalized interest paid or funded with proceeds of the bonds, and (d) the sum total of all debt service payments on the bonds calculated to the final maturity of the bonds plus the fees and charges paid to third parties not paid with the proceeds of the bonds; and WHEREAS, it is proposed that each series of the Bonds be sold through a negotiated sale in accordance with the terms of a Bond Purchase Agreement (each, a "Bond Purchase Agreement") to be entered into by the Authority, the City and the underwriter, the proposed forms of which has been presented to this City Council; and WHEREAS, to fulfill the requirements of Rule 15c2-12 (as defined herein), the City will enter into Continuing Disclosure Certificate (the "Continuing Disclosure Certificate"), with respect to the Bonds, whereby the City will agree to provide disclosure reports and notices of certain enumerated events pursuant to the Rule; and WHEREAS, there have been presented to this meeting the proposed forms of the following documents: (a) First Amendment to the Cube Lease (Cube Lease Amendment); (b) First Amendment to the City Hall Lease (City Hall Lease Amendment); (c) Continuing Disclosure Certificate; (d) Preliminary Official Statement; (e) Bond Purchase Agreement — Series A Bonds; and (f) Bond Purchase Agreement — Series B Bonds. WHEREAS, the City Council has reviewed the documentation related to the issuance of the Bonds, which documentation is on file with the City Clerk of the City. NOW, THEREFORE, the City Council of the City of Santa Clarita, California, does hereby resolve as follows: SECTION 1. Recitals. All of the above recitals are true and correct and the City Council so finds. SECTION 2. Public Benefit. The City Council hereby finds and determines that the issuance of the Bonds will result in significant public benefits within the contemplation of Section 6586 of the Act. Page 3 of 6 Packet Pg. 29 1.c SECTION 3. Approval of the Bonds. The City hereby approves the issuance by the Authority of Series A Bonds and Series B Bonds in an aggregate amount not to exceed $25,000,000. SECTION 4.Approval of Series A Bonds. The City hereby approves the issuance by the Authority of the Series A Bonds as additional bonds under the Series A Indenture to finance a portion of the costs of the Project and to pay for the costs of issuing the Series A Bonds. SECTION 5. Approval of Cube Lease Amendment. The Cube Lease Amendment, in substantially the form on file with the City Clerk and presented to the City Council at this meeting, is hereby approved. Any one of the Mayor, the City Manager of the City, the Assistant City Manager or City Treasurer (each, an "Authorized Officer"), is hereby authorized and directed, for and in the name and on behalf of the City, to execute and deliver the Cube Lease Amendment, with such revisions, amendments and completions as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the City Attorney, such approval to be conclusively evidenced by such execution and delivery thereof, and the City Clerk is hereby authorized to attest to such execution. SECTION 6. Approval of Series B Bonds. The City hereby approves the issuance by the Authority of the Series B Bonds as additional bonds under the Series B Indenture to finance a portion of the costs of the Project and to pay for the costs of issuing the Series B Bonds. SECTION 7. Approval of City Hall Lease Amendment. The City Hall Lease Amendment, in substantially the form on file with the City Clerk and presented to the City Council at this meeting, is hereby approved. Any Authorized Officer is hereby authorized and directed, for and in the name and on behalf of the City, to execute and deliver the City Hall Lease Amendment, with such revisions, amendments and completions as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the City Attorney, such approval to be conclusively evidenced by such execution and delivery thereof, and the City Clerk is hereby authorized to attest to such execution. SECTION 8. Approval of the Preliminary Official Statement and the Official Statement. The Preliminary Official Statement, in substantially the form on file with the City Clerk of the City and presented to the City Council at this meeting, is hereby approved with such revisions, amendments and completions as shall be approved by an Authorized Officer to make the Preliminary Official Statement final as of its date, except for the omission of certain information, as permitted by Section 240.15c2-12(b)(1) of Title 17 of the Code of Federal Regulations ("Rule 15c2- 12"). Any Authorized Officer is authorized to execute a certificate relating to the finality of the Preliminary Official Statements under Rule 15c2-12. Any Authorized Officer is authorized and directed to execute and deliver the final Official Statement in substantially the form of the Preliminary Official Statement, with such additions and changes as may be approved by an Authorized Officer executing the same with the advice of Disclosure Counsel in consultation with the City Attorney, such approval to be conclusively evidenced by the execution and delivery thereof. Page 4 of 6 Packet Pg. 30 1.c SECTION 9. Approval of the Continuing Disclosure Certificate. The Continuing Disclosure Certificate, in substantially the form on File with the City Clerk of the City and presented to the City Council at this meeting, is hereby approved. Any Authorized Officer is hereby authorized to execute the Continuing Disclosure Certificate in substantially the form on File, with such revisions, amendments and completions as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the City Attorney, such approval to be conclusively evidenced by the execution and delivery thereof. SECTION 10. Approval of each Bond Purchase Agreement. The City hereby approves each Bond Purchase Agreement in the forms thereof on file with the City Clerk. Any Authorized Officer is hereby authorized to execute a Bond Purchase Agreement with such revisions, amendments and completions as shall be approved by the Authorized Officer executing the same, with the advice of Bond Counsel in consultation with the City Attorney, such approval to be conclusively evidenced by the execution and delivery thereof, provided that, (a) the Bond Purchase Agreement — Series A Bonds shall provide for a true interest cost (including original issue discount shown) not greater than 5.50 percent, and an underwriter's discount not greater than 1.0 percent of the principal amount of Series A Bonds and (b) the Bond Purchase Agreement — Series B Bonds shall provide for a true interest cost (including original issue discount shown) not greater than 4.75 percent, and an underwriter's discount not greater than 1.0 percent of the principal amount of Series B Bonds. SECTION 11. Good Faith Estimates. In accordance with SB450, good faith estimates of the following have been presented to this meeting: (a) the true interest cost of the Bonds, (b) the sum of all fees and charges paid to third parties with respect to the Bonds, (c) the amount of proceeds of the Bonds expected to be received net of the fees and charges paid to third parties and any reserves or capitalized interest paid or funded with proceeds of the Bonds, and (d) the sum total of all debt service payments on the Bonds calculated to the final maturity of the Bonds plus the fees and charges paid to third parties not paid with the proceeds of the Bonds. SECTION 12. Green Bond Designation. The City hereby self -designates the Bonds as "green bonds" given the nature of the Project as environmentally beneficial, and the City's expectation that the proceeds of the Bonds will finance a portion of the Project. SECTION 13. Official Actions. The Authorized Officers, the City Clerk and all other officers of the City are hereby authorized and directed, for and in the name and on behalf of the City, to do any and all things and take any and all other actions, including the publication of any notices necessary or desirable in connection with the financing of the Project, the sale of the Bonds, procurement of municipal bond insurance and/or a reserve surety, and execution and delivery of any and all assignments, certificates, requisitions, agreements, notices, consents, instruments of conveyance, warrants, escrow instructions and other documents, which they, or any of them, deem necessary or advisable to consummate the lawful issuance and sale of the Bonds and the consummation of the transactions as described herein. SECTION 14. Approval of Certain Financing Team Members. The City Council hereby approves the appointment of (a) Norton Rose Fulbright US LLP, to provide Bond Counsel and Disclosure Counsel services in connection with the Bonds, (b) Columbia Capital Management, LLC, as Municipal Advisor in connection with the Bonds, (c) U.S. Bank Trust Company, National Page 5 of 6 Packet Pg. 31 1.c Association, as Trustee, and (d) Digital Assurance Certification LLC, as Dissemination Agent, upon such terms and conditions as approved by any Authorized Officer. SECTION 15. Ratification. All actions heretofore taken by any Authorized Officer or any officer, employee or agent of the City with respect to the issuance, delivery and sale of the Bonds or in connection with or related to any of the agreements referred to herein, are hereby approved, confirmed and ratified. SECTION 16. Effective Date of Resolution. This resolution shall take effect immediately upon its adoption. PASSED, APPROVED, AND ADOPTED this 27th day of September 2022. MAYOR ATTEST: CITY CLERK DATE: STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES ) ss. CITY OF SANTA CLARITA ) I, Mary Cusick, City Clerk of the City of Santa Clarita, do hereby certify that the foregoing Resolution No. 22- was duly adopted by the City Council of the City of Santa Clarita at a regular meeting thereof, held on the 271h day of September 2022, by the following vote: AYES: COUNCILMEMBERS: NOES: COUNCILMEMBERS: ABSENT: COUNCILMEMBERS: Page 6 of 6 CITY CLERK Packet Pg. 32 1.d RESOLUTION NO. 22- A RESOLUTION OF THE BOARD OF THE SANTA CLARITA PUBLIC FINANCING AUTHORITY AUTHORIZING THE ISSUANCE OF THE SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM), SERIES 2022A (GREEN BONDS) AND SERIES 2022B (GREEN BONDS), IN THE AGGREGATE PRINCIPAL AMOUNT NOT TO EXCEED $25,000,000, APPROVING THE EXECUTION AND DELIVERY OF TWO SUPPLEMENTAL INDENTURES, AMENDMENTS TO TWO LEASE AGREEMENTS, A PRELIMINARY OFFICIAL STATEMENT, A FINAL OFFICIAL STATEMENT AND TWO BOND PURCHASE AGREEMENTS; AND AUTHORIZING THE TAKING OF CERTAIN ACTIONS IN CONNECTION THEREWITH WHEREAS, pursuant to Articles 1 through 4 (commencing with Section 6500) of Chapter 5, Division 7, Title 1 of the Government Code of the State of California (Act), the City of Santa Clarita, California (City), and the Santa Clarita Redevelopment Agency have heretofore entered into that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, and as amended on May 10, 2016, by and among the City, the City as successor agency to the Santa Clarita Redevelopment Agency, and the Santa Clarita Parking Authority, relating to the Santa Clarita Public Financing Authority (Authority), for the purpose, among other things, of issuing its bonds to be used to provide financing and refinancing for public capital improvements of the City; and WHEREAS, the City desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "Project"); and WHEREAS, in October 2020 the Authority assisted the City with financing the acquisition of a parcel of land and improvements to be used for recreational facilities by the issuance of its $10,645,000 Lease Revenue Bonds (Recreational Facility), Series 2020A and its $3,625,000 Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (collectively, the "2020 Bonds"), pursuant to the Bond Law, and an Indenture dated as of October 1, 2020 (the "2020 Indenture"), by and between the Authority and U.S. Bank Trust Company, National Association (formerly US Bank National Association), as trustee (the "Trustee"), secured by lease payments under a Lease Agreement dated as of October 1, 2020 (the "Cube Lease") by and between the Authority, as lessor and the City, as lessee, of land and improvements located at property located at 27745 Smyth Drive within the City (the "Cube Leased Property"); and WHEREAS, in June 2016 the Authority assisted the City with refinancing the acquisition of right-of-way for a portion of Golden Valley Road by the issuance of its $10,320,000 Lease Revenue Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds"), pursuant to the Marks -Roos Local Bond Pooling Act of 1985 (the "Bond Law"), constituting Article 4 (commencing with Section 6584) of the Act, and an Indenture dated as of June 1, 2016 (the "2016 Indenture"), by and between the Authority and the Trustee, secured by lease payments under a Lease Agreement dated as of June 1, 2016 (City Hall Lease) by and between the Authority, as lessor and the City, as lessee, of certain real property and the improvements thereon, more commonly known as the Santa Clarita City hall, located at 23920 Valencia Boulevard, Santa Clarita (City Hall Leased Property); and Page 1 of 6 Packet Pg. 33 1.d WHEREAS, the 2020 Indenture provides for the issuance of additional bonds and the amendment of the Cube Lease to increase base rental payments thereunder; and WHEREAS, the 2016 Indenture provides for the issuance of additional bonds and the amendment of the City Hall Lease to increase base rental payments thereunder; and WHEREAS, the City has requested that the Authority issue its (a) Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "Series A Bonds") as Additional Bonds on parity with the 2020 Bonds and (b) Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "Series B Bonds," and together with the Series A Bonds, the "Bonds") as Additional Bonds on parity with the 2016 Bonds, for the purpose of financing the costs of the Project and to pay for the costs of issuing the Bonds; and WHEREAS, it is proposed that the Authority and the Trustee enter into a first supplemental indenture with respect to each of the 2016 Indenture and the 2020 Indenture (collectively, the "Supplemental Indentures"), and the City and the Authority enter into an amendment to each of the 2016 Lease and the 2020 Lease (collectively, the "Lease Amendments"); and WHEREAS, the Series A Bonds are to be issued pursuant the 2020 Indenture, as supplemented by a First Supplemental Indenture (collectively, the "Series A Indenture"), each by and between the Authority and the Trustee; and WHEREAS, the Series B Bonds are to be issued pursuant the 2016 Indenture, as supplemented by a First Supplemental Indenture (collectively, the "Series B Indenture"), each by and between the Authority and the Trustee; and WHEREAS, Senate Bill 450 (Chapter 625 of the 2017-2018 Session of the California Legislature) (SB450) requires that the governing body of a public body obtain prior to authorizing the issuance of bonds with a term of greater than 13 months, good faith estimates of the following information in a meeting open to the public: (a) the true interest cost of the bonds, (b) the sum of all fees and charges paid to third parties with respect to the bonds, (c) the amount of proceeds of the bonds expected to be received net of the fees and charges paid to third parties and any reserves or capitalized interest paid or funded with proceeds of the bonds, and (d) the sum total of all debt service payments on the bonds calculated to the final maturity of the bonds plus the fees and charges paid to third parties not paid with the proceeds of the bonds; and WHEREAS, it is proposed that each series of the Bonds be sold through a negotiated sale in accordance with the terms of a Bond Purchase Agreement (each, a "Bond Purchase Agreement") to be entered into by the Authority, the City and the underwriter, the proposed forms of which has been presented to this Board; and WHEREAS, as required by Section 6586.5 of the Act, the City has caused publication of a notice of a public hearing on the financing of the Project once at least five days prior to the hearing in a newspaper of general circulation in the City; and WHEREAS, the City Council held a public hearing at which all interested persons were provided the opportunity to speak on the subject of financing the Project, and, following the hearing, found that issuance of the Bonds for the purpose of financing the Project will result in significant public benefits of the type described in Section 6586 of the Act; and Page 2 of 6 Packet Pg. 34 1.d WHEREAS, the Board of Directors has duly considered these transactions and wishes at this time to approve these transactions and make certain findings regarding significant public benefits to the Authority's members with respect to these transactions; and WHEREAS, there have been presented to this meeting the proposed forms of the following documents: (a) First Supplemental Indenture relating to the 2020 Indenture (Series A Supplemental Indenture); (b) First Supplemental Indenture relating to the 2016 Indenture (Series B Supplemental Indenture); (c) First Amendment to the CUBE Lease (Cube Lease Amendment); (d) First Amendment to the City Hall Lease (City Hall Lease Amendment); (e) Preliminary Official Statement; (f) Bond Purchase Agreement — Series A Bonds; and (g) Bond Purchase Agreement — Series B Bonds. WHEREAS, the Board has reviewed the documentation related to the issuance of the Bonds, which documentation is on file with the Secretary of the Authority. NOW, THEREFORE, the Board of Directors of the Santa Clarita Public Financing Authority, does hereby resolve as follows: SECTION 1. Recitals. All of the above recitals are true and correct and the Authority so finds SECTION 2. Determiniations. Pursuant to the Act, the Board hereby finds and determines that the issuance of the Bonds to finance the Project and the transactions related thereto will result in significant public benefits to its members within the contemplation of Section 6586 of the Act. SECTION 3. Approval of the Bonds. The Authority hereby authorizes the issuance by the Authority of the Series A Bonds and the Series B Bonds in the aggregate principal amount not to exceed $25,000,000. SECTION 4. Approval of Series A Bonds. The Authority hereby authorizes the issuance by the Authority of the Series A Bonds as additional bonds under the Series A Indenture to finance a portion of the costs of the Project and to pay for the costs of issuing the Series A Bonds. SECTION 5. Approval of CUBE Lease Amendment. The Cube Lease Amendment, in substantially the form on file with the Secretary and presented to the Board at this meeting, is hereby approved. Any one of the Chair, the Executive Director, or Treasurer of the Authority (each, an "Authorized Officer"), is hereby authorized and directed, for and in the name and on behalf of the Authority, to execute and deliver the Cube Lease Amendment, with such revisions, Page 3 of 6 Packet Pg. 35 1.d amendments and completions as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the Counsel to the Authority, such approval to be conclusively evidenced by such execution and delivery thereof, and the Secretary is hereby authorized to attest to such execution. SECTION 6. Approval of the Series A Supplemental Indenture. The Authority hereby approves the Series A Supplemental Indenture in substantially the form on file with the Secretary and presented to the Board at this meeting. Any Authorized Officer is hereby authorized to execute the Series A Supplemental Indenture in substantially the form on file, with such revisions, amendments and completions, as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the Counsel to the Authority, such approval to be conclusively evidenced by the execution and delivery thereof. SECTION 7. Approval of Series B Bonds. The Authority hereby authorizes the issuance by the Authority of the Series B Bonds as additional bonds under the Series B Indenture to finance a portion of the costs of the Project and to pay for the costs of issuing the Series B Bonds. SECTION 8. Approval of City Hall Lease Amendment. The City Hall Lease Amendment, in substantially the form on file with the Secretary and presented to the Board at this meeting, is hereby approved. Any Authorized Officer is hereby authorized and directed, for and in the name and on behalf of the Authority, to execute and deliver the Ciuty Hall Lease Amendment, with such revisions, amendments and completions as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the Counsel to the Authority, such approval to be conclusively evidenced by such execution and delivery thereof, and the Secretary is hereby authorized to attest to such execution. SECTION 9. Approval of the Series B Supplemental Indenture. The Authority hereby approves the Series B Supplemental Indenture in substantially the form on file with the Secretary and presented to the Board at this meeting. Any Authorized Officer is hereby authorized to execute the Series B Supplemental Indenture in substantially the form on file, with such revisions, amendments and completions, as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the Counsel to the Authority, such approval to be conclusively evidenced by the execution and delivery thereof. SECTION 10. Approval of the Preliminary Official Statement and the Official Statement. The Preliminary Official Statement, in substantially the form on file with the Secretary and presented to the Board at this meeting, is hereby approved with such revisions, amendments and completions as shall be approved by an Authorized Officer to make the Preliminary Official Statement final as of its date, except for the omission of certain information, as permitted by Section 240.15c2-12(b)(1) of Title 17 of the Code of Federal Regulations (Rule 15c2-12). Any Authorized Officer is authorized to execute a certificate relating to the finality of the Preliminary Official Statements under Rule 15c2-12. Any Authorized Officer is authorized and directed to execute and deliver the final Official Statement in substantially the form of the Preliminary Official Statement, with such additions and changes as may be approved by an Authorized Officer executing the same with the advice of Disclosure Counsel in consultation with the Counsel to the Authority, such approval to be conclusively evidenced by the execution and delivery thereof. Page 4 of 6 Packet Pg. 36 1.d SECTION 11. Approval of each Bond Purchase Agreement. The Authority hereby approves each Bond Purchase Agreement in the forms thereof on file with the Secretary. Any Authorized Officer is hereby authorized to execute a Bonds Purchase Agreement with such revisions, amendments and completions as shall be approved by the Authorized Officer executing the same, with the advice of Bond Counsel in consultation with the Counsel to the Authority, such approval to be conclusively evidenced by the execution and delivery thereof, provided that, (a) the Bond Purchase Agreement — Series A Bonds shall provide for a true interest cost (including original issue discount shown) not greater than 5.50 percent, and an underwriter's discount not greater than 1.0 percent of the principal amount of Series A Bonds and (b) the Bond Purchase Agreement — Series B Bonds shall provide for a true interest cost (including original issue discount shown) not greater than 4.75 percent, and an underwriter's discount not greater than 1.0 percent of the principal amount of Series B Bonds. SECTION 12. Good Faith Estimates. In accordance with SB 450, good faith estimates of the following have been presented at this meeting: (a) the true interest cost of the Bonds, (b) the sum of all fees and charges paid to third parties with respect to the Bonds, (c) the amount of proceeds of the Bonds expected to be received net of the fees and charges paid to third parties and any reserves or capitalized interest paid or funded with proceeds of the Bonds, and (d) the sum total of all debt service payments on the Bonds calculated to the final maturity of the Bonds plus the fees and charges paid to third parties not paid with the proceeds of the Bonds. SECTION 13. Green Bond Designation. The Authority agrees with and acknowledges the self -designation of the Bonds as "green bonds" given the nature of the Project as environmentally beneficial, and the City's and Auhtority's expectation that the proceeds of the Bonds will finance a portion of the Project. SECTION 14. Official Actions. The Authorized Officers, the Secretary, and all other officers of the Authority are hereby authorized and directed, for and in the name and on behalf of the Authority, to do any and all things and take any and all other actions, including the publication of any notices necessary or desirable in connection with the Project, the sale of the Bonds, procurement of municipal bond insurance and/or a reserve surety, and execution and delivery of any and all assignments, certificates, requisitions, agreements, notices, consents, instruments of conveyance, warrants, escrow instructions and other documents, which they, or any of them, deem necessary or advisable to consummate the lawful issuance and sale of the Bonds and the consummation of the transactions as described herein. SECTION 15. Ratification. All actions heretofore taken by any Authorized Officer or any officer, employee or agent of the Authority with respect to the issuance, delivery and sale of the Bonds or in connection with or related to any of the agreements referred to herein, are hereby approved, confirmed and ratified. SECTION 16. Effective Date of Resolution. This resolution shall take effect immediately upon its adoption. Page 5 of 6 Packet Pg. 37 1.d PASSED, APPROVED, AND ADOPTED this 27th day of September 2022. ATTEST: SECRETARY DATE: STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES ) ss. CITY OF SANTA CLARITA ) I, Mary Cusick, Secretary of the Santa Clarita Public Financing Authority, do hereby certify that the foregoing Resolution No. PFA22- was duly adopted by the Board of the Santa Clarita Public Financing Authority at a regular meeting thereof, held on the 271h day of September 2022, by the following vote: AYES: BOARDMEMBERS: NOES: BOARDMEMBERS: ABSENT: BOARDMEMBERS: Page 6 of 6 SECRETARY Packet Pg. 38 1.e RESOLUTION NO. 22 - A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SANTA CLARITA, CALIFORNIA, DECLARING ITS INTENT TO REIMBURSE CERTAIN EXPENDITURES FROM THE PROCEEDS OF TAX-EXEMPT OBLIGATIONS EXPECTED TO BE ISSUED TO FINANCE CERTAIN PUBLIC FACILITIES AS REQUIRED BY UNITED STATES DEPARTMENT OF TREASURY REGULATIONS SECTION 1.150-2 WHEREAS, the City Council of City of Santa Clarita, California (City), or its related entity, including the Santa Clarita Public Financing Authority (Authority) (collectively, the "Issuer"), expects expects to incur tax-exempt bonds or other financing obligations (collectively, the "Obligations"), to finance a portion of the costs of certain energy efficiency improvements associated with buildings and facilities of the City (the "Project"); and WHEREAS, the City and the Issuer expect that certain expenditures relating to the Project will be incurred and paid from other sources of money available to the City prior to the issuance of the Obligations (Reimbursable Expenditures); and WHEREAS, the City and the Issuer reasonably expect that a portion of the proceeds of the Obligations will be used to reimburse all or a portion of the Reimbursable Expenditures; and WHEREAS, section 1.150-2 of the Treasury Regulations (Treasury Regulations) promulgated under the Internal Revenue Code of 1986, as amended, requires that for an allocation of proceeds of the Obligations to a capital expenditure paid prior to the issuance of the Obligations to be respected by the Internal Revenue Service, the City and the Issuer generally must no later than sixty days following such payment have declared its reasonable official intent to reimburse itself for such payment out of proceeds of the Obligations; and WHEREAS, the City and the Issuer desire to facilitate the allocation of proceeds of the Obligations to the reimbursement for payment of the Reimbursable Expenditures for the Project. NOW, THEREFORE, the City Council of the City of Santa Clarita, California, does hereby resolve as follows: SECTION 1. This resolution is adopted for purposes of establishing compliance with the requirements of section 1.150-2 of the Treasury Regulations. This resolution does not obligate either the City or the Issuer to make any expenditure or proceed with the Project or obligate the Issuer to cause the issuance of the Obligations until and unless all other necessary actions and approvals are taken or received in accordance with all applicable laws. SECTION 2. The City and the Issuer hereby declare their reasonable official intention to reimburse the applicable Reimbursable Expenditures with respect to the Project from proceeds of Obligations that may hereafter be issued by the Issuer or on behalf of the City. The maximum principal amount of Obligations expected to be issued for the Project is $25,000,000. All of the Reimbursable Expenditures covered by this resolution were or are to be made not earlier than sixty (60) days prior to the adoption hereof, other than certain de minimis amounts and Page 1 of 3 Packet Pg. 39 1.e preliminary expenditures as described in Treas. Reg. Section 1.150-2(f)(2) that are exempt from the sixty-day requirement pursuant to Section 1.150-2 of the Treasury Regulations. The non- exempt Reimbursable Expenditures covered by this resolution are eligible for reimbursement provided the reimbursement occurs not later than eighteen months after the later of the date the original expenditure is made or the date the property is placed in service; but in no event more than three years after the original expenditure is made. SECTION 3. All actions heretofore taken by the officers, or their respective designees, and the employees and agents of the City and the Issuer in connection with the financing of the Project are hereby ratified and confirmed. The officers and their designees, the employees and agents of the City and the Issuer are hereby authorized to take any and all actions in connection with the financing of the Project and as may be necessary and consistent with the purposes of this resolution. SECTION 4. This resolution shall take effect immediately upon its adoption. SECTION 5. The City Clerk shall certify to the adoption of this resolution. PASSED, APPROVED, AND ADOPTED this 27th day of September, 2022. ATTEST: CITY CLERK DATE: Page 2 of 3 MAYOR Packet Pg. 40 1.e STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES ) ss. CITY OF SANTA CLARITA ) I, Mary Cusick, City Clerk of the City of Santa Clarita, do hereby certify that the foregoing Resolution No. 22- was duly adopted by the City Council of the City of Santa Clarita at a regular meeting thereof, held on the 27th day of September, 2022, by the following vote: AYES: COUNCIL,MEMBERS: NOES: COUNCIL,MEMBERS: ABSENT: COUNCIL,MEMBERS: Page 3 of 3 CITY CLERK Packet Pg. 41 1.f RESOLUTION NO. 22- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SANTA CLARITA, CALIFORNIA, AUTHORIZING THE APPLICATION FOR AN ENERGY EFFICIENCY LOAN FROM THE CALIFORNIA ENERGY COMMISSION TO IMPLEMENT ENERGY EFFICIENCY MEASURES IN THE AMOUNT NOT TO EXCEED $3,000,000, AND AUTHORIZING THE EXECUTION AND DELIVERY OF A LOAN AGREEMENT, PROMISSORY NOTE AND TAX CERTIFICATE AND THE TAKING OF CERTAIN ACTIONS IN CONNECTION THEREWITH. WHEREAS, the City of Santa Clarita, California (City), desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "Project") through the issuance of tax-exempt bonds, cash and a loan with the California Energy Commission; and WHEREAS, the California Energy Commission provides loans to schools, hospitals, local governments, special districts, and public care institutions to finance energy efficiency improvements. NOW, THEREFORE, the City Council of the City of Santa Clarita, California, does hereby resolve as follows: SECTION 1. Recitals. All of the above recitals are true and correct and the City Council so finds. SECTION 2. Authorizes Application. The City Council of the City (City Council) hereby authorizes the City to apply for energy efficiency loan from the California Energy Commission to implement energy efficiency measures (Loan). SECTION 3. CEQA. In compliance with the California Environmental Quality Act (CEQA), the City finds that the activity funded by the Loan qualifies in whole for a Categorical Exemption under Section 15301 of the CEQA because the loan will fund activity to existing, City - owned facilities. SECTION 4. Authorization of Loan. If recommended for funding by the California Energy Commission, the City Council authorizes the City to accept the Loan up to $3,000,000. SECTION 5. Security for the Loan. The amount of the Loan will be paid in full, plus interest, under the terms and conditions of the Loan Agreement, Promissory Note and Tax Certificate of the California Energy Commission, which documents are on file with the City Clerk and presented to the City Council at this meeting. SECTION 6. Approval of Loan Agreement, Promissory Note and Tax Certificate. The Loan Agreement, Promissory Note and Tax Certificate, in substantially the form on file with the City Clerk and presented to the City Council at this meeting, is hereby approved. Any one of the Mayor, the City Manager of the City, the Assistant City Manager, or City Treasurer (each, an "Authorized Officer"), is hereby authorized and directed, for and in the name and on behalf of the Page 1 of 2 Packet Pg. 42 1.f City, to execute and deliver the Loan Agreement, Promissory Note and Tax Certifciate, with such revisions, amendments and completions as shall be approved by an Authorized Officer, with the advice of Bond Counsel in consultation with the City Attorney, such approval to be conclusively evidenced by such execution and delivery thereof. SECTION 7. Other Actions. Any Authorized Officers is hereby authorized and empowered to execute in the name of the City all necessary documents to implement and carry out the purpose of this resolution, and to undertake all actions necessary to undertake and complete the energy efficiency projects. SECTION 8. Effective Date of Resolution. This resolution shall take effect immediately upon its adoption. PASSED, APPROVED, AND ADOPTED this 27th day of September 2022. MAYOR ATTEST: CITY CLERK DATE: STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES ) ss. CITY OF SANTA CLARITA ) I, Mary Cusick, City Clerk of the City of Santa Clarita, do hereby certify that the foregoing Resolution No. 22- was duly adopted by the City Council of the City of Santa Clarita at a regular meeting thereof, held on the 27th day of September 2022, by the following vote: AYES: COUNCILMEMBERS: NOES: COUNCILMEMBERS: ABSENT: COUNCILMEMBERS: Page 2 of 2 CITY CLERK Packet Pg. 43 INSTALLATION AGREEMENT City of Santa Clarita, CA TERMS AND CONDITIONS ATTACHMENTS Attachment "A" — Scope of Work Attachment "B" - Lighting Summary Attachment "C" — Replacement Inventories Attachment "D" — Solar Installation Attachment "E" — Technical Appendix City of Santa Clarita *CLIMATEC Installation Agreement Page 1 of 9 INSTALLATION AGREEMENT This Contract entered into as of September 27, 2022 ("Effective Date' is made by and between: City of Santa Clarita, CA ("Purchaser") with its principal place of business at 23920 Valencia Blvd., Suite 300, Santa Clarita, CA 91355 and Climatec LLC With its principal place of business at 2150 Towne Centre Place, Suite 200 Anaheim, CA 92805 Purchaser and Climatec LLC agree as follows: 1. INSTALLATION. Climatec LLC shall provide Purchaser with an Energy Infrastructure Modernization Program, as identified in Attachment(s) A, B, C, D and E and incorporated herein by reference (hereinafter referred to as the "Work") at the total fixed price of Thirty Five Million One Hundred Twenty Nine Thousand Four Hundred Sixty Seven and 00/100 Dollars ($35,129,467.00) including required taxes and Performance Bond (the "Contract Amount"). Climatec LLC is responsible for the design, engineering, permits, fees, approvals, project management, installation, startup, training, checkout, warranty, and insurance specifically associated with the Work to be performed. Climatec LLC is not responsible for any equipment, systems, controls, comfort problems, balancing, duct cleaning, existing deficient conditions, etc. not specifically included in this Agreement. Climatec LLC will provide submittals and engineered drawings (as required), for Purchaser's technical review and written approval, prior to initiating construction. All construction and associated cleanup shall be performed and scheduled so as to minimize any disruption with any ongoing Purchaser activities. The City agrees to provide adequate access to their IT and Wi-Fi network to accommodate installation and communication for the Work. 2. SCOPE OF WORK. Once this contract is executed by the Purchaser and Climatec LLC, Climatec LLC may not revise the contract in any way except by mutual agreement with the Purchaser. Prior to the contract being signed by both parties, Climatec LLC reserves the right to revise any or all portions of the agreement. This agreement is based upon the use of straight time labor only unless stated otherwise in this agreement. Purchaser agrees to provide Climatec LLC with required field utilities (electricity, toilets, drinking water, etc.) without charge. Climatec LLC agrees to keep the jobsite clean of debris arising out of its own operations. Purchaser shall not back charge Climatec LLC for any cost or expenses without Climatec LLC's written consent. Unless specifically noted in the statement of the scope of the work or services undertaken by Climatec LLC under this agreement, Climatec LLC's obligations under this agreement expressly exclude any work or service of any nature associated or connected with the identification, abatement, clean up, control, removal or disposal of environment Hazards or dangerous substances, to include but not to be limited to asbestos, PCBs, or mold discovered in or on the premises. Any language or provision of the agreement elsewhere contained which may authorize or empower the Purchaser to change, modify or alter the scope of work or services to be performed by Climatec LLC shall not operate to compel Climatec LLC to perform any work relating to Hazards without Climatec LLC's express written consent. City of Santa Clarita *CLIMATEC Installation Agreement Page2of9 3. SOLAR INSTALLATION. The scope of work excludes correction of concealed conditions that could not have been ascertained by general visual inspection. The scope excludes correction of any existing or previous violations of laws, codes or utility requirements and errors and omissions of the customer or other contractors not communicated to Climatec LLC. Customer will provide all discretionary permits (permits requiring the discretion of the issuer) required in time to execute the work within the agreed upon schedule. Climatec LLC will provide all non -discretionary, ministerial (permits not requiring thought and discretion of the issuer) permits required for the provision of the solar installation. Customer agrees to promptly execute and return provided Preliminary Interconnection Documentation (initial or preliminary paperwork or documentation required by the Utility for interconnection of the System to be executed by the System Owner), Preliminary Rebate Documentation (documentation comprising the initial or preliminary paperwork required by the administrator of the Rebate or the Rebate to be reserved) (if applicable), and Site Owner Consent Documentation (agreement from the site owner to install system on the real property identified in the proposal) (if applicable). Scope will include commercially reasonable efforts to promptly obtain the PTO (Permission to Operate) from Customer's utility. The monitoring equipment provider will provide monitoring hosting services for the first five (5) years of operation. Customer warrants that they hold title to the installation site and agree to the solar installation on that site. Terms applicable to the solar scope are as follows: a. Interconnection Agreement — means an agreement between the Purchaser and a particular utility involved for interconnection of the solar output to the electrical grid. b. Interconnection Equipment — all equipment (including wiring and conduit and metering for net metering) on the Purchaser side of the main service meter to enable proper interconnection of the solar system to the grid. (3.1) Design — Climatec LLC shall prepare the Design Submittals (prepared by qualified individuals). The Submittal shall be submitted to Purchaser for approval. Purchaser shall provide approvals within five (5) business days from receipt. If not received within five (5) days, the submittal may be deemed approval by Climatec LLC. (3.2) Unforeseen Site Conditions — Within 10 days of discovery, Climatec LLC will notify Purchaser in writing of (a)subsurface or latent physical conditions at the site differing materially from those described in any contract or Purchaser documentation. 4. INVOICING & PAYMENTS. Climatec LLC may invoice the Purchaser for any equipment and/or materials installed at a job site. Purchaser agrees to pay Climatec LLC amounts invoiced upon receipt of invoice. Waivers of lien will be furnished upon request, as the work progresses; to the extent payments are received. If Climatec LLC's invoice is not paid within 30 days of its issuance, it is delinquent and Climatec LLC may add 1% per month interest onto delinquent amounts. 5. INDEPENDENT CONTRACT. It is agreed between Purchaser and Climatec LLC that Climatec LLC shall perform the Work as an independent contractor. Climatec LLC understands and agrees that it and all of its employees shall not be considered officers, employees, agents, partner, or joint venture of the City and are not entitled to benefits of any kind or nature normally provided employees of the City and/or to which City's employees are normally entitled, including, but not limited to, State Unemployment Compensation or Worker's Compensation. Climatec LLC shall assume full responsibility for payment of all federal, state and local taxes or contributions, including unemployment insurance, social security and income taxes with respect to Climatec LLC's employees. In the performance of the work herein contemplated, Climatec LLC is an independent contractor or business entity, with the sole authority for controlling and directing the performance of the details of the Work, City being interested only in the results obtained. Climatec LLC may use subcontractors to perform work hereunder, provided Climatec LLC shall fully pay said subcontractors and in all instances remain fully responsible for (a) the proper completion of this agreement and (b) supervising such subcontractor's work and for the quality of the work they produce. 6. MATERIALS. All materials shall be new, in compliance with all applicable laws and codes, and shall be covered by a manufacturer's warranty, if appropriate. If the materials or equipment included in this agreement become temporarily or permanently unavailable, the time for performance of the work shall be extended (by mutual agreement) to the extent thereof, and in case of permanent unavailability, Climatec LLC shall (a) be excused from City of Santa Clarita *CLIMATEC Installation Agreement Page3of9 furnishing said materials or equipment, or (b) Climatec LLC shall pay reasonable premium for reasonable substitute materials from contingency. COMPLETION. The work specified in Section 1 shall be considered completed upon approval by the Purchaser, provided that the Purchaser's approval shall not be unreasonably withheld. The nature of the work is that is consists of multiple projects and/or sites, as noted in Attachment A (Scope of Work). Once work on a project or a site is deemed by Climatec LLC to be substantially complete (that is available for beneficial use by the Purchaser with the Scope of Work for that site or project functioning as required) except for minor items (a punch list), Climatec LLC will provide a Notice of Substantial Completion for that site or project to the Purchaser. Final Completion, as previously noted, will occur once the entire Scope of Work is complete for all sites and projects. WARRANTY. Climatec LLC warrants that the equipment and systems provided under this contract shall be free from defects in material and workmanship arising from normal usage for a period of one year from the date of beneficial use or eighteen months from delivery of said equipment or systems. Within the warranty period, if Purchaser provides written notice to Climatec LLC of any such defects within thirty (30) days after the appearance or discovery of such defect, Climatec LLC shall, at its option, repair or replace the defective equipment and return said equipment to Purchaser. All transportation charges incurred in connection with the warranty for equipment shall be borne by Purchaser, unless otherwise provided for in manufacturer warranties. These warranties do not extend to any equipment which has been repaired by others, abused, altered or misused, or which has not been properly and reasonably maintained. All transferrable manufacturer warranties associated with the equipment will be transferred to the Purchaser. These warranties are in lieu of all other warranties, expressed or implied, including but not limited to those of merchantability and fitness for a specific purpose. 9. LIABILITY. Climatec LLC shall not be liable for any special, indirect, or consequential damages arising in any manner from the equipment, material, or systems furnished or the work performed pursuant to this agreement. 10. TAXES. The price of this agreement includes duties, sale, use, excise or other similar taxes required by federal, state or local laws in effect at the time of agreement execution. 11. DELAYS. If Climatec LLC is delayed for any reason, they are to notify the City within 10 days of the beginning of that delay or lose the possibility of obtaining relief from the City. Climatec LLC shall not be liable for any delay in the performance of the work resulting from or attributed to acts of circumstance beyond Climatec LLC's control, including but not limited to acts of God, riots, labor disputes, conditions of the premises, acts or omissions of the Purchaser, or other Contractors or delays caused by suppliers or subcontractors of Climatec LLC, etc. If Purchaser delays project for greater than 60 days, Climatec LLC can recover any cost inflation on un-billed materials that were either stored or yet to be purchased. 12. REBATES, UTILITY INCENTIVES, AND GRANTS Unless otherwise stated in the project scope -of -work, or cash flow analysis, any and all rebates (except for lighting rebates which go to Climatec LLC to reduce project cost), incentives, grants that are earned through the course of this project from public or private utilities, municipalities, development districts or state funding are 100% the property of the City or their designee. The paperwork, inspections and verification required to collect these monies are the sole responsibility of Climatec LLC. The customer agrees to assist Climatec LLC where required by the jurisdiction in the form of data required for the application and authorizing signatures. In the event the Customer incurs expenses related to the processing of the applications, Climatec LLC shall reimburse these direct costs. All lighting rebates will be initially received by Climatec LLC and disbursed according to this contract. 13. TAX CREDITS, TAX DEDUCTIONS AND 179d QUALIFYING CREDITS Unless otherwise stated in the contract, any and all eligible tax credits or incentives that can be earned through the course of this project from State, Local or Federal agencies for energy efficient design are 100% the property of the City or their designee (Climatec in the case of 179-D since public entities are not eligible by law to receive 179-D credits.) City of Santa Clarita *CLIMATEC Installation Agreement Page4of9 14. COMPLIANCE WITH LAWS. Climatec LLC shall comply with all applicable federal, state, and local laws and regulations. All licenses and permits required for the prosecution of the work shall be obtained and paid for by Climatec LLC. Following installation and acceptance, the Purchaser is solely responsible for compliance with any and all regulations, laws, statutes, and rules related to the operation of and safety requirements for the ammonia refrigeration systems. 15. CLIMATEC LLC'S LICENSE AND DIR REGISTRATION. In order to perform the work required by this Agreement, Climatec LLC shall possess a valid, active license in the classification(s) required issued by the State of California, which shall remain valid and active throughout the Project. In addition, Climatec LLC must be registered with DIR as a public works contractor. 16. WAGE RATES. Pursuant to the provisions of Article 2, commencing with Section 1770 of the Labor Code, PURCHASER has ascertained the general prevailing rate of per diem wages in the locality in which this public work is to be performed for each craft, classification, or type of worker needed to execute this Agreement. The general rates of per diem wages are available at Purchaser's office. In the event that the listed or posted rates are in error, Climatec, LLC is responsible to pay those rates determined by the Director of Industrial Relations to be applicable, and Purchaser shall not be responsible for any damages arising from the error. 17. PAYROLL RECORDS. It is the responsibility of Climatec, LLC to comply with the provisions of Labor Code Section 1776 dealing with the maintenance and inspection of employee payroll records. 18. PREVAILING WAGE. The project is subject to prevailing wage monitoring and enforcement by the Department of Industrial Relations (DIR). Climatec LLC and all subcontractors will be subject to the requirements of Subchapter 4.5 of Chapter 8 of Title 8 of the California Code of Regulations. Climatec LLC and all subcontractors will be required to furnish electronic certified payroll records to the DIR on a frequency not less than monthly using the DIR's eCPR system at http://www.dir.ca.gov/Public-Works/eCPR System-iForm.html. Climatec LLC shall comply with all requirements of the Labor Code and attendant regulations pertaining to prevailing wage monitoring and compliance as required by the DIR, including, but not limited to, posting job site notices prescribed by Title 8 CCR 16451(d). Climatec LLC shall permit Purchaser, the DIR or their designee to interview Climatec LLC's employees concerning compliance with prevailing wage, apprenticeship, and related matters, whether or not during work hours, and shall require each subcontractor to provide Purchaser, the DIR or their designee with such access to its employees. 19. APPRENTICES. If applicable, Climatec, LLC shall comply with the requirements of Labor Code Section 1777.5 dealing with the employment of apprentices. 20. DISPUTES. The provisions of this section are provided in compliance with Public Contract Code Section 9204; they provide the procedures for any claims related to the Work performed under this Agreement. a. Claim Defaition. "Claim" means a separate demand by Climatec, LLC sent by registered mail or certified mail with return receipt requested, for one or more of the following: 1. A time extension, including without limitation, for relief from damages or penalties for delay assessed by Purchaser. 2. Payment by PRrdhaser of money or damages arising from the Services performed by, or on behalf of, Climatec, LLC pursuant to the Agreement and payment for which is not otherwise expressly provided or to which Climatec, LLC is not otherwise entitled. 3. Payment of an amount that is disputed by Pirdhasm b. Claim Process. City of Santa Clarita *CLIMATEC Installation Agreement Page5of9 1. Timing. Any Claim must be submitted to Purchaser in compliance with the requirements of this section no later than fourteen (14) days following the event or occurrence giving rise to the Claim. This time requirement is mandatory; failure to submit a Claim within fourteen (14) days will result in its being deemed waived. 2. Submission. The Claim must be submitted to Purchaser in writing, clearly identified as a "Claim" submitted pursuant to this Article VI and must include reasonable documentation substantiating the Claim. The Claim must clearly identify and describe the dispute, including relevant references to applicable portions of the Agreement, and a chronology of relevant events. Any Claim for additional payment must include a complete, itemized breakdown of all labor, materials, taxes, insurance, and subcontract, or other costs. Substantiating documentation such as payroll records, receipts, invoices, or the like, must be submitted in support of each claimed cost. Any Claim for an extension of time or delay costs must be substantiated with schedule analysis and narrative depicting and explaining claimed time impacts. Review. Upon receipt of a Claim in compliance with this item 20, Purchaser shall conduct a reasonable review of the Claim and, within a period not to exceed 45 days from receipt, shall provide Climatec, LLC a written statement identifying what portion of the Claim is disputed and what portion is undisputed. Upon receipt of a Claim, Purchaser and Climatec, LLC may, by mutual agreement, extend the time period provided in this paragraph. 4. If Purchaser Approval Required. If Purchaser needs approval from its governing body to provide Climatec, LLC a written statement identifying the disputed portion and the undisputed portion of the Claim, and Purchaser's governing body does not meet within the 45 days or within the mutually agreed to extension of time following receipt of a Claim sent byregistered mail or certified mail, return receipt requested, Purchaser shall have up to three days following the next duly publicly noticed meeting of Purchaser after the 45-day period, or extension, expires to provide Climatec, LLC a written statement identifying the disputed portion and the undisputed portion. 5. Payment. Any payment due on an undisputed portion of the Claim shall be processed and made within 60 days after Purchaserissues its written statement. If Purchaser fails to issue a written statement, paragraph 3, below, shall apply. c. Disputed Claims. 1. Meet and Confer. If Climatec LLC disputes Purchaser's written response, or if Purchaser fails to respond to a Claim submitted pursuant to this Article within the time prescribed, Climatec, LLC may demand in writing an informal conference to meet and confer for settlement of the issues in dispute. Upon receipt of a demand in writing sent by registered mail or certified mail, return receipt requested, Purchaser shall schedule a meet and confer conference within 30 days for settlement of the dispute. Within 10 business days following the conclusion of the meet and confer conference, if the Claim or any portion of the Claim remains in dispute, Purchaser shall provide Climatec, LLC a written statement identifying the portion of the Claim that remains in dispute and the portion that is undisputed. Any payment due on an undisputed portion of the Claim shall be processed and made within 60 days after Purchaser issues its written statement. 2. Mediation. Any remaining disputed portion of the Claim, as identified by Climatec, LLC in writing, shall be submitted to nonbinding mediation, with Purchaser and Climatec, LLC sharing the associated costs equally. Purchaser and Climatec, LLC shall mutually agree to a mediator within 10 business days after the disputed portion of the Claim has been identified in writing by Climatec, LLC. If the parties cannot agree upon a mediator, each party shall select a mediator and those mediators shall select a qualified neutral third party to mediate the disputed portion of the Claim. Each party shall bear the fees and costs charged by its respective mediator in connection with the selection of the neutral mediator. If mediation is unsuccessful, the parts of the Claim remaining in City of Santa Clarita *CLIMATEC Installation Agreement Page6of9 dispute shall be subject to any other remedies authorized by the Agreement and laws. i. For purposes of this paragraph 2, mediation includes any nonbinding process, including, but not limited to, neutral evaluation or a dispute review board, in which an independent third party or board assists the parties in dispute resolution through negotiation or by issuance of an evaluation. Any mediation utilized shall conform to the timeframes in this section. ii. Unless otherwise agreed to by Purchaser and Climatec, LLC in writing, the mediation conducted pursuant to this section shall excuse any further obligation, if any, under Public Contract Code Section 20104.4 to mediate after litigation has been commenced. 3. Purchaser's Failure to Respond. Failure by Purchaser to respond to a Claim from Climatec, LLC within the time periods described in this Article or to otherwise meet the time requirements of this Article shall result in the Claim being deemed rejected in its entirety. A Claim that is denied by reason of Purchaser's failure to have responded to a Claim, or its failure to otherwise meet the time requirements of this Article, shall not constitute an adverse finding with regard to the merits of the Claim or the responsibility or qualifications of Climatec, LLC. d. Interest Amounts not paid in a timely manner as required by this section shall bear interest at eleven (11) percent per annum. e. Approved Subcontractor Claims. If an approved subcontractor or a lower tier subcontractor lacks legal standing to assert a Claim against Purchaser because privity of contract does not exist, Climatec, LLC may present to Purchaser a Claim on behalf of a subcontractor or lower tier subcontractor. A subcontractor may request in writing, either on his or her own behalf or on behalf of a lower tier subcontractor, that Climatec, LLC present a Claim for work which was performed by the subcontractor or by a lower tier subcontractor on behalf of the subcontractor. The subcontractor requesting that the Claim be presented to Purchaser shall furnish reasonable documentation to support the Claim. Within 45 days of receipt of this written request, Climatec, LLC shall notify the subcontractor in writing as to whether Climatec, LLC presented the claim to Purchaser and, if Climatec, LLC did not present the claim, provide the subcontractor with a statement of the reasons for not having done so. f. Waiver ofPmvisions. A waiver of the rights granted by Public Contract Code Section 9204 is void and contrary to public policy, provided, however, that (1) upon receipt of a Claim, the parties may mutually agree to waive, in writing, mediation and proceed directly to the commencement of a civil action or binding arbitration, as applicable; and (2) Purchaser may prescribe reasonable change order, claim, and dispute resolution procedures and requirements in addition to the provisions of Public Contract Code Section 9204, so long as the contractual provisions do not conflict with or otherwise impair the fimeframes and procedures set forth in this Article. 21. CHANGE ORDER (Mid -Performance Amendments). Climatec LLC and the Purchaser recognize that: a. Purchaser may desire a mid -job change in the specifications or scope that would add time and cost to the specified work or inconvenience Climatec LLC. b. Other provisions of the Agreement may be difficult to carry out because of unforeseen events, such as material shortage or labor strikes. If these or other events beyond the control of the parties reasonably require adjustments to this agreement, the parties shall make a good faith attempt to agree on all necessary particulars. Such agreements shall be put in writing, signed by the parties and added to this agreement. Failure to reach agreement shall be deemed a dispute to be resolved as agreed in section 20 of this agreement. 22. INSURANCE. Climatec LLC will maintain comprehensive liability and other insurance in amounts not less than those set forth below. Such insurance shall protect Climatec LLC and the Purchaser against any claims, losses, liabilities and expenses arising from the Work, whether performed by Climatec LLC or any subcontractor City of Santa Clarita *CLIMATEC Installation Agreement Page7of9 of Climatec LLC. The coverage shall include: a. Workmen's Compensation and Employers Liability Insurance - $1,000,000 each accident; $1,000,000 each employee/disease; and $1,000,000 policy limit b. Comprehensive or Commercial General Liability - Bodily injury liability of $1,000,000 per occurrence and general aggregate liability of $2,000,000 per occurrence. C. Comprehensive Automobile Insurance — Combined single limit of $1,000,000 per occurrence. d. Umbrella coverage in the amount of $8,000,000. e. Property / Course of Construction coverage of $30,000,000. f Professional Liability coverage of $3,000,000. If the Purchaser requires that Climatec LLC maintain any special insurance coverage, policy, amendment, or rider, the Purchaser shall pay the additional cost. 23. INDEMNITY. The Parties hereto agree to defend, indemnify, and hold harmless each other from any and all liabilities, claims, expenses, losses or damages, including attorney's fees which may arise in connection with the execution of the work herein specified and which are caused, in whole or in part by the negligent act or omission of the indemnifying Party. 24. OCCUPATIONAL SAFETY AND HEALTH. The Parties hereto agree to notify each other immediately upon becoming aware of any alleged violation of, the Occupational Safety and Health Act (OSHA) relating in any way to the project or project site. 25. GOVERNING LAW. This Contract shall be governed by and the rights, duties and obligations of the Parties shall be determined and enforced in accordance with the laws of the State of California. The Parties further agree that any action or proceeding brought to enforce the terms and conditions of this Contract shall be maintained in Los Angeles County 26. ENTIRE AGREEMENT. This agreement, upon acceptance, shall constitute the entire agreement between the parties and supersedes any prior representations or understandings. 27. CHANGES. No change or modification of any of the terms and conditions stated herein shall be binding upon Climatec LLC unless accepted by Climatec LLC in writing. 28. SEVERABILITY. If one or more of the provisions of this agreement are held to be unenforceable under laws, such provision(s) shall be excluded from these terms and conditions and the remaining terms and conditions shall be interpreted as if such provision were so excluded and shall be enforced in accordance to their terms and conditions. 29. COUNTERPARTS. This agreement may be executed in multiple counterparts, each of which shall be deemed an original and all of which together shall constitute one and the same instrument. A signature on a copy of this agreement received by either party by facsimile or portable document format (PDF) is binding upon the other party as an original. The parties shall treat a photocopy of such facsimile as a duplicate original. 30. ASSIGNMENT. Climatec LLC retains the right to assign its rights and obligations of this agreement with written consent of Purchaser. City of Santa Clarita *CLIMATEC Installation Agreement Page 8 of 9 31. ACKNOWLEDGMENT. Both Climatec LLC and the Purchaser acknowledge having read this agreement and all contract documents incorporated herein and have executed this agreement on the date written above. APPROVAL. Each party represents that the person that has executed this agreement on its behalf is authorized to do so. IN WITNESS WHEREOF, the parties have caused their duly authorized officers to execute this Agreement effective as of the date first above written. City of Santa Clarita Signature Print Name Title Date *CLIMATEC Climatec LLC Signature Print Name Title Date City of Santa Clarita Installation Agreement Page 9of9 Attachment "A" Scope of Work *CLIMATEC City of Santa Clarita Ins tallarion Agreement — Att A Page 1 of 42 Citywide Centad BuilcineAutomadion Spstem Controls Install a central building automation system (BAS) workstation and communication devices for monitoring and control of the City buildings. The workstation shall have the latest generation Distech software platform. The new system will allow for web based interface capabilities and login from internet accessible devices. Upgrades include. - New front end computer, firmware and hardware upgrades with latest software. • JACE or comparable networking devices with open architecture to be installed at each of the City's sites utilizing controls with internet access to enable integration of new or existing building controls. • New system software and programming will provide a standardized graphical system that will allow for point and click control over floor plans and mechanical equipment overlays. • Individual building monitoring, scheduling, temperature and set point adjustments, and trending capabilities will be accessible by city operators from the web based system. • The new BAS will be equipped with reporting capabilities, providing City personnel the ability to better manage building occupant comfort. Scope of work excludes. - Repairs or upgrades to City Wi-Fi networks. • Upgrades to individual building BAS or control devices unless otherwise included in the scope below City Park Lighting Park Lightiri Retrofit identified interior T8, CFL, and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. The following Parks will be included in this scope: Canyon Country Park North Oaks Park Valencia Meadows Park Central Park Old Orchard Park Valencia Glen Park Circle J. Ranch Park Pam alico Park Newhall Park Santa Clarita Park Buildings at the following sites listed under a single heading due to missing meter data: Chesbrough, David March, and West Creek Parks Retrofit identified exterior building mounted and pole mounted CFL, incandescent, induction, and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 2 of 42 Aquatic Centre & Skate Park Circle J. Ranch Park Santa Clarita Park Alamendra Park Creekview Park Todd Lon bore Park Begonias Lane Park Newhall Park Valencia Heritage Park Bouquet Canyon Park North Oaks Park Valencia Meadows Park Bridgeport Park Oak S rin C n Park Valencia Summit Park Canyon Country Park Old Orchard Park Valencia Glen Park Central Park Pam alico Park Valencia Central Valle The following sites listed under a single heading due to missing meter data: Chesbrough, Copper Hill, David March, Duane Hare, Veterans, and West Creek Parks Smartlrrigation Controls Irrigation Replace the existing Rain Master Irrigation controller(s) with new WeatherTrak smart irrigation controls at the sites listed in the table below. Scope or work includes: • Removal of the existing controls • Installation of the new controls • Cloud base visual interface access • Programming and integration of new controls into existing city's irrigation controls platform. • Testing of the new system. Scope or work excludes: Any electrical modifications/upgrades which are not directly related to the irrigation controls installation scope. The following sites will be included in this scope: Alamendra Park CRT Park Old Orchard Park Begonias Park Discovery Park Pam alico Park Bouquet Park Iron Horse Park Santa Clarita park Bridgeport Park Mint Canyon Park Sorts Complex Canyon Country Park Newhall Park Todd Longshore Park Central Park North Oaks Park Valencia Heritage Park Circle J. Park Oak Park Valencia Glen Park Creekview Park Oak Springs Park Valencia Meadows Park The Cube Lighting Retrofit identified interior T5/T8 fluorescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. "A Retrofit identified exterior building mounted and pole mounted CI L and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment "B" for exact City of Santa Clarita *CLIMATEC Installation Agreement — Att Page 3 of 42 information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical Replace the existing 267-ton ammonia/brine refrigeration plant with a new high efficiency 420-ton, outdoor packaged ammonia ice refrigeration plant. The plant will be located on the exterior of the southwest side of the building, adjacent to the existing refrigeration plant mechanical room. The new ammonia ice plant will provide The Cube with enough capacity for two and one half (2.5) rinks, chilled water (CHW) for building air conditioning and thermal ice storage, ice melt pit, and rink dehumidification. The new outdoor system will be a complete packaged system with all necessary equipment to supply the building's connected systems, including compressors, glycol and brine distribution pumps, and heat exchangers. The self- contained refrigeration enclosure will be equipped with code compliant ammonia alarming and ventilation systems. The enclosure will also be equipped with interior lighting and access doors. Scope of work includes: • Engineering design, and permitting • Remove and dispose of existing refrigeration plant, appurtenances and associated equipment. • Proper disposal of ammonia refrigerant and brine (per EPA and CA guidelines). • New concrete equipment pad, rigging, and setting of the new unit in accordance with structural requirements. • Install new breaker, service conductors, and AC disconnects, to provide power from existing electrical main service panel to the new refrigeration plant. • Install new distribution piping connections from packaged enclosure to existing distribution piping network located inside the building. • Insulate any new or exposed distribution piping affected by the installation of the new equipment. • Structural pipe supports and wall sleeves (where penetrations are required). • Start-up/testing/commissioning. • Integration of refrigeration plant control system with the new Building Automation System. Scope of work excludes: • Unrelated scope electrical and structural upgrades and/or modifications. Replace existing Thermal Ice Storage (ITS) System. Scope of work includes: • Remove and dispose of existing TIS bank. • Remove all brine piping from existing TIS system to underground penetrations in pump room and cap at floor. • Remove and dispose of existing brine pumps. • Relocate and install new 420 ton-hr TIS system in former refrigeration plant mechanical room. • Provide new concrete equipment pad for TIS system. • Install TIS circulation piping and branch connectors to each ice battery. • Insulate any new or exposed piping affected by the installation of the new TIS system. • Install a dedicated in -line ice build-up pump. • Provide new electrical service for in -line pump to include electrical raceway, wire and electrical disconnect. • Piping reconfiguration and modifications as required for installation of the new heat exchanger (HX). City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 4 of 42 • Hydrostatic testing of new piping and TIS for leaks • Start-up/testing and commissioning. Replace existing single 12,000 CFM packaged gas fired, desiccant ice rink dehumidification system with two (2) new 8,500 CFM glycol dehumidification air -handling units. Scope of work includes: • Remove and dispose of existing rooftop dehumidification system. • Cap existing natural gas supply lines. • Install new breaker, service conductors, and AC disconnects, to provide power from existing electrical panel to the new dehumidification units. • Assemble and install new structural steel framing on roof for support of new glycol dehumidification air -handling units. • Install new 4" steel supply and return pipes for distribution of cold and warm glycol from new refrigeration plant to each new rooftop dehumidifiers. • Insulate any new or exposed piping affected by the installation of the new dehumidifiers • Hydrostatic testing of the new glycol piping for leaks. • Install new suspended galvanized metal supply and return ducting through new roof penetrations for distribution of conditioned air throughout each ice rink arena. • Start-up/testing and commissioning. Install four (4) new 10-hp, glycol pumps for distribution of glycol to dehumidification air -handling units, chilled water HX and TIS. Scope of work includes: • Install new glycol distribution pumps in former refrigeration plant mechanical room • Provide new concrete equipment pad • Connect pumps to glycol supply and return mains. • Provide new electrical connections to include necessary electrical raceway, wire and electrical disconnects. • Insulate new or exposed glycol piping affected by the installation of the new equipment. • New premium efficiency, inverter duty motors. • Install new VFD to modulate each pump and program. • Fill glycol loop to required volume. • Balancing of glycol system. • Start-up and testing. Replace one (1) existing 108 ton Brine to CHW Plate and Frame HX with a new Glycol to CHW Plate and Frame HX. Scope of work includes: • Demolition, removal and disposal of the existing Plate and Frame HX. • Relocate HX to former refrigeration plant mechanical room. • Provide new concrete equipment pad. • Connect new HX to existing CHW supply and return mains. • Connect HX to Glycol supply and return loop. • Piping reconfiguration and modifications as required for installation of the new HX • Insulate any new or exposed (Glycol and CHW) piping affected by the installation of the new equipment. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 5 of 42 • Start-up and testing. Scope of work excludes: • Any CHW piping repair outside the central plant or not directly associated with scope. Replace two (2) existing 204 GPM, CHW pumps with new high efficiency CHW pumps of similar capacity and performance. Scope of work includes: • Demolition, removal and disposal of the existing CHW pumps. • Relocate CHW pumps to former refrigeration plant mechanical room. • Provide new concrete equipment pad, and reconnect pumps to existing CHW supply and return mains. • Provide new electrical connections to include necessary electrical raceway, wire and electrical disconnects. • Install CHW bypass piping with control valve and pressure sensor for primary variable flow. • Insulate any new or exposed CHW pipe affected by the installation of the new equipment. • New premium efficiency inverter duty motors. • Install new VFD to modulate each pump and program. • Balancing of CHW system. • Replenish/fill CHW loop to required volume. • Coordinate with City's chemical treatment contractor to ensure required treatment for CHW loop prior to start up (at City's expense). • Start-up and testing. Scope of work excludes: • Draining or flushing of CHW loop Replace the existing cooling tower (CT) with a new single cell, open circuit, stainless steel, variable flow cooling tower. Scope of work includes: • Remove and relocate existing evaporative condenser to City's selected local storage location. • Install new stainless steel CT on vibration isolation rails. • Install VFD and connect CT fan and program. • Provide new 10" carbon steel condenser water piping from new refrigeration plant to new CT, reconnect drains, and make up water piping. • Electrical disconnect/reconnect to include necessary electrical raceway, wire and new electrical disconnect. • Coordinate with City's chemical treatment contractor to implement chemical treatment as required. • Install controls hardware and integrate into refrigeration plant control system • Start-up, and testing. Install two (2) new 1,308 GPM, Condenser Water (CW) pumps in the rooftop mechanical yard next to the new CT. Scope of work includes: • Provide new concrete equipment pads. • Connect pumps to new CT and CW supply and return lines mains. City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 6 of 42 • Provide new electrical connections to include necessary electrical raceway, wire and electrical disconnects. • New premium efficiency inverter duty motors. • Install new VFD to modulate each pump and program. • Balancing of CW system. • Replenish/fill CW loop to required volume. • Coordinate with City's chemical treatment contractor to ensure required treatment for CW loop prior to start-up (at City's expense). • Start-up and testing. �c Replace the existing 942 MBH conventional natural gas -fired Heating Hot Water (HHW) boiler with a new 98% efficient condensing HHW boiler of similar size and capacity. Scope of work includes: • Demolition, removal and disposal of the existing boiler • Relocate new boiler to former refrigeration plant mechanical room. • Provide new concrete equipment pad. • Provide new 120V, single phase electrical branch circuit switch from the nearest electrical panel to the new boiler. • Provide new natural gas piping connection. • Install new pipe connections and extend to existing HHW supply and return mains. • Insulate any new or exposed HHW pipe affected by the installation of the new equipment. • Provide new flue for condensing boiler. • Provide and install necessary condensate drain piping per manufacturer's recommendations. • Start-up and testing. Scope of work excludes: • Any HHW piping repair not directly associated with scope. Replace two (2) existing 101 GPM, HHW pumps with new high efficiency HHW pumps of similar capacity and performance. Scope of work includes: • Engineering design. • Demolition, removal and disposal of the existing HHW pumps. • Provide HHW pumps, relocating to former refrigeration plant mechanical room. • Provide new concrete equipment pad, • Provide and install necessary piping to reconnect pumps to existing HHW supply and return mains. • Provide new electrical connections to include necessary electrical raceway, wire and electrical disconnects. • Insulate any new or exposed HHW pipe affected by the installation of the new equipment. • New premium efficiency inverter duty motors. • Balancing of HHW system. • Replenish/fill HHW loop to required volume. • Coordinate with City's chemical treatment contractor to ensure required treatment for HHW loop prior to start up (at City's expense). • Start-up and testing. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 7 of 42 Scope of work excludes: • Draining or flushing of HIM loop * Replace fifteen (15) existing Fan Coil (FC) units with new units of similar size and capacity. Scope of work includes: • Removal and disposal of existing FC units. • Necessary CHW and HHW pipe modifications to the new FC units. • Insulation of exposed CHW and HHW pipes. • Replacement of existing CHW 3-way control valves with 2-way control valves. • Electrical disconnect/reconnect to include raceway, wire and new disconnect if required. • Disconnect and reconnect condensate drain to existing drain line • Start-up/testing. Scope of work excludes: • Undisclosed electrical and structural upgrades/modifications. Ice Purification * Replace existing deionized water system with REALice water purification system. Scope of work includes: • Demolition, removal and disposal of the existing deionized water system • Installation of new REALice water purification system at a location near the current Zamboni filling station. • Piping reconfiguration and modifications as required for installation of the new REALice system • Start-up and testing. Controls * Install Distech Building Automation System Scope of work includes: • Remove and dispose of existing thermostats, terminal unit controllers, field controllers, front end computer, and all other existing BAS ancillary hardware. • Installation of new zone sensors/controllers with display and temperature adjustment capability. • Installation of new terminal unit controllers, field controllers, front end computer, and all other required hardware for proper operation/communication of new BAS. • Integration of occupancy sensors and demand control ventilation devices where applicable. • Installation of new wire for communication system • Integration, networking, and programming of new controllers into the new front end computer, rink refrigeration plant controls, and web based graphical interface. • Start-up, testing and commissioning of the new control system. Scope of work excludes: • Installation of controls on any equipment not currently controlled by the existing BAS system. Optimize control sequences, implementing energy saving strategies, modifying set points and updating schedules per the Standard of Operations, sequence of operations, and Test and Balance (TAB) report findings. Test, Adjust, & Balance (TAB) of The Cube's HVAC systems. A complete building TAB by a certified contractor will be performed upon the completion of newly installed and repaired HVAC and Controls City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 8 of 42 equipment as part of the equipment commissioning process. The results of this analysis will be documented in a certified report. Building Envelope - Roof * Replace existing roof at The Cube with a new R-30 TPO roof including access walkways Scope of work includes: • Remove and dispose of existing insulation, built up roofing, and other roofing layers down to the metal decking. o Installation of new complete roofing system comprised of the following o Two (2) layers 2.6 Poly ISO R-30 insulation, mechanically fastened to metal decking o One (1) layer of separator CFG board 488 mechanically attached o One (1) layer of 60 mil white TPO mechanically attached, complete roofing system o One (1) layer of 60 mil white TPO fully adhered to all parapet wall and curbs using low VOC adhesive. o Install 10001f of 24" wide walkway using low VOC adhesive. o Flashing around new Solar PV racking support stanchions. o Furnish and install sixty two (62) new cube mounted 4'x4' skylights to existing curbs. o Provide all necessary pipe boots, metal edges, roof drains, flashing, and coping metal around roof mounted equipment. Scope of work excludes: Unforeseen structural repairs or replacement of damaged structural roof metal Medium Voltage Transformer Replacements Replace six (6) existing medium voltage transformers with new like for like nominal kVA capacity high efficiency transformers. The new transformers will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformers. Scope of work includes. • Remove and dispose of existing transformers. • Installation of new dry type, low loss, high efficiency transformers. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 9 of 42 Renewables �E Provide and install new solar PV system (combination roof and carport mounted system). Please see Solar PV layouts in Attachment "D" for detailed locations. Scope of work includes: • Engineering, site testing, construction and commissioning of the new PV system. • Support to execute the utility interconnection agreement. • Installation of a data acquisition system to provide system performance monitoring for the City. • A portion of the Solar PV arrays will be installed on the building rooftop, while the remaining solar PV arrays will be installed on structural steel carports in the main parking lot in front of the Cube. Aquatic Center & Skate Park Lighting Retrofit identified interior T8, CFL, and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted and pole mounted CFL and HID lighting systems as well as underwater incandescent pool lights with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the Sports Field Lighting supporting documentation in Attachment `B". Scope of work includes: • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. • Manufacturer provided 10 year warranty Scope excludes: • New electrical service or improvements to existing electrical infrastructure. • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 10 of 42 Mechanical '1F Replace one (1) split system heat pump unit with a new high efficiency split system heat pump unit of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment C for equipment size and location. Scope of work includes. • Removal of existing split system unit (fan coil unit and condensing unit) • Proper disposal or containment of refrigerant (per EPA guidelines) • Provide and install new equipment as required • Flush and reconnect existing line sets and pressure test. Install new refrigerant line sets if existing cannot be re -used • Disconnection/reconnection of the existing electrical line, installation of new electrical disconnect • Disconnect and reconnect condensate drain to existing drain line • Start-up/testing of the new unit, and integration to the existing HVAC control system Scope of work excludes. • Undisclosed electrical and structural upgrades/modifications. • Roofing repairs not directly related to the scope of mechanical work. Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on nine (9) HVAC units. Scope of work includes. • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of one new gateway, one repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN) Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements '1F Replace three (3) existing medium voltage transformers with a new equal capacity high efficiency transformers. The new transformers will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformers. Scope of work includes. • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 11 of 42 Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or unforeseen electrical deficiencies up to current code. Renewables * Installation of a new carport -mounted solar PV systems. Scope of work includes: • Engineering, site testing, construction and commissioning, of the new PV system. • Support to execute the utility interconnection agreement. • Installation of a data acquisition system to provide system performance monitoring for the City. • Solar PV arrays will be installed on structural steel carports in two (2) parking lots (North and East lots). Please see Solar PV layouts in Attachment "D" for detailed locations. Business Incubator Lighting Retrofit identified interior T8 and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted and pole mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical 'X Replace existing multi -zone unit (MZU) with a new 3-pipe Variable Refrigerant Flow (VRF) system to serve the break room, reception area and open offices. The VRF system shall be designed as a, heat pump system with heat recovery to provide simultaneous heating and cooling in individual spaces. Scope of work includes: • Disconnect and remove the following equipment (per EPA guidelines): * Air-cooled chiller located outdoors, chilled water pump and hydronic piping * Heating hot water boiler, hot water pump and hydronic piping * MZU including cooling/heating coils • Structurally reinforce roof area above mechanical room to support new condensing unit. • Installation of one (1) new outdoor VRF condensing unit on low roof, above existing mechanical room. • Provide four (4) new concrete equipment pads in mechanical room. • Installation of one (1) horizontal and three (3) vertical ducted fan coil units (FCU). • Installation of refrigerant piping circuits including multi -port branch selector unit and headers. • Installation of new outdoor Or supply duct from existing exterior louver to each fan coil unit. • New condensate drain piping from each FCU to nearest floor drain. • Low -voltage control wiring and conduit. • Provide and install zone controls. • Installation of a transfer duct and grilles between the staff break room and general office area. • Disconnect and cap off existing supply diffusers at the bottom of the soffits located in the western office area. • Install new supply diffusers on the side of the soffits located in the western office area. City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 12 of 42 • Manufacturer's prescribed start-up and functionality testing. • Electrical connection from existing service sub -panel to new indoor and outdoor VRF equipment. • Start-up/testing/balancing of the new units, and connection to the new HVAC control system • All equipment removed shall be disposed of per EPA guidelines. • Operations and maintenance training for City staff. Scope of work excludes: • Undisclosed electrical and structural upgrades/modifications. • Testing and or removal of asbestos, lead based products or other hazardous materials. Controls * Install Distech Building Automation System Scope of work includes: • Remove and dispose of existing thermostats, MZU controllers, field controllers, front end computer, and all other existing BAS ancillary hardware. • Installation of new zone sensors/controllers with display and temperature adjustment capability. • Installation of new fan coil unit controllers, field controllers, front end computer, and all other required hardware for proper operation/communication of new BAS. • Integration of occupancy sensors and demand control ventilation devices where applicable. • Installation of new wire for communication system. • Integration, networking, and programming of all new controllers into the new front end computer, and web based graphical interface. • Start-up, testing and commissioning of the new control system. Scope of work excludes: • Installation of controls on any equipment not currently controlled by the existing BAS system. Optimize control sequences, implementing energy saving strategies, modifying set points and updating schedules per the Standard of Operations, and sequence of operations. Canyon CountCE Community Center Controls * Integrate Existing Carrier I-Vu System to Citywide EMS. Canyon Coun try Library Lighting Retrofit identified interior T5, T8, T12, CFL, and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. ` Retrofit identified exterior building mounted HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 13 of 42 Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on ten (10) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Ft thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN) Addition of new Wi-Fi wireless networks. Renewables Installation of a new rooftop -mounted solar PV system. Please refer to Solar PV layouts in Attachment "D" for detailed locations. Scope of work includes: • Engineering, site testing, construction and commissioning of the new PV system. • Support to execute the utility interconnection agreement. • Installation of a data acquisition system to provide system performance monitoring for the City. • Installation of solar PV arrays on the Library rooftop. Scope of work excludes: Undisclosed structural upgrades/modifications to the roof. It is assumed that the roof is in good condition. Cal Lighting Retrofit identified interior T5/T8's, CFL, and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted and pole mounted CFL and T8 lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical Replace two (2) 30-ton and four (4) 40-ton packaged DX variable -air -volume (VAV) cooling -only units with all new high efficiency units with factory installed UV lights, economizers and modulating power exhaust. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 14 of 42 Scope of Y�wk includes: • Removal and disposal of existing units (per EPA guidelines). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of six (6) new packaged DX variable -air -volume (VAV) cooling -only units. • Necessary disconnection/reconnection of the existing electrical lines to include required electrical raceway, wire and new electrical disconnects. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new units, and connection to the new HVAC control system Scope of work excludes: Undisclosed electrical and structural upgrades/modifications. Roofing repairs not directly related to the scope of mechanical work. Replace three (3) packaged heat pump units with new high efficiency packaged heat pump units of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment "C" for equipment size and location. Scope of work includes: • Removal and disposal of existing units (per EPA guidelines). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of three (3) new packaged heat pump units. • Necessary disconnection/reconnection of the existing electrical lines to include required electrical raceway, wire and new electrical disconnects. • Necessary ductwork transitions from replacement packaged heat pump unit to existing roof mounted or duct drops as required. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new units, and connection to the new HVAC control system. Scope of work excludes: Undisclosed electrical and structural upgrades/modifications. Roofing repairs not directly related to the scope of mechanical work. ` Replace two (2) split system heat pump units with new high efficiency split system heat pump units of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment "C" for equipment size and location as well as economizer information. Scope of work includes: • Removal of existing split system unit (evaporator coil and condensing unit). • Proper disposal or containment of refrigerant (per EPA guidelines). • Provide and install new equipment as required. • Flush and reconnect existing line sets and pressure test. Install new refrigerant line sets if existing cannot be re -used. • Necessary disconnection/reconnection of the existing electrical lines to include required electrical raceway, wire and new electrical disconnects. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new unit, and integration to the new HVAC control system. • All equipment removed shall be disposed of per EPA guidelines. Scope of work excludes: • Ceiling repairs not directly related to the replacement of the two split systems. • Undisclosed electrical and structural upgrades/modifications City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 15 of 42 Replace seventy two (72) single duct VAV terminal units. Scope of work includes: • Disconnect and demo existing pneumatic devices. • Removal of existing pneumatic actuators, controllers, devices and VAV terminal units. • Install new single -duct VAV terminal units and re -connect to existing ductwork. • Low -voltage wiring and conduit. • Test, balance, and adjust new VAV boxes per engineering design. Scope of work excludes: Hidden or undisclosed existing damage to 1 VAC system not related to described VAV terminal unit scope of work. Replace forty eight (48) single duct VAV terminal units equipped with Heating Hot Water coils. Scope of work includes: • Coordinate with facility to shut-off heating hot water to VAV terminal units. • Removal of existing pneumatic actuators, controllers, devices, hose kits and VAV terminal units. • Installation of new control valves, flow limiting devices and hose kits. • Re -insulate heating hot water supply/return piping where existing insulation has been damaged or removed. • Install new single -duct VAV terminal units with hot water coils and re -connect to existing ductwork. • Low -voltage control wiring and conduit. • Coordinate with customer to turn on heating hot water upon completion. • Test, balance, and adjust new VAV boxes per engineering design. Scope of work excludes: • Hidden or undisclosed existing damage to HVAC system not related to described VAV terminal unit scope of work. Reduce air leakage by sealing the supply air duct mains from the unit discharge of the six (6) packaged DX VAV units to each VAV terminal unit. Scope of work includes: • Coordinate HVAC equipment shutdown with customer and temporary disabling of the fire safety controls and BAS. • Inspect all ducts prior to sealing to identify openings that cannot be sealed. • Coordinate duct sealing work with the customer and all relevant trades (mechanical/electrical). • Set-up and arrange sealing equipment, including placement and removal of sealant blocks to mitigate overspray to occupied areas. • Use temporary blocking material to isolate VAV terminal units. • Create access holes/openings in the duct as required for inspection and sealing process. All openings made will be resealed upon completion. • Pressurize ductwork with sealing technology • Perform pre and post leakage test and provide certificate of completion for each event. Scope of work excludes: • Duct cleaning • Sealing of ductwork down -stream of terminal units. City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 16 of 42 Controls * Install Distech Building Automation System Scope of work includes: • Remove and dispose of existing thermostats, terminal unit controllers, field controllers, front end computer, and all other existing BAS ancillary hardware • Installation of new zone sensors/controllers with display and temperature adjustment capability • Installation o£ o VAV damper actuators and box controllers o Boiler plant and pump controllers o Reheat coil control valves o Front end computer o All other required hardware for proper operation/communication of new BAS • Integration of demand control ventilation devices where applicable. • Installation of new wire for communication system • Integration, networking, and programming of new controllers into the new front end computer, and web based graphical interface • Start-up, testing and commissioning of the new control system Scope of work excludes: • Any improvements/modifications or new infrastructure of Local Area Network (LAN) devices or Wi-Fi wireless networks • Any upgrades to the existing fire -alarm system. Optimize control sequences, implementing energy saving strategies, modifying set points and updating schedules per the Standard of Operations, sequence of operations, and Test and Balance (TAB) report findings. Medium Voltage Transformer Replacements Replace thirteen (13) medium voltage transformers with new equal capacity high efficiency transformers. The new transformers will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformers. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufacturer's guidelines. • Compliance with all state, local electric codes. Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or unforeseen electrical deficiencies up to current code. Building Envelope - Window Film * Install high performance, NFRC rated, solar control window film. Scope of work includes: Removal of existing window film. Installation of new window film on all exterior windows. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 17 of 42 Scope of work excludes: • Installation of window film on all perimeter entrance doors. Renewables Installation of a new carport -mounted solar PV system. Please see Solar PV layouts in Attachment "D" for detailed locations. Scope of work includes: • Engineering, site testing, construction and commissioning of the new PV system. • Support to execute the utility interconnection agreement. • Installation of a data acquisition system to provide system performance monitoring for the City. • Installation of solar PV arrays on structural steel carports in the main parking lot in front of the building. Provide and install a Battery Energy Storage System (BESS) to provide demand load shedding and energy arbitrage energy savings during peak demand times. Battery size not to exceed 250kVA/558kWh. Scope of work includes: • Installation of battery equipment and control system with off peak charging schedules, connection to existing electrical infrastructure, necessary equipment pads Start-up/testing of equipment and controls. CoMorate Yard Lighting Retrofit identified interior T5/T8's and CFL lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted and pole mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical 'Jf Replace one (1) split system heat pump unit with a new high efficiency split system heat pump unit of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment C for equipment size and location. Scope of work includes: • Removal of existing split system unit (evaporator coil, blower, and condensing unit). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of one (1) split system heat pump unit. • Flush and reconnect existing line sets and pressure test. Install new refrigerant line sets if existing cannot be re -used. • Disconnection/reconnection of the existing electrical line, installation of new electrical disconnect. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new unit, and integration to the existing HVAC control system. Scope of work excludes: City of Santa Clarita *CLIMATEC Installation Agreement — Att Page 18 of 42 • Undisclosed electrical and structural upgrades/modifications. • Roofing repairs not directly related to the scope of mechanical work. Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on twelve (12) HVAC units. Scope of work includes. • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN). Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements Replace one (1) medium voltage transformer with a new equal capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or unforeseen electrical deficiencies up to current code. Newhall ConamunitJ: Center Lighting Retrofit identified interior T8 fluorescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 19 of 42 Mechanical Replace eleven (11) packaged gas/ electric units with all new high efficiency packaged gas/ electric units of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment "C" for equipment size and location as well as economizer information. Scope of work includes: • Removal and disposal of existing units (per EPA guidelines). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of eleven (11) packaged gas/electric units. • Installation of adjustable dry-bulb ultra -low leak economizer. • Installation of modulating power exhaust (where required). • Necessary curb adaptors, modifications, rigging, setting new unit onto roof curb. • Necessary disconnection/reconnection of the existing electrical and gas lines, installation of new electrical disconnects, and installation of new flex gas lines. • Necessary ductwork transitions from replacement packaged gas/electric units to existing supply/return ducts as required. • Disconnect and reconnect condensate drain to existing drain line. Installation of economizers where applicable. Start-up/testing of the new units, and connection to the new HVAC control system. Scope of work excludes: Undisclosed electrical and structural upgrades/modifications. Roofing repairs not directly related to the scope of mechanical work. Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on thirteen (13) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN). Addition of new Wi-Fi wireless networks. Plumbing Install three (3) point -of -use, electric water heaters in the restrooms, and shut off (2) 100-gallon water heater tank burners when not in use. Scope of work includes: Installation of new electrical branch circuits to energize the under -sink water heaters. Installation per manufacturer's guidelines. Compliance with state, local electric and plumbing codes City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 20 of 42 Renewables * Installation of a new carport -mounted solar PV system. Please see Solar PV layouts in Attachment "D" for detailed locations. Scope of work includes: • Engineering, site testing, construction and commissioning of the new PV system. • Support to execute the utility interconnection agreement. • Installation of a data acquisition system to provide system performance monitoring for the City. • Installation of a solar PV arrays on structural steel carports in the main parking lot in front of the building. • Installation of one (1) non -solar carport structure to cover the single row of remaining parking spaces north of the carport -mounted solar PV system. Maintenance Shop & Central Park Lighting Retrofit identified interior T8 and CFL lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment "B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted and pole mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical Replace one (1) split system heat pump unit with a new high efficiency units of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment "C" for equipment size and location. Scope of work includes: • Removal of existing split system unit (evaporator coil, blower, and condensing unit). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of one (1) split system heat pump unit. • Flush and reconnect existing line set and pressure test. Install new refrigerant line set if existing cannot be re -used. • Disconnection/reconnection of the existing electrical line, installation of new electrical disconnect. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new unit, and integration to the new HVAC control system. • All equipment removed shall be disposed of per EPA guidelines. Scope of work excludes: • Ceiling or roofing repairs not directly related to the replacement of the HVAC equipment. • Undisclosed electrical and structural upgrade/modification. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 21 of 42 Replace one (1) wall mounted heat pump unit with anew high efficiency unit of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment "C" for equipment size and location. Scope of work includes: • Removal and disposal of existing unit • Proper disposal or containment of refrigerant (per EPA guidelines) • Installation of one (1) wall -mounted heat pump unit. • Necessary adaptor modifications, rigging, installing new unit onto wall • Necessary disconnection/reconnection of the existing electrical line, installation of new electrical disconnect • Disconnect and reconnect condensate drain to existing drain line • Start-up/testing of the new unit, and connection to the new HVAC control system. Scope Excludes: • Undisclosed electrical and structural upgrade/modification. • Wall repairs not directly related to the scope of mechanical work. Controls Replace the existing programmable thermostats with Wi-Fi based 1 VAC controls on two (2) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN). • Addition of new Wi-Fi wireless networks. Metrolink Ian Heidt (Newhall Lighting Retrofit identified interior TS and CFL lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted and pole mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Controls City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 22 of 42 Replace the existing programmable thermostat with Wi-Fi based HVAC controls on one (1) HVAC unit Scope of work includes. • Remove and dispose of existing programmable thermostat. • Installation of new Wi-Fi Smart Stat with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostat will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements Replace one (1) medium voltage transformer with a new equal capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes.- 0 Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or unforeseen electrical deficiencies up to current code. MetroAak Santa Clvita Lighting Retrofit identified interior and a few exterior T8 fluorescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Controls '*` Replace the existing programmable thermostat with Wi-Fi based HVAC controls on two (2) HVAC units Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 23 of 42 Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN). • Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements Replace one (1) medium voltage transformer with a new equal capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or unforeseen electrical deficiencies up to current code. MetroAak vra Piincesss Lighting ` Retrofit identified interior T8 fluorescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment "B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical Replace one (1) mini split system heat pump unit with a new high efficiency mini split system heat pump unit of similar size and capacity. Please refer to the Mechanical Replacement Inventory in Attachment C for equipment size and location. Scope of work includes. • Removal of existing split system unit (evaporator coil and condensing unit). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of one (1) ductless mini split system heat pump unit. • Flush and reconnect existing line sets and pressure test. Install new refrigerant line sets if existing cannot be re -used. • Disconnection/reconnection of the existing electrical line, installation of new electrical disconnect. • Disconnect and reconnect condensate drain to existing drain line. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 24 of 42 • Start-up/testing of the new unit, and integration to the new HVAC control system. Scope of work excludes: • Undisclosed electrical and structural upgrades/modifications. • Roofing repairs not directly related to the scope of mechanical work. Controls * Replace the existing programmable thermostat with Wi-Fi based HVAC controls on one (1) HVAC unit Scope of work includes: • Remove and dispose of existing programmable thermostat. • Installation of new Wi-Fi Smart Stat with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. Old Town Newhall Librat� Lighting ` Retrofit identified interior T5HO, TS, CFL, and Incandescent with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. *` Retrofit identified exterior building mounted and pole mounted CFL, HID, T5, and Underwater Pool Lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Controls * Install Distech Building Automation System Scope of work includes: Remove and dispose of existing thermostats, terminal unit controllers, field controllers, front end computer, and all other existing BAS ancillary hardware. Installation of new zone sensors/controllers with display and temperature adjustment capability. Installation o£ o VAV damper actuators and terminal unit controllers. o Boiler & Cooling Tower plant and pump controllers. o Self-contained, water-cooled AHU controllers. o Unitary equipment controllers. o Front end computer. City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 25 of 42 • All other required hardware for proper operation/communication of new BAS. • Integration of demand control ventilation devices where applicable. • Installation of new wire for communication system. • Integration, networking, and programming of all new controllers into the new front end computer, and web based graphical interface. • Start-up, testing and commissioning of the new control system. Scope of work excludes: • Any improvements/modifications or new infrastructure of Local Area Network (LAN) devices • Addition of new Wi-Fi wireless networks. Optimize control sequences, implementing energy saving strategies, modifying set points and updating schedules per the Standard of Operations, and sequence of operations. Renewables '1F Provide and install a Battery Energy Storage System (BESS) to provide demand load shedding and energy arbitrage energy savings during peak demand times and also provide backup power, during a power outage. Battery size not to exceed 150kVA / 372kWh. Scope of work includes: Installation of battery equipment and control system with off peak charging schedules, connection to existing electrical infrastructure, necessary equipment pads. Start-up/testing of equipment and controls. Parking Garage Controls 'lE Replace the existing programmable thermostats with Wi-Fi based HVAC controls on three (3) HVAC units serving the garage's electrical rooms. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications to existing Local Area Network (LAN) devices • Addition of new Wi-Fi wireless networks. The Centre & Gymnasium Lighting Retrofit identified interior T12, HID, and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 26 of 42 Retrofit identified exterior building mounted and pole mounted CFL and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary Mechanical Replace one (1) packaged gas/electric unit with new high efficiency unit of similar size and capacity. Please refer to the HVAC Replacement Inventory in Attachment C for equipment size and location. Scope of work includes: • Removal and proper disposal of existing unit. • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of one (1) new packaged gas/electric unit. • Installation of economizer on replacement unit. • Necessary curb adaptors, modifications, rigging, setting new unit onto roof curb. • Necessary disconnection/reconnection of the existing electrical and gas lines, installation of new electrical disconnects. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new units, and connection to the new HVAC control system. Scope Excludes: • Undisclosed electrical and structural upgrades/modifications. • Roofing repairs not directly related to the scope of mechanical work. Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on twenty (20) HVAC units at The Centre and seven (7) HVAC units at the Gymnasium Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements Replace three (3) existing medium voltage transformers with new like for like nominal kVA capacity high efficiency transformers. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 27 of 42 • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Renewables ' Provide and install new carport -mounted solar PV system. Please see Solar PV layouts in Attachment "D" for detailed locations. Scope of work includes: • Engineering, site testing, construction and commissioning of the new PV system. • Support to execute the utility interconnection agreement. • Installation of data acquisition system to provide system performance monitoring for the City. • Installation of solar PV arrays on structural steel carports in one (1) parking lot (West lot). The Main Lighting Retrofit identified interior T12, CFL, and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted CFL and incandescent lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical Replace two (2) packaged gas/electric units with new high efficiency units of similar size and capacity. Please refer to the HVAC Replacement Inventory in Attachment C for equipment size and location. Scope of work includes: • Removal and proper disposal of existing units. • Proper disposal or containment of refrigerant (per EPA guidelines). • Installation of two (2) new packaged gas/electric units. • Installation of economizers on replacement units. • Necessary duct adaptors, modifications, rigging, setting new unit onto roof curb. • Necessary disconnection/reconnection of the existing electrical and gas lines, installation of new electrical disconnects. • Disconnect and reconnect condensate drain to existing drain line. • Start-up/testing of the new units, and connection to the new F VAC control system. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 28 of 42 Scope Excludes: • Undisclosed electrical and structural upgrades/modifications. • Roofing repairs not directly related to the scope of mechanical work. Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on two (2) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. Transit Main tenance Facility Lighting Retrofit identified interior T5HO, T8, CFL, and HID lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Retrofit identified exterior building mounted T5HO lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors (on board or fixture mounted) and/ or dimming control, if provided, will be identified within the Lighting Summary. Mechanical Replace two (2) water-cooled computer room air-conditioning (CRAC) units with two (2) new high efficiency units of similar capacity. Scope of work includes: • Removal and disposal of existing units (per EPA guidelines). • Proper disposal or containment of refrigerant (per EPA guidelines). • Installing necessary equipment stands, and rigging new into existing Server Room equipment location. Necessary disconnection/reconnection of the existing electrical and condenser water lines, installation of new electrical disconnects. Disconnect and reconnect condensate drain to existing drain line. Start-up/testing of the new units, and connection to the new HVAC control system. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 29 of 42 Scope of work excludes: • Undisclosed electrical and structural upgrades/modifications. • Raised floor repairs not directly related to the scope of mechanical work. Controls * Install Distech Building Automation System Scope of work includes: • Remove and dispose of existing thermostats, water -source heat pump (WSHP) unit controllers, field controllers, front end computer, and all other existing BAS ancillary hardware. • Installation of new zone sensors/controllers with display and temperature adjustment capability. • Installation of new WSHP unit controllers, field controllers, front end computer, and all other required hardware for proper operation/communication of new BAS. • Integration of two new CRAC units via factory supplied network communication card. • Integration of occupancy sensors and demand control ventilation devices where applicable. • Installation of new wire for communication system. • Integration, networking, and programming of all new controllers into the new front end computer, and web based graphical interface. • Start-up, testing and commissioning of the new control system. Scope of work excludes: • Installation of controls on any equipment not currently controlled by the existing BAS system. Optimize control sequences, implementing energy saving strategies, modifying set points and updating schedules per the Standard of Operations and sequence of operations. Medium Voltage Transformer Replacements 'Jf Replace six (6) medium voltage transformers with a new equal capacity high efficiency transformers. The new transformers will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformers. Scope of work includes: • Remove and dispose of existing transformers. • Installation of new dry type, low loss, high efficiency transformers. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or unforeseen electrical deficiencies up to current code. Window Film * Install high performance, NFRC rated, solar control window film. Scope of work includes: • Installation of new 3M Ceramic film on the Courtyard Hallway windows in building A. • Installation of new 3M NV25 window film on Dispatch Office windows in building A. Scope of work excludes: • Removal of any existing window film in the locations listed above City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 30 of 42 • Installation of window film on any window not listed above Bouquet Can Park Sports Field Lighting Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the sports field lighting supporting documentation in Attachment `B" Scope of zvork includes: • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. • Manufacturer provided 10 year warranty. Scope excludes: • New electrical service or improvements to existing electrical infrastructure. • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. Medium Voltage Transformer Replacements 'JE Replace one (1) existing medium voltage transformer with new like for like nominal kVA capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer • Installation of new dry type, low loss, high efficiency transformer • Disconnect/reconnect primary and secondary feeders • Proper grounding connections • Installation per manufactures guidelines • Compliance with all state, local electric codes Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Bn4 eaort Park Sports Field Lighting City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 31 of 42 Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the sports field Lighting supporting documentation in Attachment `B" Scope of work includes: • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. • Manufacturer provided 10 year warranty. Scope excludes: • New electrical service or improvements to existing electrical infrastructure. • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. Medium Voltage Transformer Replacements Replace one (1) existing medium voltage transformer with new like for like nominal WA capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of n)ork includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Canyon Coun10E Park Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on four (4) HVAC units. Scope of work includes: Remove and dispose of existing programmable thermostats. Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. City of Santa Clarita *CLIMATEC Installation Agreement — Att Page 32 of 42 Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN) Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements Replace two (2) existing medium voltage transformers with new like for like nominal WA capacity high efficiency transformers. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Central Park Sports Field Lighting Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the sports field Lighting supporting documentation in Attachment `B" Scope of work includes: • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 33 of 42 • Manufacturer provided 10 year warranty. Scope excludes: • New electrical service or improvements to existing electrical infrastructure. • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. Mechanical Replace two (2) split system heat pump units with new high efficiency units of similar size and capacity. Please refer to the HVAC Replacement Inventory in Attachment C for equipment size and location. The Scope of n)ork includes: • Removal and proper disposal of existing units. • Proper disposal or containment of refrigerant per EPA guidelines. • Installation of two (2) new split system heat pump units. • Necessary duct/curb modifications. • Disconnection/reconnection of the existing electrical lines. • Installation of new electrical disconnects. • Installation of economizers/ mixing boxes on replacement units. • Disconnection/reconnection of existing condensate drain lines. • Connection to HVAC controls. • Start-up/testing of the new units. The Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or bidden electrical or structural deficiencies up to current code. Controls Replace the existing programmable thermostats with Wi-Fi based HVAC controls on two (2) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements 'X Replace three (3) existing medium voltage transformers with new like for like nominal WA capacity high efficiency transformers. The new transformer will be of the same electrical configuration (i.e.: 3-phase, City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 34 of 42 delta-wye) and be placed in the same location and fit within existing constraints as the existing transformers. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: • Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Newhall Park Sports Field Lighting ` Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the Sports Field Lighting supporting documentation in Attachment `B". Scope of work includes: • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. • Manufacturer provided 10 year warranty. Scope excludes: • New electrical service or improvements to existing electrical infrastructure. • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. Mechanical Replace two (2) packaged gas/ electric units with new high efficiency units of similar size and capacity. Please refer to the HVAC Replacement Inventory in Attachment C for equipment size and location. The Scope of work includes: • Removal and proper disposal of existing units. • Proper disposal or containment of refrigerant per EPA guidelines. • Installation of two (2) new packaged rooftop units. • Necessary duct/curb modifications. • Disconnection/reconnection of the existing electrical and gas lines. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 35 of 42 • Installation of new electrical disconnects. • Installation of economizers on replacement units. • Disconnection/reconnection of existing condensate drain lines. • Connection to HVAC controls. • Start-up/testing of the new units. The Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical or structural deficiencies up to current code. Controls # Replace the existing programmable thermostats with Wi-Fi based HVAC controls on three (3) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. North Oaks Park Mechanical Replace one (1) packaged gas/electric unit with new high efficiency units of similar size and capacity. Please refer to the HVAC Replacement Inventory in Attachment C for equipment size and location. The Scope of work includes: • Removal and proper disposal of existing units. • Proper disposal or containment of refrigerant per EPA guidelines. • Installation of one (1) new packaged rooftop unit. • Necessary duct/curb modifications. • Disconnection/reconnection of the existing electrical and gas lines. • Installation of new electrical disconnects. • Installation of economizer on replacement unit. • Disconnection/reconnection of existing condensate drain lines. • Connection to HVAC controls. • Start-up/testing of the new units. The Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical or structural deficiencies up to current code. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 36 of 42 Controls Replace the existing programmable thermostat with a Wi-Fi based HVAC controller on one (1) HVAC unit. Scope of work includes: • Remove and dispose of existing programmable thermostat. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostat. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN). Addition of new Wi-Fi wireless networks. Renewables Install a solar thermal water heating system for the outdoor swimming pool. The system will be an active direct drain -back type with unglazed solar collectors located on the rooftop of the building. Current natural gas heating system will remain unchanged to provide backup pool heating. Scope of work includes: • Installation of solar collectors and interconnecting piping. • Start-up/testing of the new system. • Support to the City to maintain roof warranty (if any) but can't guarantee the manufacturer's acquiescence. Scope of work excludes: • Repair of undisclosed structural deficiencies and associated upgrades/modifications to existing roof. Old Orchard Park Mechanical Replace one (1) split system condenser and evaporative coil with new high efficiency system of similar size and capacity. Please refer to the HVAC Replacement Inventory in Attachment C for equipment size and location. The Scope of work includes: • Removal and proper disposal of existing condenser and evaporator. • Proper disposal or containment of refrigerant per EPA guidelines. • Installation of one (1) new condensing unit and evaporator unit. • Necessary duct modifications. • Disconnection/reconnection of the existing electrical lines. • Installation of new refrigerant lines. • Disconnection/reconnection of existing condensate drain lines. • Connection to 1 VAC controls. • Start-up/testing of the new units. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 37 of 42 The Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical or structural deficiencies up to current code. Controls Replace the existing programmable thermostat with a Wi-Fi based HVAC controller on one (1) HVAC unit. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN) Addition of new Wi-Fi wireless networks. Santa Clarita Park Sports Field Lighting Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the sports field Lighting supporting documentation in Attachment `B" Scope of work includes: • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. • Manufacturer provided 10 year warranty. Scope excludes: • New electrical service or improvements to existing electrical infrastructure. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 38 of 42 • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. Controls Replace the existing programmable thermostats with Wi-Fi based 1 VAC controls on two (2) HVAC units. Scope of work includes. • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN) Addition of new Wi-Fi wireless networks. Medium Voltage Transformer Replacements Replace one (1) existing medium voltage transformer with new like for like nominal WA capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Yalencia Heritage Park Sports Field Lighting Retrofit the existing pole mounted HID sports field lighting systems with high efficiency LED lighting systems. Please see the sports field Lighting supporting documentation in Attachment `B" Scope of work includes. • Remove and dispose of existing HID sports field lighting fixtures. • Installation of the new LED sports field lighting fixtures with dimming capability onto existing poles. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 39 of 42 • Proper directional control to prevent excessive bleed over. • New web -based lighting control system. • Disconnect / Reconnect existing wiring and conduit to connect lighting and controls. • Assumption that existing sports field lighting support poles have been approved by City Engineering for the use of supporting the existing sports field lighting systems. • Reuse of the existing sports field lighting support poles to affix the new lighting system. • Verification that existing sports field lighting poles will structurally support the new lighting system. • Manufacturer provided training to staff. • Manufacturer provided 10 year warranty. Scope excludes: • New electrical service or improvements to existing electrical infrastructure. • New sports field lighting fixture support poles. • Retroactive City Engineering approval/certification of existing sports field lighting poles. Medium Voltage Transformer Replacements ' Replace one (1) existing medium voltage transformer with new like for like nominal WA capacity high efficiency transformer. The new transformer will be of the same electrical configuration (i.e.: 3-phase, delta-wye) and be placed in the same location and fit within existing constraints as the existing transformer. Scope of work includes: • Remove and dispose of existing transformer. • Installation of new dry type, low loss, high efficiency transformer. • Disconnect/reconnect primary and secondary feeders. • Proper grounding connections. • Installation per manufactures guidelines. • Compliance with all state, local electric codes. Scope of work excludes: Upgrades, repairs, or additional work required to bring undisclosed or hidden electrical deficiencies up to current code. Valencia Meadows Park Controls Replace the existing programmable thermostats with Wi-Fi based 1 VAC controls on two (2) HVAC units. Scope of work includes: • Remove and dispose of existing programmable thermostats. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostats to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostats. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 40 of 42 Scope of work excludes: • Installation of new thermostat wire. • Any improvements/modifications or new infrastructure of Local Area Network (LAN) • Addition of new Wi-Fi wireless networks. Renewables Install a solar thermal water heating system for the outdoor swimming pool. The system will be an active direct drain -back type with unglazed solar collectors located on the rooftop of the building. Current natural gas heating system will remain unchanged to provide backup pool heating. Scope of work includes: • Installation of solar collectors and interconnecting piping. • Start-up/testing of the new system. • Support to the City to maintain roof warranty (if any) but can't guarantee the manufacturer's acquiescence. Scope of work excludes: • Repair of undisclosed structural deficiencies and associated upgrades/modifications to existing roof. Valencia Glen Park Controls Replace the existing programmable thermostat with a Wi-Fi based HVAC controller on one (1) HVAC unit. Scope of work includes: • Remove and dispose of existing programmable thermostat. • Installation of new Wi-Fi Smart Stats with digital display, temperature adjustment capability, and integrated CO2 monitoring sensor. • Installation of new gateway, repeater and all other required hardware for proper operation/communication of new Wi-Fi Smart Stat Building Automation System (BAS). New thermostats will utilize City's existing Wi-Fi network. • Integrate occupancy sensors into the Wi-Fi thermostat to allow temperature setback during unoccupied periods, where applicable. • Programming of the new thermostat. Scope of work excludes: Installation of new thermostat wire. Any improvements/modifications or new infrastructure of Local Area Network (LAN) Addition of new Wi-Fi wireless networks. Renewables Install a solar thermal water heating system for the outdoor swimming pool. The system will be an active direct drain -back type with unglazed solar collectors located on the rooftop of the building. Current natural gas heating system will remain unchanged to provide backup pool heating. Scope of work includes: • Installation of solar collectors and interconnecting piping. • Start-up/testing of the new system. • Support to the City to maintain roof warranty (if any) but can't guarantee the manufacturer's acquiescence. Scope of work excludes: City of Santa Clarita *CLIMATEC Installation Agreement — Att A Page 41 of 42 • Repair of undisclosed structural deficiencies and associated upgrades/modifications to existing roof. Y ancia Library Lighting ` Retrofit identified interior T8 and CFL lighting systems with new high efficiency LED lighting systems. Please see the Lighting Summary in Attachment `B" for exact information on lighting scope, quantities, and locations. Occupancy sensors and/or dimming control, if provided, will be identified within the Lighting Summary. Project Wide Notes: All existing HVAC units being replaced in this scope that are currently equipped with UV lamps will have their UV lamps reinstalled into the replacement HVAC units. All work in the scope of this project will be performed in compliance with California's Title 24 Building and Energy codes. City of Santa Clarita *CLIMATEC Installation Agreement —Aft Page 42 of 42 Attachment "B" Lighting Summary Citv of Santa Clarita *CLIMATEC Installation Agreement — Att B City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Almendra Park - 25546 VIA HERALDO 112 PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) City Building/Area: Main 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, 12 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 12 Mount Induction generator 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-2 Rm - All other DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 areas Qty for Almendra Park : 12 12 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Almendra Park Lighting Page 1 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: 25 Meter Pool 1st Floor Rf#-73 Rm - Ext - In Pool Inc. 1L under water (pool light), Inc. 500w 18 RL055/pool - (1) White LED pool light 18 (25 Meter Pool) QH, n/a Rf#-93 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 3 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 3 Mnt 25 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 1 light levels Rf#-94 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt 25 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 2 light levels Rf#-95 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 3 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 3 Mnt 25 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 3 light levels Building/Area: 300 Concession 1st Floor Rf#-60 Rm - 301B 1x4x 2L sm wp, F32T8 32w, electronic 8 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 ballast rated life, remove existing ballast from service Rf#-61 Rm - Room 302 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-62 Rm - WRR CF 2L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 L70 rated life (1) 8" trim kit Rf#-63 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-64 Rm - MRR CF 2L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 L70 rated life (1) 8" trim kit Rf#-65 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-66 Rm - 306 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-67 Rm - Storage 2x2x 2L rec trf, F1331T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-68 Rm - Ext - Eve MH 1L wm sconce down, MH 70W, HID 12 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 12 Mount ballast Hr L70 rated life, 26w (Syl) Rf#-69 Rm - Ext - Wall CF 1L sconce down V, CFP-26w, CFL NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 5 Mount ballast [5- Hr L70 rated life, 26w (Syl) Building/Area: 50 Meter Pool 1st Floor Rf#-74 Rm - Ext - In Pool Inc. 1L under water (pool light), Inc. 500w 34 RL055/pool - (1) White LED pool light 34 (50 Meter Pool) QH, n/a Rf#-96 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt 50 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 1 light levels Rf#-97 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt 50 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 2 light levels W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 2 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-98 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt 50 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 3 light levels Rf#-99 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt 50 Meter Pool - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> 4 light levels Building/Area: Activity Pool 10 Floor Rf#-70 Rm - Ext-Ground HPS 1L grnd mnt bollard, HPS 70W, HID 4 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 4 Mount ballast 50,000-Hr rated life, 5000K, medium base Rf#-71 Rm - Ext - In Pool Inc. 1L under water (pool light), Inc. 500w 2 RL055/pool - (1) White LED pool light 2 QH, n/a Rf#-72 Rm - Ext - MH 11-sm canopy, MH 70W, HID ballast 5 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 5 Shelter Ceiling (Max) Building/Area: Aquatic All 10 Floor Rf#-75 Rm - Ext - Pole LED 1L pm deco ("bellish" look), LED ?w DND - DND: (do not do, fixtures left as is) 0 Mount CC, LED Driver sc Building/Area: Center Point Pkwy 1st Floor Rf#-87 Rm - Ext - Pole HPS 1L pm deco ("bellish" look), HPS 5 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 5 Mount 150W, HID ballast rated life, 50w (Xtr) Rf#-88 Rm - Ext - Pole LED 1L pm deco ("bellish" look), LED ?w DND - DND: (do not do, fixtures left as is) 0 Mount CC, LED Driver sc Building/Area: Dog Park 1st Floor Rf#-85 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 250W, HID ballast 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mount 70w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Multi Purpose Field 1st Floor Rf#-83 Rm - Ext - Pole HPS 1L pm deco ("bellish" look), HPS 9 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 9 Mount 150W, HID ballast rated life, 50w (Xtr) Rf#-84 Rm - Ext - Pole LED 1L pm deco ("bellish" look), LED ?w DND - DND: (do not do, fixtures left as is) 0 Mount CC, LED Driver sc Rf#-104 Rm - Ext-Pole MH 1Lflood, sports, MH 1500w, HID 7 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt MP Field - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-105 Rm - Ext-Pole MH 1Lflood, sports, MH 1500w, HID 7 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt MP Field - Pole S2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-106 Rm - Ext-Pole MH 11-flood, sports, MH 1500w, HID 7 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt MP Field - Pole S3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-107 Rm - Ext-Pole MH 11-flood, sports, MH 1500w, HID 7 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt MP Field - Pole S4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Parking W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 3 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty 1st Floor Rf#-89 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 8 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 8 Mount (Parking North) 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-90 Rm - Ext - Pole HPS 1L pm deco ("bellish" look), HPS 2 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 2 Mount (Parking North) 150W, HID ballast rated life, 50w (Xtr) Rf#-91 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 7 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 7 Mount (Parking Lower NE 70w, onboard bilevel dimming sensor (Vly) oemB Lot) Rf#-92 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 10 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 10 Mount (Drive & Parking L� 70w, onboard bilevel dimming sensor (Vly) oemB West) I Building/Area: Pool Main 1st Floor Rf#-1 Rm - Lobby CF 2L rec can 8", CFP-26w, CFL ballast 10 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 10 L70 rated life (1) 8" trim kit Rf#-2 Rm - Lobby CF 2L rec can 9" & lens 4p-HZ, CFP-26w, 11 RL017/ckit/8t10 - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 50,000-Hr 11 CFL ballast L70 rated life (1) 10" trim kit Rf#-3 Rm - Lobby 1x4x 2L rec trf, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-4 Rm - MRR CF 2L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 L70 rated life (1) 8" trim kit Rf#-5 Rm - MRR 2x2x 2L rec trf, F1331T8 32w U6, 9 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 9 electronic ballast life, remove existing electronic ballast Rf#-6 Rm - WRR CF 2L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 L70 rated life (1) 8" trim kit Rf#-7 Rm - WRR 1x4x 2L rec trf, F32T8 32w, electronic 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 ballast rated life, remove existing ballast from service Rf#-8 Rm - Room 103 2x2x 2L rec trf, F1331T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-9 Rm - Hall CF 2L rec can 8", CFP-26w, CFL ballast 5 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 5 L70 rated life (1) 8" trim kit Rf#-10 Rm - Hall 1x4x 2L pm fxt, F32T8 32w, electronic 17 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 17 ballast rated life, remove existing ballast from service Rf#-11 Rm - Hall 1x4x 1L sm strip (cove), F32T8 32w, 26 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 26 electronic ballast rated life, remove existing ballast from service Rf#-12 Rm - Room 124 CF 2L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-13 Rm - Hall 1x4x 2L pm fxt, F32T8 32w, electronic 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 ballast rated life, remove existing ballast from service Rf#-14 Rm - Hall 1x4x 1L sm strip (cove), F32T8 32w, 12 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 electronic ballast rated life, remove existing ballast from service Rf#-15 Rm - MRR CF 2L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 4 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-16 Rm - MRR 1x4x 2L pm fxt, F32T8 32w, electronic 11 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 11 ballast rated life, remove existing ballast from service Rf#-17 Rm - WRR CF 2L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-18 Rm - WRR 1x4x 2L pm fxt, F32T8 32w, electronic 11 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 11 ballast rated life, remove existing ballast from service Rf#-19 Rm - Room 123 CF 2L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-20 Rm - Room 123 2x2x 2L rec trf, FB31T8 32w U6, 16 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 16 electronic ballast life, remove existing electronic ballast Rf#-21 Rm - Room 116 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-22 Rm - Room 115 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-23 Rm - Room 114 2x2x 2L rec trf, FB31T8 32w U6, 3 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 3 electronic ballast life, remove existing electronic ballast Rf#-27 Rm - Room 113 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-28 Rm - Room 112 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-29 Rm - Room 117 2x2x 2L rec trf, FB31T8 32w U6, 11 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 11 electronic ballast life, remove existing electronic ballast Rf#-30 Rm - Room 111 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-31 Rm - 118A 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-32 Rm - 119A CF 2L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-33 Rm - 119A 1x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-34 Rm - 120A CF 2L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-35 Rm - 120A 1x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-36 Rm - 118B 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-37 Rm - Ext - Fire 1x4x 2L rec trf, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 Riser ballast rated life, remove existing ballast from service Rf#-38 Rm - Ext - RR 109 1x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 5 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) City Rf#-39 Rm - Ext - 108 1x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-40 Rm - Ext-Bldg MH 1L wm sconce down, MH 70W, HID 20 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 20 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-41 Rm - Ext - Wall CF 1L sconce down V, CFP-26w, CFL 7 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 7 Mount ballast Hr L70 rated life, 26w (Syl) Rf#-42 Rm - Ext-Bldg MH 1L wm up/down, MH 70W, HID 13 NL026/scn/updn - New LED wall mounted sconce up/down light, 50,000- 13 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-43 Rm - Ext - Eve CF 2L rec can 8", CFP-26w, CFL ballast 11 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 11 Mount L70 rated life (1) 8" trim kit Rf#-44 Rm - Ext-Bldg MH 1L wm wall pack FC, MH 150W, HID 2 NL030/wp/fc - New LED wall pack (FC), 50,000-Hr L70 rated life, 30w 2 Mnt (walls) ballast (SYL) Rf#-45 Rm - Ext - Roof MH 1L flood, yoke, flag, MH 250W, HID 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mount ballast 70w, onboard bilevel dimming sensor (Vly) oemB 2nd Floor Rf#-24 Rm - 130 / 151 CF 2L rec can 8", CFP-26w, CFL ballast 4 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 4 L70 rated life (1) 8" trim kit Rf#-25 Rm - 130 / 151 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-26 Rm - 130 / 151 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast Frated life, remove existing ballast from service Building/Area: Pool Maintenance 1st Floor Rf#-49 Rm - Interior 2x2x 2L rec trf, FB31T8 32w U6, 3 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 3 electronic ballast life, remove existing electronic ballast Rf#-50 Rm - Interior 1x4x 2L rec trf, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-51 Rm - RR 1x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-52 Rm - Office 2x2x 2L rec trf, FB31T8 32w U6, 3 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 3 electronic ballast life, remove existing electronic ballast Rf#-53 Rm - Riser 2x4x 3L sm hood, F32T8 32w, electronic 2 RLT843dw - (3) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-54 Rm - Ext-Bldg MH 1L wm sconce down, MH 70W, HID 4 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 4 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-55 Rm - Ext-Bldg MH 1L wm up/down, MH 70W, HID 2 NL026/scn/updn - New LED wall mounted sconce up/down light, 50,000- 2 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-56 Rm - Ext-Bldg MH 1L wm wall pack, MH 150W, HID 3 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 3 Mnt (walls) ballast (MAX) Building/Area: Pool Parking 1st Floor W * = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 6 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-46 Rm - Ext-Ground MH 11-flood, knuckle, MH 150W, HID 2 NL035/fld - New LED flood light, 30w, knuckle mount 5,000K (SYL) 2 Mount (Pool Parking ballast Front) Rf#-47 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 250W, HID ballast 21 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 21 Mount (Pool Parking 70w, onboard bilevel dimming sensor (Vly) oemB Front) Rf#-48 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 250W, HID ballast 14 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 14 Mount (Pool Parking Side) 70w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pump Builing 1st Floor Rf#-57 Rm - Interior All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-58 Rm - Ext-Bldg MH 1L wm sconce down, MH 70W, HID 4 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 4 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-59 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 3 DND - DND: (do not do, fixtures left as is) 3 Mount Driver Building/Area: Ruether Ave 1st Floor Rf#-86 Rm - Ext - Pole HPS 1L pm deco ("bellish" look), HPS F5 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 T-5 Mount 150W, HID ballast rated life, 50w (Xtr) Building/Area: Skate Park 1st Floor Rf#-76 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-77 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-78 Rm - Office 1x4x 2L sm wp, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-79 Rm - Ext - Eve CF 1L sm sgaure, CFP-32w, CFL ballast 18 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 18 Mount (Max) Rf#-80 Rm - Ext - 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Electrical ballast rated life, remove existing ballast from service Rf#-81 Rm - Ext - Pole MH 1L flood, tenon 2-3/8, MH 400W, 4 NL150/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount HID ballast 150w, onboard bilevel dimming sensor (Vly) oemB Rf#-82 Rm - Ext - Bridge 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 Mount ballast rated life, remove existing ballast from service Rf#-100 Rm - Ext-Pole MH 11-flood, sports, MH 1500w, HID 3 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 3 Mnt Skate Park - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-101 Rm - Ext-Pole MH 11-flood, sports, MH 1500w, HID 3 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 3 Mnt Skate Park - Pole S2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-102 Rm - Ext-Pole MH 1Lflood, sports, MH 1500w, HID 3 NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are 3 Mnt Skate Park - Pole S3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels W * = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 7 City of Santa Clarita - Lighting Detail Report *CLIMATEC (sorted by building, floor, area) _ Aquatic Center & Skate Park - 20850 CENTRE POINTE PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-103 Rm - Ext-Pole MH 11-flood, sports, MH 1500w, HID 3 �NL640/p/sport - LED Sports Fld 350w-550w, when photometrics are r Mnt Skate Park - Pole S4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Qty for Aquatic Center & Skate Park : 627 627 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Aquatic Center & Skate Park Lighting Page 8 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Arboleda Trailhead Park - 25200 VIA PRINCESSA PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - RR All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-2 Rm - All other areas DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 Qty for Arboleda Trailhead Park : W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Arboleda Trailhead Pork Lighting Page 9 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Begonias Lane Park - 14911 BEGONIAS LN PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Basketball 1st Floor Rf#-8 Rm - Ext - Pole MH 1L SB SqP DB, MH 1000W, HID 4 NL300/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount ballast 300w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Gazebo 1st Floor Rf#-5 Rm - Ext - Eve Ind. 1L rec square, Ind 70W, Induction 3 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 3 Mount generator (Max) Building/Area: Pathway 1st Floor Rf#-6 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 70W, 9 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 9 Mount Induction generator 50w, onboard bilevel dimming sensor (Vly) oemB Rf#-7 Rm - Ext - Pole Ind. 1L SB, tenon 2-3/8, Ind 70W, 3 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 Mount Induction generator 50w, onboard bilevel dimming sensor (Vly) oemB Building/Area: RR 1st Floor Rf#-1 Rm - MRR Ind. 1L rec square, Ind 40W, Induction 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 generator Rf#-2 Rm - WRR Ind. 1L rec square, Ind 40W, Induction 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 generator Rf#-3 Rm - Storage Ind. 1L rec square, Ind 40W, Induction 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 generator Rf#-4 Rm - Ext - Eve Ind. 1L rec square, Ind 200W, Induction 4 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 4 Mount generator Qty for Begonias Lane Park : 29 29 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Begonias Lone Park Lighting Page 10 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Bouquet Cyn Park - 28127 WELLSTON DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Baseball Fields 1st Floor Rf#-12 Rm - Ext-Pole MH 1L flood, yoke, security, MH 250W, 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mnt Baseball - Pole Al HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-13 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole Al ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-14 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole A2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-15 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole 131 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-16 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Baseball - Pole B2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-17 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole C1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-18 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole C2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-19 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole D1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-20 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole D2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Basketball 1st Floor Rf#-11 Rm - Ext - Pole LED 1L shoe box (City), LED ?w CC, LED 4 DND - DND: (do not do, fixtures left as is) 4 Mount Driver Building/Area: Parking 10 Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 250W, NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount Induction generator [:4 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Ind. 1L area light DB, RdP, Ind 70W, 9 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 9 Mount Induction generator 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-3 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 80W, 11 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 11 Mount Induction generator 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-4 Rm - Ext - Pole LED 1L shoe box SqP DB (City), LED ?w, 1 DND - DND: (do not do, fixtures left as is) 1 Mount LED Driver Building/Area: RR 1st Floor Rf#-5 Rm - MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 3 DND - DND: (do not do, fixtures left as is) 3 LED driver W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Bouquet Cyn Pork Lighting Page 11 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Bouquet Cyn Park - 28127 WELLSTON DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-6 Rm - WRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, LED driver 3 DND - DND: (do not do, fixtures left as is) 3 Rf#-7 Rm - Storage 1x4x 2L sm vapor tight (City), TLED 4' ?w, LED driver 3 DND - DND: (do not do, fixtures left as is) 3 Rf#-8 Rm - Ext - Wall Mount Ind. 1L wm wall pack, Ind 40W, Induction generator 1 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w (MAX) 1 Building/Area: Shed 1st Floor Rf#-9 Rm -Shed 1x4x 2L sm vapor tight (City), TLED 4' ?w, LED driver Building/Area: Tennis 1st Floor 2 IDND - DND: (do not do, fixtures left as is) 2 Rf#-10 Rm - Ext - Pole LED 1L shoe box (City), LED ?w, LED 12 DND - DND: (do not do, fixtures left as is) 12 Mount Driver Qty for Bouquet Cyn Park : 105 105 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Bouquet Cyn Pork Lighting Page 12 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Bridgeport Park - 23521 BRIDGEPORT PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Baseball Fields 1st Floor Rf#-7 Rm - Ext-Pole Mnt MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Baseball - Pole Al ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-8 Rm - Ext-Pole Mnt MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Baseball - Pole A2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-9 Rm - Ext-Pole Mnt MH 1Lflood, sports, MH 1000W, HID 11 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 11 Baseball - Pole 131 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-10 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 11 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 11 Mnt Baseball - Pole B2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-11 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole C1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-12 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole C2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 250W, Mount Induction generator Building/Area: Pathway 1st Floor 3 NL150/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 150w, onboard bilevel dimming sensor (Vly) oemB Rf#-6 Rm - Ext - Pole Inc. 1L post top Acorn, Ind 85W, NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 20 Mount Induction generator n 50w, onboard bilevel dimming sensor (Vly) oemB Building/Area: RR 1st Floor Rf#-2 Rm - MRR 1x4x 1L fxt (City), LED ?w, LED driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-3 Rm - WRR 1x4x 1L fxt (City), LED ?w, LED driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-4 Rm - Storage 1x4x 1L fxt (City), LED ?w, LED driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-5 (walls) Rm - Ext-Bldg Mnt HPS 1L wm wall pack, HPS 35w, HID ballast 3 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w (MAX) 3 Qty for Bridgeport Park : 84 84 W * = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Bridgeport Park Lighting Page 13 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Business Incubator - 22704 9TH STREET PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - Lobby Inc. 1L pm globe, Inc. 100w A21, n/a 3 RL0121/s - (1) LED 12w A19 screw in lamp, 4000K 3 Rf#-2 Rm - Open Office 1x4x 2L pm di/di, F32T8 32w, electronic 15 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 15 ballast rated life, remove existing ballast from service Rf#-3 Rm - Kitchen 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-4 Rm - RR Lobby CF 1L rec can 6", CFP-28w, CFL ballast 2 RL012/ckit/6 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr L70 2 rated life Rf#-5 Rm - MRR CF 1L rec can 6", CFP-28w, CFL ballast 2 RL012/ckit/6 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr L70 2 rated life Rf#-6 Rm - WRR CF 1L rec can 6", CFP-28w, CFL ballast 2 RL012/ckit/6 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr L70 2 rated life Rf#-7 Rm - Back Hall CF 1L rec can 6", CFP-28w, CFL ballast 1 RL012/ckit/6 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr L70 1 rated life Rf#-8 Rm - Back Hall CF 1L bare bulb, CFS-23w, CFL ballast 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 Rf#-9 Rm -Server CF 1L rec can 6", CFP-28w, CFL ballast 1 RL012/ckit/6 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr L70 1 rated life Rf#-10 Rm -Garage 1x4x 2L sm wp, F32T8 32w, electronic 5 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 ballast rated life, remove existing ballast from service Rf#-11 Rm - Conference 1x4x 2L pm di/di, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-12 Rm - Special Dist 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-13 Rm - Mechanical 1x4x 2L pm di/di, F32T8 32w, electronic 15 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 15 ballast rated life, remove existing ballast from service Rf#-14 Rm - Ext - Eve CF 1L rec square, CFS-14w, CFL ballast 27 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 27 Mount Rf#-15 Rm - Ext-Bldg MH 1L wm wall pack FC, MH 100W, HID 2 NL030/wp/fc - New LED wall pack (FC), 50,000-Hr L70 rated life, 30w 2 Mnt (walls) ballast (SYL) Rf#-16 Rm - Ext - Wall LED 1L wm jelly jar (city), LED 8w? A19, 1 NL015/wp - New LED wall pack full, 50,000-Hr L70 rated life, 15w, built 1 Mount LED driver sc in 120/277v photo cell (SYL) Qty for Business Incubator : 90 90 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Business Incubator Lighting Page 14 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Canyon Country Community Center - 18410 SIERRA HWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - All Interior DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 Space Rf#-2 Rm - All Exterior DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 Space Qty for Canyon Country Community Center : W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control n Country Community Center Lighting Page 15 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Canyon Country Library - 18601 SOLEDAD CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - Lobby CF 2L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 6 Hr L70 rated life (1) 8" trim kit Rf#-2 Rm -Skylight LED 2L wm sconce id/di (City), LED ?w, 8 DND - DND: (do not do, fixtures left as is) 8 LED Driver Rf#-3 Rm - Desk 2x2x 2L rec trf, Biax 40W, CFL ballast 5 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 5 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-4 Rm - Display Inc. 1L spot, Inc. 50w MR16, n/a 6 RL091/s/mr16 - (1) LED 7.5w MR16lamp, 4000K 6 Rf#-5 Rm - Main Floor 1x4x 2L pm fxt, F32T8 32w, electronic 230 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 230 ballast driver 0-10v capable Rf#-6 Rm - RR Hall 2x2x 2L rec trf, Biax 40W, CFL ballast 3 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 3 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-7 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 3 ballast driver 0-10v capable Rf#-8 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 3 ballast driver 0-10v capable Rf#-9 Rm - Meeting 2x2x 2L rec trf, Biax 40W, CFL ballast 20 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 20 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-10 Rm - Kitchen 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-11 Rm - Inspector 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 3 ballast driver 0-10v capable Rf#-12 Rm - Hall Closet 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-13 Rm - Manager 2x2x 2L rec trf, Biax 40W, CFL ballast 2 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 2 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-14 Rm - Book Store 2x2x 2L rec trf, Biax 40W, CFL ballast 3 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 3 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-15 Rm - Work Room 2x2x 2L rec trf, Biax 40W, CFL ballast 37 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 37 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-16 Rm - Work Room 1x4x 2L pm fxt, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-17 Rm - Work Room 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-18 Rm - RR1 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-19 Rm - RR2 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Canyon Country Library Lighting Page 16 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Canyon Country Library - 18601 SOLEDAD CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-20 Rm - Closet 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-21 Rm - Lounge 2x2x 2L rec trf, Biax 40W, CFL ballast 6 RL0172/bx/dal - (2) LED BIAX PL-L lamp, direct wire (remove old ballast), 6 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-22 Rm - 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 Communications ballast driver 0-10v capable Rf#-23 Rm - Custodian 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-24 Rm - Sprinkler 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-25 Rm - Office A 1x4x 2L pm fxt, F32T8 32w, electronic 2 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-26 Rm - Office B 1x4x 2L pm fxt, F32T8 32w, electronic 4 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 4 ballast driver 0-10v capable Rf#-27 Rm - Teen Area 1x4x 2L pm fxt, F32T8 32w, electronic 10 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 10 ballast driver 0-10v capable Rf#-28 Rm - Ext - Ceiling MH 1L pm fxt, MH 150W, HID ballast 6 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 6 Mount life, 5000K, medium base Rf#-29 Rm - Ext - Ceiling LED 1L sm can (City), LED ?w, LED Driver 18 DND - DND: (do not do, fixtures left as is) 18 Mount Rf#-30 Rm - Ext - Pole LED 1L shoe box (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Mount Driver Qty for Canyon Country Library : 386 386 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Canyon Country Library Lighting Page 17 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Canyon Country Park - 17615 SOLEDAD CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Gazebo 1st Floor Rf#-3 Rm - Ext - Ceiling Ind. 1L sm square, Ind 40W, Induction 2 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 2 Mount generator (Max) Building/Area: Main Buidling 1st Floor Rf#-9 Rm - Interior & All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Exterior Ll Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L SB, tenon 2-3/8, Ind 200W, 12 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 12 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Ind. 1L SB, tenon 2-3/8, Ind 70W,_]F 44 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 44 Mount Induction generator 50w, onboard bilevel dimming sensor (Vly) oemB Building/Area: RR 1st Floor Rf#-4 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-5 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-6 Rm - Chase 1x4x 2L vapor tight, F32T8 32w, 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 electronic ballast rated life, remove existing ballast from service Rf#-7 Rm - Ext - Ceiling CF 1L rec square, CFP-26w, CFL ballast 2 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 2 Mount (Max) Rf#-8 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 1 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 1 Mount Induction generator (MAX) Qty for Canyon Country Park : 66 66 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Canyon Country Park Lighting Page 18 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Central Park - 27150 BOUQUET CANYON RD - B PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Baseball Fields 1st Floor Rf#-49 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt Ballfield #1 - Pole Al ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-50 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt Ballfield #1 - Pole A2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-51 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt Ballfield #1 - Pole 131 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-52 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 13 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 13 Mnt Ballfield #1 - Pole 132 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-53 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Ballfield #1 - Pole C1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-54 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Ballfield #1 - Pole C2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-55 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt Ballfield #2 - Pole A2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-56 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 3 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 3 Mnt Ballfield #2 - Pole A3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-57 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 13 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 13 Mnt Ballfield #2 - Pole 132 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-58 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt Ballfield #2 - Pole 133 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-59 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt Ballfield #2 - Pole C3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-60 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt Ballfield #2 - Pole C4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-61 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt Ballfield #3 - Pole AS ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-62 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt Ballfield #3 - Pole A6 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-63 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 12 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 12 Mnt Ballfield #3 - Pole 135 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-64 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 12 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 12 Mnt Ballfield #3 - Pole 136 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-65 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Ballfield #3 - Pole C7 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-66 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Ballfield #3 - Pole C8 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-67 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt Ballfield #4 - Pole A4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Central Park Lighting Page 19 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Central Park - 27150 BOUQUET CANYON RD - B PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-68 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt Ballfield #4 - Pole AS ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-69 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 12 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 12 Mnt Ballfield #4 - Pole 134 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-70 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 12 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 12 Mnt Ballfield #4 - Pole 135 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-71 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Ballfield #4 - Pole C5 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-72 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt Ballfield #4 - Pole C6 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Basketball 1st Floor Rf#-37 Rm - Ext - Pole MH 1Lflood, sports, MH 1000W, HID 5 NL300/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 5 Mount ballast 300w, onboard bilevel dimming sensor (Vly) oemB Rf#-38 Rm - Ext - Pole HPS 1L down light (security), HPS 250W, 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mount HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Concession Bldg 1st Floor Rf#-11 Rm - Main 1x4x 2L vapor tight, F32T8 32w, 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 electronic ballast rated life, remove existing ballast from service Rf#-12 Rm - RR's All LED (City), LED ?w, LED Driver 6 DND - DND: (do not do, fixtures left as is) 6 Rf#-13 Rm - Storage 1x4x 2L vapor tight, F32T8 32w, 21 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 21 electronic ballast rated life, remove existing ballast from service Rf#-14 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 6 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 6 Mount Induction generator (MAX) Building/Area: Fuel Pumps 1st Floor Rf#-36 Rm - Ext - Pole MH 1L flood, tenon 2-3/8, MH 250W, Mount HID ballast Building/Area: Maint Area 1st Floor 2 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 2 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-27 Rm - Open Office All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-28 Rm - Office All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-29 Rm - MRR 2x2x 3L rec trf, F17T8 17w, electronic ballast 1 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, remove existing electronic ballast from service 1 Rf#-30 Rm - MRR 2x2x 3L rec trf, F17T8 17w, electronic ballast 1 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, remove existing electronic ballast from service 1 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Central Park Lighting Page 20 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Central Park - 27150 BOUQUET CANYON RD - B PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-31 Rm - Custodian 2x2x 3L rec trf, F17T8 17w, electronic 1 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-32 Rm - Custodian CF 2L rec can 8", CFP-18w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-33 Rm - Balance of All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Interior Rf#-34 Rm - Ext-Bldg HPS 1L wm wall pack, HPS 150W, HID 5 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 5 Mnt (walls) ballast (MAX) Building/Area: Multi -Purpose Fields 1st Floor Rf#-39 Rm - MP Field HPS 1L down light (security), HPS 250W, 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 #1 - 4 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-40 Rm - MP Field HPS 1L down light (security), HPS 250W, 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 #2 - 4 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-41 Rm - MP Field HPS 1L down light (security), HPS 250W, 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 #3 - 4 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-42 Rm - MP Field HPS 1L down light (security), HPS 250W, 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 #4 - 4 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-43 Rm - MP Field HPS 1L down light (security), HPS 250W, 3 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 #5 - 3 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-44 Rm - MP Field HPS 1L down light (security), HPS 250W, 3 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 #6 - 3 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-45 Rm - MP Field HPS 1L down light (security), HPS 250W, 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 #7 - 4 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-46 Rm - MP Field HPS 1L down light (security), HPS 250W, 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 #8 - 4 Poles HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-47 Rm - MP Field LED 1L down light (security) (City), LED 2 DND - DND: (do not do, fixtures left as is) 2 #9 - 2 Poles 80w?, HID ballast Rf#-48 Rm - MP Field LED 1L down light (security) (City), LED 2 DND - DND: (do not do, fixtures left as is) 2 #10 - 2 Poles 80w?, HID ballast Rf#-73 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #1 - Pole D1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-74 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #1 - Pole D2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-75 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #1 - Pole D3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-76 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #1 - Pole D4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-77 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #2 - Pole IDS ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Central Park Lighting Page 21 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Central Park - 27150 BOUQUET CANYON RD - B PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-78 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #2 - Pole D6 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-79 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #2 - Pole D7 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-80 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #2 - Pole D8 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-81 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #3 - Pole D7 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-82 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #3 - Pole D8 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-83 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #3 - Pole D9 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-84 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #3 - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> D10 light levels Rf#-85 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #4 - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> D11 light levels Rf#-86 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #4 - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> D12 light levels Rf#-87 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #4 - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> D13 light levels Rf#-88 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt MP Field #4 - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> D14 light levels Rf#-89 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #5 - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-90 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #5 - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-91 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #5 - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-92 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #5 - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-93 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #6 - Pole S3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-94 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #6 - Pole S4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-95 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #6 - Pole S5 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-96 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #6 - Pole S6 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-97 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #7 - Pole P7 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Central Park Lighting Page 22 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Central Park - 27150 BOUQUET CANYON RD - B PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-98 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #7 - Pole P8 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-99 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #7 - Pole P1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-100 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #7 - Pole P2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-101 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #8 - Pole 6 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-102 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #8 - Pole 5 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-103 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #8 - Pole 4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-104 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt MP Field #8 - Pole 3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-105 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #9 - Pole S1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-106 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #9 - Pole S2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-107 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #10 - Pole ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> S3 light levels Rf#-108 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt MP Field #10 - Pole ballast L� completed it may show to use 1200w+ w/fewer heads for > savings w/=> S4 light levels Building/Area: Parking Areas 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L SB, wht, RdP, Ind 80W, Induction 23 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 23 Mount (Parking W of generator 50w, onboard bilevel dimming sensor (Vly) oemB Field #1) Rf#-2 Rm - Ext - Pole Ind. 1L SB, wht, RdP, Ind 80W, Induction 17 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 17 Mount (Parking W of generator 50w, onboard bilevel dimming sensor (Vly) oemB Field #2) Rf#-5 Rm - Ext - Pole LED 1L dome light Wht RdP (City), LED 6 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 6 Mount (Parking W of 80w?, LED Driver 70w, onboard bilevel dimming sensor (Vly) oemB Field #5) Rf#-6 Rm - Ext - Pole Ind. 1L SB, wht, RdP, Ind 80W, Induction 15 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 15 Mount (Parking W of generator 50w, onboard bilevel dimming sensor (Vly) oemB Field #5) Rf#-7 Rm - Ext - Pole Ind. 1L SB, wht, RdP, Ind 80W, Induction 24 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 24 Mount (Parking W of generator 50w, onboard bilevel dimming sensor (Vly) oemB Field #7) Rf#-8 Rm - Ext - Pole LED 1L dome light Wht RdP (City), LED 9 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 9 Mount (Parking W of 80w?, LED Driver 70w, onboard bilevel dimming sensor (Vly) oemB Field #7) Rf#-9 Rm - Ext - Pole HPS 1L post top mushroom Wht RdP, HPS 3 NL052/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 3 Mount (Parking W of 150W, HID ballast life, 52w, onboard bilevel dimming sensor (VIS) oemB Field #7) Building/Area: Portable 1st Floor W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Central Park Lighting Page 23 City of Santa Clarita - Lighting Detail Report *CLIMATEC (sorted by building, floor, area) _ Central Park - 27150 BOUQUET CANYON RD - B PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-35 Rm- All LED All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Building/Area: RR Bldg 1st Floor Rf#-3 Rm- All LED All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Building/Area: Sport Office Bldg 1st Floor Rf#-16 Rm - Main 2x4x 2L rec trf, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-17 Rm - Main CF 1L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 L70 rated life (1) 8" trim kit Rf#-18 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-19 Rm - RR Inc. 2L sm dome, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-20 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-21 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-22 Rm - Ext - Ceiling CF 2L rec can 10", CFP-26w, CFL ballast 6 RL017/ckit/8t10 - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 50,000-Hr 6 Mount L70 rated life (1) 10" trim kit Rf#-23 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 6 DND - DND: (do not do, fixtures left as is) 6 Mount Driver Rf#-24 Rm - Ext - 1x4x 2L sm strip, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Electrical ballast rated life, remove existing ballast from service Rf#-25 Rm - Ext - Chase 1x4x 2L sm strip, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-26 Rm - RR's All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Building/Area: Walkways 1st Floor Rf#-4 Rm - Ext - Pole HPS 1L post top mushroom Wht RdP, HPS 10 NL052/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 10 Mount (RR Walkway @ 150W, HID ballast life, 52w, onboard bilevel dimming sensor (VIS) oemB 5&7)) Rf#-10 Rm - Ext - Pole HPS 1L post top mushroom Wht RdP, HPS 20 NL052/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 20 Mount (Concession 150W, HID ballast life, 52w, onboard bilevel dimming sensor (VIS) oemB Walkway) Rf#-15 Rm - Ext - Pole HPS 1L post top mushroom Wht RdP, HPS NL052/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 30 Mount (Sport Office 150W, HID ballast FM life, 52w, onboard bilevel dimming sensor (VIS) oemB Walkway) Qty for Central Park : 786 786 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Central Park Lighting Page 24 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Circle J. Ranch Park - 22651 VIA PRINCESSA COM PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 250W, 3 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, 15 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 15 Mount Induction generator 70w, onboard bilevel dimming sensor (Vly) oemB Building/Area: RR 1st Floor Rf#-3 Rm - MRR 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-4 Rm - WRR 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-5 Rm - Storage 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-6 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 240W, 5 NL050/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 50w 5 Mount Induction generator (MAX) Qty for Circle J. Ranch Park : 29 29 W * = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Circle J. Ranch Park Lighting Page 25 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - Lobby LED 1L rec can kit (City), LED ?w kit, LED 20 DND - DND: (do not do, fixtures left as is) 20 Driver Rf#-2 Rm - Lobby LED 1L spot (City), LED ?w Mr16, LED 2 DND - DND: (do not do, fixtures left as is) 2 driver sc Rf#-3 Rm - Lobby 1x4x 1L sm strip (cove), F32T8 32w, 18 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 18 electronic ballast rated life, remove existing ballast from service Rf#-4 Rm - Hall LED 1L rec can kit (City), LED ?w kit, LED 12 DND - DND: (do not do, fixtures left as is) 12 Driver Rf#-5 Rm - Hall 1x4x 1L sm strip (cove), F32T8 32w, 10 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 10 electronic ballast rated life, remove existing ballast from service Rf#-6 Rm - Hall 2x4x 1L rec trf (City), LED ?w, LED driver 11 DND - DND: (do not do, fixtures left as is) 11 Rf#-7 Rm - 110 HR 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Lobby ballast rated life (ALE) Rf#-8 Rm - HR Open 2x4x 2L rec trf, F32T8 32w, electronic 15 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 15 Office ballast rated life (ALE) L-D Rf#-9 Rm - Conference 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-10 Rm - Copy 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-11 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-12 Rm - Office 2 2x4x 3L rec trf, F32T8 32w, electronic 2 RL033/tkit - (1) LED 33w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-13 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-14 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-15 Rm - Office 4 2x4x 3L rec trf, F32T8 32w, electronic 1 RL033/tkit - (1) LED 33w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-16 Rm - Kitchen 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) Rf#-17 Rm -Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-18 Rm-Janitor 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-19 Rm - WRR 2x2x 2L rec trf, F17T8 17w, electronic 3 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 26 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-20 Rm - WRR 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-21 Rm - MRR 2x2x 2L rec trf, F17T8 17w, electronic 3 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) Rf#-22 Rm - MRR 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-23 Rm - Electrical 1x4x 2L sm strip, F40T12 34w, magnetic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-24 Rm - Hall 1x4x 1L sm strip (City), LED ?w, LED driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-25 Rm - Hall CF 1L rec can ?", CFP-26w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-26 Rm - West Stair 1x4x 1L sm strip (City), LED ?w, LED driver 5 DND - DND: (do not do, fixtures left as is) 5 Rf#-27 Rm - 100 Open 2x4x 2L rec trf, F32T8 32w, electronic 27 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 27 Office ballast rated life (ALE) L-D Rf#-28 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-29 Rm - Trauma 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-30 Rm - Vault 2x4x 3L rec trf, F40T12 34w, magnetic 3 RLT843dw - (3) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-31 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-32 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-33 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-34 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-35 Rm - Conference 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-36 Rm - Mural Room 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-37 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-38 Rm - 105 Council 2x4x 2L rec trf, F32T8 32w, electronic 15 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 15 Chamber ballast rated life (ALE) L-D Rf#-39 Rm -Room 150 2x4x 2L rec trf, F32T8 32w, electronic 16 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 16 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 27 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-40 Rm - Room 150 CF 1L rec can ?", CFP-26w, CFL ballast 17 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 17 L70 rated life (1) 8" trim kit L-D Rf#-41 Rm -Room 150 1x4x 1L sm strip (cove), F32T8 32w, 16 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 16 electronic ballast driver 0-10v capable L-D Rf#-42 Rm -Room 150 1x3x 1L sm strip (cove), F25T8 25w, 28 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 28 electronic ballast driver 0-10v capable L-D Rf#-43 Rm - EMR 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 Communication ballast rated life (ALE) a Rf#-44 Rm - 140 Open 2x4x 1L rec trf (City), LED ?w, LED driver 30 DND - DND: (do not do, fixtures left as is) 30 Office Rf#-45 Rm - Room 150 1x4x 1L sm strip (cove), F32T8 32w, 14 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 14 electronic ballast rated life, remove existing ballast from service Rf#-46 Rm - Plan 2x4x 2L rec trf, F32T8 32w, electronic 9 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 9 Storage ballast rated life (ALE) L-D Rf#-47 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-48 Rm - Open Office 2x4x 2L rec trf, F32T8 32w, electronic 12 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 12 ballast rated life (ALE) L-D Rf#-49 Rm - Corner 2x4x 3L rec trf, F32T8 32w, electronic 2 RL033/tkit - (1) LED 33w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Office ballast rated life (ALE) L-D Rf#-50 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-51 Rm - Fire Control 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-52 Rm - 120 Open 2x4x 2L rec trf, F32T8 32w, electronic 40 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 40 Office ballast rated life (ALE) L-D Rf#-53 Rm - 120 Open 2x2x 2L rec trf, FB31T8 32w U6, 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 Office electronic ballast rated life (ALE) L-D Rf#-54 Rm - Faciities 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D Rf#-55 Rm - Corner 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Office ballast rated life (ALE) L-D Rf#-56 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-57 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-58 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-59 Rm - Office 5 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 28 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-60 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-61 Rm - Office 6 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-62 Rm - 120 Lobby 2x2x 2L rec trf, F1331T8 32w U6, 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 Closet electronic ballast rated life (ALE) Rf#-63 Rm - 125 2x4x 2L rec trf, F32T8 32w, electronic 8 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 8 Conference ballast rated life (ALE) L-D Rf#-64 Rm - 1_11-2 1x4x 2L sm strip, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-65 Rm - East Stair 1x4x 1L sm strip (City), LED ?w, LED driver 5 DND - DND: (do not do, fixtures left as is) 5 Rf#-66 Rm -Storage 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-67 Rm - Elevator 1x4x 2L sm strip, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Mech ballast rated life, remove existing ballast from service Rf#-243 Rm - Ext - Pole LED 1L shoe box (kit) (City), LED ?w DND - DND: (do not do, fixtures left as is) 0 Mount module, LED Driver Rf#-244 Rm - Ext- LED 1L grnd mnt bollard (City), LED ?w, DND - DND: (do not do, fixtures left as is) 0 Ground Mount LED Driver Rf#-245 Rm - Ext- LED 1L flood, flag (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Ground Mount Driver Rf#-246 Rm - Ext - Wall CF 1L wm step light, CFP-18w, CFL ballast 2 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 2 Mount rated life, horizontal Rf#-247 Rm - Ext - Eve MH 1L rec can, MH 100W, HID ballast 6 RL017/ckit/8t10 - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 50,000-Hr 6 Mount L70 rated life (1) 10" trim kit 2nd Floor Rf#-68 Rm - Elevator LED 1L rec can kit (City), LED ?w kit, LED 4 DND - DND: (do not do, fixtures left as is) 4 Lobby Driver Rf#-69 Rm - Hall 2x4x 1L rec trf (City), LED ?w, LED driver 20 DND - DND: (do not do, fixtures left as is) 20 Rf#-70 Rm - 200 Lobby CF 1L rec can 8", CFP-26w, CFL ballast 20 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 20 L70 rated life (1) 8" trim kit Rf#-71 Rm - 200 Open 2x4x 2L rec trf, F32T8 32w, electronic 7 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 7 Office ballast rated life (ALE) L-D Rf#-72 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-73 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-74 Rm - Office 2 2x2x 2L rec trf, F1331T8 32w U6, 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 electronic ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 29 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-75 Rm - Office 2 CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-76 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-77 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-78 Rm - 295 Open 2x4x 2L rec trf, F32T8 32w, electronic 60 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 60 Office ballast rated life (ALE) L-D Rf#-79 Rm - 295 Open 2x2x 2L rec trf, FB31T8 32w U6, 2 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 2 Office electronic ballast rated life (ALE) L-D Rf#-80 Rm - 295 Open CF 1L rec can 8", CFP-26w, CFL ballast 14 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 14 Office L70 rated life (1) 8" trim kit Rf#-81 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-82 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-83 Rm - Files 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-84 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Director ballast rated life (ALE) L-D Rf#-85 Rm - Copy 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) Rf#-86 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-87 Rm - Office ? 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-88 Rm - Kitchen 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-89 Rm - Copy 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-90 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-91 Rm - Tech Office 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-92 Rm - 285 Open 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Office ballast rated life (ALE) L-D Rf#-93 Rm - 285 Open Inc. 1L rec can 4", Inc. 50w MR16, n/a 6 RL091/s/mr16 - (1) LED 7.5w MR16lamp, 4000K 6 Office Rf#-94 Rm - 285 Open CF 1L rec can 8", CFS-23w, CFL ballast 12 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 12 Office L70 rated life (1) 8" trim kit W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 30 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-95 Rm - Kitchen 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-96 Rm - Storage 1 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-97 Rm - Storage 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-98 Rm - Storage 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-99 Rm - Storage 4 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-100 Rm - Storage 5 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-101 Rm - Storage 6 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-102 Rm - Storage 7 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-103 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-104 Rm - 275 Open 2x4x 2L rec trf, F32T8 32w, electronic 12 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 12 Office ballast rated life (ALE) L-D Rf#-105 Rm - 275 Open Inc. 1L rec can 4", Inc. 50w MR16, n/a 2 RL091/s/mr16 - (1) LED 7.5w MR16lamp, 4000K 2 Office Rf#-106 Rm - 275 Open CF 1L rec can 8", CFS-23w, CFL ballast 4 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 4 Office L70 rated life (1) 8" trim kit Rf#-107 Rm -MRR 2x2x 2L rec trf, F17T8 17w, electronic 3 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) Rf#-108 Rm - MRR 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-109 Rm - W RR 2x2x 2L rec trf, F17T8 17w, electronic 3 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) Rf#-110 Rm - W RR 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-111 Rm - Electrical 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 U2-3 ballast rated life, remove existing ballast from service Rf#-112 Rm - 270 Open 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 Office ballast rated life (ALE) L-D Rf#-113 Rm - Storage 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-114 Rm - Storage 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 31 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-115 Rm-Waiting 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) Rf#-116 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-117 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-118 Rm-Janitor 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-119 Rm - 265 Open 2x4x 1L rec trf (City), LED ?w, LED driver 6 DND - DND: (do not do, fixtures left as is) 6 Office Rf#-120 Rm - Storage 1 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) Rf#-121 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-122 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-123 Rm - 260 Lobby 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-124 Rm - 260 Open 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 Office ballast rated life (ALE) L-D Rf#-125 Rm -Comer 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 Office ballast rated life (ALE) L-D Rf#-126 Rm -Comer 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 Office ballast rated life (ALE) L-D Rf#-127 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-128 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-129 Rm - 255 Open 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 Ofice ballast rated life (ALE) Rf#-130 Rm - 255 Open 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 Ofice ballast rated life (ALE) Rf#-131 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-132 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-133 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-134 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 32 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-135 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-136 Rm - 250 Open 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 Office ballast rated life (ALE) L-D Rf#-137 Rm - 250 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Storage ballast rated life, remove existing ballast from service Rf#-138 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-139 Rm - 245 Open 2x4x 4L rec trf, F32T8 32w, electronic 4 RL033/tkit - (1) LED 33w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Office ballast rated life (ALE) L-D Rf#-140 Rm - Office 1 2x4x 4L rec trf, F32T8 32w, electronic 2 RL033/tkit - (1) LED 33w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-141 Rm - Office 1 1x4x 1L sm strip (cove), F32T8 32w, 8 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 electronic ballast rated life, remove existing ballast from service Rf#-142 Rm - Office 1 LED 1L rec can kit (City), LED ?w kit, LED 7 DND - DND: (do not do, fixtures left as is) 7 Driver Rf#-143 Rm - Office 1 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-144 Rm- 2x4x 4L rec trf, F32T8 32w, electronic 4 RL033/tkit - (1) LED 33w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Conference ballast rated life (ALE) L-D Rf#-145 Rm - Room 240 1x4x 2L sm strip, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-146 Rm - 235 Open 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 Office ballast rated life (ALE) L-D Rf#-147 Rm - Kitchen 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) Rf#-148 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-149 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-150 Rm - 225 Open 2x4x 2L rec trf, F32T8 32w, electronic 13 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 13 Office ballast rated life (ALE) L-D Rf#-151 Rm -Copy 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-152 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D Rf#-153 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-154 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 33 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-155 Rm - Kitchen 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-156 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 9 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 9 ballast rated life (ALE) L-D Rf#-157 Rm - Office 5 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-158 Rm - Office 6 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-159 Rm - Office 7 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-160 Rm - 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Conference ballast rated life (ALE) L-D Rf#-161 Rm - 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 Conference ballast rated life (ALE) L-D Rf#-162 Rm - Files 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-163 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-164 Rm - 215 Open 2x4x 2L rec trf, F32T8 32w, electronic 21 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 21 Office ballast rated life (ALE) L-D Rf#-165 Rm - 215 Open 2x2x 2L rec trf, F17T8 17w, electronic 5 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 5 Office ballast rated life (ALE) L-D Rf#-166 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-167 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-168 Rm - Electrical 1x4x 2L sm strip, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-169 Rm - Room 204 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D Rf#-170 Rm - Room 202 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D 3rd Floor Rf#-171 Rm - 300 2x4x 2L rec trf, F32T8 32w, electronic 33 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 33 Lobby, Hall, Open ballast rated life (ALE) Rf#-172 Rm - 300 2x2x 2L rec trf, F17T8 17w, electronic 16 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 16 Lobby, Hall, Open ballast rated life (ALE) Rf#-173 Rm - 300 CF 1L rec can 8", CFS-23w, CFL ballast 4 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 4 Lobby, Hall, Open L70 rated life (1) 8" trim kit Rf#-174 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 34 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-175 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-176 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-177 Rm - Storage 2x2x 2L rec trf, F17T8 17w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-178 Rm -Copy 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-179 Rm - Office 4 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-180 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Kevin ballast rated life (ALE) L-D Rf#-181 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 ballast rated life (ALE) L-D Rf#-182 Rm - Asst City 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Mgr ballast rated life (ALE) L-D Rf#-183 Rm - Asst City 2x2x 2L rec trf, F17T8 17w, electronic 2 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 2 Mgr ballast rated life (ALE) L-D Rf#-184 Rm - City Mgr 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-185 Rm - City Mgr 2x2x 2L rec trf, F17T8 17w, electronic 2 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-186 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 Council ballast rated life (ALE) L-D Rf#-187 Rm - Mayor Pro 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 Tern ballast rated life (ALE) L-D Rf#-188 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Council ballast rated life (ALE) L-D Rf#-189 Rm - Mayor 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) L-D Rf#-190 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 Council ballast rated life (ALE) L-D Rf#-191 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-192 Rm - 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 Conference ballast rated life (ALE) L-D Rf#-193 Rm - EMR Mgr 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-194 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 35 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-195 Rm - Storage 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-196 Rm - Electrical 1x4x 2L sm strip, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-197 Rm - 302 Open 2x4x 2L rec trf, F32T8 32w, electronic 89 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 89 Office ballast rated life (ALE) L-D Rf#-198 Rm - 302 Open 2x2x 2L rec trf, F17T8 17w, electronic 6 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 6 Office ballast rated life (ALE) L-D Rf#-199 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-200 Rm - Office 1 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-201 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-202 Rm - Office 2 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-203 Rm - Com Dev 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 Director ballast rated life (ALE) L-D Rf#-204 Rm - Mgt 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Analyst ballast rated life (ALE) L-D Rf#-205 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-206 Rm- 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Conference ballast rated life (ALE) L-D Rf#-207 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D Rf#-208 Rm -Comm 2x4x 1L rec trf (City), LED ?w, LED driver 4 DND - DND: (do not do, fixtures left as is) 4 Pres Rf#-209 Rm - Data 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-210 Rm - Traffice 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Ops ballast rated life (ALE) L-D Rf#-211 Rm -Server 2x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-212 Rm - Storage 2x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-213 Rm - Break 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D Rf#-214 Rm - Break 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 36 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-215 Rm - Office Joel 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-216 Rm - Office Joel 2x2x 2L rec trf, F17T8 17w, electronic 1 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-217 Rm -Server 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-218 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-219 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-220 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-221 Rm - 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Conference ballast rated life (ALE) L-D Rf#-222 Rm - 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 Conference ballast rated life (ALE) L-D Rf#-223 Rm - 304 Hall & 2x4x 2L rec trf, F32T8 32w, electronic 64 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 64 Open Office ballast rated life (ALE) Rf#-224 Rm - 305 Hall & 2x2x 2L rec trf, F17T8 17w, electronic 6 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 6 Open Office ballast rated life (ALE) Rf#-225 Rm -Staff 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 Lounge ballast rated life (ALE) L-D Rf#-226 Rm - Office 2x4x 1L rec trf (City), LED ?w, LED driver DND - DND: (do not do, fixtures left as is) 0 Rf#-227 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-228 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-229 Rm - Dir Public 2x4x 1L rec trf (City), LED ?w, LED driver DND - DND: (do not do, fixtures left as is) 0 Rf#-230 Rm - Engineer 2x4x 1L rec trf (City), LED ?w, LED driver DND - DND: (do not do, fixtures left as is) 0 Rf#-231 Rm - Corner 2x4x 1L rec trf (City), LED ?w, LED driver DND - DND: (do not do, fixtures left as is) 0 Office Rf#-232 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-233 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-234 Rm - Corner 2x4x 2L rec trf, F32T8 32w, electronic 3 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 3 Office ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 37 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC City Hall - 23920 VALENCIA BLVD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-235 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-236 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Cesor ballast rated life (ALE) L-D Rf#-237 Rm -MRR 2x2x 2L rec trf, F17T8 17w, electronic 3 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) Rf#-238 Rm - MRR 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-239 Rm - W RR 2x2x 2L rec trf, F17T8 17w, electronic 3 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 3 ballast rated life (ALE) Rf#-240 Rm - W RR 1x3x 2L sm strip, F25T8 25w, electronic 2 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-241 Rm - Electrical 1x3x 2L sm strip, F25T8 25w, electronic 1 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-242 Rm-Janitor 1x3x 2Lsm strip, F25T8 25w, electronic 1 RLT832dw - (2) 3' LED T8 lamp 10w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Qty for City Hall : 1,220 1,220 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control City Hall Lighting Page 38 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Corporate Yard - 25663 AVENUE STANFORD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Garage 1st Floor Rf#-51 Rm - MRR CF 2L rec can ?", CFP-18w, CFL ballast 17 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 17 L70 rated life (1) 8" trim kit Rf#-52 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-53 Rm - Shower LED 1L rec can kit (City), LED ?w kit, LED 2 DND - DND: (do not do, fixtures left as is) 2 Driver Rf#-54 Rm - Closet Inc. 1L bare bulb, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-55 Rm - WRR CF 2L rec can ?", CFP-18w, CFL ballast 8 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 8 L70 rated life (1) 8" trim kit Rf#-56 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-57 Rm - WRR LED 1L rec can kit (City), LED ?w kit, LED 1 DND - DND: (do not do, fixtures left as is) 1 Driver Rf#-58 Rm - WRR CF 2L sm dome, CFS-14w, CFL ballast 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 Rf#-59 Rm - Lift Area 1x8x 1L pm ind hood (City), LED ?w, LED 13 DND - DND: (do not do, fixtures left as is) 13 driver Rf#-60 Rm - Lift Area 2x4x 6L pm high bay, FP54T5HO 54w, 5 RLT546Hdw - (6) 4' LED T5 lamp 25w, Type B, direct wire, 50,000-Hr L70 5 electronic ballast HO rated life, remove existing electronic ballast Rf#-61 Rm - Lift Area 1x8x 4L sm ind hood, F32T8 32w, 11 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 11 electronic ballast rated life, remove existing ballast from service Rf#-62 Rm - Lift Area 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-63 Rm - Lift Area 1x8x 1L pm ind hood (City), LED ?w, LED 6 DND - DND: (do not do, fixtures left as is) 6 driver Rf#-64 Rm - Lift Area no existing fixture (need more light), 6 NL052/8w - New 8' LED surface mount narrow wrap, 50,000-Hr L70 6 n/a, n/a rated life, 52w, 4000K (ALE) Rf#-65 Rm - Cage 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-66 Rm - Cage 1x8x 4L sm ind hood, F32T8 32w, 3 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 electronic ballast rated life, remove existing ballast from service Rf#-67 Rm - Cart / Tire / 1x8x 1L pm ind hood (City), LED ?w, LED 4 DND - DND: (do not do, fixtures left as is) 4 Gym Area driver Rf#-68 Rm-Cart/Tire/ 1x8x 4L sm ind hood, F32T8 32w, 20 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 20 Gym Area electronic ballast rated life, remove existing ballast from service Rf#-69 Rm-Cart/Tire/ 1x8x 2L pm ind hood (City), LED ?w, LED 3 DND - DND: (do not do, fixtures left as is) 3 Gym Area driver W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Corporate Yard Lighting Page 39 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Corporate Yard - 25663 AVENUE STANFORD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-70 Rm-Cart/Tire/ no existing fixture (need more light), 3 NL052/8w - New 8' LED surface mount narrow wrap, 50,000-Hr L70 3 Gym Area n/a, n/a rated life, 52w, 4000K (ALE) Rf#-71 Rm - Break 2x4x 1L rec trf (vol) (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 driver Rf#-72 Rm - Streets 2x4x 1L rec trf (vol) (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Offices - All driver Rf#-73 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-74 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-75 Rm - Arts / 1x8x 4L sm ind hood, F32T8 32w, 11 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 11 Events Bay electronic ballast rated life, remove existing ballast from service Rf#-76 Rm - Streets Bay 1x8x 4L sm ind hood, F32T8 32w, 6 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-77 Rm - Pesticide 1x4x 2L sm wp, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-78 Rm - Streets 1x8x 6L sm ind hood, F32T8 32w, 2 RLT846dw - (6) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Shop electronic ballast rated life, remove existing ballast from service Rf#-79 Rm - Ext- Roof HPS 1Lflood, yoke, HPS 200W, HID 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mount ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-80 Rm - Ext- Roof MH 1Lflood, yoke, MH 1000W, HID 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mount ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-81 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 3 DND - DND: (do not do, fixtures left as is) 3 Mount Driver Rf#-82 Rm - Ext-Bldg MH 1L wm wall pack, MH 250W, HID 9 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 9 Mnt (walls) ballast (MAX) Rf#-83 Rm - Ext-Bldg HPS 1L wm wall pack, HPS 150W, HID 2 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 2 Mnt (walls) ballast (MAX) Rf#-84 Rm - Ext - Eve Inc. 1L pm can, Inc. 75w B40, n/a 4 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 4 Mount Rf#-85 Rm - Ext - MH 11-flood, tenon 2-3/8, MH 1000W, 4 NL300/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Bullhorn Mount HID ballast 300w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Middle 1st Floor Rf#-35 Rm - Urban 1x8x 4L sm ind hood, F32T8 32w, 10 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 10 Forest Bay electronic ballast rated life, remove existing ballast from service Rf#-36 Rm - Urban 1x4x 1L shop light (City), LED ?w, LED 1 DND - DND: (do not do, fixtures left as is) 1 Forest Bay driver Rf#-37 Rm - Urban 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Forest Bay ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Corporate Yard Lighting Page 40 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Corporate Yard - 25663 AVENUE STANFORD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-38 Rm - Ship / Rec 1x8x 4L sm ind hood, F32T8 32w, 12 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 electronic ballast rated life, remove existing ballast from service Rf#-39 Rm - Receiving 1x4x 2L sm wp, F32T8 32w, electronic 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 Office ballast rated life, remove existing ballast from service Rf#-41 Rm- Receiving - 1x8x 4L sm ind hood, F32T8 32w, 3 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 High electronic ballast rated life, remove existing ballast from service Rf#-42 Rm - Shipping 1x8x 4L sm ind hood, F32T8 32w, 10 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 10 electronic ballast rated life, remove existing ballast from service Rf#-43 Rm - Parts 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-44 Rm - Cage 1x8x 4L sm ind hood, F32T8 32w, 6 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-45 Rm - Center Bay 1x8x 4L sm ind hood, F32T8 32w, 6 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-46 Rm - Stairs CF 1L wm jelly jar, CFS-14w, CFL ballast 2 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 2 Rf#-48 Rm - RR Hall 1x4x 2L sm wp, F32T8 32w, electronic 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 ballast rated life, remove existing ballast from service Rf#-49 Rm - Closet CF 2L sm dome, CFS-14w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-50 Rm - Water LED 1L bare bulb (City), LED 8w? A19, 1 DND - DND: (do not do, fixtures left as is) 1 Heater LED driver sc 2nd Floor Rf#-40 Rm - Mezanine 1x4x 2L sm strip (City), TLED 4' ?w, LED 20 DND - DND: (do not do, fixtures left as is) 20 driver Rf#-47 Rm - Electrical 1x8x 1L pm ind hood, F96T12 60w, 4 RLT842dw/bk - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr 4 magnetic ballast L70 rated life, remove existing ballast from service, (1) 8' to 4' conversion kit Building/Area: Office 1st Floor Rf#-1 Rm - Lobby CF 1L rec can 8", CFP-28w, CFL ballast 8 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 8 L70 rated life (1) 8" trim kit Rf#-2 Rm - Conference CF 1L rec can 8", CFP-28w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-3 Rm - Conference 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 ballast rated life (ALE) L-D Rf#-4 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-5 Rm - Open Office 2x4x 2L rec trf, F32T8 32w, electronic 18 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 18 ballast rated life (ALE) L-D Rf#-6 Rm - Conference 2x4x 2L rec trf, F32T8 32w, electronic 4 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Corporate Yard Lighting Page 41 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Corporate Yard - 25663 AVENUE STANFORD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-7 Rm - Copy 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-8 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-9 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-10 Rm - WRR LED 1L rec can kit (City), LED ?w kit, LED 4 DND - DND: (do not do, fixtures left as is) 4 Driver Rf#-11 Rm - Roof CF 1L bare bulb, CFS-14w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-12 Rm - Hall 2x4x 2L rec trf, F32T8 32w, electronic 7 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 7 ballast rated life (ALE) Rf#-13 Rm - MRR 1x4x 2L sm box, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-14 Rm - Office Jose 2x4x 2L rec trf, F32T8 32w, electronic 1 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 1 ballast rated life (ALE) L-D Rf#-15 Rm - Hall / Office 2x4x 2L rec trf, F32T8 32w, electronic 11 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 11 ballast rated life (ALE) Rf#-16 Rm - Open 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 Office 1 ballast rated life (ALE) L-D Rf#-17 Rm - Open 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 Office 2 ballast rated life (ALE) L-D Rf#-18 Rm - Open 2x2x 2L rec trf, F17T8 17w, electronic 2 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 2 Office 2 ballast rated life (ALE) L-D Rf#-19 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-20 Rm - Office 2x4x 2L rec trf (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Wayne Rf#-21 Rm - RR 1x4x 2L rec trf, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-22 Rm - Office Todd 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-23 Rm - Open Office 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-24 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Sergio ballast rated life (ALE) L-D Rf#-25 Rm - Office 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 Valerie ballast rated life (ALE) L-D Rf#-26 Rm - Back Hall 2x4x 2L rec trf, F32T8 32w, electronic 5 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 5 ballast rated life (ALE) W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Corporate Yard Lighting Page 42 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Corporate Yard - 25663 AVENUE STANFORD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-27 Rm - Classroom 2x4x 2L rec trf, F32T8 32w, electronic 6 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-28 Rm - Office 1 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-29 Rm - Office 2 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-30 Rm - Hall 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) Rf#-31 Rm - Office 3 2x4x 2L rec trf, F32T8 32w, electronic 2 RL025/tkit - (1) LED 25w 2x4 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-32 Rm - Ext - Roof LED 1L flood, flag (City), LED ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 Mount Driver Rf#-33 Rm - Ext - Eve HPS 1L sm fxt, HPS 70W, HID ballast 6 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 6 Mount Rf#-34 Rm - Ext - Polle MH 1L SB SqP, MH 150W, HID ballast 4 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount 50w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Wash Bay 1st Floor Rf#-86 Rm - Ext - Wall MH 1L rec wall pack, MH 100W, HID 6 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 6 Mount ballast 50,000-Hr rated life, 5000K, medium base Rf#-87 Rm - Ext - Wall 1x4x 2L vapor tight, F32T8 32w, 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 Mount electronic ballast rated life, remove existing ballast from service Qty for Corporate Yard : 401 401 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Corporate Yard Lighting Page 43 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Creekview Park - 22200 PARK ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Pathway 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, 14 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 14 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: RR 1st Floor Rf#-2 Rm - Ext - Wall CF 1L wm wall pack, CFP-26w, CFL ballast 2 NL020/wp/fc - New LED wall mounted full cutoff wall pack, 50,000-Hr 2 Mount L70 rated life, 20w (Cop) Rf#-3 Rm - MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 1 DND - DND: (do not do, fixtures left as is) 1 LED driver Rf#-4 Rm - WRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 1 DND - DND: (do not do, fixtures left as is) 1 LED driver Qty for Creekview Park: 18 18 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Creekview Park Lighting Page 44 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Cube - 27745 SMYTH DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - Entry 2x2x 2L rec trf, FB31T8 32w U6, 6 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 6 electronic ballast life, remove existing electronic ballast Rf#-2 Rm - Lobby 2x2x 2L rec trf (City), TLED 2' U ?w, LED 22 DND - DND: (do not do, fixtures left as is) 22 Driver Rf#-3 Rm - Lobby CF 2L rec can 8", CFP-18w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life 1 8" trim kit Rf#-4 Rm - Reception CF 2L rec can 8", CFP-18w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life 1 8" trim kit Rf#-5 Rm - Office 2x2x 2L rec trf, FB31T8 32w U6, 1 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 1 electronic ballast life, remove existing electronic ballast Rf#-6 Rm - Office 2x2x 2L rec trf (City), TLED 2' U ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 Driver Rf#-7 Rm - Tickets 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-8 Rm - Shop 2x2x 2L rec trf (City), TLED 2' U ?w, LED 27 DND - DND: (do not do, fixtures left as is) 27 Driver Rf#-9 Rm - Shop 2x2x 2L rec trf, FB31T8 32w U6, 1 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 1 electronic ballast life, remove existing electronic ballast Rf#-10 Rm -Shop 1x4x 2L rec trf, F32T8 32w, electronic 7 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 7 ballast rated life, remove existing ballast from service Rf#-11 Rm - Shop LED 1L spot (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-12 Rm - Fitting CF 2L rec can 8", CFP-18w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life 1 8" trim kit Rf#-13 Rm - Storage 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-14 Rm - Office 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-15 Rm - Skate Rental 1x4x 2L sm strip, F32T8 32w, electronic 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 ballast rated life, remove existing ballast from service Rf#-16 Rm - Hall 1x4x 2L sm wp, F32T8 32w, electronic 22 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 22 ballast rated life, remove existing ballast from service Rf#-17 Rm - Locker 5 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-18 Rm - RR 5&6 1x4x 2L vapor tight, F32T8 32w, 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-19 Rm - Locker 6 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-20 Rm - Locker 7 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-21 Rm - RR 7&8 1x4x 2L vapor tight, F32T8 32w, 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-22 Rm - Locker 8 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-23 Rm - Locker 10 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-24 Rm - Coach 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-25 Rm - Locker 4 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-26 Rm - RR 3&4 1x4x 2L vapor tight, F32T8 32w, 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-27 Rm - Locker 3 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-28 Rm - Locker 2 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-29 Rm - RR 2&1 1x4x 2L vapor tight, F32T8 32w, 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service Rf#-30 Rm - Locker 1 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Cube Lighting Page 1 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Cube - 27745 SMYTH DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-31 Rm - Locker 0 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-32 Rm - Locker UCLA 2x2x 2L rec trf, FB31T8 32w U6, 15 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 15 electronic ballast life, remove existing electronic ballast Rf#-33 Rm - Shower LED 1L rec can (City), LED ?w, LED Driver 2 DND - DND: (do not do, fixtures left as is) 2 Rf#-34 Rm - Electrical 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-35 Rm - Office 1 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-36 Rm - Office 2 2x2x 2L rec trf, FB31T8 32w U6, 3 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 3 electronic ballast life, remove existing electronic ballast Rf#-37 Rm - NHL Rink 1x4x 2L sm wp, F32T8 32w, electronic 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 ballast rated life, remove existing ballast from service Rf#-38 Rm - NHL Rink 2x2x 6L high bay, Biax 40W PLL40CF2, 40 RL0176/bx - (6) LED BIAX PL-L lamp, direct wire (remove old ballast), 40 CFL ballast 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-39 Rm - Electrical 1x4x 2L sm strip, F32T8 32w, electronic 16 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 16 ballast rated life, remove existing ballast from service Rf#-40 Rm - Garage 1x4x 2L sm strip, F32T8 32w, electronic 5 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 ballast rated life, remove existing ballast from service Rf#-41 Rm - Pumps 1x4x 2L sm strip, F32T8 32w, electronic 5 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 ballast rated life, remove existing ballast from service Rf#-42 Rm - Pond Rink 2x2x 2L rec trf, FB31T8 32w U6, 23 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 23 electronic ballast life, remove existing electronic ballast Rf#-43 Rm - Pond Rink 2x2x 6L high bay, Biax 40W PLL40CF2, 15 RL0176/bx - (6) LED BIAX PL-L lamp, direct wire (remove old ballast), 15 CFL ballast 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-44 Rm - Pond Rink CF 2L rec can 8", CFP-18w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life 1 8" trim kit Rf#-45 Rm - MRR Pond 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-46 Rm - WRR Pond 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-47 Rm - Electrical 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Pond ballast rated life, remove existing ballast from service Rf#-48 Rm - Olympic 2x2x 6L high bay, Biax 40W PLL40CF2, 49 RL0176/bx - (6) LED BIAX PL-L lamp, direct wire (remove old ballast), 49 Rink CFL ballast 120/277v, 17.5w, 50,000-Hr L70 rated life Rf#-49 Rm - Elevator 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-83 Rm - Ext - Front CF 2L rec can 8", CFP-18w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 Entry L70 rated life (1) 8" trim kit Rf#-84 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 8 DND - DND: (do not do, fixtures left as is) 8 Mount Driver Rf#-85 Rm - Ext - Pole MH 1L area light (gull), MH 250W, HID 15 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 15 Mount ballast 70w, onboard bilevel dimming sensor VI oemB 2nd Floor Rf#-50 Rm - Upper 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Lobby ballast rated life, remove existing ballast from service Rf#-51 Rm - Upper 1x4x 1L sm strip (cove), F32T8 32w, 16 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 16 Lobby electronic ballast rated life, remove existing ballast from service Rf#-52 Rm - MRR 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-53 Rm - WRR 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-54 Rm - Party Room 2x2x 2L rec trf, FB31T8 32w U6, 9 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 9 electronic ballast life, remove existing electronic ballast Rf#-55 Rm - Open 2x2x 2L rec trf, FB31T8 32w U6, 50 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 50 Lounge electronic ballast life, remove existing electronic ballast Rf#-56 Rm - Upper 2x2x 2L rec trf, FB31T8 32w U6, 8 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 8 Entry - Rear electronic ballast life, remove existing electronic ballast Rf#-57 Rm - Upper 1x4x 1L sm strip (cove), F32T8 32w, 14 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 14 Entry - Rear electronic ballast rated life, remove existing ballast from service Rf#-58 Rm - Upper 1x4x 2L pm fxt, F32T8 32w, electronic 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 Entry - Rear ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Cube Lighting Page 2 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Cube - 27745 SMYTH DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-59 Rm - RR CF 2L rec can 8", CFP-18w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-60 Rm - Kitchen 1x4x 2L rec trf, F32T8 32w, electronic 22 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 22 ballast rated life, remove existing ballast from service Rf#-61 Rm - Mezanine - 2x2x 2L rec trf, FB31T8 32w U6, 16 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 16 Pond electronic ballast life, remove existing electronic ballast Rf#-62 Rm - Electrical 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-63 Rm - Sign Room 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-64 Rm - Stair 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-65 Rm - Custodian 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-66 Rm - Mezanine - 2x2x 2L rec trf, FB31T8 32w U6, 7 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 7 NHL electronic ballast life, remove existing electronic ballast Rf#-67 Rm - Stair 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-68 Rm - Storage 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-69 Rm - Hall 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-70 Rm - Electrical 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-71 Rm - Dance 2x2x 2L rec trf, FB31T8 32w U6, 8 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 8 electronic ballast life, remove existing electronic ballast Rf#-72 Rm - Meeting 2x2x 2L rec trf, FB31T8 32w U6, 8 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 8 electronic ballast life, remove existing electronic ballast Rf#-73 Rm - Office Hall / 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 Reception electronic ballast life, remove existing electronic ballast Rf#-74 Rm - Office Hall / CF 2L rec can 8", CFP-18w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 Reception L70 rated life 1 8" trim kit Rf#-75 Rm - Office 1 2x2x 2L rec trf, FB31T8 32w U6, 3 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 3 electronic ballast life, remove existing electronic ballast Rf#-76 Rm - Office 2 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-77 Rm - Office 3 2x2x 2L rec trf, FB31T8 32w U6, 6 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 6 electronic ballast life, remove existing electronic ballast Rf#-78 Rm - Office 4 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-79 Rm - Office 5 2x2x 2L rec trf, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-80 Rm - Kitchen 2x2x 2L rec trf, FB31T8 32w U6, 2 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 2 electronic ballast life, remove existing electronic ballast Rf#-81 Rm - Stair 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-82 Rm - Custodian 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Qty for The Cube : 619 619 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Cube Lighting Page 3 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Discovery Park - 27501 CANYON VIEW PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - No Lighting DND (do not do, left as is) no lighting DND - DND: (do not do, fixtures left as is) 0 Here here, n/a, n/a Qty for Discovery Park : W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Discovery Park Lighting Page 45 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Maintenace Shop 9 Central Park - 27150 BOUQUET CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Fuel Pumps 1st Floor Rf#-10 Rm - Ext - Pole MH 1L flood, tenon 2-3/8, MH 250W, 2 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 2 Mount HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Maint Area 1st Floor Rf#-1 Rm - Open Office All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-2 Rm - Office All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-3 Rm - MRR 2x2x 3L rec trf, F17T8 17w, electronic 1 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-4 Rm - MRR 2x2x 3L rec trf, F17T8 17w, electronic 1 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-5 Rm - Custodian 2x2x 3L rec trf, F17T8 17w, electronic 1 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-6 Rm - Custodian CF 2L rec can 8", CFP-18w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-7 Rm - Balance of All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Interior Rf#-8 Rm - Ext-Bldg Mnt HPS 1L wm wall pack, HPS 150W, HID 5 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 5 (walls) ballast (MAX) Building/Area: Portable 1st Floor Rf#-9 Rm- All LED All LED (City), LED ?w, LED Driver Qty for Maintenace Shop @ Central Park 11 D - DND: (do not do, fixtures left as is) 0 11 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control ntenaCe Shop @ Central Park Lighting Page 46 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Metrolink Jan Heidt - 24247 RAILROAD AVE PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - MRR LED 1L rec can (City), LED ?w, LED Driver 2 DND - DND: (do not do, fixtures left as is) 2 Rf#-2 Rm - MRR 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-3 Rm - WRR LED 1L rec can (City), LED ?w, LED Driver 2 DND - DND: (do not do, fixtures left as is) 2 Rf#-4 Rm - WRR 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-5 Rm - Hall CF 1L wm sconce, CFP-18w, CFL ballast 2 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 2 rated life, horizontal Rf#-6 Rm - Office 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-7 Rm - Custodian 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-8 Rm - Ext-Bldg Mnt MH 2L wm sconce, MH 70W, HID ballast 10 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 10 (walls) Hr L70 rated life, 26w (Syl) Rf#-9 Rm - Ext-Post MH 1L custom bollard cube, MH 100W, 2 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 2 Mount HID ballast life, 5000K, medium base Rf#-10 Rm - Ext-Pergola LED 11-flood (City), LED ?w, LED Driver 8 DND - DND: (do not do, fixtures left as is) 8 Rf#-11 Rm - Ext-Pergola CF 1L wm vandal, CFS-14w, CFL ballast 2 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 2 Rf#-12 Rm - Ext Grounf CF 1L grnd mnt bollard, CFP-32w, CFL 2 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 2 Mount ballast rated life, horizontal Rf#-13 Rm - Ext-Stairs CF 1L wm step light, CFP-18w, CFL ballast 16 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 16 rated life, horizontal Rf#-14 Rm - Ext - Pole MH 1L post top acorn, MH 100W, HID 10 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 10 West Parking ballast life, 5000K, medium base Rf#-15 Rm - Ext - Pole MH 1L post top acorn, MH 100W, HID 42 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 42 Tracks ballast life, 5000K, medium base Rf#-16 Rm - Ext - Pole MH 1L post top acorn, MH 100W, HID 54 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 54 East Parking ballast life, 5000K, medium base Qty for Metrolink Jan Heidt : 160 160 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Metrolink Jan Heidt Lighting Page 47 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Metrolink Santa Clarita - 22122 SOLEDAD CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Office 1st Floor Rf#-5 Rm - Office LED 1L rec can (City), LED ?w, LED Driver 5 DND - DND: (do not do, fixtures left as is) 5 Rf#-6 Rm - Office 1x4x 2L sm wp (City), TLED 4' ?w, LED 1 DND - DND: (do not do, fixtures left as is) 1 driver Building/Area: Parking 1st Floor Rf#-7 Rm - Ext-Pole Mnt LED 1L area light (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) driver Building/Area: RR Bldg 1st Floor 0 Rf#-1 Rm - MRR 1x4x 2L vapor tight, F32T8 32w, 5 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 electronic ballast rated life, remove existing ballast from service Rf#-2 Rm - WRR 1x4x 2L vapor tight, F32T8 32w, 5 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 electronic ballast rated life, remove existing ballast from service Rf#-3 Rm - Storage 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Building/Area: Tracks 1st Floor Rf#-4 Rm -Shelter 1x4x 2L vapor tight, F32T8 32w, RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 14 electronic ballast n rated life, remove existing ballast from service Qty for Metrolink Santa Clarita : 32 32 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Metrolink Santa Clarita Lighting Page 48 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Metrolink Via Princessa - 19201 VIA PRINCESSA PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-2 Rm - MRR CF 2L sm square, CFP-26w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-3 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-4 Rm - WRR CF 2L sm square, CFP-26w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-5 Rm - Storage 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-6 Rm - Office 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-7 Rm - Ext - Eve CF 2L sm square, CFP-26w, CFL ballast 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 Mount Rf#-8 Rm - Ext - Wall CF 1L wm wall pack, CFP-26w, CFL ballast 12 NL015/wp - New LED wall pack full, 50,000-Hr L70 rated life, 15w, built 12 Mount in 120/277v photo cell (SYL) Rf#-9 Rm - Ext - Pole LED 1L shoe box (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Mount Driver Qty for Metrolink Via Princessa : 27 27 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Metrolink Via Princessa Lighting Page 49 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Mountainview Park - 28500 SECO CANYON ROAD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - All other DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 areas Rf#-1 Rm - No Lighting DND (do not do, left as is) no lighting DND - DND: (do not do, fixtures left as is) 0 Here here, n/a, n/a Qty for Mountainview Park : W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Mountainview Pork Lighting Page 50 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Newhall Community Center - 22421 MARKET ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Basketball 1st Floor Rf#-33 Rm - Ext - Pole MH 1L SB SqP DB, MH 400W, HID ballast 12 NL150/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 12 Mount 150w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Main 1st Floor Rf#-1 Rm - Lobby LED 1L pm fxt (City), LED ?w, LED Driver 7 DND - DND: (do not do, fixtures left as is) 7 Rf#-2 Rm - 102 Office 2x2x 2L rec trf, F17T8 17w, electronic 12 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 12 ballast rated life (ALE) L-D Rf#-3 Rm - 107 Storage 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-4 Rm - 108 MRR LED 1L fxt (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-5 Rm - Storage 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-6 Rm - Kitchen 1x4x 2L vapor tight, F32T8 32w, 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 electronic ballast rated life, remove existing ballast from service Rf#-7 Rm - 109 Storage 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-8 Rm - 110 Electrical 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-9 Rm - Hall 2x2x 2L rec trf (City), LED ?w, LED driver 16 DND - DND: (do not do, fixtures left as is) 16 Rf#-10 Rm - 115 RR1 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-11 Rm - 116 RR2 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-12 Rm - 120 Office 2x2x 2L rec trf, F17T8 17w, electronic 4 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 4 ballast rated life (ALE) L-D Rf#-13 Rm - 117 2x2x 2L rec trf, F17T8 17w, electronic 4 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 4 Meeting ballast rated life (ALE) L-D Rf#-14 Rm - 119 Phone 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-15 Rm - 113 Storage 2x2x 2L rec trf, F17T8 17w, electronic 1 RLT822dw - (2) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-16 Rm - 121 Toys 2x2x 3L rec trf, F17T8 17w, electronic 6 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-17 Rm - 116 2x2x 3L rec trf, F17T8 17w, electronic RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 18 Classroom ballast [18 rated life (ALE) L-D W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Newhall Community Center Lighting Page 51 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Newhall Community Center - 22421 MARKET ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-18 Rm - 122 Teen 2x2x 3L rec trf, F17T8 17w, electronic 10 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 10 ballast rated life (ALE) L-D Rf#-19 Rm - 125 Dance 2x2x 3L rec trf, F17T8 17w, electronic 20 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 20 ballast rated life (ALE) L-D Rf#-20 Rm - 124 Storage 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-21 Rm - 127A Boxing 2x2x 3L rec trf, F17T8 17w, electronic 6 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 6 ballast rated life (ALE) L-D Rf#-22 Rm - 127A Boxing LED 1L pm high bay (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Driver Rf#-23 Rm - 128 Tape 2x2x 3L rec trf, F17T8 17w, electronic 2 RL023/tkit2 - (1) LED 23w 2x2 rec trf kit w/volumetric lens 70,000-Hr L70 2 ballast rated life (ALE) L-D Rf#-24 Rm -Storage 2x2x 3L rec trf, F17T8 17w, electronic 2 RLT823dw - (3) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-25 Rm - 134 MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 9 DND - DND: (do not do, fixtures left as is) 9 LED driver Rf#-26 Rm - 134 MRR CF 1L rec can 8", CFP-28w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life (1) 8" trim kit Rf#-27 Rm - 133 Janitor 1x4x 2L sm vapor tight (City), TLED 4' ?w, 1 DND - DND: (do not do, fixtures left as is) 1 LED driver Rf#-28 Rm - 131 W RR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 9 DND - DND: (do not do, fixtures left as is) 9 LED driver Rf#-29 Rm - 131 WRR CF 1L rec can 8", CFP-28w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life (1) 8" trim kit Rf#-30 Rm - Ext - Ceiling CF 1L pm hood, CFP-28w, CFL ballast 7 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 7 Mount rated life, horizontal Rf#-31 Rm - Ext - Wall CF 1L gooseneck jar, CFP-28w, CFL ballast 25 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 25 Mount rated life, horizontal Building/Area: Picnic Area 1st Floor Rf#-32 Rm - Ext - Pole HPS 1L goose neck, HPS 70W, HID ballast 3 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 3 Mount 50,000-Hr rated life, 5000K, medium base Qty for Newhall Community Center: 194 194 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Newhall Community Center Lighting Page 52 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Newhall Park - 24923 NEWHALL AVE PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Baseball Fields 1st Floor Rf#-14 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt Baseball - Pole Al ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-15 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 4 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 4 Mnt Baseball - Pole A2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-16 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole 131 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-17 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole B2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-18 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt Baseball - Pole C1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-19 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 9 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 9 Mnt Baseball - Pole C2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-20 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt Baseball - Pole D1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-21 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 10 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 10 Mnt Baseball - Pole D2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Baseball RR 1st Floor Rf#-5 Rm - MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-6 Rm - WRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-7 Rm - Storage 1x4x 2L sm vapor tight (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-8 Rm - Concession 1x4x 2L sm vapor tight (City), TLED 4' ?w, 4 DND - DND: (do not do, fixtures left as is) 4 LED driver Rf#-9 Rm - Ext - Eve CF 2L sm square, CFP-26w, CFL ballast 16 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 16 Mount (Max) Building/Area: Basketball) 1st Floor Rf#-3 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 400W, Mount Induction generator Building/Area: Basketball 10 Flnnr 4 NL300/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 300w, onboard bilevel dimming sensor (Vly) oemB Rf#-4 Rm - Ext - Pole MH 1L SB SqP DB, MH 1000W, HID NL300/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount ballast [:4 300w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Gazebo 1st Floor W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Newhall Park Lighting Page 53 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) Newhall Park - 24923 NEWHALL AVE *CLIMATEC PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-11 Rm - Ext - Eve CF 2L sm square, CFP-26w, CFL ballast 2 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 2 Mount (Max) Building/Area: Maint Shed 1st Floor Rf#-10 Rm - Interior 1x4x 2L sm wp, F32T8 32w, electronic 10 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 10 ballast rated life, remove existing ballast from service Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 250W, IF16 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 16 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 250W, 5 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 5 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pool Bldg 1st Floor Rf#-12 Rm- All LED All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-13 Rm - Ext - Pole Mount MH 1L flood, tenon 2-3/8, MH 400W, HID ballast 8 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 100w, onboard bilevel dimming sensor (Vly) oemB 8 Qty for Newhall Park : 139 139 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Newhall Park Lighting Page 54 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC North Oaks Park - 27824 CAMP PLENTY RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-2 Rm - MPR 1x4x 2L sm wp, F32T8 32w, electronic ballast 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 12 Rf#-3 Rm - Work Room 1x4x 4L sm wp, F32T8 32w, electronic ballast 4 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 4 Rf#-4 Rm - MRR 1x4x 1L sm strip (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-5 Rm - MRR Inc. 1L rec sgaure, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-6 Rm - WRR 1x4x 1L sm strip (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-7 Rm - WRR Inc. 1L rec sgaure, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-8 Rm - Storage 1x4x 1L sm strip (City), LED ?w, LED driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-9 Rm - Ext - Closet Inc. 1L rec sgaure, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-10 Rm-Ext-RR/ Storage 1 Inc. 1L rec sgaure, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-11 Rm-Ext-RR/ Storage 1 1x4x 2L sm strip, F40T12 34w, magnetic ballast 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 2 Rf#-12 Rm-Ext-RR/ Storage 2 Inc. 1L rec sgaure, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-13 Rm-Ext-RR/ Storage 2 1x4x 2L sm strip, F40T12 34w, magnetic ballast 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 2 Rf#-14 Rm - Ext - Wall Mount LED 1L wm wall pack (City), LED ?w, LED Driver 8 DND - DND: (do not do, fixtures left as is) 8 Building/Area: Parking/Path 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, IF23 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 23 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pool Main 1st Floor Rf#-18 Rm - Interios All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-19 Rm - Ext - Pole MH 1L flood, tenon 2-3/8, MH 400W, 8 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 8 Mount HID ballast 100w, onboard bilevel dimming sensor (Vly) oemB Rf#-20 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 9 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 9 Mount Induction generator (MAX) Building/Area: Pool Maint W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control North Oaks Park Lighting Page 55 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC North Oaks Park - 27824 CAMP PLENTY RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty 1st Floor Rf#-15 Rm - Maint 1x4x 2L sm wp, F32T8 32w, electronic ballast 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 6 Rf#-16 Rm - Maint 1x4x 1L sm strip (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-17 Rm - Pumps All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Qty for North Oaks Park : 86 86 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control North Oaks Park Lighting Page 56 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Oak Springs Canyon Park - 28945 DUNE LN PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Gazebo 1st Floor Rf#-4 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 1 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 1 Mount Induction generator (MAX) Building/Area: Pathway 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L post top mushroom, tenon 2-3/8, NL052/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 18 Mount Ind 85W, Induction generatorlife, n 52w, onboard bilevel dimming sensor (VIS) oemB Building/Area: RR 1st Floor Rf#-2 Rm - Interior All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-3 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 4 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 4 Mount Induction generator (MAX) Qty for Oak Springs Canyon Park : 23 23 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Oak Springs Canyon Park Lighting Page 57 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Orchard Park - 25023 AVE ROTELLA PRE -RETROFIT POST RETROFIT Location Existing Fixture Description City Retrofit Code Description (Ltg Control in RED) City Building/Area: Basketball 1st Floor Rf#-13 Rm - Ext - Pole Ind. 1L area light DB, RdP, Ind 250W, 4 NL150/p/s/tn - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount Induction generator 150w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Main 1st Floor Rf#-2 Rm - MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 3 DND - DND: (do not do, fixtures left as is) 3 LED driver Rf#-3 Rm - WRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 3 DND - DND: (do not do, fixtures left as is) 3 LED driver Rf#-4 Rm - MPR 1x4x 1L sm wp, F32T8 32w, electronic 8 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 ballast rated life, remove existing ballast from service Rf#-5 Rm - MPR 2x2x 4L rec trf, F17T8 17w, electronic 2 RLT824dw - (4) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-6 Rm - MPR 2x4x 4L rec trf, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-7 Rm - Office 2x2x 4L rec trf, F17T8 17w, electronic 1 RLT824dw - (4) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-8 Rm - Office 1x4x 2L vapor tight, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-9 Rm - Electrical 1x4x 2L vapor tight, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-10 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 2 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 2 Mount Induction generator (MAX) Rf#-11 Rm - Ext - Wall CF 1L wm wall pack, CFP-26w, CFL ballast 3 NL020/wp/fc - New LED wall mounted full cutoff wall pack, 50,000-Hr 3 Mount L70 rated life, 20w (Cop) Rf#-12 Rm - Ext - Eve Ind. 1L sm square, Ind 40W, Induction 2 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 2 Mount generator (Max) Building/Area: Pathway 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, RdP, Ind 85W, 38 Mount Induction generator Qty for Old Orchard Park : 71 L050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 38 )w, onboard bilevel dimming sensor (Vly) oemB 71 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Orchard Park Lighting Page 58 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Town Newhall Library - 24500 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Electric Shed 1st Floor Rf#-105 Rm - Ext - Wall CF 1L wm wall pack FC, CFP-26w, CFL 4 NL020/wp/fc - New LED wall mounted full cut off wall pack, 50,000-Hr 4 Mount ballast L70 rated life, 20w (Cop) Building/Area: Main 1st Floor Rf#-1 Rm - Lobby 1x4x 1L rec trf (vol), FP54T5HO 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-2 Rm - Lobby CF 1L rec can 8", CFP-26w, CFL ballast 8 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 8 Hr L70 rated life (1) 8" trim kit Rf#-3 Rm - Lobby 1x4x 1L wall wash, FP54T5HC 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-4 Rm - Lobby MH 1L spot light, MH MR16 35W, HID 5 RL091/s/mr16 - (1) LED 7.5w MR16lamp, 4000K 5 ballast Rf#-5 Rm -Skylight MH 1L wm sconce, MH SOW, HID ballast 12 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 12 50,000-Hr rated life, 5000K, medium base Rf#-6 Rm - Teen Area CF 1L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 6 Hr L70 rated life (1) 8" trim kit Rf#-7 Rm - Teen Area 1x4x 2L rec trf (vol), FP54T5HO 54w, 20 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 20 electronic ballast HO driver 0-10v capable Rf#-8 Rm - Teen Area 1x2x 2L wm sconce, FP18T5 18w, 6 RL015/fkit/dal - (1) New LED module retrofit kit, 15w, , 120/277, 50,000- 6 electronic ballast Hr L70 rated life Rf#-9 Rm -Window 1x4x 1L wall wash, FP54T5HC 54w, 17 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 17 Ledges electronic ballast HO driver 0-10v capable Rf#-10 Rm -Window 1x4x 2L wall wash, FP54T5HC 54w, 8 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 8 Ledges electronic ballast HO driver 0-10v capable Rf#-11 Rm - Computer 1x4x 1L wall wash, FP54T5HC 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-12 Rm - Computer 1x4x 2L wall wash, FP54T5HC 54w, 8 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 8 electronic ballast HO driver 0-10v capable Rf#-13 Rm - Custodian 1x4x 2L rec trf (vol), FP54T5HO 54w, 1 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-14 Rm - 2nd Lobby CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 2 Hr L70 rated life (1) 8" trim kit Rf#-15 Rm - 2nd Lobby 1x4x 1L wall wash, FP54T5HO 54w, 10 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 10 electronic ballast HO driver 0-10v capable Rf#-16 Rm - RR Lobby CF 1L rec can 8", CFP-26w, CFL ballast 3 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 3 Hr L70 rated life (1) 8" trim kit Rf#-17 Rm - MRR CF 1L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 6 Hr L70 rated life (1) 8" trim kit W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Town Newhall Library Lighting Page 59 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Town Newhall Library - 24500 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-18 Rm - MRR 1x4x 1L wall wash, FP54T5HO 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-19 Rm - WRR CF 1L rec can 8", CFP-26w, CFL ballast 7 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 7 Hr L70 rated life (1) 8" trim kit Rf#-20 Rm - WRR 1x4x 1L wall wash, FP54T5HC 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-21 Rm - Meeting CF 1L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 1 Hr L70 rated life (1) 8" trim kit Rf#-22 Rm - Meeting 1x4x 2L rec trf (vol), FP54T5HO 54w, 17 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 17 electronic ballast HO driver 0-10v capable Rf#-23 Rm - Meeting 1x4x 1L wall wash, FP54T5HO 54w, 30 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 30 Cove electronic ballast HO driver 0-10v capable Rf#-24 Rm - Meeting 1x4x 1L wall wash, FP54T5HO 54w, 5 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 5 Pantry electronic ballast HO driver 0-10v capable Rf#-25 Rm - Storage 1x4x 2L rec trf (vol), FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Rf#-26 Rm - Kitchen 2x4x 2L rec trf (vol), FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Rf#-27 Rm - Homework 1x4x 1L pm fxt, FP54T5HO 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-28 Rm - Homework 1x4x 2L pm fxt, FP54T5HO 54w, 16 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 16 electronic ballast HO driver 0-10v capable Rf#-29 Rm - Homework 1x4x 2L rec trf (vol), FP54T5HO 54w, 8 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 8 electronic ballast HO driver 0-10v capable Rf#-30 Rm - Homework 1x4x 1L wall wash, FP54T5HC 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-31 Rm - Computer 1x4x 1L wall wash, FP54T5HO 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-32 Rm - Stacks - 1x4x 2L rec trf (vol), FP54T5HO 54w, 34 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 34 Children electronic ballast HO driver 0-10v capable Rf#-33 Rm - Stacks - 1x4x 1L wall wash, FP54T5HO 54w, 20 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 20 Children electronic ballast HO driver 0-10v capable Rf#-34 Rm - Stacks - 1x4x 1L sm strip, F32T8 28w, electronic 5 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 5 Children ballast driver 0-10v capable Rf#-35 Rm - Story Area CF 1L rec square 4P-Hz, CFP-28w, CFL 24 RL0111/h/dal - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr 24 ballast L70 rated life, horizontal Rf#-36 Rm - Story Tower LED 1L color change (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Driver Rf#-37 Rm - RR - Family 1x4x 1L wall wash, FP54T5HC 54w, 1 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Town Newhall Library Lighting Page 60 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Town Newhall Library - 24500 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-38 Rm-RR-Family CF 1L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 1 Hr L70 rated life (1) 8" trim kit Rf#-39 Rm - StaffWork 1x4x 2L rec trf (vol), FP54T5HO 54w, 20 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 20 Room electronic ballast HO driver 0-10v capable Rf#-40 Rm - StaffWork 1x4x 1L wall wash, FP54T5HC 54w, 9 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 9 Room electronic ballast HO driver 0-10v capable Rf#-41 Rm - StaffWork 1x4x 1L wall wash, FP54T5HC 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 Wind Ledge electronic ballast HO driver 0-10v capable Rf#-42 Rm - StaffWork 1x4x 1L under cabinet, FP54T5HO 54w, 3 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 3 electronic ballast HO driver 0-10v capable Rf#-43 Rm -Storage 1x4x 2L rec trf (vol), FP54T5HO 54w, 1 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-44 Rm - Manager - 1x4x 1L wall wash, FP54T5HO 54w, 2 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 Wind Ledge electronic ballast HO driver 0-10v capable Rf#-45 Rm - Manager 2x4x 2L rec trf (vol), FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Rf#-46 Rm - Back Hall 2x4x 2L rec trf (vol), FP54T5HO 54w, 1 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-47 Rm - Unknown 2x4x 2L rec trf (vol), FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Rf#-48 Rm - Stair 2 1x4x 1L wall wash, FP54T5HC 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-49 Rm - Stair 2 CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 2 Hr L70 rated life (1) 8" trim kit Rf#-50 Rm - Ext - Fire 1x4x 2L pm fxt, FP54T5HO 54w, 1 RLT542Hdw - (2) 4' LED T5 lamp 25w, Type B, direct wire, 50,000-Hr L70 1 Alam electronic ballast HO rated life, remove existing electronic ballast from service Rf#-51 Rm - Ext - Wall CF 2L wm wall pack, CFP-28w, CFL ballast 2 NL030/wp/fc - New LED wall pack (FC), 50,000-Hr L70 rated life, 30w 2 Mount (SYL) Rf#-52 Rm - RR1 1x4x 1L wall wash, FP54T5HO 54w, 1 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-53 Rm - RR1 CF 1L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 1 Hr L70 rated life (1) 8" trim kit Rf#-54 Rm - RR2 1x4x 1L wall wash, FP54T5HC 54w, 1 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-55 Rm - RR2 CF 1L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 1 Hr L70 rated life (1) 8" trim kit Rf#-56 Rm - Lounge 1x4x 1L wall wash, FP54T5HC 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 Window Ledge electronic ballast HO driver 0-10v capable Rf#-57 Rm - Lounge 1x4x 1L under cabinet, FP54T5HO 54w, 2 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Town Newhall Library Lighting Page 61 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Town Newhall Library - 24500 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-94 Rm - Ext - Pole MH 1L area light dome RdP Slvr, MH 14 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 14 Mount 150W, HID ballast 50w, onboard bilevel dimming sensor (Vly) oemB Rf#-95 Rm - Ext - Pole MH 1L post top acorn, MH 10OW, HID 21 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 21 Mount ballast life, 5000K, medium base Rf#-96 Rm - Ext-Ground MH 1L grnd mnt bollard, MH SOW, HID 5 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 5 Mnt ballast 50,000-Hr rated life, 5000K, medium base Rf#-97 Rm - Ext-In MH 1L grnd mnt up light, MH 32W, HID 35 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 35 Ground Mnt ballast 50,000-Hr rated life, 5000K, medium base Rf#-98 Rm - Ext - In Inc. 1L up light (pool light), Inc. 100w 6 RL055/pool - (1) White LED pool light 6 Fountain QH, n/a Rf#-99 Rm - Ext-In 1x4x 1L grnd mnt sign light, FP54T5HO 2 RLT541Hdw - (1) 4' LED T5 lamp 25w, Type B, direct wire, 50,000-Hr L70 2 Ground Mnt 54w, electronic ballast HO rated life, remove existing electronic ballast from service Rf#-100 Rm - Ext-In 1x4x 1L grnd mnt street sign light, 2 RLT541Hdw - (1) 4' LED T5 lamp 25w, Type B, direct wire, 50,000-Hr L70 2 Ground Mnt FP54T5HO 54w, electronic ballast HO rated life, remove existing electronic ballast from service Rf#-101 Rm - Ext-In CF 11-flood, grnd mnt for tree, CFP-32w, 16 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 16 Ground Mnt CFL ballast rated life, horizontal Rf#-102 Rm-Ext-Wall CF 1L wm step light, CFP-26w, CFL ballast 25 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 25 Mount rated life, horizontal Rf#-103 Rm - Ext - MH 1L spotlight, MH 32W, HID ballast 16 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated 16 Pergola Mount life, 5000K, medium base Rf#-104 Rm - Ext - CF 1L rec can ?", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 Pergola Mount L70 rated life (1) 8" trim kit 2nd Floor Rf#-58 Rm - Upper CF 1L rec can 8", CFP-26w, CFL ballast 5 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 5 Lobby Hr L70 rated life (1) 8" trim kit Rf#-59 Rm - MRR 1x4x 1L wall wash, FP54T5HC 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-60 Rm - MRR CF 1L rec can 8", CFP-26w, CFL ballast 4 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 4 Hr L70 rated life (1) 8" trim kit Rf#-61 Rm - WRR 1x4x 1L wall wash, FP54T5HO 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-62 Rm - WRR CF 1L rec can 8", CFP-26w, CFL ballast 4 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 4 Hr L70 rated life (1) 8" trim kit Rf#-63 Rm - Fireplace LED 1L wm sconce (City), LED ?w, LED 36 DND - DND: (do not do, fixtures left as is) 36 Driver Rf#-64 Rm - Ceiling 1x4x 2L sm strip, FP54T5HO 54w, 36 RLT542Hdal/hd - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) 36 Truss electronic ballast HO LED driver 0-10v capable Rf#-65 Rm - High Wall 1x4x 1L sm strip, FP54T5HO 54w, 6 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 6 electronic ballast HO driver 0-10v capable Rf#-66 Rm - South 1x4x 1L pm strip, FP54T5HO 54w, 24 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 24 Stacks electronic ballast HO driver 0-10v capable W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Town Newhall Library Lighting Page 62 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Town Newhall Library - 24500 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-67 Rm - South 1x4x 1L wall wash, FP54T5HO 54w, 2 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 Stacks electronic ballast HO driver 0-10v capable Rf#-68 Rm - North 1x4x 1L pm strip, FP54T5HO 54w, 72 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 72 Stacks electronic ballast HO driver 0-10v capable Rf#-69 Rm - North 1x4x 1L wall wash, FP54T5HC 54w, 12 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 12 Stacks electronic ballast HO driver 0-10v capable Rf#-70 Rm - North CF 1L rec can 8", CFP-26w, CFL ballast 3 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 3 Stacks Hr L70 rated life (1) 8" trim kit Rf#-71 Rm - Computer 1x4x 2L rec trf (vol), FP54T5HO 54w, 25 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 25 Area electronic ballast HO driver 0-10v capable Rf#-72 Rm - Reading 1x4x 2L rec trf (vol), FP54T5HO 54w, 30 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 30 Area electronic ballast HO driver 0-10v capable Rf#-73 Rm - Study 1 1x4x 2L rec trf (vol), FP54T5HO 54w, 4 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-74 Rm - Study 2 1x4x 2L rec trf (vol), FP54T5HO 54w, 4 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-75 Rm - Study 3 1x4x 2L rec trf (vol), FP54T5HO 54w, 4 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-76 Rm - Study 4 1x4x 2L rec trf (vol), FP54T5HO 54w, 4 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-77 Rm - Literacy 2x4x 2L rec trf (vol), FP54T5HO 54w, 12 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 12 electronic ballast HO driver 0-10v capable Rf#-78 Rm - Heritage 1x4x 1L rec trf (vol), FP54T5HO 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-79 Rm - Heritage LED 1L rec can (City), LED ?w, LED Driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-80 Rm - Heritage CF 1L wm sconce, CFP-18w, CFL ballast 4 RL0111/h/dal - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr 4 L70 rated life, horizontal Rf#-81 Rm - Stairs - East 1x4x 1L wall wash, FP54T5HO 54w, 7 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 7 electronic ballast HO driver 0-10v capable Rf#-82 Rm - Stairs - CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 2 West Hr L70 rated life (1) 8" trim kit Rf#-83 Rm - Stairs - 1x4x 1L wall wash, FP54T5HC 54w, 8 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 8 West electronic ballast HO driver 0-10v capable Rf#-84 Rm - Tower 1x4x 1L rec trf (vol), FP54T5HO 54w, 4 RLT541Hdal - (1) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 Access electronic ballast HO driver 0-10v capable Rf#-85 Rm - Back Hall 2x4x 2L rec trf (vol), FP54T5HO 54w, 4 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-86 Rm - Custodian - 2x4x 2L rec trf (vol), FP54T5HO 54w, 1 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 ext electronic ballast HO driver 0-10v capable W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Town Newhall Library Lighting Page 63 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Old Town Newhall Library - 24500 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-87 Rm - Staff 2x4x 2L rec trf (vol), FP54T5HO 54w, 7 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 7 electronic ballast HO driver 0-10v capable Rf#-88 Rm - Mech Hall 1x4x 2L sm strip, FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Rf#-89 Rm - Manager 2x4x 2L rec trf (vol), FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Rf#-90 Rm - Electrical 1x4x 2L sm strip, FP54T5HO 54w, 1 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-91 Rm - Boiler 1x4x 2L sm strip, FP54T5HO 54w, 1 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast HO driver 0-10v capable Rf#-92 Rm - Mechanical 1x4x 2L sm strip, FP54T5HO 54w, 4 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 4 electronic ballast HO driver 0-10v capable Rf#-93 Rm - Fire Riser 1x4x 2L sm strip, FP54T5HO 54w, 2 RLT542Hdal - (2) 4' LED bar lamp 25w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast HO driver 0-10v capable Building/Area: Trash Shed 1st Floor Rf#-106 Rm - Ext - Wall CF 1L wm wall pack FC, CFP-26w, CFL Mount ballast Qty for Old Town Newhall Library 897 L020/wp/fc - New LED wall mounted full cut off wall pack, 50,000-Hr 70 rated life, 20w (Cop) 897 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Old Town Newhall Library Lighting Page 64 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Other Sites/Parks (not listed on baseline) - PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Chesbrough Park 1st Floor Rf#-1 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 3 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 Mount - Parking 100w, onboard bilevel dimming sensor (Vly) oemB Rf#-2 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 8 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 8 Mount - Pathway 100w, onboard bilevel dimming sensor (Vly) oemB Rf#-3 Rm - RR Bldg MRR 1x4x 1L sm strip (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-4 Rm - RR Bldg WRR 1x4x 1L sm strip (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-5 Rm - RR Bldg 1x4x 1L sm strip (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Storage Rf#-6 Rm - RR Bldg 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Office ballast rated life, remove existing ballast from service Building/Area: Copper Hill Park 1st Floor Rf#-7 Rm - Ext - Pole MH 1L SB SqP DB, MH 400W, HID ballast 4 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount - Parking 100w, onboard bilevel dimming sensor (Vly) oemB Rf#-8 Rm - Ext - Pole MH 1L SB SqP DB, MH 250W, HID ballast 13 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 13 Mount - Pathway 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-9 Rm - All LED RR All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Bldg Building/Area: David March Park 1st Floor Rf#-10 Rm - Ext - Pole MH 1L SB SqP tenon 2-3/8 DB, MH 11 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 11 Mount Parkng 400W, HID ballast 100w, onboard bilevel dimming sensor (Vly) oemB Rf#-11 Rm - Ext - Pole MH 1L post top mushroom tenon 2-3/8, 4 NL071/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 4 Mount Play Area MH 250W, HID ballast life, 71w, onboard bilevel dimming sensor (VIS) oemB Rf#-12 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 Mount RR Bldg Driver Rf#-13 Rm - RR Bldg 1x4x 2L sm wp (City), TLED 4' ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 MRR driver Rf#-14 Rm - RR Bldg 1x4x 2L sm wp (City), TLED 4' ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 WRR driver Rf#-15 Rm - RR Bldg 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Storage ballast rated life, remove existing ballast from service Rf#-16 Rm - Ext - Ceiling MH 1L sm square, MH 150W, HID ballast 2 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 2 Mount RR Bldg (Max) Building/Area: Duane Hare Park 1st Floor W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control 'Parks (not listed on baseline) Lighting Page 65 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) Other Sites/Parks (not listed on baseline) - *CLIMATEC PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-17 Rm - Main Bldg All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-18 Rm - RR Bldg MRR All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-19 Rm - RR Bldg WRR All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-20 Rm - Ext - Ceiling Mount RR Bldg CF 2L sm square, CFP-26w, CFL ballast 3 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (Max) 3 Rf#-21 Rm - Ext-Pole Mnt - walkway LED. 1L deco bell, LED ?w, CFL ballast 17 DND - DND: (do not do, fixtures left as is) 17 Building/Area: Fair Oaks Park 1st Floor Rf#-22 Rm - All Int and All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Ext Space Building/Area: Golden Valley Park 1st Floor _] Rf#-23 Rm - All Int and All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Ext Space Building/Area: Iron Horse Trailhead 1st Floor Rf#-24 Rm - All Int and DND (do not do, left as is) no lighting DND - DND: (do not do, fixtures left as is) 0 Ext Space here, n/a, n/a Building/Area: Market Place Park 1st Floor _] Rf#-25 Rm - All Int and All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Ext Space Building/Area: Northbridge Park 1st Floor Rf#-26 Rm - All Int and All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Ext Space Building/Area: Valencia Library 1st Floor Rf#-27 Rm - Lobby LED 1L rec can (City), LED ?w, LED Driver 5 DND - DND: (do not do, fixtures left as is) 5 Rf#-28 Rm - WRR CF 2L rec can 8", CFP-18w, CFL ballast 3 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 3 Hr L70 rated life (1) 8" trim kit Rf#-29 Rm - WRR 1x4x 1L sm strip (cove), F32T8 32w, 12 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 12 electronic ballast driver 0-10v capable Rf#-30 Rm - MRR CF 2L rec can 8", CFP-18w, CFL ballast 5 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 5 Hr L70 rated life (1) 8" trim kit W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control 'Parks (not listed on baseline) Lighting Page 66 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Other Sites/Parks (not listed on baseline) - PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-31 Rm - MRR 1x4x 1L sm strip (cove), F32T8 32w, 8 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 8 electronic ballast driver 0-10v capable Rf#-32 Rm - Main 1x4x 2L pm fxt, F32T8 32w, electronic 160 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 160 ballast driver 0-10v capable Rf#-33 Rm - Main 2x4x 3L rec trf, F32T8 32w, electronic 100 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 100 ballast driver 0-10v capable Rf#-34 Rm - Main CF 1L sq wall wash 4P-HZ, CFP-32w, CFL 8 RL0111/h/dal - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr 8 ballast L70 rated life, horizontal Rf#-35 Rm - Book Store 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-36 Rm - Study A 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-37 Rm - Study B 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-38 Rm - Staff - at 2x4x 3L rec trf, F32T8 32w, electronic 8 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 8 desk ballast driver 0-10v capable Rf#-39 Rm - Office 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-40 Rm - Staff RR CF 2L rec can 8", CFP-18w, CFL ballast 2 RL012/ckit/6t8/dal - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000- 2 Hr L70 rated life (1) 8" trim kit Rf#-41 Rm - Staff RR 1x4x 1L sm strip (cove), F32T8 32w, 2 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-42 Rm - Community CF 2L rec can 10", CFP-18w, CFL ballast 10 RL017/ckit/8t10/dal - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 10 Room 50,000-Hr L70 rated life (1) 10" trim kit Rf#-43 Rm - Community CF 1L sq wall wash 4P-HZ, CFP-32w, CFL 10 RL0111/h/dal - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr 10 Room ballast L70 rated life, horizontal Rf#-44 Rm - Community 1x4x 2L pm fxt, F32T8 32w, electronic 14 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 14 Room ballast driver 0-10v capable Rf#-45 Rm -Storage 2x4x 3L rec trf, F32T8 32w, electronic 1 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-46 Rm - Kitchen 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-47 Rm - Lounge 2x4x 3L rec trf, F32T8 32w, electronic 6 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 6 ballast driver 0-10v capable Rf#-48 Rm -Data 2x4x 3L rec trf, F32T8 32w, electronic 1 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-49 Rm - Back Hall 1 2x4x 3L rec trf, F32T8 32w, electronic 3 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 3 ballast driver 0-10v capable Rf#-50 Rm- Stairs 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control 'Parks (not listed on baseline) Lighting Page 67 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Other Sites/Parks (not listed on baseline) - PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-52 Rm - Back Hall 2 2x4x 3L rec trf, F32T8 32w, electronic 5 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 5 ballast driver 0-10v capable Rf#-53 Rm - Staff RR 1x4x 2L sm strip, F32T8 32w, electronic 2 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-54 Rm - Custodian 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-55 Rm - Office - 2x4x 3L rec trf, F32T8 32w, electronic 3 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 3 Shannon ballast driver 0-10v capable Rf#-56 Rm - Office 2 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-57 Rm - Office 3 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-58 Rm - Office 4 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-59 Rm - Office 5 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-60 Rm - Back Work 2x4x 3L rec trf, F32T8 32w, electronic 24 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 24 Room ballast driver 0-10v capable Rf#-61 Rm - Closet 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-62 Rm - Office 2x4x 3L rec trf, F32T8 32w, electronic 2 RLT843dal - (3) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 2 ballast driver 0-10v capable Rf#-63 Rm - Small CF 2L rec can 10", CFP-18w, CFL ballast 1 RL017/ckit/8t10/dal - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 1 Storage 1 50,000-Hr L70 rated life (1) 10" trim kit Rf#-64 Rm -Small CF 2L rec can 10", CFP-18w, CFL ballast 1 RL017/ckit/8t10/dal - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 1 Storage 2 50,000-Hr L70 rated life (1) 10" trim kit Rf#-65 Rm-Small CF 2L rec can 10", CFP-18w, CFL ballast 1 RL017/ckit/8t10/dal - (1) LED 8" rec can kit, 4000K, 17w, 120/277, 1 Storage 3 50,000-Hr L70 rated life (1) 10" trim kit Rf#-66 Rm - Riser 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dal - (1) 4' LED bar lamp 10.5w, 50,000-Hr L70 rated life, (1) LED 1 ballast driver 0-10v capable Rf#-67 Rm - Ext - Wall LED 1L wm sconce (City), LED ?w, LED 7 DND - DND: (do not do, fixtures left as is) 7 Mount Driver Rf#-68 Rm - Ext - Ceiling LED 1L rec can (City), LED ?w, LED Driver 7 DND - DND: (do not do, fixtures left as is) 7 Mount Rf#-69 Rm - Ext - Pole LED 1L shoe box (City), LED ?w, LED 6 DND - DND: (do not do, fixtures left as is) 6 Mount Driver 2nd Floor Rf#-51 Rm - upper area 1x4x 2L sm strip, F32T8 32w, electronic 8 RLT842dal - (2) 4' LED bar lamps 10.5w, 50,000-Hr L70 rated life, (1) LED 8 ballast driver 0-10v capable Building/Area: Veterans Park 1st Floor W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control 'Parks (not listed on baseline) Lighting Page 68 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Other Sites/Parks (not listed on baseline) - PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-70 Rm - Ext - Pole Mount - Pathway MH 1L post top acorn, MH 100W, HID ballast 24 RL0341/s/md - (1) LED 34w A23 screw in lamp, 120/277, 50,000-Hr rated life, 5000K, medium base 24 Rf#-71 Rm - Ext - In Ground Mount Pathway MH 11-flood, flag, MH 70W, HID ballast 8 RL0241/s/grd - (1) LED 24w corn cob style screw in lamp, 120/277, 50,000-Hr rated life, 5700K, medium base 8 Rf#-72 Rm - Ext - Wall Mount Pergola Ind. 1L wm wall pack, Ind 40W, Induction generator 8 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w (MAX) 8 Building/Area: West Creek Park 1st Floor Rf#-73 Rm - Ext - Pole LED 1L shoe box (City), LED ?w CC, LED 20 DND - DND: (do not do, fixtures left as is) 20 Mount Pathway Driver Rf#-74 Rm - RR Bldg 1x4x 2L sm wp (City), TLED 4' ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 MRR driver Rf#-75 Rm - RR Bldg 1x4x 2L sm wp (City), TLED 4' ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 WRR driver Rf#-76 Rm - RR Bldg 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 storage ballast rated life, remove existing ballast from service Rf#-77 Rm - Ext - Eve Ind. 1L sm square, Ind 40W, Induction 2 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 2 Mount RR Bldg generator (Max) Rf#-78 Rm - Ext - Wall CF 1L wm wall pack FC, CFP-32w, CFL 2 NL020/wp/fc - New LED wall mounted full cut off wall pack, 50,000-Hr 2 Mount RR Bldg ballast L70 rated life, 20w (Cop) Qty for Other Sites/Parks (not listed on baseline) : 596 596 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control 'Parks (not listed on baseline) Lighting Page 69 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Pacific Crest Park - 29051 GARNET CANYON DR. PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - All LED All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Building/Area: Parking 1st Floor Rf#-2 Rm - Ext - Pole LED. 1L deco bell, LED ?w, Induction 11 DND - DND: (do not do, fixtures left as is) 11 Mount generator Qty for Pacific Crest Park : 11 11 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Pacific Crest Park Lighting Page 70 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Pampalico Park - 22444 PAMPALICO DR. PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 250W, 2 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 2 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Ind. 1L post top mushroom, tenon 2-3/8, NL052/pst/s - New LED area light, post top mount, 100,000-Hr L70 rated 18 Mount ind 165W, Induction generatorlife, n 52w, onboard bilevel dimming sensor (VIS) oemB Building/Area: RR 1st Floor Rf#-3 Rm - MRR 1x4x 1L sm strip (City), LED ?w, LED driver 3 DND - DND: (do not do, fixtures left as is) 3 Rf#-4 Rm - WRR 1x4x 1L sm strip (City), LED ?w, LED driver 3 DND - DND: (do not do, fixtures left as is) 3 Rf#-5 Rm - Storage 1x4x 2L sm wp, F32T8 32w, electronic ballast 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 2 Rf#-6 Rm - Ext - Eve Mount Ind. 1L sm square, Ind 40W, Induction generator 10 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (Max) 10 Qty for Pampalico Park : 38 38 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Pampalico Park Lighting Page 71 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Parking Garage - 225519TH ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: All Areas All Rf#-1 Rm - All Interior DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 Space Rf#-2 Rm - All Exterior DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 Space Qty for Parking Garage : W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Parking Garage Lighting Page 72 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Santa Clarita Park - 27285 SECO CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Baseball Fields 1st Floor Rf#-24 Rm - Ext - Pole MH 1L flood, yoke, MH 150W, HID ballast 1 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 1 Mount 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-25 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole Al ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-26 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole A2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-27 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole 131 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-28 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 6 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 6 Mnt Baseball - Pole B2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-29 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole C1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-30 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 8 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 8 Mnt Baseball - Pole C2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Basketball 1st Floor Rf#-23 Rm - Ext - Pole MH 1L area light spec bracket, MH 4 NL300/p/s/tn - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount 1000W, HID ballast 300w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Main 1st Floor Rf#-1 Rm - Main 1x4x 2L sm wp, F32T8 32w, electronic 26 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 26 ballast rated life, remove existing ballast from service Rf#-2 Rm - Hall 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-3 Rm - MRR 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-4 Rm - WRR 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-5 Rm - Closet 1 Inc. 1L bare bulb, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-6 Rm - Closet 2 1x4x 1L sm strip, F40T12 34w, magnetic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-7 Rm - Office 1x4x 2L sm wp, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-8 Rm - Closet 3 1x4x 1L sm strip, F40T12 34w, magnetic 2 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-9 Rm - Storage 1 Inc. 1L bare bulb, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Santa Clarita Park Lighting Page 73 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Santa Clarita Park - 27285 SECO CANYON RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-10 Rm - Storage 2 Inc. 1L bare bulb, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-11 Rm - Storage 3 Inc. 1L bare bulb, Inc. 40w A19, n/a 1 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 1 Rf#-12 Rm - Storage 4 1x4x 2L sm wp, F32T8 32w, electronic ballast 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 4 Rf#-13 Rm - MRR 1x4x 2L vapor tight, F32T8 32w, electronic ballast 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 2 Rf#-14 Rm - WRR 1x4x 2L vapor tight, F32T8 32w, electronic ballast 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 2 Rf#-15 Rm - Ext - Eve Mount LED 1L sm square (City), LED ?w, LED Driver 6 DND - DND: (do not do, fixtures left as is) 6 Rf#-16 Rm - Ext - Wall Mount LED 1L wm wall pack (City), LED ?w, LED Driver 6 DND - DND: (do not do, fixtures left as is) 6 Rf#-17 Rm - Ext-Bldg Mnt (walls) MH 1L wm wall pack, MH 250W, HID ballast 1 NL050/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 50w (MAX) 1 Building/Area: Pool Bldg 1st Floor Rf#-18 Rm - Interior All LED (City), LED ?w, LED Driver DND - DND: (do not do, fixtures left as is) 0 Rf#-19 Rm - Interior CF 1L wm wall pack, CFP-26w, CFL ballast 5 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 5 (MAX) Rf#-20 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 6 DND - DND: (do not do, fixtures left as is) 6 Mount Driver Rf#-21 Rm - Ext - Pole MH 1L flood, tenon 2-3/8, MH 250W, 6 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 6 Mount HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-22 Rm - Ext - Pole LED 1L flood, tenon 2-3/8 (City), LED ?w, 2 DND - DND: (do not do, fixtures left as is) 2 Mount LED Driver Qty for Santa Clarita Park : 129 129 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Santa Clarita Park Lighting Page 74 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Centre & Gymnasium - 20880 CENTRE POINTE DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Basketball 1st Floor Rf#-43 Rm - Ext - Pole MH 1Lflood, sports, MH 1000W, HID 4 NL300/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount (basketball) ballast 300w, onboard bilevel dimming sensor (Vly) oemB Rf#-44 Rm - Ext - Pole MH 1L flood, tenon 2-3/8, MH 400W, 2 NL150/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 2 Mount HID ballast 150w, onboard bilevel dimming sensor (Vly) oemB Rf#-45 Rm - Ext - Pole MH 1L pm deco ("bellish" look), MH 2 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 2 Mount 150W, HID ballast rated life, 50w (Xtr) Building/Area: Gazebo 1 1st Floor Rf#-47 Rm - Ext - Ceiling CF 2L sm square, CFP-26w, CFL ballast 12 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 12 Mount (Max) Building/Area: Gazebo 2 1st Floor Rf#-48 Rm - Ext - Ceiling CF 2L sm square, CFP-26w, CFL ballast 12 NL020/sq/mx - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w 12 Mount (Max) Building/Area: Gym - Carvello 1st Floor Rf#-49 Rm - Lobby CF 1L pm fxt, CFP-26w, CFL ballast 6 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 6 rated life, horizontal Rf#-50 Rm - Lobby CF 1L rec can 8", CFP-26w, CFL ballast 15 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 15 L70 rated life (1) 8" trim kit Rf#-51 Rm -Storage 1x4x 2L sm strip, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-52 Rm - MRR CF 1L rec can 8", CFP-26w, CFL ballast 15 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 15 L70 rated life (1) 8" trim kit Rf#-53 Rm - WRR CF 1L rec can 8", CFP-26w, CFL ballast 15 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 15 L70 rated life (1) 8" trim kit Rf#-54 Rm - Reception 2x2x 2L rec trf, F17T8 17w, electronic 12 RLT822dw - (2) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 12 ballast remove existing electronic ballast from service Rf#-55 Rm - Office 2x2x 2L rec trf, F17T8 17w, electronic 2 RLT822dw - (2) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-56 Rm - Office CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-57 Rm - Main Floor CF 1L rec can 8", CFP-26w, CFL ballast 10 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 10 L70 rated life (1) 8" trim kit Rf#-58 Rm - Main Floor LED 1L pm high bay (City), LED ?w, LED 20 DND - DND: (do not do, fixtures left as is) 20 Driver Rf#-59 Rm - Storage 1 1x4x 2L sm strip, F32T8 32w, electronic 5 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Centre & Gymnasium Lighting Page 75 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Centre & Gymnasium - 20880 CENTRE POINTE DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-60 Rm - Racquetball MH 1L rec square 2x2, MH 400W, HID 6 RL100/s/mg - (1) LED 100w corn cob style screw in lamp, 120/277, 6 Ct 1 ballast 50,000-Hr rated life, 5000K, mogul base Rf#-61 Rm - Racquetball MH 1L rec square 2x2, MH 400W, HID 6 RL100/s/mg - (1) LED 100w corn cob style screw in lamp, 120/277, 6 Ct 2 ballast 50,000-Hr rated life, 5000K, mogul base Rf#-62 Rm - Racquetball MH 1L rec square 2x2, MH 400W, HID 6 RL100/s/mg - (1) LED 100w corn cob style screw in lamp, 120/277, 6 Ct 3 ballast 50,000-Hr rated life, 5000K, mogul base Rf#-63 Rm - Racquetball MH 1L rec square 2x2, MH 400W, HID 6 RL100/s/mg - (1) LED 100w corn cob style screw in lamp, 120/277, 6 Ct 4 ballast 50,000-Hr rated life, 5000K, mogul base Rf#-64 Rm - Storage 2 1x4x 2L sm strip, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-66 Rm - MRR CF 1L rec can 8", CFP-26w, CFL ballast 14 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 14 L70 rated life (1) 8" trim kit Rf#-67 Rm - MRR 1x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-68 Rm - WRR CF 1L rec can 8", CFP-26w, CFL ballast 14 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 14 L70 rated life (1) 8" trim kit Rf#-69 Rm - WRR 1x4x 2L rec trf, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-70 Rm - Storage 4 1x4x 2L sm strip, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-71 Rm - Fire 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-72 Rm - Data 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-74 Rm - Ext - Eve CF 1L rec can 8", CFP-26w, CFL ballast 4 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 4 Mount L70 rated life (1) 8" trim kit Rf#-75 Rm - Ext-Bldg HPS 1L wm sonce Wht, HPS 70W, HID 10 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 10 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-76 Rm - Ext-Bldg HPS 1L wm wall pack FC, HPS 70W, HID 11 NL030/wp/fc - New LED wall pack (FC), 50,000-Hr L70 rated life, 30w 11 Mnt (walls) ballast (SYL) Rf#-77 Rm - Ext - Pole MH 1L pm deco ("bellish" look), MH 9 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 9 Mount 150W, HID ballast rated life, 50w (Xtr) 2nd Floor Rf#-65 Rm - Mezzanine 1x4x 2L sm strip, F32T8 32w, electronic 7 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 7 A ballast rated life, remove existing ballast from service Rf#-73 Rm - Mezzanine 1x4x 2L sm wp, F32T8 32w, electronic 8 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 B ballast rated life, remove existing ballast from service Building/Area: Parking 1st Floor Rf#-78 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 15 ��NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 15 Mount (Parking South) 70w, onboard bilevel dimming sensor (Vly) oemB W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Centre & Gymnasium Lighting Page 76 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Centre & Gymnasium - 20880 CENTRE POINTE DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-79 Rm - Ext-Ground HPS 1L grnd mnt bollard, HPS 70W, HID 21 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 21 Mount - (Pathway Pool to ballast 50,000-Hr rated life, 5000K, medium base Gym) Rf#-80 Rm - Ext - Pole MH 1L pm deco ("bellish" look), MH 16 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 16 Mount - (Pathway Pool of 150W, HID ballast rated life, 50w (Xtr) Basketball) Building/Area: Parking - Basketball 1st Floor Rf#-46 Rm - Ext - Pole HPS 1L SB SqP DB, HPS 400W, HID ballast 15 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 15 Mount 70w, onboard bilevel dimming sensor (Vly) oemB Building/Area: The Centre 1st Floor Rf#-1 Rm - Lobby CF 1L rec can 8", CFP-26w, CFL ballast 7 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 7 L70 rated life (1) 8" trim kit Rf#-2 Rm - Office 1 2x2x 2L sm box, FB31T8 32w U6, 5 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 5 electronic ballast life, remove existing electronic ballast Rf#-3 Rm - Office 2 2x2x 2L sm box, FB31T8 32w U6, 1 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 1 electronic ballast life, remove existing electronic ballast Rf#-4 Rm - Office 3 2x2x 2L sm box, FB31T8 32w U6, 4 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 4 electronic ballast life, remove existing electronic ballast Rf#-5 Rm - Alcove CF 1L pm fxt, CFS-14w, CFL ballast 5 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 5 Rf#-6 Rm - FACP 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-7 Rm - Storage 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-8 Rm - WRR CF 1L rec can 8", CFP-26w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life (1) 8" trim kit Rf#-9 Rm - WRR 1x4x 2L wm wall wash, F32T8 32w, 7 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 7 electronic ballast rated life, remove existing ballast from service Rf#-10 Rm - MRR CF 1L rec can 8", CFP-26w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life (1) 8" trim kit Rf#-11 Rm - MRR 1x4x 2L wm wall wash, F32T8 32w, 7 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 7 electronic ballast rated life, remove existing ballast from service Rf#-12 Rm - RR Lobby CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 L70 rated life (1) 8" trim kit Rf#-13 Rm - RR Lobby 1x4x 2L wm wall wash, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-14 Rm - Hall CF 1L rec can 8", CFP-26w, CFL ballast 12 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 12 L70 rated life (1) 8" trim kit Rf#-15 Rm - Hall 1x4x 2L wm wall wash, F32T8 32w, 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 electronic ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Centre & Gymnasium Lighting Page 77 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Centre & Gymnasium - 20880 CENTRE POINTE DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-16 Rm - Hall Inc. 1L rec can 4", Inc. 35w MR16, n/a 7 RL091/s/mr16 - (1) LED 7.5w MR16 lamp, 4000K 7 Rf#-17 Rm - Hall 2x4x 2L rec trf, F32T8 32w, electronic 11 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 11 ballast rated life, remove existing ballast from service Rf#-18 Rm - Dance CF 1L rec can 8", CFP-26w, CFL ballast 12 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 12 L70 rated life (1) 8" trim kit Rf#-19 Rm - Janitor 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-20 Rm - Classroom 1 Inc. 1L rec can 4", Inc. 35w MR16, n/a 1 RL091/s/mr16 - (1) LED 7.5w MR16 lamp, 4000K 1 Rf#-21 Rm - Classroom 1 2x4x 2L rec trf, F32T8 32w, electronic 7 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 7 ballast rated life, remove existing ballast from service Rf#-22 Rm - Classroom 1 1x2x 2L sm wp, F17T8 17w, electronic 1 RLT822dw - (2) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 1 ballast remove existing electronic ballast from service Rf#-23 Rm - Conference 1x4x 1L sm strip (cove), F32T8 32w, 12 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 electronic ballast rated life, remove existing ballast from service Rf#-24 Rm - Reservation 1x4x 2L sm wp, F32T8 32w, electronic 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 ballast rated life, remove existing ballast from service Rf#-25 Rm - Youth Spirit 2x2x 2L sm box, FB31T8 32w U6, 6 RLT822udw - (2) 2' LED T8 "U" lamp 12w, Type B, 50,000-Hr L70 rated 6 electronic ballast life, remove existing electronic ballast Rf#-26 Rm - Youth Spirit CF 1L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 L70 rated life (1) 8" trim kit Rf#-27 Rm - Kitchen 1x2x 2L sm wp, F17T8 17w, electronic 2 RLT822dw - (2) 2' LED T8 lamp 7w, Type B, 50,000-Hr L70 rated life, 2 ballast remove existing electronic ballast from service Rf#-28 Rm - Sycamore Inc. 1L chandolier, Inc. 60w A19, n/a 8 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 8 Dining Rf#-29 Rm - Sycamore CF 1L wm sconce, CFP-28w, CFL ballast 10 RL0111/h - (1) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 10 Dining rated life, horizontal Rf#-30 Rm - Sycamore 1x4x 1L sm strip (cove), F32T8 32w, 80 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 80 Dining electronic ballast rated life, remove existing ballast from service Rf#-31 Rm - Closet CF 1L sm dome circline, FC22w circline, 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 CFL ballast Rf#-32 Rm - Oak 1x4x 1L sm strip (cove), F32T8 32w, 52 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 52 Classroom electronic ballast rated life, remove existing ballast from service Rf#-33 Rm - Oak 2x4x 3L rec trf, F32T8 32w, electronic 12 RLT843dw - (3) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 Classroom ballast rated life, remove existing ballast from service Rf#-34 Rm - Oak CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 Classroom L70 rated life (1) 8" trim kit Rf#-35 Rm -Storage 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Centre & Gymnasium Lighting Page 78 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Centre & Gymnasium - 20880 CENTRE POINTE DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-37 Rm - Ext - CF 1L rec can 8", CFP-26w, CFL ballast 2 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 2 Vending L70 rated life (1) 8" trim kit Rf#-38 Rm - Ext-Bldg HPS 1L wm sonce Wht, HPS 70W, HID 20 NL026/scn/dn - New LED wall mounted sconce down light only, 50,000- 20 Mnt (walls) ballast Hr L70 rated life, 26w (Syl) Rf#-39 Rm - Ext - Wall LED 1L wm wall pack (City), LED ?w, LED 1 DND - DND: (do not do, fixtures left as is) 1 Mount Driver Rf#-40 Rm - Ext - Wall CF 2L wm dome, CFP-26w, CFL ballast 1 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 1 Mount (MAX) Rf#-41 Rm - Ext-Bldg HPS 1Lflood, yoke, HPS 150W, HID 1 NL035/fld - New LED flood light, 30w, knuckle mount 5,000K (SYL) 1 Mnt (walls) ballast Rf#-42 Rm - Ext - Eve CF 1L rec can 8", CFP-26w, CFL ballast 6 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 6 Mount L70 rated life (1) 8" trim kit 2nd Floor Rf#-36 Rm - Attic 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Qty for The Centre & Gymnasium : 665 665 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Centre & Gymnasium Lighting Page 79 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC The Main - 24266 MAIN ST PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-1 Rm - Hall / Bar 1x4x 1L sm wp (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-2 Rm - Hall / Bar CF 1L rec can ?", CFP-26w, CFL ballast 15 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr L70 rated life (1) 8" trim kit L-D 15 Rf#-3 Rm - RR1 CF 2L sm dome, CFS-14w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-4 Rm - RR2 CF 2L sm dome, CFS-14w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-5 Rm - RR3 CF 2L sm dome, CFS-14w, CFL ballast 1 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 1 Rf#-6 Rm - Dressing LED 1L bare bulb -makeup (City), LED ?w G25, LED Driver sc 26 DND - DND: (do not do, fixtures left as is) 26 Rf#-7 Rm - Dressing 1x4x 2L rec trf, F32T8 32w, electronic ballast 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 3 Rf#-8 Rm - Seating Inc. 1L wm sconce, Inc. 40w A19, n/a 6 RL091/s/mr16 - (1) LED 7.5w MR16 lamp, 4000K 6 Rf#-9 Rm - Stair Inc. 1L wm sconce, Inc. 40w A19, n/a 2 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 2 Rf#-10 Rm - Office LED 1L LED track light (City), LED ?w, LED Driver 6 DND - DND: (do not do, fixtures left as is) 6 Rf#-11 Rm - Closet 1x4x 1L sm wp (City), LED ?w, LED driver 1 DND - DND: (do not do, fixtures left as is) 1 Rf#-12 Rm - Ext - Wall Mount LED 1L sm square (City), LED ?w, LED Driver 2 DND - DND: (do not do, fixtures left as is) 2 Rf#-13 Rm - Ext - Ceiling Mount Inc. 1L rec sgaure, Inc. 40w A19, n/a 2 RL091/s - (1) LED 8.5w A19 screw in lamp, 4000K 2 Rf#-14 Rm - Ext - Marquee 8L Marquee, F40T12 34w, magnetic ballast 1 RLT848dw - (8) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing ballast from service 1 Qty for The Main : 68 68 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control The Main Lighting Page 80 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Todd Longshore Park - 28151 Whites Canyon Rd PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L deco bell, Ind 200W, Induction 5 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 5 Mount generator rated life, 50w (Xtr) Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Ind. 1L deco bell, Ind 200W, Induction 16 NL050/xkit - New LED retrofit module for area lighting, 50,000-Hr L70 16 Mount generator rated life, 50w (Xtr) Building/Area: Pergola and Gazebo 1st Floor Rf#-7 Rm - Ext - Wall CF 1L wm vandal HZ, CFP-32w, CFL 8 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 8 Mount (Pergola A) ballast in 120/277v photo cell (Ray) Rf#-8 Rm - Ext - Wall CF 1L sm sciaure, CFP-32w, CFL ballast 8 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 8 Mount (Pergola A) in 120/277v photo cell (Ray) Rf#-9 Rm - Ext - Wall CF 1L wm vandal HZ, CFP-32w, CFL 8 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 8 Mount (Pergola B) ballast in 120/277v photo cell (Ray) Rf#-10 Rm - Ext - Wall CF 1L sm sgaure, CFP-32w, CFL ballast 8 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 8 Mount (Pergola B) in 120/277v photo cell (Ray) Rf#-11 Rm - Ext - Eve CF 1L sm sgaure, CFP-32w, CFL ballast 6 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 6 Mount (Gazebo A) in 120/277v photo cell (Ray) Rf#-12 Rm - Ext - Eve CF 1L sm sgaure, CFP-32w, CFL ballast 6 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 6 Mount (Gazebo B) in 120/277v photo cell (Ray) Building/Area: RR 1st Floor Rf#-3 Rm - MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-4 Rm - WRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-5 Rm - Storage 1x4x 2L sm vapor tight (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-6 Rm - Ext - Eve CF 1L sm sgaure, CFP-32w, CFL ballast 10 NL017/eye - New LED eylid wall pack, 50,000-Hr L70 rated life, 17w, built 10 Mount in 120/277v photo cell (Ray) Qty for Todd Longshore Park : 81 81 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Todd Longshore Pork Lighting Page 81 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Bus Maint 1st Floor Rf#-118 Rm - Bus Bays 1x8x 6L pm ind hood (City), TLED 4' ?w, 52 DND - DND: (do not do, fixtures left as is) 52 LED driver Rf#-119 Rm - Bus Bays 1x4x 2L sm ind hood, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-120 Rm - Bus Bays 1x8x 4L pm ind hood (City), TLED 4' ?w, 1 DND - DND: (do not do, fixtures left as is) 1 LED driver Rf#-121 Rm - Bus Bays 1x8x 4L sm ind hood, F32T8 32w, 9 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 electronic ballast rated life, remove existing ballast from service Rf#-122 Rm - Bus Bays 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-123 Rm - Bus Bays CF 2L rec can 8", CFP-26w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life (1) 8" trim kit Rf#-124 Rm - Office - 1x8x 4L pm di/di, F32T8 32w, electronic 1 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Super ballast rated life, remove existing ballast from service Rf#-125 Rm - Office - 1x4x 2L pm fxt, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 Super ballast rated life, remove existing ballast from service Rf#-126 Rm - Hall 1x8x 4L pm di/di, F32T8 32w, electronic 3 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-127 Rm - Hall CF 2L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-128 Rm - Parts 1x8x 6L pm ind hood (City), TLED 4' ?w, 19 DND - DND: (do not do, fixtures left as is) 19 LED driver Rf#-129 Rm - Office - 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Parts Mgr ballast rated life, remove existing ballast from service Rf#-130 Rm -WRR 1x4x 2L pm di/di, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-131 Rm - WRR CF 2L rec can 8", CFP-26w, CFL ballast 7 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 7 L70 rated life (1) 8" trim kit Rf#-132 Rm -MRR 1x4x 2L pm di/di, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-133 Rm - MRR CF 2L rec can 8", CFP-26w, CFL ballast 5 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 5 L70 rated life (1) 8" trim kit Rf#-134 Rm - MRR 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-135 Rm - Custodian 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-136 Rm - Mens 1x4x 2L pm di/di, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 Locker ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 82 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-137 Rm - Mens MH 1L pm fxt, MH 70W, HID ballast 11 RL0161/s/md - (1) LED 16w corn cob style screw in lamp, 120/277, 11 Shower 50,000-Hr rated life, 5000K, medium base Rf#-138 Rm - Maint 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Admin ballast rated life, remove existing ballast from service Rf#-139 Rm - Maint 1x4x 2L pm fxt, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 Admin ballast rated life, remove existing ballast from service Rf#-140 Rm- 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Conference ballast rated life, remove existing ballast from service Rf#-141 Rm - Storage 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-142 Rm - Maint 1x8x 4L pm di/di, F32T8 32w, electronic 1 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Director ballast rated life, remove existing ballast from service Rf#-143 Rm - Maint 1x4x 2L pm fxt, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Director ballast rated life, remove existing ballast from service Rf#-144 Rm - Break 1x4x 2L pm di/di, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-145 Rm - Break 1x4x 2L pm fxt, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-146 Rm - Training 1x4x 2L pm di/di, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-147 Rm - Training 1x4x 2L pm fxt, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-148 Rm - Lubricants 1x4x 1L pm fxt (City), LED ?w, LED driver 6 DND - DND: (do not do, fixtures left as is) 6 Rf#-149 Rm - Tool 1x4x 2L sm ind hood, F32T8 32w, 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 Storage electronic ballast rated life, remove existing ballast from service Rf#-150 Rm - Welding 1x4x 2L sm ind hood, F32T8 32w, 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 electronic ballast rated life, remove existing ballast from service Rf#-151 Rm - Maint 1x4x 2L sm ind hood, F32T8 32w, 8 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 Shop electronic ballast rated life, remove existing ballast from service Rf#-152 Rm - Bus 1x4x 2L sm ind hood, F32T8 32w, 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 Battery electronic ballast rated life, remove existing ballast from service Rf#-153 Rm - Gas 1x4x 2L sm ind hood, F32T8 32w, 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 electronic ballast rated life, remove existing ballast from service Rf#-155 Rm - Ext - Eve LED 1L sm canopy (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Mount Driver Lower Level Rf#-154 Rm - Downstairs 1x4x 2L vapor tight, F32T8 32w, �17 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 20 electronic ballast rated life, remove existing ballast from service Building/Area: Bus Wash 1st Floor W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 83 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-106 Rm - Bus Wash LED 1L pm high bay (City), LED ?w, LED Driver 4 DND - DND: (do not do, fixtures left as is) 4 Rf#-107 Rm - Bus Wash 1x8x 4L sm vapor tight, FP54T5HO 54w, electronic ballast HO 10 RLT544Hdw - (4) 4' LED T5 lamp 25w, Type B, direct wire, 50,000-Hr L70 rated life, remove existing electronic ballast from service 10 Building/Area: Fuel Area 1st Floor Rf#-108 Rm - Pumps 1x8x 4L sm vapor tight, F32T8 32w, 20 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 20 electronic ballast rated life, remove existing ballast from service Rf#-109 Rm - Pumps MH 1L pm high bay, MH 150W, HID 4 NL080/hb/s/x - New LED area light, high bay, 50,000-Hr L70 rated life, 4 ballast 80w, onboard bilevel dimming sensor (?) oemB Rf#-110 Rm - UFS 1x4x 2L sm ind hood (City), TLED 4' ?w, 2 DND - DND: (do not do, fixtures left as is) 2 LED driver Rf#-111 Rm - LAN 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-112 Rm - RR 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-113 Rm -Fuel 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Computer ballast rated life, remove existing ballast from service Rf#-114 Rm - Vaccum 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-115 Rm - Utility 1 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-116 Rm - Utility 2 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-117 Rm -Tires MH 1L pm high bay, MH 150W, HID 2 NL080/hb/s/x - New LED area light, high bay, 50,000-Hr L70 rated life, 2 ballast 80w, onboard bilevel dimming sensor (?) oemB Building/Area: Office 1st Floor Rf#-1 Rm - Lobby 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-2 Rm - Lobby 1x8x 4L pm di/di, F32T8 32w, electronic 4 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-3 Rm - MRR 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-4 Rm - MRR CF 2L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-5 Rm - WRR 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-6 Rm - WRR CF 2L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 84 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-7 Rm - Meeting 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-8 Rm - Meeting 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-9 Rm - Reception 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-10 Rm - Open Office 1x4x 2L pm di/di, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-11 Rm - Open Office 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-12 Rm - Open Office CF 2L pm cylinder, CFP-18w, CFL ballast 3 RL0112/h - (2) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 3 rated life, horizontal Rf#-13 Rm - Coffee CF 2L pm cylinder, CFP-18w, CFL ballast 3 RL0112/h - (2) LED 4 pin lamp, direct wire, 120/277v, 11w, 50,000-Hr L70 3 rated life, horizontal Rf#-14 Rm - Coffee 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-15 Rm - Copy 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-16 Rm - Gen Mgr 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-17 Rm - Office Mgr 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-18 Rm - Office Mgr 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-19 Rm - Conference 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-20 Rm -Storage 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-21 Rm - Hall - South 1x8x 4L pm di/di, F32T8 32w, electronic 6 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-22 Rm -Server 1x8x 4L pm di/di, F32T8 32w, electronic 4 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-23 Rm - Mechanical 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-24 Rm - Office 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-25 Rm - Mechanical 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-26 Rm - Hall 1x4x 2L pm di/di, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 85 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-27 Rm - Coffee 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-28 Rm - Training 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-29 Rm - Training 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-30 Rm - Conference 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-31 Rm - Customer 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Service ballast rated life, remove existing ballast from service Rf#-32 Rm - Customer 1x4x 2L pm fxt, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Service ballast rated life, remove existing ballast from service Rf#-33 Rm - Customer 1x8x 4L pm di/di, F32T8 32w, electronic 4 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 Service ballast rated life, remove existing ballast from service Rf#-34 Rm - Cps 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Director ballast rated life, remove existing ballast from service Rf#-35 Rm - Cps 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 Director electronic ballast driver 0-10v capable Rf#-36 Rm - Cps Mgr 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-37 Rm - Cps Mgr 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-38 Rm - Safety 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Director ballast rated life, remove existing ballast from service Rf#-39 Rm - Safety 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 Director electronic ballast driver 0-10v capable Rf#-40 Rm - Storage 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-41 Rm - Safety 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Training ballast rated life, remove existing ballast from service Rf#-42 Rm - Safety 1x3x 1L under cabinet, FP16T4 16w, 3 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 3 Training electronic ballast driver 0-10v capable Rf#-43 Rm - Hall 1x8x 4L pm di/di, F32T8 32w, electronic 8 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 ballast rated life, remove existing ballast from service Rf#-44 Rm - Hall CF 2L rec can 8", CFP-26w, CFL ballast 1 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 1 L70 rated life (1) 8" trim kit Rf#-45 Rm - Dispatch 1x4x 2L rec trf (vol), F32T8 32w, 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 electronic ballast rated life, remove existing ballast from service Rf#-46 Rm - Lobby / Hall 1x4x 2L pm di/di, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 86 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-47 Rm-Lobby/Hall CF 2L rec can 8", CFP-26w, CFL ballast 3 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 3 L70 rated life (1) 8" trim kit Rf#-48 Rm - Ops Break 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-49 Rm - Ops Break 1x4x 2L pm fxt, F32T8 32w, electronic 15 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 15 ballast rated life, remove existing ballast from service Rf#-50 Rm - Meeting 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-51 Rm - Electrical 1x4x 2L sm strip, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-52 Rm - Activity 1x4x 2L pm di/di, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-53 Rm - WRR 1x4x 2L pm di/di, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-54 Rm - WRR CF 2L rec can 8", CFP-26w, CFL ballast 11 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 11 L70 rated life (1) 8" trim kit Rf#-55 Rm - Water 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Heater ballast rated life, remove existing ballast from service Rf#-56 Rm - Mechanical 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-57 Rm - MRR 1x4x 2L pm di/di, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-58 Rm - MRR CF 2L rec can 8", CFP-26w, CFL ballast 10 RL012/ckit/6t8 - (1) LED 6" rec can kit, 4000K, 12w, 120/277, 50,000-Hr 10 L70 rated life (1) 8" trim kit Rf#-59 Rm - Storage 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-60 Rm - Hall - North 1x8x 4L pm di/di, F32T8 32w, electronic 6 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-61 Rm - Hall - Office 1x4x 2L pm di/di, F32T8 32w, electronic 9 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 ballast rated life, remove existing ballast from service Rf#-62 Rm - Office 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-63 Rm - Break 1x4x 2L pm fxt, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-64 Rm - Break 1x4x 1L under cabinet, F32T8 32w, 5 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 5 electronic ballast rated life, remove existing ballast from service Rf#-65 Rm - LAN 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-66 Rm - MRR 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 87 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-67 Rm - WRR 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-68 Rm - Copy 1x4x 2L pm fxt, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-69 Rm - Copy 1x4x 1L under cabinet, F32T8 32w, 8 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 8 electronic ballast rated life, remove existing ballast from service Rf#-70 Rm - Closet 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-71 Rm - Open Office 1x4x 2L pm di/di, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-72 Rm - Open Office 1x4x 2L pm fxt, F32T8 32w, electronic 4 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 ballast rated life, remove existing ballast from service Rf#-73 Rm - Open Office 1x3x 1L under cabinet, FP16T4 16w, 7 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 7 electronic ballast driver 0-10v capable Rf#-74 Rm - Facilities 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-75 Rm - Facilities 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-76 Rm - Office 1 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-77 Rm - Office 1 1x3x 1L under cabinet, FP16T4 16w, 1 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 1 electronic ballast driver 0-10v capable Rf#-78 Rm - Office 2 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-79 Rm - Office 2 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-80 Rm - Office 3 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-81 Rm - Office 3 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-82 Rm - Library 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-83 Rm - Office 4 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-84 Rm - Office 4 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-85 Rm - Security 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-86 Rm - Office 5 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 88 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facility - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-87 Rm - Office 5 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-88 Rm - Office 6 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-89 Rm - Office 6 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-90 Rm - Hall 1x4x 2L pm di/di, F32T8 32w, electronic 6 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 6 ballast rated life, remove existing ballast from service Rf#-91 Rm - Office 7 1x8x 4L pm di/di, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-92 Rm - Office 7 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-93 Rm - Office 8 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-94 Rm - Office 8 1x3x 1L under cabinet, FP16T4 16w, 2 RLT831br - (1) 3' LED bar lamp 10w, 50,000-Hr L70 rated life, (1) LED 2 electronic ballast driver 0-10v capable Rf#-95 Rm - Meeting 1x4x 2L pm di/di, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-96 Rm - Conference 1x4x 2L pm di/di, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-97 Rm - Conference 1x4x 2L pm fxt, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 ballast rated life, remove existing ballast from service Rf#-98 Rm - Mechanical 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-99 Rm - Training 1x4x 2L pm fxt, F32T8 32w, electronic 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 ballast rated life, remove existing ballast from service Rf#-100 Rm - 1x4x 1L sm strip, F32T8 32w, electronic 1 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 Mechanical ballast rated life, remove existing ballast from service Rf#-101 Rm - Ext- LED 1L flood, flag (City), LED ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 Ground Mount Driver Rf#-102 Rm - Ext- LED 1L grnd mnt bollard (City), LED ?w, 47 DND - DND: (do not do, fixtures left as is) 47 Ground Mount LED Driver Rf#-103 Rm-Ext-Wall 1x4x 1L wall wash, FP54T5HO 54w, 65 RLT541Hdw - (1) 4' LED T5 lamp 25w, Type B, direct wire, 50,000-Hr L70 65 Mount electronic ballast HO rated life, remove existing electronic ballast from service Building/Area: Parking 1st Floor Rf#-104 Rm - Ext -Pole LED 1L shoe box (City), LED ?w, LED DND - DND: (do not do, fixtures left as is) 0 Mount Driver Building/Area: Solar Shelter 1st Floor W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 89 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Transit Maintenance Facilitv - 28250 CONSTELLATION PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-105 Rm - Ext - 1x4x 1L sm vapor tight (City), LED ?w, DND - DND: (do not do, fixtures left as is) 0 Ceiling Mount LED Driver Qty for Transit Maintenance Facility : 679 679 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Transit Maintenance Facility Lighting Page 90 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Valencia Central Valley - 23657 CARRIZO DR PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Main 1st Floor Rf#-2 Rm - All other DND (do not do, left as is), n/a, n/a DND - DND: (do not do, fixtures left as is) 0 areas Building/Area: Pathway 1st Floor Rf#-1 Rm - Ext - Pole HPS 1L SB SqP Blk PC, HPS 200W, HID 6 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 6 Mount ballast 70w, onboard bilevel dimming sensor (Vly) oemB Qty for Valencia Central Valley W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Valencia Central Valley Lighting Page 91 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Valencia Heritage Prk - 24155 NEWHALL RANCH RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Parking 1st Floor Rf#-1 Rm - Ext - Pole Inc. 1L post top Acorn, Ind 85W, 15 RL0451/s/mg/sk - (1) LED 45w corn cob style screw in lamp, 120/277, 15 Mount Induction generator 50,000-Hr rated life, 5000K, mogul base Building/Area: Pathway 1st Floor Rf#-2 Rm - Ext - Pole Inc. 1L post top Acorn, Ind 85W, 26 RL0451/s/mg/sk - (1) LED 45w corn cob style screw in lamp, 120/277, 26 Mount Induction generator 50,000-Hr rated life, 5000K, mogul base Building/Area: Restroom Building 1st Floor Rf#-6 Rm - MRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 4 DND - DND: (do not do, fixtures left as is) 4 LED driver Rf#-7 Rm - WRR 1x4x 2L sm vapor tight (City), TLED 4' ?w, 4 DND - DND: (do not do, fixtures left as is) 4 LED driver Rf#-8 Rm - Storage 1x4x 2L sm vapor tight (City), TLED 4' ?w, 4 DND - DND: (do not do, fixtures left as is) 4 LED driver Rf#-9 Rm - Ext - Ceiling CF 1L wm vandal, CFP-26w, CFL ballast 3 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 3 Mount Building/Area: Signs 1st Floor Rf#-10 Rm - Ext-Ground 1x4x 1L grnd mnt sign light, F32T8 32w, 4 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 Mount (Sign #1) electronic ballast rated life, remove existing ballast from service Rf#-11 Rm - Ext-Ground 1x4x 1L grnd mnt sign light, F32T8 32w, 4 RLT841dw - (1) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 4 Mount (Sign #2) electronic ballast rated life, remove existing ballast from service Building/Area: Sports Field (East) 1st Floor Rf#-4 Rm - East Field - 4 MH 11-flood, tenon 2-3/8 (security), MH 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Poles 250W, HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-16 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt East Field - Pole 5 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-17 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt East Field - Pole 6 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-18 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt East Field - Pole 7 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-19 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt East Field - Pole 8 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Sports Field (West) 1st Floor Rf#-3 Rm - West Field - MH 1L flood, tenon 2-3/8 (security), MH 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 4 Poles 250W, HID ballast 70w, onboard bilevel dimming sensor (Vly) oemB W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Valencia Heritage Prk Lighting Page 92 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Valencia Heritage Prk - 24155 NEWHALL RANCH RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Rf#-12 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt West Field - Pole 1 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-13 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt West Field - Pole 2 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-14 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 7 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 7 Mnt West Field - Pole 3 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Rf#-15 Rm - Ext-Pole MH 1Lflood, sports, MH 1000W, HID 5 NL320/p/sport - LED Sports Fld 350w-550w, when photometrics are 5 Mnt West Field - Pole 4 ballast completed it may show to use 1200w+ w/fewer heads for > savings w/=> light levels Building/Area: Tennis 1st Floor Rf#-5 Rm - Ext - Pole MH 1L SB SqP DB, MH 1000W, HID 18 NL300/p/tn - New LED area light, pole mount, 50,000-Hr L70 rated life, 18 Mount ballast 300w (Vly) Qty for Valencia Heritage Prk : 138 138 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Valencia Heritage Prk Lighting Page 93 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Valencia Meadows - 25671 FEDALA RD PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Pathway 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, 3 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 3 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pool Bldg 1st Floor Rf#-2 Rm - MRR 1x4x 2L sm wedge, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-3 Rm - WRR 1x4x 2L sm wedge, F32T8 32w, 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 electronic ballast rated life, remove existing ballast from service Rf#-4 Rm - MPR 1x4x 4L pm wp, F32T8 32w, electronic 12 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 12 ballast rated life, remove existing ballast from service Rf#-5 Rm - Office 1x4x 4L pm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-6 Rm - Storage 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-7 Rm - Hall 1x4x 2L sm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-8 Rm - Womens 1x4x 2L sm vapor tight (City), TLED 4' ?w, 3 DND - DND: (do not do, fixtures left as is) 3 Shower LED driver Rf#-9 Rm - Mens Shower 1x4x 2L sm vapor tight (City), TLED 4' ?w, 3 DND - DND: (do not do, fixtures left as is) 3 LED driver Rf#-10 Rm - Pool 1x4x 4L pm wp, F32T8 32w, electronic 2 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 Storage ballast rated life, remove existing ballast from service Rf#-11 Rm - Pool 1x4x 2L sm wp, F32T8 32w, electronic 3 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 3 Storage ballast rated life, remove existing ballast from service Rf#-12 Rm - Pumps 1x4x 2L sm wp, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-13 Rm - Ext - Wall Ind. 1L wm wall pack, Ind 40W, 4 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 4 Mount Induction generator (MAX) Rf#-14 Rm - Ext-Bldg HPS 1L wm wall pack, HPS 70W, HID 2 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 2 Mnt (walls) ballast (MAX) Rf#-15 Rm - Ext - Pole MH 1L SB SqP DB, MH 250W, HID ballast 5 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 5 Mount 70w, onboard bilevel dimming sensor (Vly) oemB Qty for Valencia Meadows : 48 48 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Valencia Meadows Lighting Page 94 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Valencia Summit Prk - 26125 MCBEAN PKWY PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Parking'YMCA' 1st Floor Rf#-1 Rm - Ext - Pole MH 1L SB, tenon 2-3/8, MH 250W, HID 4 NL070/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount ballast 70w, onboard bilevel dimming sensor (Vly) oemB Rf#-2 Rm - Ext - Pole HPS 1L SB SqP Blk, HPS 100W, HID ballast 9 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 9 Mount 50w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pathway 1st Floor Rf#-3 Rm - Ext - Pole HPS 1L SB SqP Blk, HPS 100W, HID ballast 44 NL050/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 44 Mount 50w, onboard bilevel dimming sensor (Vly) oemB Rf#-4 Rm - Ext-Ground HPS 1L grnd mnt bollard (PC), HPS 50W, 4 RL0161/s/md - (1) LED 16w corncob style screw in lamp, 120/277, 4 Mount HID ballast 50,000-Hr rated life, 5000K, medium base Building/Area: Tennis 1st Floor Rf#-5 Rm - Ext - Pole HPS 1L SB spec bracket, HPS 400W, HID 18 NL300/p/tn - New LED area light, pole mount, 50,000-Hr L70 rated life, 18 Mount ballast 300w (Vly) Qty for Valencia Summit Prk : 79 79 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Valencia Summit Prk Lighting Page 95 City of Santa Clarita - Lighting Detail Report (sorted by building, floor, area) *CLIMATEC Valenica Glen Park - 23750 VIA GAVOLA PRE -RETROFIT POST RETROFIT Location Existing Fixture Description Qty Retrofit Code Description (Ltg Control in RED) Qty Building/Area: Pathway 1st Floor Rf#-1 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, 20 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 20 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Pool Bldg 1st Floor Rf#-4 Rm - MPR 1x4x 4L sm wp, F32T8 32w, electronic 9 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 9 ballast rated life, remove existing ballast from service Rf#-5 Rm - Office 1x4x 4L sm wp, F32T8 32w, electronic 2 RLT844dw - (4) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 2 ballast rated life, remove existing ballast from service Rf#-6 Rm - Closet 1x4x 2L sm strip, F32T8 32w, electronic 1 RLT842dw - (2) 4' LED T8 lamp 10.5w, Type B, direct wire, 50,000-Hr L70 1 ballast rated life, remove existing ballast from service Rf#-7 Rm - Lobby 1x4x 4L sm wp (City), TLED 4' ?w, LED 2 DND - DND: (do not do, fixtures left as is) 2 driver Rf#-8 Rm - Lobby 1x4x 2L sm wp (City), TLED 4' ?w, LED 4 DND - DND: (do not do, fixtures left as is) 4 driver Rf#-9 Rm - MRR Ind. 1L sm square, Ind 40W, Induction 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 generator Rf#-10 Rm - WRR Ind. 1L sm square, Ind 40W, Induction 2 NL020/sq - New LED surface mnt sq., 50,000-Hr L70 rated life, 20w (ALE) 2 generator Rf#-11 Rm - RR 1x4x 2L sm wp (City), TLED 4' ?w, LED 3 DND - DND: (do not do, fixtures left as is) 3 driver Rf#-12 Rm - Ext-Bldg HPS 1L wm wall pack, HPS 100W, HID 1 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 1 Mnt (walls) ballast (MAX) Rf#-13 Rm - Ext-Bldg HPS 1L wm wall pack, HPS 50W, HID 6 NL028/wp/ft - New LED wall pack (FT), 50,000-Hr L70 rated life, 28w 6 Mnt (walls) ballast (MAX) Rf#-14 Rm - Ext - Pole Ind. 1L area light DB, SqP, Ind 200W, 4 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount Induction generator 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Sport Field 1st Floor Rf#-2 Rm - Ext - Pole HPS 1L flood, tenon 2-3/8, HPS 250W, 4 NL100/p/s - New LED area light, pole mount, 50,000-Hr L70 rated life, 4 Mount HID ballast 100w, onboard bilevel dimming sensor (Vly) oemB Building/Area: Tennis 1st Floor NL300/p/tn - New LED area light, pole mount, 50,000-Hr L70 rated life, 12 Rf#-3 Rm - Ext - Pole MH 1L area light spec bracket, MH U Mount 1000W, HID ballast 300w (Vly) Qty for Valenica Glen Park : 72 72 W* = wall switch sensor; C* = ceiling sensor; E* = existing sensor, L* Dimming Control Valenica Glen Park Lighting Page 96 Attachment "C" Replacement Inventories Citv of Santa Clarita *CLIMATEC Installation Agreement — Att C HVAC Replacement Inventory City of Santa Clarita *CLIMATEC Installation Agreement — Att C The Cube Location Area/System Served Equipment Cooling Capacity BTU hr L ( / Exirting Equipment Heating Capacty (MBH( Year Years Old Electrical Orientation (down/side) Ecen. (Y/N( Additional notes Aquatic Center Skate Park Business Incubator City Hall 1 Building City Hall Location al Roof Area/System Serve 11 FIr3 West Equipment Packaged Gas Elec Oty 1 Unit Tag AC-1 Manuf. Carrier Model No. 50AK-041-E-611HH E-isting Equipment Serial No. 2706U14595 Cooling Capacity (tons) 1 40 Year 2006 Years Old 16 Onen a on] Electrical (clownt/scle) 460-3-60 Down Y 2 City Hall Roof FIr2 West Packaged Gas Elec 1 AC-2 Carrier 50AK-041-E-20884 3507U27225 40 2007 15 460-3-60 Down Y 3 City Hall Roof Flr 1 West Packaged Gas / Elec 1 AC-3 Carrier 50AK-041-E-20884 3507U27229 40 2007 15 460-3-60 Down Y 4 City Hall Roof Flr 1 East Packaged Gas / Elec 1 AC-4 Carrier 50AK-041-E-20884 3507U27220 40 2007 15 460-3-60 Down Y 5 City Hall Roof Flr 3 East Packaged Gas / Elec 1 AC-5 Carrier 50AK-030-D-20885 3507U27218 30 2007 15 460-3-60 Down Y 6 City Hall Roof Flr 2 East Packaged Gas / Elec 1 AC-6 Carrier 50AK-030-D-20885 3507U27227 30 2007 15 460-3-60 Down Y 9 City Hall Roof 3rd Flr Wire/Telecom Rm Packaged Heat Pump 1 n/a York D1NHO36NO5606C (S)NBKM021809 3 2001 21 208/230-1-60 n/a N 10 City Hall Roof Comp. Rm. S-202 (Back-up) Packaged Heat Pump 1 n/a York - - 3 >20 208/230-1-60 n/a N 11 City Hall Roof 3rd Flr Traffic Rm. Split Sys Heat Pump 1 n/a Amana RCB3OB2A 9807186984 2.5 1998 24 208/230-1-60 n/a N 12 City Hall Roof 2nd Flr Server Rm Split Sys Heat Pump 1 n/a Carrier 24ANA760A3000 3106E09045 5 2006 16 208/230-1-60 n/a Y 14 City Hall Ground 1st Flr Security Rm Packaged Heat Pump 1 n/a Ruud UAKA-030JAZ 5428F379711038 2.5 1997 25 208/230-1-60 n/a N Public Works Corp. Yard Newhall Community Center P• 3 Newhall Comm. Center Roof - Il Packaged Gas /Elec k 1 Unit Tag AC-1 Manuf. A Carrier Model No. 48HJL006--- 541--- Existing Equipment Serial No. 1305G10286 Cooling Capacity (tons) 5 Year 2005 Years P 17 208/230-3-60 Orientation IN Side Y 4 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-2 Carrier 48JHJD007---551--- 0505G30340 6 2005 17 208/230-3-60 Side Y 5 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-3 Carrier 48HJ M004---541--- 1605G20389 3 2005 17 208/230-3-60 Side N 6 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-4 Carrier 48HJM004---541--- 1305G10382 3 2005 17 208/230-3-60 Side N 7 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-5 Carrier 48HGE020AC-511JG 2205G30015 17.5 2005 17 208/230-3-60 Side Y 8 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-6 Carrier 48HGE024AC-511JG 2205G30014 20 2005 17 208/230-3-60 Side Y 9 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-7 Carrier 48HGE016AC-511JG 2305G40001 15.0 2005 17 208/230-3-60 Side Y 10 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-8 Carrier 48GXN024040311-- 3604G21124 2 2004 18 208/230-1-60 Down N 13 Newhall Comm. Center Roof Dance/Karate/Kickboxing Packaged Gas /Elec 1 AC-10 Carrier n/a n/a 5 2005 17 208/230-3-60 Side Y 14 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-11 Carrier 48HJL006--- 541--- 1305G 5 2005 17 208/230-3-60 Side Y 15 Newhall Comm. Center Roof - Packaged Gas /Elec 1 AC-12 Carrier 48HJL006--- 541--- 1305G 5 2005 17 208/230-3-60 Side Y Maintenance Shop @ Central Park Metrolink Stations Area/System :.Equipment ■® Existing Equipment , kaj, �.. 'Years Old Electrical M" Orientatio ■ The Centre The Main Transit Maintenance Facility Central Park Newhall Park Pool North Oaks Park Pool Old Orchard Park Irrigation Replacement Inventory City of Santa Clarita *CLIMATEC Installation Agreement — Att C City of Santa Clarita Site Name Qty No. Stations Almendra Park WeatherTRAK WTS-OPT-OPTIFLOW 1 24 Begonias Park WeatherTRAK WTS-OPT-OPTIFLOW 1 72 Bouquet Park WeatherTRAK WTS-OPT-OPTIFLOW 1 48 Bridgeport Park WeatherTRAK WTS-OPT-OPTIFLOW 4 180 Canyon Country Park WeatherTRAK WTS-OPT-OPTIFLOW 1 108 Central Park WeatherTRAK WTS-OPT-OPTIFLOW 10 366 Circle J Park WeatherTRAK WTS-OPT-OPTIFLOW 1 36 Creekview Park WeatherTRAK WTS-OPT-OPTIFLOW 1 36 CRT WeatherTRAK WTS-OPT-OPTIFLOW 1 36 Discovery Park WeatherTRAK WTS-OPT-OPTIFLOW 1 30 Heritage Park WeatherTRAK WTS-OPT-OPTIFLOW 3 102 Iron Horse Trail WeatherTRAK WTS-OPT-OPTIFLOW 1 24 Mint Canyon Park WeatherTRAK WTS-OPT-OPTIFLOW 1 12 Newhall Park WeatherTRAK WTS-OPT-OPTIFLOW 1 48 North Oaks Park WeatherTRAK WTS-OPT-OPTIFLOW 1 18 Oak Park WeatherTRAK WTS-OPT-OPTIFLOW 1 18 Oak Springs Park WeatherTRAK WTS-OPT-OPTIFLOW 1 36 Old Orchard Park WeatherTRAK WTS-OPT-OPTIFLOW 1 42 Pampalico Park WeatherTRAK WTS-OPT-OPTIFLOW 1 72 Santa Clarita Park WeatherTRAK WTS-OPT-OPTIFLOW 1 36 Sports Complex WeatherTRAK WTS-OPT-OPTIFLOW 6 234 Todd Longshore Park WeatherTRAK WTS-OPT-OPTIFLOW 1 42 Valencia Glen Park WeatherTRAK WTS-OPT-OPTIFLOW 1 48 Valencia Meadows Park WeatherTRAK WTS-OPT-OPTIFLOW 1 36 Transformer Replacement Inventory City of Santa Clarita *CLIMATEC Installation Agreement — Att C 1 Building/ Park Bouquet Canyon Park Location EIec. Room Park Systems Square D Company 7553H Existing 14351-12212-012 Equipment 182188-11 Capacity 75 1985 Years 37 Primary / Secondary 240x480 - 120/240 2 Bridgeport Park Elec. Room - Cutler -Hammer V48M28T15B - J01H00287 15 2001 21 480D - 208Y/120 3 Canyon Country Park Restroom Elec Room - Square D Company 15T3H 32749-17212-022 no tag 15 1989 33 480-208Y/120 4 Canyon Country Park Main Bldg Elec Room - Square D Company 75T3H 34349-17212-041 Date Code TV" 75 1989 33 480-208Y/120 5 Central Park Maintenance Shop Mezz. Square D Company 75T3H 34349-17212-064 0004 75 2000 22 480V - 208Y/120 6 Central Park Community Bldg Concession Stand Cutler -Hammer V48M28T30K - J99V2613 30 1999 23 480D - 208Y/120 7 Central Park Office Office Cutler -Hammer V48M28T45K - J98L3004 45 1998 24 480D - 208Y/120 8 City Hall 1st Floor East Elec Room - Run 1_11-2 n/a MGM Transformer Co. HT75A3B2 - 86-3-26776-1 75 1986 36 480D - 208Y/120 9 City Hall 1st Floor East Elec Room - Run 1_11-2 n/a MGM Transformer Co. HT45A3B2 - 86-3-45Y-012-1 45 1986 36 480D - 208Y/120 10 City Hall 1st Floor East Elec Room - Run 1_11-2 n/a Federal Pacific Tra nsformer Co T4T75-1 Model 36B / Series 2093 70828100216 75 2002 20 480-240/120 11 City Hall 1ST Floor West Elec Room -(Mens RR) n/a MGM Transformer Co. HT75A3B2 - 86-3-26776-4 75 1986 36 480D - 208Y/120 12 City Hall 2nd Floor West Elec Room - 1_12-3 n/a MGM Transformer Co. HT75A3B2 86-3-26776-3 75 1986 36 480D - 208Y/120 13 City Hall 2nd Floor West Elec Room - 1_12-3 Suite 285 Challenger 302-415 Model 4 9/89-230319 30 1989 33 480D - 208Y/120 14 City Hall 2nd Floor East Elec Room - 1_12-1 n/a MGM Transformer Co. HT75A3B2 - 86-3-26776-2 75 1986 36 480D - 208Y/120 15 City Hall 2nd Floor East Elec Room - 1_12-1 n/a Square D Company 75T3H 34349-17212-041 Date Code "KU" 75 1988 34 480-208Y/120 16 City Hall 3rd Floor East Elec Room - 1_13-1 n/a MGM Transformer Co. HT75A3B2 - 86-3-26776-5 75 1986 36 480D - 208Y/120 17 City Hall 3rd Floor West Elec Room - 1_13-3 n/a MGM Transformer Co. HT75A3B2 - 86-3-26776-6 75 1986 36 480D - 208Y/120 18 City Hall 3rd Floor West Elec Room -U3-3 n/a Westinghouse - V48M28T45h T-79-L-06504 45 1979 43 480D - 208Y/120 19 City Hall Outdoor EV Charge Station Fe dera l Pacific Tra nsformer Co T43T45 Model 36B/Series 4192 70828100245 45 2002 20 480-240/120LT 20 City Hall 3rd Floor Traffic Ctrl Run n/a Square D Company 301­3HFISCUNLP 33349-17222-038 543 30 2005 17 480-208Y/120 21 Corp Yard 2nd Floor Mezz - Westinghouse - V48M28T75J J93 C2769 75 1993 29 480D - 208Y/120 22 The Cube Main Elec - GE Transformer 9T23B3872 - 2475A382CBC012M 30 2001 21 480-208LL/120LN 23 The Cube Main Elec GE Transformer 9T23 B 3876 - - 150 2001 21 480LL-208LL/120LN 24 The Cube Main Elec Cutler -Hammer V48M23T75CULS45 V75152 J01F01672 75 2001 21 480D-208Y/120 25 The Cube 2nd Floor Storage Room T3 GE Transformer 9T23B3872 - 2475A382CBC012M 30 2001 21 480LL-208LL/120LN 26 The Cube Fire Alarm Ctrl Room 1PB GE Transformer 9T23B3872 - 2475A382EBC030M 45 2003 19 480LL-208LL/120LN 27 The Cube UCLA Elec/Locker Room 1PA GE Transformer 9T23B3872 - 2475A382CBG012M 30 2001 21 480LL-208LL/120LN 28 Metrolink Jan Heidt (Newhall) Outside Main Bldg Fed Pa cif Tra nsformer Co. T4T75-1 70828100216 75 2000 22 480v - 208Y/120 29 Metrolink @ Santa Clarita Outside Guard Shack MGM Transformer Co. AC370-E0171 - 9502-30YKC-001-4 30 1995 27 480D - 208Y/120 30 Santa Clarita Park Pool Equipment Room Sports Field Lights MGM Transformer Co. T75C3D2 - 79-2-11950-A1 75 1979 43 240-480Y/277 31 Sports Complex Outdoor Elec. Activity Ctr Square D Company 112T3H 34749-17212-074 0127 112.5 2001 21 480-208Y/120 32 Sports Complex Gym Mezz. Gym Siemens 3F3Y112 - L115272 112.5 2011 11 480-208L-L/120L-N 33 Sports Complex Skate Park Elec. Room Square DCompany EE30T3H 33349-17212-089 0845 30 2008 14 480-208Y/120 34 Sports Complex Aquatic Center Pool Equipment Room Bldg Square D Company 75T3H 34349-17212-064 0303 75 2003 19 480-208Y/120 35 Sports Complex Aquatic Center Concession Bldg Bldg Square DCompany 45T3H 33749-17212-082 0305 45 2003 19 480-208Y/120 36 Sports Complex Aquatic Center Elec. Room BIdgA Square D Company 75T3H 34349-17212-064 0303 75 2003 19 480-208Y/120 37 Transit Maintenance Facility Bldg Elec Room A203 AT-1 Square D Company 150T3HEE 35149-17212-091 - 150 2004 18 480-208Y/120 38 Transit Maintenance Facility Bldg Elec Room A203 EAT-1 Square D Company 112T3HEE 34749-17212-001 - 112.5 2004 18 480-208Y/120 39 Transit Maintenance Facility PV Busport 1 Station Panel BR Eaton V48M28T12CUEE V12E004 J10M00872 112.5 2010 12 480D - 208Y/120 40 Transit Maintenance Facility Bldg D Elec Room - Square DCompany 30T3HEE 33349-17212-081 0435 30 2004 18 480-208Y/120 41 Transit Maintenance Facility Bldg B Elec Room MT-1 Square DCompany 112T3HEE 34749-17212-001 0439 112.5 2004 18 480-208Y/120 42 Transit Maintenance Facility Bldg B Elec Room EMT-1 Square DCompany 75T3HEE 34349-17212-001 0436 75 2004 18 480-208Y/120 43 Valencia Heritage Park Elec. Room -I Square D Company 25S41HEE 131488-12112-01 18805864-010 25 2004 18 480V - 120/240 Attachment "D" Solar Installation *CLIMATEC Citv of Santa Clarita Installation Agreement — Att D Page 1 of 4 SYSTEML OCA TIONAND DESCRIPTION: City of Santa Clarita Aquatic Center Canyon The Centre & The Cube Newhall 1. Site Location Country City Hall & Skate Park Gymnasium Community Library Center 2. Point of Meter #'s Meter # Meter # Meter # Meter# Meter# Interconnection V349N-000728 259000-023061 259000-079942 V349N-019223 V349N-007606 259000-061771 3. System Size 392.9 kWdc 81.8 kWdc 129.3 kWdc 312.6 kWdc 692.3 kWdc 169.2 kWdc 4. Year 1 Estimated Energy (kWh/yr) 592,984 129,407 198,664 473,691 1,055,653 251,528 Maxeon Maxeon Maxeon Maxeon Maxeon Maxeon SPR-MAX3-470- SPR-MAX3-470- 5. PV Modules SPR-MAX3-470- SPR-MAX3-470- SPR-MAX3-470- SPR-MAX3-470- COM or Equal COM or Equal COM or Equal COM or Equal COM or Equal COM or Equal SMA Core 1 SMA Core 1 SMA Core 1 SMA Core 1 SMA Core 1 SMA Core 1 6. Inverters or equal or equal or equal or equal or equal or equal Parking Parking Parking Rooftop Parking Parking Structures Structures Structures 7. System Structure Structures Structures 10' Clear 10' Clear 10' Clear Height Height Height 10' Clear Height and Rooftop 10' Clear Height The information presented in the table above is subject to adjustment depending on final design and siting. 1. Permits and Regulatory Fees An allowance for utility permits only is included for $27,000. This amount is the total for all sites. All other permits/approvals are excluded. Climatec includes durations of 16 weeks for procuring permit and regulatory approvals. Climatec will not be responsible for construction delays caused by permit and approval requirements from local jurisdictions or regulatory review bodies. Any delays in procuring permits will entitle Climatec a time extension change order to the contract as a day for day extension to our plan for obtaining required permits and/or approvals, as defined above or in the proposal schedule. 2. Utility Requirements Proposal assumes all utility -owned electrical equipment serving the sites electrical distribution system has adequate capacity to handle the Citv of Santa Clarita *CLIMATEC 2 Installation Agreement — o 4 Page 2 of 4 photovoltaic system output. No utility required electrical equipment upgrade or replacement is included in this proposal, including design and coordination thereof. Any costs associated with unforeseen utility interconnection requirements, including but not limited to utility -owned equipment upgrades or additions, relay protection equipment external to the inverters, system impact studies, or telemetry requirements and interconnection studies are not included in this proposal. 3. Facility Equipment The existing electric panels are assumed to have provisions to accept cable connections on the primary side of the main service breaker, or adequate space and capacity for a new breaker. Panel or bus bar reconfiguration and/or City distribution equipment re -listing certification is not included. Contract excludes Short -Circuit Coordination Study for this project. Climatec will provide overcurrent settings that will be coordinated with City overcurrent settings. Contract assumes current switchboards / panelboards meet all code requirements. Solar system includes all standard interconnection related equipment on the City side of the meter, including panel circuit breakers, utility and/or visible utility lockable disconnect switches, solar metering, conduit, and wiring. Additional protection or upgradesrequired by the utilities above that provided by the certified inverters is not included. 4. Shading The proposal design is based on existing visual conditions on site. Removal of trees or other obstructions to install the solar arrays and system components is included in the proposal. Trees and/or other obstructions subsequently identified for removal or trimming by the City must be removed or trimmed or performance expectations/guarantees will require adjustment. 5. Commissioning The solar scope assumes commissioning requirements for the solar scope only. 6. Monitoring Solar Monitoring will be accomplished via cell card. Energy Management System Integration or similar control or SCADA system City of Santa Clarita *CLIMATEC Installation Agreement — Att D Page 3 of 4 integrations to the new photovoltaic array(s) is excluded from this proposal. All other communication and low voltage infrastructure is excluded from this proposal. 7. Site Embedding Conditions Assumed A normal embed depth of 11 feet is assumed. If additional width, embed depth orspread footing is needed due to soil conditions, additional costs will be the responsibility of the client. 8. Storage City shall provide Climatec with an area for storage space located near the Site forstorage of materials, tools and equipment, and other purposes. 9. Exclusions, ADA. Scope excludes modification requirements for accessibility upgrades and accessibility design around the photovoltaic shade structure/parking canopy structures. Assumes that current parking lot layout has been reviewed and approved by Authority Having Jurisdiction (AHJ). If the architect of record recommends addition of new accessible parking stalls under the solar canopies, changed path of travel and/or new canopies over existing accessible stalls, design and construction costs will be addressed via Change Order. Irrigation. Irrigation reconfiguration if necessary to complete any foundation construction is not included. Fire. Fire hydrant flow tests are not included. City of Santa Clarita *CLIMATEC Installation Agreement — Att D Page 4 of 4 CITY OF SANTA CLARITA AQUATIC CENTER- 392.9kW r- s _ �r 4 CITY OF SANTA CLARITA CANYON COUNTRY LIBRARY- 81.8kW CITY OF SANTA CLARITA CENTRE GYM - 129.3kW F�' PO CITY OF SANTA CLARITA CITY HALL - 312.6kW CITY OF SANTA CLARITA CUBE - 692.3kW / . •-L-�3 •. za '" � �, s: ;,scat •�:,�'`�'.:�, Attachment "E" Technical Appendix City of Santa Clarita *CLIMATEC Installation Agreement — Att E Batteries City of Santa Clarita *CLIMATEC Installation Agreement — Att E SUNSYS HES L° Native outdoor Energy Storage System from 100 kVA / 186 kWh to several MVA / MWh systems - > Commercial and industrial - buildings A > EV charging infrastructure > Isolated microgrids > Resilient microgrids l ® t ��� �_� ��� �G =�� ��� > Renewable energy integration II 0 II ®q 17.1 d 2711Main advantages NJ > High safety > Extreme flexibility > Fast and error -free installation -F_.] > Easy maintenance > Maximum savings and fast ROI SUNSYS HES L is a native outdoor system that merges proven technologies to create an all - in -one solution that is greater than the sum of its parts. Partnering with CATL, Socomec has selected the EnerOne liquid cooled LFP battery system as the optimum battery for SUNSYS Hybrid Energy Storage. When it comes to safety, this system sets a new standard. The range is available in a variety of sizes and can work both as grid follower and grid -former. High safety The safest system ever, combining two proven technologies to deliver a winning formula. CATL EnerOne Liquid -Cooled Battery: the SUNSYS B-Cab L utilises the stable chemistry of Lithium Iron Phosphate (LFP) batteries that can withstand thermal runaway. Socomec Power Conversion System (PCS): the SUNSYS C-Cab L uses safe conversion technology to limit the common mode noise effect. SUNSYS HES L is compliant with UL9540-2020: the safety standard associated with complete Energy Storage Systems and Equipment. Extreme flexibility The SUNSYS HES L system is based on 3 standard cabinets - C-Cab, B-Cab and DC -Cab — and 1 "engineered to order" AC -Cab that can be adapted on a case -by - case basis to be as close as possible to your installation requirements. In addition, the installation can be upgraded with: increased power with the addition of one or more 50 kVA power modules in the C-Cab. or even additional C-Cabs, increased energy with the addition of B-Cabs . Fast and error -free installation All Battery cabinets are shipped fully assembled with internal modules mounted - for maximum quality with the minimum transportation costs and installation time. Also, for an error -free installation: drilling plates are provided to prepare the drilling locations, the intelligence (PMS & BMS) is integrated inside the C-Cab to reduce complexity, and DC connecting kits are available to simplify the connection between the converters and batteries. Easy maintenance Reduced maintenance with HVAC replaced by air filters, the system can be maintained by the customer with ease. Seamless service during maintenance as one C-Cab L module can be changed without interruption whilst keeping the others operational. Furthermore, one battery rack can be disconnected for module replacement keeping the others operational. > Safety: IEC 62368-1; IEC 62933-5-2; UL 9540A > EMC: EN 61000-6-2/4 > Mechanical: EN 60529; EN 62262 > Environment: RoHS; REACH; IEC 61249-2-21; RAAE 2012/19/U E > Communication protocol: Modbus TCP > Grid code: Europe: EN 50549-2 & EN 50549-1; Germany: VIDE AR-N 4110; VIDE AR-N 4105 Italy: CEI 0-16; UK: G99/1; France: VIDE 0126-1-1; Belgium: C10/26 For more information, please contact us. An experienced and skilled team is at your service to make your project a success! > Project development: pre -sales support, project design & realisation > Deployment & integration: training, field inspection, pre -commissioning, commissioning > Operation: maintenance contracts, spare parts replacement, remote monitoring > Warranty extensions: both on the C-Cab and B-Cab Formom information, please contact us. K, Catalogue 2021 oo. socomec Innovative Power Solutions Suitable for all of the following applications aP ___1�3 s Oo ��► \1iT?� moo-. 7� 4s^ �9s 4 stackable units for maximum flexibility .F 1 T_..-., a 0 II 1 1 Up to 1005 kg 2280 kg > Bidirectional power converter > 100 to 300 kVA / cabinet > Automation functions > AC/DC distribution and protection > Battery management system > IoT Ready > Lithium ion battery > LFP technology > 186 kWh / rack > Liquid cooling thermal management > Integrated fire safety detection and extinction system SUNSYS HES L° Native outdoor Energy Storage System from 100 kVA / 186 kWh to several MVA / MWh systems 700 kg > DC distribution panel > Required for configurations with 7 to 9 B-Cabs per C-Cab > Battery protection > Battery auxiliaries power supply 177-71-1 -T ri 1771771 700 kg > AC power distribution cabinet > Multi -source paralleling > Islanding function > Synchronisation after mains return > Short interruption transition oo.socomec Catalogue 2021 3 Innovative Power Solutions SUNSYS HES L° Native outdoor Energy Storage System from 100 kVA / 186 kWh to several MVA / MWh systems Many system configurations are available to meet customer requirements Energy (kWh) 1 rack 2 racks 3 racks 4 racks 5 racks 6 7 racks racks 8 racks 9 racks 10 racks 11 racks 12 racks 13 to 18 racks Power(kVA) 186 372 558 744 930 1116 1302 1488 1674 1860 2046 2232 2418to 3348 100 150 200 250 300 350 400 450 500 550 600 700 800 900 1000 1100 1200 - Standard configurations without DC -Cab. Maximum savings and fast ROI Standard configurations with DC -Cab. OpFh APPLICATIONS DATA STORAGE REMOTEgCCESS LOCAL ACCESS Local management We have developed a modular and adaptive platform - our Power Management System (PMS) being the brain of the system. This open platform, integrated in the C-Cab, provides access to: • Peak shaving, energy shifting, self -consumption and fuel saving to maximise valuable savings. • Transition from on -grid to off -grid mode via the black start function. • Multi -source microgrid autonomous management and the potential for additional customisation. • Compatibility with third -party supervision systems (EMS, SCADA) for additional functionality. 0 CLIENT REPORTS Standard system parallel configuration without DC -Cab. 0 EMAIL NOTIFICATIONS EXTERNAL ACCESS FOR CUSTOMERS & SOCOMEC Remote monitoring In addition, the C-Cab also integrates IoT devices that make it possible to continuously monitor the system remotely. These devices enable the following: • Web dashboard for on-line monitoring. • Web access to the system KPIs. • Smartphone app. • Maintenance information: scheduled visits and remote firmware upgrade. Catalogue 2021 oo socomec Innovative Power Solutions SUNSYS HES L° Native outdoor Energy Storage System from 100 kVA / 186 kWh to several MVA / MWh systems Technical Data System information Power modularity 50 kVA power modules - up to 300 kVA per cabinet Symmetrical overload 110% during 30 min -125% during 10 min -150% during 30 s Chemistry LFP - Lithium Iron Phosphate Energy Nameplate 186 kWh per cabinet AC/AC Max Round Trip Efficiency 90% Maximum C-rate 0.5 C Maximum current 83 A charging / 87 A discharging per 50 kVA power module AC connections 3*240 mm= (consult us for higher section) Rated voltage (Un) 400 Vac (3ph+N)-20%/+10% Rated frequency 50 Hz ±6% Fire protection Fire Safety System including smoke detectors, heat detectors and aerosol Environment Environment installation Native outdoor Degree of protection IP 55 Operation temperature -20 to +45 Co without Berating Storage temperature -20 to+60 Co Relative humidity 4 to 95% w/o condensation (internal cabinet heating) Acoustic level at 1 m < 70 dB Maximum altitude 1000 m without deratng (consult us for requirements above this) Two system installation options according to the space available on your site On-line installation Up to 6 B-Cabs - dimensions (mm) 1y00 Back-to-back installation Up to 6 B-Cabs - dimensions (mm) From 7 to 9 B-Cabs - dimensions (mm) oo.socomec Catalogue 2021 Innovative Power Solutions Cube Refrigeration City of Santa Clarita *CLIMATEC Installation Agreement — Att E � � F Al ECO CHILL -mROMORr I Einnco d BENEFITS • Reduced energy consumption. • Lowered greenhouse gas emissions. • Reduced refrigerant charge. • Reduced leaks. • Modular nature allows choice of components that best match the needs of the facility - new design. Why should you consider ECO CHILL°? • Current Climate Emergency - arenas are energy -intensive structures that damage the environment and are being scrutinized for their emissions as well as energy consumption. ECO CHILL° reduces both and is environmentally friendly. • Moving closer to Net -Zero emission goals - To move towards becoming a Net -Zero facility, you need to repurpose energy instead of releasing it outward. This self-sufficiency works best for multipurpose buildings. • Cost saving - Repurposing the heat that would otherwise be wasted, reduces energy consumption and hydro bills. Radiant Rleachers Flooding Heating DHW Preheat Dressing Snnw Melt Pit Cods it HR tI i t VerAji.tor 14 Thermal gam•: Learn more at CIMCOREFRIGERATION.COM TOROMONT I -I--- 02J BMO Center, Bedford NS Overview: The BMO Center, a 4-pad arena located in Bedford, Nova Scotia was recognized by The Federation of Canadian Municipalities (FCM) as a leader in efficiency and sustainability. TOROPANT Conserve tar}ay rorYh, . Results: Energy performance of BMO Center exceeded the Model National Energy Code for Buildings by 40%, saving an estimated 11,741 gigajoules of energy each year. The Halifax Regional Municipality has reported energy savings of over $100,000 per year. Shipyards Common, North Vancouver BC Overview: After a century of industrial shipping activity, the Shipyards Common has been revamped to include a skate plaza which is the region's largest outdoor skating rink. About the Project: Warmer temperatures in Vancouver provided a challenge for outdoor ice rinks. CIMCO's installation of the ECO CHILL° refrigeration package provided a solution for the city of North Vancouver. Key Features: ECO CHILL°allows the city to use waste heat from the refrigeration system to heat nearby buildings via the district energy system. Results: The project aligns with North Vancouver's Community -Wide Climate Action Plan and marks a huge step towards achieving their Climate Action Targets. North Vancouver has committed to achieving net zero emissions by 2050. P. 03 1 04 Dufferin Arena, Stratford ON Overview: Located in Stratford, Ontario, Dufferin Arena was built in 1971 and remodeled with CIMCO's ECO CHILL° in 2010. The energy upgrades represent one step in Stratford's goal to generate net -zero emissions by 2035. About the Project: The facility was extremely inefficient in its energy usage and needed upgrades to bring it to modern standards. CIMCO installed a ECO CHILL°low-charge (130lbs) ammonia chiller with a capacity of 80TR (281 kW). The entire project cost CA$4 million, half of it came from the Canadian federal government' Recreational Infrastructure Canada (RinC) energy -efficiency program. The refrigeration system itself cost CA$930,000. Key Features: The system leverages waste heat (1,200MBH at full -load capacity) to drastically reduce its reliance on natural gas. Uses three Alfa Laval plate -and -frame heat exchangers to execute heat reclaim. Used with the ECO CHILL° is a CIMCO Ice Battery, which reduces energy consumption of the compressors in the winters 496-..g Ed Meagher Arena, Montreal OC Overview: Opened in 1967, the Ed Meagher Arena at Concordia University was long overdue for a complete renovation. About the Project: In 2013, the major remodeling project was made possibly by a joint investment by Concordia University and the Government of Quebec. The project included a complete upgrade to the refrigeration system and installation of an entirely new rink surface. Key Features: The patented heat recovery through ECO CHILL° technology provided energy savings. The system uses a "direct CO2 system" where CO2 is circulated within the refrigerated floor slab. The new space includes larger changing rooms, an equipment storage room, and two new changing rooms. Additional renovations include window replacements, roof insulation, and a new ventilation and dehumification system. Results: The CA$7.75 million project expanded the rink by 2,500ft2. The choice of using a CO2 ECO CHILL°system aided Concordia University's strong commitment to its diverse sustainability initiatives. The arena achieved their goals, with the ice quality exceeding expectations and the refrigeration system meeting energy performance objectives. Learn more at CIMCOREFRIGERATION.COM 06 Baltimore Aircoil Company Cooling Tower Selection Report Version: 8.11.17 NA Product data correct as of: July 29, 2022 Project Name: Selection Name: Project State/Province: California Project Country/Region: United States Date: August 16, 2022 Model Information Design Conditions Product Line: PT2 Flow Rate: 1,308.00 USGPM Model: PT2-1212A-201 Hot Water Temp.: 95.00 °F Number of Units: 1 Cold Water Temp.: 85.00 °F Fan Type: Standard Fan Wet Bulb Temp.: 78.00 °F Fan Motor: (1) 30.00 = 30.00 HP/Unit Heat Rejection: 6,537,384 BTUH Total Standard Fan Power: Full Speed, 30.00 BHP/Unit Tower Pumping Head: 5.53 psi Intake Option: None Static Lift: 3.87 psi Internal Option: None Spray Pressure: 1.66 psi Discharge Option: None Tower Heat Rejection: 6,541,958 BTUH Thermal performance at design conditions and standard total fan motor power ispcertified by the Cooling Technology Institute (CTI). Enaineerina Data. per Unit Unit Length: 11' 11.75" Unit Width: 11' 10.001, Unit Height: 14' 10.50" Air Flow: 102,182 CFM Approximate Shipping Weight: 6,950 pounds Heaviest Section: 5,150 pounds Approximate Operating Weight: 12,190 pounds Heater kW Data (Optional) 0°F (-17.8°C) Ambient Heaters: (1) 12 kW -20°F (-28.9°C) Ambient Heaters: (1) 16 kW Minimum Distance Required for Single Unit: (For multiple units, refer to Layout Guidelines) From Solid Wall: 4 ft. From 50% Open Wall: 3 ft. Energy Rating: 52.78 USGPM/HP perASHRAE 90.1, ASHRAE 189 and CA Title 24. Note: These unit weights and dimensions account for the selected fan type for the standard cataloged drive configuration, but they do not account for other options/accessories. Please contact your local BAC sales representative for weights and dimensions of units with other options/accessories. Page 1/1 1045C 1082C 1098C 1105C 1190C 1220C 1320C 1500C C Model (2F, 3F, 4F, U4F) (2F, 3F, 4F, U4F) (2F, 3F, 4F) (2F, 3F, 4F, U4F) (2F, 3F9 4F) (2F, 3F, 4F) (SF, RF) (SF, RF) Net Usable Capacity', 41 (144) 82 (288) 98 (345) 105 (369) 162 (570) 214 (753) 324 (1140) 486 (1710) Ton-hrs.(kWh) Maximum Operating 100 (38) 100 (38) 100 (38) 100 (38) 100 (38) 100 (38) 100 (38) 100 (38) Temp., °F ( C) Factory Tested Pressure, 250 (1724) 250 (1724) 250 (1724) 250 (1724) 250 (1724) 250 (1724) 250 (1724) 250 (1724) psi kPa) Maximum Operating 90 (620) 90 (620) 90 (620) 90 (620) 90 (620) 90 (620) 90 (620) 90 (620) Pressure",psi(kPa) (2F) (2F) (2F) (2F) (2F) (2F) (SF) (SF) 73%x75x49 73%x75x8411, 89x9lx691/, 73%x75xl01 89x91x102 89x9lxl341/, 89x180x102 89x270x102 Dimensions (1875xl900xl244) (1875 x 1900 x 2140) (2260 x 2310 x 1765) (1875 x 1900 x 2590) (2260x2310x2590) (2260x2310x3415) (2260x4580x2590) (2260x6860x2590) (,in. (mm')' (3F, 4F, U4F) (3F, 4F, U4F) (3F, 4F) (3F, 4F, U4F) (3F, 4F) (3F, 4F) (RF) (RF) 73 / x 76 % x 49 733/a x 761/ x 841/ 89 x 92 x 691/ 73%a x 76 % x 102 89 x 92 x 102 89x92x 1341/ 89 x 182 x 102 89 x 272 x 102 (1875x 1940x 1244) (1875 x 1940 x 2140) (2260 x 2340 x 1765) (1875 x 1940 x 2590) (2260x2340x2590) (2260x2340x3415) (2260x4620x2590) (2260x6910x2590) ShippingWeight'", Ibs.(kg) 615 (280) 1065 (485) 1275 (580) 1315 (595) 2000 (910) 2600 (1179) 4000 (1815) 6000 (2720) Weight, Filled, Ibs. (kg) 4475 (2030) 8580 (3890) 10,235 (4645) 10,885 (4935) 16,900 (7665) 22,500 (10,200) 34,000 (15,420) 50,600 (22,950) Floor Loading, Ibs./sq.k.(kg/m ) 150 (732) 286 (1396) 237 (1157) 363 (1772) 391 (1909) 520 (2539) 391 (1909) 391 (1909) Volume of Wafer/Ice,gais. (t) 410 (1550) 820 (3105) 980 (3710) 1045 (3955) 1655 (6265) 2185 (8271) 3310 (12,530) 4965 (18,795) Volume of 25% Glycol Solution 47 (178) 86 (326) 90 (341) 99 (375) 157 (594) 205 (775) 315 (1192) 472 (1787) in HX, gals. (C) Inlet/Outlet Flange 4 4 4 4 4 4 4 4 Connections, in. A Model 1045A 1082A 1098A 1105A 1190A Net Usable Capacity', 41 (144) 82 (288) 98 (345) 105 (369) 162 (570) Ton-hrs.(kWh) Maximum Operating 100 (38) 100 (38) 100 (38) 100 (38) 100 (38) Temp., °F ( C) Factory Tested Pressure, 250 (1724) 250 (1724) 250 (1724) 250 (1724) 250 (1724) psi (kPa) Maximum Operating 90 (620) 90 (620) 90 (620) 90 (620) 90 (620) Pressure" ,psit(kPa) Dimensions (Od x H) "', 73%x 48 73% x 82 89 x 68 73%x 101 89 x 101 in.(mm) (1875 x 1220) (1875 x 2080) (2260 x 1730) (1875 x2570) (2260 x 2570) ShippingWeight'", Ibs.(kg) 580 (265) 1025 (465) 1225 (555) 1275 (580) 1950 (885) Weight, Filled, Ibs.(kg) 4380 (1985) 8455 (3835) 10,100 (4580) 10,760 (4880) 16,765 (7605) Floor Loading Ibs./sq.k.(kg/m ) 147 (718) 283 (1382) 234 (1142) 360 (1758) 388 (1894) Volume of Wafer/Ice,gals. (t) 410 (1550) 820 (3105) 980 (3710) 1045 (3955) 1655 (6265) Volume of 25% Glycol Solution 40 (151) 78 (295) 90 (341) 99 (375) 148 (560) in HX, gals. (E) Inlet/Outlet Flange 2 2 2 2 2 Connections, in. (i) Typical value, actual varies with conditions. (iii) Tolerance for all dimensions is ± 1/2" except "L" for Models 1500 and 1320 where ± 1". (ii) Consult factory for higher ratings. (iv) Stripping weight may vary because of residual water from hydrostatic test. -� ® DRAWING CALMAC C e a n Model 1 105A Em THERMAL ENERGY STORAGE June 6 09 CS-60 CALMAC Manufacturing Corp. 3-00 Banta Place Fair Lawn, NJ 07410 Tel (201) 797-151 1 www.Calmac.com Allow 36" 8" (900 mm) 200mm overhead ( ) clearance for service. 98.5" (2500mm) nspection Port Two 2" Van Stone flanged connections 101" (2570m m ) NOTE: Tolerance for all dim4nsions is + 1 /2" (12.5 mm) EECOCHILL0 CONSERVE TODAY FOR THE FUTURE ECO Chill is a sustainable solution making NetO a reality. ECO Chill re -purposes the energy removed from the ice sheet during operation and applies that energy to wherever heat is needed within the building. Working at 400% efficiency level, the system is designed to lower operating costs. BENEFITS • Reduced energy consumption • Lowered greenhouse gas emissions • Reduced refrigerant charge • Reduced leaks Modular nature allows choice of components that best match the needs of the facility — new design or retrofit Why should you consider ECO Chill Current Climate Emergency - arenas are energy -intensive structures that damage the environment and are being scrutinized for their emissions as well as energy consumption. ECO Chill reduces both and is environmentally friendly. Moving closer to Net Zero emission goals - To move towards becoming a net0 facility, you need to repurpose energy instead of releasing it outward. This self-sufficiency works best for multi -purpose buildings. Cost saving — Repurposing the heat that would otherwise be wasted, reduces energy consumption and hydro bills. FEATURES ECO Chill requires one unit of energy - typically electricity - to move three units of heat from the arena floor. This means if you use the refrigeration system to generate heat, putting in a single unit of energy gives you four units of energy in return. Integrating ECO Chill with the building's HVAC system permits the use of recovered heat for various purposes. Some of the ways to reuse heat that would otherwise be wasted include: radiant floor heating, pool heating, gymnasium heating, Zamboni water heating and preheating and potable water heating and preheating Ec----------------------- LL ECO Ch4l110 Specifications: MODELNOMINAL N-ECO 80A N-ECOl00A CAPACITY 80 HEAT RECOVERY 100% COMPRESSOR TYPE SCREW TOTAL COMP ESSOR 150 NUMBER OF 1 Total Glycol Flow 796 100 100% SCREW 200 1 1060 N-ECO120A 120 100% SCREW 200 1 1178 N-ECO 150A 150 100% SCREW 250 UP TO 2 UP TO 1395 N-ECO 170A 170 100% SCREW 300 UP TO 2 1675 N-ECO 210A 210 100% SCREW 400 UP TO 3 2120 N-ECO 250A 250 100% SCREW 400 UP TO 3 2567 MODELCHILLER N-ECO 80A STYLE PLATE & FRAME CONDENSER STYLE PLATE & FRAME EMMERSION YES ICE BATTERY YES DESUPERHEATER YES PACKAGE 33'Lx8'-6"wx IO'H 35,000 LBS N-ECO 100A PLATE & FRAME PLATE & FRAME YES YES YES 331x8'-6"wx IO'H 36,000 LBS N-ECO 120A PLATE & FRAME PLATE & FRAME YES YES YES 331x8'-6"wx IO'H 37,000 LBS N-ECO 150A PLATE & FRAME PLATE & FRAME YES YES YES 331x8'-6"wx IO'H 40,000 LBS N-ECO 170A PLATE & FRAME PLATE & FRAME YES YES YES 331x8'-6"wx IO'H 45,000 LBS N-ECO 210A PLATE & FRAME PLATE & FRAME YES YES YES 40Tx8'-6"wx 10'-6"H 50,000 LBS N-ECO 250A PLATE & FRAME PLATE & FRAME YES YES YES AOTx8'-6"wx 10'-6"H 55,000 LBS TORONTO SALES DRAWING SUBJECTTO CHANGE G G G Q c n B! LtlD GCTION i' f I MIXING DAMPER FILTER SECTION y 8 �� APF PLEN y [ ION PLENUM SECTION COIL SECTION PLENUM SECTION COIL SECTION PLENUM SECTION I COIL SECTION DISCHARGE PLENUM SECTION i I 9 .r S10C LASS m O sir cn n tR DOOR SIZES AND INTERNALCOMPONENTS ARE APPROX. VALUES. DIMENSIONS SHOWN IN INCHES ONLY UNLESS OTHERWISE NOTED. u, CD z a U O r LL! U to iV m eri a F- L] LtJ Vj LU LN18 TAG: ARENA 234 PRELIMINARY DRAWING ONLY, NOT FOR CONSTRUCTION. 1"l;'A] jq o generated 4y REVIDATESIONS' ORWN BY: CHKC BY: DRWG NO. DEC 14 2021 ng.4 WATER I GLYCOL COIL PERFORMANCE DATA c� Version 3.5.43.S Job Name: Buccaneer };co DrV Customer_ CIMCO Location: Des Moines, IA Case #1 Coil Tag Arena 234 CC Service Cooling Tube Size 518" (16 mm) OD Fin Surface Corrugated- 0.0065" Coil Size, in (H x L x R x FPI) 36 x 64 x 8/ 12 Coil Size, mm (H x L x R x FPI) 912 x 1625.5 x 81 1 Pass-Circ-Blank 4 - 48 - 0 Header Size, in (mm) 4 (102) Coil Handing - Header Same Total Capacity, MBH (kw) 592.04 (173,47) Sensible Capacity, MBH (kw) 274.45 (80.41) Air Flow Conditions Standard CFM Air Flow, CFM (Us) 8000 (3776.0) Air EDBT, °F ('C) 85.4 (29.7) Air EWBT, -F ("C) 75.0 (23.9) Air LDBT "F (°C) 53.6 (12.0) Air LWBT, °F (°C) 53.6 (12.0) Water Removal, iblh (kgfh) 284.8 (129.2) Leaving Coil Velocity, AFPM (m/s) 504 (2.56) Coil Pressure Drop, in.wc. (pa) 1.71 (424.0) Fluid E-Glycol (50% ) Entering Temperature, °F ('C) 36.2 (2.3) Leaving Temperature, °F (`C) 43.3 (6.3) Flow Rate, GPM (IIs) 200.0 (12.613) Fouling factor allowance, h.ftA2.'FIBtL 1 0.0001 Tube Velocity, FPS (m/s) 4.5 (1.39) Pressure Drop, ft.wc. (kpa) 9.9 (29.6) Drain Pan Length, in (mm) 6 (162) No. of Mid. Pan 1 Notes 3,4 Notes: [3) Coil is NOT certified byAHRI. [41 Fluid inlet and nutlet connections are located on the same end. Job No.: Tag No.. - Altitude: 938 feet Submitted By: Date: 12/14/2021 Page 1 of 1 gn7gA] ENGINEERED AIR WATER I GLYCOL COIL PERFORMANCE DATA Version 3.5.43.E .fob Name: Buccaneer co Dry Customer: CIMCO Location: Des Moines IA Case #1 Coil Tag Arena 234 CC2 Service Cooling Tube Size 518" (16 mm) OD Fin Surface Corrugated- 0.0065" Coil Size, in (H x L x R x FPl} 36 x 64 x 81 12 Coil Size, mm (H x L x R x FPI) 912 x 1625.5 x 8112 Pass -Ciro -Blank 4 - 48 - 0 Header Size, in (mm) 4 (102) Coil Handing _ Header Same Total Capacity, MBH (kw) 251.23 (73.61) Sensible Capacity, MBH (kw) 112.23 (32.88) Air Flow Conditions Standard CFM Air Flow, CFM (11s) 8000 (3776.0) Air EDBT, °F (°C) 53.6 (12.0) Air EWBT, °F (°C) 53.6 (12.0) Air LDBT, "F (°C) 40.6 (4.8) Air LWBT, °F VC) 40.6 (4.8) Water Removal, lb/h (kg/h) 127.1 (57.6) Leaving Coil Velocity, AFPM (mis) 490 (2.49) Coil Pressure Drop, in.wc. (pa) 1.65 (410.2) Fluid E-Glycol ( 50% ) Entering Temperature, `F (°C) 33.0 (0.6) Leaving Temperature, "F (°C) 36.0 (2.2) Flow Rate, GPM (Its) 200.0 (12.613) Fouling factor allowance, h.ft"2.°F18t 0.0001 Tube Velocity, FPS (mis) 4.5 (1.3g) Pressure Drop, ft.wc. (kpa) 10.2 (30.4) Drain Pan Length, in (mm) 9 (228) No. of Mid. Pan 0 Notes 3,4 Notes: 131 Coil is NOT certified by AHRt. [4) Fluid inlet and outlet connections are located an the same end. Job No.: Tag No_: Altitude: 938 feet Submitted By: Date: 12/14/2021 Page 1 of 1 Xjng7A_] [ENGINEERED AIR WATER I GLYCOL COIL PERFORMANCE DATA Version 3.5.43.S Job Name: Buccaneer Eco D Job No.: Customer: CIMCO Tag No.: Location: Des Moines, [A Altitude: 938 feet Case #1 Coil Tag Arena 234 CO3 Service Cooling Tube Size 1 5/8" (16 mm) OD Fin Surface Corrugated- 0.0065' Coil Size, in (H x L x R x FPI) 36 x 64 x 6 l 14 Coil Size, mm(HxLxRxFPI) 912x1625.5x6t1 Pass -Ciro -Blank 12 -12 - 0 Header Size, in (mm) 2 (51) Coil Handing _ Header Same Total Capacity, MBH (kw) 47.42 (13.89) Sensible Capacity, MBH (kw) 24.39 (7.15) Air Flow Conditions Standard CFM Air Flow, CFM (Its) 800o (3776.0) Air EDST, °F (°C) 40.6 (4,8) Air EWBT, aF (°C) 40.6 (4,8) Air LDST, °F ("C) 37.8 (3.2) Air LWST, °F ("C) 37.8 (3e2) Water Removal, tblh (kglh) 21.1 (9.6) Leaving Coil Velocity, AFPM (m/s) 487 (2.48) Coil Pressure Drop, in.wc. (pa) 1.37 (340.0) Fluid E-Glyccl ( 50% ) Entering Temperature, aF (°C) 33.0 (0.6) Leaving Temperature, °F (°C) 36.2 (2.3) Flow Rate, GPM (Us) 35,6 (2.246) Fouling factor allowance, h.ft"2_'F/Bti 1 0.0001 Tube Velocity, FPS (mis) 3.2 (0.99) Pressure Drop, ft.wc. (kpa) 10.5 (31-4) Drain Pan Length, in (mm) 6 (164) No. of Mid. Pan 1 Notes 3,4,18 Notes: [3] Coil is NOT certified byAHRI. (4] Fluid inlet and outlet connections are located on the same end. (18] A Coil Of This Size Can Not Have Enough Capacity! Submitted By: Date: 12/14/2021 Page 1 of 1 92 6.45.6 - -4.8 rn C: 4,0 W C/) Lu 3.2 ry (L C) 2.4 1.6 MR111.1 I Customer:. . . .. -------- n. Tag: SUPPLY GFM: 8,000 Job ID: Model: 222 EPF SP: — 5,2 in.wq RPM: 1980 BHP: 9.41 TWIN CITY FAN AND BLOWER PERFORMANCE CURVE 12.0 " 1 �Outlet Velocity: -2,085 Density., — 0-075 z 2 4 6 a 10 GFM (in 1 000s) 12 14 16 10.5 9,0 4.5 3.0 Sound Power Levei Octave — In/Out 1 86 / 90 2 89 1 91 3-- 97 / 96 1.5 4— 90 1 93 5 — 81 188 1 6— 78 81 7—73 78 8 — 71 f 75 in db re 10-1;1 watts 1211412021 Page: 1 of 1 En ENGINEERED AIR SUPPLY FAN FAN PERFORMANCE Project Name: Buccaneer Eco Dry Date: 14-DEC-2021 Prepared for: CIMCO EngA MODEL: LM QTY: TAG: ARENA 1 AIRFLOW 8000 CFM E.S.P. 0.6 in.w.c. FAN MANUFACTURER LAU INDUSTRIES FANSIZE 18118 FC D]DW QTY. 1 TSP 1.1 in.w_c. RPM 666 REQ'D POWER 3.53 BHP MOTOR SIZE 5 HP Super'E' ODP (1750) S.P. B.H.P. a" 5 1.81. 1.4" 1.2" is 0 8" M. 0.4" 0.2" a,. 0 AIR FLOW - cfm S.E.% 100 90 80 70 60 50 40 30 20 10 0 pqn dt Pre -assembled Refrigeration Plants The ultimate in flexibility, convenience and cost effectiveness CIMCO When plant space is at a premium, a CIMCO Pre -assembled Refrigeration Plant (PRP) is a convenient, cost effective alternative. These complete, self-contained units operate with maximum efficiency, meeting the demands of even the most rigorous application. Installed wherever you need cooling, PRPs can be used for a variety of applications in industries such as Food and Beverage, Industrial Process Cooling and Ice Rinks. Applications include: • Fluid Cooling Systems • Spiral Freezers • Holding Coolers and Freezers • Refrigerated Production Areas Ice Machines Great for plant expansion or provisional manufacturing, every Pre -assembled Refrigeration Plant is custom designed by our highly experienced engineers to meet the specific application requirements. PRPs include all pumps, compressors, filters, control valves, sensors and main electrical panels assembled onto a rugged platform, which can be enclosed in an all-weather housing. Benefits include: • choice of any refrigerant, including ammonia • enclosures built to machinery room or Class T engine room requirements • complete "ready -to -go" operation: lighting, heating, electrical and ventilation high quality factory assembly quick, convenient hook-up with minimal on -site piping • prompt delivery • choice of placement — on roof, on stands or slab -on -grade - wherever cooling is required • easily relocated • available in water-cooled, evaporative -cooled or air-cooled models An important aspect of any CIMCO system is our experience in preparation, installation, start-up and system balancing. You can rely on us for high performance equipment and the professional expertise to keep it running at peak efficiency. For more information on our Pre -assembled Refrigeration Plants, please contact the CIMCO office nearest you. CIMCO REFRIGERATION ' I I CIMCO 65 Villiers Street, Toronto, Ontario M5A 3S1 16, Tel: (416) 465-7581 Fax: (416) 465-8815 St. John's Dartmouth • Moncton • Alma Quebec City London Windsor • Winnipeg • Regina Saskatoon Kelowna • Victoria • Hartford Syracuse Detroit Houston • Dallas/Ft. Worth Salt Lake City Phoenix Visit our website at www.cimcorefrigeration.com Montreal Gaspe Ottawa Toronto Calgary Edmonton Vancouver Springfield Louisville Mobile London, UK Beijing, PR. China &400' 15*4d 4 Ad PB06-1500-PRP TOROMONT I 4::D CIMCO Automation Group SMART HUBT" DDC Operation Manual CIMCO Automation Group Division of CIlVICO Refrigeration Phone: 416-465-7581 Fax: 416-465-8815 Smart HubTM Manual Table of Contents ABOUTCIMCO............................................................................................................................. 3 Introduction................................................................................................................................. 4 EQUIPMENT OPERATION............................................................................................................. 5 ColdBrine Pump Operation..................................................................................................... 5 Compressor Operation............................................................................................................ 5 Evaporative Condenser Control.............................................................................................. 6 AlarmProcessing..................................................................................................................... 6 Graphical Interface Program....................................................................................................... 7 Common Conventions and Operation Procedures..................................................................... 8 Home Page and Navigation....................................................................................................... 10 RinkControl Screen................................................................................................................... 11 Control: .................................................................................................................................. 11 Setpoints:............................................................................................................................... 13 Information: ........................................................................................................................... 13 Compressor Control Page.......................................................................................................... 14 Control: .................................................................................................................................. 14 LagTimers: ............................................................................................................................. 15 Information: ........................................................................................................................... 15 Pipe and Equipment Layout: ................................................................................................. 16 Condenser Control Page............................................................................................................ 17 Control: .................................................................................................................................. 17 Information: ........................................................................................................................... 18 Underfloor and Snowpit Page: .................................................................................................. 19 SchedulePage............................................................................................................................ 20 RinkSchedule: ....................................................................................................................... 20 Compressor Schedule: ........................................................................................................... 20 Weekly vs Exceptions tabs: ................................................................................................... 21 TrendsPage............................................................................................................................... 22 EquipmentRuntimes Page........................................................................................................ 23 I ` I I CIMco Smart HubTM Page 1 of 34 Smart HubTM Manual Service Intervals Popup:........................................................................................................ 24 RuntimeTrending Popup:..................................................................................................... 25 Alarm Configuration Page......................................................................................................... 26 Settings: ................................................................................................................................. 27 AlarmLog Page.......................................................................................................................... 29 TestAlarm Page......................................................................................................................... 31 TestAlarm Options: ............................................................................................................... 31 AlarmRecipients: ................................................................................................................... 31 ScheduleTest Alarm: ............................................................................................................. 32 SystemFlow Page...................................................................................................................... 33 Troubleshooting the Smart HubT""............................................................................................. 34 I ` I I CIMco Smart HubTM Page 2 of 34 Smart HubTM Manual ABOUT CIMCO CIMCO Refrigeration is a Division of Toromont Industries, which represents the largest industrial refrigeration design, engineering and contracting group in North America. Founded in 1913, CIMCO specializes in: DESIGN and ENGINEERING CIMCO has built its reputation by having the best in technical sales, manufacturing and refrigeration engineers. From coast to coast, our team of application specialists can draw on more than 100 years of CIMCO experience to design the refrigeration plant that will meet your specific needs. From initial concept, through site supervision, to project commissioning, CIMCO engineers are available to ensure the success of your project. MANUFACTURING CIMCO has established its reputation by using the latest manufacturing techniques to produce world class refrigeration equipment. In fact, many of the products that become part of a refrigeration system are created by CIMCO, such as pressure vessels, shell and tube heat exchangers, dehumidifiers, microprocessor control systems and complete packaged refrigeration systems. COMPONENTS CIMCO ensures every component used in CIMCO systems is chosen based on the knowledge gained from past experience. Each product is carefully evaluated, tested and proven before it becomes part of a CIMCO system. From the compressor to the simplest control, each unit is carefully assessed and matched with components of proven dependable performance to keep our clients and their products cool. INSTALLATION and SERVICE A key aspect of CIMCO's success has been our experience in the preparation, installation, start-up and balancing of our systems. CIMCO offers preventative maintenance and service inspection programs with reliable, professional follow-up service. When it comes to keeping things cold or on ice, only CIMCO does it better than Mother Nature. I ` I I CIMco Smart HubTM Page 3 of 34 Smart HubTM Manual Introduction The refrigeration control system is based on a Direct Digital Control (DDC) system. Most Smart HubTM configurations feature, but are not limited to... • Infrared camera for precise ice surface temperature readings and control • Desktop computer loaded with custom graphics with click -and -point functionality that match your system • Automatic control of refrigeration systems by coordinating controlled equipment • Brine/Glycol return sensor for compressor control and load calculations • Game, Day and Night Setpoint scheduling on a 7 day weekly calendar • Trend logging of critical readings • Runtime accumulators for refrigeration equipment • Capability for remote monitoring • Alarm logging Your system includes a back-up controller. This manual will describe operation sequences for DDC MODE only. I ` I I CIMco Smart HubTM Page 4 of 34 Smart HubTM Manual EQUIPMENT OPERATION Cold Brine Pump Operation IRC Mode: The rink surface temperature is usually controlled by a custom designed Infra -Red Camera (IRC) mounted above the ice surface. In DDC control mode, the cold brine pump is started based on a 1°F deadband around the setpoint. SLAB Mode: In some installations there may be a temperature sensor in the slab that is used to control the ice temperature. The control in this case works in the same way as IRC Mode except the SLAB mode set point is used to start and stop the pumps. Return Mode: In Return mode the cold brine pump will be forced to run at all times and the compressor(s) will be staged based on the return temperature. Compressor Operation Compressors will be staged based on the difference in temperature and set point for the current control mode (IRC, SLAB or Return). Once the cold brine pump has started, the lead compressor will be started. Lag compressors will be started if the LAG START DELAY has timed out and the temperature is above the setpoint. The last compressor will shut off once the set point has been reached. There is also the capability to do compressor demand limiting. This means that during a certain schedule (if it is enabled), only up to a certain number of compressors will start if there is a requirement for cooling. There are 3 methods of determining the lead compressor: Fixed, Automatic and Runtime Equalization. When "Automatic" rotation is selected, the lead compressor is rotated every time all of the compressors have stopped. When "Fixed" rotation is selected, the lead compressor will not rotate unless a compressor is taken off-line or there is an alarm for a compressor. In that case, the failed or off-line compressor will be rotated to the last in sequence. In "Runtime Equalization" the compressor with the least number of runtime hours is selected to be the lead compressor. I ` I I CIMco Smart HubTM Page 5 of 34 Smart HubTM Manual Evaporative Condenser Control The condenser is controlled based on the discharge pressure from the compressors. There is an automatic winter mode/summer mode switchover. When this feature is enabled, if the temperature falls below a user adjustable threshold, the control switches to winter mode (also called Fan -First or Drymode). In winter mode the condenser fan(s) is/are started first and then, if needed, the pump will be started. In summer mode the pump is started first and then, if needed, the fan(s) will be started. The fan(s) will also turn off first when the pressure begins to fall. Alarm Processing The alarm horn is programmed to activate when the DDC system recognizes any one of a number of pre -defined alarm conditions. All transducers have a set of operator adjustable alarm limits. If the system operation falls outside of these limits, an alarm is generated; in addition, any device that does not operate when called upon also initiates an alarm. The alarm light will remain illuminated while any point is in alarm. I ` I I CIMCO Smart HubTM Page 6 of 34 Smart HubTM Manual Graphical Interface Program The graphical interface is accessed through a web browser supporting HTML5 and is typically access by a desktop or panel mounted touchscreen computer supplied by CIMCO. (Google Chrome is the recommended browser). When you double click the Smart HubTM Login Icon on the Desktop, the following screen will appear: Log in to your account Username Pass .,d Enter your assigned username and password and click Log In. Clicking the "Log In as Operator" button will automatically log the user into the Operator account. The Operator account is view -only, and will not allow changes to settings or schedules. When switching accounts, completely close and reopen the browser. =E9 Smart HubTM Page 7 of 34 Smart HubTM Manual Common Conventions and Operation Procedures Equipment Graphics: When Offline, the equipment will be greyed out. When Online, the equipment will be coloured, and have green text in the center of it. If the program is telling the equipment to turn on, the green text will read "START". Otherwise it will read "STOP" If the equipment is running, the graphic will turn green or show text reading "RUNNING". If the equipment is in alarm, the graphic will turn red or show text reading "ALARM". Some equipment may allow clicking on the alarm text to display additional information about the alarm. If the equipment is running in but is not being called to start by the program, the graphic will turn yellow or show text reading "HAND". Some equipment may have a button labeled "+" beside it. Clicking on this button will display additional information about the equipment if applicable. Popups: Any popups can be closed by clicking the "X" button in the top right corner of the popup or clicking in the grey area outside of the popup. Pressing the ESC key will close all open popups. Toggle Switches: The position of any toggle switch can be changed by clicking on the button to turn it off (circle on the right and green) or off (circle on the left and red). I ` I I CIMco Smart HubTM Page 8 of 34 Smart HubTM Manual Editable Values: For the box shown below, values can be changed with the -/+ buttons or by clicking on the value itself 0.0 OF Clicking once on the -/+ button will change the value by a small increment (0.1 for most values) Clicking twice on the arrow will change the value by a large increment (1.0 for most cases) When clicking on the value, a keypad will be displayed. A value can be entered by clicking on the buttons on the screen or typing them on a keyboard. Pressing the ENTER key or clicking the "SUBMIT" button will save the value to the system. If the number entered is not valid according to the system, text reading "ENTER A NUMBER IN RANGE" will show on the Submit button. The value will not save to the system until a I ` I I CIMCO Smart HubTM Page 9 of 34 Smart HubTM Manual Home Page and Navigation The main screen will appear each time a user logs into the system. The main screen or "Home" screen contains links (through buttons) to most other screens that will give detailed system information and the ability to change set points and schedules with appropriate user access. Each screen will have this side menu linking to other screens. Clicking on side menu options with a downward -pointing triangle next to them will display additional menu items. If there is an alarm in the system, the word "ALARM" in red will appear next to the word "Alarm Status:" If there are no alarms in the system "Inactive" in green will appear in this status bar. Hovering the mouse over the question mark icon will give a list of system conventions. Clicking on the gear symbol in the top right corner will open a configuration popup. If applicable to the site, it will allow changing the language between French and English, and changing the display units of the graphics for temperature ff or °C) and pressure (PSI or kPA or Bar). Major system alarms that will shut down the plant will appear in a red outlined banner across the top of the screen (including the Emergency Stop Alarm, Chiller High Level Alarm, and the notification that All Compressors are Offline). If these alarms are not active and at least 1 compressor is online, this banner will not appear. If applicable, any available SMART RINK CONNECTTM products linked to the Smart HubTM will appear in colour. Clicking on them will open the corresponding SMART RINK CONNECTTM products graphics interface in a separate window. I ` I I CIMCO Smart HubTM Page 10 of 34 Smart HubTM Manual Rink Control Screen This screen allows users to control the rink. Control: Master On/Off: This switch will enable or disable the rink depending on the position of the switch. Disabling the rink will not only disable any pump calls for the rink, but will also disable most alarms associated with the rink. Pump Enable: These switches will enable or disable the rink depending on the position of the switch. If multiple pumps are able to run on the rink, these switches may be visible. Rink Pump Duty Cycle: The "Rink Pump Duty Cycle Enable" switch will enable or disable the duty cycle of the pump. When the duty cycle is enabled, the pump will be run periodically, even if the rink temperatures are satisfied. The "Duty On" and "Duty Off' boxes allow the duty cycle times to be adjusted. Duty On controls how long the pump will stay on during a duty cycle call. Duty Off controls how long the pump will wait until another duty cycle call. The "Duty On" indicator shows when the pump is running due to a duty cycle call. If the indicator is solid green, the pump is running because of a duty cycle I ` I I CIMco Smart HubTM Page 11 of 34 Smart HubTM Manual Clicking the "SHARED PUMP OPTIONS" button will display a fullscreen popup with addition The "Shared Pump Online" switch will enable or disable the shared pump. If the pump is enabled, the "Shared Pump Mode" buttons will be visible. Selectable Options: Rink 1: The pump will function as a dedicated backup for Rink 1. Rink 2: The pump will function as a dedicated backup for Rink 2. Not in use: The pump will not turn on. If the shared pump is assigned to the current rink page, the "Rotation Mode Select' buttons will be visible. The buttons will change the way that the Smart HubTM decides the lead pump. If the lead pump goes offline or into alarm, the system will start the backup pump Selectable Options: AUTO: The lead pump will rotate between the pumps each time the pumps turn off. FIXED: The lead pump is user selectable using a dropdown menu. RUNTIME: The lead pump is chosen based on runtime hours (this mode also displays a button that displays the run hours of each pump). I ` I I CIMco Smart HubTM Page 12 of 34 Smart HubTM Manual Setpoints• This section contains the set points for the IRC, SLAB and RETURN mode, as well as allowing different set points for different schedules (Game, Night, Day and Event). The set point that is currently used for control will have a green box around it. Mode Select: IRC: The rink is controlled based on the temperature from the Infra -Red Camera SLAB: The rink is controlled based on the temperature from the Slab Sensor RETURN: The rink is controlled based on the return temperature Pressing the "RINK SCHEDULE" button will open the schedule page for the corresponding rink. Information• Ice Surface Temperature: This displays the current IRC reading. Cold Slab Temperature: This displays the current slab temperature reading. Supply Temperature: This displays the current supply temperature from the chiller to the rink. Return Temperature: This displays the current return temperature from the rink. Rink Space Temperature/Humidity: This displays the current temperature and humidity of the rink space. Rink Dewpoint: This displays the dewpoint of the rink space, calculated from the Space Temperature and Humidity. Compressor Demand: This displays how many compressors are currently required to run. Current Pump Rotation: This displays the lead/backup pump order of the rink. Status: This displays text describing what the rink is currently doing. I ` I I CIMCO Smart HubTM Page 13 of 34 Smart HubTM Manual Compressor Control Page This screen will show the status of the compressors in the system. Control: Compressor Enable: These switches will enable or disable compressors. When a compressor is disabled, it will not start and be placed at the back of the compressor rotation. Additionally, if the compressor is in alarm, toggling the Compressor Enable switch will reset the alarm on the DDC system. It will not reset the alarm on the starter panel or individual safety switches Rotation Mode Select: This button allows for choosing the compressor rotation. Compressors will turn on depending on the compressor order. Selectable Options: AUTO: The compressor order will rotate each time the compressors all stop running. FIXED: The compressor order is selectable by the user. RUNTIME: The compressor order is determined based on runtime hours. If the compressors are in FIXED mode, the "CHANGE ROTATION" button will appear. Clicking it opens the Change Rotation Popup, which will allow the user to select a compressor order. Clicking the "Refresh" button will clear any selections made. Clicking the "Submit" button will submit the rotation choice and rotate the compressors immediately. If the compressors are in RUNTIME mode, the "RUN HOURS" button will appear. Clicking it opens the Run Hours Popup, which displays the current runtime hours of each compressor. I ` I I CIMco Smart HubTM Page 14 of 34 Smart HubTM Manual Demand Limit: This feature allows for the user to control the number of compressors allowed to run based on a schedule. If the "Demand Limit Enable" switch is enabled, the compressor demand will be limited to the number of compressors stated in the "Demand Limit" option when the schedule is active. The Demand Limit Schedule can be accessed through both the Schedules menu option and the "DEMAND LIMIT SCHEDULE" button. Lag Timers: This user adjustable value determines the amount of time that must expire before the system checks to see if another compressor needs to be started. There are three adjustable delays for the lag start times that correspond to the rink schedule. Next Lag Delay: This timer will detail the time for the next lag delay, corresponding to the rink schedule. Lag Time Remaining: This timer will detail the time left on the current lag delay. Information• Current Rotation: This line will display the current order that the compressors will start/stop in. This value will change depending on the rotation mode selected. Only compressors available to run will be displayed here. If none are available, this will read "ALL OFFLINE". Suction Pressure: This displays the current suction pressure in psi. Discharge Pressure: This displays the current discharge pressure in psi. Current Compressor Demand: This displays how many compressors are being called for in the system Return Temperature Target: This displays the return temperature value that the system is targeting Return Temperature Control Reading: This displays the current return temperature that the system is controlling off of. I ` I I CIMco Smart HubTM Page 15 of 34 Smart HubTM Manual Pipe and Equipment Layout: The text "ANTP' will appear near a recently started compressor. This means that if the compressor is stopped while the "ANTP' is visible, it will not be able to be started again until the anti -cycle time has expired. This time can be checked by hovering over the button near the compressor. The word "ALARM" will appear below the compressor to indicate that the compressor is in alarm. The compressor may also turn red. Clicking on the button will open the Alarm Popup, which displays the current active alarms on the compressor. If the "Compressor Safety Failure" alarm is red, the "Show Gauge Board" button can be clicked to display I ` I I CIMCO Smart HubTM Page 16 of 34 Smart HubTM Manual Condenser Control Page This screen will show the status of the evaporative condenser fan(s) and pump. Control: Control Target Select: This button is used to change between a Manual discharge target and an Optimized discharge target. The Optimized target uses the outside ambient conditions to calculate a target. The Manual target can be modified by changing the "Manual Setpoint" value (appears when Manual is selected). Fan Spin Call: This indicator shows when the fan is running at 100% speed after it has been stopped for a period of time. This will only happen when the outside temperature drops below freezing. Drymode: This feature allows the system to run in "Fan First Mode". If the system is running in Drymode, the fan will turn on first, followed by the pump. The "Drymode Enable" switch is used to enable or disable Drymode. The "Drymode Temperature Cut -In" is used to set the conditions for activating Drymode. If the outside air temperature reading is below the crossover point value, the system will switch to Drymode. If this mode is active, the "Drymode Active" indicator will also turn solid green. I ` I I CIMCO Smart HubTM Page 17 of 34 Smart HubTM Manual Pump Rotation Mode Select: These buttons are used to select the rotation mode of the condenser pumps. If the lead pump is unable to run, the backup pump will be started. Selectable Options: AUTO: The lead pump will rotate between the pumps each time the pumps turn off. FIXED: The lead pump is user selectable through a dropdown menu. RUNTIME: The lead pump is chosen based on runtime hours (this mode also shows a button that displays the run hours of each pump). SINGLE: The lead pump will always be whatever pump is the "main pump" and the second pump will never run. Information• Discharge Pressure: This displays the current discharge pressure. Discharge Target: This displays the discharge pressure that the system is targeting. Outside Air Temperature: This displays the current outside air temperature. Outside Air Relative Humidity: This displays the current humidity. Current Pump Rotation: This displays the rotation order of the pumps. If the 1st pump in the rotation is unable to run, the 2nd pump will start. Status: This displays the running status of the compressors. It will display the stage that the condenser is on, as well as the order that the pump/fan are turning on in. I ` I I CIMco Smart HubTM Page 18 of 34 Smart HubTM Manual Underfloor and Snowpit Page: This screen will show the status of the underfloors and snowpit. Underfloor Temperature: This displays the current temperature of the underfloor. Underfloor Target: This displays the current temperature setpoint of the underfloor. Snowpit Temperature: This displays the current temperature of the snowpit. Snowpit Target: This allows changing of the current temperature setpoint of the snowpit. I ` I I CIMCO Smart HubTM Page 19 of 34 Smart HubTM Manual Schedule Page �mAM The schedule page displays the active schedules on the system. The Save button in the top right corner will save the schedule. Ensure to click this button if changes are made. Failing to click this button will result in the schedule not updating. The Reload button in the top right corner will remove any unsaved changes from the schedule, and revert it to its previously saved configuration. To create an event, right click on the day and select "Create Event". Change the time duration by clicking on the edge of the event and dragging. Move the event to another day or time by clicking on the middle of the event and dragging. To delete the event, right click the event and select "Delete Event". To change the value of the event, right click the event and select "Edit Value". Use the dropdown menu to select the type of event desired. Rink Schedule: Rink schedules can have the value of Day, Night, Game or Event. The setpoints for these types of events are set in the Rink Control graphic. If there is no event on the schedule, the controller will default to the Day setpoint value. Compressor Schedule: Compressor schedules can have the value of True or False. The schedule can be enabled on the Compressor Control graphic (in the demand limit enable switch). When the schedule reads True, the controller will limit the compressor demand. If there is no event on the schedule, the controller will default to False (no demand limiting). TOROMONT Smart HubTM Page 20 of 34 Smart HubTM Manual Weekly vs Exceptions tabs: Each schedule has Weekly and Exceptions options (the tabs in the top left corner of the schedules page). The Weekly tab (displayed above) contains the schedule that the system will run on for every day of the week. The Exceptions tab (displayed below) allows the creation of events outside of the Weekly schedule. Events in the Exceptions tab have their own daily schedule that will overwrite that day in the Weekly schedule. If multiple Exceptions exist that apply to a single day, the system will use the schedule highest on the Priority list. Events can be created using the "Add" button. The popup "Event Editor" menu allows for a wide range of options when programming an exception (for example, every December 25th, or every Monday in January, or every day between 2 days). The "Edit' button allows editing of the date information of the Exception. The "Shift Up/Down" buttons allow changing of the Priority of the events. The "Delete" button allows the deletion of the Exception. The schedule of the Exception can be accessed by clicking on the Exception in the list; the schedule will annear on the right of the tab. .-Y C q :, 1 Cam Al - .an Oev s oam umi§c zoao+pr+s�o�oxsnw-ra Ci Eoll1 Aim up 4snm Oax oece I ` I I CIMCO Smart HubTM Page 21 of 34 Smart HubTM Manual Trends Page The trends page displays the values of important readings and run status's over time. Selecting a trend from the trends list will display the last 8 hours of data. Each value on the trend is displayed with a different colour. The legend at the top right of the window displays which reading corresponds to which line colour. Any binary values (on/off) are displayed at the bottom of the trend. Hovering over a trend with the mouse will bring up a small window detailing the name of the value, the value itself, and the time the value was taken at. Clicking the arrows at the top right of the trend will change the time by 8 hours forward or backwards. Clicking "Refresh" will refresh the trend, gathering the latest data. Clicking the date at the top left of the trend page will allow a custom selection of start and end dates/times. Clicking the "Load Last 8 Hours" button will automatically change the start/end date/time to the last 8 hours. I ` I I CIMCO Smart HubTM Page 22 of 34 Smart HubTM Manual Equipment Runtimes Page The equipment runtimes page displays information about the run hours of each piece of equipment controlled by the Smart HubTM Retentive Starts: This displays the total number of times that the equipment has started up since the system started tracking it. Retentive Hours: This displays the total number of hours that the equipment has run since the system started tracking it. I ` I I CIMCO Smart HubTM Page 23 of 34 Smart HubTM Manual Service Intervals Popup: The "Service Intervals" button displays a popup where the service interval options can be accessed. Each piece of equipment has 3 configurable and separately tracked Service Intervals. The "Time Elapsed" value displays the amount of time in hours that the equipment has been running since the last interval reset. The "Time Setpoint" value allows configuration of the amount of time in hours that the equipment can run before a service flag is sent. As the Time Elapsed increases, a green graphical indicator will appear to show the percentage of time remaining (below the setpoint). At 80%, the bar will turn yellow. When the "Time Elapsed" is greater than the "Time Setpoint", the indicator light will turn red. The graphical indicator will also turn red, and an alarm notification will be sent. When the service is performed, click on the "Reset' button to reset the Time Elapsed value. Setting the "Time Setpoint" to 0 hours disables the service interval. I ` I I CIMCO Smart HubTM Page 24 of 34 Smart HubTM Manual Runtime Trending Popup: Clicking the "Runtime Trending" button will display the Runtime Trending popup. The graph shows the number of hours the equipment has run per period of time. The "Daily", "Weekly", "Monthly" and "Yearly" buttons allow different time periods for trended run hours to be shown. Data is only added to these graphs at the end of each time period (end of day/week/month/year). The "Today's/This Week's/This Month's/This Year's Run Hours" displays the current run hours for the time period selected in the buttons. I ` I I CIMCO Smart HubTM Page 25 of 34 ALARM CONFIGURATION o Rink 1 IRC Temperature Rink 2IRC Temperature • Low: - Fall: 0 Lur: a Law: I Fail: a Rink 1 Slat, Temperature Rink 2 Slab Temperature i Low: � FaIIT • my""I"M Higs Lowy . Fail: • Common Supply Temperature underfloor 1 Temperature • Low: + Fall: + Low: ♦ Pall: Common Return Temperature Underfloor 2 Temperature • Low: 4 Fall: . Low: ♦ Fall: Suction Pressure Snowptt Temperature Low: • Fall: • Low: ♦ Fail: • Discharge Pressure • Fall: ! E-Stop Alarm • Compressor 1 Run Alarm ® Cord. Pump 1 Run Alarm High Level Alarm • Compressor I Safeties �� WORM Cord, Pump 2 Run Alarm + Ammonia Detection Alarm • �Rllll Compressor 2 Run Alarm • Cord. Fan 1 Run Alarm • Non-Condensables Alarm Compressor 2 Safeties • 11FIMMIRM Cord. Fan 2 Run Alarm NC Sensor Fall Alarm Compressor 3 Run Alarm • OF 1 Pump Run Alarm • Rink 1 Pump 1 Run Alarrn Compressor 3 Safeties • OF 2 Pump Run Alarm • Solid Green - The alarm condition is false, the system is running normally. Solid Red - The alarm condition is true and the time delay has passed. The system is in alarm. Blinking Red - The alarm condition is true but the time delay hasn't passed_ Solid Yellow - Inhibit. The alarm will be ignored by the system. Blinking Yellow - Inhibit Waming. The alarm condition is true but the alarm is inhibited TOROMONT I 0 Smart HubTM Manual Settings: Alarms can be configured by clicking on the "Settings" button next to each alarm. Reading: This is the current reading of the sensor. High/Low Alarm Setpoints: These are the values that will cause an alarm if the sensor reading is higher/lower for a period of time. Time Delay: This is the amount of time that the alarm condition must be active before the alarm actually activates. In the above screenshot for example, for the High Alarm for the Rink 1 IRC Temperature to happen, the Reading must be above the High Alarm Setpoint for more than the Time Delay (30 minutes). I ` I I CIMCO Smart HubTM Page 27 of 34 Smart HubTM Manual Type: This dropdown defines the behaviour of the alarm. Selectable Options: Inhibit: Regardless of whether the alarm condition is true, it will never become active in the system. Local: The alarm will appear in the alarm log, and will activate any lights/horns that exist on the site. Remote: The alarm will appear in the alarm log, and will activate any lights/horns that exist on the site. Additionally, it will send an alarm notification email/text to the addresses on the recipient list. Individual/Combined Safeties Mode: This button will only appear on Compressor Safety Alarms Popups. When in Combined Mode, all compressor safety alarms available will behave the same, depending on the Type selected. When in Individual Mode, each compressor safety can be assigned a different Type. The button can be used to switch between the 2 modes. I ` I I CIMco Smart HubTM Page 28 of 34 Smart HubTM Manual Alarm Log Page The Alarm Log page displays a log of all alarm events. The "Total Alarms" will display the number of alarms in the alarm log. The "Unacked" value denotes the number of unacknowledged alarms in the alarm log. The log will only display up to 100 rows of alarms of the maximum 1000. The chart button next to the Unacked value allows toggling the visibility on certain columns. If the column has an "x" next to it, the column is visible. The "Filter" button (next to the chart button) allows the modification/filtering of the data in the log. The log can be filtered by timestamp, acknowledged status, alarm status, or by searching the message text. When the filter options are changed, the settings can be applied by clicking the "Apply" button, or removed with the "Reset Filters" button. If any filters are active, or if there are more than 100 rows active in the log, the Filter button will turn red. Additionally in the Filter Options menu, the alarm data being viewed can be changed. Selectable Options: Default: Any active or unacknowledged alarms will appear in the log. Alarms can be acknowledged in this view. Persistent: The last 1000 alarms regardless of acknowledged status will appear in this log. Alarms can't be acknowledged in this view. I ` I I CIMCo Smart HubTM Page 29 of 34 Smart HubTM Manual When an alarm is triggered, a notification will appear in the log. The "Ack State" will read "Unack" (the alarm is unacknowledged). The "Message Text" will have a description of the alarm. While the alarm is active in the log, the row will appear red. By selecting the alarm and pressing the "Ack Selection" button, the Ack state for the alarm will read "Ack" (the alarm has been acknowledged). The notification will continue to display in the alarm log. When the alarm turns off, it will disappear from the log. When the alarm turns off, if the alarm wasn't previously acknowledged a time will appear in the "Alarm Off Timestamp" column. The row will turn white, and will have the Ack state read "Unack". Selecting the alarm and clicking the "Ack Selection" button will remove the notification from the alarm log. The "Select All/Select None" buttons can be used to select/deselect all alarms in the log. The "Ack All" button can be used to acknowledge all alarms in the log. I ` I I CIMCo Smart HubTM Page 30 of 34 Smart HubTM Manual Test Alarm Page The Test Alarm page allows the configuration of the Test Alarm. The test alarm can be used to test the functionality of the system and remote alarms. Test Alarm Options: TEST ALARM NOW: This button activates the test alarm for 10 seconds. Alarm Type: This dropdown menu allows the selection of the functionality of the Test Alarm. Selectable Options: Email Only: The test alarm turning on will send an email/text to anyone in the recipient list. System Alarm: The test alarm turning on will send an email/text to anyone in the recipient list, and will also activate any plant alarm lights/horns that exist on the site. Alarm Recipients: This section displays the email addresses that will be sent alarm notifications if they occur. This list can be modified using the CIMCO Email Configuration Utility. I ` I I CIMco Smart HubTM Page 31 of 34 Smart HubTM Manual Schedule Test Alarm: This section displays configurable options that will activate the Test Alarm on a regular basis, to test the alarming functionality. Enable Scheduled Test Alarm: This switch enables or disables the scheduled test alarm. Schedule Alarm Type: This set of options changes the time/day that the Test Alarm will activate. Selectable Options: Alarm Weekly: The test alarm will turn on every week, on the "Day of the Week" at the "Time" selected in the options below. Alarm Monthly: The test alarm will turn on once a month, on the first "Day of the Week" that month, at the "Time" selected in the options below. I ` I I CIMCO Smart HubTM Page 32 of 34 Smart HubTM Manual System Flow Page The System Flow Screen is a graphical representation of the refrigerant flow diagram. This does not represent the actual equipment locations and may not include equipment that is not controlled by the Smart HubTM controller. Equipment statuses are displayed graphically through text and/or animations. Any monitored or system -critical values are also displayed. Other status's detailed in previous sections (such as the compressor alarm status and anti - time) are displayed as well. I ` I I CIMCo Smart HubTM Page 33 of 34 Smart HubTM Manual Troubleshooting the Smart HubTM In the event that you encounter difficulty with the operation of the Smart HubTM system, check the following first: i) Ensure that all pieces of equipment are Online in the graphics and not Offline. ii) Will the equipment run in HAND from the starter panel in the mechanical room? If not, check its associated safeties. If something will not run in HAND then it will not run using the controller. Note that some safeties require a manual reset by the operator. iii) Does the equipment read an alarm that will not go away? Turn the enable switch off, and then turn it back on again. In some cases this will reset the alarm on the Smart HubTM system. iv) Do the values in the graphics not change or revert to previously set values? Ensure that you are logged in under the proper account with permission to change system values. Setpoint values are also limited to normal operating ranges. Make sure the changes you are making are within the normal operating parameters. v) If the problem cannot be resolved, switch over the system from DDC mode to backup mode at the starter panel and call CIMCO for assistance. END OF MANUAL I ` I I CIMCo Smart HubTM Page 34 of 34 HVAC City of Santa Clarita *CLIMATEC Installation Agreement — Att E Submittal Data Job Data: Location: Buyer: I Buyer P.O. #:r Carrier #: Unit Number: I IModel Number: Performance Data Certified By: NOTE: Images for illustration purposes only. Actual models may be slightly different. Date: STANDARD FEATURES • Variable Speed (Inverter) • Factory installed Base Pan Heater • Factory installed Crankcase Heater • Low Voltage Controls • Auto -Restart function • Condenser High Temp Protection • Modes: Cool, Heat, Dry, Fan, Auto • Quiet operation • Anti -corrosive fin coating y LIMITED WARRANTY* • 10 year limited to original purchaser on compressor and parts upon timely registration, otherwise 5 years *For residential applications. See warranty for full details. System Size 36 Outdoor Model 38MARBQ36AA3 Electrical Voltage, Phase, Cycle V/Ph/Hz 208/230-1-60 MCA A. 28 MOCP - Fuse Rating A. 35 Operating Range Cooling Outdoor DB Min - Max °F(°C) -22-122 (-30-50) Heating Outdoor DB Min - Max °F(°C) -22-86 (-30-30) Piping Total Piping Length ft (m) 213 (65) Piping Lift ft (m) 98 (30) Pipe Connection Size - Liquid in (mm) 3/8 (9.52) Pipe Connection Size - Suction in (mm) 5/8 (16) Refrigerant Refrigerant Type R410A iMetering Device EEV Charge Ibs (kg) 7.50 (3.40) " Condensing unit above or below indoor unit For Compatibility See Product Data Outdoor Coil Face Area Sq. Ft. 24.0 No. Rows 3 Fins per inch 18 Circuits 6 Compressor Type Rotary Inverter Model K-FF250D22UMT Oil Type VG74 Oil Charge FI. Oz. 22.7 Rated Current RLA 18.0 Outdoor Unit Width in (mm)l 37.24 (946) Unit Height in (mm) 31.89 (810) Unit Depth in (mm) 16.14 (410) Net Weight Ibs (kg) 150.13 (68.1) Airflow CFM 2,235 Sound Pressure dB(A) 61.5 Copyright 2021 CAC/BDP . Atlanta, GA. 30339 Edition Date: 03/2021 Catalog No: G38MARB-36-3-02SB SUBJECT TO CHANGE WITHOUT NOTICE Page 1 Replaces: G38MARB-36-3-01SB Performance t Indoor Model DHMAHBQ36XA3 Energy Star NO Cooling Rated Capacity Btu/h 36,000 Cooling Cap. Range Min - Max Btu/h 9,300-38,800 SEER 17.5 EER 8.5 Heating Rated Capacity (47°F) Btu/h 36,000 Heating Rated Capacity (17°F) Btu/h 22,400 Heating Maximum Capacity (17°F) Btu/h 23,600 Heating Maximum Capacity (5°F) Btu/h 20,400 Heating Cap. Range Min - Max Btu/h 11,570-37,000 HSPF 9.0 COP (47°F) W/W 2.51 COP (17°F) W/W 2.18 COP (5°F) W/W 1.75 2.36 [Sq.9m] Construction View Outdoor Model: 38MARBQ36AA3 17.u'1 14-} u4A 1. �.77 14 Y, ".441 4. r 3726 [946.321 40.69 [ WaI541 '-6.4"- [E372.951 0.39 110-001 3.74 [95.001 16.85 [402.601 Copyright 2021 CAC/BDP . Atlanta, GA. 30339 Edition Date: 0312021 Catalog No: G38MARB-36-3-02SB SUBJECT TO CHANGE WITHOUT NOTICE Page 2 Replaces: G38MARB-36-3-01SB Submittal Data Job Data: Location: Buyer: I Buyer P.O. #:r Carrier #: Unit Number: 1 Model Number: Performance Data Certified By: Performance SERIES System Size 36 Indoor Model 40MAHBQ36XA3 Electrical Voltage, Phase, Cycle V/Ph/Hz 208/230-1-60 Power Supply Indoor unit powered by outdoor unit MCA I A. 0.625 Controls Wireless Remote Controller (°F/°C Convertible) Standard Wired Remote Controller (°F/°C Convertible) Optional Operating Range Cooling Indoor DB Min -Max °F(°C) 63-90 (17-32) Heating Indoor DB Min -Max °F(°C) 32-86 (0-30) Piping Pipe Connection Size - Liquid in (mm) 3/8 (9.52) Pipe Connection Size - Suction in (mm) 5/8 (16) Date: STANDARD FEATURES • Modes: Cool, Heat, Dry, Fan, Auto • Turbo Mode • Four fan speeds • Sleep Mode • Relative Humidity Sensor • Intelligent Eye (Occupancy Sensor) • ECO Mode • Up -Down Louver control (fixed or swing) • Follow Me (senses temperature at handheld remote) • Heating Setback (46' F Heating Mode) • Quiet indoor operation • Aluminum Golden Hydrophilic pre -coated fins CONTRO S: • Wireless Remote Controller included with indoor unit M TED WARRANT • 10 year limited to original purchaser on compressor and parts upon timely registration, otherwise 5 years *For residential applications. See warranty for full details. Indoor Coil Face Area Sq. Ft. 3.60 No. Rows 3 Fins per inch 20 Circuits 7 Indoor Unit Width in (mm) 44.88 (1140) Unit Height in (mm) 14.57 (370) Unit Depth in (mm) 10.83 (275) Net Weight Ibs (kg) 43.65 (19.8) Number of Fan Speeds 4 Airflow (lowest to highest) CFM 382/506/639/843 Sound Pressure (lowest to highest) dB(A) 39/41/46/52 Air throw Data ft (m) 33.8 (10.3) Moisture removal Pint/ 12.125 (5.75) Field Drain Pipe Size O.D. in (mm) 0.625 (16) Performance may vary based on the outdoor unit matched to. See compatible outdoor units pages for Performance Data. For Compatibility See Product Data Copyright 2021 Carrier Corporation . 7310 W. Morris St. Indianapolis, IN 46231 Edition Date: 02/2021 Catalog No: SUB40MAHB-36-3-02 SUBJECT TO CHANGE WITHOUT NOTICE Page 1 Replaces: SUB40MAHB-36-3-01 cce or e KSACN0801AAA Wired Remote Control 7 Day Programmable KSACN0101AAA Wired Remote Control with Timer Function KSAIF0601AAA Wi-Fi Kit High Wall Mid -Tier KSAIC0301230 24V Interface Kit 230V on r c on e ndoor Model: MAHBQ36 A3 LW.,VJ Unit Width in (mm) 44.88 (1140) Unit Height in (mm) 14.57 (370) Unit Depth in (mm) 10.83 (275) Net Weight Ibs (kg) 43.65 (19.8) Copyright 2021 Carrier Corporation . 7310 W. Morris St. Indianapolis, IN 46231 Edition Date: 02/2021 Catalog No: SUB40MAHB-36-3-02 SUBJECT TO CHANGE WITHOUT NOTICE Page 2 Replaces: SUB40MAHB-36-3-01 SMMSe / SHRMe VRF Indoor Unit TOSHIBA MMD-AP0076BHPUL—Concealed Duct Carrier Submittal Data Job Name Tag INDOOR UNIT MODEL MMD-AP0076BHPUL PERFORMANCE Cooling Rated Capacity Btu/h 7,500 Heating Rated Capacity Btu/h 8,500 Fan Type (Qty) Centrifugal (1) External Static Pressure (ESP) �n 0.4 (Factory default) 0.6 (Max) Standard Airflow (H / M / L) CFM 318 / 265 / 212 Sound Pressure (H / M / L)* dBA 39 / 34 / 30 FILTER (Standard) Type Washable Quantity 1 MERV Corresponding Value 5 Dimensions (W x L x D) in. 10-5/8 x 27-5/8 x 5/8 ELECTRICAL Power Supply V/Ph/Hz 208-230/1/60 Power Consumption (Input) kW 0.07 Full Load Amps (FLA) A 0.73 Minimum Circuit Amps (MCA) A 0.91 Maximum Overcurrent Protection (MOCP) A 15.0 Location SMMSe / SHRMe CONCEALED DUCT FEATURES • R-410A Refrigerant • Twelve sizes from 7,500 to 54,000 Btu/h • Standard condensate pump with 24.3 in. lift capability • Quiet operation, as low as 30 dBA • Rear return configurable for bottom return • Auto or manually set three fan speeds • Five-year parts limited warranty MOTOR Motor Type DC Motor Watts 150 PHYSICAL DATA Pipe Connection Size - Liquid in. 1 /4 (Flare) Pipe Connection Size - Suction in. 3/8 (Flare) Pipe Connection Size - Drain (OD) in. 1-1/4 Pipe Connection Size - Drain (ID) in. 1 Refrigerant R-410A External Finish Zinc Hot Dipped Steel Plate Unit Width in. 27-5/8 Unit Height in. 10-7/8 Unit Depth in. 29-5/8 Net Weight lb 56 ACCESSORIES ❑ Wired Remote Controller (7-Day Programmable) RBC-AMS54E-UL ❑ Simple Wired Remote Control RBC-AS41 UL ❑ Stand -Alone Receiver with Wireless Remote TCB-AX32UL ❑ Remote Sensor TCB-TC41 LUL ❑ Wired Remote Controller- RBC-AMT32UL ❑ Auxiliary OA Flange TCB-FF151 US-UL ❑ Zoning Duct Flange TCB-SF56C6BP-UL * The actual values in an external operating environment are generally higher than the indicated values due to ambient noise. Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form MMD-AP0076BHPUL_01 Pg 1 01-21 Replaces: Form MMD-AP0074BH2UL-1_01 DIMENSIONAL DRAWING CONCEALED DUCT MMD-AP0076BHPUL 1 /100 or mom do ... sM < m Flexible drain hose Flexible drain hos (Accessory) (Accessory) e ,1-314 orless ` f if 00 or more downward At the lime of natural d21nage Drain-ep pipinn Refrigerant pipe E I � Lij Air discharge Ceiling — 29-1/2 3-7/S or 27-1/2 or more are m E Inspection opening (Ceilin{ Floor surface Service space (for maintenance of air filter) Q Q Air intake Ceiling �lnapectionopening (eing opening) Q a Air intake 11-3/4 or more Ceiling 22-1 /2 Inspection opening (Ceiling opening) All dimensions are shown in inches. %ptBereA C Carrier Corporation 2021 <1sTeTous Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form MMD-AP0076BHPUL_01 Pg 2 01-21 Replaces: Form MMD-AP0074BH2UL-1_01 SMMSe/SHRMe VRF Indoor Unit TOSHIBA MMD-AP0120VHG2UL / Vertical Air Handler Carrier Job Name Tag Submittal Data Location STANDARD FEATURES • Dual Drainage Spouts • Three Fan Speeds - High, Medium and Low • Unit Can Be Installed Standing Vertical or Laid Horizontally • Electronically Commutated Fan Motor (ECM) • Built In Pulse Modulating Valve For Installation Ease • Removable Front Panel Provides Easy Access • Filter MERV 3 INDOOR UNIT MODEL MMD-AP0120VHG2UL PERFORMANCE Cooling Rated Capacity Btu/h 12,000 Heating Rated Capacity Btu/h 13,500 Airflow (H / M / L) CFM 480 / 440 / 340 Sound Data (H, M, L) t dBA 41.4 / 38.2 / 36.8 External Static Pressure (ESP) in. WG 0.3 (Factory Default) 0.5 (Max.) ELECTRICAL Power Supply V/Ph/Hz 208-230/1/60 MCA* A 1.9 MOCP* A 15 Full Load Amps (FLA)* A 1.3 PHYSICAL DATA Pipe Connection Size - Liquid inches 1/4 (brazed) Pipe Connection Size - Suction inches 3/8 (brazed) Pipe Connection Size - Drain inches 3/4 (FTP) Refrigerant R410A DIMENSIONS (inches) H (in) 46-7/8 W (in) 17-3/4 D (in) 22-1/4 NET WEIGHT Ibs 130 ACCESSORIES (Optional) ❑ Wired Remote Controller (7-Day Programmable) - RBC-AMS54E-UL ❑ Simple Wired Remote Control - RBC-AS41 UL ❑ Stand Alone Receiver with Wireless Remote TCB-AX32UL ❑ Remote Sensor TCB-TC41 LUL ❑ Wired Remote Controller- RBC-AMT32UL ❑ Filter Box / 2" MERV8 (TCB-FB2F241 VDGUL) ❑ Plenum TCB-PL2S241VDGUL ❑ Electrical Heater (240V/208V): 1.0kW10.8kW TCB-HT101VDGUL 3.0kW12.3kW TCB-HT301VDGUL 5.0kW13.8kW TCB-HT501VDGUL NOTES: * Does not include electric heater. t Average / weighted sound values. 0 2021 Carrier Corporation. All rights reserved. Edition Date: 04/21 Form No: MMD-AP0120VHG2UL_02 A Carrier Company Printed in U.S.A. Replaces: MMD-AP0120VHG2UL_01 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Dimensional Drawing Indoor Unit Vertical Air Handler MMD-AP0120VHG2UL 1-1/4 4 CEE NTER OF UNIT 16-3/8 19-1/2 4-5/8 f s • s s 10-1/4� 0 1 -5/8 -5/8 Cp 1-5/8 POWER ENTRY (OPT) COM ENTRY (OPT) 17-3/4 22-1/4 +� 7/8 COM ENTRY 7 5/8 (BOTH SIDES) 0 1-3l8 POWER ENTRY FOR e (BOTH SIDES) 4 EH DISCONN 0 COVER (OPT) 0 7/8 COM /ENTRY(BOTH SIDES -OPT) 46-7/8 0 1 /4 •LIQ O O CNX. 12-5/8 O 9-1/4 0 3/8 SUCT CNX. 1-1/4 3 Q 1-7/8 O t. O 0 ► 1910 M7/8 0 Cond and Aux Drain 14 (3/4" FPT) ,ATER C Us NOTE: Dimensions shown in inches. 0 2021 Carrier Corporation. All rights reserved. Edition Date: 04/21 Form No: MMD-AP0120VHG21JL_02 A Carrier Company Printed in U.S.A. Replaces: MMD-AP0120VHG2UL_01 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. 2 SMMSe / SHRMe TOSHIBA BMS-IFBN640TLUL - BN Interface Carrier - Job Data Buver Unit Number Performance Data Certified By Submittal Data Location Buyer PO # Model Number Carrier # Date SMMSe / SHRMe VRF BN Interface Features The BN Interface operates in conjunction with the BACnet system. A maximum of 64 Indoor units are controllable per interface. The following functions are provided: CONTROL • ON/OFF • Operation Mode • Set Temperature • Fan Speed • Louver • Permit/Prohibit Local Operation • Filter Sign Reset • Ventilation On/Off • Ventilation Mode MONITOR • ON/OFF • Operation Mode • Fan Speed • Louver • Set Temperature • Room Temperature • Permit/Prohibit Local Operation • Error Code • Error Status • Filter Sign • Ventilation ON/OFF • Ventilation Mode PART NAME BACnet SERVER Model Number BMS-IFBN640TLUL Power Supply 5VDC (Power Adapter Included) Power Consumption 3W Operating Temperature/Humidity 32 to 104 F (0 to 40 C), 10 to 80% RH (no condensation) Storage Temperature 14 to 140F (-10 to 60C), 10% to 90% RH (no condensation) Dimensions 5.51 (W) x 3.54 (H) x 1.77 (D) in. (140 (W) x 90 (H) x 45 (D) mm) Weight, lb (g) BN Interface 0.57 (260) Power Adapter 0.31 (140) COM Port TCC-LINK (2-core shielded wires) LAN Higher than Category 5, UTP Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form BMS-IFBN64OTLUL_01 Pg 1 03-17 Replaces: New DETAILS AND DIMENSIONAL DRAWING BN Interface BMS-IFBN64OTLUL NOTE: All dimensions shown in inches 5-1/2 Ethernet (LAN) US! L7 L2 Showdown Button 5V DC NAME FUNCTION 5V DC Connect the power adapter USB (For Service) Ethernet (LAN) Connect to the Building Management System Shutdown button Shutdown or switch to air-conditioning search mode L1 BACnet communication status indicator L2 BACnet communication status indicator, setting error indicator SYSTEM WIRING CONNECTIONS TCC-LINK BIN interface 5V i}CIN Ethernet{LAN) Building Management System HIIA LPo-weradapler Power Supply TCC-LINK main bus va d2 T11d Outdoor unFt Outdoor unit o ELd: o ar unit Remote Indoor unit Remote controller controller © Carrier Corporation 2017 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form BMS-IFBN64OTLUL_01 Pg 2 03-17 Replaces: New SHRMe VRF Outdoor Unit TOSHIBA MMY-MAP1206FT9P-UL - Heat Recovery Carrier Job Data Buyer Unit Number Performance Data Certified By �rrti�� ■rr �tir,l� ia.�� ■rr ■rr �rr�� �s�ri ■rr Mrr m Submittal Data Buyer PO # Location Carrier # Model Number SHRMe VRF Heat Recovery Features • 6, 8, 10, 12, and 14-ton modules available • Capable of simultaneous cooling and heating (flow selector boxes required) • Modules have 2 inverter -driven twin rotary compressors • Backup capability due to multiple compressors • Compressor speed varied in 0.1 Hz increments for comfort and effi- ciency • Direct drive, inverter -driven 64-step outdoor motor • Modules can be combined to form larger systems, up to 38 tons • Up to 3281 ft (1000 m) actual total system piping (liquid line) Header Unit Model MMY-MAP1206FT9P-UL PERFORMANCE Nominal Cooling Capacity Btu/h 119,700 Nominal Heating Capacity Btu/h 135,000 Maximum Total Connected Indoor Unit Capacity Up to 150% SIMULTANEOUS COOLING AND HEATING EFFICIENCY` SCHE, Ducted FCUs 27.30 SCHE, Ductless FCUs 34.90 COOLING EFFICIENCY` EER/IEER, Ducted FCUs 12.30/21.10 EER/IEER, Ductless FCUs 12.10/28.30 HEATING EFFICIENCY` COP at 47 F, Ducted FCUs 3.53 COP at 47 F, Ductless FCUs 3.61 Fan Type (Qty) Propeller (1) Airflow, Standard Range CFM 7700 Sound Pressure, Cooling/Heating dBA 62/64 External Static Pressuret in. wg 1 0.16 LEGEND db — Dry Bulb COP — Coefficient of Performance EER — Energy Efficiency Ratio FCU — Fan Coil Unit IEER — Integrated Energy Efficiency Ratio SCHE — Simultaneous Cooling and Heating Efficiency wb — Wet Bulb NOTE: Unit cabinet and coil slab shall be capable of withstanding 500-hour salt spray test in accordance with the ASTM (American Society for Testing and Materials, U.S.A.) B-117 Standard. Date • Up to 591 ft (180 m) actual piping length from outdoor unit to furthest fan coil • Up to 330 ft (100 m) outdoor control wiring • Up to 6560 ft (2000 m) control wiring between outdoor and indoor units • Operating temperature range Cooling (db): 14 to 122 F (-10 to Heating (wb): —13 to 60 F (-25 to 15.6 C) • Protection: high pressure switch, low pressure sensor and switch, PC board fuse, inverter overload protec- tion • 7-year compressor limited warranty, 5-year parts limited warranty ELECTRICAL Power Supply V/Ph/Hz 208-230/3/60 Minimum Circuit Amps (MCA) A 45.4 Recommended Fuse Size A 50 COMPRESSORS Type (Number) Inverter Twin Rotary (2) Motor Output kW 2 x 4.0 FAN MOTOR Motor Type (Steps) Inverter Direct Driven (64) Motor Output kW 1.0 PHYSICAL DATA Pipe Connection Size - Liquid (High Pressure) in. 1/2 (Flare) Pipe Connection Size - Gas (Low Pressure) in. 1-1/8 (Brazed) Discharge (High Pressure) in. 3/4 (Flare) Balance in. 3/8 (Flare) Refrigerant R-410A Factory Charge— lb 24.3 External Finish Munsel11Y8.5/0.5 Unit Width in. 47.6 Unit Height in. 72.9 Unit Depth in. 30.7 Unit Net Weight lb 684 `Rated per AHRI (Air -Conditioning, Heating and Refrigeration Institute) 1230 Standard. Cooling: Indoor 80 F (35 C) db/67 F (27 C) wb; Outdoor 95 F (35 C) db Heating: Indoor 70 F (21 C) db; Outdoor 47 F (8 C) db/43 F (6 C) wb tRequires setting by DIP switches. —Additional charge required. Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form MMY-MAP1206FT9P-UL_03 Pg 1 10-18 Replaces: MMY-MAP1206FT9P-UL_02 DIMENSIONAL DRAWING OUTDOOR UNIT HEAT RECOVERY/SINGLE UNIT MMY-MAP1206FT9P-UL NOTES: 1. If there is an obstacle at the upper side of the outdoor unit, set the top end of the outdoor unit 78.7 in. (2000 mm) apart from the obstade. 2. Limit the height of the obstacle surrounding the outdoor unit to 31.5 in. (800 mm) or less from the bottom end of the outdoor unit. 3. Draw out the pipe procured locally to the front of the outdoor unit horizontally,and keep 19.7 in. (500 mm) or more between the outdoor unit and traversing pipe if placing pipe transversely. 4. Dimensions are in inches (mm). I No Parts name Remarks Li lid pipe connection pod 1/2" 12.7 Dischar e a connedion port 3/4" 19.1 Sudion as nedion ort A Balance pipe connection part 3/8"9.5 Knockout hole for n 1 0.9" 22.2 Knockout hole for n 2 1.7" 43.7 Knockout Isle for n 248 Knockout hole for contrd wliri 1.127 S uare hde for frei hthandli 4-2.4"+7.9"4fi0x200 S uare hde for han 4-1.fi"x2.2" 4-40x55 0 (Nate 2) ❑r0 ❑@ LFront Space required for service 123.6 600) -+- c >70.1 "(1780) From sire > 48.4'(1230) © >_0.4"(10) > 39.4. 1000) 5 31.5"(800) Holes for piping/wiring Holes for piping/wiring (Plan view) wi,■�I CERTIFIED" www.ahridirectory.org Variable Refrigerant Flow (VRF) Multi -Split AC and HP Ell AHRI Standard 1230 © Carrier Corporation 2018 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form MMY-MAP1206FT9P-UL_03 Pg 2 10-18 Replaces: MMY-MAP1206FT9P-UL_02 SMMSe/SHRMe VRF Indoor Unit TOSHIBA MMD-AP0480VHG2UL / Vertical Air Carrier Job Name Tag Submittal Data Location STANDARD FEATURES • Dual Drainage Spouts • Three Fan Speeds - High, Medium and Low • Unit Can Be Installed Standing Vertical or Laid Horizontally • Electronically Commutated Fan Motor (ECM) • Built In Pulse Modulating Valve For Installation Ease • Removable Front Panel Provides Easy Access • Filter MERV 3 INDOOR UNIT MODEL MMD-AP0480VHG2UL PERFORMANCE Cooling Rated Capacity Btu/h 48,000 Heating Rated Capacity Btu/h 54,000 Airflow (H / M / L) CFM 1600 / 1510 / 1420 Sound Data (H / M / L)t dBA 48.4/46.6/45.0 External Static Pressure (ESP) in. WG 0.5 (Factory Default) 0.8 (Max.) ELECTRICAL Power Supply V/Ph/Hz 208-230/1/60 MCA* A 7.5 MOCP* A 15 Full Load Amps (FLA) A 6.0 PHYSICAL DATA Pipe Connection Size - Liquid inches 3/8 (brazed) Pipe Connection Size - Suction inches 5/8 (brazed) Pipe Connection Size - Drain inches 3/4 (FTP) Refrigerant R410A DIMENSIONS (inches) H (in) 55-7/8 W (in) 22-1/4 D (in) 27-1/4 NET WEIGHT Ibs 200 ACCESSORIES (Optional) ❑ Wired Remote Controller (7-Day Programmable) - RBC-AMS54E-UL ❑ Simple Wired Remote Control - RBC-AS41 UL ❑ Stand Alone Receiver with Wireless Remote TCB-AX32UL ❑ Remote Sensor TCB-TC41 LUL ❑ Wired Remote Controller - RBC-AMT32UL ❑ Filter Box / 2" MERV 8 (TCB-FB2F481VDGUL) ❑ Plenum TCB-PL2S481VDGUL ❑ Electrical Heater (240V/208V): 1.0kW10.8kW TCB-HT101VDGUL 3.0kW12.3kW TCB-HT301VDGUL 5.0kW13.8kW TCB-HT501VDGUL 6.0kW14.5kW TCB-HT601VDGUL 8.0kW/6.0kW TCB-HT801VDGUL 9.5kW/7.1kW TCB-HT951VDGUL NOTES: * Does not include electric heater t Average / weighted sound values * 2021 Carrier Corporation. All rights reserved. Edition Date: 04/21 Form No: MMD-AP0480VHG2UL_02 *Carrier Company Printed in U.S.A. Replaces: MMD-AP0480VHG2UL O1 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Dimensional Drawing Indoor Unit Vertical Air Handler MMD-AP0480VHG2UL 1-5/8 19-1/4 CENTER OF UNIT O O 21-1/4 0 24-1/2 0 5-7/8 0 0 �12-3/4 1.0 0 1-5/8 0 01-5/8 POWER ENTRY (OPT) COM ENTRY (OPT) KJ 0 22-1/4 27-1/4 9 0 7/8 COM ENTRY 3/4 7-5/8 (BOTH SIDES) 0 1-3l8 a a POWER ENTRY FOR (BOTH SIDES) 4 EH DISCONN Q COVER (OPT) Cp7/8 COM ENTRY(BOTH SIDES -OPT) 55-7/8 0 3/8 O O •LIQ CNX. 17-1/8 12-1/2 0 05/8 � 1-1/4 SUCT CNX. Q 3 . . 1-718 O O MCI 0 23-3/4— ► v M M M O 05 N Cond and Aux Drain 18 (3/4" FPT) NOTE: Dimensions shown in inches. .,AIER C Us * 2021 Carrier Corporation. All rights reserved. Edition Date: 04/21 Form No: MMD-AP0480VHG21JL_02 *Carrier Company Printed in U.S.A. Replaces: MMD-AP0480VHG2UL O1 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. 2 SMMSe / SHRMe VRF Controls and Accessories TOSHIBA RBC-AMS54E-UL — Wired Remote Controller Carrier Job Data Buyer Unit Number Performance Data Certified By Room A U 12:25 7v_ 7VF® 630E Auto X... r + Submittal Data Location Buyer PO # Model Number Carrier # Date SMMSe / SHRMe VRF Wired Remote Controller Features • Group control up to 8 indoor units • Mode of operation • Fan speed control • ON/OFF • Set temperature range limit • Dual set point (HR only) • Schedule weekly timer • Clock setting • Temperature display in 1 IF • Individual louver control • Back lit • Multiple languages • DN code setting • Compatible with Toshiba Carrier VRF and RAV systems Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form RBC-AMS54E-UL_01 Fgl 11-16 Replaces: New DIMENSIONAL DRAWING WIRED REMOTE CONTROLLER RBC-AMS54E-UL 0 N M 4-314 (120) 314 (20) ROOM TEMPERATURE SENSOR NOTE: Dimensions are in inches (mm). WIRING DIAGRAM Remote control wiring (procured locally) B , - Remote control A Terminals of A and B Terminal block for have no polarity. the remote control wiring * Use wire of AWG20 to AWG14. * A crimp -style terminal cannot be used. © Carrier Corporation 2016 Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form RBC-AMS54E-UL 01 Pg2 11-16 Replaces: New SH RMe TQ S H I BA RBM-Y0611 F4PUL—Multiport Flow Selector Carrier Job Data Buyer Unit Number Performance Data Certified By Submittal Data Location Buyer PO # Model Number Carrier # Date Multiport Flow Selector Features - Maximum piping length between port and indoor unit is 164 ft. • Multiport flow selector box requires separate power supply. Multiple indoor units can be connected to one box +ice Eight indoor units can be connected on each port MODEL NAME RBM-Y0611 F4PUL POWER SUPPLY 208-230/1/60 MCA A 0.7 MOCP A 15 Number of Indoor Unit Ports 4 Connectible indoor unit capacity/port kBtu/h Below 61 DIMENSIONS Height (in) 8.5 Width (in) 28.8 Depth (in) 22.4 TOTAL WEIGHT Ibs 84 Connecting Port Diameter (Indoor Unit Side) Liquid Side (in) 3/8 Gas Side (in) 5/8 Connecting Port Diameter (Outdoor Unit Side) Liquid Side (in) 7/8 Discharge Gas Side (in) 1-1/8 Suction Gas Side (in) 1-1/2 Connection Braze 4xe]a0t.1 MCA — Minimum Circuit Amps MOCP — Maximum Over Current Protection Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form RBM-Y0611 F4PUL_01 Pg 1 3-17 Replaces: NEW MULTIPORT FLOW SELECTOR (RBM-Y0611 F4PUL) Control Box Discharge gas pipe Refrigerant pipe connecting port Suction gas pipe outdoor unit side Q Liquid pipe Drain socket Refrigerant pipe connecting port Liquid pipe indoor unit side Q Gas pipe E 0 22.4"(567) °- 0 31.6"(802) or more (Unit external dimension) o m m (Hanging bolt pitch) 3.7"(94) 17.4"(440) (1.3"(33)) = Q 28.8"(730) or more (Hanging bolt pitch) (Unit external dimensionELI 0 0 o 0 N O O N 1.5"(36) o 12.5"(315) Power supply cable intake port Drain pipe conne (03/4") (size VP20) NOTE: Dimensions shown in inches. (0 1 /2") MULTIPORT FLOW SELECTOR (RBM-Y0611 F4PUL) CLEARANCES Installation space 2.0"(50) or more > 2.0"(50) or more Enough space -- to connect the site pipe / / Service --�N[Control Box Service hole---�--- hole ❑ 17.7" ❑17.7" (450)--------,� o (450) eq I X Io Check oort-r�i" '� I 1- 23.7"(600) or more NOTE: Dimensions shown in inches. Bolt size : 4-M0.4"(10) Ir 2 MULTIPORT FLOW SELECTOR (RBM-Y0611 F4PUL) WIRING DIAGRAM UNIT4 SVS SVS SVS SV D SVD i T602 kTBO i BL WHI i WHI i CN71 s „CN3 ,CN67 (WHI) (YEL) (BLK) FS CN34 F01 T3.15A "(RED) 250V- BLK PMV CN i M CN720 i 6 (WHI) _ Contorot P.C. board power for Flow selector unit supply (MCC-1681) circuit CN101 swam swao2 aN rrTTTTTT77 oN rrTTrrTT�� aFri}J3J OFF.��.N (WHI) 1234 1234 CN400 n Indoor uni NOTES: 1. Long dashed lines (--) indicate field -provided power. 2. Medium dashed lines (--) indicate field -provided communication. 3. Dimensions shown in inches UNITt SVS SVS SVS SV D S i T602 TBO i BL WHI WHI CN71 „ CNKtt ttCN67 (WHI) (YEL) (BLK) FS CN34 F01 T3.15A (RED) 250V— BLK PMV CN2 M : CN720 s � (WHI) _ Contorol P.C. board power for Flow selector unit supply (MCC_1681) circuit TC �" CN101 are sfT77j a sfT77j arf;l}34 OFFL1234 o00 (WHI) 1234 1234 CN400 ri Indoor uni UNIT4 UNIT3 UNIT2 UNIT1 TB02 T1301 T602 TB TB02 T 1T602 T801 I D 0 II 0 0 IIO 0 II 0 0 1 T1303 Pcls Pc6 Pcs Pcs F4PUL NV T(a*-, c us © Carrier Corporation 2017 Cis1a L Flow selector unit Ground scre% Power supply 208/23OV-1ph-60Hz Manufacturer reserves the right to discontinue, or change at any time, specifications or designs without notice and without incurring obligations. Printed in U.S.A. Form RBM-Y0611F4PUL_01 Pg 3 3-17 Replaces: NEW Carri� SUBMITTAL Project Santa Clarita - The Centre Date Monday, August 1, 2022 Shawn Harlan Table Of Contents Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM ID 10 3 Unit Report 4 Certified Drawing 5 Performance Summary 8 Packaged Rooftop Builder 1.67 Page 2 of 10 ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM ID 10 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 3 of 10 Unit Report For ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM Unit Parameters Dimensions (ft. in.) & Weight (lb.) *** Unit Model:__________________ 48FCGA06A2M6-OAOAO Unit Length:_ 6' 2.375" Unit Size: 06 (5 Tons) Unit Width: 3' 10.625„ Volts -Phase -Hertz: 460-3-60 Unit Height: 2' 9.375„ Heating Type: Gas Total Operating Weight: 599 lb Duct Cfg:__________ Vertical Supply / Vertical Return Ultra Low Nox, Low Heat Weights and Dimensions are approximate. Weight does Standard One Stage Cooling Models not include unit packaging. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 1/2 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 2 Return Air Filter Size: ---------------------------------------------- 16 x 25 x 2 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards Base Electromechanical Controls Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCGA06A2M6-OAOAO Rooftop Unit 1 Base Unit Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards None Packaged Rooftop Builder 1.67 Page 4 of 10 Certified Drawing for ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan O3:5OPM NOTES: UNIT J I 1. DIMENSIONS ARE IN INCHES, DIMENSIONS 48FC++D4 33 3/8 18 5/8 IN I ] ARE IN M]LL]MET ERS. 18411 14121 2. CENTER OF GRAVITY 48FC+,05 33 3/8 [847] 14 7/8 [377] 3_ DIRECTION OF AIR FLOW 48FC+�06 3/8 C847] 33 41 3/8 1 C377] 4 7/8 18 5/8 33 3/8 I848] 48FC++07 C10511 14721 32-I /8 ` ECONOMIZER HOOD 1 4. ALL VIEW DRAWN USING III ANGLE C817] (OPTIONAL) 16 11111,11110. 3-3/4 1911 111861 LEFT Packaged Rooftop Builder 1.67 01] R 5-5/8 [652] ET IIRN AIR r 6-va [277I RETURN AIR 44-1/8 29-1/2 I [1120.9] Y W Z f E ALT. CONDENSATE T7-3/4 C451] [748] MOO, i [ DRAIN OPER I N6 IN BASEPAN SUPPLY C675] SUPPLY26-518 SUPPLY 14-1/2 AIR C369] 12-I /2 II -I /2 C318] SEE THE X C2931 RATE BASE CHART 10-1/8 12561 2X 23-3/4 C6031 3-I /4 [SII [158] 4 FLUE C101] HOOD 12 1/8 C3071 2X 25 C 635] 18-3/8 14661 2X 4-s/8 TOP 1118] —ELECTRICAL DISCONNECT LOCATION A g G OPTIONAL CONTROL BOX FACTORY ACCESS PANEL ]NIT AL LED INDOOR BLOWER D]ACONN [CI ACCESS PANEL ANGLE 19-1 /2 'CI 1494] ������ [1688 C287] 00 l Y 0 C HANDLE 8-3/8 30-1/8 I2141 I7661 74-3/8 8891 FRONT CONNECTION SIZES A 1 3/8" 1351 DIA FIELD POWER SUPPLY HOLE B 2" I501 DIA POWER SUPPLY KNOCKOUT C 1 3/4" 1511 DIA GAUGE ACCESS PLUG D 7/8" 1221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NPT CONDENSATE DRAIN F 112"-14 NPT GAS CONNECTION G 2 112 1641 DIA POWER SUPPLY KNOCK OUT THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE IRE T"1118 A00, 009A 00 THREADED CONDUIT SIZE WIRE USE REQ'D HOLE SIZES W 112" 115V 7/V [22,21 X 112" 24V 7/8" I22.21 Y 3/4" POWER 1-1/8" I28.6] Z' (009A00) 112" LET GAS 1-I/8" [P8. 6] FOR "THRU-THE-BASEPAN" FACTORY OPTION, FITTINGS FOR ONLY X, Y, 8 Z ARE PROVIDED ' (008A00) PROVIDES 3/4" FPT THRU CURB FLANGE 8 FI IT]N6. E STD. 10-7/a CONDENSATE [275] 1 DRAIN C25I FILTER 17-3 /8 25-314 C441] [6531 AIR SUPPLY AIR RETURN 1-7/8 C 302] 21-1 C5391 T ] OUT S]DE A] R 5-3/4 3/8 6.3 /8 [I46I [17 5-3, [1771 [146] 6-7/8 [682] 31 BAROMETRIC [786.] RELIEF SUPPLY FLOW Alp R7RURN � RIGHT Page 5 of 10 Certified Drawing for ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan O3:5OPM UNIT STD. UNIT WE7 G HT ' CORNER WEIGHT (AI CORNER WEIGHT (8) CORNER WEIGHT (C) CORNER WEIGHT (D) C.G. HEIGHT ix.. ... n wrvi.rv..... i o. oi.u...o.xu u.berw .. wT/uou/ WRITTEN coxsEaT. LBS. KG. LBS. KG. LBS. KG. LBS. KG. LBS. KG. M Y Z 48FC4404 482 219 113 51 116 53 128 58 125 57 37 5/8 19561 24 9/16 16241 18 1/4 14641 48FC+ 543 246 138 63 133 60 133 60 138 63 36 1/2 19271 23 3/8 15941 18 14511 48F64+06 556 252 142 64 136 62 136 62 142 64 36 1/2 [927I 23 3/8 15941 18 14571 48FC+�07 607 275 162 73 152 69 141 64 151 68 36 [914] 22 1/2 15721 19 3/8 14921 RIGHT FRONT NOT3s. I. FOR FlLL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. Z MOM m O O� 0 00 FRONT Packaged Rooftop Builder 1.67 Page 6 of 10 Certified Drawing for ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM y FILTER ACCESS PANEL COMP. CONDENSER (IDOL-LESS] ACCESS COIL PANEL IN100R COIL ASEE " PANEL 0 00 V I I i—s� 0 100 BACK Packaged Rooftop Builder 1.67 LEFT 71-1/a RA (INSIDE THE BASS BASE RAIL 8 Sk]RI) 41-I /4 046. O (INSIDE IHE BASE RAILS] INSIDE BASERAIL DIMENSIONS BOTTOM i 4 8 i2-1/1 571 CA I-3/4 461 I -3/8 2M 1 [25] [82J 2M 3/4 8 1181 DETAIL C 199I TYP 4 PLCS CONTROL BOM ACCESS PANEL MIS =I ism IN li 3-I /4 59-3/e I82. SI I1", 01 FRONT INDOOR BLOWER ACCESS PANEL SEE DETAIL C 0 2-3/8 7-I/8 I61 .51 EIH 71 TYP CURB WIDTH Page 7 of 10 Performance Summary For ID 10 Project: Santa Clarita - The Centre 08/01/202, Prepared By: Shawn Harlan 03:50PN Part Number:48FCGA06A2M6-OAOAO ARI SEER: 14.00 Base Unit Dimensions Unit Length. 74.4 in Unit Width: 46.6 in Unit Height: 33.4 in Operating Weight Base Unit Weight: 586 lb AI/Cu - AI/Cu - Louvered Hail Guards: 13 lb Total Operating Weight: 599 lb Unit Unit Voltage -Phase -Hertz: 460-3-60 Air Discharge: Vertical Fan Drive Type: Vane Axial Actual Airflow: 2000 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 59.3 F Evaporator Leaving Air WB: 57.7 F Evaporator Leaving Air Enthalpy: 24.85 BTU/Ib Gross Cooling Capacity: 59.31 MBH Gross Sensible Capacity: 44.73 MBH Compressor Power Input: 4.14 kW Coil Bypass Factor. 0.163 Heating Performance Heating Airflow: 2000 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 92.7 F Gas Heating Input Capacity: 60.0 MBH Gas Heating Output Capacity: 49.0 MBH Temperature Rise: 22.7 F Thermal Efficiency (%): 81.0 Supply Fan External Static Pressure: 0.50 in wg Fan RPM: 2067 Fan Power: 0.94 BHP NOTE: Selected IFM RPM Range: 1478 - 2390 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 414 - 506 Compressor #1 RLA: 7.8 Compressor #1 LRA: 52 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 1.9 Combustion Fan Motor FLA (ea): 0.25 Power Supply MCA. 13 Power Supply MOCP (Fuse or HACR): 20 Packaged Rooftop Builder 1.67 Page 8 of 10 Performance Summary For ID 10 Project: Santa Clarita - The Centre 08/01/20Z Prepared By: Shawn Harlan 03:50PN Disconnect Size FLA: 12 Disconnect Size LRA: 57 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 1 10.8 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 92.1 89.2 85.6 125 Hz 83.3 79.2 84.7 250 Hz 77.3 71.8 80.5 500 Hz 73.9 65.9 76.0 1000 Hz 70.6 68.1 72.4 2000 Hz 68.0 59.5 68.0 4000 Hz 64.1 52.7 62.8 8000 Hz 60.2 46.9 59.3 A -Weighted 77.2 72.0 79.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 85.6 84.7 80.5 76.0 72.4 68.0 62.8 59.3 89.2 Lw B 59.4 68.6 71.9 72.8 72.4 69.2 63.8 58.2 78.5 LwA C 53.2 52.3 48.1 43.6 40.0 35.6 30.4 26.9 56.8 L D 27.0 36.2 39.5 40.4 40.0 36.8 31.4 25.8 46.1 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp Packaged Rooftop Builder 1.67 Page 9 of 10 Performance Summary For ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. 2 U) FanCurve A daw(CFM-thousands) RPM=2067 BHP=0.94 MaximumRPM=2836 MaxlmumBHP=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 10 of 10 Carr SUBMITTAL Project Climatec - City of Santa Clarita City Hall Date Monday, March 28, 2022 Shawn Harlan Sigler - Brea 205 Puente Street Brea CA Table Of Contents Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID#5,6 3 Unit Report 4 Certified Drawing 5 Corner Weight Report 9 ID# 1-4 10 Unit Report 11 Certified Drawing 12 Corner Weight Report 16 BACnet Points List 17 ID 9,10 24 Unit Report 25 Certified Drawing 26 Performance Summary 27 ID 14 30 Unit Report 31 Certified Drawing 32 Performance Summary 33 ID 11 36 Unit Report 37 Performance Summary 39 System Parameters 39 Electrical Data 39 Acoustic Summary 40 Certified Drawing 41 D 12 44 Unit Report 45 Performance Summary 47 System Parameters 47 Electrical Data 47 Acoustic Summary 48 Certified Drawing 49 Applied Rooftop Builder 3.29v Page 2 of 51 ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID#5,6 Tag Cover Sheet Unit Report Certified Drawing Performance Report Corner Weight Applied Rooftop Builder 3.29v Page 3 of 51 Unit Report For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Size: 030 (30 Tons) Volts -Phase -Hertz: 460-3-60 Supply / Return: Vertical/Vertical Configuration: VAV Evaporator Coil Type: Standard Heating Capacity:_ No Electric Heat Stainless Steel Drain Pan: Selected Greenspeed: Selected Shipping Dimensions Unit Length: 13, 9„ Unit Width: 7- 10" Unit Height: 6- 1" Unit Operating Weight: 4575 lb Unit Shipping Weight: 4613 lb ***Weights and Dimensions are approximate. Weight does not include curbs and accessories. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions refer to certified drawings. ** Shipping Weight does not include extended leadtime options' weight. Factory Installed Options Application Type: VAV Control Expansion Module: Selected Exhaust/Outdoor Air OA Intake/Return:_ Modulating Power Exhaust Outdoor Air Intake: Differential Dry -Bulb Ultra Low Leak Economizer Supply Fan Supply Fan Type: Forward Curve Supply Fan Motor HP: 15 HP Condenser Coil Cond. Coil Fin Coating:AI/Cu Cond, AI/Cu Evap Mixed -Air and Outdoor Air Filters Mixed -Air Filter Type: Standard Efficiency Throwaway Mixed -Air Filter (Quantity) Size: (10) 20 x 24 x 2 Outdoor Air Filter (Cleanable Mesh): (8) 16 x 25 x 2, (4) 20 x 25 x 2 Warranty Information First Year - Parts Only (Standard) Start-up, First Unit NOTE: Please see Warranty Catalog 808-218 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 50A7-030APA64AHJ Rooftop Unit With Greenspeed Intelligence 2 Base Unit Differential Dry -Bulb Ultra Low Leak Economizer Modulating Power Exhaust Stainless Steel Drain Pan Premium Efficiency 15 HP Al / Cu w/ Variable Comp Controls Expansion Module CEM with Phase Monitor Domestic w/BACnet Communication Extended Leadtime Options Blanket Control # IDescription Quantity B21-0059 JUVC Lighting Fixtures 2 Applied Rooftop Builder 3.29v Page 4 of 51 Certified Drawing for ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ------ 1� A C8-1!$ i A NOTES: 1 WEIGHTS I7+1--E E."hpMIZEA I [27461 RETURN------------ 7. + EE[IT E •F (.'..IT'Y 2-9i16 3 A FO`N ',�_LTI'LE .IT A'=LICATIOYS SEE .°.LT '. LE z'::'•�. EF LITERATURE ,0-1l2 165I 50 i0 T. F u',IT. rl -EI:H E [L [ ] [266] g-1212 [1270] [Ia707� [217] FILTE L�E.E: 1 C. "[30a87 5-I'2 [ta u IFOR --- --- -- --- -- --- -- --- —I COMPRESSOR. L. F E I -T:I•' [Li INSI)E SASE 1rAIL I I I I ACCE.,'i DOOR S F_= •'-I Eh' aE-.'I •:-E-Jll'+:,I CLEARANCES. IHINM i.'7T:'T •P.IE=E'LJ-AT1 C` I'{ F'Iri.: DEPARTMENi F P:-iT•::'' - :T'. `E.IJ'.E: T' -E-TTA.(HI P:; 4C^E55GNY ;,F -. IF IT 1 r::IIIITE' -.,N , E IT _ G RE UEI[ THE ii T _E .., F'TE P ... -- -------- - _ .. E 0 A(CEiF .�,, F ;3 --—-- --------- —---I 7. � I` I I ARE IN MILL14ETE _ I Ir-- = HC;;" RE.+,,,F1 2R [8'lI)] RETURN1 Ij 4 : BETJRN OAVER OPE',II,: li V-511 6 C.C75] WITH HC09 88-11N 1�-21132 r - _- m [7B5] CFENIN 3 �.--_I- AN IS X/It YRENI 55 lNE PTIE ATE RF C.AA AI EN G]RPd@ATIUY $T SxIW OF )MESS 4PAq N-E FO YIX4 E T' fl X➢ IS � flIV iEP d6M TIE E[Y➢E 55 RONY]T1T IJT C THE MES MTN{ 1717:TE P1 i '•EB FdN i �.E i•�: LOATENTS NT LL Nii RE ➢I A(5ENT OA 'I;EA 0ITHOAT CkNRIEP EFEVACI NF C N7RAG7- � � ;Q,+ A7L6N'S YpiITFN :4AS[Ri OPIRATINM1, CENTER Oi P,P•AuITt (UFBER AEIrNT ILS'i) uhIT SI E WLiUHi T A [P?P OVER [39g7 t GPERATINC WEIGHT INCLUDES LARGE T IF' I H TOCOMODULATING POWER EXHAUST IVAVi, '•?F,, I III Ij 11 =-- I ' rill 161G7 SUPPL'+-`�--�ii SUP✓'LY -- -. Ililil iyy ,--61AIN CONTROL 8OX p �`�• WITH PANEL - - lil -- 1fi - - II I_1 I �41Q"�711� -IL--- --I➢� , I -,I - - J' I '-118 A3-7l15 9-15132 ECONOMIZER HOOM — PANEL REMi34E9 I11541 41-25737 60 M 6 ' 34 8 [7t37 IHOODS FIFE INSTALLED) [8B5] N ON0 4PENTNs WIEW A -A [106`] [1576] 5:!"Lv LOW SOUND ©UTDDDR INCLUDED WITH UNIT) SCALE 13.32E 3 112"C69] V'i FIEL' PP'AEv fALLFFANAN 0IS�TIONSf / NV F�7WEH E><HA DST 4k FA RONETIC RELIEF A —3141I1141 VT LO'A ...MACE —FILTER!,A0 CONTROL HOX �1N125I NPT INDOOR ROTOR DRAIN CoNN ACCESS DOOR ACCESS DOOR IHIN6ED] HIN4ED1 HEAT SECTION ACCESS PAHEL $� I r��i`• i I 7D-3rr I �i I I , '1 L179?] I� --1- ECONQM11E+i% •I rrt i 4f SF - AIR - J - - -- 23-21l3.P F EXHAUST ®� - [ti0Y] e AIR 17-'S!3`r.NU hPL" R3 r13e AIR Ir25P] A112?61 AUXILIARY n_ 3° tl8 f15] C9N T?!JL [ Y65] 60z iYP 4 'LACES 88 BASE FRAME 1 31BA[35] DIA [2235] HOLE IN LIFTING LOD 9" '7 LIFTING POSITION [232A1 [2358] Q'JERALL LIFTING $HIY ING RIM. Applied Rooftop Builder 3.29v ONTROL Ky I'cE3S DOOR STANDARD OUTDOOR FAN 26-1Rr2] 16 / HINGET [fi8 INOU(I.I'LOWER ACC E--S PANEL FI f maU fi3-S18 E I I -I � 5 ➢'. `-`---- - - ----t1 23132 g122271 7TU C?67 Ea E COIL 1M51 5A1 -3132 17[ ,Tt!3i [ 76&372 INS] -E H.. E ;AILS 11451 POWER EXHAI!5i 41—J 7!81`I221 DIA LOW VOLTAGE—/ � 30-1132 BAROMETRIC RELIEF HOODS 2 117"[5d] 7IA U L7611 1-5l8 FIELD WIRING 7I 931 ITC CLASSIFICATION SHEET 11ATE Suf EALECES �oArin Q21-`U �=1 ELEC TTtI NE1' U S. ECCN. EAP99 OF T P21 55117 q4 f16f13 13070M SLIPFLYIRETURN UNETSI 60 E3 SOOSR3 E Page 5 of 51 Performance Summary For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number: 50A7-030APA64AHJ Unit Refrigerant: R410A EER (AHRI 340/360): 10.0 IEER (AHRI 340/360): 14.7 Unit Dimensions Unit Length: 13- 9" Unit Width: 7- 10" Unit Height: 6- 1" Unit Operating Weight: 4575 lb Unit Shipping Weight: 4613 lb *Unit operating weight does not include accessories weight. Unit Heating Type: None Supply/Return: Vertical/Vertical Application Type: VAV Voltage: 460-3-60 Cooling Airflow: 12000 CFM Altitude: 0 ft Cond. Ent. Air Temp: 95.0 F Ent. Air Dry Bulb: 80.0 F Ent. Air Wet Bulb: 67.0 F Ent. Air Enthalpy: _31.44 BTU/lb Lvg. Air Dry Bulb: 59.3 F Lvg. Air Wet Bulb: 58.1 F Lvg. Air Enthalpy: 25.07 BTU/lb Gross Cooling Capacity- 343.80 MBH Gross Sensible Clg. Cap- 267.90 MBH Compressor Power: 26.0 kW Coil Bypass Factor: 0.15 Refrigerant Charge, Circuit A: 30.5 lb Refrigerant Charge, Circuit B: 34.3 lb Part Load(%) Operation Cooling Capacity Steps: 12.5-25, 37.5-50, 62.5-75, 87.5-100 Supply Fan Information: Ext.Static Pressure: 2.00 in wg Selection Static Pressure: 2.00 in wg Supply Fan RPM: 969 * Supply Fan BHP: 8.78 BHP Supply Fan Motor HP: 15 HP *Field supplied and installed sheave package may be required* Power Exhaust Information: Airflow: 11700 CFM Selection Static Pressure:_ 0.04 in wg Applied Rooftop Builder 3.29v Page 6 of 51 Performance Summary For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Electrical Data Voltage Range: 414 - 508 Compressor #A1 RLA: 11.2 Compressor #A1 LRA: 75 Compressor #A2 RLA: 11.2 Compressor #A2 LRA: 75 Compressor #B1 RLA: 11.2 Compressor #B1 LRA: 75 Compressor #132 RLA: 11.2 Compressor #132 LRA: 75 Indoor Fan Motor HP: 15 Indoor Fan Motor FLA: 21 Pwr. Exhaust Fan Motor Qty: 4 Pwr. Exhaust Fan Motor FLA (ea.): 3.15 Power Supply MCA: 90 Power Supply MOCP (Fuse or HACR): 110 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 213.3 SCCR, Short Circuit Current Rating: 5kA Acoustic Information Discharge, Lw Inlet, Lw Outdoor, Lw 63 Hz 94.5 90.4 63.9 125 Hz 84.7 80.2 72.2 250 Hz 80.6 79.8 78.9 500 Hz 86.9 76.0 82.1 1000 Hz 89.4 79.3 84.1 2000 Hz 86.6 73.9 78.8 4000 Hz 82.3 72.3 72.5 8000 Hz 75.0 67.6 64.6 Discharge / Inlet Duct Sound Power test data rated in accordance with the AHRI 260 Standard. Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Advanced Acoustics Applied Rooftop Builder 3.29v Page 7 of 51 Performance Summary For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver: 50.0 ft 3. Receiver height above ground: 5.7 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 63.9 72.2 78.9 82.1 84.1 78.8 72.5 64.6 87.9 Lw B 37.7 56.1 70.3 78.9 84.1 80.0 73.5 63.5 86.7 LwA C 30.6 38.9 45.6 48.8 50.8 45.5 39.2 31.3 54.5 L D 4.4 22.8 37.0 45.6 50.8 46.7 40.2 30.2 53.4 L A Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Supply System Curve 1 00 RPM MS 1100 F PM X12DO RP 900 80. RPM \P\.1\\1J 700 PM 5.0 BH 600 P 500 PM 0 B 1 P 15 00 BH 400 F PM 10.0 BHP 7A Q7300 F PM 5 00 H 3 00 B 200 PM 2 B 0. 1. H I !1 1 7 Z d A 7 R Q 1!1 11 17 11 1d 11 1A 17 1R 10 7 Airflow (CFM - thousands) RPM = 969 BHP = 8.78 Maximum RPM = 1200 Maximum HP = 23.40 SC - System Curve RP - Rated Point 0 Applied Rooftop Builder 3.29v Page 8 of 51 Corner Weight / Center of Gravity Report For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM 3 4 Rooftop Unit Part Number: 50A7-030APA64AHJ CG Dimension (A):71 11" CG Dimension (B): 31811 Unit Length: 131911 Unit Width: 711011 Unit Height: 61111 Unit Weight: 4575.3 lb Unit Shipping Weight:4613.0 lb Corner Weight (1): 959.0 lb Corner Weight (2): 977.0 lb Corner Weight (3): 1332.0 lb Corner Weight (4): 1307.3 lb Total Corner Weight:4575.3 lb Applied Rooftop Builder 3.29v Page 9 of 51 ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID# 1-4 Tag Cover Sheet Unit Report Certified Drawing Performance Report Corner Weight BACNet Report Applied Rooftop Builder 3.29v Page 10 of 51 Unit Report For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Size: 040 (40 Tons) Volts -Phase -Hertz: 460-3-60 Supply / Return: Vertical/Vertical Configuration: VAV Evaporator Coil Type: Standard Heating Capacity:_ No Electric Heat Stainless Steel Drain Pan: Selected Greenspeed: Selected Shipping Dimensions Unit Length: 17' 11„ Unit Width: 7' 10" Unit Height: 6' 1" Unit Operating Weight: 5449 Ib Unit Shipping Weight: 5490 lb ***Weights and Dimensions are approximate. Weight does not include curbs and accessories. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions refer to certified drawings. ** Shipping Weight does not include extended leadtime options' weight. Factory Installed Options Application Type: VAV Control Expansion Module: Selected Exhaust/Outdoor Air OA Intake/Return:_ Modulating Power Exhaust Outdoor Air Intake: Differential Dry -Bulb Ultra Low Leak Economizer Supply Fan Supply Fan Type: Forward Curve Supply Fan Motor HP: 20 HP Condenser Coil Cond. Coil Fin Coating:AI/Cu Cond, AI/Cu Evap Mixed -Air and Outdoor Air Filters Mixed -Air Filter Type: Standard Efficiency Throwaway Mixed -Air Filter (Quantity) Size: (10) 20 x 24 x 2 Outdoor Air Filter (Cleanable Mesh): (8) 16 x 25 x 2, (4) 20 x 25 x 2 Warranty Information First Year - Parts Only (Standard) Start-up, First Unit NOTE: Please see Warranty Catalog 808-218 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 50A7-040AQA64AHJ Rooftop Unit With Greenspeed Intelligence 4 Base Unit Differential Dry -Bulb Ultra Low Leak Economizer Modulating Power Exhaust Stainless Steel Drain Pan Premium Efficiency 20 HP Al / Cu w/ Variable Comp Controls Expansion Module CEM with Phase Monitor Domestic w/BACnet Communication Extended Leadtime Options Blanket Control # IDescription Quantity B21-0059 JUVC Lighting Fixtures 2 Applied Rooftop Builder 3.29v Page 11 of 51 Certified Drawing for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM UNITED P.O. 60% 4808 Tx]5 OOC�MENT R THE PROP ERTr OF CARRIER CORPORATION SUBMISSION OF THESE DRAWINGS OR DOCUMENTS NOTES j1 1 0-1 /2 50 50 /� TECUNOLOGI ES srRAwsE, Nr ANo Is olu vla�o uvoN Tug �malss mNomoN INAT TUI Does NOT CO-11UTE PART PERFORMANCE OR 1. WEIGHTS INCLUDE ECONOMIZER. /-� [266] �C1270] [1270] /-� CARRIER iszei co PORni�orl sweniiNOio s�Nro oe usEo wnuouT CARR�Ee ACCEPTANCE OF CONTRACT. 2. + CENTER OF GRAVITY 2-9/16 [65] 111RAIING CENTER of IRAAITv 3. FOR MULTIPLE UNIT APPLICATIONS SEE LITERATURE. 5-112 UNIT SIZE WEIGHT Y A g CORNER WEIGHT (LBS) 4. UNIT CLEARANCES: 11401 INSIDE TOP OF UNITS: NO OVERHANG BASE RAIL CONDENSER COIL 4'-0" 11219I ECONOMIZER SIDE, 6'-0" [1829I HEAT S]DE: 4'-0" [1219] 24 3 FILTER ACCESS SIDE: 10'-0" 130481 16 11 1 RETURN (FOR REMOVAL OF EVAPORATOR COIL) - — — — - - 5 ATINAL 'ILARANY ISR CONTACT CARRIE RRA PPOICATION 15-21 /32 ENGINEERING DEPARTMENT, 1397] RETURN 6. BOTTOM DUCTS DESIGNED TO BE ATTACHED TO ACCESSORY ROOF CURB IF UNIT IS MOUNTED 88-1/4 1 3 5 3/8, UNIT SIZE ORE RATING CENTER OF GRAVITY CORNER WEIGHT (NGS) WEIGHT + A B kq MM 3 4 50A2/A3/040 2524 3093 1052 5i9 516 612 758 50A2/A3/050 2606 3035 1050 607 1 551 1 684 764 ON DUNNAGE, IT IS RECOMMENDED THE DUCTS TOR COVERS MUST BE SUPPORTED BY CROSS BRACES AS v OPERATING WEIGHT INCLUDES IFM, MCHX, DONE ON ACCESSORY ROOF CURB, 24 V Aft MAIN CONTROL MODULATING POWER EXHAUST (VAV), AND AID (VAV). 7. DIMENSIONS I.N 11 ARE IN MILLIMETERS. [610] SUPPLY SUPPLY F BOX B III D HOOD REMOVED DAMPER OPENING 13-7/8 — 42-5/16 — WITH HOOD 13521 18-114 11075I 15 15/16 464I [4041 44-9/32 9-9/16 8-19/32 108-1 /8 L 'C1125] [243] 134-15/32 C2132 [2746] RETURN/SUPPLY gi_1/4 WITH PANEL 134151 A 0'3 112 [89INPT FIELD POWER [795] ECONOMIZER HOODS OPENING (HOODS FIELD INSTALLED) 0'-3/4 [191NPT LOW VOLTAGE (INCLUDED WITH UNIT? INDOOR MOTOR 2 REO'D ACCESS DOOR (HINGED) FILTER/AUX 1" NET CONTROL BOX DRAIN CONN. HEAT SECTION DOOR (HINGED) ACCESS PANEL INDOOR BLOWER CONDENSER COIL ACCESS PANEL BOTH SIDE ECONO AI� EXHAUST AIR POWER EXHAUST ' — 23-21/32 16011 - - — BAROMETRIC RELIEF ECC HOODS OPTON 2 REO'D RETURN AIR 30-1/8 SUPPLY AIR AUXILIARY [765I TYP 4 PLACES 49-17/32 CONTROL [1271 BOX 88 [2235] BASE FRAME 0 H 91-1/2 LIFTING POSITION [2324] 94 [23881 OVERALL LIFTING SHIPPING DIM 45-7/16 PANEL REMOVED LOW SOUND OUTDOOR [1154] FAN OPTION ONEY OPENINGVIEW A- A 'ALL FAN PCs]TIONSI NO POWER EXHAUST OR BAROMETIC RELIEF STANDARD OUTDOOR FAN ACCESS DOORS (HINGED) 8-1/16 CONTROL BOX / COMPRESSOR 12041 42-5/8 110821 70-3/4 78-19/32 [1797] 11997] 8 .0 857] .0. DIA [III FIELD W]R]N6 (2) 29-13/32 7/8'' DIA 1221 [74 ll LOW VOLTAGE 24-13/32 /32 16201 82-[2083I 1INSIDE BASE 1 3/8'' 135IDIA 3 RAILS E IN LIFTING LUG 1761 DATE RUPEKEDEG 50A2/A3/ 04 0- 050 ELECTRIC HEAT 4/16/13 03/03/08 (BOTTOM SUPPLY/RETURN UNITS) 32-23/32 150 [83ll [3810] 215-13/32 [ 5 4 7 1 1 65-29/32 _ 116 74 1 41 23/32 110601 45-1/16 1 11145] 34 15/32 8151 20 3/16 [ 51 3I 7-15/32 4441 2-3/32 1 53 1 50IJ500529 RA Applied Rooftop Builder 3.29v Page 12 of 51 Performance Summary For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number: 50A7-040AQA64AHJ Unit Refrigerant: R410A EER (AHRI 340/360): 10.0 IEER (AHRI 340/360): 14.8 Unit Dimensions Unit Length: 17' 11" Unit Width: 7' 10" Unit Height: 6' 1" Unit Operating Weight: 5449 lb Unit Shipping Weight: 5490 lb *Unit operating weight does not include accessories weight. Unit Heating Type: None Supply/Return: Vertical/Vertical Application Type: VAV Voltage: 460-3-60 Cooling Airflow: 16000 CFM Altitude: 0 ft Cond. Ent. Air Temp: 95.0 F Ent. Air Dry Bulb: 80.0 F Ent. Air Wet Bulb: 67.0 F Ent. Air Enthalpy: _31.44 BTU/lb Lvg. Air Dry Bulb: 58.0 F Lvg. Air Wet Bulb: 57.5 F Lvg. Air Enthalpy: 24.71 BTU/lb Gross Cooling Capacity- 484.70 MBH Gross Sensible Clg. Cap- 380.40 MBH Compressor Power: 33.2 kW Coil Bypass Factor: 0.07 Refrigerant Charge, Circuit A: 44.0 lb Refrigerant Charge, Circuit B: 44.0 lb Part Load(%) Operation Cooling Capacity Steps: 12.5-25, 37.5-50, 62.5-75, 87.5-100 Supply Fan Information: Ext.Static Pressure: 2.00 in wg Selection Static Pressure: 2.00 in wg Supply Fan RPM: 1088 * Supply Fan BHP: 19.70 BHP Supply Fan Motor HP: 20 HP *Field supplied and installed sheave package may be required* Power Exhaust Information: Airflow: 11700 CFM Selection Static Pressure:_ 0.04 in wg Applied Rooftop Builder 3.29v Page 13 of 51 Performance Summary For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Electrical Data Voltage Range: 414 - 508 Compressor #A1 RLA: 14.8 Compressor #A1 LRA: 130 Compressor #A2 RLA: 14.8 Compressor #A2 LRA: 130 Compressor #B1 RLA: 14.8 Compressor #B1 LRA: 130 Compressor #132 RLA: 14.8 Compressor #132 LRA: 130 Indoor Fan Motor HP: 20 Indoor Fan Motor FLA: 27 Pwr. Exhaust Fan Motor Qty: 4 Pwr. Exhaust Fan Motor FLA (ea.): 3.15 Power Supply MCA: 119 Power Supply MOCP (Fuse or HACR): 125 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 413.3 SCCR, Short Circuit Current Rating: 5kA Acoustic Information Discharge, Lw Inlet, Lw Outdoor, Lw 63 Hz 95.8 92.7 64.2 125 Hz 89.9 81.6 73.9 250 Hz 86.0 80.3 80.9 500 Hz 90.3 76.7 84.4 1000 Hz 92.7 79.9 86.7 2000 Hz 90.6 74.5 81.3 4000 Hz 86.4 72.8 74.9 8000 Hz 79.6 68.1 66.2 Discharge / Inlet Duct Sound Power test data rated in accordance with the AHRI 260 Standard. Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Advanced Acoustics Applied Rooftop Builder 3.29v Page 14 of 51 Performance Summary For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver: 50.0 ft 3. Receiver height above ground: 5.7 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 64.2 73.9 80.9 84.4 86.7 81.3 74.9 66.2 90.3 Lw B 38.0 57.8 72.3 81.2 86.7 82.5 75.9 65.1 89.2 LwA C 30.9 40.6 47.6 51.1 53.4 48.0 41.6 32.9 56.9 L D 4.7 24.5 39.0 47.9 53.4 49.2 42.6 31.8 55.9 L A Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA 4- 3- `e 0 0 Supply System Curve 1000 PM 100 RPM SE 1200 RPM 300 RPM 900 RPM 700 RPM 600 RPM \, 0.0 P 25. 0 B 500 RPM 0.00 BH X\ 15.00 BHP 400 RPM >< 300 RPM 4 6 8 1I0 1I2 1I4 1I6 1I8 210 212 Airflow (CFM - thousands) RPM = 1088 BHP = 19.70 Maximum RPM = 1300 Maximum HP = 25.00 SC - System Curve RP - Rated Point Applied Rooftop Builder 3.29v Page 15 of 51 Corner Weight / Center of Gravity Report For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM 3 4 Rooftop Unit Part Number: 50A7-04OAQA64AHJ CG Dimension (A):101211 CG Dimension (B): 31511 Unit Length: 17' 11" Unit Width: 711011 Unit Height: 61111 Unit Weight: 5449.2 Ib Unit Shipping Weight:5490.0 lb Corner Weight (1): 1250.0 lb Corner Weight (2): 1114.0 lb Corner Weight (3): 1450.0 lb Corner Weight (4): 1635.2 lb Total Corner Weight:5449.2 Ib Applied Rooftop Builder 3.29v Page 16 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM UPC Open Network Point List Equipment Software MBB-CESR131343-11-00 upc_ope n_4850a-v11 20220214.clipping Name Read/W Unit Range Object Name Object rite s ID Airside Linkage Status R O=NOTACTIVE a_link_status_1 BV:260 1=ACTIVE 1 (Airside Linkage) Indoor Air R ppm 0-5000 link_iaq_1 AV:26 Quality 07 (Airside Linkage) Max Damper R % 0-100 link_max_dmpr_1 AV:26 Position 11 (Airside Linkage) Space Relative R % 0-100 link_rh_1 AV:26 Humidity 06 Air Temp Lvg Supply Fan R OF sat—1 AV:10 Airside Linkage Alarm R O=NORMAL air_linkage_fail_1 BV:703 1=ALARM 0 Alarm State R O=NORMAL alm 1 BV:9 1=ALARM Building Pressure R H2O bldg_static_press AV:10 _1 70 Building Pressure Setp. R/W H2O -0.25 - 0.25 bldg_press_stpt_ AV:30 1 70 Cir A Discharge Pressure R psig discharge_press_ AV:16 a 1 01 Cir A Sat. Condensing R OF Sat_cond_temp_a AV:16 Temperature 1 02 Cir A Sat. Suction Temperature R OF sat_suction_temp AV:16 —a—1 03 Cir A Suction Pressure R psig suction_press_a_ AV:16 1 00 Cir B Discharge Pressure R psig discharge_press_ AV:16 b 1 05 Cir B Sat. Condensing R OF sat_cond_temp_b AV:16 Temperature 1 06 Cir B Sat. Suction Temperature R OF sat_suction_temp AV:16 b 1 07 Compressor Al Relay R O=OFF cmpa1_1 BV:16 1=0 N Compressor A2 Relay R O=OFF cmpa2_1 BV:17 1=0 N Compressor B1 Relay R O=OFF cmpb1_1 BV:18 1=0 N Compressor B2 Relay R O=OFF cmpb2_1 BV:19 1=0 N Applied Rooftop Builder 3.29v Page 17 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Controlling Return Temp R/W °F -40 - 240 ra_temp_1 AV:10 30 Controlling Space Temp R/W OF -40 - 240 space_temp_1 AV:20 07 Cooling Control Point R OF cool_ctrl_point_1 AV:10 24 Cooling Occupied Setpoint R/W OF 40 - 99 occ_cl_stpt_1 AV:30 01 Cooling Unoccupied Setpoint R/W OF 40 - 99 unocc_cl_stpt_1 AV:30 03 Ctl.Temp RAT,SPT or ZONE - R OF ctrltemp_1 AV:43 Prime Variable Current Running Capacity R % cool_capacity_1 AV:10 23 Current Running Capacity R % htsg_cap_1 AV:44 Dehumidify Cool Setpoint R/W OF 40 - 55 dhcoolsp_1 AV:49 Dehumidify Input R/W O=OFF dhdiscin_1 BV:30 1=O N Dehumidify RH Setpoint R/W % 10 - 90 dhrelhsp_1 AV:50 Demand Limit Sw.1 Setpt. R/W % 0 - 100 dlswspl_1 AV:53 Demand Limit Sw.2 Setpt. R/W % 0 - 100 dlswsp2_1 AV:54 Economizer Act. Curr. Pos R % econ_pos_1 AV:10 28 Economizer Active? R O=OFF ecactive 1 BV:36 1=O N Element Comm Status R 0=NO COMM element stat 1 BV:299 1=NORMAL 9 Evaporator Discharge Tmp R OF edt 1 AV:76 Exhaust Fan VFD Speed R % ef_vfd_output_1 AV:20 75 Filter Status Input R/W O=CLEAN filter—status-1 BV:105 1=DIRTY 2 Heat Relay 1 R O=OFF hs1_1 BV:52 1=O N Heat Relay 2 R O=OFF hs2_1 BV:53 1=O N Heat -Cool Setpoint Gap R/W OAF 2 - 10 hcsp_gap_1 AV:83 Heating Control Point R OF heat_ctrl_point_1 AV:10 25 Heating Occupied Setpoint R/W OF 40 - 99 occ_ht_stpt_1 AV:30 02 Heating Supply Air Setpt R/W no 80-120 saspheat_1 AV:30 unit 08 Heating Unoccupied Setpoint R/W OF 40 - 99 unocc_ht_stpt_1 AV:30 04 HVAC Mode Numerical Form R no hvac mode 1 AV:10 unit 22 Applied Rooftop Builder 3.29v Page 18 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM IAQ - Discrete Input R/W O=LOW iaq_status_1 BV:105 1=HIGH 0 IAQ- PPM Indoor CO2 R/W no 0-5000 iaq_1 AV:10 unit 09 Leaving Air Temperature R OF Ivg_air_temperat AV:10 u re 1 27 Local Schedule R O=OFF schedule 1 BV:S 1=0 N Mixed Air Temperature R OF ma_temp_1 AV:15 00 OAQ- PP Outdoor CO2 R/W no 0-5000 oaq_1 AV:11 unit 3 Occupied Cool Mode End R OF occl_end_1 AV:11 4 Occupied Cool Mode Start R OF occlstrt_1 AV:11 5 Occupied Heat Mode End R OF ocht_end_1 AV:11 6 Occupied Heat Mode Start R OF ochtstrt_1 AV:11 7 Occupied? R/W 0=NO occ_status_1 BV:200 1=YES 8 Outside Air Relative Humidity R/W % 0 - 100 oarh_1 AV:11 9 Outside Air Temperature R/W OF -40 - 240 oat-1 AV:10 03 Power Exhaust Relay A R O=OFF pe_a_1 BV:72 1=0 N Power Exhaust Relay B R O=OFF pe_b_1 BV:73 1=0 N Power Exhaust Relay C R O=OFF pe_c_1 BV:74 1=0 N Relay 3 W1 Gas Valve 2 R O=OFF hs3_1 BV:76 1=0 N Relay 4 W2 Gas Valve 2 R O=OFF hs4_1 BV:77 1=0 N Relay 5 W1 Gas Valve 3 R O=OFF hs5_1 BV:78 1=0 N Relay 6 W2 Gas Valve 3 R O=OFF hs6_1 BV:79 1=0 N Requested Heat Stage R no heat—run-1 AV:20 unit 03 Return Air Relative Humidity R/W % 0 - 100 rarh_1 AV:13 4 Return Air Temperature R/W °F -40 - 240 rat-1 AV:13 5 Applied Rooftop Builder 3.29v Page 19 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Space Temp Offset Range R/W OAF 1 - 10 spto_rng_1 AV:13 9 Space Temperature R/W OF -40 - 240 spt_1 AV:13 7 Staged Gas LAT 1 R OF latlsgas_1 AV:15 0 Staged Gas LAT 2 R OF lat2sgas_1 AV:15 1 Staged Gas LAT 3 R OF lat3sgas_1 AV:15 2 Static Pressure R H2O static_press_1 AV:10 16 Static Pressure Reset R/W no 0 - 15 spreset_1 AV:15 unit 7 Static Pressure Setpoint R/W H2O 0-5 sa_static_stpt_1 AV:30 50 Supply Air Reset R O=OFF modesars_1 BV:93 1=O N Supply Air Setpnt. Reset R/W OAF 0-20 sasprset_1 AV:15 8 Supply Air Setpoint R/W OF 45 - 75 sa_temp_stpt_1 AV:30 07 Supply Fan Relay R O=OFF sfan_rly_1 BV:94 1=O N Supply Fan Status Switch R/W O=OFF sfs_1 BV:95 1=O N Supply Fan VFD Speed R % 0 - 100 sf_vfd_output_1 AV:20 50 System Cooling Demand Level R no cool_demand_lev AV:90 unit el —I 06 System Demand Limiting R O=INACTIVE dem_Imt_act_1 BV:3 1=ACTIVE System Heating Demand Level R no heat_demand_lev AV:90 unit el —I 36 System OAT Master R OF mstr_oa_temp_1 AV:80 001 Thermostat G Input R/W O=OFF g_input_1 BV:102 1=O N 1 Thermostat W1 Input R/W O=OFF w1_input_1 BV:101 1=O N 9 Thermostat W2 Input R/W O=OFF w2_input_1 BV:102 1=O N 0 Thermostat Y1 Input R/W O=OFF y1_input_1 BV:101 1=O N 7 Thermostat Y2 Input R/W O=OFF y2_input_1 BV:101 1=O N 8 Applied Rooftop Builder 3.29v Page 20 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unoccupied Cool Mode End R OF uccl_end_1 AV:16 8 Unoccupied Cool Mode Start R OF ucclstrt_1 AV:16 9 Unoccupied Heat Mode End R OF ucht_end_1 AV:17 0 Unoccupied Heat Mode Start R OF uchtstrt_1 AV:17 1 Vent Reheat RAT Offset R/W OAF 0-8 dhvraoff_1 AV:18 3 Vent Reheat Setpoint R/W OF 55 - 95 dhvht_sp_1 AV:18 4 Vent Reheat Setpt Select R/W no 0-1 dhvhtcfg_1 AV:18 unit 5 User Defined Analog 1 R/W no user_analog_1_1 AV:29 unit 01 User Defined Analog 2 R/W no user_analog_2_1 AV:29 unit 02 User Defined Analog 3 R/W no user_analog_3_1 AV:29 unit 03 User Defined Analog 4 R/W no user_analog_4_1 AV:29 unit 04 User Defined Analog 5 R/W no user_analog_5_1 AV:29 unit 05 User Defined Analog 6 R/W no user_analog_6_1 AV:29 unit 06 User Defined Analog 7 R/W no user_analog_7_1 AV:29 unit 07 User Defined Analog 8 R/W no user_analog_8_1 AV:29 unit 08 User Defined Analog 9 R/W no user_analog_9_1 AV:29 unit 09 User Defined Analog 10 R/W no user_analog_10_ AV:29 unit 1 10 User Defined Analog 11 R/W no user_analog_11_ AV:29 unit 1 11 User Defined Analog 12 R/W no user_analog_12_ AV:29 unit 1 12 User Defined Analog 13 R/W no user_analog_13_ AV:29 unit 1 13 User Defined Analog 14 R/W no user_analog_14_ AV:29 unit 1 14 User Defined Analog 15 R/W no user_analog_15_ AV:29 unit 1 15 User Defined Analog 16 R/W no user_analog_16_ AV:29 unit 1 16 Applied Rooftop Builder 3.29v Page 21 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM User Defined Analog 17 R/W no user_analog_17_ AV:29 unit 1 17 User Defined Analog 18 R/W no user_analog_18_ AV:29 unit 1 18 User Defined Analog 19 R/W no user_analog_19_ AV:29 unit 1 19 User Defined Analog 20 R/W no user_analog_20_ AV:29 unit 1 20 Setpoint Adjustment Enable R/W O=DISABLE stpt_adj_enable_ BV:6 1=ENABLE 1 ZS CO2 Sensor Valid Status R 0=N/A zs_co2_valid_1 BV:203 1=VALID/CON N EC TED ZS Temp Sensor Valid Status R 0=N/A zs_sen_valid_1 BV:201 1=VALID/CON N EC TED ZS Thermostat Config Alarm R O=NORMAL zs_sen_alm_1 BV:200 1=ALARM User Defined Binary 1 R/W O=OFF user_binary_1_1 BV:291 1=0 N 1 User Defined Binary 2 R/W O=OFF user_binary_2_1 BV:291 1=0 N 2 User Defined Binary 3 R/W O=OFF user_binary_3_1 BV:291 1=0 N 3 User Defined Binary 4 R/W O=OFF user_binary_4_1 BV:291 1=0 N 4 User Defined Binary 5 R/W O=OFF user_binary_5_1 BV:291 1=0 N 5 User Defined Binary 6 R/W O=OFF user_binary_6_1 BV:291 1=0 N 6 User Defined Binary 7 R/W O=OFF user_binary_7_1 BV:291 1=0 N 7 User Defined Binary 8 R/W O=OFF user_binary_8_1 BV:291 1=0 N 8 User Defined Binary 9 R/W O=OFF user_binary_9_1 BV:291 1=0 N 9 User Defined Binary 10 R/W O=OFF user_binary_10_1 BV:292 1=0 N 0 User Defined Binary 11 R/W O=OFF user_binary_11_1 BV:292 1=0 N 1 User Defined Binary 12 R/W O=OFF user_binary_12_1 BV:292 1=0 N 2 User Defined Binary 13 R/W O=OFF user_binary_13_1 BV:292 1=0 N 3 User Defined Binary 14 R/W O=OFF user_binary_14_1 BV:292 1=0 N 4 Applied Rooftop Builder 3.29v Page 22 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM User Defined Binary 15 R/W O=OFF user_binary_15_1 BV:292 1=0 N 5 User Defined Binary 16 R/W O=OFF user_binary_16_1 BV:292 1=0 N 6 User Defined Binary 17 R/W O=OFF user_binary_17_1 BV:292 1=0 N 7 User Defined Binary 18 R/W O=OFF user_binary_18_1 BV:292 1=0 N 8 User Defined Binary 19 R/W O=OFF user_binary_19_1 BV:292 1=0 N 9 User Defined Binary 20 R/W O=OFF user_binary_20_1 BV:293 1=0 N 0 Element Communications R O=COMM comm_lost_alm_ BV:15 Alarm NORMAL 1 1=COMM LOST Cir B Suction Pressure R psig suction_press_b_ AV:16 1 04 Use Linkage R/W 0=NO use_linkage_1 BV:260 1=YES 5 Equipment Touch reset linkage R/W 0=NO et —reset —as —link— BV:512 Alarm 1=YES 1 3 System Space Temperature R OF system_spt_1 AV:19 02 System Space RH R %rh system_rh_1 AV:19 04 System Space AQ R ppm system_aq_1 AV:19 03 Maximum Damper Position R/W % 0 to 100 max_dmpr_pos_1 AV:30 52 Minimum Damper Position R/W % 0 to 100 min_dmpr_pos_1 AV:30 53 Maximum Reset R/W inH max—reset-1 AV:30 20 54 Controlling Static Pressure R inH ct_sa_static_stpt_ AV:30 Setpoint 20 1 55 Static Pressure Reset Enable R/W 0 = DISABLE st_pr_rst_en_1 BV:305 1 = ENABLE 1 ODF VFD-A Actual Speed R % ova_spd_1 AV:45 ODF VFD-B Actual Speed R % ovb_spd_1 AV:46 Outdoor VFD Enable R �T 0=NO ov ena 1 BV:47 1=YES Applied Rooftop Builder 3.29v Page 23 of 51 ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID 9,10 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.68 Page 24 of 51 Unit Report For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Model: 50VT-C36--- 3-TP Unit Size:36 (3 Tons) Volts -Phase -Hertz: 208-1-60 Heating Type: Heat Pump Duct Cfg:Horizontal Supply / Horizontal Return Unit Configuration Tin -Plated Indoor Coil Hairpins Warranty Information 1 year warranty on parts 5 yearwarranty on compressor No optional warranties were selected. Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 4' 0.25„ Unit Width:_ 3' 8.1875" Unit Height: 4' 0.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 387 lb NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number IDescription Quantity 50VT-C36--- 3-TP IRooftop Unit 2 Packaged Rooftop Builder 1.68 Page 25 of 51 Certified Drawing for ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM i 1 iJ - 1.1!lIIIC:77]llllllll,- t�fflflrrirlll!!i I {I4141144.1:1515 E;,'.9Pi4Tfl1lFIJ R � o � D9A]N O.ITL[T I 7JC' C}t.x] DE[, 1328.61 A 4-�16 [•127.I] LEFT SIDE NEW UTODO9 COIL IMDWR COIL TOP VEW FRONT VEIN ® m®ova ®®®®®® RLDI.B D CIEXmm 70 FNR c�um • RLDI.B D CIEXmm 70 FNR c�um • INCHES [NMI R CF N'T .....................�...�. 1 AT ..11 [3S3.F1 SIDE OPPCSLTE OI.7, .......... .........�...�...�.... BOTTOM OF LXI1................�...�...�....... ....,1N [365. E] S [0.0] ELECTRICAL PANEL. ........................ ......... NM FAMED OLEMROM INCHES [WWI 6ETMEEN .I NI is. GONER HIRTGY 970E .,. uXIT AXC lX SRCUX CEO SHIRT P.Fx=ES, ... .... 12 [1866. E] uXIT AAC ALxv OR C_N EH HALLS AMO OTACM u,mkC :LXFACES, PmNE? ENTRY SIDE ...................... 12 [1066.81 BEIM ClEAR6RDE FOR OeAln MD aF N= EVAP CLiIL A•;:CESS $[PE INCHES LMM] '11, ENTI' SIDE ........... ... ..................... .. Ix [1066.d] L ESCEPT FOF XEC REWIREMEXT51 L.IT TOP ........................ ............... ........Ifl [9t19.2] SIDE OPPOSITE DUCTS .............................. DUCTPAMEL............................................... ........ 31 12 1301.E1- •MINIMI/1 DISTAMCES:LF HYLT IS PLACED LES& THAN 12 L3CI.C7 FMDM 'MALL $YSTEM, THEM S3STEW PER FOMMAMCE NANBE CDMPROMI SEP. n r.r N<Tn.e r. 11 — TN .. RIOW SSE VIEW REAR VEIN 5DVT500411 Packaged Rooftop Builder 1.68 Page 26 of 51 Performance Summary For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number:50VT-C36--- 3-TP ARI SEER: 14.00 Base Unit Dimensions Unit Length: 48.3 in Unit Width: 44.2 in Unit Height: 48.8 in Base Unit Weight (Does not include any accessories): 387 lb Unit Unit Voltage -Phase -Hertz: 208-1-60 Air Discharge: Horizontal Fan Drive Type: Direct Actual Airflow: 1261 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB: 60.5 F Evaporator Leaving Air WB: 58.5 F Evaporator Leaving Air Enthalpy:_ 25.37 BTU/Ib Net Cooling Capacity: 34.41 MBH Net Sensible Capacity: 26.61 MBH Total Unit Power Input: 2.99 kW Coil Bypass Factor: 0.054 Heating Performance Outdoor Ambient Temperature: 47.0 F Entering Air Indoor Coil DB: 70.0 F Leaving Air Indoor Coil DB: 95.4 F Total Heating Capacity: 34.57 MBH Integrated Heating Capacity: 34.57 MBH Heating Power Input: 2.74 kW Supply Fan External Static Pressure- 0.50 in wg Options / Accessories Static Pressure Wet Coil: 0.10 in wg Total Application Static (ESP + Unit Opts/Acc.): 0.60 in wg Fan Power: 0.51 BHP Fan Motor Size, hp: 1/2 NOTE: High Motor Speed, Horz Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Minimum Voltage: 197 Maximum Voltage: 253 Compressor RLA: 16.7 Compressor LRA: 79 Outdoor Fan FLA (ea): 1 Indoor Fan Motor FLA: 3.8 Power Supply MCA: 25.8 Power Supply MOCP (Fuse or HACR): 40 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Packaged Rooftop Builder 1.68 Page 27 of 51 Performance Summary For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Acoustics Sound Rating: 74.0 db Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz NA NA NA 125 Hz NA NA 61.9 250 Hz NA NA 63.3 500 Hz NA NA 58.9 1000 Hz NA NA 59.9 2000 Hz NA NA 58.7 4000 Hz NA NA 56.2 8000 Hz NA NA 52.4 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 2. Horizontal distance from unit to receiver: 50.0 3. Receiver height above ground:_ 5.7 4. Height of obstruction:0.0 5. Horizontal distance from obstruction to receiver: 0.0 6. Horizontal distance from unit to obstruction: 0.0 Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 0.0 61.9 63.3 58.9 59.9 58.7 56.2 52.4 68.3 Lw B - 26.2 45.8 54.7 55.7 59.9 59.9 57.2 51.3 65.2 LwA C 0.0 29.5 30.9 26.5 27.5 26.3 23.8 20.0 35.9 L D - 26.2 13.4 22.3 23.3 27.5 27.5 24.8 18.9 32.8 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed Packaged Rooftop Builder 1.68 Page 28 of 51 Performance Summary For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Packaged Rooftop Builder 1.68 Page 29 of 51 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID 14 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.68 Page 30 of 51 Unit Report For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Model: 50VT-C30--- 3-TP Unit Size: 30 (2-1/2 Tons) Volts -Phase -Hertz: 208-1-60 Heating Type: Heat Pump Duct Cfg:Horizontal Supply / Horizontal Return Unit Configuration Tin -Plated Indoor Coil Hairpins Warranty Information 1 year warranty on parts 5 yearwarranty on compressor No optional warranties were selected. Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 4' 0.1875" Unit Width: 2' 8.625„ Unit Height: 4' 3.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 351 lb NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number IDescription Quantity 50VT-C30--- 3-TP IRooftop Unit 2 Packaged Rooftop Builder 1.68 Page 31 of 51 Certified Drawing for ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM I •.- CE. I 1E20 r] LEFT SIDE VIEW u ra . . . . . . . . . . r � nN s� s m INDOOR COIL \ -OMCOO ,OIL TOP VIEW 11221.0I FRONT VIEW WLYWIlO 020m TO C NIVPNI • NKL INCHES [W] III OF UM [T .. 11 [S51 i] OIICF S]GE BF DWIF 510E (I'MITE DUCTS .. 2 ISO 81 .. 1r [555I" ROTFON M 1%T .. .. b [b b] ELECTRICAL PANEL....... .. .... .. ...... 3N 1111.4] IR L1.51flNI1 A INCHES [NMI BETWEEN UNIT$, N$ P ENTP.1 SIDE. . DNIT A31D DN6R0. MDE:S. PONEN ENTW1' S]bE......... ... ..It [N96N.8] 56 [}I r.O] 000 AEG BLOCN OP. CONC;EFE TALL$ AN0 1R1HER SA0DN8E8 SNRFAC ES. P.AE> EnTPr SIDE ......... ...........IP [1866.8] WEOM C ENRAIE FOR OPEF I N AND BHP M INCHE$ [MI1] ENAP, COIL MCE$$ $IG[ .. ... .......... 36 [911, b] POWEA INIA E' SIDE...... .. ........................R [10N6.R7] I EECEPT Fik NEC REDBIRENEM: UNIT Fop.. .. .. I..,............ ......,MR SLOE DMITE DUCTS .. ... ... .... .... ... ....... 3$ 1114.6 DUCT PANEL ............. .. ............................ 12 [GR1.87� -MI NINNN OISTAELES:IF 'IT IS PLACE? LESS "' 12 r. HALL SRSiEM,THIN 5*STEM PEPFO+NAN[E N150E cow"YISEN. DIMENSIONS IN II ARE IN NILLINETER$ i PONER EXTR} 15-718 1401.21 1 8},2]121 2-13f16 1166. T] Q` i------------ �IIIIIIIIIIIIIIIIIIIII IIIIIIIIIII�IIIIIIII7 �rr0 0'' [ww E���� w 3-R+N6 3fN6 G.E1 C41.3] G1& t] O]A, HOLE )-}1N6 E8 I, 3] 1-11116 [122.2] i0NTE0L EWTOi ACAL 4-P18 21 -5f8 U-If6 [250.8] [549.3] 1250.61 REAR VIEW RIGHT 9DE VIEW 50VT50041C _ Packaged Rooftop Builder 1.68 Page 32 of 51 Performance Summary For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number:5OVT-C30--- 3-TP ARI SEER: 14.00 Base Unit Dimensions Unit Length: 48.2 in Unit Width: 32.6 in Unit Height: 51.8 in Base Unit Weight (Does not include any accessories): 351 lb Unit Unit Voltage -Phase -Hertz: 208-1-60 Air Discharge: Horizontal Fan Drive Type: Direct Actual Airflow: 1054 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB: 60.8 F Evaporator Leaving Air WB: 58.5 F Evaporator Leaving Air Enthalpy:_ 25.37 BTU/Ib Net Cooling Capacity: 28.77 MBH Net Sensible Capacity: 21.88 MBH Total Unit Power Input: 2.50 kW Coil Bypass Factor: 0.044 Heating Performance Outdoor Ambient Temperature: 47.0 F Entering Air Indoor Coil DB: 70.0 F Leaving Air Indoor Coil DB: 95.1 F Total Heating Capacity: 28.55 MBH Integrated Heating Capacity: 28.55 MBH Heating Power Input: 2.13 kW Supply Fan External Static Pressure- 0.25 in wg Options / Accessories Static Pressure Wet Coil: 0.06 in wg Total Application Static (ESP + Unit Opts/Acc.): 0.31 in wg Fan Power: 0.37 BHP Fan Motor Size, hp: 1/2 NOTE: High Motor Speed, Horz Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Minimum Voltage: 197 Maximum Voltage: 253 Compressor RLA: 14.1 Compressor LRA: 73 Outdoor Fan FLA (ea): 0.7 Indoor Fan Motor FLA: 3.8 Power Supply MCA: 22.1 Power Supply MOCP (Fuse or HACR): 35 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Packaged Rooftop Builder 1.68 Page 33 of 51 Performance Summary For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Acoustics Sound Rating: 75.0 db Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz NA NA NA 125 Hz NA NA 52.7 250 Hz NA NA 53.0 500 Hz NA NA 57.9 1000 Hz NA NA 58.7 2000 Hz NA NA 54.8 4000 Hz NA NA 52.2 8000 Hz NA NA 43.2 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 2. Horizontal distance from unit to receiver: 50.0 3. Receiver height above ground:_ 5.7 4. Height of obstruction:0.0 5. Horizontal distance from obstruction to receiver: 0.0 6. Horizontal distance from unit to obstruction: 0.0 Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 0.0 52.7 53.0 57.9 58.7 54.8 52.2 43.2 63.5 Lw B - 26.2 36.6 44.4 54.7 58.7 56.0 53.2 42.1 62.3 LwA C 0.0 20.3 20.6 25.5 26.3 22.4 19.8 10.8 31.1 L D - 26.2 4.2 12.0 22.3 26.3 23.6 20.8 9.7 29.9 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed Packaged Rooftop Builder 1.68 Page 34 of 51 Performance Summary For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Packaged Rooftop Builder 1.68 Page 35 of 51 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan ID 11 Submittal Cover Sheet Unit Report Performance Summary Report Acoustic Summary Certified Drawings Residential Carrier Products Bldr 1.31 Page 36 of 51 Unit Report For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan r=i Outdoor Unit Parameters Unit Model: 25HHA Unit Size:2.5 Tons (Size 30) Voltage: 2081230-1-60 V-Ph-Hz Indoor Coil Parameters Unit Model: FV4C Unit Size:Size 002 (18 - 36,000 Btuh) Cabinet Insulation:Single-piece cabinet with 1-in. super thick insulation Voltage:208-1-60 V-Ph-Hz Refrigerant Type: Puron Heating Size: No Heat Outdoor Unit Dimensions and Weight Indoor Coil Dimensions and Weight Unit Length: 37.125 in Unit Length: 22.0625 in Unit Width: 17.0625 in Unit Width: 17.625 in Unit Height: 44.5 in Unit Height: _42.6875 in Unit Shipping Weight: 226. lb Unit Shipping Weight: 135. lb RESIDENTIAL APPLICATIONS This warranty is to the original purchasing owner and subsequent owners only to the extent and as stated in the Warranty Conditions and below. The limited warranty period in years, depending on the part and the claimant, is as shown in the table below. Limited Warranty Years Item Original Owner Subsequent Owner Parts 10* or 5 5 Compressor 10* or 5 5 "If properly registered within 90 days of original installation, otherwise 5 years (except in California and Quebec and other jurisdictions that prohibit warranty benefits conditioned on registration). See Warranty Conditions below. OTHER APPLICATIONS The warranty period is five (5) years on the compressor, and one (1) year on all other parts. The warranty is the original owner only and is not available for subsequent owners. Ordering Information Part Number Description Quantity Outdoor Unit 25HHA43OA003 Performance Series Heat Pump with Puron 2.5 Tons Cooling 1 14 SEER @ ARI Conditions Indoor Coil FV4CNF002L00 FV4C Performance Series Fan Coil with Puron 2 Tons Cooling 208/230-1-60 1 Single -piece cabinet with 1-in. super thick insulation Aluminum The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 37 of 51 Unit Report For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Residential Carrier Products Bldr 1.31 Page 38 of 51 Performance Summary For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan System: 25HHA/FV4C System Quantity: 1 Altitude: 0.0 Linear Pipe Length: 0.0 COP @ 47 F: 3.92 COP @ 17 F: 2.58 SEER @ ARI Conditions:_ 14.0 EER @ ARI Conditions: 12.0 HSPF @ ARI Conditions:_ 8.2 System Performance Actual Clg Airflow:_ 1000.0 Standard Clg Airflow: 1000.0 Total Net Clg Capacity: 28.00 Net Sensible Clg Capacity: 21.77 Htg HP Capacity: 28.00 Htg HP Integrated Capacity: 28.00 Heating HP Compressor Power: 2.10 Total System Power: 2.33 System Parameters Outdoor Unit Parameters Unit Model: 25HHA430A003 Unit Size (Nominal): _2.5 Tons (Size 30) Voltage: 2081230-1-60 V-Ph-Hz Clg Ent Air DB Ambient: 95.0 °F Htg Ent Air DB Ambient: 47.0 °F CFM CFM MBH MBH MBH MBH kW kW Indoor Coil Parameters Unit Model: FV4CNF002L00 Unit Size (Nominal):Size 002 (18 - 36,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Ent Air DB: 80.00 °F Ent Air WB: 67.00 °F Ent Enthalpy: 31.44 BTU/lb Lvg Air DB: 59.84 °F Lvg Air WB: 58.28 °F Lvg Enthalpy: 25.22 BTU/lb Htg Ent Air DB: 70.0 °F Htg Lvg Air DB: 95.9 °F Heating Size (Nominal): No Heat Total External Static Pressure: 0.50 in wg Clg Coil Note:***Airflow adjusted to high (400 cfm/ton). Electrical Data Outdoor Electrical Data Indoor Electrical Data: Unit Voltage: 2081230-1-60 V-Ph-Hz (For units with no factory installed electric heaters) Fan Motor FLA: 1.20 Amps Unit Voltage: 208-1-60 V-Ph-Hz MCA: 17.2 Amps Unit FLA: 4.3 Amps Max Fuse: 30 Amps Unit MCA: 5.4 Amps Operating Range Min: 197 V Unit MOCP: 15.0 Amps Operating Range Max: 253 V Unit Min Wire Size: 14.0 Compressor RLA:_ _12.8 Amps Unit Fuse/Ckt Bkr Amps: 15.0 Amps Compressor LRA:_ 64.0 Amps Motor HP: 1/2 HP Notice: Indoor Elect. data is for 208-1-60 voltage The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 39 of 51 Acoustic Summary For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Unit Parameters: Unit Model: 25HHA Unit Size:2.5 Tons (Size 30) Variations: Standard Octave Band Center Frequency, Hz 125 250 500 1 k 2k 4k 8k dBA Sound Power,dB 58.0 61.0 64.0 66.5 64.0 63.5 57.0 1 A -Wei hted Sound Power, dBA 1 72.0 Indoor Coil Parameters: Unit Model: FV4C Unit Size:_Size 002 (18 - 36,000 Btuh) Cabinet Insulation: Single -piece cabinet with 1-in. super thick insulation Octave Band Center Frequency, Hz 1 63 1 125 250 500 1 k 2k I 4k Sound POWer,d6 1 67.0 1 63.0 59.0 56.0 54.0 52.0 48.0 The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 40 of 51 Certified Drawing For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Model Unit Model: 25HHA Unit Size: 2.5 Tons (Size 30) Voltage: 208/230-1-60 V-Ph-Hz SEER: 14 PartNumber: 25HHA43OA003 1. RE9UIRE0 LLEIIIIM WITH (OEL FACING WALL; .ALLOW b" MIN "'A. NLE 9R EBIL $IDE ANO [GIL Epp ARC 36. MIS CLEARANCE ON XPRESSOR EAO AND FAN SIDE WITH FAN FAC..ING WALL; ALLOH B' A1IN F.LEARAKE ON F" SIDE AND COIL END FHD :5" MIa CLEARANCE ON CGLSPRE33Oq E4O AAIp COIL SLOE WITH MULTI ¢NIT ATPLTCATION. ARRANGE UNITS 50 9I$CHARGE OF ONE DOES NOT E'NTP INLET OF ANOTHER 4INIUUN OUTDOOR OPERATING AMBEENT IN COOLING WOOF IS 'S"F. MAW. IP5°F. SERIEai DE9IGAATIGN IS THE 13TH POSITION OF THE UNIT NODEL NUNKE1. CENTER OF GRAVITY& ALL PIMERSI046 AdE IN "INCHES' UNLESS NOTED �--FIELD POWE4 SUPPLY CONN- / HOLE SIZE$ 4RgYICED: R1d'-112"THAO€ t / 3f16"-3FA"TRADE 3!8'-1'"TRADE Shipping Dimensions and Weights Outdoor Unit Height 40.13 in Width 20.50 in Length 50.50 in Operating Weight 196. Ib Shipping Weight 226.Ib Dimensions A B C D E F I G K L M N P 37.13 inj 44.50 inj 17.06 inj 18.44 inj 30.50 inj 19.63 inj 29.13 inj 8.13 inj 15.88 inj 0.75 inj 3.38 inj 5.50 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 41 of 51 Certified Drawing For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 1 [„ am ' -NIT CCIh:k ECTIOh 5IM Ue TION: 918 '� 074 - SF8' I 0. SWEAT 09P d D.iS - 31 9' I H 5F'E AT dA THRV 060 - �!&" I+WEFT LIO".ID: 3!D' I.D. SWEAT CCNOENSATE. 31n' FEE t DIS O""T OR _ FIRC UIT HRE4KEN LCCA TIOW 8" _ LOWE N, 111T1r•L, A ELL I� HEATED _— ACPF45 VANF; 4U.M ITTINc A NEL --LIDO ID LIRE COH NEi,TI01 --StCTIOS LINE tOWAUTION ,f " 11�„ FILTEP ACCE5i "EL SLOPE COIL DETAILS CQNNELTION LOCATION5 SHOWN INLET AIF F6EFT APPL CA IONS FRUUT ''iIEVi ,HIIWI nITH --OIL ET -IL-, ' 1:"E"TI'±1 L-,_ ,.TI,,11 F'' F 'FL;), H. .R I; ;:LI.%.a T1 a1 Indoor Coil Unit Model: FV4C Unit Size:Size 002 (18 - 36,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Cabinet Insulation:Single-piece cabinet with 1-in. super thick insulation PartNumber: FV4CNF002L00 FCR HI:.H 161-Ts;.-,E .•.E'; .IrItij ROTE. r SERIES BES IC.AATI OY IS THE 11TH POSITION ".F ..'NIT 'R ,D. T R BEA E ALL UINE4S10NS ARE IN "INCHES' 4NLESS NOTED, F �E I4 !` :+ U:n-e^LT­.E IT:P.L WIRIAc .1R• 7 1 1 A ALTERAATE- 7 18 'DIA G c FOR LOW VULT4GE CONTROL IAI �;I NU IT A A FCE53 PANEL CONFI: F:!:+ SLOPE C()ILS DOWNFLDS OR HOA I' aIGHT AYvLD:ATIcw A%0 "A" COIL', DOWNFLOW ArRLIGATI "•a NOTE- AL LIW Z� FROM FRONT FOP. SERVILE 2i 1116' 10 31t6" 97' �r3' `1" flUT LET -AIR 3!d Y 1 TERN ATE T+8'•1 3132" 2'OIA. N. R. 'S N OTE NODULAR FOw HI OH VOLTAGI UNITS WILL HAVE PbWER WIRII A T91O-PIECE pFrLl TE aI RE CAL9INET OPTION AL FIELD CONVERTED FFIGHT SIDE RETURN OPENING 15LORE FOIL UNITS ONL7.1 � H FU i RODULAR UNITS ,NI16 19 Yif" ,,;.- RIGHT SIDE VIEW SNLET ATR Dimensions and Weights Indoor Coil Height 42.69 in Width 17.63 in Length 22.06 in Shipping Weight 135.lb Dimensions A B C D E F G H J 42.69 inj 17.63 inj 15.75 inj 15.63 inj 10.75 in -- -- --I The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 42 of 51 Certified Drawing For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan + HOPI[ONTAL MOUNT LOCATIONS - DIMPLES PROVIDED IN TOP PANEL, AND DACH OF WINET IN CAOINET 50TTCM. HOLES PROVIDED 1W OIA. HORIIONTAL HA.IGINO HARDWARE TO 9E FIELD SUPPLIED, PRIMARY DRi SECONDARY DRAI T°vj S ir8" TYP+ 7 N" HORIZ. LEFT (AS SHI'PEG,' SECONDARY PRIMARY DRAI 1131161, TYP< 51 16' TP* 2 TYP, i2 PLACE$), UPFLOW (AS SHIPPED) 6' TYP. PLACES) sINFL M r7 9116' TYP, I2 PLACES4 " TYP. t PLACES)ri r , J '� F a 31a° G 4 1116' --�E:DMDARY DRAIN PRIMARY DRAIN 5)16, iYP.+ ECONDANY DRAIN PRIMARY DRA14T C I" TYP. " 1+6 El4 12 PLACESIt I W, IEIo' irls" T,,P, Silo' I+2" (A '',LACESI+ ;R' TYP. r a DOOFLOIN Pr (FIELD CONVERTED) HORIZ. RIGHT TYPh11 (FIELD CONVERTED) A -COIL Indoor Coil Unit Model: FV4C Unit Size:Size 002 (18 - 36,000 Btuh) Voltage: 208-1-60 V-Ph-Hz PartNumber: FV4CNF002L00 The Product and Ratings Data in this program is subject to change at anytime and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 43 of 51 ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan ID 12 Submittal Cover Sheet Unit Report Performance Summary Report Acoustic Summary Certified Drawings Residential Carrier Products Bldr 1.31 Page 44 of 51 Unit Report For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan r=i Outdoor Unit Parameters Unit Model: 25HHA Unit Size:5 Tons (Size 60) Voltage: 2081230-1-60 V-Ph-Hz Indoor Coil Parameters Unit Model: FV4C Unit Size:Size 006 (30 - 60,000 Btuh) Cabinet I nsulation:Modular with 1-in. super thick insulation Voltage: 208-1-60 V-Ph-Hz Refrigerant Type:Puron Heating Size: No Heat Outdoor Unit Dimensions and Weight Indoor Coil Dimensions and Weight Unit Length: 43.125 in Unit Length: 22.0625 in Unit Width: _17.0625 in Unit Width:_ 24.6875 in Unit Height: 44.5 in Unit Height: 59.1875 in Unit Shipping Weight: 288. lb Unit Shipping Weight: 207. lb RESIDENTIAL APPLICATIONS This warranty is to the original purchasing owner and subsequent owners only to the extent and as stated in the Warranty Conditions and below. The limited warranty period in years, depending on the part and the claimant, is as shown in the table below. Limited Warranty Years Item Original Owner Subsequent Owner Parts 10* or 5 5 Compressor 10* or 5 5 "If properly registered within 90 days of original installation, otherwise 5 years (except in California and Quebec and other jurisdictions that prohibit warranty benefits conditioned on registration). See Warranty Conditions below. OTHER APPLICATIONS The warranty period is five (5) years on the compressor, and one (1) year on all other parts. The warranty is the original owner only and is not available for subsequent owners. Ordering Information Part Number Description Quantity Outdoor Unit 25HHA46OA003 Performance Series Heat Pump with Puron 5 Tons Cooling 1 14 SEER @ ARI Conditions Indoor Coil FV4CNB006L00 FV4C Performance Series Fan Coil with Puron 6 Tons Cooling 208/230-1-60 1 Modular with 1-in. super thick insulation Aluminum The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 45 of 51 Unit Report For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Residential Carrier Products Bldr 1.31 Page 46 of 51 Performance Summary For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan System: 25HHA/FV4C System Quantity: 1 Altitude: 0.0 Linear Pipe Length: 0.0 COP @ 47 F: 3.70 COP @ 17 F: 2.60 SEER @ ARI Conditions:_ 14.0 EER @ ARI Conditions: 11.0 HSPF @ ARI Conditions:_ 8.2 System Performance Actual Clg Airflow:_ 2000.0 Standard Clg Airflow: 2000.0 Total Net Clg Capacity: 58.93 Net Sensible Clg Capacity: 46.71 Htg HP Capacity: 56.64 Htg HP Integrated Capacity: 56.64 Heating HP Compressor Power: 3.98 Total System Power: 4.91 System Parameters Outdoor Unit Parameters Unit Model: 25HHA460A003 Unit Size (Nominal): _5 Tons (Size 60) Voltage: 2081230-1-60 V-Ph-Hz Clg Ent Air DB Ambient: 95.0 °F Htg Ent Air DB Ambient: 47.0 °F CFM CFM MBH MBH MBH MBH kW kW Indoor Coil Parameters Unit Model: FV4CNB006L00 Unit Size (Nominal):Size 006 (30 - 60,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Ent Air DB: 80.00 °F Ent Air WB: 67.00 °F Ent Enthalpy: 31.44 BTU/lb Lvg Air DB: 58.37 °F Lvg Air WB: 57.77 °F Lvg Enthalpy: 24.89 BTU/lb Htg Ent Air DB: 70.0 °F Htg Lvg Air DB: 96.2 °F Heating Size (Nominal): No Heat Total External Static Pressure: 0.50 in wg Clg Coil Note:***Airflow adjusted to high (400 cfm/ton). Electrical Data Outdoor Electrical Data Indoor Electrical Data: Unit Voltage: 2081230-1-60 V-Ph-Hz (For units with no factory installed electric heaters) Fan Motor FLA: 1.45 Amps Unit Voltage: 208-1-60 V-Ph-Hz MCA: 33.4 Amps Unit FLA: 6.8 Amps Max Fuse: 50 Amps Unit MCA: 8.5 Amps Operating Range Min: 197 V Unit MOCP: 15.0 Amps Operating Range Max: 253 V Unit Min Wire Size: 14.0 Compressor RLA:_ 25.5 Amps Unit Fuse/Ckt Bkr Amps: 15.0 Amps Compressor LRA:_ 144.2 Amps Motor HP: 3/4 HP Notice: Indoor Elect. data is for 208-1-60 voltage The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 47 of 51 Acoustic Summary For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Unit Parameters: Unit Model: 25HHA Unit Size: 5 Tons (Size 60) Variations: Standard Octave Band Center Frequency, Hz 125 250 500 1 k 2k 4k 8k dBA Sound Power,dB 70.0 62.0 65.0 66.0 64.5 64.0 57.5 1 A -Wei hted Sound Power, dBA 1 74.0 Indoor Coil Parameters: Unit Model: FV4C Unit Size:_Size 006 (30 - 60,000 Btuh) Cabinet Insulation: Modular with 1-in. super thick insulation Octave Band Center Frequency, Hz 1 63 1 125 250 500 1 k 2k I 4k Sound POWer,d6 1 70.0 1 66.0 62.0 59.0 57.0 55.0 51.0 The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 48 of 51 Certified Drawing For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Model Unit Model: 25HHA Unit Size: 5 Tons (Size 60) Voltage: 208/230-1-60 V-Ph-Hz SEER: 14 PartNumber: 25HHA46OA003 1. RE9UIRE0 LLEIIII E5: WITH (OEL FACING WALL; .ALLOW b" MIN "'A. NLE 9R EBIL $I OE ANO [GIL Epp ARC 36. MIS CLEARANCE ON XPRESSOR EAO AND FAN SIDE WITH FAN FAC..ING WALL; ALLOH B' A1IN F.LEARAKE ON F" SIDE AND COIL END FHD :5" MIa CLEARANCE ON CGLSPRE33Oq E4O AAIp COIL SLOE WITH MULTI ¢NIT ATPLTCATION. ARRANGE UNITS 50 9I$CHARGE OF ONE DOES NOT E'NTP INLET OF ANOTHER 4INIUUN OUTDOOR OPERATING AMBEENT IN COOLING WOOF IS 'S"F. MAW. IP5°F. SERIEai DE9IGAATIGN IS THE 13TH POSITION OF THE UNIT NODEL NUNKE1. CENTER OF GRAVITY& ALL PIMERSI046 AdE IN "INCHES' UNLESS NOTED �--FIELD POWE4 SUPPLY CONN- / HOLE SIZE$ 4RgYICED: R1d'-112"THAO€ t / 3f16"-3FA"TRADE 3!8'-1'"TRADE Shipping Dimensions and Weights Outdoor Unit Height 40.13 in Width 20.50 in Length 50.50 in Operating Weight 258. Ib Shipping Weight 288.Ib Dimensions A B C D E F I G K L M N P 43.13 inj 44.50 inj 17.06 inj 18.44 inj 30.50 inj 19.63 inj 35.13 inj 8.50 inj 18.88 inj 0.88 inj 3.38 inj 5.50 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 49 of 51 Certified Drawing For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 1 [„ am ' -NIT CCIh:k ECTIOh 5IM Ue TION: N'N '� 074 - SF$' I 0. SWEAT 09P d D.iS - 31 9' I H F'E AT QA THRN 060 - �!$" I +WEFT LIi]".ID: 3!D' I.D. SWEAT CCNOENSATE. 31n' FEE t DISCONNECT OR _ IDUIT HRE4KEN TIOW 8" _ _—BLOwEN, CONT'�L, a ELEcYRI. HEA TEU _— iCP F45 FLN F; ACCESS ITTINc A NEL --LIDO ID LIRE CAH NEi,TI01 --StCTIOS LINE CONNECTION -FILTEP ACCE5i :;'Ev iNv t��hEL INLET AIR FR IT '%IIEVi ,HIIW nITH --OIL DETAIL= ' 1:"E"TI'-H L-,_ ,.TI,',11 F'' R �'FLO, ; . H:•R I; :L I.%.a TI :. Indoor Coil Unit Model: FV4C Unit Size:Size 006 (30 - 60,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Cabinet Insulation: Modular with 1-in. super thick insulation PartNumber: FV4CNB006L00 NOTE. r SERIES DESIGkkTIOW IS THE 11TH R•15ITION ".F ..'NIT 'R5T. R,IWBEN E ALL UI4E4SI0NS ARE IN "INCHES' 4NLESS NOTED. f FCR NI:�H 1'GLT a[,E .•. E'; nI r Iti; LT E ' +'T:'.L wIRIyc w 1 74ftti' � • TOP V I P'N SLOPE COIL DETAILS CQNNECTION LOCATION5 SHOWN FOR UPFLUM OR RON I1. LEFT APPIE I CATIONS 7 1 1 A ALTIRIITE— H FOR LOW ' E CONTROL 4141NU IT A R1�>Q A CCE53 PANEL CONFI: F:!:+ SLOPE C()ILS DOWNFLOr OR HOA I' aIGHT AYvLD:ATIcw ANR "A" COIL', 110WNFLOW AFRLIGATI"a 14(,TE n,LLOYI Z" FR,]N FRONT FOR SERVILE 22 1116' `1" flUT LET -A.IR 3!d Y TERN 0.3E HI 3132" 2'D I.A. N. R. 'S F03 HIOH 4H VOLTAGE, -NOTE MODULATEUNITS WILL HAVE PbWER WIRII A T% -PIECE OvruSI TE aI I5E CA6INET OPTION AL FIELD CONVERTED RI-T SIDE RETURN OPENING 15LOFE FOIL UNITS ONLY.) � H NA% FO i Y9 RODU LdR UNITS g NI1 19 $if6 RIGHT SIDE VIEV SNLATR ET Dimensions and Weights Indoor Coil Height 59.19 in Width 24.69 in Length 22.06 in Shipping Weight 207.lb Dimensions A B C D E F G H J 59.19 inj 24.69 inj 22.75 inj 22.69 inj 25.25 in -- --1 34.06 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 50 of 51 Certified Drawing For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan + HOPItONTAL MOUNT LOCATIONS - DIMPLES PROVIDED IN TOP PANEL, AND DACH OF WINET IN CAOINET 50TTCM. HOLES PROVIDED 1W OIA. HORIIONTAL HA.IGINO HARDWARE TO 9E FIELD SUPPLIED, PRIMARY DRi SECONDARY DRAI T°vj S ir8" TYP+ 7 N" HORIZ. LEFT (AS SHI'PEG,' SECONDARY PRIMARY DRAI 1131161, TYP< 51 16' TP* 2 TYP, i2 PLACE$), UPFLOW (AS SHIPPED) 6' TYP. PLACES) sINFL M r7 9116' TYP, I2 PLACES4 " TYP. t PLACES)ri r , J '� F a 31a° G 4 1116' --�E:DMDARY DRAIN PRIMARY DRAIN 5)16, iYP.+ ECONDANY DRAIN PRIMARY DRA14T C I" TYP. " 1+6 El4 12 PLACESIt I W, IEIo' irls" T,,P, Silo' I+2" (A '',LACESI+ ;R' TYP. r a DOOFLOIN Pr (FIELD CONVERTED) HORIZ. RIGHT TYPh11 (FIELD CONVERTED) A -COIL Indoor Coil Unit Model: FV4C Unit Size:Size 006 (30 - 60,000 Btuh) Voltage: 208-1-60 V-Ph-Hz PartNumber: FV4CNB006L00 The Product and Ratings Data in this program is subject to change at anytime and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 51 of 51 Carr SUBMITTAL Project Climatec - City of Santa Clarita City Hall Date Monday, March 28, 2022 Shawn Harlan Sigler - Brea 205 Puente Street Brea CA Table Of Contents Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID#5,6 3 Unit Report 4 Certified Drawing 5 Corner Weight Report 9 ID# 1-4 10 Unit Report 11 Certified Drawing 12 Corner Weight Report 16 BACnet Points List 17 ID 9,10 24 Unit Report 25 Certified Drawing 26 Performance Summary 27 ID 14 30 Unit Report 31 Certified Drawing 32 Performance Summary 33 ID 11 36 Unit Report 37 Performance Summary 39 System Parameters 39 Electrical Data 39 Acoustic Summary 40 Certified Drawing 41 D 12 44 Unit Report 45 Performance Summary 47 System Parameters 47 Electrical Data 47 Acoustic Summary 48 Certified Drawing 49 Applied Rooftop Builder 3.29v Page 2 of 51 ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID#5,6 Tag Cover Sheet Unit Report Certified Drawing Performance Report Corner Weight Applied Rooftop Builder 3.29v Page 3 of 51 Unit Report For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Size: 030 (30 Tons) Volts -Phase -Hertz: 460-3-60 Supply / Return: Vertical/Vertical Configuration: VAV Evaporator Coil Type: Standard Heating Capacity:_ No Electric Heat Stainless Steel Drain Pan: Selected Greenspeed: Selected Shipping Dimensions Unit Length: 13, 9„ Unit Width: 7- 10" Unit Height: 6- 1" Unit Operating Weight: 4575 lb Unit Shipping Weight: 4613 lb ***Weights and Dimensions are approximate. Weight does not include curbs and accessories. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions refer to certified drawings. ** Shipping Weight does not include extended leadtime options' weight. Factory Installed Options Application Type: VAV Control Expansion Module: Selected Exhaust/Outdoor Air OA Intake/Return:_ Modulating Power Exhaust Outdoor Air Intake: Differential Dry -Bulb Ultra Low Leak Economizer Supply Fan Supply Fan Type: Forward Curve Supply Fan Motor HP: 15 HP Condenser Coil Cond. Coil Fin Coating:AI/Cu Cond, AI/Cu Evap Mixed -Air and Outdoor Air Filters Mixed -Air Filter Type: Standard Efficiency Throwaway Mixed -Air Filter (Quantity) Size: (10) 20 x 24 x 2 Outdoor Air Filter (Cleanable Mesh): (8) 16 x 25 x 2, (4) 20 x 25 x 2 Warranty Information First Year - Parts Only (Standard) Start-up, First Unit NOTE: Please see Warranty Catalog 808-218 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 50A7-030APA64AHJ Rooftop Unit With Greenspeed Intelligence 2 Base Unit Differential Dry -Bulb Ultra Low Leak Economizer Modulating Power Exhaust Stainless Steel Drain Pan Premium Efficiency 15 HP Al / Cu w/ Variable Comp Controls Expansion Module CEM with Phase Monitor Domestic w/BACnet Communication Extended Leadtime Options Blanket Control # IDescription Quantity B21-0059 JUVC Lighting Fixtures 2 Applied Rooftop Builder 3.29v Page 4 of 51 Certified Drawing for ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ------ 1� A C8-1!$ i A NOTES: 1 WEIGHTS I7+1--E E."hpMIZEA I [27461 RETURN------------ 7. + EE[IT E •F (.'..IT'Y 2-9i16 3 A FO`N ',�_LTI'LE .IT A'=LICATIOYS SEE .°.LT '. LE z'::'•�. EF LITERATURE ,0-1l2 165I 50 i0 T. F u',IT. rl -EI:H E [L [ ] [266] g-1212 [1270] [Ia707� [217] FILTE L�E.E: 1 C. "[30a87 5-I'2 [ta u IFOR --- --- -- --- -- --- -- --- —I COMPRESSOR. L. F E I -T:I•' [Li INSI)E SASE 1rAIL I I I I ACCE.,'i DOOR S F_= •'-I Eh' aE-.'I •:-E-Jll'+:,I CLEARANCES. IHINM i.'7T:'T •P.IE=E'LJ-AT1 C` I'{ F'Iri.: DEPARTMENi F P:-iT•::'' - :T'. `E.IJ'.E: T' -E-TTA.(HI P:; 4C^E55GNY ;,F -. IF IT 1 r::IIIITE' -.,N , E IT _ G RE UEI[ THE ii T _E .., F'TE P ... -- -------- - _ .. E 0 A(CEiF .�,, F ;3 --—-- --------- —---I 7. � I` I I ARE IN MILL14ETE _ I Ir-- = HC;;" RE.+,,,F1 2R [8'lI)] RETURN1 Ij 4 : BETJRN OAVER OPE',II,: li V-511 6 C.C75] WITH HC09 88-11N 1�-21132 r - _- m [7B5] CFENIN 3 �.--_I- AN IS X/It YRENI 55 lNE PTIE ATE RF C.AA AI EN G]RPd@ATIUY $T SxIW OF )MESS 4PAq N-E FO YIX4 E T' fl X➢ IS � flIV iEP d6M TIE E[Y➢E 55 RONY]T1T IJT C THE MES MTN{ 1717:TE P1 i '•EB FdN i �.E i•�: LOATENTS NT LL Nii RE ➢I A(5ENT OA 'I;EA 0ITHOAT CkNRIEP EFEVACI NF C N7RAG7- � � ;Q,+ A7L6N'S YpiITFN :4AS[Ri OPIRATINM1, CENTER Oi P,P•AuITt (UFBER AEIrNT ILS'i) uhIT SI E WLiUHi T A [P?P OVER [39g7 t GPERATINC WEIGHT INCLUDES LARGE T IF' I H TOCOMODULATING POWER EXHAUST IVAVi, '•?F,, I III Ij 11 =-- I ' rill 161G7 SUPPL'+-`�--�ii SUP✓'LY -- -. Ililil iyy ,--61AIN CONTROL 8OX p �`�• WITH PANEL - - lil -- 1fi - - II I_1 I �41Q"�711� -IL--- --I➢� , I -,I - - J' I '-118 A3-7l15 9-15132 ECONOMIZER HOOM — PANEL REMi34E9 I11541 41-25737 60 M 6 ' 34 8 [7t37 IHOODS FIFE INSTALLED) [8B5] N ON0 4PENTNs WIEW A -A [106`] [1576] 5:!"Lv LOW SOUND ©UTDDDR INCLUDED WITH UNIT) SCALE 13.32E 3 112"C69] V'i FIEL' PP'AEv fALLFFANAN 0IS�TIONSf / NV F�7WEH E><HA DST 4k FA RONETIC RELIEF A —3141I1141 VT LO'A ...MACE —FILTER!,A0 CONTROL HOX �1N125I NPT INDOOR ROTOR DRAIN CoNN ACCESS DOOR ACCESS DOOR IHIN6ED] HIN4ED1 HEAT SECTION ACCESS PAHEL $� I r��i`• i I 7D-3rr I �i I I , '1 L179?] I� --1- ECONQM11E+i% •I rrt i 4f SF - AIR - J - - -- 23-21l3.P F EXHAUST ®� - [ti0Y] e AIR 17-'S!3`r.NU hPL" R3 r13e AIR Ir25P] A112?61 AUXILIARY n_ 3° tl8 f15] C9N T?!JL [ Y65] 60z iYP 4 'LACES 88 BASE FRAME 1 31BA[35] DIA [2235] HOLE IN LIFTING LOD 9" '7 LIFTING POSITION [232A1 [2358] Q'JERALL LIFTING $HIY ING RIM. Applied Rooftop Builder 3.29v ONTROL Ky I'cE3S DOOR STANDARD OUTDOOR FAN 26-1Rr2] 16 / HINGET [fi8 INOU(I.I'LOWER ACC E--S PANEL FI f maU fi3-S18 E I I -I � 5 ➢'. `-`---- - - ----t1 23132 g122271 7TU C?67 Ea E COIL 1M51 5A1 -3132 17[ ,Tt!3i [ 76&372 INS] -E H.. E ;AILS 11451 POWER EXHAI!5i 41—J 7!81`I221 DIA LOW VOLTAGE—/ � 30-1132 BAROMETRIC RELIEF HOODS 2 117"[5d] 7IA U L7611 1-5l8 FIELD WIRING 7I 931 ITC CLASSIFICATION SHEET 11ATE Suf EALECES �oArin Q21-`U �=1 ELEC TTtI NE1' U S. ECCN. EAP99 OF T P21 55117 q4 f16f13 13070M SLIPFLYIRETURN UNETSI 60 E3 SOOSR3 E Page 5 of 51 Performance Summary For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number: 50A7-030APA64AHJ Unit Refrigerant: R410A EER (AHRI 340/360): 10.0 IEER (AHRI 340/360): 14.7 Unit Dimensions Unit Length: 13- 9" Unit Width: 7- 10" Unit Height: 6- 1" Unit Operating Weight: 4575 lb Unit Shipping Weight: 4613 lb *Unit operating weight does not include accessories weight. Unit Heating Type: None Supply/Return: Vertical/Vertical Application Type: VAV Voltage: 460-3-60 Cooling Airflow: 12000 CFM Altitude: 0 ft Cond. Ent. Air Temp: 95.0 F Ent. Air Dry Bulb: 80.0 F Ent. Air Wet Bulb: 67.0 F Ent. Air Enthalpy: _31.44 BTU/lb Lvg. Air Dry Bulb: 59.3 F Lvg. Air Wet Bulb: 58.1 F Lvg. Air Enthalpy: 25.07 BTU/lb Gross Cooling Capacity- 343.80 MBH Gross Sensible Clg. Cap- 267.90 MBH Compressor Power: 26.0 kW Coil Bypass Factor: 0.15 Refrigerant Charge, Circuit A: 30.5 lb Refrigerant Charge, Circuit B: 34.3 lb Part Load(%) Operation Cooling Capacity Steps: 12.5-25, 37.5-50, 62.5-75, 87.5-100 Supply Fan Information: Ext.Static Pressure: 2.00 in wg Selection Static Pressure: 2.00 in wg Supply Fan RPM: 969 * Supply Fan BHP: 8.78 BHP Supply Fan Motor HP: 15 HP *Field supplied and installed sheave package may be required* Power Exhaust Information: Airflow: 11700 CFM Selection Static Pressure:_ 0.04 in wg Applied Rooftop Builder 3.29v Page 6 of 51 Performance Summary For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Electrical Data Voltage Range: 414 - 508 Compressor #A1 RLA: 11.2 Compressor #A1 LRA: 75 Compressor #A2 RLA: 11.2 Compressor #A2 LRA: 75 Compressor #B1 RLA: 11.2 Compressor #B1 LRA: 75 Compressor #132 RLA: 11.2 Compressor #132 LRA: 75 Indoor Fan Motor HP: 15 Indoor Fan Motor FLA: 21 Pwr. Exhaust Fan Motor Qty: 4 Pwr. Exhaust Fan Motor FLA (ea.): 3.15 Power Supply MCA: 90 Power Supply MOCP (Fuse or HACR): 110 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 213.3 SCCR, Short Circuit Current Rating: 5kA Acoustic Information Discharge, Lw Inlet, Lw Outdoor, Lw 63 Hz 94.5 90.4 63.9 125 Hz 84.7 80.2 72.2 250 Hz 80.6 79.8 78.9 500 Hz 86.9 76.0 82.1 1000 Hz 89.4 79.3 84.1 2000 Hz 86.6 73.9 78.8 4000 Hz 82.3 72.3 72.5 8000 Hz 75.0 67.6 64.6 Discharge / Inlet Duct Sound Power test data rated in accordance with the AHRI 260 Standard. Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Advanced Acoustics Applied Rooftop Builder 3.29v Page 7 of 51 Performance Summary For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver: 50.0 ft 3. Receiver height above ground: 5.7 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 63.9 72.2 78.9 82.1 84.1 78.8 72.5 64.6 87.9 Lw B 37.7 56.1 70.3 78.9 84.1 80.0 73.5 63.5 86.7 LwA C 30.6 38.9 45.6 48.8 50.8 45.5 39.2 31.3 54.5 L D 4.4 22.8 37.0 45.6 50.8 46.7 40.2 30.2 53.4 L A Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Supply System Curve 1 00 RPM MS 1100 F PM X12DO RP 900 80. RPM \P\.1\\1J 700 PM 5.0 BH 600 P 500 PM 0 B 1 P 15 00 BH 400 F PM 10.0 BHP 7A Q7300 F PM 5 00 H 3 00 B 200 PM 2 B 0. 1. H I !1 1 7 Z d A 7 R Q 1!1 11 17 11 1d 11 1A 17 1R 10 7 Airflow (CFM - thousands) RPM = 969 BHP = 8.78 Maximum RPM = 1200 Maximum HP = 23.40 SC - System Curve RP - Rated Point 0 Applied Rooftop Builder 3.29v Page 8 of 51 Corner Weight / Center of Gravity Report For ID#5,6 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM 3 4 Rooftop Unit Part Number: 50A7-030APA64AHJ CG Dimension (A):71 11" CG Dimension (B): 31811 Unit Length: 131911 Unit Width: 711011 Unit Height: 61111 Unit Weight: 4575.3 lb Unit Shipping Weight:4613.0 lb Corner Weight (1): 959.0 lb Corner Weight (2): 977.0 lb Corner Weight (3): 1332.0 lb Corner Weight (4): 1307.3 lb Total Corner Weight:4575.3 lb Applied Rooftop Builder 3.29v Page 9 of 51 ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID# 1-4 Tag Cover Sheet Unit Report Certified Drawing Performance Report Corner Weight BACNet Report Applied Rooftop Builder 3.29v Page 10 of 51 Unit Report For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Size: 040 (40 Tons) Volts -Phase -Hertz: 460-3-60 Supply / Return: Vertical/Vertical Configuration: VAV Evaporator Coil Type: Standard Heating Capacity:_ No Electric Heat Stainless Steel Drain Pan: Selected Greenspeed: Selected Shipping Dimensions Unit Length: 17' 11„ Unit Width: 7' 10" Unit Height: 6' 1" Unit Operating Weight: 5449 Ib Unit Shipping Weight: 5490 lb ***Weights and Dimensions are approximate. Weight does not include curbs and accessories. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions refer to certified drawings. ** Shipping Weight does not include extended leadtime options' weight. Factory Installed Options Application Type: VAV Control Expansion Module: Selected Exhaust/Outdoor Air OA Intake/Return:_ Modulating Power Exhaust Outdoor Air Intake: Differential Dry -Bulb Ultra Low Leak Economizer Supply Fan Supply Fan Type: Forward Curve Supply Fan Motor HP: 20 HP Condenser Coil Cond. Coil Fin Coating:AI/Cu Cond, AI/Cu Evap Mixed -Air and Outdoor Air Filters Mixed -Air Filter Type: Standard Efficiency Throwaway Mixed -Air Filter (Quantity) Size: (10) 20 x 24 x 2 Outdoor Air Filter (Cleanable Mesh): (8) 16 x 25 x 2, (4) 20 x 25 x 2 Warranty Information First Year - Parts Only (Standard) Start-up, First Unit NOTE: Please see Warranty Catalog 808-218 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 50A7-040AQA64AHJ Rooftop Unit With Greenspeed Intelligence 4 Base Unit Differential Dry -Bulb Ultra Low Leak Economizer Modulating Power Exhaust Stainless Steel Drain Pan Premium Efficiency 20 HP Al / Cu w/ Variable Comp Controls Expansion Module CEM with Phase Monitor Domestic w/BACnet Communication Extended Leadtime Options Blanket Control # IDescription Quantity B21-0059 JUVC Lighting Fixtures 2 Applied Rooftop Builder 3.29v Page 11 of 51 Certified Drawing for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM UNITED P.O. 60% 4808 Tx]5 OOC�MENT R THE PROP ERTr OF CARRIER CORPORATION SUBMISSION OF THESE DRAWINGS OR DOCUMENTS NOTES j1 1 0-1 /2 50 50 /� TECUNOLOGI ES srRAwsE, Nr ANo Is olu vla�o uvoN Tug �malss mNomoN INAT TUI Does NOT CO-11UTE PART PERFORMANCE OR 1. WEIGHTS INCLUDE ECONOMIZER. /-� [266] �C1270] [1270] /-� CARRIER iszei co PORni�orl sweniiNOio s�Nro oe usEo wnuouT CARR�Ee ACCEPTANCE OF CONTRACT. 2. + CENTER OF GRAVITY 2-9/16 [65] 111RAIING CENTER of IRAAITv 3. FOR MULTIPLE UNIT APPLICATIONS SEE LITERATURE. 5-112 UNIT SIZE WEIGHT Y A g CORNER WEIGHT (LBS) 4. UNIT CLEARANCES: 11401 INSIDE TOP OF UNITS: NO OVERHANG BASE RAIL CONDENSER COIL 4'-0" 11219I ECONOMIZER SIDE, 6'-0" [1829I HEAT S]DE: 4'-0" [1219] 24 3 FILTER ACCESS SIDE: 10'-0" 130481 16 11 1 RETURN (FOR REMOVAL OF EVAPORATOR COIL) - — — — - - 5 ATINAL 'ILARANY ISR CONTACT CARRIE RRA PPOICATION 15-21 /32 ENGINEERING DEPARTMENT, 1397] RETURN 6. BOTTOM DUCTS DESIGNED TO BE ATTACHED TO ACCESSORY ROOF CURB IF UNIT IS MOUNTED 88-1/4 1 3 5 3/8, UNIT SIZE ORE RATING CENTER OF GRAVITY CORNER WEIGHT (NGS) WEIGHT + A B kq MM 3 4 50A2/A3/040 2524 3093 1052 5i9 516 612 758 50A2/A3/050 2606 3035 1050 607 1 551 1 684 764 ON DUNNAGE, IT IS RECOMMENDED THE DUCTS TOR COVERS MUST BE SUPPORTED BY CROSS BRACES AS v OPERATING WEIGHT INCLUDES IFM, MCHX, DONE ON ACCESSORY ROOF CURB, 24 V Aft MAIN CONTROL MODULATING POWER EXHAUST (VAV), AND AID (VAV). 7. DIMENSIONS I.N 11 ARE IN MILLIMETERS. [610] SUPPLY SUPPLY F BOX B III D HOOD REMOVED DAMPER OPENING 13-7/8 — 42-5/16 — WITH HOOD 13521 18-114 11075I 15 15/16 464I [4041 44-9/32 9-9/16 8-19/32 108-1 /8 L 'C1125] [243] 134-15/32 C2132 [2746] RETURN/SUPPLY gi_1/4 WITH PANEL 134151 A 0'3 112 [89INPT FIELD POWER [795] ECONOMIZER HOODS OPENING (HOODS FIELD INSTALLED) 0'-3/4 [191NPT LOW VOLTAGE (INCLUDED WITH UNIT? INDOOR MOTOR 2 REO'D ACCESS DOOR (HINGED) FILTER/AUX 1" NET CONTROL BOX DRAIN CONN. HEAT SECTION DOOR (HINGED) ACCESS PANEL INDOOR BLOWER CONDENSER COIL ACCESS PANEL BOTH SIDE ECONO AI� EXHAUST AIR POWER EXHAUST ' — 23-21/32 16011 - - — BAROMETRIC RELIEF ECC HOODS OPTON 2 REO'D RETURN AIR 30-1/8 SUPPLY AIR AUXILIARY [765I TYP 4 PLACES 49-17/32 CONTROL [1271 BOX 88 [2235] BASE FRAME 0 H 91-1/2 LIFTING POSITION [2324] 94 [23881 OVERALL LIFTING SHIPPING DIM 45-7/16 PANEL REMOVED LOW SOUND OUTDOOR [1154] FAN OPTION ONEY OPENINGVIEW A- A 'ALL FAN PCs]TIONSI NO POWER EXHAUST OR BAROMETIC RELIEF STANDARD OUTDOOR FAN ACCESS DOORS (HINGED) 8-1/16 CONTROL BOX / COMPRESSOR 12041 42-5/8 110821 70-3/4 78-19/32 [1797] 11997] 8 .0 857] .0. DIA [III FIELD W]R]N6 (2) 29-13/32 7/8'' DIA 1221 [74 ll LOW VOLTAGE 24-13/32 /32 16201 82-[2083I 1INSIDE BASE 1 3/8'' 135IDIA 3 RAILS E IN LIFTING LUG 1761 DATE RUPEKEDEG 50A2/A3/ 04 0- 050 ELECTRIC HEAT 4/16/13 03/03/08 (BOTTOM SUPPLY/RETURN UNITS) 32-23/32 150 [83ll [3810] 215-13/32 [ 5 4 7 1 1 65-29/32 _ 116 74 1 41 23/32 110601 45-1/16 1 11145] 34 15/32 8151 20 3/16 [ 51 3I 7-15/32 4441 2-3/32 1 53 1 50IJ500529 RA Applied Rooftop Builder 3.29v Page 12 of 51 Performance Summary For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number: 50A7-040AQA64AHJ Unit Refrigerant: R410A EER (AHRI 340/360): 10.0 IEER (AHRI 340/360): 14.8 Unit Dimensions Unit Length: 17' 11" Unit Width: 7' 10" Unit Height: 6' 1" Unit Operating Weight: 5449 lb Unit Shipping Weight: 5490 lb *Unit operating weight does not include accessories weight. Unit Heating Type: None Supply/Return: Vertical/Vertical Application Type: VAV Voltage: 460-3-60 Cooling Airflow: 16000 CFM Altitude: 0 ft Cond. Ent. Air Temp: 95.0 F Ent. Air Dry Bulb: 80.0 F Ent. Air Wet Bulb: 67.0 F Ent. Air Enthalpy: _31.44 BTU/lb Lvg. Air Dry Bulb: 58.0 F Lvg. Air Wet Bulb: 57.5 F Lvg. Air Enthalpy: 24.71 BTU/lb Gross Cooling Capacity- 484.70 MBH Gross Sensible Clg. Cap- 380.40 MBH Compressor Power: 33.2 kW Coil Bypass Factor: 0.07 Refrigerant Charge, Circuit A: 44.0 lb Refrigerant Charge, Circuit B: 44.0 lb Part Load(%) Operation Cooling Capacity Steps: 12.5-25, 37.5-50, 62.5-75, 87.5-100 Supply Fan Information: Ext.Static Pressure: 2.00 in wg Selection Static Pressure: 2.00 in wg Supply Fan RPM: 1088 * Supply Fan BHP: 19.70 BHP Supply Fan Motor HP: 20 HP *Field supplied and installed sheave package may be required* Power Exhaust Information: Airflow: 11700 CFM Selection Static Pressure:_ 0.04 in wg Applied Rooftop Builder 3.29v Page 13 of 51 Performance Summary For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Electrical Data Voltage Range: 414 - 508 Compressor #A1 RLA: 14.8 Compressor #A1 LRA: 130 Compressor #A2 RLA: 14.8 Compressor #A2 LRA: 130 Compressor #B1 RLA: 14.8 Compressor #B1 LRA: 130 Compressor #132 RLA: 14.8 Compressor #132 LRA: 130 Indoor Fan Motor HP: 20 Indoor Fan Motor FLA: 27 Pwr. Exhaust Fan Motor Qty: 4 Pwr. Exhaust Fan Motor FLA (ea.): 3.15 Power Supply MCA: 119 Power Supply MOCP (Fuse or HACR): 125 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 413.3 SCCR, Short Circuit Current Rating: 5kA Acoustic Information Discharge, Lw Inlet, Lw Outdoor, Lw 63 Hz 95.8 92.7 64.2 125 Hz 89.9 81.6 73.9 250 Hz 86.0 80.3 80.9 500 Hz 90.3 76.7 84.4 1000 Hz 92.7 79.9 86.7 2000 Hz 90.6 74.5 81.3 4000 Hz 86.4 72.8 74.9 8000 Hz 79.6 68.1 66.2 Discharge / Inlet Duct Sound Power test data rated in accordance with the AHRI 260 Standard. Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Advanced Acoustics Applied Rooftop Builder 3.29v Page 14 of 51 Performance Summary For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver: 50.0 ft 3. Receiver height above ground: 5.7 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 64.2 73.9 80.9 84.4 86.7 81.3 74.9 66.2 90.3 Lw B 38.0 57.8 72.3 81.2 86.7 82.5 75.9 65.1 89.2 LwA C 30.9 40.6 47.6 51.1 53.4 48.0 41.6 32.9 56.9 L D 4.7 24.5 39.0 47.9 53.4 49.2 42.6 31.8 55.9 L A Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA 4- 3- `e 0 0 Supply System Curve 1000 PM 100 RPM SE 1200 RPM 300 RPM 900 RPM 700 RPM 600 RPM \, 0.0 P 25. 0 B 500 RPM 0.00 BH X\ 15.00 BHP 400 RPM >< 300 RPM 4 6 8 1I0 1I2 1I4 1I6 1I8 210 212 Airflow (CFM - thousands) RPM = 1088 BHP = 19.70 Maximum RPM = 1300 Maximum HP = 25.00 SC - System Curve RP - Rated Point Applied Rooftop Builder 3.29v Page 15 of 51 Corner Weight / Center of Gravity Report For ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM 3 4 Rooftop Unit Part Number: 50A7-04OAQA64AHJ CG Dimension (A):101211 CG Dimension (B): 31511 Unit Length: 17' 11" Unit Width: 711011 Unit Height: 61111 Unit Weight: 5449.2 Ib Unit Shipping Weight:5490.0 lb Corner Weight (1): 1250.0 lb Corner Weight (2): 1114.0 lb Corner Weight (3): 1450.0 lb Corner Weight (4): 1635.2 lb Total Corner Weight:5449.2 Ib Applied Rooftop Builder 3.29v Page 16 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM UPC Open Network Point List Equipment Software MBB-CESR131343-11-00 upc_ope n_4850a-v11 20220214.clipping Name Read/W Unit Range Object Name Object rite s ID Airside Linkage Status R O=NOTACTIVE a_link_status_1 BV:260 1=ACTIVE 1 (Airside Linkage) Indoor Air R ppm 0-5000 link_iaq_1 AV:26 Quality 07 (Airside Linkage) Max Damper R % 0-100 link_max_dmpr_1 AV:26 Position 11 (Airside Linkage) Space Relative R % 0-100 link_rh_1 AV:26 Humidity 06 Air Temp Lvg Supply Fan R OF sat—1 AV:10 Airside Linkage Alarm R O=NORMAL air_linkage_fail_1 BV:703 1=ALARM 0 Alarm State R O=NORMAL alm 1 BV:9 1=ALARM Building Pressure R H2O bldg_static_press AV:10 _1 70 Building Pressure Setp. R/W H2O -0.25 - 0.25 bldg_press_stpt_ AV:30 1 70 Cir A Discharge Pressure R psig discharge_press_ AV:16 a 1 01 Cir A Sat. Condensing R OF Sat_cond_temp_a AV:16 Temperature 1 02 Cir A Sat. Suction Temperature R OF sat_suction_temp AV:16 —a—1 03 Cir A Suction Pressure R psig suction_press_a_ AV:16 1 00 Cir B Discharge Pressure R psig discharge_press_ AV:16 b 1 05 Cir B Sat. Condensing R OF sat_cond_temp_b AV:16 Temperature 1 06 Cir B Sat. Suction Temperature R OF sat_suction_temp AV:16 b 1 07 Compressor Al Relay R O=OFF cmpa1_1 BV:16 1=0 N Compressor A2 Relay R O=OFF cmpa2_1 BV:17 1=0 N Compressor B1 Relay R O=OFF cmpb1_1 BV:18 1=0 N Compressor B2 Relay R O=OFF cmpb2_1 BV:19 1=0 N Applied Rooftop Builder 3.29v Page 17 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Controlling Return Temp R/W °F -40 - 240 ra_temp_1 AV:10 30 Controlling Space Temp R/W OF -40 - 240 space_temp_1 AV:20 07 Cooling Control Point R OF cool_ctrl_point_1 AV:10 24 Cooling Occupied Setpoint R/W OF 40 - 99 occ_cl_stpt_1 AV:30 01 Cooling Unoccupied Setpoint R/W OF 40 - 99 unocc_cl_stpt_1 AV:30 03 Ctl.Temp RAT,SPT or ZONE - R OF ctrltemp_1 AV:43 Prime Variable Current Running Capacity R % cool_capacity_1 AV:10 23 Current Running Capacity R % htsg_cap_1 AV:44 Dehumidify Cool Setpoint R/W OF 40 - 55 dhcoolsp_1 AV:49 Dehumidify Input R/W O=OFF dhdiscin_1 BV:30 1=O N Dehumidify RH Setpoint R/W % 10 - 90 dhrelhsp_1 AV:50 Demand Limit Sw.1 Setpt. R/W % 0 - 100 dlswspl_1 AV:53 Demand Limit Sw.2 Setpt. R/W % 0 - 100 dlswsp2_1 AV:54 Economizer Act. Curr. Pos R % econ_pos_1 AV:10 28 Economizer Active? R O=OFF ecactive 1 BV:36 1=O N Element Comm Status R 0=NO COMM element stat 1 BV:299 1=NORMAL 9 Evaporator Discharge Tmp R OF edt 1 AV:76 Exhaust Fan VFD Speed R % ef_vfd_output_1 AV:20 75 Filter Status Input R/W O=CLEAN filter—status-1 BV:105 1=DIRTY 2 Heat Relay 1 R O=OFF hs1_1 BV:52 1=O N Heat Relay 2 R O=OFF hs2_1 BV:53 1=O N Heat -Cool Setpoint Gap R/W OAF 2 - 10 hcsp_gap_1 AV:83 Heating Control Point R OF heat_ctrl_point_1 AV:10 25 Heating Occupied Setpoint R/W OF 40 - 99 occ_ht_stpt_1 AV:30 02 Heating Supply Air Setpt R/W no 80-120 saspheat_1 AV:30 unit 08 Heating Unoccupied Setpoint R/W OF 40 - 99 unocc_ht_stpt_1 AV:30 04 HVAC Mode Numerical Form R no hvac mode 1 AV:10 unit 22 Applied Rooftop Builder 3.29v Page 18 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM IAQ - Discrete Input R/W O=LOW iaq_status_1 BV:105 1=HIGH 0 IAQ- PPM Indoor CO2 R/W no 0-5000 iaq_1 AV:10 unit 09 Leaving Air Temperature R OF Ivg_air_temperat AV:10 u re 1 27 Local Schedule R O=OFF schedule 1 BV:S 1=0 N Mixed Air Temperature R OF ma_temp_1 AV:15 00 OAQ- PP Outdoor CO2 R/W no 0-5000 oaq_1 AV:11 unit 3 Occupied Cool Mode End R OF occl_end_1 AV:11 4 Occupied Cool Mode Start R OF occlstrt_1 AV:11 5 Occupied Heat Mode End R OF ocht_end_1 AV:11 6 Occupied Heat Mode Start R OF ochtstrt_1 AV:11 7 Occupied? R/W 0=NO occ_status_1 BV:200 1=YES 8 Outside Air Relative Humidity R/W % 0 - 100 oarh_1 AV:11 9 Outside Air Temperature R/W OF -40 - 240 oat-1 AV:10 03 Power Exhaust Relay A R O=OFF pe_a_1 BV:72 1=0 N Power Exhaust Relay B R O=OFF pe_b_1 BV:73 1=0 N Power Exhaust Relay C R O=OFF pe_c_1 BV:74 1=0 N Relay 3 W1 Gas Valve 2 R O=OFF hs3_1 BV:76 1=0 N Relay 4 W2 Gas Valve 2 R O=OFF hs4_1 BV:77 1=0 N Relay 5 W1 Gas Valve 3 R O=OFF hs5_1 BV:78 1=0 N Relay 6 W2 Gas Valve 3 R O=OFF hs6_1 BV:79 1=0 N Requested Heat Stage R no heat—run-1 AV:20 unit 03 Return Air Relative Humidity R/W % 0 - 100 rarh_1 AV:13 4 Return Air Temperature R/W °F -40 - 240 rat-1 AV:13 5 Applied Rooftop Builder 3.29v Page 19 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Space Temp Offset Range R/W OAF 1 - 10 spto_rng_1 AV:13 9 Space Temperature R/W OF -40 - 240 spt_1 AV:13 7 Staged Gas LAT 1 R OF latlsgas_1 AV:15 0 Staged Gas LAT 2 R OF lat2sgas_1 AV:15 1 Staged Gas LAT 3 R OF lat3sgas_1 AV:15 2 Static Pressure R H2O static_press_1 AV:10 16 Static Pressure Reset R/W no 0 - 15 spreset_1 AV:15 unit 7 Static Pressure Setpoint R/W H2O 0-5 sa_static_stpt_1 AV:30 50 Supply Air Reset R O=OFF modesars_1 BV:93 1=O N Supply Air Setpnt. Reset R/W OAF 0-20 sasprset_1 AV:15 8 Supply Air Setpoint R/W OF 45 - 75 sa_temp_stpt_1 AV:30 07 Supply Fan Relay R O=OFF sfan_rly_1 BV:94 1=O N Supply Fan Status Switch R/W O=OFF sfs_1 BV:95 1=O N Supply Fan VFD Speed R % 0 - 100 sf_vfd_output_1 AV:20 50 System Cooling Demand Level R no cool_demand_lev AV:90 unit el —I 06 System Demand Limiting R O=INACTIVE dem_Imt_act_1 BV:3 1=ACTIVE System Heating Demand Level R no heat_demand_lev AV:90 unit el —I 36 System OAT Master R OF mstr_oa_temp_1 AV:80 001 Thermostat G Input R/W O=OFF g_input_1 BV:102 1=O N 1 Thermostat W1 Input R/W O=OFF w1_input_1 BV:101 1=O N 9 Thermostat W2 Input R/W O=OFF w2_input_1 BV:102 1=O N 0 Thermostat Y1 Input R/W O=OFF y1_input_1 BV:101 1=O N 7 Thermostat Y2 Input R/W O=OFF y2_input_1 BV:101 1=O N 8 Applied Rooftop Builder 3.29v Page 20 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unoccupied Cool Mode End R OF uccl_end_1 AV:16 8 Unoccupied Cool Mode Start R OF ucclstrt_1 AV:16 9 Unoccupied Heat Mode End R OF ucht_end_1 AV:17 0 Unoccupied Heat Mode Start R OF uchtstrt_1 AV:17 1 Vent Reheat RAT Offset R/W OAF 0-8 dhvraoff_1 AV:18 3 Vent Reheat Setpoint R/W OF 55 - 95 dhvht_sp_1 AV:18 4 Vent Reheat Setpt Select R/W no 0-1 dhvhtcfg_1 AV:18 unit 5 User Defined Analog 1 R/W no user_analog_1_1 AV:29 unit 01 User Defined Analog 2 R/W no user_analog_2_1 AV:29 unit 02 User Defined Analog 3 R/W no user_analog_3_1 AV:29 unit 03 User Defined Analog 4 R/W no user_analog_4_1 AV:29 unit 04 User Defined Analog 5 R/W no user_analog_5_1 AV:29 unit 05 User Defined Analog 6 R/W no user_analog_6_1 AV:29 unit 06 User Defined Analog 7 R/W no user_analog_7_1 AV:29 unit 07 User Defined Analog 8 R/W no user_analog_8_1 AV:29 unit 08 User Defined Analog 9 R/W no user_analog_9_1 AV:29 unit 09 User Defined Analog 10 R/W no user_analog_10_ AV:29 unit 1 10 User Defined Analog 11 R/W no user_analog_11_ AV:29 unit 1 11 User Defined Analog 12 R/W no user_analog_12_ AV:29 unit 1 12 User Defined Analog 13 R/W no user_analog_13_ AV:29 unit 1 13 User Defined Analog 14 R/W no user_analog_14_ AV:29 unit 1 14 User Defined Analog 15 R/W no user_analog_15_ AV:29 unit 1 15 User Defined Analog 16 R/W no user_analog_16_ AV:29 unit 1 16 Applied Rooftop Builder 3.29v Page 21 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM User Defined Analog 17 R/W no user_analog_17_ AV:29 unit 1 17 User Defined Analog 18 R/W no user_analog_18_ AV:29 unit 1 18 User Defined Analog 19 R/W no user_analog_19_ AV:29 unit 1 19 User Defined Analog 20 R/W no user_analog_20_ AV:29 unit 1 20 Setpoint Adjustment Enable R/W O=DISABLE stpt_adj_enable_ BV:6 1=ENABLE 1 ZS CO2 Sensor Valid Status R 0=N/A zs_co2_valid_1 BV:203 1=VALID/CON N EC TED ZS Temp Sensor Valid Status R 0=N/A zs_sen_valid_1 BV:201 1=VALID/CON N EC TED ZS Thermostat Config Alarm R O=NORMAL zs_sen_alm_1 BV:200 1=ALARM User Defined Binary 1 R/W O=OFF user_binary_1_1 BV:291 1=0 N 1 User Defined Binary 2 R/W O=OFF user_binary_2_1 BV:291 1=0 N 2 User Defined Binary 3 R/W O=OFF user_binary_3_1 BV:291 1=0 N 3 User Defined Binary 4 R/W O=OFF user_binary_4_1 BV:291 1=0 N 4 User Defined Binary 5 R/W O=OFF user_binary_5_1 BV:291 1=0 N 5 User Defined Binary 6 R/W O=OFF user_binary_6_1 BV:291 1=0 N 6 User Defined Binary 7 R/W O=OFF user_binary_7_1 BV:291 1=0 N 7 User Defined Binary 8 R/W O=OFF user_binary_8_1 BV:291 1=0 N 8 User Defined Binary 9 R/W O=OFF user_binary_9_1 BV:291 1=0 N 9 User Defined Binary 10 R/W O=OFF user_binary_10_1 BV:292 1=0 N 0 User Defined Binary 11 R/W O=OFF user_binary_11_1 BV:292 1=0 N 1 User Defined Binary 12 R/W O=OFF user_binary_12_1 BV:292 1=0 N 2 User Defined Binary 13 R/W O=OFF user_binary_13_1 BV:292 1=0 N 3 User Defined Binary 14 R/W O=OFF user_binary_14_1 BV:292 1=0 N 4 Applied Rooftop Builder 3.29v Page 22 of 51 BACnet Communication Option Points List for ID# 1-4 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM User Defined Binary 15 R/W O=OFF user_binary_15_1 BV:292 1=0 N 5 User Defined Binary 16 R/W O=OFF user_binary_16_1 BV:292 1=0 N 6 User Defined Binary 17 R/W O=OFF user_binary_17_1 BV:292 1=0 N 7 User Defined Binary 18 R/W O=OFF user_binary_18_1 BV:292 1=0 N 8 User Defined Binary 19 R/W O=OFF user_binary_19_1 BV:292 1=0 N 9 User Defined Binary 20 R/W O=OFF user_binary_20_1 BV:293 1=0 N 0 Element Communications R O=COMM comm_lost_alm_ BV:15 Alarm NORMAL 1 1=COMM LOST Cir B Suction Pressure R psig suction_press_b_ AV:16 1 04 Use Linkage R/W 0=NO use_linkage_1 BV:260 1=YES 5 Equipment Touch reset linkage R/W 0=NO et —reset —as —link— BV:512 Alarm 1=YES 1 3 System Space Temperature R OF system_spt_1 AV:19 02 System Space RH R %rh system_rh_1 AV:19 04 System Space AQ R ppm system_aq_1 AV:19 03 Maximum Damper Position R/W % 0 to 100 max_dmpr_pos_1 AV:30 52 Minimum Damper Position R/W % 0 to 100 min_dmpr_pos_1 AV:30 53 Maximum Reset R/W inH max—reset-1 AV:30 20 54 Controlling Static Pressure R inH ct_sa_static_stpt_ AV:30 Setpoint 20 1 55 Static Pressure Reset Enable R/W 0 = DISABLE st_pr_rst_en_1 BV:305 1 = ENABLE 1 ODF VFD-A Actual Speed R % ova_spd_1 AV:45 ODF VFD-B Actual Speed R % ovb_spd_1 AV:46 Outdoor VFD Enable R �T 0=NO ov ena 1 BV:47 1=YES Applied Rooftop Builder 3.29v Page 23 of 51 ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID 9,10 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.68 Page 24 of 51 Unit Report For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Model: 50VT-C36--- 3-TP Unit Size:36 (3 Tons) Volts -Phase -Hertz: 208-1-60 Heating Type: Heat Pump Duct Cfg:Horizontal Supply / Horizontal Return Unit Configuration Tin -Plated Indoor Coil Hairpins Warranty Information 1 year warranty on parts 5 yearwarranty on compressor No optional warranties were selected. Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 4' 0.25„ Unit Width:_ 3' 8.1875" Unit Height: 4' 0.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 387 lb NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number IDescription Quantity 50VT-C36--- 3-TP IRooftop Unit 2 Packaged Rooftop Builder 1.68 Page 25 of 51 Certified Drawing for ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM i 1 iJ - 1.1!lIIIC:77]llllllll,- t�fflflrrirlll!!i I {I4141144.1:1515 E;,'.9Pi4Tfl1lFIJ R � o � D9A]N O.ITL[T I 7JC' C}t.x] DE[, 1328.61 A 4-�16 [•127.I] LEFT SIDE NEW UTODO9 COIL IMDWR COIL TOP VEW FRONT VEIN ® m®ova ®®®®®® RLDI.B D CIEXmm 70 FNR c�um • RLDI.B D CIEXmm 70 FNR c�um • INCHES [NMI R CF N'T .....................�...�. 1 AT ..11 [3S3.F1 SIDE OPPCSLTE OI.7, .......... .........�...�...�.... BOTTOM OF LXI1................�...�...�....... ....,1N [365. E] S [0.0] ELECTRICAL PANEL. ........................ ......... NM FAMED OLEMROM INCHES [WWI 6ETMEEN .I NI is. GONER HIRTGY 970E .,. uXIT AXC lX SRCUX CEO SHIRT P.Fx=ES, ... .... 12 [1866. E] uXIT AAC ALxv OR C_N EH HALLS AMO OTACM u,mkC :LXFACES, PmNE? ENTRY SIDE ...................... 12 [1066.81 BEIM ClEAR6RDE FOR OeAln MD aF N= EVAP CLiIL A•;:CESS $[PE INCHES LMM] '11, ENTI' SIDE ........... ... ..................... .. Ix [1066.d] L ESCEPT FOF XEC REWIREMEXT51 L.IT TOP ........................ ............... ........Ifl [9t19.2] SIDE OPPOSITE DUCTS .............................. DUCTPAMEL............................................... ........ 31 12 1301.E1- •MINIMI/1 DISTAMCES:LF HYLT IS PLACED LES& THAN 12 L3CI.C7 FMDM 'MALL $YSTEM, THEM S3STEW PER FOMMAMCE NANBE CDMPROMI SEP. n r.r N<Tn.e r. 11 — TN .. RIOW SSE VIEW REAR VEIN 5DVT500411 Packaged Rooftop Builder 1.68 Page 26 of 51 Performance Summary For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number:50VT-C36--- 3-TP ARI SEER: 14.00 Base Unit Dimensions Unit Length: 48.3 in Unit Width: 44.2 in Unit Height: 48.8 in Base Unit Weight (Does not include any accessories): 387 lb Unit Unit Voltage -Phase -Hertz: 208-1-60 Air Discharge: Horizontal Fan Drive Type: Direct Actual Airflow: 1261 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB: 60.5 F Evaporator Leaving Air WB: 58.5 F Evaporator Leaving Air Enthalpy:_ 25.37 BTU/Ib Net Cooling Capacity: 34.41 MBH Net Sensible Capacity: 26.61 MBH Total Unit Power Input: 2.99 kW Coil Bypass Factor: 0.054 Heating Performance Outdoor Ambient Temperature: 47.0 F Entering Air Indoor Coil DB: 70.0 F Leaving Air Indoor Coil DB: 95.4 F Total Heating Capacity: 34.57 MBH Integrated Heating Capacity: 34.57 MBH Heating Power Input: 2.74 kW Supply Fan External Static Pressure- 0.50 in wg Options / Accessories Static Pressure Wet Coil: 0.10 in wg Total Application Static (ESP + Unit Opts/Acc.): 0.60 in wg Fan Power: 0.51 BHP Fan Motor Size, hp: 1/2 NOTE: High Motor Speed, Horz Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Minimum Voltage: 197 Maximum Voltage: 253 Compressor RLA: 16.7 Compressor LRA: 79 Outdoor Fan FLA (ea): 1 Indoor Fan Motor FLA: 3.8 Power Supply MCA: 25.8 Power Supply MOCP (Fuse or HACR): 40 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Packaged Rooftop Builder 1.68 Page 27 of 51 Performance Summary For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Acoustics Sound Rating: 74.0 db Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz NA NA NA 125 Hz NA NA 61.9 250 Hz NA NA 63.3 500 Hz NA NA 58.9 1000 Hz NA NA 59.9 2000 Hz NA NA 58.7 4000 Hz NA NA 56.2 8000 Hz NA NA 52.4 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 2. Horizontal distance from unit to receiver: 50.0 3. Receiver height above ground:_ 5.7 4. Height of obstruction:0.0 5. Horizontal distance from obstruction to receiver: 0.0 6. Horizontal distance from unit to obstruction: 0.0 Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 0.0 61.9 63.3 58.9 59.9 58.7 56.2 52.4 68.3 Lw B - 26.2 45.8 54.7 55.7 59.9 59.9 57.2 51.3 65.2 LwA C 0.0 29.5 30.9 26.5 27.5 26.3 23.8 20.0 35.9 L D - 26.2 13.4 22.3 23.3 27.5 27.5 24.8 18.9 32.8 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed Packaged Rooftop Builder 1.68 Page 28 of 51 Performance Summary For ID 9,10 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Packaged Rooftop Builder 1.68 Page 29 of 51 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM ID 14 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.68 Page 30 of 51 Unit Report For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Unit Parameters Unit Model: 50VT-C30--- 3-TP Unit Size: 30 (2-1/2 Tons) Volts -Phase -Hertz: 208-1-60 Heating Type: Heat Pump Duct Cfg:Horizontal Supply / Horizontal Return Unit Configuration Tin -Plated Indoor Coil Hairpins Warranty Information 1 year warranty on parts 5 yearwarranty on compressor No optional warranties were selected. Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 4' 0.1875" Unit Width: 2' 8.625„ Unit Height: 4' 3.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 351 lb NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number IDescription Quantity 50VT-C30--- 3-TP IRooftop Unit 2 Packaged Rooftop Builder 1.68 Page 31 of 51 Certified Drawing for ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM I •.- CE. I 1E20 r] LEFT SIDE VIEW u ra . . . . . . . . . . r � nN s� s m INDOOR COIL \ -OMCOO ,OIL TOP VIEW 11221.0I FRONT VIEW WLYWIlO 020m TO C NIVPNI • NKL INCHES [W] III OF UM [T .. 11 [S51 i] OIICF S]GE BF DWIF 510E (I'MITE DUCTS .. 2 ISO 81 .. 1r [555I" ROTFON M 1%T .. .. b [b b] ELECTRICAL PANEL....... .. .... .. ...... 3N 1111.4] IR L1.51flNI1 A INCHES [NMI BETWEEN UNIT$, N$ P ENTP.1 SIDE. . DNIT A31D DN6R0. MDE:S. PONEN ENTW1' S]bE......... ... ..It [N96N.8] 56 [}I r.O] 000 AEG BLOCN OP. CONC;EFE TALL$ AN0 1R1HER SA0DN8E8 SNRFAC ES. P.AE> EnTPr SIDE ......... ...........IP [1866.8] WEOM C ENRAIE FOR OPEF I N AND BHP M INCHE$ [MI1] ENAP, COIL MCE$$ $IG[ .. ... .......... 36 [911, b] POWEA INIA E' SIDE...... .. ........................R [10N6.R7] I EECEPT Fik NEC REDBIRENEM: UNIT Fop.. .. .. I..,............ ......,MR SLOE DMITE DUCTS .. ... ... .... .... ... ....... 3$ 1114.6 DUCT PANEL ............. .. ............................ 12 [GR1.87� -MI NINNN OISTAELES:IF 'IT IS PLACE? LESS "' 12 r. HALL SRSiEM,THIN 5*STEM PEPFO+NAN[E N150E cow"YISEN. DIMENSIONS IN II ARE IN NILLINETER$ i PONER EXTR} 15-718 1401.21 1 8},2]121 2-13f16 1166. T] Q` i------------ �IIIIIIIIIIIIIIIIIIIII IIIIIIIIIII�IIIIIIII7 �rr0 0'' [ww E���� w 3-R+N6 3fN6 G.E1 C41.3] G1& t] O]A, HOLE )-}1N6 E8 I, 3] 1-11116 [122.2] i0NTE0L EWTOi ACAL 4-P18 21 -5f8 U-If6 [250.8] [549.3] 1250.61 REAR VIEW RIGHT 9DE VIEW 50VT50041C _ Packaged Rooftop Builder 1.68 Page 32 of 51 Performance Summary For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Part Number:5OVT-C30--- 3-TP ARI SEER: 14.00 Base Unit Dimensions Unit Length: 48.2 in Unit Width: 32.6 in Unit Height: 51.8 in Base Unit Weight (Does not include any accessories): 351 lb Unit Unit Voltage -Phase -Hertz: 208-1-60 Air Discharge: Horizontal Fan Drive Type: Direct Actual Airflow: 1054 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB: 60.8 F Evaporator Leaving Air WB: 58.5 F Evaporator Leaving Air Enthalpy:_ 25.37 BTU/Ib Net Cooling Capacity: 28.77 MBH Net Sensible Capacity: 21.88 MBH Total Unit Power Input: 2.50 kW Coil Bypass Factor: 0.044 Heating Performance Outdoor Ambient Temperature: 47.0 F Entering Air Indoor Coil DB: 70.0 F Leaving Air Indoor Coil DB: 95.1 F Total Heating Capacity: 28.55 MBH Integrated Heating Capacity: 28.55 MBH Heating Power Input: 2.13 kW Supply Fan External Static Pressure- 0.25 in wg Options / Accessories Static Pressure Wet Coil: 0.06 in wg Total Application Static (ESP + Unit Opts/Acc.): 0.31 in wg Fan Power: 0.37 BHP Fan Motor Size, hp: 1/2 NOTE: High Motor Speed, Horz Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Minimum Voltage: 197 Maximum Voltage: 253 Compressor RLA: 14.1 Compressor LRA: 73 Outdoor Fan FLA (ea): 0.7 Indoor Fan Motor FLA: 3.8 Power Supply MCA: 22.1 Power Supply MOCP (Fuse or HACR): 35 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Packaged Rooftop Builder 1.68 Page 33 of 51 Performance Summary For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM Acoustics Sound Rating: 75.0 db Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz NA NA NA 125 Hz NA NA 52.7 250 Hz NA NA 53.0 500 Hz NA NA 57.9 1000 Hz NA NA 58.7 2000 Hz NA NA 54.8 4000 Hz NA NA 52.2 8000 Hz NA NA 43.2 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 2. Horizontal distance from unit to receiver: 50.0 3. Receiver height above ground:_ 5.7 4. Height of obstruction:0.0 5. Horizontal distance from obstruction to receiver: 0.0 6. Horizontal distance from unit to obstruction: 0.0 Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 0.0 52.7 53.0 57.9 58.7 54.8 52.2 43.2 63.5 Lw B - 26.2 36.6 44.4 54.7 58.7 56.0 53.2 42.1 62.3 LwA C 0.0 20.3 20.6 25.5 26.3 22.4 19.8 10.8 31.1 L D - 26.2 4.2 12.0 22.3 26.3 23.6 20.8 9.7 29.9 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed Packaged Rooftop Builder 1.68 Page 34 of 51 Performance Summary For ID 14 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 08:13AM that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Packaged Rooftop Builder 1.68 Page 35 of 51 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan ID 11 Submittal Cover Sheet Unit Report Performance Summary Report Acoustic Summary Certified Drawings Residential Carrier Products Bldr 1.31 Page 36 of 51 Unit Report For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan r=i Outdoor Unit Parameters Unit Model: 25HHA Unit Size:2.5 Tons (Size 30) Voltage: 2081230-1-60 V-Ph-Hz Indoor Coil Parameters Unit Model: FV4C Unit Size:Size 002 (18 - 36,000 Btuh) Cabinet Insulation:Single-piece cabinet with 1-in. super thick insulation Voltage:208-1-60 V-Ph-Hz Refrigerant Type: Puron Heating Size: No Heat Outdoor Unit Dimensions and Weight Indoor Coil Dimensions and Weight Unit Length: 37.125 in Unit Length: 22.0625 in Unit Width: 17.0625 in Unit Width: 17.625 in Unit Height: 44.5 in Unit Height: _42.6875 in Unit Shipping Weight: 226. lb Unit Shipping Weight: 135. lb RESIDENTIAL APPLICATIONS This warranty is to the original purchasing owner and subsequent owners only to the extent and as stated in the Warranty Conditions and below. The limited warranty period in years, depending on the part and the claimant, is as shown in the table below. Limited Warranty Years Item Original Owner Subsequent Owner Parts 10* or 5 5 Compressor 10* or 5 5 "If properly registered within 90 days of original installation, otherwise 5 years (except in California and Quebec and other jurisdictions that prohibit warranty benefits conditioned on registration). See Warranty Conditions below. OTHER APPLICATIONS The warranty period is five (5) years on the compressor, and one (1) year on all other parts. The warranty is the original owner only and is not available for subsequent owners. Ordering Information Part Number Description Quantity Outdoor Unit 25HHA43OA003 Performance Series Heat Pump with Puron 2.5 Tons Cooling 1 14 SEER @ ARI Conditions Indoor Coil FV4CNF002L00 FV4C Performance Series Fan Coil with Puron 2 Tons Cooling 208/230-1-60 1 Single -piece cabinet with 1-in. super thick insulation Aluminum The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 37 of 51 Unit Report For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Residential Carrier Products Bldr 1.31 Page 38 of 51 Performance Summary For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan System: 25HHA/FV4C System Quantity: 1 Altitude: 0.0 Linear Pipe Length: 0.0 COP @ 47 F: 3.92 COP @ 17 F: 2.58 SEER @ ARI Conditions:_ 14.0 EER @ ARI Conditions: 12.0 HSPF @ ARI Conditions:_ 8.2 System Performance Actual Clg Airflow:_ 1000.0 Standard Clg Airflow: 1000.0 Total Net Clg Capacity: 28.00 Net Sensible Clg Capacity: 21.77 Htg HP Capacity: 28.00 Htg HP Integrated Capacity: 28.00 Heating HP Compressor Power: 2.10 Total System Power: 2.33 System Parameters Outdoor Unit Parameters Unit Model: 25HHA430A003 Unit Size (Nominal): _2.5 Tons (Size 30) Voltage: 2081230-1-60 V-Ph-Hz Clg Ent Air DB Ambient: 95.0 °F Htg Ent Air DB Ambient: 47.0 °F CFM CFM MBH MBH MBH MBH kW kW Indoor Coil Parameters Unit Model: FV4CNF002L00 Unit Size (Nominal):Size 002 (18 - 36,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Ent Air DB: 80.00 °F Ent Air WB: 67.00 °F Ent Enthalpy: 31.44 BTU/lb Lvg Air DB: 59.84 °F Lvg Air WB: 58.28 °F Lvg Enthalpy: 25.22 BTU/lb Htg Ent Air DB: 70.0 °F Htg Lvg Air DB: 95.9 °F Heating Size (Nominal): No Heat Total External Static Pressure: 0.50 in wg Clg Coil Note:***Airflow adjusted to high (400 cfm/ton). Electrical Data Outdoor Electrical Data Indoor Electrical Data: Unit Voltage: 2081230-1-60 V-Ph-Hz (For units with no factory installed electric heaters) Fan Motor FLA: 1.20 Amps Unit Voltage: 208-1-60 V-Ph-Hz MCA: 17.2 Amps Unit FLA: 4.3 Amps Max Fuse: 30 Amps Unit MCA: 5.4 Amps Operating Range Min: 197 V Unit MOCP: 15.0 Amps Operating Range Max: 253 V Unit Min Wire Size: 14.0 Compressor RLA:_ _12.8 Amps Unit Fuse/Ckt Bkr Amps: 15.0 Amps Compressor LRA:_ 64.0 Amps Motor HP: 1/2 HP Notice: Indoor Elect. data is for 208-1-60 voltage The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 39 of 51 Acoustic Summary For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Unit Parameters: Unit Model: 25HHA Unit Size:2.5 Tons (Size 30) Variations: Standard Octave Band Center Frequency, Hz 125 250 500 1 k 2k 4k 8k dBA Sound Power,dB 58.0 61.0 64.0 66.5 64.0 63.5 57.0 1 A -Wei hted Sound Power, dBA 1 72.0 Indoor Coil Parameters: Unit Model: FV4C Unit Size:_Size 002 (18 - 36,000 Btuh) Cabinet Insulation: Single -piece cabinet with 1-in. super thick insulation Octave Band Center Frequency, Hz 1 63 1 125 250 500 1 k 2k I 4k Sound POWer,d6 1 67.0 1 63.0 59.0 56.0 54.0 52.0 48.0 The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 40 of 51 Certified Drawing For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Model Unit Model: 25HHA Unit Size: 2.5 Tons (Size 30) Voltage: 208/230-1-60 V-Ph-Hz SEER: 14 PartNumber: 25HHA43OA003 1. RE9UIRE0 LLEIIIIM WITH (OEL FACING WALL; .ALLOW b" MIN "'A. NLE 9R EBIL $IDE ANO [GIL Epp ARC 36. MIS CLEARANCE ON XPRESSOR EAO AND FAN SIDE WITH FAN FAC..ING WALL; ALLOH B' A1IN F.LEARAKE ON F" SIDE AND COIL END FHD :5" MIa CLEARANCE ON CGLSPRE33Oq E4O AAIp COIL SLOE WITH MULTI ¢NIT ATPLTCATION. ARRANGE UNITS 50 9I$CHARGE OF ONE DOES NOT E'NTP INLET OF ANOTHER 4INIUUN OUTDOOR OPERATING AMBEENT IN COOLING WOOF IS 'S"F. MAW. IP5°F. SERIEai DE9IGAATIGN IS THE 13TH POSITION OF THE UNIT NODEL NUNKE1. CENTER OF GRAVITY& ALL PIMERSI046 AdE IN "INCHES' UNLESS NOTED �--FIELD POWE4 SUPPLY CONN- / HOLE SIZE$ 4RgYICED: R1d'-112"THAO€ t / 3f16"-3FA"TRADE 3!8'-1'"TRADE Shipping Dimensions and Weights Outdoor Unit Height 40.13 in Width 20.50 in Length 50.50 in Operating Weight 196. Ib Shipping Weight 226.Ib Dimensions A B C D E F I G K L M N P 37.13 inj 44.50 inj 17.06 inj 18.44 inj 30.50 inj 19.63 inj 29.13 inj 8.13 inj 15.88 inj 0.75 inj 3.38 inj 5.50 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 41 of 51 Certified Drawing For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 1 [„ am ' -NIT CCIh:k ECTIOh 5IM Ue TION: 918 '� 074 - SF8' I 0. SWEAT 09P d D.iS - 31 9' I H 5F'E AT dA THRV 060 - �!&" I+WEFT LIO".ID: 3!D' I.D. SWEAT CCNOENSATE. 31n' FEE t DIS O""T OR _ FIRC UIT HRE4KEN LCCA TIOW 8" _ LOWE N, 111T1r•L, A ELL I� HEATED _— ACPF45 VANF; 4U.M ITTINc A NEL --LIDO ID LIRE COH NEi,TI01 --StCTIOS LINE tOWAUTION ,f " 11�„ FILTEP ACCE5i "EL SLOPE COIL DETAILS CQNNELTION LOCATION5 SHOWN INLET AIF F6EFT APPL CA IONS FRUUT ''iIEVi ,HIIWI nITH --OIL ET -IL-, ' 1:"E"TI'±1 L-,_ ,.TI,,11 F'' F 'FL;), H. .R I; ;:LI.%.a T1 a1 Indoor Coil Unit Model: FV4C Unit Size:Size 002 (18 - 36,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Cabinet Insulation:Single-piece cabinet with 1-in. super thick insulation PartNumber: FV4CNF002L00 FCR HI:.H 161-Ts;.-,E .•.E'; .IrItij ROTE. r SERIES BES IC.AATI OY IS THE 11TH POSITION ".F ..'NIT 'R ,D. T R BEA E ALL UINE4S10NS ARE IN "INCHES' 4NLESS NOTED, F �E I4 !` :+ U:n-e^LT­.E IT:P.L WIRIAc .1R• 7 1 1 A ALTERAATE- 7 18 'DIA G c FOR LOW VULT4GE CONTROL IAI �;I NU IT A A FCE53 PANEL CONFI: F:!:+ SLOPE C()ILS DOWNFLDS OR HOA I' aIGHT AYvLD:ATIcw A%0 "A" COIL', DOWNFLOW ArRLIGATI "•a NOTE- AL LIW Z� FROM FRONT FOP. SERVILE 2i 1116' 10 31t6" 97' �r3' `1" flUT LET -AIR 3!d Y 1 TERN ATE T+8'•1 3132" 2'OIA. N. R. 'S N OTE NODULAR FOw HI OH VOLTAGI UNITS WILL HAVE PbWER WIRII A T91O-PIECE pFrLl TE aI RE CAL9INET OPTION AL FIELD CONVERTED FFIGHT SIDE RETURN OPENING 15LORE FOIL UNITS ONL7.1 � H FU i RODULAR UNITS ,NI16 19 Yif" ,,;.- RIGHT SIDE VIEW SNLET ATR Dimensions and Weights Indoor Coil Height 42.69 in Width 17.63 in Length 22.06 in Shipping Weight 135.lb Dimensions A B C D E F G H J 42.69 inj 17.63 inj 15.75 inj 15.63 inj 10.75 in -- -- --I The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 42 of 51 Certified Drawing For ID 11 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan + HOPI[ONTAL MOUNT LOCATIONS - DIMPLES PROVIDED IN TOP PANEL, AND DACH OF WINET IN CAOINET 50TTCM. HOLES PROVIDED 1W OIA. HORIIONTAL HA.IGINO HARDWARE TO 9E FIELD SUPPLIED, PRIMARY DRi SECONDARY DRAI T°vj S ir8" TYP+ 7 N" HORIZ. LEFT (AS SHI'PEG,' SECONDARY PRIMARY DRAI 1131161, TYP< 51 16' TP* 2 TYP, i2 PLACE$), UPFLOW (AS SHIPPED) 6' TYP. PLACES) sINFL M r7 9116' TYP, I2 PLACES4 " TYP. t PLACES)ri r , J '� F a 31a° G 4 1116' --�E:DMDARY DRAIN PRIMARY DRAIN 5)16, iYP.+ ECONDANY DRAIN PRIMARY DRA14T C I" TYP. " 1+6 El4 12 PLACESIt I W, IEIo' irls" T,,P, Silo' I+2" (A '',LACESI+ ;R' TYP. r a DOOFLOIN Pr (FIELD CONVERTED) HORIZ. RIGHT TYPh11 (FIELD CONVERTED) A -COIL Indoor Coil Unit Model: FV4C Unit Size:Size 002 (18 - 36,000 Btuh) Voltage: 208-1-60 V-Ph-Hz PartNumber: FV4CNF002L00 The Product and Ratings Data in this program is subject to change at anytime and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 43 of 51 ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan ID 12 Submittal Cover Sheet Unit Report Performance Summary Report Acoustic Summary Certified Drawings Residential Carrier Products Bldr 1.31 Page 44 of 51 Unit Report For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan r=i Outdoor Unit Parameters Unit Model: 25HHA Unit Size:5 Tons (Size 60) Voltage: 2081230-1-60 V-Ph-Hz Indoor Coil Parameters Unit Model: FV4C Unit Size:Size 006 (30 - 60,000 Btuh) Cabinet I nsulation:Modular with 1-in. super thick insulation Voltage: 208-1-60 V-Ph-Hz Refrigerant Type:Puron Heating Size: No Heat Outdoor Unit Dimensions and Weight Indoor Coil Dimensions and Weight Unit Length: 43.125 in Unit Length: 22.0625 in Unit Width: _17.0625 in Unit Width:_ 24.6875 in Unit Height: 44.5 in Unit Height: 59.1875 in Unit Shipping Weight: 288. lb Unit Shipping Weight: 207. lb RESIDENTIAL APPLICATIONS This warranty is to the original purchasing owner and subsequent owners only to the extent and as stated in the Warranty Conditions and below. The limited warranty period in years, depending on the part and the claimant, is as shown in the table below. Limited Warranty Years Item Original Owner Subsequent Owner Parts 10* or 5 5 Compressor 10* or 5 5 "If properly registered within 90 days of original installation, otherwise 5 years (except in California and Quebec and other jurisdictions that prohibit warranty benefits conditioned on registration). See Warranty Conditions below. OTHER APPLICATIONS The warranty period is five (5) years on the compressor, and one (1) year on all other parts. The warranty is the original owner only and is not available for subsequent owners. Ordering Information Part Number Description Quantity Outdoor Unit 25HHA46OA003 Performance Series Heat Pump with Puron 5 Tons Cooling 1 14 SEER @ ARI Conditions Indoor Coil FV4CNB006L00 FV4C Performance Series Fan Coil with Puron 6 Tons Cooling 208/230-1-60 1 Modular with 1-in. super thick insulation Aluminum The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 45 of 51 Unit Report For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Residential Carrier Products Bldr 1.31 Page 46 of 51 Performance Summary For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan System: 25HHA/FV4C System Quantity: 1 Altitude: 0.0 Linear Pipe Length: 0.0 COP @ 47 F: 3.70 COP @ 17 F: 2.60 SEER @ ARI Conditions:_ 14.0 EER @ ARI Conditions: 11.0 HSPF @ ARI Conditions:_ 8.2 System Performance Actual Clg Airflow:_ 2000.0 Standard Clg Airflow: 2000.0 Total Net Clg Capacity: 58.93 Net Sensible Clg Capacity: 46.71 Htg HP Capacity: 56.64 Htg HP Integrated Capacity: 56.64 Heating HP Compressor Power: 3.98 Total System Power: 4.91 System Parameters Outdoor Unit Parameters Unit Model: 25HHA460A003 Unit Size (Nominal): _5 Tons (Size 60) Voltage: 2081230-1-60 V-Ph-Hz Clg Ent Air DB Ambient: 95.0 °F Htg Ent Air DB Ambient: 47.0 °F CFM CFM MBH MBH MBH MBH kW kW Indoor Coil Parameters Unit Model: FV4CNB006L00 Unit Size (Nominal):Size 006 (30 - 60,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Ent Air DB: 80.00 °F Ent Air WB: 67.00 °F Ent Enthalpy: 31.44 BTU/lb Lvg Air DB: 58.37 °F Lvg Air WB: 57.77 °F Lvg Enthalpy: 24.89 BTU/lb Htg Ent Air DB: 70.0 °F Htg Lvg Air DB: 96.2 °F Heating Size (Nominal): No Heat Total External Static Pressure: 0.50 in wg Clg Coil Note:***Airflow adjusted to high (400 cfm/ton). Electrical Data Outdoor Electrical Data Indoor Electrical Data: Unit Voltage: 2081230-1-60 V-Ph-Hz (For units with no factory installed electric heaters) Fan Motor FLA: 1.45 Amps Unit Voltage: 208-1-60 V-Ph-Hz MCA: 33.4 Amps Unit FLA: 6.8 Amps Max Fuse: 50 Amps Unit MCA: 8.5 Amps Operating Range Min: 197 V Unit MOCP: 15.0 Amps Operating Range Max: 253 V Unit Min Wire Size: 14.0 Compressor RLA:_ 25.5 Amps Unit Fuse/Ckt Bkr Amps: 15.0 Amps Compressor LRA:_ 144.2 Amps Motor HP: 3/4 HP Notice: Indoor Elect. data is for 208-1-60 voltage The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 47 of 51 Acoustic Summary For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Unit Parameters: Unit Model: 25HHA Unit Size: 5 Tons (Size 60) Variations: Standard Octave Band Center Frequency, Hz 125 250 500 1 k 2k 4k 8k dBA Sound Power,dB 70.0 62.0 65.0 66.0 64.5 64.0 57.5 1 A -Wei hted Sound Power, dBA 1 74.0 Indoor Coil Parameters: Unit Model: FV4C Unit Size:_Size 006 (30 - 60,000 Btuh) Cabinet Insulation: Modular with 1-in. super thick insulation Octave Band Center Frequency, Hz 1 63 1 125 250 500 1 k 2k I 4k Sound POWer,d6 1 70.0 1 66.0 62.0 59.0 57.0 55.0 51.0 The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 48 of 51 Certified Drawing For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan Outdoor Model Unit Model: 25HHA Unit Size: 5 Tons (Size 60) Voltage: 208/230-1-60 V-Ph-Hz SEER: 14 PartNumber: 25HHA46OA003 1. RE9UIRE0 LLEIIII E5: WITH (OEL FACING WALL; .ALLOW b" MIN "'A. NLE 9R EBIL $I OE ANO [GIL Epp ARC 36. MIS CLEARANCE ON XPRESSOR EAO AND FAN SIDE WITH FAN FAC..ING WALL; ALLOH B' A1IN F.LEARAKE ON F" SIDE AND COIL END FHD :5" MIa CLEARANCE ON CGLSPRE33Oq E4O AAIp COIL SLOE WITH MULTI ¢NIT ATPLTCATION. ARRANGE UNITS 50 9I$CHARGE OF ONE DOES NOT E'NTP INLET OF ANOTHER 4INIUUN OUTDOOR OPERATING AMBEENT IN COOLING WOOF IS 'S"F. MAW. IP5°F. SERIEai DE9IGAATIGN IS THE 13TH POSITION OF THE UNIT NODEL NUNKE1. CENTER OF GRAVITY& ALL PIMERSI046 AdE IN "INCHES' UNLESS NOTED �--FIELD POWE4 SUPPLY CONN- / HOLE SIZE$ 4RgYICED: R1d'-112"THAO€ t / 3f16"-3FA"TRADE 3!8'-1'"TRADE Shipping Dimensions and Weights Outdoor Unit Height 40.13 in Width 20.50 in Length 50.50 in Operating Weight 258. Ib Shipping Weight 288.Ib Dimensions A B C D E F I G K L M N P 43.13 inj 44.50 inj 17.06 inj 18.44 inj 30.50 inj 19.63 inj 35.13 inj 8.50 inj 18.88 inj 0.88 inj 3.38 inj 5.50 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 49 of 51 Certified Drawing For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan 1 [„ am ' -NIT CCIh:k ECTIOh 5IM Ue TION: N'N '� 074 - SF$' I 0. SWEAT 09P d D.iS - 31 9' I H F'E AT QA THRN 060 - �!$" I +WEFT LIi]".ID: 3!D' I.D. SWEAT CCNOENSATE. 31n' FEE t DISCONNECT OR _ IDUIT HRE4KEN TIOW 8" _ _—BLOwEN, CONT'�L, a ELEcYRI. HEA TEU _— iCP F45 FLN F; ACCESS ITTINc A NEL --LIDO ID LIRE CAH NEi,TI01 --StCTIOS LINE CONNECTION -FILTEP ACCE5i :;'Ev iNv t��hEL INLET AIR FR IT '%IIEVi ,HIIW nITH --OIL DETAIL= ' 1:"E"TI'-H L-,_ ,.TI,',11 F'' R �'FLO, ; . H:•R I; :L I.%.a TI :. Indoor Coil Unit Model: FV4C Unit Size:Size 006 (30 - 60,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Cabinet Insulation: Modular with 1-in. super thick insulation PartNumber: FV4CNB006L00 NOTE. r SERIES DESIGkkTIOW IS THE 11TH R•15ITION ".F ..'NIT 'R5T. R,IWBEN E ALL UI4E4SI0NS ARE IN "INCHES' 4NLESS NOTED. f FCR NI:�H 1'GLT a[,E .•. E'; nI r Iti; LT E ' +'T:'.L wIRIyc w 1 74ftti' � • TOP V I P'N SLOPE COIL DETAILS CQNNECTION LOCATION5 SHOWN FOR UPFLUM OR RON I1. LEFT APPIE I CATIONS 7 1 1 A ALTIRIITE— H FOR LOW ' E CONTROL 4141NU IT A R1�>Q A CCE53 PANEL CONFI: F:!:+ SLOPE C()ILS DOWNFLOr OR HOA I' aIGHT AYvLD:ATIcw ANR "A" COIL', 110WNFLOW AFRLIGATI"a 14(,TE n,LLOYI Z" FR,]N FRONT FOR SERVILE 22 1116' `1" flUT LET -A.IR 3!d Y TERN 0.3E HI 3132" 2'D I.A. N. R. 'S F03 HIOH 4H VOLTAGE, -NOTE MODULATEUNITS WILL HAVE PbWER WIRII A T% -PIECE OvruSI TE aI I5E CA6INET OPTION AL FIELD CONVERTED RI-T SIDE RETURN OPENING 15LOFE FOIL UNITS ONLY.) � H NA% FO i Y9 RODU LdR UNITS g NI1 19 $if6 RIGHT SIDE VIEV SNLATR ET Dimensions and Weights Indoor Coil Height 59.19 in Width 24.69 in Length 22.06 in Shipping Weight 207.lb Dimensions A B C D E F G H J 59.19 inj 24.69 inj 22.75 inj 22.69 inj 25.25 in -- --1 34.06 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 50 of 51 Certified Drawing For ID 12 Project: Climatec - City of Santa Clarita 08/01/2022 Prepared By: Shawn Harlan + HOPItONTAL MOUNT LOCATIONS - DIMPLES PROVIDED IN TOP PANEL, AND DACH OF WINET IN CAOINET 50TTCM. HOLES PROVIDED 1W OIA. HORIIONTAL HA.IGINO HARDWARE TO 9E FIELD SUPPLIED, PRIMARY DRi SECONDARY DRAI T°vj S ir8" TYP+ 7 N" HORIZ. LEFT (AS SHI'PEG,' SECONDARY PRIMARY DRAI 1131161, TYP< 51 16' TP* 2 TYP, i2 PLACE$), UPFLOW (AS SHIPPED) 6' TYP. PLACES) sINFL M r7 9116' TYP, I2 PLACES4 " TYP. t PLACES)ri r , J '� F a 31a° G 4 1116' --�E:DMDARY DRAIN PRIMARY DRAIN 5)16, iYP.+ ECONDANY DRAIN PRIMARY DRA14T C I" TYP. " 1+6 El4 12 PLACESIt I W, IEIo' irls" T,,P, Silo' I+2" (A '',LACESI+ ;R' TYP. r a DOOFLOIN Pr (FIELD CONVERTED) HORIZ. RIGHT TYPh11 (FIELD CONVERTED) A -COIL Indoor Coil Unit Model: FV4C Unit Size:Size 006 (30 - 60,000 Btuh) Voltage: 208-1-60 V-Ph-Hz PartNumber: FV4CNB006L00 The Product and Ratings Data in this program is subject to change at anytime and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.31 Page 51 of 51 Carri� SUBMITTAL Project Santa Clarita - Public Works Corp Yard Date Monday, August 1, 2022 Shawn Harlan Table Of Contents Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan Residential Carrier Products Bldr 1.30 Page 2 of 10 ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan ID 41 - 2.5 Ton HP Split Submittal Cover Sheet Unit Report Performance Summary Report Acoustic Summary Certified Drawings Residential Carrier Products Bldr 1.30 Page 3 of 10 Unit Report For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan 1 f 9 Outdoor Unit Parameters Indoor Coil Parameters Unit Model: 25HHA Unit Model: FV4C Unit Size-----------------------2.5 Tons (Size 30) Unit Size: Size 003 (24-42,000 Btuh) Voltage:___________ 208/230-1-60 V-Ph-Hz Cabinet Insulation:Single-piece cabinet with 1-in. super thick insulation ------------------------------------------------------------------------------------------- Voltage: 208-1-60 V-Ph-Hz Refrigerant Type: Puron Heating Size: No Heat Outdoor Unit Dimensions and Weight Indoor Coil Dimensions and Weight Unit Length. 37.125 in Unit Length: 22.0625 in Unit Width: 17.0625 in Unit Width: 21.125 in Unit Height: 44.5 in Unit Height: 53.4375 in Unit Shipping Weight: 226. lb Unit Shipping Weight: 150. lb RESIDENTIAL APPLICATIONS This warranty is to the original purchasing owner and subsequent owners only to the extent and as stated in the Warranty Conditions and below. The limited warranty period in years, depending on the part and the claimant, is as shown in the table below. Limited Warranty (Years) Item Original Owner Subsequent Owner Parts 10* or 5 5 Compressor 10* (or 5) 5 *If properly registered within 90 days of original installation, otherwise 5 years (except in California and Quebec and other jurisdictions that prohibit warranty benefits conditioned on registration). See Warranty Conditions below. OTHER APPLICATIONS The warranty period is five (5) years on the compressor, and one (1) year on all other parts. The warranty is the original owner only and is not available for subsequent owners. Ordering Information Part Number Description Quantity Outdoor Unit 25HHA43OA003 Performance Series Heat Pump with Puron 2.5 Tons Cooling 1 14 SEER @ ARI Conditions Indoor Coil FV4CNF003L00 FV4C Performance Series Fan Coil with Puron 3 Tons Cooling 208/230-1-60 1 Single -piece cabinet with 1-in. super thick insulation Aluminum The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.30 Page 4 of 10 Unit Report For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan Residential Carrier Products Bldr 1.30 Page 5 of 10 Performance Summary For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan System Performance System: 25HHA/FV4C Actual Clg Airflow: 1000.0 CFM System Quantity: 1 Standard Clg Airflow: 1000.0 CFM Altitude: 0.0 ft Total Net Clg Capacity: 28.00 MBH Linear Pipe Length:_ 0.0 ft Net Sensible Clg Capacity:__________________21.77 MBH COP @ 47 F: 3.88 Htg HP Capacity: 27.60 MBH COP @ 17 F: 2.56 Htg HP Integrated Capacity. 27.60 MBH SEER @ ARI Conditions:_____________________ 15.0 Heating HP Compressor Power:_____________2.09 kW EER @ ARI Conditions: 12.5 Total System Power.- 2.24 kW HSPF @ ARI Conditions: 8.2 System Parameters Outdoor Unit Parameters Indoor Coil Parameters Unit Model:_______________________25HHA430A003 Unit Model:_______________________FV4CNF003L00 Unit Size (Nominal): 2.5 Tons (Size 30) Unit Size (Nominal): Size 003 (24 - 42,000 Btuh) Voltage: 2081230-1-60 V-Ph-Hz Voltage: 208-1-60 V-Ph-Hz Clg Ent Air DB Ambient: 95.0 °F Ent Air DB: 80.00 °F Htg Ent Air DB Ambient: 47.0 °F Ent Air WB: 67.00 °F Ent Enthalpy: 31.44 BTU/lb Lvg Air DB: 59.84 °F Lvg Air WB: 58.28 °F Lvg Enthalpy: 25.22 BTU/lb Htg Ent Air DB: 70.0 °F Htg Lvg Air DB: 95.6 °F Heating Size (Nominal): No Heat Total External Static Pressure:_______________0.50 in wg Clg Coil Note:***Airflow adjusted to high (400 cfm/ton). Electrical Data Outdoor Electrical Data Indoor Electrical Data: Unit Voltage:______ 208/230-1-60 V-Ph-Hz (For units with no factory installed electric heaters) Fan Motor FLA: 1.20 Amps Unit Voltage: 208-1-60 V-Ph-Hz MCA: 17.2 Amps Unit FLA: 4.3 Amps Max Fuse: 30 Amps Unit MCA: 5.4 Amps Operating Range Min: 197 V Unit MOCP: 15.0 Amps Operating Range Max: 253 V Unit Min Wire Size: 14.0 Compressor RLA:__ 12.8 Amps Unit Fuse/Ckt Bkr Amps: 15.0 Amps Compressor LRA: 64.0 Amps Motor HP: 1/2 HP Notice: Indoor Elect. data is for 208-1-60 voltage The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.30 Page 6 of 10 Acoustic Summary For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan Outdoor Unit Parameters: Unit Model: Unit Size: Variations: 25HHA 2.5 Tons (Size 30) Standard Octave Band Center Frequency, Hz 125 250 500 1 k 2k 4k 8k dBA Sound Power,dB 58.0 61.0 64.0 66.5 64.0 63.5 57.0 A -Weighted Sound Power, dBA 1 72.0 Indoor Coil Parameters: Unit Model:_____________ Unit Size: Cabinet Insulation:_____ --------------------------------------------------------------------------------------------------------------------------------- FV4C Size 003 (24 - 42,000 Btuh) Single -piece cabinet with 1-in. super thick insulation Octave Band Center Frequency, Hz 63 125 250 500 1 k 2k 4k Sound Power,dB 68.4 64.4 1 60.4 57.4 1 55.4 53.4 1 49.4 The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.30 Page 7 of 10 Certified Drawing For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan Outdoor Model Unit Model:__ Unit Size: Voltage:______ SEER: --------------- PartNumber:_ - 25HHA 2.5 Tons (Size 30) 208/230-1-60 V-Ph-Hz ----------------------------------------- 14 25HHA43OA003 REQUIRED CLE+1A!M WITH COIL FACING WALL; ALLOW 6" MIN CLEARANCE I, "IL SIDE AH6 COIL END AND 36" MIA CLEARANCE ON CO Edi'!� E'•' F•.4 IDE MITN FAN FACING WALL; ALLOW A' MIA CLEARANCE Fls [IIE A11D COIL END AN :v" MIA CLEARANCE ON CC—E ?• Ei0 AND COIL SIDE. WITH MULTI 6NIT ARPLICATEON.. ARR- E -IT. sO OISCHARCE OF ONE DOES NOT EKTER INLET OF ANOTHER; 4INIwuu .'.•-T (I UsTIv: `-"SIENT IN COOLIAC MORE IS `.` F h+%. : ' F SERIES DESIG"TIOt IS THE 13TH POSITION OF THE IINIT WODEL NUMBER. CENTER OF GRAVITY ALL DIMENSIO4.S A01 IN "INCHES' UNLESS NOTE) IELD POWER 50'0 CONN_ H.�LE $LIE$ °ROYIDED: 102"TRADE t ' 3116" 314"TRADE .ORS � 7t15' �. F� 378'-1 "Tq AOE Shipping Dimensions and Weights Outdoor Unit Height 40.13 in Width 20.50 in Length 50.50 in Operating Weight 196. lb Shipping Weight 226. lb Dimensions A B C D E F I G K L M N P 37.13 inj 44.50 inj 17.06 inj 18.44 inj 30.50 inj 19.63 inj 29.13 in 8.13 in 15.88 in 0.75 in 3.38 in 5.50 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.30 Page 8 of 10 Certified Drawing For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan W UNIT CC%",ECTION SIZES SUCTION: 018 d U24 - S!8' I.D. SWEAT 03D 4 036 - 31 4' I.D. SWEAT 042 THRU 06D - 11$" I.P. SWEAT LIQUID: 318• I.D. SWEAT CONDENSATE: 314' FPT 4ON EANER CONTROL, T RI€ HEATER PANEL ACCESS LINE CONNECTION LINE CONNECTION 10 ACCESS NOTE 1. SERIES DESIGNATION IS THE 14TH POSITION OF UNIT PRODUCT NUMBER 2. ALL DIMENSIONS ARE IN "INCHES' UNLESS NOTED. �IIB'. 1 3r 32' P' PIA. N-OA F ��R HIGH VOLTAGE �.ER WIRING i 71BFOR LOA. N.O. 1 If 8" `� + FOR LOLL VOLTAGE CONTROL MIRING �t' ne• SLOPE COIL DETAILS CDNN EC TION LOCATIONS SHOWN ----� FOR UP FLOW OR HORII. �� INLET AIF �` LEFT APPLICATIONS FRONT 'VIEW SHOWN WITH "A' COIL DETAILS €ONNECTION LOCATIONS FOR UPFLOW OR VPI(, APPLICATIONS Indoor Coil Unit Model: FV4C Unit Size: Size 003 (24 - 42,000 Btuh) Voltage: 208-1-60 V-Ph-Hz Cabinet Insulation:Single-piece cabinet with 1-in. super thick insulation PartNumber:______________________FV4CNF003L00 gum ALTERNATE 718'DI A.. N.O. FOR LOW VOLTAGE CONTROL WIRING INLET AIR A, A:;CE55 PANEL CONEIG,FOR SLJPE COILS i OWNFLOW OR H07'7 IIUHT APPLICATIONS AND "A" COILS 00W,FLOW APPLICATIONS 1 3; I -- tttttiiWER NOTE; ALLOW 21' FROM FRONT FOR SERVICE 11' ifs' �tOUTLET AIR 3f4" LTERNATE 7f8',1 3132",2'DIA. K.O.`5 EMODULAR : FOR HIGH VOLTAGE -NOTE WILL HAVE POWER WIRING A TWO-PIECE tlPFOSITE SIDE CABINET OPTIONAL FIELD CONVERTED RIGHT SIDE RETURN OPENING i SLOPE COIL UNITS ONLY) o � H NAx FO: 19, WODJLE.R UNITS 4PEI I HG 3 t9 tn G" s tr>• RIGHT SIDE VIEW INLET FIR Dimensions and Weights Indoor Coil Height 53.44 in Width 21.13 in Length 22.06 in Shipping Weight 150. lb, Dimensions A B C D E F G H J 53.44 ini 21.13 ini 19.25 ini 19.13 ini 19.19 ini 19.00 in The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.30 Page 9 of 10 Certified Drawing For ID 41 - 2.5 Ton HP Split Project: Santa Clarita - Public Works Corp Yard 08/01/2022 Prepared By: Shawn Harlan NaTES I CONDEWTE PAN DRAIN CAPS NqT SHOWN FOR CLOM ALL )INEH1I6HS OF IN 'IR{HEV [INLESS OTD Indoor Coil Unit Model:__ Unit Size:____ Voltage:_____ PartNumber:- PRINA91 HAI 5ECONDANw IRAI — 0 I 10 HORIN, LEFT I AS SH I PPEW PRIuhRr Phi tiECOMD RT PAI 113116' Lt � TIF" qr T+' 0 APPE± -------------------------------------------------- FV4C Size 003 (24 - 42,000 Btuh) 208-1-60 V-Ph-Hz FV4CNF003L00 SLOPE COIL ?111' TrP. aIRFLLhI iR PLACES)+ AIVL;W 7�ITrf. I "r PLAC ES!► 0 IHMARY aRAI �EtiOA'H" DRAIN T'fP * SECi�NpARY DNhIN — /' R I: PRIOAR+ DRAIN_,r ` Li 9116" ;� PLACES)* I� °LACES)+ 119�I4�- pUONFLOWI Nr (FIELD CONVEHTEI-I 17;3' .3 Ir4'I DO + � ;�F' W. HOP I I. MHT F I EL ) CONVERTER) The Product and Ratings Data in this program is subject to change at any time and without notice. Please refer to the latest product literature and the AHRI directory at www.ahridirectory.org for the most up-to-date information. Residential Carrier Products Bldr 1.30 Page 10 of 10 Carri� SUBMITTAL Project Santa Clarita - Central Park Maintenance Building Date Monday, August 1, 2022 Shawn Harlan Table Of Contents Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM ID 2 - 7.5 Ton Corn HP Split 3 Unit Report 4 Performance Summary 6 Acoustic Summary 10 Certified Drawing 12 Commercial Split Systems Builder 1.44 Page 2 of 14 ID 2 - 7.5 Ton Corn HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM ID 2 - 7.5 Ton Com HP Split Submittal Cover Sheet Unit Report Performance Summary Report Acoustic Summary Certified Drawings Commercial Split Systems Builder 1.44 Page 3 of 14 Unit Report For ID 2 - 7.5 Ton Corn HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM a Outdoor Unit Parameters Unit Quantity:____________ Unit Model: ----------------------------- Unit Size: Voltage: No. of DX Circuits:______ No. of Stages:___________ System Parameter System Quantity:_______ Refrigerant Type:_______ Compressor Quantity:__ Compressor Type:______ Std. Capacity Steps:____ No. of Outdoor fans: 1 ---------------------- ___ 38AUQ 7.5 Tons 460-3-60 V-Ph-Hz 1 --------------------------- Dual Stage 1 -------------------- PURON 1 _Hermetic 66,100 2 Indoor Unit Parameters Unit Model:____________ Unit Size:___ No. of Coils: Voltage: _40RUQ 7.5 Tons 1 460-3-60 V-Ph-Hz Outdoor Unit Dimensions and Weight Indoor Unit Dimensions and Weight Unit Length. 4' 11.4" Unit Length: 4' 1.0„ Unit Width: 3' 9.9" Unit Width: 2' 4.2" Unit Height: 3' 6.4" Unit Height: 4' 8.1„ Unit Shipping Weight: 470 lb Unit Shipping Weight: 385 lb Unit Operating Weight: 483 lb Unit Operating Weight:385 lb Warranty Information Outdoor (Note: for US & Canada only) First Year - Parts Only (Standard) Warranty Information Indoor (Note: for US & Canada only) First Year - Parts Only (Standard) NOTE: Please see Warranty Catalog 808-218 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity Base Unit - Outdoor 38AUQD08AOM6-OAOAO 1 Base Unit AI/Cu with Louvered Hail Guard Condensing Coil 1 Single Circuit Dual Stage Refrigerant Options 1 Service Options - None 1 Electrical Options - None 1 Packaging Options - Standard 1 Standard Electrical Mechanical Controls 1 Refrig Circ/Compressor Staging - Single Circuit/Dual Stage (size 07, 08, 12 only) 1 Base Unit - Indoor 40RUQA08T2A6-OAOAO 1 Commercial Split Systems Builder 1.44 Page 4 of 14 Unit Report For ID 2 - 7.5 Ton Corn HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM Base Unit Std Static, Std Eff Motor / Medium Drive 1 Cabinet Paint - None 1 2-Speed Fan Controller VFD 1 Accessories CRDISKIT001A00 12 Speed VFD display kit for Indoor Unit 1 Commercial Split Systems Builder 1.44 Page 5 of 14 Performance Summary For ID 2 - 7.5 Ton Com HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/20Z Prepared By: Shawn Harlan 03:09PN This system has a combined part load efficiency (IEER) that meets or exceeds the US DOE 2018 minimum cooling efficiency standards. Typical Liquid and Suction Line Sizing Pipe Length Liquid Line Size Suction Line Size 1 1/8 1 1/8 1 1/8 1 1/8 0 - 25 1/2 26 - 50 1/2 51 - 75 1/2 76 - 100 1/2 Outdoor Unit Parameters Unit Quantity: 1 PartNumber: 38AUQD08AOM6-OAOAO Unit Model: 38AUQ Unit Size: 7.5 Tons No. of DX Circuits: 1 Voltage: 460-3-60 V-Ph-Hz Clg Ent Air DB: 95.0 °F Htg Ent Air DB: 47.0 °F Outdoor Electrical Data Unit Voltage: 460-3-60 V-Ph-Hz Unit MCA: 18.0 Amps Unit MOCP. 30.0 Amps Total Compressor Power of Unit: NA Voltage Range Min. 414 V Voltage Range Max. 506 V Compressor RLA: 12.8 Compressor LRA: 100 Compressor Quantity: 1 Fan Motors Qty: 2 Fan Motor FLA: 0.8 Amps Notice: Outdoor unit elect. data is based on 460-3-60 *Single Circuit, Two -Stage Compressor Option Indoor Unit Parameters Pa rtN u mbe r: 40 RU QA08T2A6-OAOAO Unit Model: 40RUQ Unit Size: 7.5 Tons Coil Rows: 4 No. of Splits: 1 Voltage: 460-3-60 V-Ph-Hz Actual Airflow: 3000.0 CFM Standard Airflow: 3000.0 CFM Total Clg Cap.(Gross): 91.8 MBH Sensible Clg Cap.(Gross): 68.0 MBH Ent Air DB: 80.0 °F Ent Air WB: 67.0 °F Ent Enthalpy: 31.44 BTU/lb Lvg Air DB: 59.0 °F Commercial Split Systems Builder 1.44 Page 6 of 14 Performance Summary For ID 2 - 7.5 Ton Com HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PIV Lvg Air WB. 57.4 °F Lvg Enthalpy: 24.64 BTU/Ib Coil Bypass Factor. NA Heat Pump System Htg HP Capacity: 84.60 MBH Htg HP Integrated Capacity: 84.60 MBH Heating HP Compressor Power: 6.29 kW Htg Ent Air DB Temp: 70.0 °F Htg Lvg Air DB: 96.1 °F COP: (AHRI Conditions)- 3.3 Indoor Supply Fan ***Using 2-Speed Fan Controller (VFD) Indoor Unit External Static: 0.60 in wg Economizer Loss: 0.00 in wg Grille Loss: 0.00 in wg Plenum Loss: 0.00 in wg Acc. Heating Loss: 0.00 in wg Total Ext Static: 0.60 in wg Fan Speed: 759 RPM Fan Power: 1.12 BHP Fan Motor Max: 2.40 BHP Fan Motor FLA: 3.8 Amps Motor and Medium Static Drive Required. Selected Medium Static Drive Range: 733 - 949 RPM Indoor Electrical Data Unit Voltage: 460-3-60 V-Ph-Hz Unit MCA: 5.0 Amps Unit MOCP. 15.0 Amps Notice: Indoor unit elect. data is based on 460-3-60 Motor is rated for tri voltage 208/230/460-3-60V. Factory wired for 460-3-60 application. Acoustics Sound Power Levels, db re 10E-12 Watts A -Weighted Outdoor Unit (dB) Indoor Unit (dB,Ducted) Total Level 82.4 88.4 63Hz 60.6 69.1 125Hz 69.6 75.2 250Hz 71.7 78.7 500Hz 77.1 83.1 1000Hz 77.7 82.3 2000Hz 73.5 81.5 4000Hz 71.2 77.3 8000Hz 64.31 NA Sound Message Sound for auq0081 Sound for R0O008 Acoustic Note: 1. 38AUZ/D/Q units sound ratings are in accordance with AHRI 270-2008 - Sound Rating of Outdoor Unitary Equipment. 2. 40RU units sound ratings are in accordance with AHSRAE 1987 HVAC Systems and Applications handbook. 3. The acoustic center of the unit is located at the geometric center of the unit. Commercial Split Systems Builder 1.44 Page 7 of 14 Performance Summary For ID 2 - 7.5 Ton Com HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM Advanced Acoustics Parameters 1. Unit height above ground: 1.0 ft 2. Horizontal distance from unit to receiver:_________20.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal dist. from obstruction to receiver: 0.0 ft 6. Horizontal dist. from unit to obstruction:____________ 0.0 ft Detailed Acoustics Information Octave Band Center Frequency, Hz 63 125 250 500 1 k 2k 4k 81k Overall Sound Power Levels at Unit's Acoustic Center Lw , dB 87 86 80 80 78 72 70 65 91 A-Wgted Sound Power Levels at Unit's Acoustic Center LwA , d BA 61 70 72 77 78 74 71 64 82 Sound Press. Levels at Dist. Specified above L , dB 62 61 56 56 53 48 46 41 66 A-Wgted Sound Press. Levels at Dist. Specified above (LpA), dBA 36 45 47 53 53 49 47 40 58 Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Commercial Split Systems Builder 1.44 Page 8 of 14 Performance Summary For ID 2 - 7.5 Ton Com HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM 40RUQ008withSMndardCoil 1100RHVI 120ORPM 1000RPM \ 5. BHP 800RPM 7(X1RPM 3.70 P I 60ORPM 2 2 P P BHP .00BHP 503r4 M 400RPM 1. P BHP ' \ \ II 0 1 2 3 4 A dow(CFM-thousands) RPM=759 BHP=1.12 MaximumRPM=1200 Maximum HP=2.40 S1WedArea-RecommendedOpetatungRange SC-SystemCurve RP-RatedPointMP-MinimumPoint Commercial Split Systems Builder 1.44 Page 9 of 14 Acoustic Summary For ID 2 - 7.5 Ton Com HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM Outdoor Unit Parameters: Tag Name: ID 2 - 7.5 Ton Com HP Split Unit Model: 38AUQ Unit Size: 7.5 Tons System Type: Dx Heat Pump Refrigerant Type: PURON Compressor Quantity: 1 Compressor Type: Hermetic Advanced Accoustics Parameters 1. Unit height above ground: 1.0 2. Horizontal distance from unit to receiver: 20.0 ------------------- 3. Receiver height above ground:5.7 4. Height of obstruction:0.0 5. Horizontal distance from obstruction to receiver:_ _ _0.0 6. Horizontal distance from unit to obstruction: 0.0 --------------- Detailed Acoustics Information Octave Band Center Frequency, Hz 63 125 250 500 1 k 21k 41k 8k Overall Sound Power Levels at Unit's Acoustic Center Lw , dB 87 86 80 80 78 72 70 65 91 A-Wgted Sound Power Levels at Unit's Acoustic Center LwA , d BA 61 70 72 77 78 74 71 64 82 Sound Press. Levels at Dist. Specified above L , dB 62 61 56 56 53 48 46 41 66 A-Wgted Sound Press. Levels at Dist. Specified above (LpA), dBA 36 45 47 53 53 49 47 40 58 Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Acoustic Note: 1. 38AUZ/D/Q units sound ratings are in accordance with AHRI 270-2008 - Sound Rating of Outdoor Unitary Equipment. 2. The acoustic center of the unit is located at the geometric center of the unit. 3. All estimated sound power levels, dB re 1 Picowatt should not be guaranteed or certified as being the actual sound power levels. Acoustic Note: 1. Estimated Sound Power levels - dB re: 1 picowatt 2. Estimated Sound Pressure levels - dB re: 20 micropascal 3. Estimated sound levels given above are assumed to originate at the acoustic center of the unit. The acoustic center of the unit is located at the projection of the condensing unit's geometric center of its base. 4. Sound power levels shown above were determined in accordance with ARI standard 370 for large outdoor refrigeration and air conditioning equipment. 5. Calculation methods used in this program are patterned after the ASHRAE Guide-, other ASHRAE Publications and the ARI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Commercial Split Systems Builder 1.44 Page 10 of 14 Acoustic Summary For ID 2 - 7.5 Ton Com HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM Indoor Unit Parameters: Tag Name: ID 2 - 7.5 Ton Com HP Split Unit Model: 40RUQ Unit Size: 7.5 Tons System Type: Dx Heat Pump External Static Pressure: 0.60 in wg Fan Speed: 759 RPM Fan BHP: 1.12 BHP Detailed Acoustics Information Octave Band Center Frequency, Hz 31 63 125 250 500 11k 21k 4k 81k Total Sound Power,dB NA 95 91 87 86 82 80 76 NA 98 A -Weighted Sound Power, dBA NA 69 75 1 79 83 1 82 82 77 NA 88 Acoustic Notes: 1. 40RU units sound ratings are in accordance with AHSRAE 1987 HVAC Systems and Applications handbook. 2. The acoustic center of the units is located at the geometric center of the unit. 3. All estimated sound power levels, dB re 1 Picowatt should not be guaranteed or certified as being the actual sound power levels. Commercial Split Systems Builder 1.44 Page 11 of 14 Certified Drawing for ID 2 - 7.5 Ton Corn HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM R MST MM NOTES 1. MINIMUM CLEARANCE (LOCAL CODES OR JURISDICTION MAY PREVAIL): A' BOTTOM TO COMBUSTIBLE SURFACES: 0 INCHES- B. OUTDOOR COIL, FOR PROPER AIR FLOW: 36 INCHES ONE SIDE, 12 INCHES THE OTHER. THE SIDE GETTING THE GREATER CLEARANCE IS OPTIONAL. STANDARD CLEARANCES ON REMAINING TWO SIDES. C. OVERHEAD! 60 INCHES, TO ASSURE PROPER OUTDOOR FAN OPERATION. D. 3ET'WEEN LNITS: CONTROL BOX SIDE, 42 INCHES PER NEC. E. 3ET'WEEN LNIT AD UNGROUNDED SURFACES; CONTROL BOX SIDE, 36 INCHES PER NEC- F. BETWEEN UNIT AND BLOCK OR CONCRETE WALLS AND OTHER GROJNDED SURFACES CONTROL BOX SIDE, 42 INCHES PER NEC. 2. WITH EXCE'TION OF THE CLEARANCE FOR THE OUTDOOR COIL AS STATED IN NOTE 16, A REMOVABLE FENCE OR BARRICADE REQUIRES NO CLEARANCE_ 3. UNITS MAY BE INSTALLED ON COMBUSTIBLE FLOORS MADE FROM WOOD OR CLASS A, B OR C ROOF COVERING MATERIAL. Commercial Split Systems Builder 1.44 Page 12 of 14 Certified Drawing for ID 2 - 7.5 Ton Corn HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM 0 C+ CENTER OF GRAVITY J* DIRECTION OF AIR 11- DINENSIONS IN I I ARE IN NN FORK KarMICKIPM REAR VIEW OUTMP COIL LEFT SIDE VIEW I M FACTORY '3-114 INSTALLED 13371 DISCONNECT 9-}la 134.51 POWER ENTRT WITH 50. 005S.0N65.0 MM N.O. TIONAL FACTORT INSTALLEO CONVEx EENCE CUTLET LOCATION 1-304 §VAaE AOCE55 Ira E27.71 HELD ENTRY SERVICE PORT 6-Sra ncal 4-10 11151 [205] TOP VIEW COMPRESSOR ACCESS PANEL -HANDLE 16 E11661 FRONT VIEW H ♦M 30 ®moo EM ®v ---- 6-lea SUCTION CONNECTIONS [7i5] IEEE iRART F0 $11E1 L IQ' IU CONNECTIONS IEEE CHART FOR SIIEI - 5 [ii6] RIGHT SIDE VIEW (FOR 38AUD SYSTEN31 Commercial Split Systems Builder 1.44 Page 13 of 14 Certified Drawing for ID 2 - 7.5 Ton Corn HP Split Project: Santa Clarita - Central Park Maintenance Building 08/01/2022 Prepared By: Shawn Harlan 03:09PM CAC, 3] 1 57 b" ALTERNATE - ENTANEE FOR FIRM$JAI1{6 .. . ,o o I ALTERNATE ENTRANCE FCA1 COIL CO%ELTI©F? � o � I I � 13 L i R 1E161TE ""' EEP T5 1° NONINAL C PIPE OR !-11{• VIRAL aNC FENALE TTINF FLANGE NOTE #51 I [+0115.91 W THIS 0.E'Ell IS THE AWWFEAT] VF ±LTi]Ei Crn ITICA 9Nw]i5]Ox OF THESE sAMI-S OA —E•T O IO OELIAEPEO M. THE Et1 AE4 iaA5lTCN TRAr THE W�itlf C AITENST50 .ILL NIT FE OIFSLOFEP 5P .S Ei Y[TNP.T O!AA'IEII 1N'ES NOT ±RKT]T TE IWT TEAFGwA[E �' W NATICY'6 TRITER f 11. ACCM191E OF CPATN+Cr NOT €6; 1. 6INENSIO419 IN C 1 ARE IN NILLINETERS H 0 DIREMOA6 OF AIRFLVN 3 RECO"ENNE➢ CLEARANCE: REAR: 2 ff I iP. [762 Pm] FRONT. 2 " 6 IP C,,, -1 RIGHT SIDE. 2 FP 6 in. C7E2 mm1 LEFT SIDE: 2 ff Fi,. 1162 -1 LOCAL CODES GR 'JRISOICTIJN NSr VEE9AIL n LIPJID PIING N0T .1?1LIE1 $' CARRIER 5 DUCT FLANGE [3 FACTORY SJ�PLEED AND FIELD INSTALLEO ACLESSORI SEE DRAWINt GISCH"GE 9LE90 4691,5d0996 ECON04IIER 40*00999 STEAM COIL ACRO50999 HOT WATER WIL 40RN,DV992 RPM AIR GRILLE ADRN56"11i OVERHEAD 5USRE4SIaN 40RN5DD90 SUBBASE AORN5Ua944 ELECTRIC HEATLdd 4ORN501002 0 uWAELEASEA DATA LESS FOR CONTROL!i NOrOR ANtl BELT CP§. A7 ,�2A �TrP [12 1] TYP ' A'-6 1S•6' ftA23.4] i TIN" REA FOR LIQUID CONNECTION 129. 6] A' -A ' 3I8' DIA. F09 SUCTION CONNECTION tli26 71 [A N.41 I e6' DIA FON TEy 1300 C47NN ECTI tlN C22 2] S'—H 1506, [1a§N.67 -5 if1E° \i I'-9 311q RET09R AI2 1'-N 1RN 91 171E CA07. l7 C}57.5] ALTERNATE 1 178" IETURN 'I' .8] LI 1 DIA CF2BPA SOCT ION Cf1kNECTI9N [!d 5 ' 119' DIA. FOR LIQUID CONNECTION RIGHT SIDE [AA 5] Er DATE 1"EREEDES FAN COIL HHITS F ;' 65J77f7i D:IE7+1a RDRh A i tr { S 0r 1 O@ i 16.1 Ip IBFH7e6Ga4 Commercial Split Systems Builder 1.44 Page 14 of 14 3.5 to 5 Ton Vertical Packaged High Efficiency Wall Mount Heat Pumps MAA10421-1-10481-1-1060H (Single Stage Cooling) MAA2042H-2048H-2060H (2-Stage Cooling) f� General Description The Marvair® MAA family of wall mounted heat pumps are the ideal HVAC system for a wide variety of applications. The exterior mounting means that no valuable interior space is required. Marvair MAA heat pumps are packaged units — the refrigerant piping and internal wiring are factory assembled and thoroughly tested. All components are readily accessible for easy service and maintenance. The energy efficient operation keeps operating costs to a minimum and makes the Marvair heat pumps ideal problem solvers for a wide variety of applications, including offices, classrooms and telecommunication shelters. Marvair Heat Pumps Are Available To Meet Any Budget Or Efficiency Requirement: MAA Single Stage Models Marvair heat pumps meet all federal efficiency requirements with an Energy Efficiency Ratio (EER) of 11. Single stage Marvair MAA heat pumps are available in cooling capacities of 3'/2, 4 and 5 tons (42,000 to 60,000 BTUH). MAA 2-Stage Models These models feature a 2-stage compressor which can reduce energy costs by more precisely matching the cooling capacity to the heat load with first stage cooling approximately 65% of the total cooling capacity. This results in Energy Efficiency Ratios (EER's) of up to 11.00 and an Integrated Part Load Value (IPLV) of up to 15.00. MAA 2-Stage models are available in cooling capacities of 31/2, 4 and 5 tons (42,000 to 60,000 BTUH). Outside Air for Ventilation or Free Cooling A full range of accessories and options allows Marvair heat pumps to be optimized for each application. For classrooms, a complete range of ventilation options are available to meet the fresh air requirements of the ASHRAE 62 standard,"Ventilation for Acceptable Indoor Air Quality". Where cooling is required during cool or cold weather, e.g., telecommunications shelters, a factory installed economizer should be used. To insure proper operation and optimum performance, all outside air ventilation packages are non -removable, factory installed and factory calibrated. Safety Listed and Energy Certified All Marvair heat pumps are built to UL standard 1995, 4th edition and CAN/CSA C22.2, No. 236-11. For energy efficiency and performance, the units are tested and rated in accordance to the ANSI/AHRI (Air -Conditioning Heating and Refrigeration Institute) Standard 390 (Single Package Vertical Units).All units meet or exceed the efficiency requirements of ANSI/ASHRAE/IESNA 90.1.2016. Marvair heat pumps are commercial units and are not intended for use in residential applications. MAA1042HA [Isslgnrd, Enyi� rFd RaseE16led In IhE u5A FEATURES AND BENEFITS Meets DOE Efficiency Requirements All Models 11 EER All Models 3.3 COP R-410A Refrigerant Efficient Heat Release Non -Ozone Depleting Refrigerant Synthetic Lubricant Reduced Compressor Wear High Efficiency and Reliability No Wall Mount Heat Pump is More Efficient Optional Economizer Reduces Energy Usage High Efficiency Compressor and Lanced Coil Fins High/Low Pressure Switches with Lockout & Short Cycle Protection Ease of Installation and Service Single Point Power Entry Built -In Mounting Flanges and Internal Disconnect Standard Access Valves and Filters, Status LEDs Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Marvair Heat Pump Features High Efficiency Ease of Installation Designed for Operation on Scroll compressors are Sloped top with flashing Generator Power standard on all units. eliminates need of rain hood. All Marvair single & three phase Lanced fins and rifled tubing Built-in mounting flanges air conditioners are designed to on the indoor & outdoor coils facilitate installation and operate on Generator Power. See maximize heat transfer. minimize chance of water Summary Electrical Ratings for Electronically commutated leaks. your specific model indoor blower motor on all Factory installed phase models monitor is standard on all Ease of Service Engineered Reliability 30 units and will turn the air conditioner off if power LED's on the control board indicate operational status PC board simplifies wiring, supply is not phased properly. and fault conditions. consolidates several of the Factory installed disconnect Refrigerant access valves are electrical functions in one on all units, including 460v. standard device. models. All major components are High refrigerant pressure Outside air hood included readily accessible switch with lockout relay with each unit. Front control panel allows protects the compressor in the event of insufficient Single Point Power Entry easy access and complies condenser air flow. complies with latest edition with NEC clearance codes on of U.L. Standard 1995. side by side units. Loss of charge pressure Major components accessible switch with lockout relay protects the compressor Rugged Construction from either side. in the event of a loss of Baked on beige finish over refrigerant or inadequate galvaneel steel on exterior evaporator air flow. sheet metal. Time delay for short cycle Copper tube, aluminum fin protection. evaporator and condenser coils. Corrosion resistant Dacromet® external fasteners. Options for Outside Air for Ventilation ASHRAE standard 62 requires 15 cfm of outside air per occupant of a classroom. To meet this requirement, Marvair offers seven ventilation packages for every budget and requirement. Configuration "C": Up to 100% Modulating Economizer The economizer reduces the cost of air conditioning by using outside air when acceptable to cool the room (Free Cooling). The factory installed Marvair' economizer has integral pressure relief. Control Board Logic: Upon a "Call for Cooling", the economizer control board calculates whether the HVAC operates in economizer mode or mechanical cooling mode based on outdoor temperature (dry bulb) or temperature/humidity (enthalpy). When outdoor conditions are favorable for economizer cooling , the damper drives open and modulates to maintain a 550F mixed air temperature through the supply grille. When outdoor conditions are not favorable for economizer cooling,the economizer damper remains closed, and the HVAC unit will operate in mechanical cooling mode. Features Designed for Telecommunication applications: Hydrogen Fault Input: When 24VAC is applied to the H_FLT input, the economizer board forces the damper to open 100% for emergency ventilation. The compressor does not operate during Hydrogen Fault/Emergency Ventilation. Thermostat must provide the fan "G" signal to HVAC to activate the indoor blower. Forced Mechanical Cooling: When 24VAC is applied to the FC input of the economizer board, the economizer damper is forced closed, and the HVAC will operate in mechanical cooling mode. This is considered as economizer override in the event economizer cooling is not sufficient for the heat load. Thermostat must provide the fan "G" signal to HVAC to activate the indoor blower. Economizer Status: The economizer board has contacts that when used with the Marvair CommStat 4 Telecom HVAC Controller, change state to provide feedback to the CommStat 4 to indicate when the HVAC is in economizer mode verses mechanical cooling mode. This feedback allows the CommStat 4 to initiate the forced cooling feature to override economizer cooling and force mechanical cooling. When used with minimum position potentiometer (optional), the Marvair® economizer can meet requirements of ASHRAE Std. 62. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Configuration "D": Two -Position Motorized Fresh Air Damper w/Pressure Relief Ventilation Factory Installed Relay Logic: Upon a "Call for indoor blower" via a 24V signal (G), the motorized damper opens to a maximum of 50% of the fully open position. The open position can be decreased from 50% by adjusting the rod position on the drive linkage. In this case, the damper will not open unless there's a call for the indoor blower. Note: This circuit does not interrupt the compressor or heater operation. Configuration "E": Two -Position Motorized Fresh Air Damper w/Pressure Relief Ventilation & Independent Control Factory Installed Relay Logic: Upon a "Call for Motorized damper" via a 24V signal from an external user -installed device, the motorized damper opens to a maximum of 50% of the fully open position. The open position can be decreased from 50% by adjusting the rod position on the drive linkage. The motorized damper Does NOT open when there is a call for the indoor fan (G). A 24VAC signal {sourced from LVTB pin 10 and supplied through a user -provided Normally Open (NO) contact} activates (opens) the Motorized Damper and connected Relief Damper. When the 24VAC signal is removed, the Motorized Damper and connected Relief Damper close (spring return). Note: This circuit does not interrupt the compressor or heater operation. Configuration "N": Barometric Fresh Air Damper (Standard) Barometric damper capable of up to 15 % of rated airflow of outside air; field adjustable, no pressure relief. Heat Pump PC Board Every Marvair heat pump has a PC board that controls the operation of the indoor blower, the compressor and the reversing valve while providing high refrigerant pressure and loss of refrigerant protection with an integral defrost function. In addition, the board has user selectable pins and potentiometers for multi -function control. High & Loss of Refrigerant Protection If either of these fault conditions occur twice within an one hour, the control board will enter into and indicate the lockout mode. In the lockout mode, the compressor will not operate, the alarm output is energized and the red LED will blink to indicate which fault has occurred. The user can select either Normally Open or Normally Closed contacts. Compressor Anti -Short Cycle Protection An integral three minute delay prevents compressor from destructive short cycling. Loss of Refrigerant By-pass Timer To prevent nuisance fault alarms, the board ignores a loss of charge fault for three minutes on start-up of the compressor. Defrost Control The defrost cycle removes ice build-up on the outdoor coil during the heating cycle. If the defrost sensor senses a coil temperature of 32°F while in the heat mode, a 30, 60 or 90 minute (user selectable) delay period will begin. After the delay period if the sensor is still calling for a defrost cycle, the outdoor fan will be stopped and the reversing valve energized. The defrost cycle will stop if the defrost sensor registers a temperature of 50°F or after 10 minutes. By moving the EHDD pin, the user can have electric heat operate during the defrost cycle or not operate. Electric Heat During Defrost (EHDD) The control board has an EHDD jumper pin marked YES or NO. When the YES pins are jumped, electric heat WILL operate during a defrost cycle. When the NO pins are jumped, electric heat will NOT operate during a defrost cycle. Note: When EHDD is set to YES, the S-circuit jumpers must be set to NO. S-Circuit The control board has an S-CIRCUIT jumper pin marked YES or NO. When the YES pins are jumped, electric heat will NOT operate with the compressor. When the NO pins are jumped, electric heat WILL operate with the compressor. Note: When S-Circuit is set to YES, the EHDD jumpers must be set to NO. Indoor Blower Speed Control A speed control potentiometer mounted on the board allows the user to vary the blower speed on the MAA heat pumps from 40% to 100% of rated air flow. (Not applicable on models with the electronically commutated indoor blower motor). Ventilation Damper Relay The control board has an DRO/DRC jumper pin marked YES and NO. When the YES pins are jumped, the "D" Damper will drive open when the indoor fan operates. When the NO pins are jumped, the "D" Damper will NOT drive open when the indoor fan operates. This control is for two position - Open & Closed motorized fresh air damper (Ventilation Configuration T"). Independent damper control from an external input such as a time clock, CO2 sensor, energy management system or a manual switch upon request. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Protection of the Refrigerant Components High Refrigerant Pressure Switch The high pressure switch is located on the liquid line. It is electrically connected to the PC board and will turn the compressor off if the pressure rises above the set point twice within one hour.This protects the compressor if airflow is significantly reduced or lost through the coil performing the condenser function. Loss of Charge Switch The loss of charge switch is located on the liquid line. It is electrically connected to the PC board and will turn the compressor off if the pressure drops below the set point twice within one hour. This protects the compressor if airflow is significantly reduced or lost through the coil performing the evaporator function or there is a loss of refrigerant. Marvair MAA Heat Pump Options Marvair® options can be used to provide optimum performance over a full range of operating conditions. Adjustable Outdoor Thermostat Will not allow electric resistance heat to be energized unless the outdoor temperature is below the desired set point. Field or factory installed. Available on all MAA units. Energy Management System (EMS) Relay Kit Relay to control the unit. Available in 24, 120 or 240 VAC. Field or factory installed. Electric Reheat Control provides simultaneous operation of compressor when in cooling mode and the electric elements to provide dehumidification without over cooling the room. The electric element (kW) must be properly sized for each model for proper operation. Factory installed. Available on all MAA units. Consult factory for details. Compressor Sound Jackets Reduces sound of compressor. Special Application Packages and Coil Coatings Protective Coating Packages Typically, only non -economizer units are used in corrosive environments, but all Marvair air conditioner are available with corrosion protection. Two corrosion protection packages are offered - one for the condenser section (Coastal Environmental Package) and the other for the entire unit (Coat -All Package). The Coastal Environmental Package includes: Corrosion resistant fasteners Sealed or partially sealed condenser fan motor Protective coating applied to all exposed internal copper and metal in the condenser section Protective coating on the condenser coil (Luvata Insitu®) contains ES2 (embedded stainless steel pigment) technology. The Coat all Package includes all of the above, plus: Protective coating on the evaporator coil (Luvata Insitu®) contains ES2 (embedded stainless steel pigment) technology Protective coating on exterior and interior components and sheet metal. Note 1: The insulated internal sheet metal and the internal control box are not coated. Note 2: The corrosion prevention coating can not be applied to stainless steel. Protective Coil Coatings The Condenser Coil or the Evaporator Coil or Both can be coated. Coating the Evaporator Coil in not common. For harsh conditions, e.g., power plants, paper mills or sites where the unit will be exposed to salt water, the coils should be protected by a protective coating. Note: Cooling capacity may be reduced by up to 5% on units with coated coils. Accessories Thermostats for Single Stage Heat Pumps (no electric heat) Digital, Seven Day Programmable Thermostat..........................................................................................................................P/N 50123 1 stage heat, 1 stage cool. Fan switch: Auto & On. Auto -changeover. Keypad lockout. Non-volatile program memory. Title 24 compliant. Digital, Non -Programmable Thermostat......................................................................................................................................P/N 50186 One stage cool/One stage heat. Manual or auto changeover. Fan mode: Auto or On. Permanent retention of settings upon power loss. Field adjustable temperature calibration. Max heat and minimum cool set points. Adjustable temperature differential. Remote sensor capable. Keypad lock out. Status LED. °F or °C selectable. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Thermostats for Heat Pumps with 2-Stage Heat Digital, 7 Day, 5-2 and 5-1-1 Day Programmable Thermostat............................................................................................. P/N 50107 Two stage heat/Two stage cool. Manual or auto changeover. Fan: Auto & On. Permanent retention of setting on power loss. Field adjustable temperature calibration. Adjustable max. setpoint for heating and min. adjustable setpoints for cooling. Adjustable temperature differential. Keypad lockout. Status LED. °F or °C selectable. Title 24 compliant. Digital, 7 Day, 2 Occupied & 2 Unoccupied Periods for Each Day of the Week Programmable Thermostat......... P/N 50248 Three stage heat/Three stage cool. Manual or auto changeover. Fan: Auto & On. Ten year retention of programming settings and 48 hour clock and day settings on power loss. Adjustable max. setpoint for heating and min. adjustable setpoints for cooling. Adjustable temperature differential. Keypad lockout. Status LED. °F or °C selectable. Optional remote sensors for outdoor air, supply air and humidity. Title 24 compliant. MAR7000 Thermostat/Controller The MAR7000 thermostat/controller is a stand alone, self -programming HVAC controller designed to optimize performance of Marvair's heat pumps and air conditioners. It can function as an independent controller or be used in conjunction with a BACnet network. With built-in temperature, humidity sensors, motion sensing and an optional CO2 detection sensor, the MAR7000 can control: Temperature and humidity, Single or 2-stage air conditioners or heat pumps with supplemental hot water1 or electric heat, _J Hot gas dehumidification operation, -1f0+ An economizer cycle, and At Marvair's various ventilation options including the Marvair GreenWheel' Energy Recovery Ventilator.ryr. The intelligent occupancy anticipation feature of the MAR7000 automatically requirements. The ventilation control can be based on occupancy, demand, time, or a combination of these features. When vacant, the thermostat automatically reduces the run time of the unit and adjusts ventilation to save energy. The intelligent occupancy feature can be turned off, and the MAR7000 can be connected to a BACnet control system for remote control and operation of Marvair heat pumps or air conditioners. The MAR7000 thermostat includes a precise, real time clock with capacitor back up to maintain the program and set points for extended power outages. Features include: User-friendly English -language menus (no obscure numeric codes) on a 64 x 128 pixel, dot-matrix LCD display with 5 buttons for data selection and entry, Built-in, factory -tested libraries of configurable application control sequences, Schedules that can easily be set uniquely by weekdays (Mon. -Fri.), weekend (Sat. -Sun.), entire week (Mon. -Sun.), individual days, and/or holidays, Six On/Off and independent heating and cooling set point periods are available per day, and Three levels of password -protected access (user/operator/administrator) prevent disruption of operation and configuration Thermostat Guards Clear Thermostat Guard with Keylock & Clear Plastic Cover & Base................................................................................. P/N 50092 For use with 50123, 50186 and 50107 thermostats. Clear Thermostat Guard with Keylock & Clear Plastic Cover & Base................................................................................. P/N 50119 For use with 50248 thermostat. Humidity Controller DigitalHumidity Controller.............................................................................................................................................................. P/N 51731 To be used with units with Hot Gas or electric reheat. Programmable dehumidistat, ventilation control. Permanent memory retention of set points. Humidity sensor can be field calibrated. High & low dehumidification set points. Outdoor temperature and humidity sensor included. OF or °C selectable. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Grilles Description Size Marvair P/N For the MAA1042HI1048HI1060H & MAA2042HI2048HI2060H Double Deflection, Aluminum Supply Grille 30" x 10" (762mm x 254mm) 80676 Aluminum Return Grille 30" x 16" (762mm x 406mm) 80679 Return Filter Grille 30" x 16" (762mm x 406mm) 80673 Note: Return filter grilles should be used when the 2" (51mm) filter in the MAA unit is not accessible from the exterior of the building. Filter used in the return filter grille is a 1" (25mm) thick filter. The return filter grille is not recommended for use with the MAA heat pumps with economizers. EER Comparison by Model ■ Nominal Cooling Capacity (BTUH) Basic Model EER 42,000 MAA1042H 11.00 MAA2042H 11.00 48,000 MAA1048H 11.00 MAA2048H 11.00 60,000 MAA1060H 11.00 MAA2060H 1 11.00 Air Flow (Cubic Feet per Minute) Model Number External Static Pressure WET COIL 0.10 0.20 0.25 0.30 0.40 0.50 MAA1042H/2042H 1650 1585 1520 1450 1360 MAA1048H/2048H 1693 1650 1619 1591 1529 MAA1060H/2060H 1693 1650 1619 1591 1529 Air flow ratings of 208-230v. Units are at 230v. Air flow ratings of 480 v. units are at 460 volts. Operation of units at a different voltage from the rating point will affect air flow. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Marvair Heat Pump Model Identification Example MA A 1 0 4 2 H A 0 5 0 C+ ++ + 1 C A+ A 1 1 ++ ++ ++ Position ,12 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 -3I 13 141 151 161 Unit Designation/Family M = Marvair Wall Mount S = Stock Unit Energy Efficiency Ratio A = 11 (EER) Refrigerant Type A = R-410a Compressor Type/Quantity 1 = Single Stage Compressor 2 = 2-Stage Compressor Unit Capacity/Nominal 042 = 42,000 Cooling (BTUH) 048 = 48,000 060 = 60,000 System Type H = Heat Pump Power Supply A = 208/230-60-1 D = 460-60-3 (Volts -Phase -Hz) C = 208/230-60-3 000 = No Heat 090:9KW Heat Designation 040 = 4KW 10010KW Rated Voltage 050 = 5KW 120= 12KW 060 = 6KW 150= 15KW 080 = 8KW C = Economizer D = Motorized Damper w/Pressure Relief Ventilation E = Motorized Damper w/Pressure Relief & Configuration Independent Motorized Damper Control N = Barometric Damper w/15 /o OSA + = None $ = Special G = Hot Gas Reheat R = Electric Reheat Dehumidification T= Electric Reheatw/Humidity Control + = None $ = Special A = Power Fail Alarm w/Additional Lockouts C = 24V EMS Relay Kit D = 24V EMS Relay Kit w/Factory Controls Installed T-Stat E = Factory Installed T-Stat + = None $ = Special A = Evaporator Freeze Sensor (EFS) C = EFS w/Hot Gas Bypass N = Hard Start P = Hard Start w/Low Ambient & CCH Q = Hard Start w/Low Ambient & Fan Cycle Control (FCC) R = Crank Case Heater (CCH) T = Hard Start w/EFS U = Hard Start w/Hot Gas Bypass Operating Condition V = Hard Start w/Low Ambient & CCH & EFS W = Low Ambient w/CCH X = Hot Gas Bypass Y = Low Ambient w/CCH & FCC Z = Low Ambient w/CCH & EFS 1 = Low Ambient w/FCC 2 = Low Ambient w/FCC & EFS 3 = CCH w/Hot Gas Bypass + = None R = Snarial A = UV Light D = Dry Bulb Sensor 17 Indoor Air Quality Features E = Dry Bulb Sensor w/Dirty Filter G = Dirty Filter Sensor + = None $ = Special 18 Air Flow 1 = Top Supply/Bottom Return $ = Special 19 Compressor Access C = Center/Front A = 2" Pleated (MERV 8, AC/HP-C) C = 2" Charcoal D = MERV 11 High Filtration Package 20 Filter Option E = MERV 13 High Filtration Package F = Filter Access Through Return Air Grille W =Aluminum Washable + = None $ = Special A = Condenser Coil Only C = Evaporator Coil Only D = Both Coils Condenser & Evaporator E = All Coils Con d/Evap/Reheat 21 Corrosion Protection F = Coat All G = Coastal Package & Evaporator Coil K = Coastal Package + = None $ = Special 22 Engineering Revision Level B7 23 1 = Marvair Beige 2 = Gray 3 = Carlsbad Canyon 4 = White 24 Cabinet Color 5 = Stainless Steel Exterior 6 = Dark Bronze 7 = .050 Aluminum Stucco 9 = Pebble Gray A = Stainless Steel - Unit $ = Custom Color (Powder Coat) 25 Sound Attenuation 2 = Compressor Blanket + = None A = Lockable Access Plate/Tamper Proof C = Tamper Proof Screws 26 Security Option D = Lockable Access Plate w/Tamper Proof + = None $ = Special A = Stainless Steel Fasteners C = Stainless Steel Drain Pan 27 Fastener/Drain Pan Option D = Stainless Steel Fasteners & Drain Pan + = None $ = Special 28 Unused +=None $ = Special 29 Unused +=None $ = Special + = None 30 Special Variation $ = Special Configuration Not Covered by Model Nomenclature Note: Not all options are available with all configurations. Contact your Marvair sales representative for configuration details and feature compatibility. 7 Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 Marvair MAA Single Stage Heat Pump Certified Ratings & Performance Certified Efficiency and Capacit- at ANSI/AHRI C*anrinrrI 390 - MAA uaQa* Drirn[)S MAA1042H MAA1048H MAA1060H Model Number A C D A C D A C D Cooling BTUH' 40,000 46,000 54,000 EER2 11.00 11.00 11.00 High Temperature Heating3 34,000 42,000 48,000 High Temperature COP° 3.30 3.30 3.30 Rated Air Flow (CFM5) 1,350 1,700 1,800 Cooling is rated at 95°F (35°C) outdoor and 80°F DB/67°F WB (26.5"C DB/19.5°C WB) return air. LEER = Energy Efficiency Ratio 'High Temperature Heating & COP are rated at 47°F DB/43°WB (8.3°C DB/6.1 °C WB) outdoor and 70°F (21.1 °C) return air. 'COP = Coefficient of Performance SCFM = Cubic Feet per Minute Ratings are with no outside air. Performance will be affected by altitude. Ratings are at 230 volts for 208/230 volt units ("A" & "C" models) and 460 volts for "ID" models. Operation of units at a different voltage from that of the rating point will affect performance and air flow. Sensible Total Heat Ratio @ 9 1 -- "7*Q Outs - " - '- ' l Model Number IF_A MAA1042H MAA1048H MAA1060H C D A C D A C D Total Capacity 40,000 46,000 54,000 Sensible Heat Ratio 0.67 0.67 0.67 Sensible Capacity 27,000 31,000 36,500 Rated Air Flow (CFM') 1,350 1,700 1,800 'CFM=Cubic Feet per Minute Sensible Heat Ratios based upon ANSI/AHRI std. 390 outdoor conditions of 95°F (35°C) outdoor and 80°F DB/67°F WB (26.5°C DB/19.5°C WB) return air. Coolinq Performance (13TUH) at Various Out irtrwr Tmmneratures - MAA Heat Pumps Model Outdoor Temperature Number 75°F/24°C 80°F/26.5°C 85°F/29°C 90°F/32°C 95°F/35"C 100°F/38°C 105°F/40.5°C110°F/43.3"C 115°F/46°C 120°F/49°C 125°F/52°C 130°F/54°C MAA1042H 46,400 44,800 43,200 41,600 40,000 38,400 36,800 35,200 34,400 32,000 30,400 28,800 MAA1048H 53,360 51,520 49,680 47,840 46,000 44,160 42,320 40,480 39,560 36,800 34,960 33,120 MAA1060H 62,640 60,480 58,320 56,160 54,000 51,840 49,680 47,520 46,440 43,200 41,040 38,880 Based upon ANSI/AHRI std. 390 return air conditions of 80°F DB/67°F WB (26.5°C DB/19.5°C WB). Return air at rated air flow. Heating Performance (BTUH) at Various Outdoor TemraQratuur -MAA Heat Pumps I Number Mode10°F/-12.2°C Outdoor Temperature WoF/-&WC 20oF/-6.7oC WF/-1.1°C 40oF/4.4oC 47°F/8.3°C 50°F/10°C 60°F/15.6°C 70oF/21.IoC MAA1042H 18,700 22,000 23,340 28,030 32,050 35,400 36,462 38,055 39,825 MAA1048H 2O,400 24,000 25,800 32,100 37,500 42,000 43,260 45,150 47,250 MAA1060H 28,050 33,000 34,500 39,750 44,250 48,000 49,440 51,600 54,000 Based upon ANSI/AHRI std. 390 return air conditions of 70°F DB (21.1 °C DB). Return air at rated air flow. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 8 Electrical Characteristics - Compressor, Fan, Ventilation & Blower Motor Model COMPRESSOR OTHER MOTORS OUTDOOR FAN MOTOR INDOOR I BLOWER MOTOR Number VOLTS-HZ-PH RLA' LRA2 VOLTS-HZ-PH RPM3 FLA4 HP5 RPM3 FLA4 HP5 MAA1042HA 208/230-60-1 17.92 112.00 208/230-60-1 1,200 5.30 1/2 1,050 7.30 3/4 MAA1048HA 208/230-60-1 19.60 130.00 208/230-60-1 1,200 5.30 1/2 1,050 7.30 3/4 MAA1060HA 208/230-60-1 26.20 134.00 208/230-60-1 1,200 6.30 3/4 1,050 7.30 3/4 MAA1042HC 208/230-60-3 13.50 88.00 208/230-60-1 1,200 5.30 1/2 1,050 7.30 3/4 MAA1048HC 208/230-60-3 13.70 83.10 208/230-60-1 1,200 5.30 1/2 1,050 7.30 3/4 MAA1060HC 208/230-60-3 15.60 110.00 208/230-60-1 1,200 6.30 3/4 1,050 7.30 3/4 MAA1042HD 460-60-3 6.00 44.00 208/230-60-1 1,200 5.30 1/2 1,050 7.30 3/4 MAA1048HD 460-60-3 6.20 41.00 208/230-60-1 1,200 5.30 1/2 1,050 7.30 3/4 MAA1060HD 460-60-3 7.74 52.00 208/230-60-1 1,200 6.30 3/4 1,050 7.30 3/4 'RLA= Rated Load Amps zLRA= Locked Rotor Amps 'RPM = Revolutions per Minute 4FLA= Full Load Amps SHP = Horsepower LOAM = Outside Air Mover 'EXM = ExhaustAir Mover BWD = Wheel Drive Motor The 460 volt units have a step down transformer for the 230 volt motors. MAA Heat Pumps Summary Electrical Ratings (Wire and HACR Circuit Breaker Sizing) - Ventilation Configuration: C: Economizer, Outside Air with Pressure Relief D: Motorized 2-Position Damper, up to 450 CFM of Outside Air w/Pressure Relief E: Motorized Damper w/Pressure Relief & Independent Motorized Damper Control IV: Barometric Damper, up to 15% Outside Air ELECTRIC HEAT 000 =None 040 = 4 kw 050 = 5 kw 1 060 = 6 kw 080 = 8 kw 090 = 9 kw 1 100 = 10 kw 120 = 12 kw 150 = 15 kw SPPE' SPPE' SPPE' SPPE' SPPE' SPPE' SPPE' SPPE' SPPE' BASIC MODEL VOLTS-HZ-PH MCA, MFSz MCA, MFS2 MCA, MFS2 MCA, MFS2 MCA, MFS2 MCA, MFS2 MCA, MFS2 MCA, MFS2 MCA, MFSz MAA1042HA 208/230-60-1 35.0 50 61.0 70 87.1 90 97.5 100 113.0 120 MAA1048HA 208/230-60-1 39.8 60 65.8 70 91.9 100 102.3 110 117.9 120 MAA1060HA 208/230-60-1 46.4 70 72.4 80 98.4 100 108.9 110 124.5 130 MAA1042HC 208/230-60-3 29.5 40 47.5 50 56.6 60 65.6 70 1 74.6 80 MAA1048HC 208/230-60-3 29.7 40 47.8 50 56.8 60 65.6 70 74.9 80 MAA1060HC 208/230-60-3 33.1 45 51.2 60 60.2 70 69.2 70 78.3 80 MAA1042HD 460-60-3 13.7 15 22.8 25 27.3 30 31.8 35 36.3 40 MAA1048HD 460-60-3 14.1 20 23.1 25 27.6 30 32.1 35 36.6 40 MAA1060HD 460-60-3 1 16.5 1 20 25.5 1 30 30.0 35 34.5 1 35 39.1 40 S-Circuit-The user can move a pin on the board to control whether the electric heat will operate simultaneously with the compressor ( S Circuit - NO) or will not run simultaneously with the compressor (S Circuit - Yes). 'MCA = Minimum Circuit Ampacity (Wiring Size Amps) zMFS = Maximum Fuse or HACR Breaker Size 'SPPE = Single Point Power Entry MCA & MFS are calculated at 230 volts on the 208-230v. (HPA & HPC) models. The 460 volt HPD models are calculated at 460 volts. This chart should only be used as a guideline for estimating con- ductor size and overcurrentprotection- Forthe requirements of specific units always refer to the data label on the unit. 9 Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 MAA Heat Pumps Summary Electrical Ratings (Wire and HACR Circuit Breaker Sizing) - MAA Heat Pumps with the "S" Circuit Jumper Set to "Yes" and Ventilation Configuration: C: Economizer, Outside Air with Pressure Relief D: Motorized 2-Position Damper, up to 450 CFM of Outside Air w/Pressure Relief E: Motorized Damper w/Pressure Relief & Independent Motorized Damper Control N: Barometrir Damper, up to 15 % Outside Air ELECTRIC HEAT 000 = None 040 = 4 kw 050 = 5 kw 060 = 6 kw 080 = 8 kw 090 = 9 kw 100 = 10 kw 120 = 12 kw 150 = 15 kw SPPE' SPPE' SPPF SPPF SPPF SPPF SPPF SPPF SPPF BASIC MODEL VOLTS-HZ-PH MCA, MFSz MCA, MS MCA, MFSz MCA, MS MCA, MFS2 MCA, MFSz MCA, MFSz MCA, MFS2 MCA, MFSz MAA1042HA 208/230-60-1 35.0 1 50 1 35.0 50 59.4 60 69.8 70 85.4 90 MAA1048HA 208/230-60-1 39.8 60 39.8 60 59.4 60 69.8 70 85.4 90 MAA1060HA 208/230-60-1 46.4 70 46.4 70 59.4 60 69.8 70 85.4 90 MAA1042HC 208/230-60-3 29.5 40 29.5 40 34.4 40 43.4 45 52.5 60 MAA1048HC 208/230-60-3 29.7 40 29.7 40 34.4 40 43.4 45 52.5 60 MAA1060HC 208/230-60-3 33.1 45 33.1 45 34.4 45 43.4 45 52.5 60 MAA1042HD 460-60-3 13.7 15 13.7 15 17.1 20 21.7 25 26.2 30 MAA1048HD 460-60-3 14.1 20 14.1 20 17.1 20 21.7 25 26.2 30 MAA1060HD 460-60-3 16.5 20 16.5 20 17.1 20 21.7 25 26.2 30 S-Circuit-The user can move a pin on the board to control whether the electric heat will operate simultaneously with the compressor( S Circuit -NO) or will not run simultaneously with the compressor (S Circuit -Yes). 'MCA = Minimum Circuit Ampacity (Wiring Size Amps) zMFS = Maximum Fuse or HACR Breaker Size 3SPPE = Single Point Power Entry MCA & MFS are calculated at 230 volts on the 208-230v. (HPA & HPC) models. The 460 volt HPD models are calculated at 460 volts. This chart should only be used as a guideline for estimating con- ductorsize and overcurrent protection. Forthe requirements of specific units, always refer to the data label on the unit. Unit Load Amps (Heating) - MAA Heat Pumpswith Ventilation Confiqurations: C: Economizer, Outside Air with Pressure Relief D: Motorized 2-Position Damper, up to 450 CFM of Outside Air w/Pressure Relief E: Motorized Damper w/Pressure Relief & Independent Motorized Damper Control N: Barometric Damper, 15% Outside Air CURRENT VOLTAGE (AMPS) LOAD OF RESISTIVE HEATING - ELEMENTS ONLY (AMPS TOTAL MAXIMUM HEATING AMPS MODEL ALL HEATING ELEMENTS ARE ON A SEPARATE CIRCUIT INCLUDES AMPS FROM MOTOR(S) THAT ARE LOCATED ON AN HERTZ ELECTRICAL CIRCUIT THAT DOES NOT HAVE HEATERS NUMBER PHASE HP' IBMZ 04 kW 1 05 kW 1 06 kW 1 08 kW 1 09 kW 1 10 kW 1 12 kW 1 15 kW 04 Kw 1 05 Kw 1 06 Kw 1 08 Kw 1 09 Kw 1 10 Kw 1 12 Kw 1 15 Kw IMAA1042HA 1208/230-60-1 I 30.5 I 7.3 I 120.8 I 1 1 141.7 150.0 162.5 I 128.1 I 1 1 149.0 157.3 169.8 MAA1048HA 208/230-60-1 32.2 7.3 20.8 41.7 50.0 62.5 28.1 49.0 57.3 69.8 MAA1060HA 208/230-60-1 59.0 7.3 20.8 50.0 62.5 28.1 49.0 57.3 69.8 MAA1042HC 208/230-60-3 26.1 7.3 14.4 21.7 28.9 36.1 21.7 29.0 36.2 43.4 MAA1048HC 208/230-60-3 26.3 7.3 14.4 21.7 28.9 36.1 21.7 29.0 36.2 43.4 MAA1060HC 208/230-60-3 28.2 7.3 14.4 21.7 28.9 36.1 21.7 29.0 36.2 43.4 MAA1042HD 460-60-3 12.8 3.6 7.2 10.8 14.4 18.0 10.8 14.4 18.0 21.6 MAA1048HD 460-60-3 13.0 3.6 7.2 10.8 14.4 18.0 10.8 14.4 18.0 21.6 MAA1060HD 460-60-3 14.5 3.6 7.2 10.8 14.4 18.0 10.8 14.4 18.0 21.6 'HP=Heat Pump Unit Amps (includes Indoor Motor am ps) 21BM= Indoor Blower Motor Heating kW is rated at 240 volts on the 208-230v. (HPA & HPC) models. De rate heater output by 25% for operation at 208 volts. Heating kW is rated at 480 volts on the HPD models. Total heating amps forsingle phase units with iwo circuits (#1 and 12) includes both circuits. Total heating and cooling amps includes all motors. Three phase models contain single phase motor loads. Values shown are maximum hase loads. Loads are note uall balanced on each hase. Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 10 Dimensional Data: MAA1042H/1048H/1060H & MAA2042H/2048H/2060H (in & mm) 27.20 [691] TOP VIEW ��� 22.06 2.290 41.76 [560] [58] [1061 ] 9.75 Marvair [248] 30.19 [767] 94.72 21 15.82 [2406] [575] [402] 00 •�BB�B�BBQ: 41.44 [1052] 36.67 35.71 tAIR(DJTLEF [931 ] [907] �NDENSER FRONT VIEW RIGHTMEW AIR INLET 44.70 [1135] 42.99 [1092] 22 ELEC K/Os 3X X 1" SUPPLYAIR 8 PLACES ELEC K/Os 29.76 [756] 1 /2" 2 PLACES 2.00 29.79 [51 ] [757] 2.00 [51] RET U RN AI R j�,r1 Neleig-} MAA1042H MAA1048H 40.40 MAA0H Base w/Economizer w/3 Phase w/Economizer & [1026] 32.59 MAA204242H 3 Phase [828] MAA2048H MAA2060H Pounds 528 551 581 604 Kilograms 239 250 264 274 10.41 Filter Si7 [264] REAR VIEW MAA1042H/1048H/1060H INCHES MILLIMETERS PART NUMBER FILTERS PER UNIT MERV RATING MAA2042H/2048H/2060H RETURN AIR FILTER 18 x 20 x 1 457 x 508 x 25 91943 2 8 Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.1 14 —FILTER ACCESS CR. BREAKER DISOCINNECT ACCESS —SERVICE PORT ACCESS 2.83 [72] l 6.00 [406] 16.00 [406] 16.00 [4064] 16.00 [406� 16.00 [406] 11.59 [294] ❑ ., r ❑ 0 Please consult the Marvai& website at www.marvair.com for the latest product literature. Detailed dimensional data is available upon ❑ request. A complete warranty statement can be found in each product's Installation/Operation Manual, on our website or by contacting Marvair at 229-273-3636. As part of the Marvair continuous improvement program, specifications are subject to change without notice. P.O. Box 400 • Cordele, GA 31010 15 ing ive Cordele, GA 31015 Marva i r® Ph6 29 2173- 6r36 Fax: 229 2 3-51154 An ACSBrand Email: marvair@airxcs.com • Internet: www.marvair.com Designed. Engineered �!a 61 —'— Assembled krr the USA The Educated Air Conditioning Choice 15 Marvair MAA Wall Mount Heat Pumps PDS 12/2021 Rev.l Submittal Data Job Data: I Location: Buyer: I I Buyer P.O. #:r Carrier #: Unit Number: I I Model Number: Performance Data Certified By: I I Date: `mi NOTE: Imaoes for illustration Durooses only. Actual models may be sliahtly different. System Size 12 Outdoor Model 38MARBQ12AA1 Electrical Voltage, Phase, Cycle V/Ph/Hz 115-1-60 MCA A. 19 MOCP - Fuse Rating A. 25 Operating Range Cooling Outdoor DB Min - Max °F(°C) -22-122 (-30-50) Heatinq Outdoor DB Min - Max °F(°C) -22-86 (-30-30) Piping Total Piping Length ft (m) 82 (25) Piping Lift' ft (m) 32 (10) Pipe Connection Size - Liquid in (mm) 1/4 (6.35) ,Pipe Connection Size - Suction in (mm) 112 (12.7) Refrigerant Refrigerant Type R410A Metering Device lCharge EEV I Ibs (k) 2.47 (1.12) * Condensing unit above or below indoor unit For Compatibility See Product Data STANDARD FEATURES • Variable Speed (Inverter) • Factory installed Base Pan Heater • Factory installed Crankcase Heater • Low Voltage Controls • Auto -Restart function • Condenser High Temp Protection • Modes: Cool, Heat, Dry, Fan, Auto • Quiet operation • Anti -corrosive fin coating LIMITED WARRANTY* • 10 year limited to original purchaser on compressor and parts upon timely registration, otherwise 5 years *For residential applications. See warranty for full details. Outdoor Coil Face Area S . Ft. 7.9 No. Rows 2 Fins per inch 21 Circuits 4 Compressor Type Rotary Inverter Model KSK103D33UEZ3 Oil Type VG74 Oil Charge FI. Oz. 10.5 Rated Current RLA 11.5 Outdoor Unit Width in (mm) 30.12 (765) Unit Height in (mm) 21.85 (555) Unit Depth in (mm) 11.93 (303) Net Weight Ibs (k) 66.80 (30.3) Airflow CFM 794 Sound Pressure 1 dB(A) 54.0 Copyright 2021 CAC/BDP . Atlanta, GA. 30339 Edition Date: 03/2021 Catalog No: G38MARB-12-1-02SB SUBJECT TO CHANGE WITHOUT NOTICE Page 1 Replaces: G38MARB-1 2-1 -01 SB Performance cc .21 Indoor Model DHMAHBQ12XA1 Energy Star YES Cooling Rated Capacity Btu/h 12,000 Cooling Cap. Range Min - Max Btu/h 3,500-13,200 SEER 23.0 EER 13 Heating Rated Capacity (47°F) Btu/h 12,100 Heating Rated Capacity (17°F) Btu/h 7,400 Heating Maximum Capacity (I TF) Btu/h 12,200 Heating Maximum Capacity (5°F) Btu/h 7,100 Heating Cap. Range Min - Max Btu/h 5,000-12,200 HSPF 11.5 COP (47°F) W/W 3.70 COP (I TF) W/W 2.67 COP (5°F) W/W 1 2.18 Copyright 2021 CAC/BDP . Atlanta, GA. 30339 Edition Date: 03/2021 Catalog No: G38MARB-12-1-02SB SUBJECT TO CHANGE WITHOUT NOTICE Page 2 Replaces: G38MARB-1 2-1 -01 SB Construction View u Ili 2.35 [59.761 Outdoor Model: 38MARBQ12AA1 I A [262.001 T7 81 452-401 3.10 IL25 12ss.7i51 0.69 [78.701 [17-601 6.89 IL04 I [17S_001 12.:<:E1 [313.821 [?f30.:itil I 10-31 33.33] �J [26L941 Copyright 2021 CAC/BDP . Atlanta, GA. 30339 Edition Date: 03/2021 Catalog No: G38MARB-12-1-02SB SUBJECT TO CHANGE WITHOUT NOTICE Page 3 Replaces: G38MARB-12-1-01SB Submittal Data Job Data: Location: Buyer: I Buyer P.O. #:r Carrier #: Unit Number: Model Number: Performance Data Certified By: Date: I Performance - SERIES System Size 12 Indoor Model 40MAHBQ12X71 Electrical Voltage, Phase, Cycle V/Ph/Hz 115-1-60 Power Supply Indoor unit powered by outdoor unit MCA A. 0.25 Controls Wireless Remote Controller (°F/°C Convertible) Standard Wired Remote Controller (°F/°C Convertible) Optional Operating Range Cooling Indoor DB Min -Max °F(°C) 63-90 (17-32) Heating Indoor DB Min -Max °F(°C) 32-86 (0-30) Piping Pipe Connection Size - Liquid in (mm) 1/4 (6.35) Pipe Connection Size - Suction in (mm) 112 (12.7) STANDARD FEATURES • Modes: Cool, Heat, Dry, Fan, Auto • Turbo Mode • Four fan speeds • Sleep Mode • Relative Humidity Sensor • Intelligent Eye (Occupancy Sensor) • ECO Mode • Up -Down Louver control (fixed or swing) • Follow Me (senses temperature at handheld remote) • Heating Setback (46' F Heating Mode) • Quiet indoor operation • Aluminum Golden Hydrophilic pre -coated fins CONTRO S: • Wireless Remote Controller included with indoor unit M TED ARRANT • 10 year limited to original purchaser on compressor and parts upon timely registration, otherwise 5 years 'For residential applications. See warranty for full details. Face Area Sq. Ft. 2.15 Indoor Coil No. Rows 2 Fins per inch 20 Circuits 3 Unit Width in (mm) 31.3 (795) Unit Height in (mm) 11.61 (295) Unit Depth in (mm) 8.86 (225) Net Weight Ibs (k) 22.93 (10.4) Number of Fan Speeds 4 Indoor Airflow (lowest to highest) CFM 235/294/353/412 Sound Pressure (lowest to highest) dB(A) 24/30/41/47 Air throw Data ft (m) 27.9 (8.5) Moisture removal Pint/h (uh) 2.417 (1.16) Field Drain Pipe Size O.D. in (mm) 0.625 (16) Performance may vary based on the outdoor unit matched to. See compatible outdoor units pages for Performance Data. For Compatibility See Product Data Copyright 2021 Carrier Corporation . 7310 W. Morris St. Indianapolis, IN 46231 Edition Date: 0212021 Catalog No: SUB40MAHB-12-1-02 SUBJECT TO CHANGE WITHOUT NOTICE Page 1 Replaces: SUB40MAHB-1 2-1 -01 cce or e KSACN0801AAA Wired Remote Control 7 Day Programmable KSACN0101AAA Wired Remote Control with Timer Function KSAIF0601AAA Wi-Fi Kit High Wall Mid -Tier on r c on e ndoor Model: MAHBQ12 Al k A I Unit Width in (mm) 31.3 (795) Unit Height in (mm) 11.61 (295) Unit Depth in (mm) 8.86 (225) Net Weight Ibs (kg) 22.93 (10.4) VMS E Copyright 2021 Carrier Corporation . 7310 W. Morris St. Indianapolis, IN 46231 Edition Date: 0212021 Catalog No: SUB40MAHB-12-1-02 SUBJECT TO CHANGE WITHOUT NOTICE Page 2 Replaces: SUB40MAHB-12-1-01 Carri� SUBMITTAL Project Santa Clarita - Newhall Community Center Date Monday, August 1, 2022 Shawn Harlan Table Of Contents Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ID 8 --------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- 3 Unit Report 4 Certified Drawing 5 Performance Summary 6 ID3,4 9 Unit Report 10 Certified Drawing 11 Performance Summary 14 ID1,10,11,12 17 Unit Report 18 Certified Drawing 19 Performance Summary 22 ID 2 25 Unit Report 26 Certified Drawing 27 Performance Summary 30 ID 7 33 Unit Report 34 Certified Drawing 35 Performance Summary 37 ID 5 40 Unit Report 41 Certified Drawing 42 Performance Summary 47 ID 6 50 Unit Report 51 Certified Drawing 52 Performance Summary 57 Packaged Rooftop Builder 1.67 Page 2 of 59 ID 8 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 3 of 59 Unit Report For ID 8 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Unit Model:________________________ 48VLUE240603-TP Unit Size: 24 (2.0 Tons) Volts-Phase-Hertz----------------------------208-1-60 Heating Type: Gas Duct Cfg:__________ Vertical Supply / Vertical Return 60,000 Btuh Ultra Low NOx Unit Unit Configuration Tin -Plated Indoor Coil Hairpins Warranty Information 1 year warranty on parts 5 year warranty on compressor 5 year warranty on heat exchanger No optional warranties were selected. Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 4' 0.1875„ Unit Width: 2' 8.625„ Unit Height: 3' 7.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 304 lb NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Descri tion Quanti 48VLUE240603-TP Rooftop Unit 1 Base Unit Tin -Plated Indoor Coil Hairpins Packaged Rooftop Builder 1.67 Page 4 of 59 Certified Drawing for ID 8 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM FfEW in �i 12-13116 [325.N] 32-SPB St8.7 4RNIx pxiLET 31 N• r 7r@• n9.tl N, PDEE.TP . LEFT SIDE VIEW [22.2] Packaged Rooftop Builder 1.67 I` TOP VIEW C12N.01 FROM VIEW sum COIL N MMMMEEMEMM ABgEM CLEIRRI IM TO DMISIMMLE IW71. TOP OF RN]i...............................................11 INCHES INN] [355.8] DUCT SIRE OA RNIT................................... _---. 2 [SR .'] SIRE OP PO3ITE DUCTS..... .................................. ROTTOX OF UNIT ......................... ............1 _..11 [355.6] I2 FLUE PAY EL..................................�..__....___.. 412.71 36 [911.4] .41 wt FMAM C rasa INCHES INN] UNITEA1 JNIFS, PRMER ENFR7 SIRE ........ . .........../2 UNIT AXW 1NGAOUNOER 5RRFAC ES. POKER ENTWY SIRE......... C78ib.i] .. 36 UNIT FXR 6LOCN OR CONCRETE BALL$ ANR OTHER c?ouN1PEP—FiCES, PWR INTRT SIRE ............. ae [tA44.b] R5MMM N7 w.... M TCR0101 AM >sWY101R ES [XN] INC[3'. EVAP, COIL ACCESS $IRE .......................... .... PONNEN [YTRT SIRE..._ _......................... ..._ 36 1.R] ..2 [-6.b] N EXCEPT FOR NEC REO0I3EYEMFSI UNIT Top..... .................................... 46 C1294.2] SIRE MITE ]JCT5................�.-........,..,... RN CT PANEL..............................................12 38 [99N.O] [344.81. -MINIMUM OISTANCES:IF JNIi IS PLACER LESS THAN 12 I3O4.81 FROM MALL S YSIEN,FHEN Ts ENPERFORMANCE NAYRE COMPROMISED. OINENSIONS IN FI ARE IN INI MIN ESS PANEL POKER EN1N1 718' 12221 DI F. HOLE 1 CONTROL ENFRY 5-T! [103..2] 19 -15114 15-518 Rb-3+1 E2 S8. 61 IIIIIIIIIIIIIIIIIIIII IIIIIIIIIIII�IIII'll! I I e CME— M 0 M M-3 e-1311fi 3115 1rt' [12,7] N,P.T 3-7R74 2 -1176 iAS ENTA7 [87,3] C32.N] 9-718 PI -5!8 N-W78 1 -13 P16 [230.8] 1549. 3] 1250.91 146. 01 RIGHT SIDE VIEW REAR VIEW 48VL5OO4O4 Page 5 of 59 Performance Summary For ID 8 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part Number:48VLUE240603-TP ARI SEER: Base Unit Dimensions Unit Length. Unit Width: Unit Height: Base Unit Weight (Does not include any accessories):_________ Unit Unit Voltage -Phase -Hertz:_ Air Discharge:______________ Fan Drive Type:____________ Actual Airflow:______________ Site Altitude:________________ Cooling Performance Condenser Entering Air DB:________ Evaporator Entering Air DB:________ Evaporator Entering Air WB:_______ Entering Air Enthalpy:______________ Evaporator Leaving Air DB.________ Evaporator Leaving Air WB:________ Evaporator Leaving Air Enthalpy:__ Net Cooling Capacity:______________ Net Sensible Capacity:_____________ Total Unit Power Input:_____________ Coil Bypass Factor._________________ Heating Performance Heating Airflow-- --------------- Entering Air Temp: Leaving Air Temp:_____________ Gas Heating Input Capacity:__ Gas Heating Output Capacity: - Temperature Rise:_____________ AFUE (%): Supply Fan External Static Pressure Options / Accessories Static Pressure Wet Coil: Total Application Static (ESP + Unit Opts/Acc.): Fan RPM: Fan Power: Fan Motor Size, hp: NOTE: 14.00 48.2 in 32.6 in 43.8 in 304 lb -------------------------------------------------------------------------------------------- 208-1-60 ----------------------------------------------------------------------------------------------Vertical --------------------------------------------------------------------------------------------------Direct 823 CFM 0 ft 95.0 F 80.0 F 67.0 F 31.44 BTU/Ib 60.4 F 58.3 F 25.20 BTU/Ib 23.09 MBH 17.46 MBH 2.00 kW ---------------------------------------------------------------------------------------------------- 0.032 823 CFM 70.0 F 125.1 F 60.0 MBH 49.0 MBH - 55.1 F -------------------------------------------------------------------------------------------------------- 81.0 0.50 in wg Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Minimum Voltage: 197 Maximum Voltage: 253 Compressor RLA: 8.7 Compressor LRA: 46 Outdoor Fan FLA (ea): 0.6 Indoor Fan Motor FLA: 3.9 Power Supply MCA. 15.4 Power Supply MOCP (Fuse or HACR): 20 Packaged Rooftop Builder 1.67 Page 6 of 59 Performance Summary For ID 8 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Rating: Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz NA NA NA 125 Hz NA NA 71.5 250 Hz NA NA 71.0 500 Hz NA NA 64.0 1000 Hz NA NA 61.3 2000 Hz NA NA 60.0 4000 Hz NA NA 57.6 8000 Hz NA NA 49.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 2. Horizontal distance from unit to receiver:_________50.0 3. Receiver height above ground:_____________________5.7 4. Height of obstruction: 0.0 5. Horizontal distance from obstruction to receiver: 0.0 6. Horizontal distance from unit to obstruction: 0.0 Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 0.0 71.5 71.0 64.0 61.3 60.0 57.6 49.0 75.1 Lw B - 26.2 55.4 62.4 60.8 61.3 61.2 58.6 47.9 68.3 LwA C 0.0 39.1 38.6 31.6 28.9 27.6 25.2 16.6 42.7 L D - 26.2 23.0 30.0 28.4 28.9 28.8 26.2 15.5 35.9 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA 69.0 db Packaged Rooftop Builder 1.67 Page 7 of 59 Performance Summary For ID 8 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Packaged Rooftop Builder 1.67 Page 8 of 59 ID3,4 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ID3,4 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 9 of 59 Unit Report For ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Dimensions (ft. in.) & Weight (lb.) *** Unit Model:__________________ 48FCGA04A2M5-3AOAO Unit Length:_ 6' 2.375" Unit Size: 04 (3 Tons) Unit Width: 3' 10.625„ Volts -Phase -Hertz: 208-3-60 Unit Height: 2' 9.375„ Heating Type: Gas Total Operating Weight: 527 lb Duct Cfg:____Horizontal Supply / Horizontal Return Ultra Low Nox, Low Heat Weights and Dimensions are approximate. Weight does Standard One Stage Cooling Models not include unit packaging. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 1/2 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 2 Return Air Filter Size: ---------------------------------------------- 16 x 25 x 2 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards SystemVu Controls Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCGA04A2M5-3AOAO Rooftop Unit 2 Base Unit Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards SystemVu controller, No intake or exhaust option. SystemVu controller meets California Title 24 Sect Packaged Rooftop Builder 1.67 Page 10 of 59 Certified Drawing for ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan O2:38PM NOTES: UNIT J I 1. DIMENSIONS ARE IN INCHES, DIMENSIONS 48FC++D4 33 3/8 18 5/8 IN I ] ARE IN M]LL]MET ERS. 18411 14121 2. CENTER OF GRAVITY 48FC+,05 33 3/8 [847] 14 7/8 [377] 3_ DIRECTION OF AIR FLOW 48FC+�06 3/8 C847] 33 41 3/8 1 C377] 4 7/8 18 5/8 33 3/8 [848] 48FC++07 C10511 14721 32-I /8 ` ECONOMIZER HOOD 1 4. ALL VIEW DRAWN USING III ANGLE C817] (OPTIONAL) 16 111111111110. 3-3/4 1911 111861 LEFT 01] R 5-5/8 [652] ET IIRN AIR r [277I RETURN AIR 44-1/8 29-1/2 I [1120.9] Y W Z f E ALT. CONDENSATE T7-3/4 C451] [748] MOO, i [ DRAIN OPER I N6 IN BASEPAN SUPPLY C675] SUPPLY26-518 SUPPLY 14-1/2 AIR C369] 12-I /2 II -I /2 C318] SEE THE X C2931 RATE BASE CHART 10-1/8 12561 2X 23-3/4 C6031 3-I /4 [SII [158] 4 FLUE C101] HOOD 12 1/8 C3071 2X 25 C 635] 18-3/8 14661 2X 4-s/8 TOP [118] -ELECTRICAL DISCONNECT LOCATION A g G OPTIONAL CONTROL BOX FACTORY ACCESS PANEL ]NIT AL LED INDOOR BLOWER D]ACONN [CI ACCESS PANEL ANGLE 1494 /2 4 sm [1688 C287] 00C HANDLE 8-3/8 30-1 /8 [214] [766] 74-3/8 8891 FRONT CONNECTION SIZES A 1 3/8" 1351 DIA FIELD POWER SUPPLY HOLE B 2" 1501 DIA POWER SUPPLY KNOCKOUT C 1 3/4" 1511 DIA GAUGE ACCESS PLUG D 7/8" 1221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NPT CONDENSATE DRAIN F 112"-14 NPT GAS CONNECTION G 2 112 1641 DIA POWER SUPPLY KNOCK OUT THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE IRE T"1118 A00, 009A 00 THREADED CONDUIT SIZE WIRE USE REQ'D HOLE SIZES W 112" 115V 7/V [22,21 X 112" 24V 7/8" 122.21 Y 3/4" POWER 1-1/8" 128.6] Z' (009A00) 112" LET GAS 1-I/8" [P8. 6] FOR "THRU-THE-BASEPAN" FACTORY OPTION, FITTINGS FOR ONLY X, Y, 8 Z ARE PROVIDED ' (008A00) PROVIDES 3/4" FPT THRU CURB FLANGE 8 FI IT]N6. E STD. 10-7/a CONDENSATE [275] 1 DRAIN C25I FILTER 17-3 /8 25-314 C441] [6531 AIR SUPPLY AIR RETURN 8 C 302] 21 -I /4 T C539I OUTSIDE s R A] 5-3/4 [I46] [161] 7 5-3/4 [177J [146] 26-7/8 [6821 31 BAROMETRIC [786.] RELIEF SUPPLY FLOW Alp R7RURN � RIGHT Packaged Rooftop Builder 1.67 Page 11 of 59 Certified Drawing for ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan O2:38PM UNIT STD. UNIT WE7 G HT ' CORNER WEIGHT (AI CORNER WEIGHT (A) CORNER WEIGHT (C) CORNER WEIGHT (D) C.G. HEIGHT ix.. ... n wrvi.rv..... i o. oi.u...o.xu u.berw .. wT/uou/ WRITTEN coxsEaT. LES. KG. LES. KG. LES. KG. LBS. KG. LBS. KG. M Y Z 48FC4404 482 219 113 51 116 53 128 58 125 57 37 5/8 19561 24 9/16 16241 18 1/4 14641 48FC+�05 543 246 138 63 133 60 133 60 138 63 36 1/2 19271 23 3/8 15941 18 14511 48FC+06 556 252 142 64 136 62 136 62 142 64 36 I/2 [927] 23 3/8 15941 18 14571 48FC+�07 607 275 162 73 152 69 141 64 151 68 36 [914] 22 1/2 15721 19 3/8 14921 RIGHT FRONT NOT3s. I. FOR FlLL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. FRONT Packaged Rooftop Builder 1.67 Page 12 of 59 Certified Drawing for ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM y FILTER ACCESS PANEL COMP. CONDENSER (IDOL-LESS] ACCESS COIL PANEL IN100R COIL ASEE " PANEL 0 00 V I I i—s� 0 100 BACK LEFT 71-1/a RA (INSIDE THE BASS BASE RAIL 8 Sk]RI) 41-I /4 046. O (INSIDE IHE BASE RAILS] INSIDE BASERAIL DIMENSIONS BOTTOM i 4 8 i2-1/1 571 CA I-3/4 461 I -3/8 2M 1 [25] [82J 2M 3/4 8 1181 DETAIL C 199I T Y P 4 PLCS CONTROL BOM ACCESS PANEL MIS =I vw IN li 4i e1 �I 3-I /4 59-3/e I82. SI I1", 01 FRONT INDOOR BLOWER ACCESS PANEL SEE DETAIL C 0 2-3/8 7-I/8 I61 .51 EIH 71 TYP CURB WIDTH Packaged Rooftop Builder 1.67 Page 13 of 59 Performance Summary For ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part Number:48FCGA04A2M5-3AOAO ARI SEER: 14.00 Base Unit Dimensions Unit Length. 74.4 in Unit Width: 46.6 in Unit Height: 33.4 in Operating Weight Base Unit Weight: 512 lb AI/Cu - AI/Cu - Louvered Hail Guards: 13 lb SystemVu Controls: 2 lb Total Operating Weight: 527 lb Unit Unit Voltage -Phase -Hertz: 208-3-60 Air Discharge: Horizontal Fan Drive Type: Vane Axial Actual Airflow: 1200 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 60.4 F Evaporator Leaving Air WB: 57.9 F Evaporator Leaving Air Enthalpy: 24.93 BTU/Ib Gross Cooling Capacity: 35.13 MBH Gross Sensible Capacity: 25.39 MBH Compressor Power Input: 2.50 kW Coil Bypass Factor. 0.180 Heating Performance Heating Airflow: 1200 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 107.8 F Gas Heating Input Capacity: 60.0 MBH Gas Heating Output Capacity: 49.0 MBH Temperature Rise: 37.8 F Thermal Efficiency (%): 81.0 Supply Fan External Static Pressure: 0.50 in wg Fan RPM: 1549 Fan Power: 0.27 BHP NOTE: Selected IFM RPM Range: 1079 - 2190 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 10.4 Compressor #1 LRA: 73 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 5.1 Combustion Fan Motor FLA (ea)- 0.48 Power Supply MCA. 20 Packaged Rooftop Builder 1.67 Page 14 of 59 Performance Summary For ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/20Z Prepared By: Shawn Harlan 02:38PN Power Supply MOCP (Fuse or HACR): Disconnect Size FLA: Disconnect Size LRA: Electrical Convenience Outlet:__________________________________ Outdoor Fan [Qty / FLA (ea)]: Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 86.5 81.0 85.6 125 Hz 79.1 72.7 84.7 250 Hz 71.4 64.6 80.5 500 Hz 63.1 56.4 76.0 1000 Hz 60.1 58.3 72.4 2000 Hz 56.9 49.5 68.0 4000 Hz 53.5 43.4 62.8 8000 Hz 54.8 39.8 59.3 A -Weighted 69.1 63.4 79.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 85.6 84.7 80.5 76.0 72.4 68.0 62.8 59.3 89.2 Lw B 59.4 68.6 71.9 72.8 72.4 69.2 63.8 58.2 78.5 LwA C 53.2 52.3 48.1 43.6 40.0 35.6 30.4 26.9 56.8 L D 27.0 36.2 39.5 40.4 40.0 36.8 31.4 25.8 46.1 LpA 30 20 84 None 1 / 1.5 Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA Packaged Rooftop Builder 1.67 Page 15 of 59 Performance Summary For ID 3, 4 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. a) L a) L a U (B U) FanCurve aoRPM 18 \ \ 1.50BHP - 16 \ 17(XIRPM \ 1.4 12 \1500RPM 1D \ �X'-1.00BHP- 13OURPM O6 110ORPM 5BHP 900RPM D4 700RPM \ 0.50BH - 500RPM CD M 06 C9 12 15 18 A dow(CFM-thousands) RPM=1549 BHP=0.27 MaximumRPM=2490 MaxlmumBHP=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 16 of 59 ID 17 107 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ID1910911912 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 17 of 59 Unit Report For ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Dimensions (ft. in.) & Weight (lb.) *** Unit Model:__________________ 48FCGA06A2M5-3AOAO Unit Length:_ 6' 2.375" Unit Size: 06 (5 Tons) Unit Width: 3' 10.625„ Volts -Phase -Hertz: 208-3-60 Unit Height: 2' 9.375„ Heating Type: Gas Total Operating Weight: 601 lb Duct Cfg:____Horizontal Supply / Horizontal Return Ultra Low Nox, Low Heat Weights and Dimensions are approximate. Weight does Standard One Stage Cooling Models not include unit packaging. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 1/2 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 2 Return Air Filter Size: ---------------------------------------------- 16 x 25 x 2 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards SystemVu Controls Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCGA06A2M5-3AOAO Rooftop Unit 4 Base Unit Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards SystemVu controller, No intake or exhaust option. SystemVu controller meets California Title 24 Sect Packaged Rooftop Builder 1.67 Page 18 of 59 Certified Drawing for ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan O2:38PM NOTES. UNIT J I 1. DIMENSIONS ARE IN INCHES, DIMENSIONS 48FC++D4 33 3/8 18 5/8 IN I ] ARE IN M]LL]MET ERS. 18411 14121 2. CENTER OF GRAVITY 48FC+,05 33 3/8 [847] 14 7/8 [377] 3_ DIRECTION OF AIR FLOW 48FC+�06 3/8 C847] 33 41 3/8 1 C377] 4 7/8 18 5/8 33 3/8 [848] 48FC++07 C10511 14721 32-I /8 ` ECONOMIZER HOOD 1 4. ALL VIEW DRAWN USING III ANGLE C817] (OPTIONAL) 16 111111111110. 3-3/4 1911 111861 LEFT 01] R 5-5/8 [652] ET IIRN AIR r [277I RETURN AIR 44-1/8 29-1/2 I [1120.9] Y W Z f E ALT. CONDENSATE T7-3/4 C451] [748] MOO, i [ DRAIN OPER I N6 IN BASEPAN SUPPLY C675] SUPPLY26-518 SUPPLY 14-1/2 AIR C369] 12-I /2 II -I /2 C318] SEE THE X C2931 RATE BASE CHART 10-1/8 12561 2X 23-3/4 C6031 3-I /4 [SII [158] 4 FLUE C101] HOOD 12 1/8 C3071 2X 25 C 635] 18-3/8 14661 2X 4-s/8 TOP [118] -ELECTRICAL DISCONNECT LOCATION A g G OPTIONAL CONTROL BOX FACTORY ACCESS PANEL ]NIT AL LED INDOOR BLOWER D]ACONN [CI ACCESS PANEL ANGLE 1494 /2 [1688 C287] 00C HANDLE 8-3/8 30-1 /8 [214] [766] 74-3/8 8891 FRONT CONNECTION SIZES A 1 3/8" 1351 DIA FIELD POWER SUPPLY HOLE B 2" 1501 DIA POWER SUPPLY KNOCKOUT C 1 3/4" 1511 DIA GAUGE ACCESS PLUG D 7/8" 1221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NPT CONDENSATE DRAIN F 112"-14 NPT GAS CONNECTION G 2 112 1641 DIA POWER SUPPLY KNOCK OUT THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE IRE T"1118 A00, 009A 00 THREADED CONDUIT SIZE WIRE USE REQ'D HOLE SIZES W 112" 115V 7/V [22,21 X 112" 24V 7/8" 122.21 Y 3/4" POWER 1-1/8" 128.6] Z' (009A00) 112" LET GAS 1-I/8" [P8. 6] FOR "THRU-THE-BASEPAN" FACTORY OPTION, FITTINGS FOR ONLY X, Y, 8 Z ARE PROVIDED ' (008A00) PROVIDES 3/4" FPT THRU CURB FLANGE 8 FI IT]N6. E STD. 10-7/a CONDENSATE [275] 1 DRAIN C25I FILTER 17-3 /8 25-314 C441] [6531 AIR SUPPLY AIR RETURN 8 C 302] 21 -I /4 T C539I OUTSIDE s R A] 5-3/4 [I46] [161] 7 5-3/4 [177J [146] 26-7/8 [6821 31 BAROMETRIC [786.] RELIEF SUPPLY FLOW Alp R7RURN � RIGHT Packaged Rooftop Builder 1.67 Page 19 of 59 Certified Drawing for ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan O2:38PM UNIT STD. UNIT WE7 G HT ' CORNER WEIGHT (AI CORNER WEIGHT (8) CORNER WEIGHT (C) CORNER WEIGHT (D) C.G. HEIGHT ix.. ... n wrvi.rv..... i o. oi.u...o.xu u.berw .. wT/uou/ WRITTEN coxsEaT. LBS. KG. LBS. KG. LBS. KG. LBS. KG. LBS. KG. M Y Z 48FC4404 482 219 113 51 116 53 128 58 125 57 37 5/8 19561 24 9/16 16241 18 1/4 14641 48FC+ 543 246 138 63 133 60 133 60 138 63 36 1/2 19271 23 3/8 15941 18 14511 48F64+06 556 252 142 64 136 62 136 62 142 64 36 1/2 [927I 23 3/8 15941 18 14571 48FC+�07 607 275 162 73 152 69 141 64 151 68 36 [914] 22 1/2 15721 19 3/8 14921 RIGHT FRONT NOT3s. I. FOR FlLL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. FRONT Packaged Rooftop Builder 1.67 Page 20 of 59 Certified Drawing for ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM y FILTER ACCESS PANEL COMP. CONDENSER (IDOL-LESS] ACCESS COIL PANEL IN100R COIL ASEE " PANEL 0 00 V I I i—s� 0 100 BACK LEFT 71-1/a RA (INSIDE THE BASS BASE RAIL 8 Sk]RI) 41-I /4 046. O (INSIDE IHE BASE RAILS] INSIDE BASERAIL DIMENSIONS BOTTOM i 4 8 i2-1/1 571 CA I-3/4 461 I -3/8 2M 1 [25] [82J 2M 3/4 8 1181 DETAIL C 199I T Y P 4 PLCS CONTROL BOM ACCESS PANEL MIS =I vw IN li 4i e1 �I 3-I /4 59-3/e I82. SI I1", 01 FRONT INDOOR BLOWER ACCESS PANEL SEE DETAIL C 0 2-3/8 7-I/8 I61 .51 EIH 71 TYP CURB WIDTH Packaged Rooftop Builder 1.67 Page 21 of 59 Performance Summary For ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part Number:48FCGA06A2M5-3AOAO ARI SEER: 14.00 Base Unit Dimensions Unit Length. 74.4 in Unit Width: 46.6 in Unit Height: 33.4 in Operating Weight Base Unit Weight: 586 lb AI/Cu - AI/Cu - Louvered Hail Guards: 13 lb SystemVu Controls: 2 lb Total Operating Weight: 601 lb Unit Unit Voltage -Phase -Hertz: 208-3-60 Air Discharge: Horizontal Fan Drive Type: Vane Axial Actual Airflow: 2000 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 59.3 F Evaporator Leaving Air WB: 57.7 F Evaporator Leaving Air Enthalpy: 24.85 BTU/Ib Gross Cooling Capacity: 59.31 MBH Gross Sensible Capacity: 44.73 MBH Compressor Power Input: 4.14 kW Coil Bypass Factor. 0.163 Heating Performance Heating Airflow: 2000 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 92.7 F Gas Heating Input Capacity: 60.0 MBH Gas Heating Output Capacity: 49.0 MBH Temperature Rise: 22.7 F Thermal Efficiency (%): 81.0 Supply Fan External Static Pressure: 0.50 in wg Fan RPM: 1991 Fan Power: 0.84 BHP NOTE: Selected IFM RPM Range: 1420 - 2390 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 16 Compressor #1 LRA: 110 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 8.6 Combustion Fan Motor FLA (ea)- 0.48 Power Supply MCA. 31 Packaged Rooftop Builder 1.67 Page 22 of 59 Performance Summary For ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/20Z Prepared By: Shawn Harlan 02:38PN Power Supply MOCP (Fuse or HACR): Disconnect Size FLA: Disconnect Size LRA: Electrical Convenience Outlet:__________________________________ Outdoor Fan [Qty / FLA (ea)]: Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 91.1 88.5 85.6 125 Hz 82.1 78.1 84.7 250 Hz 76.2 71.2 80.5 500 Hz 73.0 64.8 76.0 1000 Hz 69.5 67.2 72.4 2000 Hz 67.0 58.5 68.0 4000 Hz 63.3 51.7 62.8 8000 Hz 59.6 46.1 59.3 A -Weighted 76.2 71.1 79.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 85.6 84.7 80.5 76.0 72.4 68.0 62.8 59.3 89.2 Lw B 59.4 68.6 71.9 72.8 72.4 69.2 63.8 58.2 78.5 LwA C 53.2 52.3 48.1 43.6 40.0 35.6 30.4 26.9 56.8 L D 27.0 36.2 39.5 40.4 40.0 36.8 31.4 25.8 46.1 LpA 45 30 126 None 1 / 1.5 Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA Packaged Rooftop Builder 1.67 Page 23 of 59 Performance Summary For ID 1, 10, 11, 12 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. (B U) FanCurve A dow(CFM-thousands) RPM=1991 BHP=0.84MaximumRPM=2836MaximumBHP=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 24 of 59 ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM 11 WIJ Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 25 of 59 Unit Report For ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Dimensions (ft. in.) & Weight (lb.) *** Unit Model:__________________ 48FCDM07A2M5-3AOAO Unit Length:_ 6' 2.375" Unit Size: 07 (6 Tons) Unit Width: 3' 10.625„ Volts -Phase -Hertz: 208-3-60 Unit Height: 3' 5.375„ Heating Type: Gas Total Operating Weight: 626 lb Duct Cfg:____Horizontal Supply / Horizontal Return Low Heat Weights and Dimensions are approximate. Weight does Single Circuit, Two Stage Cooling (07 only) not include unit packaging. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 1/2 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 4 Return Air Filter Size: ---------------------------------------------- 16 x 16 x 2 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards SystemVu Controls Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) 10-Year heat exchanger - Aluminized(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCDM07A2M5-3AOAO Rooftop Unit 1 Base Unit Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards SystemVu controller, No intake or exhaust option. SystemVu controller meets California Title 24 Sect Packaged Rooftop Builder 1.67 Page 26 of 59 Certified Drawing for ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan O2:38PM NOTES. UNIT J I 1. DIMENSIONS ARE IN INCHES, DIMENSIONS 48FC++D4 33 3/8 18 5/8 IN I ] ARE IN M]LL]MET ERS. 18411 14121 2. CENTER OF GRAVITY 48FC+,05 33 3/8 [847] 14 7/8 [377] 3_ DIRECTION OF AIR FLOW 48FC+�06 3/8 C847] 33 41 3/8 1 C377] 4 7/8 18 5/8 33 3/8 [848] 48FC++07 C10511 14721 32-I /8 ` ECONOMIZER HOOD 1 4. ALL VIEW DRAWN USING III ANGLE C817] (OPTIONAL) 16 111111111110. 3-3/4 1911 111861 LEFT 01] R 5-5/8 [652] ET IIRN AIR r [277I RETURN AIR 44-1/8 29-1/2 I [1120.9] Y W Z f E ALT. CONDENSATE T7-3/4 C451] [748] MOO, i [ DRAIN OPER I N6 IN BASEPAN SUPPLY C675] SUPPLY26-518 SUPPLY 14-1/2 AIR C369] 12-I /2 II -I /2 C318] SEE THE X C2931 RATE BASE CHART 10-1/8 12561 2X 23-3/4 C6031 3-I /4 [SII [158] 4 FLUE C101] HOOD 12 1/8 C3071 2X 25 C 635] 18-3/8 14661 2X 4-s/8 TOP [118] -ELECTRICAL DISCONNECT LOCATION A g G OPTIONAL CONTROL BOX FACTORY ACCESS PANEL ]NIT AL LED INDOOR BLOWER D]ACONN [CI ACCESS PANEL ANGLE 1494 /2 [1688 C287] 00C HANDLE 8-3/8 30-1 /8 [214] [766] 74-3/8 8891 FRONT CONNECTION SIZES A 1 3/8" 1351 DIA FIELD POWER SUPPLY HOLE B 2" 1501 DIA POWER SUPPLY KNOCKOUT C 1 3/4" 1511 DIA GAUGE ACCESS PLUG D 7/8" 1221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NPT CONDENSATE DRAIN F 112"-14 NPT GAS CONNECTION G 2 112 1641 DIA POWER SUPPLY KNOCK OUT THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE IRE T"1118 A00, 009A 00 THREADED CONDUIT SIZE WIRE USE REQ'D HOLE SIZES W 112" 115V 7/V [22,21 X 112" 24V 7/8" 122.21 Y 3/4" POWER 1-1/8" 128.6] Z' (009A00) 112" LET GAS 1-I/8" [P8. 6] FOR "THRU-THE-BASEPAN" FACTORY OPTION, FITTINGS FOR ONLY X, Y, 8 Z ARE PROVIDED ' (008A00) PROVIDES 3/4" FPT THRU CURB FLANGE 8 FI IT]N6. E STD. 10-7/a CONDENSATE [275] 1 DRAIN C25I FILTER 17-3 /8 25-314 C441] [6531 AIR SUPPLY AIR RETURN 8 C 302] 21 -I /4 T C539I OUTSIDE s R A] 5-3/4 [I46] [161] 7 5-3/4 [177J [146] 26-7/8 [6821 31 BAROMETRIC [786.] RELIEF SUPPLY FLOW Alp R7RURN � RIGHT Packaged Rooftop Builder 1.67 Page 27 of 59 Certified Drawing for ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan O2:38PM UNIT STD. UNIT WE7 G HT ' CORNER WEIGHT (AI CORNER WEIGHT (A) CORNER WEIGHT (C) CORNER WEIGHT (D) C.G. HEIGHT ix.. ... n wrvi.rv..... i o. oi.u...o.xu u.berw .. wT/uou/ WRITTEN coxsEaT. LES. KG. LES. KG. LES. KG. LBS. KG. LBS. KG. M Y Z 48FC4404 482 219 113 51 116 53 128 58 125 57 37 5/8 19561 24 9/16 16241 18 1/4 14641 48FC+�05 543 246 138 63 133 60 133 60 138 63 36 1/2 19271 23 3/8 15941 18 14511 48FC+06 556 252 142 64 136 62 136 62 142 64 36 I/2 [927] 23 3/8 15941 18 14571 48FC+�07 607 275 162 73 152 69 141 64 151 68 36 [914] 22 1/2 15721 19 3/8 14921 RIGHT FRONT NOT3s. I. FOR FlLL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. FRONT Packaged Rooftop Builder 1.67 Page 28 of 59 Certified Drawing for ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM y FILTER ACCESS PANEL COMP. CONDENSER (IDOL-LESS] ACCESS COIL PANEL IN100R COIL ASEE " PANEL 0 00 V I I i—s� 0 100 BACK LEFT 71-1/a RA (INSIDE THE BASS BASE RAIL 8 Sk]RI) 41-I /4 046. O (INSIDE IHE BASE RAILS] INSIDE BASERAIL DIMENSIONS BOTTOM i 4 8 i2-1/1 571 CA I-3/4 461 I -3/8 2M 1 [25] [82J 2M 3/4 8 1181 DETAIL C 199I T Y P 4 PLCS CONTROL BOM ACCESS PANEL MIS =I vw IN li 4i e1 �I 3-I /4 59-3/e I82. SI I1", 01 FRONT INDOOR BLOWER ACCESS PANEL SEE DETAIL C 0 2-3/8 7-I/8 I61 .51 EIH 71 TYP CURB WIDTH Packaged Rooftop Builder 1.67 Page 29 of 59 Performance Summary For ID 2 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part Number:48FCDM07A2M5-3AOAO ARI EER: 11.00 IEER: 15.0 Base Unit Dimensions Unit Length. 74.4 in Unit Width: 46.6 in Unit Height: 41.4 in Operating Weight Base Unit Weight: 607 lb AI/Cu - AI/Cu - Louvered Hail Guards: 17 lb SystemVu Controls: 2 lb Total Operating Weight: 626 lb Unit Unit Voltage -Phase -Hertz: 208-3-60 Air Discharge: Horizontal Fan Drive Type: Vane Axial Actual Airflow: 2100 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 57.1 F Evaporator Leaving Air WB: 56.2 F Evaporator Leaving Air Enthalpy: 23.91 BTU/Ib Gross Cooling Capacity: 71.15 MBH Gross Sensible Capacity: 52.00 MBH Compressor Power Input: 5.27 kW Coil Bypass Factor. 0.083 Heating Performance Heating Airflow: 2100 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 93.8 F Gas Heating Input Capacity: 67.0 MBH Gas Heating Output Capacity: 54.0 MBH Temperature Rise: 23.8 F Thermal Efficiency (%): 81.0 Supply Fan External Static Pressure- 0.50 in wg Fan RPM: 1938 Fan Power: 0.77 BHP NOTE: Selected IFM RPM Range: 1537 - 2530 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 17.5 Compressor #1 LRA: 136 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 4.5 Combustion Fan Motor FLA (ea): 0.48 Packaged Rooftop Builder 1.67 Page 30 of 59 Performance Summary For ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Power Supply MCA. 28 Power Supply MOCP (Fuse or HACR): 45 Disconnect Size FLA: 27 Disconnect Size LRA: 146 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 1 / 1.5 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 89.9 87.7 85.6 125 Hz 80.8 77.2 84.7 250 Hz 74.9 70.6 80.5 500 Hz 72.4 63.8 76.0 1000 Hz 68.7 66.5 72.4 2000 Hz 66.3 57.8 68.0 4000 Hz 62.7 50.9 62.8 8000 Hz 59.2 45.5 59.3 A -Weighted 75.3 70.4 79.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 85.6 84.7 80.5 76.0 72.4 68.0 62.8 59.3 89.2 Lw B 59.4 68.6 71.9 72.8 72.4 69.2 63.8 58.2 78.5 LwA C 53.2 52.3 48.1 43.6 40.0 35.6 30.4 26.9 56.8 L D 27.0 36.2 39.5 40.4 40.0 36.8 31.4 25.8 46.1 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw Packaged Rooftop Builder 1.67 Page 31 of 59 Performance Summary For ID 2 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. a) a) L a U (B FanCurve 27 Z-Iff PM 24 21 18 \ \ OOBHP 15 1 12 \ 1 D9 1 OOBHP D6 F;p M 0.50P 0.7 100 CD_ CD D2 04 D6 M 1D 12 14 16 18 2D 22 24 26 28 3D A daw(CFM-thousands) RPM=1938 BHP=0.77 MaximumRPM=2836 MaxlmumBHP=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 32 of 59 ID 7 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ID 7 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 33 of 59 Unit Report For ID 7 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Unit Model:__________________ 48FCEM16A5M5-3A6A0 Unit Size: 16 (15 Tons) Volts-Phase-Hertz----------------------------208-3-60 Heating Type: Gas Duct Cfg:____Horizontal Supply / Horizontal Return Medium Heat Single Circuit, Two Stage Cooling Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 3/4 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 6 Return Air Filter Size: ---------------------------------------------- 18 x 24 x 2 Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 9' 7.875„ Unit Width: 5' 6.375„ Unit Height: 4' 9.375„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 1480 lb Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Standard/Medium Static (EcoBlue) with Filter Status Switch AI/Cu - AI/Cu - Louvered Hail Guards SystemVu Controls MERV 13 - 4" Filters Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) 10-Year heat exchanger - Aluminized(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCEM16A5M5-3A6A0 Rooftop Unit 1 Base Unit Standard/Medium Static EcoBlue with Filter Status Switch AI/Cu - AI/Cu - Louvered Hail Guards MERV 13 - 4" Filters SystemVu controller, No intake or exhaust option. SystemVu controller meets California Title 24 Sect Field Installed Accessories CRDUCTCV002A00 Supply Duct Cover 1 Packaged Rooftop Builder 1.67 Page 34 of 59 Certified Drawing for ID 7 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM NOTES'. 1. DIMENSIONS ARE IN ]NINES, DIMENSIONS IN [ J ARE IN MILLI M ETERS. 2. CENTER OF GRAVITY 3. DIRECTION OF AIR FLOW FILT[R/ECONOMIZER ACCESS PANEL (DISPOSABLE FILTERS) COMPRESSOR CONDENSER ACCESS COIL PANEL ]SPOOR COIL B- ACCESS PANEL 00 00' PRESSURE GAUGE MANIFOLD B AC B HANDLE ACCESS SLOT E LECI RI CAL DISCONNECT LOCATION 4-5/8 [1191 CONDENSER OIL 6-114 C666] 35-3/4 nn1 19-114 8 [110] 13-3 /4 3-3/4 22-3/4 [95] [350] [578] 7-3/4 63-318 [196] C1609] LEFT 22-1/2 01110. [573J 18-1 /8J [459] 1 [3580] [1124] —REMOV PLATE [1-335]/8 E ALT. CONDENSATE DRAIN OPENING IN BASEPAN THIS DOCUMENT IS THE PROPERTY OF CAAAI CA CORPOP AI ION SUBMIIIIIN ON THESE CliTPLCY All Is DEuvEem NPON THE E111E11 1A'4MI HTHnT THE c sn c0N ER s wTEL No a R u"ED wE Tx uT c RRI naNPT]NCEE COAPOP AT]ON'S WRITTEN <aNSENF 0 29 [738J 2-5 JJJ [321]/8 AMI1461 6 _660] RETURN AIR na551 7/8 44-3/8 SUPPLY T4I [1126J AIR CONNECTION SIZES B 2 112" 1641 DIA POWER SUPPLY HOLE D 718" [221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NET CONDENSATE DRAIN F 7/8" 1221 DIA FIELD CONVENIENCE OUTLET HOLE G 3/4"-14 NET GAS CONNECTION THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE CRBTMPWRO05AOO 006A00, 007AOO ACCESSORY N0. THREADED CONDUIT SIZE WIRE USE RIO'D HOLE SIZES (MAX.) W 112" ACC. 7/8" 122. 21 X 112" 24V 7/8" 122, 21 005 Y 1 114" POWER 1 112" 138.11 Z 3/4" PIPE GAS 1 3/4" 144.51 W 112" ACC. 7/8" 122.21 X 112" 24V 7/8" 122. 21 006 Y 1 112" POWER 2" 150.81 Z 3/4" PIPE GAS 3/4" 144. 5] W 112" ACC, 7/8" 122,21 X 112" 24V 7/8" 122. 21 007 Y 2" POWER 2 112" 163.51 Z 3/4" PIPE GAS 1 1 3/4" 144.51 FOR "THRU-THE-BASILAN" FACTORY OPTION, FITTINGS FOR X 8 Y ARE PROVIDED AS SPECIFIED ON "006"- 11 -1/8 C302] 4-3/8 � C111] FILTERS1 34-1/2 876] E AIR .17OUTSID E STD. 4111/8 CONDENSATE 111121 DR A] N ':: 31-3/4 — \`D T 14-5/8 [806] 25-5/8 C 373] SUPPLY A]R[650] HORIZONTAL 2-5/8 TYP uJ _ L 7-7/8 6-5/8 6-7/8 11981 [167] [175] 6151 67] BASE RAIL 49-1 /2 6-1/8 41-1/2 - C154] [1257] C154I BAROM ET R]C / POWER WIDTH 11056J 115-7 /8J RE L]€F EXHAUST F21421 SUPPLY FLOW FRONT AIR RETURN RIGHT AIR ITS CLASSIFICAT]ON SHEET DATE SUPERCEDES 48FC 16 SINGLE ZONE ELECTRICAL REV U.S. [CCN:NSR 1 OF 2 06/10/21 - COOLING WITH GAS HEAT SOTM002025 57- 114 1 I INDOOR BLOWER INDOOR BLOWER [DISCONNECT OPTIONAL — ACCESS PANEL ACCESS PANEL I FACT OUTLET=_—_ HANDL Packaged Rooftop Builder 1.67 Page 35 of 59 Certified Drawing for ID 7 'roject: Santa Clarita - Newhall Community Center 08/01/202, 'repared By: Shawn Harlan 02:38PN THIS ROL"MENT IS THE PROPERTY OF CARRIER CgRPOR AI ION CaYJYCY ANo is RaEveallo uPON T"E ESPo '"AT ""� suamss mry or I"aE II ryes OR oocuMeRls C OUT LAAR µ WE9 NOI ONSI]IU E PA AI PERFORMANCE OR oR ueeo) i�x T n I. ACCEPTANCE OF CONTRACT. STANDARD UNIT WEIGHT IS WITH LOW HEAT 8 WITHOUT FOR OPT]ONS 8 ACCESSORIES, REFER TO THE PRODUCT PACKA6]N6. DATA CATALOG. 81-I /4 32-3/4 [2064. 91 C832.51 CORNER A CORNER B� ' HORIZONTAL ECONOMIZER 23-1 /4 HOOD 1590. 51 Y 0 (OPTIONAL) 0 RETURN AI R y CORNER D CORNER C AURPLY X TOP Z [1298] 6-7/16 f1179] �� E PONT SUPPLY RETURN AIR AIR HORIZONTAL ECONOMIZER ITC ILAssIFICATION SHEET DATE SUPERCEDES 48FC 16 SINGLE ZONE ELECTRICAL Rev 50TM002025 U.S. ECCN:NEER 2 OF 2 06/10/21 COOLING WITH GAS HEAT STD UNIT CORNER CORNER CORNER CORNER C_6_ IN ]T WE]GHT WE]G HT (A) WE]GHT (A) WE]GHT (C) WE]GHT (D) LAS. NG. LAS. NG. LAS. NG. LAS. NG. LAS. KG. M Y Z 48FC-M16 1480 639 373 169 341 155 332 150 362 164 55 3/8 [1407J 31 1/4 [794J 21 I/8 [537] Packaged Rooftop Builder 1.67 Page 36 of 59 Performance Summary For ID 7 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part NumberAUCEM16A5M5-3A6A0 ARI EER:__ IEER: 10.80 14.5 Base Unit Dimensions Unit Length. 115.9 in Unit Width: 66.4 in Unit Height: 57.4 in Base Unit Weight (Does not include any accessories): 1480 lb Unit Unit Voltage -Phase -Hertz: 208-3-60 Air Discharge: Horizontal Fan Drive Type: Vane Axial Actual Airflow: 6000 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 59.0 F Evaporator Leaving Air WB: 57.4 F Evaporator Leaving Air Enthalpy: 24.66 BTU/Ib Gross Cooling Capacity: 183.06 MBH Gross Sensible Capacity: 136.09 MBH Compressor Power Input: 13.50 kW Coil Bypass Factor. 0.093 Heating Performance Heating Airflow: 6000 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 100.1 F Gas Heating Input Capacity: 192.0 / 240.0 MBH Gas Heating Output Capacity: 156.0 / 195.0 MBH Temperature Rise: 30.1 F Supply Fan External Static Pressure- 0.50 in wg Fan RPM: 1666 Fan Power: 2.25 BHP NOTE: Selected IFM RPM Range: 250 - 2200 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 28.2 Compressor #1 LRA: 239 Compressor #2 RLA: 19.6 Compressor #2 LRA: 136 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 7.5 Combustion Fan Motor FLA (ea)- 0.48 Power Supply MCA. 67 Power Supply MOCP (Fuse or HACR): 80 Disconnect Size FLA: 69 Disconnect Size LRA: 398 Packaged Rooftop Builder 1.67 Page 37 of 59 Performance Summary For ID 7 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 3 / 1.5 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 95.5 93.6 87.0 125 Hz 95.9 77.3 85.2 250 Hz 84.1 68.0 84.6 500 Hz 77.8 63.9 84.9 1000 Hz 71.4 61.7 82.2 2000 Hz 68.2 61.0 78.4 4000 Hz 77.6 63.6 75.3 8000 Hz 73.6 66.6 72.9 A -Weighted 84.5 72.7 87.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 87.0 85.2 84.6 84.9 82.2 78.4 75.3 72.9 92.4 Lw B 60.869.1 76.0 81.7 82.2 79.6 76.3 71.8 87.1 LwA C 54.6 52.8 52.2 52.5 49.8 46.0 42.9 40.5 60.0 L D 28.4 36.7 43.6 49.3 49.8 47.2 43.9 39.4 54.7 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Packaged Rooftop Builder 1.67 Page 38 of 59 Performance Summary For ID 7 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. 2 U) FanCurve A daw(CFM-thousands) RPM=1666BHP=2.25 MaximumRPM=2200MaximumBHP=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 39 of 59 ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ID 5 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 40 of 59 Unit Report For ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Unit Model:__________________ 48FCDM20AJM5-3U6A0 Unit Size: 20 (17.5 Tons) Volts-Phase-Hertz----------------------------208-3-60 Heating Type: Gas Duct Cfg:____Horizontal Supply / Horizontal Return Low Heat Two Stage Cooling/Single Circuit Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 3/4 Condensate Drain Line Size: ------------------------------------------------ 3/4 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 6 Return Air Filter Size: ---------------------------------------------- 20 x 25 x 2 Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 10' 7.875" Unit Width: 7' 2.375" Unit Height: 3' 11.75" *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 1800 lb Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration High Static Option - Horizontal Models AI/Cu - AI/Cu - Louvered Hail Guard SystemVu Controller Temperature Ultra Low Leak Economizer w/Baro Relief, MERV 13 - 4" Filters Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) 10-Year heat exchanger - Aluminized(std.) 3-Year SystemVu Controller No optional warranties were selected. Vertical and Horizontal Airflow NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCDM20AJM5-3U6A0 Rooftop Unit 1 Base Unit AI/Cu - AI/Cu - Louvered Hail Guard MERV 13 - 4" Filters SystemVu controller, ULTRA LOW LEAK EconoMi$er2 temperature economizer with barometric relief. Syst Packaged Rooftop Builder 1.67 Page 41 of 59 Certified Drawing for ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ECONOMIZER (TYPICAL TYPE) [OPTIONAL) POWER EXHAUST f OPT( ORAL) BACK (PANELS REMOVED TO „IM ECONCMIIER AND POWER EXHAUST OPTIONS) BAROMETRIC RELIEF LAA cOPTIONAL) INCLUDED WITH ECONOMIZER LEFT SHOWN WITH TIE BAROMETRIC RELIEF OPTION INSTALLED 4-3/4 [122 A,B,C- LEFT SHOWN WITH THE POWER EXHAUST OPTION INSTALLED 53-314 25-111 VERTICAL [1365] C64I SUPPLY All,, 19-1/4 6-1/4 VERTICAL C4691 /4 C157] [157] RETURN AIR 1158] a 1 CONNEC T]ON SIZES A 1 3/8" DIA 1351 FIELD POWER SUPPLY KNOCKOUT 8 3" DIA 116I FIELD POWER SUPPLY KNOCKOUT C 3 5/8" DIA 1921 FIELD POWER SUPPLY KNOCKOUT D 7/8" DIA 1221 FIELD CONTROL WIRING HOLE F 3/4"-14 NET GAS CONNECTION (NOT SHOWN) 6 7/8" DIA 122I FIELD CONTROL WIRING KNOCKOUT 68 UTDOOR AI 68-'I NOTES 1114/E HOOD 1173a .2 I, DIMENSIONS ARE IN INCHES, DIM€NSI.1 'OPTIONAL) IN I I ARE IN MILLIMETERS_ 2 GENTEA OF GRAVITY OJI 7LL40�1 3. � DIRECTION OF AIR FLOW 4. '� 'Y ALL VIEW DRAWN USING IRS ANGLE 14- 13591 ABC 4X 7-I /8 8-1 /8 G 6-1 /2 3-I /4 3-7/8 [181] [206] 11 C167] [83] [98] 12-7/8 [279] 13291 1/4" DIA C32] 14-7/8 KNOCKOUT FOR All [379] III BASE GAS PIPING 50-1 /2 FT 2a4I TOP 25 L636I 17-I/E [445] CONVENIENCE OUTLET (OP TIONALI 'TO R2" D]A I51I HOLES 41 -1/8 11044I 1-1 /8 [27] 24-1 /8 16121 24-178 [612] FIN �47 SIP 431 DISCONNECT LOCATION 11 i of 3/8 OUTSIDE All ■r 1 - -17 - it -- DISCONNECT EXHAUST LFE HAND TUIIN INTAKE GOO 2X sa-1n PANEL LIFTING RIGHT IT [1283] 127-7/8 9I DEDICATED VERTICAL AIRFLOW UNIT FRONT 20 SIZE IIC CLASSIFICATION SHEET DATE SUPERCEDES 48FC 20 SINGLE ZONE ELECTRICAL REV U.S. ECCN:NSR 1 OF 5 02/09/22 - COOLING WITH GAS HEAT 50HE003870 Packaged Rooftop Builder 1.67 Page 42 of 59 Certified Drawing for ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ECONOMIZER (TYPICAL TYPE] (OPTIONALI HOOD WITH ECONOMIZER OPTION y J (ECONONIZER SHOWN NFlLFIELD SUPPLIED BEHIND PANEL) POWER 1MHAUST OR UAROM ET RIC RELIEF DAMPER BACK FIELD SUPPLIED (DEDICATED HORIZONTAL AIRFLOW UNIT DUCTWORK RETURN AIRFLOW WITH ECONOMIZER) ORIZONTAL RIIURN �WI IH ICE NOM]Z ER 1145E 11562E LEFT (DEDICATED HORIZONTAL AIRFLOW UNIT RETURN AIRFLOW WITH ECONOMIZER) 3/4 IS2] IS477]-974 [ FIELD ELECTRICAL - - - DISCONNECT OCAT ION 45-3/8 11152] 9-3/8 C240] A,B,C 4-3/4 LEFT 1121E (DEDICATED HORIZONTAL AIRFLOW UNT RETURN AIRFLOW WITHOUT ECONOMIZER) HORIZONTAL RETURN A]R HORIZONTAL W/O ECONOMIZER SUPPLY AIR 4m IDOOR AIF U 68 HOOD (OPTIONAL) »2 C1726] A,B,C i G C14359]-178 0 7-1/8 I.U6] 11 [167] [83J [98] 11811 1279E 1 114" DIA 1321 12-1/8 KNOCKOUT FOR ALT [329] THRU BASE GAS PIPING 4 -7/8 I3791 50-v42 TOP I1281 41-I /8 CONVENIENCE OUTLET [10441 25 [636] (OPTIONAL) 2" D]A C51] HOLES I-1 /8 127E FOR 6AS P]P]NO CONDENS A 17-3 /8 [443] CONTROL 90A FILLIPINDOOR AND BLOWER ACCESS INDOOP ACCESS COIL CONNECTION SIZES A 1 3/8" DIA 1351 FIELD POWER SUPPLY KNOCKOUT A 3" DIA 1161 FIELD POWER SUPPLY KNOCKOUT C 3 5/8" DIA 1921 FIELD POWER SUPPLY KNOCKOUT D 7/8" DIA 1221 FIELD CONTROL WIRING HOLE F 3/4"-14 111 GAS CONNECTION (NOT SHOWN) G 7/8" D[A [22J FIELD CONTROL WIRING KNOCKOUT NOTES_ 1. DIMENSIONS ARE IN INCHES, DIMENSIONS IN1 ] ARE IN MILLIMETERS. 2. & CENTER OF GRAVITY 3, y DIRECTION OF AIR FLOW 4. " ALL VIEW DRAWN USING 3RD ANGLE 24-1 /8 24-1 /8 C 612] [612] PANEL COIL PANEL AIR corvoa rvsEa J 47-3/4 0 PACK EL INLET 493/81214] AIR f GAS ACCESS G[LL [1253I DISCONNECT 15-1 /8 10-1/4 86-3/8 (OPTIONAL] [384] [259] EXHAHOODFLUE [29478 C2194I PANEL LIFTING 2X 50-112 PANEL LIFTING COMBUSTION AIR HANDLE HANDLE n 283E INTAKE HOOD RIGHT 127-7/a 13249E FRONT DEDICATED HORIZONTAL AIRFLOW UNIT 20 SIZE III CLASSIFICATION SH11I DATE SUPIRCIDIS 48FC 20 SINGLE ZONE ELECTRICAL RE u c rr��i��I'D o nr e na ,no�oo _ COOLING W]TH 6AS HEAT SO HE003870 Packaged Rooftop Builder 1.67 Page 43 of 59 Certified Drawing for ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM CONNECTION SIZES E 3/4'-14 NPT CONDENSATE DRAIN AIRFLO HOR]ZONT AL HORIZONTAL RETURN SUPPLY WITHOUT ECONOMIZER INDOOR AT0WER ACCESS PANEL C NDENSER COIL 8 L57oI 4i- no 3-3/8 5-3/8 C85] BACK saI sg�i4 (DEDICATED HORIZONTAL oI re IIRFLOW UNIT W/O ECONOMIZER) [ssu 20 S12E J9-Tld SII-i/d HoerzoNTAL SUPPLY f 755] f12901 HOOD WITH FACTORY ECONOMIZER OR POWER I HA UST OPTIONS INDOOR 9L0WER ACCESS PANEL 14-518 ON D EN SIR [370] CO]L BACK 5-318 11 381 DEDICATED HORIZONTAL 5-1/2 37-1rz I WITH FACTORY ECONOMIZER 1 n 4 0 l in C179 91-i/4 l e s u sn-4/4 17 55 1 [1290] AI E 4M RETI]RN AI R -.1 11381 C951] I DEDICATED VERTICAL AIRFLOW UNT W/ECONOMIZER I 20 SIZE 48FC 20 SINGLE ZONE ELECTRICAL 5OHE003870 COOLING WITH GAS HEAT Packaged Rooftop Builder 1.67 Page 44 of 59 Certified Drawing for ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM STD UNIT CORNER CORNER CORNER CORNER I G. UNIT WEIGHT WEIGHT (A) WEIGHT III WEIGHT (C) WEIGHT ", LBS NG LBS_ NG_ LBS_ KG LBS KG. LBS. KG. X Y Z 48F C20 1800 816 SSE 174 479 2A 521 236 417 189 71 118031 45 111143] 16 1 22 I4191 STANDARD UNIT WEIGHT IS WITH LOW GAS HEAT AND WITHOUT PACKAGING. FOR OTHER OPTIONS AND ACCESSORIES, REFER TO THE PRODUCT DATA CATALOG. Y CORNER A CORNER B X CORNER D TOP FRONT CORNER C BACK' RIGHT" "LEFT WITH HOOD" R9-7/8 [252J OPTIONAL YR39si72 R22-u4 DOOR SWINGS RONT" 15651 NOTES: I. CLEARANCE ABOVE THE UNIT TO BE 72" 2. FOR ALL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. SURFACE CONDUCTIVE BARRIER NONCONDUCTIVE BARRIER CLEARANCE FRONT 48 [1219-1 36 [914mm] 18 [457mm] LEFT 48 [1219-1 42 11067mm1 18 [457mm] BACK 42 [1067-1 36 1914-1 18 [457mm] LEFT WITH HOOD 1 36 [914-1 36 [914mml 18 [457mm] 48FC 20 SINGLE ZONE ELECTRICAL 50HE003870 COOLING WITH GAS HEAT Packaged Rooftop Builder 1.67 Page 45 of 59 Certified Drawing for ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM DEIAIL A s 9 i FRONT ,vP 'IDIH RIGGING HOLE LOCATIONS 3114] INSIDE DI BASE RA]LMS BOTTOM INSIDE AASERAIL DIMENSIONS IN 3/8 351 - 1251 - 12521 DETAIL A I Y P 4 PLCS 81-12 I10601 INSIDE DIM BASE RAILS 48FC 20 S]N6LE ZONE ELECTRICAL HEAT 50HE003870 COOLING WITH GAS Packaged Rooftop Builder 1.67 Page 46 of 59 Performance Summary For ID 5 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part Number:48FCDM20AJM5-3U6A0 ARI EER:__ IEER: Base Unit Dimensions Unit Length. Unit Width: Unit Height: Base Unit Weight (Does not include any accessories):_________ Unit Unit Voltage -Phase -Hertz:_ Air Discharge:______________ Fan Drive Type:____________ Actual Airflow:______________ Site Altitude:________________ Cooling Performance Condenser Entering Air DB:________ Evaporator Entering Air DB:________ Evaporator Entering Air WB:_______ Entering Air Enthalpy:______________ Evaporator Leaving Air DB.________ Evaporator Leaving Air WB:________ Evaporator Leaving Air Enthalpy:__ Gross Cooling Capacity:____________ Gross Sensible Capacity:___________ Compressor Power Input:__________ Coil Bypass Factor._________________ Heating Performance Heating Airflow-- --------------- Entering Air Temp: Leaving Air Temp:_____________ Gas Heating Input Capacity:__ Gas Heating Output Capacity: - Temperature Rise:_____________ Thermal Efficiency (%):_____ - - Supply Fan External Static Pressure Options / Accessories Static Pressure Economizer: Total Application Static (ESP + Unit Opts/Acc.): Fan RPM: Fan Power: NOTE: 10.80 14.5 127.9 in 86.4 in 47.8 in 1800 lb -------------------------------------------------------------------------------------------- 208-3-60 ----------------------------------------------------------------------------------------Horizontal ---------------------------------------------------------------------------------------Vane Axial 7000 CFM 0 ft 95.0 F 80.0 F 67.0 F 31.44 BTU/Ib 58.5 F 57.2 F 24.51 BTU/Ib 218.18 MBH 162.39 MBH 16.98 kW ---------------------------------------------------------------------------------------------------- 0.088 7000 CFM 70.0 F 93.5 F 176.0 / 220.0 MBH 142.0 / 178.0 MBH - 23.5 F ------------------------------------------------------------------------------------------------------- 81.0 0.50 in wg 0.07 in wg 0.57 in wg --------------------------------------------------------------------------------------------------------------- 1708 2.81 BHP Selected IFM RPM Range: 250 - 2020 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 28.2 Compressor #1 LRA: 240 Compressor #2 RLA: 27.6 Compressor #2 LRA: 191 Indoor Fan Motor Type: HIGH Indoor Fan Motor FLA: 7.5 Combustion Fan Motor FLA (ea): 0.52 Packaged Rooftop Builder 1.67 Page 47 of 59 Performance Summary For ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Power Supply MCA. 82.4 Power Supply MOCP (Fuse or HACR): 100 Disconnect Size FLA: 87 Disconnect Size LRA: 462 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 311.5 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 90.6 90.1 92.2 125 Hz 83.5 73.4 83.9 250 Hz 76.4 68.4 80.4 500 Hz 76.3 61.6 81.8 1000 Hz 70.0 55.4 78.7 2000 Hz 68.6 50.8 76.5 4000 Hz 68.8 45.1 72.2 8000 Hz 59.4 33.1 65.4 A -Weighted 78.1 67.1 84.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 92.2 83.9 80.4 81.8 78.7 76.5 72.2 65.4 93.6 Lw B 66.0 67.8 71.8 78.6 78.7 77.7 73.2 64.3 84.1 LwA C 59.8 51.5 48.0 49.4 46.3 44.1 39.8 33.0 61.2 L D 33.6 35.4 39.4 46.2 46.3 45.3 40.8 31.9 51.7 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw Packaged Rooftop Builder 1.67 Page 48 of 59 Performance Summary For ID 5 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. U 2 U) FanCurve A daw(CFM-thousands) RPM=1708BHP=2.81 MaximumRPM=2200MaximumBHP=8.10 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 49 of 59 ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM • Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 50 of 59 Unit Report For ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Unit Parameters Unit Model:__________________48FCDM24AJM5-3UOA0 Unit Size: 24 (20 Tons) Volts-Phase-Hertz----------------------------208-3-60 Heating Type: Gas Duct Cfg:____Horizontal Supply / Horizontal Return Low Heat Two Stage Cooling/Single Circuit Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 3/4 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 6 Return Air Filter Size: ---------------------------------------------- 20 x 25 x 2 Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 11' 9.5„ Unit Width: 7' 2.375„ Unit Height: 3' 11.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 2000 lb Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration High Static Option - Horizontal Models AI/Cu - AI/Cu - Louvered Hail Guard SystemVu Controller Temperature Ultra Low Leak Economizer w/Baro Relief, Vertical and Horizontal Airflow Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) 10-Year heat exchanger - Aluminized(std.) 3-Year SystemVu Controller No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCDM24AJM5-3UOAO Rooftop Unit 1 Base Unit AI/Cu - AI/Cu - Louvered Hail Guard SystemVu controller, ULTRA LOW LEAK EconoMi$er2 temperature economizer with barometric relief. Syst Packaged Rooftop Builder 1.67 Page 51 of 59 Certified Drawing for ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ECONOMIZER (TYPICAL TYPE] (OFT IONAll • o POWER EXHAUST • (OPTGRIT BACK IPM,ELS REMOVED TO SHOW ECODDMZER AND POWER EXHAUST OPTIONS) B AROMET R]C PELJET— (OPTIONAL ] INCLUDED WITH ECONOMIZER LEFT SHOWN WITH THE BAROMETRIC REEF OPTION INSTALLED A,B,C LEFT SHOWN WITH TITS POWER EXHAUST OPTION INSTALLED CONNECTION SIZES A 1 3/8" DIA I351 FIELD POWER SUPPLY KNOCKOUT B 3" DIA 1761 FIELD POWER SUPPLY KNOCKOUT C 3 5/8" DIA 1921 FIELD POWER SUPPLY KNOCKOUT D 1/8" DIA 1221 FIELD CONTROL WIRING HOLE F 3/4"-14 NPT GAS CONNECTION (NOT SHOWN) G 1/8" DIA 1221 FIELD CONTROL WIRING KNOCKOUT NIT I H 24 SIZE 49-3/8 [1253J 28 SIZE 517 3/8 [456J NOTES I. DIMENSIONS ARE IN INCHES. DIMENSIONS IN I ] A ]N MIT METER, . 2. CENTER OF GRAVITY 3. DIRECTION OF AIR FLOW 4. " ALL VIEW DRAWN USING PRO ANGLE I CONVENIENCE OUTLET - /8 90] 11221 (OPT [ONAL) [22I I4451Z 2 FOR LASLIA S PII PHINGS �D INDOOR Ili l III II III II l ilt li IiR II �■ilk lI liH ®II� lii_ 11 iH 11 FLOW DISCONNECT 'OPTIONAL) 15-I/8 10-1/4 * EXHAUST FLUE HOOD 15-I/8 - 4-3/4 I122] PANEL LIFTING C384] C259] VERTICAL COMB UST]ON AIR 12 941 C385] C2194] PANEL LIFTING HANDLE RETURNCAIR SUPPLY AIR INTAKE HOOD HANDLE RIGHT 2X 50-1 /2 11283J 141-112 FRONT 135951 DEDICATED VERTICAL AIRFLOW UNIT 24,28 SIZE III CLASSIFNICAnoN SHEET DATE SUPERCEDES 48FC 24,28 SINGLE ZONE ELECTRICAL RE) U.S. ECCN:NSR 1 OF 5 0211OZ22 - COOLING WITH GAS HEAT 50HE003872 Packaged Rooftop Builder 1.67 Page 52 of 59 Certified Drawing for ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM ECONOMIZER (T YP]CAL TYPE] HOOD WITH (OPT I ONALI ECONOMIZER OPTION • J (ECONOMIZER SHOWN R [HIND PANE LI OPTIONAL FIELD SUPPLIED POWER EXHAUST OR BACK 0AROMETRIC RELIEF DAMPER IDEDICATED HOFdZONTAL ARROW UNIT FIELD S U P P L I E D RETURN AIRFLOW WITH ECONDIVIM) DUCT WORK CF—HORIZONTAL RETURN WITH ECONOMIZER I C145] 11562] 14771 LEFT [DEDICATED HDRMWAL ARFLOVI LINT RETLRN AIRFLOW WITH ECONMAZER) 4-3/4 [122] �D FIELD ELECTRICAL DISCONNECT LOCATION 95-3/8 111511 9 -3/8 12311 LEFT A,B,C I1221 (DEDICATED HORIZONTAL AIRFLOW UNIT RETURN AIRFLOW WITHOUT ECONOMIZER) 68 V'UTDOOR All [17261 HOOD [OPTIONAL) J A,B,C G 1591 Al 01 C359] 8-I/8 4X 7-I/8 C206] 6-1/2 C181] 11 [167] 3-I /4 3 12-7/8 12791 [831 [98J C 329] 14-7/8 1/4" D]A [32J C 379] KNOCKOUT FOR ALT TIFF BASE GAS PIPING so-1rz TOP [1284] 54-3/4 CONVENIENCE OUTLET 11390] 1 25 [636] (OPTIONAL) 2" DIA [51] HOLES FOR GAS PIPING 7 [2] 17-3 /8 CONTROL F]LT ER AND INDOOR BLOWER CONDENSER144 3] ACCESS INDOOR ACCESSOILPANEL 47-114 �OUTS]D1 COILPANEL CCE55ASNLE n [1214] AIR PANEL F. GAS ACCE11 GRILLE MIT 5- /8 CONNECTION SIZES A 1 3/8" DIA 1351 FIELD POWER SUPPLY KNOCKOUT A 3" DIA 1761 FIELD POWER SUPPLY KNOCKOUT C 3 5/8" DIA 1921 FIELD POWER SUPPLY KNOCKOUT D 7/8" DIA 1221 FIELD CONTROL WIRING HOLE F 3/4"-14 NPT GAS CONNECTION (NOT SHOWN) G 7/8" DIA 1221 FIELD CONTROL WIRING KNOCKOUT UNIT H 24 SIZE 49-3/8 [1253J 28 SIZE 57-3/8 [1456J NOTES 1_ DI MENS]ONS ARE IN INCHES. D]MEN SONS IN [ I ARE IN RIF INET ERS. 2. CENTER OF GRAVITY 3. DIRECTION OF AIR FLOW 4.- ALL VIEW DRAWN USING 3RD ANGLE 24-1/8 24-1/8 16121 I612] coNOENSEre roNo/Ns /a co�i F'21�i , 1-1 co�i DISCONNECT 15-1 /8 1111/4 EXHAUST FLUE II-5/8 86-3/8 (OPTIONAL) [384] C259] HOOD 11141 121111 cONDUSTION AIR PANIL III"Nc RIGHT PANEL LIFTING INTAKE HOOD HAND LC HANDLE 2% 283] 112831 ,IC1/2 951 DEDICATED HORIZONTAL AIRFLOW UNIT FRONT [3524,28 SIZE III CLASSIFICAIION SHEET DATE SUPERCEDES 48FC 24, 28 SINGLE ZONE ELECTRICAL RE\ u c 11-1 M- o nr F �o „ n _ COOLING WE IT 6AS HEAT 50HE003872 Packaged Rooftop Builder 1.67 Page 53 of 59 Certified Drawing for ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM CONNECTION SIZES E 3/4"-14 NPI CONDENSATE DRAIN HORIZONTAL HOAIZONTAL RETURN SUPPLY W[T HOUT ECONOM]Z ER� UNIT G 2d S]ZE 41-3/8 f 10491 28 S]ZE 49-1 /4 51I III IIIIIIIII III IIIIIIIII III IIIIIIIII III IIIIIIIII III IIIIIIIII III IIIIIIIII Illlllllllllllllllllllllllllllli III IIIIIIIII III IIIIIIIII III IIIIIIIII III-IIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIII IIIIIIIIIIILIIIII IIIIIIIIIIII Ilfl�i'\ IIIIIII IIIIIII IIIIIII IIIIIII IIIIIII• IIIII I IIIII I I '� PC I E� RL, - ___ - �_ ��' __ __ BACK (DEDICATED HORIZONTAL AIRFLOW UNIT W/O ECONOMIZER) 24,28 SIZE 5 -3/8 ] 1 3-3/ [85J 8 - 5-1 /2 C138 11401 23-1/4 ss2l 37-I /2 - 1151] 29-3/4 50-3/4 1755J '1290I INDOOR BLOWER ACCESS PANEL 14 5/8 CONDENSER f3701 COIL BACK s 1401 112 I DEDICATED HORIZONTAL L 29-3/4 — AIRFLOW WITH FACTORY ECONOMIZER I nssl 24,28 SIZE NOOD WITH ECONOMIZER OR POWER EXHAUST OPTIONS 5-3/8 1138I 7-1 Z2 511 50-3/4 112. 5-3/4 11441 rM 19511 ( DEDICATED VERTICAL AIRFLOW UNIT W/ECONOMIZER I 24,28 SIZE 28 SIZE CONDENSER COIL TOP VIEW CONDENSER COIL PANEL CONDENSER COIL END SUPPORT INDOOR CONDENSER DLOWER COIL ACCESS PANEL I 28 SIZE CONDENSER COIL END BRACKET SUPPORT S PERCEDES 48FC 24,28 SINGLE ZONE ELECTRICAL COOLING WIIH GAS HEAT 50HE003872 Packaged Rooftop Builder 1.67 Page 54 of 59 Certified Drawing for ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM UNIT STD UNIT WEIGHT + CORNER EIGHT fA) CORNEA WEIGHT (A) CORNER WEIGHT (C] CORNER WEIGHT '. C.G. LBS. KG. LBS. KG. LBS. KG. LBS. KG. LBS. K6. X Y Z 48f C24 2000 907 129 195 505 229 576 261 489 222 16 1/2 11943I 46 [1168J 16 I/2 [419J 48EC28 2174 986 458 208 553 1 264 G34 288 1 498 1 226 19 1/4 12013J1 1143J 19 [483] + STANDARD UNIT WEIGHT IS WITH LOW GAS HEAT AND WITHOUT PACKAGING. FOR OTHER OPTIONS AND ACCESSORIES, REFER TO THE PRODUCT DATA CATALOG. I y I FRONT 1 BACIS" CI�9®Cu W11H HOOD" R9-7 /8 [252] OPTIONAL YR1s- LEFT DOOR SWINGS FRONT" 1/z [395] R22-1/4 15651 NOTES: 1. CLEARANCE ABOVE THE UNIT TO BE 72" 2. FOR ALL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. SURFACE CONDUCTIVE BARRIER NONCONDUCTIVE BARRIER CLEARANCE FRONT 48 [1219-1 36 [914mm] 18 [457mm] LEFT 48 [1219-1 42 [1067-1 18 [457mm] BACK 42 [1067-1 36 [914mm] 18 [457mm] LEFT WITH HOOD 36 [914mm] 36 [914mm] 18 [457mm] RIOHT 36 [914mm] 36 [914mm] 18 [457mm] TOP 72 [1829mm] 72 [1829mm] 72 [1829mm SUPERCEDES 48FC 24,28 SINGLE ZONE ELECTRICAL 6 COOLING WITH 6AS HEAT SOHE003872 Packaged Rooftop Builder 1.67 Page 55 of 59 Certified Drawing for ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM DETAIL A rHUN I 'TYP 1A I RIGGING HOLE LOCATIONS wIDTH WIDTH 134601 INSIDE DIM BASE RAILS BOTTOM INSIDE BASERAIL DIMENSIONS 02 15 IN 1251 1252] D ETA II A I Y P 4 11CS 81-10 120601 INSIDE DIM BASE RAILS 48FC 24,28 SINGLE ZONE ELECTRICAL 50HE003872 COOLING WITH GAS HEAT Packaged Rooftop Builder 1.67 Page 56 of 59 Performance Summary For ID 6 Project: Santa Clarita - Newhall Community Center 08/01/202, Prepared By: Shawn Harlan 02:38PN Part Number:48FCDM24AJM5-3UOAO ARI EER:__ IEER: Base Unit Dimensions Unit Length. Unit Width: Unit Height: Base Unit Weight (Does not include any accessories):_________ Unit Unit Voltage -Phase -Hertz:_ Air Discharge:______________ Fan Drive Type:____________ Actual Airflow:______________ Site Altitude:________________ Cooling Performance Condenser Entering Air DB:________ Evaporator Entering Air DB:________ Evaporator Entering Air WB:_______ Entering Air Enthalpy:______________ Evaporator Leaving Air DB.________ Evaporator Leaving Air WB:________ Evaporator Leaving Air Enthalpy:__ Gross Cooling Capacity:____________ Gross Sensible Capacity:___________ Compressor Power Input:__________ Coil Bypass Factor._________________ Heating Performance Heating Airflow-- --------------- Entering Air Temp: Leaving Air Temp:_____________ Gas Heating Input Capacity:__ Gas Heating Output Capacity: - Temperature Rise:_____________ Thermal Efficiency (%):_____ - - Supply Fan External Static Pressure Options / Accessories Static Pressure Economizer: Total Application Static (ESP + Unit Opts/Acc.): Fan RPM: Fan Power: NOTE: 10.00 14.5 141.5 in 86.4 in 47.8 in 2000 lb -------------------------------------------------------------------------------------------- 208-3-60 ----------------------------------------------------------------------------------------Horizontal ---------------------------------------------------------------------------------------Vane Axial 8000 CFM 0 ft 95.0 F 80.0 F 67.0 F 31.44 BTU/Ib 58.6 F 56.9 F 24.32 BTU/Ib 256.07 MBH 184.89 MBH 20.65 kW ---------------------------------------------------------------------------------------------------- 0.113 8000 CFM 70.0 F 90.6 F 176.0 / 220.0 MBH 142.0 / 178.0 MBH - 20.6 F ------------------------------------------------------------------------------------------------------- 81.0 0.50 in wg 0.08 in wg 0.58 in wg --------------------------------------------------------------------------------------------------------------- 1898 3.81 BHP Selected IFM RPM Range: 250 - 2200 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 34 Compressor #1 LRA: 240 Compressor #2 RLA: 34 Compressor #2 LRA: 240 Indoor Fan Motor Type: HIGH Indoor Fan Motor FLA: 12.6 Combustion Fan Motor FLA (ea): 0.52 Packaged Rooftop Builder 1.67 Page 57 of 59 Performance Summary For ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM Power Supply MCA. 107.7 Power Supply MOCP (Fuse or HACR): 125 Disconnect Size FLA: 114 Disconnect Size LRA: 528 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 411.5 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 92.7 92.9 95.6 125 Hz 85.8 74.8 87.5 250 Hz 78.9 69.1 84.2 500 Hz 78.9 62.0 84.2 1000 Hz 72.7 55.9 81.7 2000 Hz 71.2 52.1 77.9 4000 Hz 71.2 45.8 73.2 8000 Hz 62.5 33.7 66.3 A -Weighted 80.6 69.0 87.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 95.6 87.5 84.2 84.2 81.7 77.9 73.2 66.3 96.9 Lw B 69.4 71.4 75.6 81.0 81.7 79.1 74.2 65.2 86.5 LwA C 63.2 55.1 51.8 51.8 49.3 45.5 40.8 33.9 64.5 L D 37.0 39.0 43.2 48.6 49.3 46.7 41.8 32.8 54.1 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw Packaged Rooftop Builder 1.67 Page 58 of 59 Performance Summary For ID 6 Project: Santa Clarita - Newhall Community Center 08/01/2022 Prepared By: Shawn Harlan 02:38PM B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. a) a) a U 2 U) FanCurve 29- 1PM 1 10. BHP 1 15 1 \ 1D 10001 TM \ 7. BHP - 80OR DM 1 P 00BH 5. P 0.0 0.5 1.0 1.5 2.0 2.5 3.0 3.5 4.0 4.5 5.0 5.5 6.0 6.5 7.0 7.5 8.0 8.5 9.0 9.5 10.0 A daw(CFM-thousands) RPM=1898BHP=3.81 MaximumRPM=2200MaximumBHP=8.10 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 59 of 59 Carri� SUBMITTAL Project Santa Clarita - The Centre Date Monday, August 1, 2022 Shawn Harlan Table Of Contents Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM ID 10 3 Unit Report 4 Certified Drawing 5 Performance Summary 8 Packaged Rooftop Builder 1.67 Page 2 of 10 ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM ID 10 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 3 of 10 Unit Report For ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM Unit Parameters Dimensions (ft. in.) & Weight (lb.) *** Unit Model:__________________ 48FCGA06A2M6-OAOAO Unit Length:_ 6' 2.375" Unit Size: 06 (5 Tons) Unit Width: 3' 10.625„ Volts -Phase -Hertz: 460-3-60 Unit Height: 2' 9.375„ Heating Type: Gas Total Operating Weight: 599 lb Duct Cfg:__________ Vertical Supply / Vertical Return Ultra Low Nox, Low Heat Weights and Dimensions are approximate. Weight does Standard One Stage Cooling Models not include unit packaging. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 1/2 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 2 Return Air Filter Size: ---------------------------------------------- 16 x 25 x 2 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards Base Electromechanical Controls Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCGA06A2M6-OAOAO Rooftop Unit 1 Base Unit Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu - Louvered Hail Guards None Packaged Rooftop Builder 1.67 Page 4 of 10 Certified Drawing for ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan O3:5OPM NOTES: UNIT J I 1. DIMENSIONS ARE IN INCHES, DIMENSIONS 48FC++D4 33 3/8 18 5/8 IN I ] ARE IN M]LL]MET ERS. 18411 14121 2. CENTER OF GRAVITY 48FC+,05 33 3/8 [847] 14 7/8 [377] 3_ DIRECTION OF AIR FLOW 48FC+�06 3/8 C847] 33 41 3/8 1 C377] 4 7/8 18 5/8 33 3/8 I848] 48FC++07 C10511 14721 32-I /8 ` ECONOMIZER HOOD 1 4. ALL VIEW DRAWN USING III ANGLE C817] (OPTIONAL) 16 11111,11110. 3-3/4 1911 111861 LEFT Packaged Rooftop Builder 1.67 01] R 5-5/8 [652] ET IIRN AIR r 6-va [277I RETURN AIR 44-1/8 29-1/2 I [1120.9] Y W Z f E ALT. CONDENSATE T7-3/4 C451] [748] MOO, i [ DRAIN OPER I N6 IN BASEPAN SUPPLY C675] SUPPLY26-518 SUPPLY 14-1/2 AIR C369] 12-I /2 II -I /2 C318] SEE THE X C2931 RATE BASE CHART 10-1/8 12561 2X 23-3/4 C6031 3-I /4 [SII [158] 4 FLUE C101] HOOD 12 1/8 C3071 2X 25 C 635] 18-3/8 14661 2X 4-s/8 TOP 1118] —ELECTRICAL DISCONNECT LOCATION A g G OPTIONAL CONTROL BOX FACTORY ACCESS PANEL ]NIT AL LED INDOOR BLOWER D]ACONN [CI ACCESS PANEL ANGLE 19-1 /2 'CI 1494] ������ [1688 C287] 00 l Y 0 C HANDLE 8-3/8 30-1/8 I2141 I7661 74-3/8 8891 FRONT CONNECTION SIZES A 1 3/8" 1351 DIA FIELD POWER SUPPLY HOLE B 2" I501 DIA POWER SUPPLY KNOCKOUT C 1 3/4" 1511 DIA GAUGE ACCESS PLUG D 7/8" 1221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NPT CONDENSATE DRAIN F 112"-14 NPT GAS CONNECTION G 2 112 1641 DIA POWER SUPPLY KNOCK OUT THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE IRE T"1118 A00, 009A 00 THREADED CONDUIT SIZE WIRE USE REQ'D HOLE SIZES W 112" 115V 7/V [22,21 X 112" 24V 7/8" I22.21 Y 3/4" POWER 1-1/8" I28.6] Z' (009A00) 112" LET GAS 1-I/8" [P8. 6] FOR "THRU-THE-BASEPAN" FACTORY OPTION, FITTINGS FOR ONLY X, Y, 8 Z ARE PROVIDED ' (008A00) PROVIDES 3/4" FPT THRU CURB FLANGE 8 FI IT]N6. E STD. 10-7/a CONDENSATE [275] 1 DRAIN C25I FILTER 17-3 /8 25-314 C441] [6531 AIR SUPPLY AIR RETURN 1-7/8 C 302] 21-1 C5391 T ] OUT S]DE A] R 5-3/4 3/8 6.3 /8 [I46I [17 5-3, [1771 [146] 6-7/8 [682] 31 BAROMETRIC [786.] RELIEF SUPPLY FLOW Alp R7RURN � RIGHT Page 5 of 10 Certified Drawing for ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan O3:5OPM UNIT STD. UNIT WE7 G HT ' CORNER WEIGHT (AI CORNER WEIGHT (8) CORNER WEIGHT (C) CORNER WEIGHT (D) C.G. HEIGHT ix.. ... n wrvi.rv..... i o. oi.u...o.xu u.berw .. wT/uou/ WRITTEN coxsEaT. LBS. KG. LBS. KG. LBS. KG. LBS. KG. LBS. KG. M Y Z 48FC4404 482 219 113 51 116 53 128 58 125 57 37 5/8 19561 24 9/16 16241 18 1/4 14641 48FC+ 543 246 138 63 133 60 133 60 138 63 36 1/2 19271 23 3/8 15941 18 14511 48F64+06 556 252 142 64 136 62 136 62 142 64 36 1/2 [927I 23 3/8 15941 18 14571 48FC+�07 607 275 162 73 152 69 141 64 151 68 36 [914] 22 1/2 15721 19 3/8 14921 RIGHT FRONT NOT3s. I. FOR FlLL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. Z MOM m O O� 0 00 FRONT Packaged Rooftop Builder 1.67 Page 6 of 10 Certified Drawing for ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM y FILTER ACCESS PANEL COMP. CONDENSER (IDOL-LESS] ACCESS COIL PANEL IN100R COIL ASEE " PANEL 0 00 V I I i—s� 0 100 BACK Packaged Rooftop Builder 1.67 LEFT 71-1/a RA (INSIDE THE BASS BASE RAIL 8 Sk]RI) 41-I /4 046. O (INSIDE IHE BASE RAILS] INSIDE BASERAIL DIMENSIONS BOTTOM i 4 8 i2-1/1 571 CA I-3/4 461 I -3/8 2M 1 [25] [82J 2M 3/4 8 1181 DETAIL C 199I TYP 4 PLCS CONTROL BOM ACCESS PANEL MIS =I ism IN li 3-I /4 59-3/e I82. SI I1", 01 FRONT INDOOR BLOWER ACCESS PANEL SEE DETAIL C 0 2-3/8 7-I/8 I61 .51 EIH 71 TYP CURB WIDTH Page 7 of 10 Performance Summary For ID 10 Project: Santa Clarita - The Centre 08/01/202, Prepared By: Shawn Harlan 03:50PN Part Number:48FCGA06A2M6-OAOAO ARI SEER: 14.00 Base Unit Dimensions Unit Length. 74.4 in Unit Width: 46.6 in Unit Height: 33.4 in Operating Weight Base Unit Weight: 586 lb AI/Cu - AI/Cu - Louvered Hail Guards: 13 lb Total Operating Weight: 599 lb Unit Unit Voltage -Phase -Hertz: 460-3-60 Air Discharge: Vertical Fan Drive Type: Vane Axial Actual Airflow: 2000 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 59.3 F Evaporator Leaving Air WB: 57.7 F Evaporator Leaving Air Enthalpy: 24.85 BTU/Ib Gross Cooling Capacity: 59.31 MBH Gross Sensible Capacity: 44.73 MBH Compressor Power Input: 4.14 kW Coil Bypass Factor. 0.163 Heating Performance Heating Airflow: 2000 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 92.7 F Gas Heating Input Capacity: 60.0 MBH Gas Heating Output Capacity: 49.0 MBH Temperature Rise: 22.7 F Thermal Efficiency (%): 81.0 Supply Fan External Static Pressure: 0.50 in wg Fan RPM: 2067 Fan Power: 0.94 BHP NOTE: Selected IFM RPM Range: 1478 - 2390 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 414 - 506 Compressor #1 RLA: 7.8 Compressor #1 LRA: 52 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 1.9 Combustion Fan Motor FLA (ea): 0.25 Power Supply MCA. 13 Power Supply MOCP (Fuse or HACR): 20 Packaged Rooftop Builder 1.67 Page 8 of 10 Performance Summary For ID 10 Project: Santa Clarita - The Centre 08/01/20Z Prepared By: Shawn Harlan 03:50PN Disconnect Size FLA: 12 Disconnect Size LRA: 57 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 1 10.8 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 92.1 89.2 85.6 125 Hz 83.3 79.2 84.7 250 Hz 77.3 71.8 80.5 500 Hz 73.9 65.9 76.0 1000 Hz 70.6 68.1 72.4 2000 Hz 68.0 59.5 68.0 4000 Hz 64.1 52.7 62.8 8000 Hz 60.2 46.9 59.3 A -Weighted 77.2 72.0 79.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 85.6 84.7 80.5 76.0 72.4 68.0 62.8 59.3 89.2 Lw B 59.4 68.6 71.9 72.8 72.4 69.2 63.8 58.2 78.5 LwA C 53.2 52.3 48.1 43.6 40.0 35.6 30.4 26.9 56.8 L D 27.0 36.2 39.5 40.4 40.0 36.8 31.4 25.8 46.1 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp Packaged Rooftop Builder 1.67 Page 9 of 10 Performance Summary For ID 10 Project: Santa Clarita - The Centre 08/01/2022 Prepared By: Shawn Harlan 03:50PM D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. 2 U) FanCurve A daw(CFM-thousands) RPM=2067 BHP=0.94 MaximumRPM=2836 MaxlmumBHP=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 10 of 10 0 Il lit! ii MIN �llllllii �l H II.II Ill I!I __- � Infiniti ANWERGY2 IEz high efficiency gas -fired boilers and water heaters utilize state-of-the-art Radial Variable Circulation (RVC) stainless steel heat exchangers for maximum heat transfer and operating efficiencies of up to 98%. Using all of today's modern technologies including pre -mix burners, modulating firing rates of up to 20:1 and integrated cascade controls IEz provides users with superior performance and application flexibility. Available from 199 to 1000 MBH the IEz provides flexible solutions for all of your heating and domestic hot water needs. Units are PVC, polypropylene (PP) and stainless steel vent capable and can be installed in multiple unit configurations using its on -board control which provides flexible modulation for maximum efficiency. Features and Benefits • 199 —1000 MBH • Up to 98% Ultra -High Efficiency • RVC Stainless Steel Heat Exchanger • PVC, PP and Stainless Steel Venting • Intuitive Integrated Control Platform • Multi -Unit Cascade Communication (8 Units) • MODBUS Based Control • Pre -Mix Burner Technology • Up to 20:1 Full Modulation • Low NOx and CO emissions (<15 ppm) • 3" Minimum Gas Pressure • 160 PSI Working Pressure • Integrated condensate neutralizer system • Modern Sleek Jacket Design • Ease of Installation and Maintenance ic ® CHO S C sn sP.o us I C �eRTIFR ® C7 LLC Innovative Heat Exchanger Design IEZ boilers and water heaters utilize a patented Radial Variable Circulation stainless steel heat exchanger. RVC high efficiency heat exchangers are manufactured using a series of 3 stainless steel tubes including a uniquely designed AISI 316 Ti stainless steel. Tubes are hydraulically connected without welding protecting the full integrity of the design while providing maximum durability against corrosion. All RVC heat exchangers are ASME certified for both water heating and space heating and manufactured to the most stringent tolerances in the industry today. All IEZ units come with an integrated condensate neutralizer system 107-- RB 9B 94 92 fign Fra p0 —.—L9w Fite 88 86 83 82 80 50 80 100 120 140 Return Water Tamp F vAtR30Deg Rise 95.2%AHRI Certified Product Performance Thermal Efficiency Performance slues based on ION MSH boiler arficrei AHRI Lemfima Performance Rwinp Integrated Control Board Like a lot of today's applications, the IEZ can be configured in a master/member cascade configuration providing up to 8000 MBH with unparalleled modulation for maximum system efficiency. An intuitive control system is the brains behind the IEZ's premium performance. The easy set-up control is MODBUS based and provides auto -diagnostics of all major components and functions; including visual notification of system errors and lockouts through continuous monitoring of temperature sensors, fan speed rotation and other application operating sequences. Back -lit visual readouts include water flow sensor, supply temperature, flue temperature and tank temperature for immediate system feedback. • Outdoor Reset • Auto Diagnostics • PC Connections for Diagnostics • Cascade Capabilities (8 Units) • Freeze Protection • System Pump Control, Boiler Pump Control and DHW Pump Control • DHW Priority • Back -Lit Readable Display with Auto Shut Off • Low Water Flow Protection • Water Pressure Sensor • Low Water Pressure Protection • Blocked Flue Pressure Switch t Infiniti ANWERGY2 AIR INTAKE FLUE FRONT VIEW Models IB = Boiler IW = Water Heater SIDE VIEW REAR VIEW S INNECTION )PPLY ZETURN DNDENSATE HOSE A DimensionsInfinite Energy 2 Series - B C D E Size In mm In mm In mm In mm In mm 199 45.7 1154 23.6 600 34.8 885 25 634 35.7 908 399 45.7 1154 23.6 600 34.8 885 25 634 35.7 908 500 45.7 1154 23.6 600 34.8 885 25 634 357 908 750 71.4 1815 23.6 600 35.3 896 43.5 1105 61.5 1563 1000 71.4 1815 23.6 600 35.3 896 43.5 1105 61.5 1563 Size Input Energy 2 Series Boiler Output - DimensionsInfinite Flue Vent Connections Air Intake Gas Water Shipping Weight MBH kW MBH kW Lbs Kg 199 200 59 184 54 3" 3" V 2" 258 117 399 399 117 376 110 4" 4" V 2" 356 162 500 500 147 472 138 4" 4" V 2" 371 168 750 750 220 711 208 6" 6" 11/4" 21/2" 539 245 1000 1000 1 293 1 952 279 1 6" 1 6" 11/4" 21/2" 1 612 278 * Ratings reflect boiler only. For boiler efficiency information please visit www.ahridirectory.org. CapacityInfinite Energy 2 Series Water Heaters - Hourly Recovery Temperature Rise Size 40°F 22°C 60°F 33°C 80°F 44°C I 100°F 56°C 120°F 67°C 140°F 78°C 1990) 566 2140 377 1427 283 1070 226 856 189 713 162 611 399 1154 4364 770 2909 577 2182 462 1745 385 1455 330 1247 500 1460 5519 973 3679 730 2760 584 2208 487 1840 417 1577 750 2127 8040 1418 5360 1064 4020 851 3216 709 2680 608 2297 1000 2806 1 10607 1 1871 7071 1 1403 1 5304 1122 4243 935 3536 802 3031 ** For water heater efficiency information please visit www.ahridirectory.org. (1) Size 199 water heater not available for sale in the US market due to DOE regulations. ® 260 North Elm Street, Westfield, MA 01085 nIEN Tel. (413) 568-9571 7555 Tranmere Drive, Mississauga, Ontario L5S 1 L4 RELIABLE. BOLD. INNOVATIVE. Tel. (905) 670-588 www.rbiwaterheaters.com A MESTEK COMPANY Company: Name: Date: 08/01 /2022 Model: V1.5A7A-CC Dimensions: Type: VIL Suction: Synch Speed: 3600 rpm Discharge: Dia: 5.5 in Size: 1.5x1.5x7.25 Impeller: D05-90063 Specific Speeds: Ns: 839 Nss: 1920 O. Flow: 100 US gpm Near Miss: --- Head: 100 ft Static Head: 0 ft Pump Selection Warnings: None --- Duty Point --- Flow: 101 US gpm Head: 102 ft Eff: 54% Power: 4.77 hp NPSHr: 63.9 ft Speed: 3550 rpm --- Design Curve --- Shutoff Head: 129 ft Shutoff dP: 55.8 psi Min Flow: 26.2 US gpm BEP: 54.8% @ 105 US gpm NOL Power: 5.3 hp @ 147 US gpm --- Max Curve --- Max Power: 12 hp @ 194 US gpm 250 7.25 in 200 0 150 p1 5r48 5in 100 2 5 in 50 A Gorman-Rucc Com n Fluid: Name: Water 1.5 in SG: 1 Vapor Pressure: 0.256 psi a 1.5 in Density: 62.4 Ib/ft3 Atm Pressure: 14.7 psi a Viscosity: 1.1 cP Temperature: 60 °F Margin Ratio: 1 Pump Limits: Temperature: --- Sphere Size: --- Wkg Pressure: --- Motor: Standard: NEMA Size: 7.5 hp Enclosure: ODP Speed: 3600 rpm Frame: See Chart Sizing Criteria: Max Power on Design Curve ti N, 4b �45 50 55 80`- 40 15 hp � 40 � 10 hp 40 75hp � "\5hp 0 200 100 N a z 4 0 40 60 80 100 '20 14C 160 180 200 Refer to Working Pressure vs. Temperature chart for maximum rated working pressure. All data are subject to change. Consult factory for certified data. Performance Evaluation: Flow Speed Head Efficiency Power NPSHr US gpm rpm ft % hp ft 120 3550 86.3 52 4.97 72.4 100 3550 102 53.9 4.76 63.7 80 3550 114 50.4 4.55 57.8 60 3550 122 42.3 4.34 56.2 40 3550 125 34.7 3.88 56 gpm Selected from catalog: Patterson HVAC.60, Vers 1.4.3 Company: Name: Date: 08/01 /2022 Pump: Model: - ype: LynSc Lpeed D& L6e: T-npelle3 Search Criteria: Flow: Head: V. DSA7CC VT . h00 �Om x22x (h .i.i5i2x DOx7F 008s DOnenF(bnP L9St(bn: D6'Scale: 200 UL kpm Nea3M(PP. 777 100 G LtatfSHead: 0 G Pump Selection Warnings: None --- Duty Point --- Flow: 200 UL kpm Head: 100 G EG h2z2% gowe3 8zlx cp Ng L H3 22 G Lpeed: . xh0 �Om --- Design Curve --- Lc9to(GHead: 110 G Lc9toGdg: s52h pF6 M(h Flow: 50z1 UL kpm BEg: 50z1% @ 280 UL kpm NOI gowe3 f zf x cp @ ssx UL kpm --- Max Curve --- Mai gowe3 28ac cp @ hs5 UL kpm 7.25 in 200 150 -c w 5-25 in 2 100 4.75 in 50 D 50 2 25 N IL z 0 n (,or an-5m) �OR1 fl Fluid: Name: u ate3 bi L4 : 1 Vapo3g 3?PP93?: Oi2xh pF6a bi DenP6y: h2m Ib/(R Atm g3aPP93a: 1sz5 pF6a V6'So F6y: 1 zl Sg -empe3at93a: h0 T Mal& Rat(b: 1 Pump Limits: -empe3at93a: 777 Lpce3a L6e; 777 u Vik g 3aPP93a: 777 Motor: ' Ltanda3d: NEMA L6e: 10 cp EnSIoP93a: ODg Lpeed: h00 �Om F3ame: Lee Cca3 LB(hk C33e3l: Mai gowe3on DeF&n C93te 5055 60 55 7 77 \ a � � 77 \ \ 75 ` \ 70� � 5 � \60 7E71 � ,55 5D \ 60 \ 30 hp 60 20 hp hp 555D 15 hp 10 hp 75hp Performance Evaluation: Flow Speed Head Efficiency Power UL kpm �)m G % cp 2s0 xh0 f sz h5 8m8 200 xh0 100 h2zl 8zlx 1 h0 xh0 10x xxac 52h5 120 xh0 108 sszh 5m5 80 xh0 108 .. z 5z 1 5W 700 U5 gpm NPSHr G 2. 22 21 z2 20zf 20zf LeleSted (3)m Satalok: gatte3bn HVAC2hO, Ve3'1sz VIL VERTICAL INLINE PUMPS Tomoa, Georgia OUTLINE DIMENSIONS, TYPE CC, 3600 RPM U.S.A. I DATE: MAR 1, 2009 NOTE: ALL DATA SUBJECT TO CHANGE. CONTACT FACTORY FOR CERTIFIED DATA ALL DIMENSIONS ARE IN INCHES TnP \/IF\A/ NOTE: 1/4" NPT SUCTION & DISCHARGE GAUGE TAP CONNECTIONS DISCHARGE - SIDE VIEW SECTION 3.0 PAGE 5.8 1 FLUSH LINE MODEL DISCHARGE SIZE SUCTION SIZE DISCHARGE FLANGE DRILLING SUCTION FLANGE DRILLING **ic WORKING PRESSURE MOTOR FRAMES CID �c (MAX.) D O X YY STD OPT V1.5A7A-CC 1.5 1.5 125# 125# 175 182-184 JM 21 5/8 4 1/4 10 7 1/2 7 1/2 213-215 JM 24 3/4 V2137A-CC 2 2 125# 125# 175 184 JM 22 5/16 47/8 101/2 8 8 213-215JM 251/2 254-256 JM 31 V2C7A-CC 125# 125# 175 184 JM 22 1/4 43/4 101/4 8 8 213-215 JM 25 1/4 V2A9A-CC 125# 250# 125# ** 215JM 25 3/16 4 1/2 12 1/2 9 1/4 9 1/4 254-256 JM 30 9/16 284-286 JM 31 5/8 V3D7A-CC 3 3 125# 125# 175 213-215 JM 26 3/4 6 1/8 11 9 1/2 9 1/2 264-256 JM 32 1/2 284 JM 33 1/2 V3C9A-CC 125# 250# 125# ** 254-256 JM 30 1/4 61/8 131/4 11 11 284-286 JM 31 7/8 V4C9A-CC 4 4 125# 250# 12W ** 284-286 JM 34 3/4 7 7/16 13 11/16 13 1 13 V5139A-CC 5 5 125# 250# 125# me 286 JM 35 1/2 8 1/4 14 11/16 1 13 1 15 MOTOR FRAME SELECTIONS - 3PH / 60 CYCLE HORSEPOWER 3600 1800 1200 HORSEPOWER 3600 1800 1200 1/2 143JM 71/2 184JM 213JM 254JM 3/4 143JM 10 213JM 215JM 256JM 1 143JM 145JM 15 215JM 254JM 284JM 11/2 143JM 145JM 182JM 20 254JM 256JM 286JM 2 145JM 145JM 184JM 25 256JM 284JM 3 145JM 182JM 213JM 30 284JM 286JM 5 182JM 184JM 215JM 40 286JM �k DIMENSION MAY VARY SLIGHTLY WITH MOTOR MANUFACTURER ** 175 P.S.I. (125# FLANGE), 250 P.S.I. (OPTIONAL 250# FLANGE) **ic REFER TO WORKING PRESSURE VS. TEMPERATURE CHART FOR TEMPERATURE EFFECTS AOr96678-9 UB SERIES. BELT DRIVE HORIZONTAL CHILLED WATER & DIRECT EXPANSION BLOWER COIL UNITS Nominal Sizes I through 20 Ton MAGIC AIRE HB SERIES FAN COILS ARE ETL �T�TEk LISTED TO U.S. AND CANADIAN SAFETY STANDARDS AND ARE ASSEMBLED TO ORDER FOR COMPETITIVE DELIVERY. c us s�a United Electric Company, L.P. 501 Galveston St. • Wichita Falls,TX 76301 • 940-397-2100 • Fax: 940-397-2166 • www.magicaire.com 07.13.2022 Page 1 HBB 1.5 © H B Series C!11 MODEL NOMENCLATURE HB Series Model Number Nomenclature Belt Drive Horizontal Chilled Water & Direct Expansion Blower Coil Units EEEUHEEEEMMMMMMMMMMMMM Primary Coil & TXV 4 or 6-Row CHW/2-Pipe or Std Cap DX or High Cap DX (single or dual circuit) Coil Treatment Phenolic Coating Use our New Magic 4 Selection Software for: • exact unit model selection • performance data • submittal information (visit www.maciicaire.com ) Secondary Coil 1, 2,4 or 6-Row HW or Steam or Electric Heat, factory mounted. Coil Arrangement Multiple arrangements available: Right Hand, Left Hand, Preheat and Reheat Drain Pan Polymer or Stainless SteellAQ Motor Starter Junction Box only or Motor Start/Stop Station (MSS) Insulation IAQ Fiberglass Closed Cell Double -Wall Filters & Face -and -Bypass Dampers MERV 3 and MERV 7 Filters or Face -and -Bypass Damper/ Filter Option Motor & Voltage Numerous motor selections including Single Phase standard duty and NEMA Premium 3-phase inverter -ready, with optional Motor Start/Stop Station (MSS). Drive Package Factory -sized belt and pulley selections for ready -to -go fan operation. Driven by customers airflow requirement. Power Supply 115V/1 ph/60Hz 208-230/1ph/60Hz 277WI ph/60Hz 208-230V/3ph/60Hz 460V/3ph/60Hz 575V/3ph/60Hz 07.13.2022 Page 2 HBB 1.5 H B Series PHYSICAL DATA Physical Data „Model:0 Capacity/CFM Nominal Capacity(Tons) 1 1.5 2 3760�000 7.5 10 15 20 Nominal Capacity(BTU/HR) 12000 18000 24000 3600090000 120000 180000 240000 Nominal Capacity 400 600 800 1200 3000 4000 6000 8000 Fan Fan Size 90-6T 90-6R 90-6R 120-6R 120-9R 150-9R 150-9R 150-12R TW 150-12R TW 90-6T Filter Non -Face and Bypass Quantity / Nom. 2/12x24 1/16x32 1/16x32 2/20x20 2/20x20 4/20x20 2/20x25 2/16x20 2/16x25 2/20x20 2/20x25 Pleated (MERV 7) 1/12x24 1/16x32 2/20x32 1/16x32 2/20x32 Throwaway (MERV 3) 2/12x25 3/12x25 size (in) Face and Bypass Coil Face Area Pleated (MERV 7) n/a 1.58 n/a 1.79 1/20x24 1.50 1/20x24 2.39 1/20x25 1/22.5x25 4.03 1/20x25 1/22.5x25 5.00 6/9.8x36.3 (exact) 6/9.8x36.3 (exact) 6/20x25 - 4/16x32 4/16x20 - Throwaway (MERV 3) 1- Row 1/30x36 1/24x36 - 1/30x36 1/2436 - Face Area-Hydronic (sq ft.) 2- Row 1.58 1.79 1.56 1 2.39 3.52 4.38 1 6.72 8.86 13.37 17.71 4- Row 1.58 1.79 2.00 3.06 4.03 5.00 7.47 9.58 13.37 17.71 6- Row 1.58 1.79 2.00 3.06 3.94 5.00 7.47 9.58 13.37 17.71 Face Area -DX (sq ft.) 1.19 1.79 2.00 3.06 4.03 5.00 7.17 10.22 13.75 16.67 Coil Rows/FPI Chilled Water/2-Pipe - 4 row 4/10 4/10 4/10 4/10 4/10 4/10 4/10 4/10 4/10 4/10 Chilled Water/2-Pipe - 6 row 6/10 6/10 6/10 1 6/10 6/10 6/10 6/10 6/10 6/10 6/10 Std Capacity Steam (see Note �) 2/8 2/8 2/6 2/6 2/6 2/6 2/6 2/6 2/6 2/6 High Capacity Steam - 2/14 2/14 2/14 2/14 2/14 2/14 2/14 2/14 Std Capacity DX 3/10 3/10 3/12 3/10 3/12 3/12 3/12 1 4/12 4/10 4/10 High Capacity DX 6/10 6/10 6/12 6/10 6/10 6/10 6/10 1 6/10 6/12 6/10 Max Coil Rows Coil Connections (in) Chilled Water 4-Row (OD Copper Tube) 6-Row 10 Rows Total (notes 1,2) 0.75 0.75 0.75 0.875 0.875 1.125 1.125 1.375 1.375 1.625 1.125 1.375 1.625 1.625 Hot Water (OD Copper Tube) 0.75 0.625 0.625 0.625 0.875 0.875 1.125 1.125 1.125 1.125 Steam-Std Cap-Supply/Return (MPT) 1.50/1.00 1.50/1.00 1.50/1.00 1.50/1.00 1.50/1.00 1.50/1.00 1.50/1.00 2.50/1.25 2.00/1.50 2.00/1.50 Steam -High Cap-Supply/Return (MPT) - - 1.50/1.00 1.50/1.00 1.50/1.00 1.50/1.00 1.50/1.00 2.00/1.25 2.50/1.50 2.50/1.50 Std Cap DX Liquid (OD Sweat) 0.375 0.375 0.375 0.375 0.375 0.625 0.5 0.5 Suction (OD Sweat) 0.625 0.625 0.75 0.75 0.75 1.125 0.875 1.125 - - Std Cap DX Liquid (OD Sweat) tea - - 0.375 0.375 0.375 0.375 0.5 0.5 0.625 0.625 (dual ckt) Suction (OD Sweat) tea - - 0.75 0.75 0.75 0.75 0.875 1.125 1.125 1.375 High Cap DX Liquid (OD Sweat) 0.375 0.375 0.375 0.5 0.625 0.625 0.5 1.125 - - Suction (OD Sweat) 0.75 1 0.75 1 0.75 1 0.875 1 0.875 1.125 1 0.875 1.375 - High Cap DX Liquid (OD Sweat) tea - - 0.375 0.375 0.5 0.5 0.5 0.5 0.625 0.625 (dual ckt) Suction (OD Sweat) tea 0.75 1 0.75 0.875 0.875 1 1.125 1.125 1.375 1.375 Condensate Drain Line Primary 1W_ 3/4" FPT Coil Volume Hot Water -1 row (gal) 0.1 0.2 0.2 0.3 0.5 0.6 - - ML - Hot Water - 2 row (gal) 0.3 0.3 0.3 0.7 0.7 0.9 1.3 1.7 2.6 3.5 Chilled Water/2-Pipe - 4 row (gal) 0.5 0.6 0.6 0.8 1.1 1.4 2.9 3.8 5.3 6.9 Chilled Water/2-Pipe - 6 row (gal) 0.8 0.9 0.8 1.3 1.7 2.1 4.4 5.6 7.9 10.4 Std Capacity DX (cu in) (note 3) 68 103 115 175 231 286 410 780 1050 1272 High Capacity DX 136 20b 229 350 461 b/3 821 11 /1 1b/b 1909 Notes: 1. Steam coils are 1-row, 5/8" tube -in -tube steam distributing type construction. When calcuating total rows of coil for the unit, these count as 2 rows 2. Additional 14 rows are possible using Magic Aire "Auxiliary Coil Section" factory -assembled, field -installed coil module accessory. See www.magicaire.com for details 3. For dual circuit coils, volume is half of that listed, per circuit. 07.13.2022 Page 3 HBB 1.5 © H B04-80 RIGHT HAND CONNECTION 0.875 (OPP SIDE) Power Conn. 0.87Power Conn. (W/O MSS) o O 0.875 24V Control Conn. N 0.875 KO (TYP) (TYP) � (TOP/B/BTM) 0 M (TYP) P (TYP) TOP VIEW I I A O 6.35 Lcri SIDE vicvv B Motor Start/Stop station (optional) J-BOX Hl, H2 12.51 G Cl, ® I C2 11 OR C3 F E �i 8.12 3/4 FPT Drain conn. FRONT VIEW(SIZES O4-40) r-H1. H2 FRONT VIEW(SIZES 60, 80) (TWIN BLOWER; MSS & J-BOX NOT SHOWN) REAR VIEW MODEL a r UNIT OUTLINE UNIT 1%AOUNTiNG BLOWER OPENING OUTLET RETURN 7 CONNECTfON A B 0t C2R C3k D E H13 He M N P F G K L HBB04/06 AS= 28D0 14.10 15.10 N/A 1.00 9.60 1.00 NIA 1160 2.61D 3.30 8_60 10.60 22-CO 12.30 HBBf 12 37.10 36,60 18.10 19.00 24.89 1.00 14.10 1.00 8,15 1.50 1,50 2.90 8,40 10.60 27A0 16,40 HBBI6 42,00 45,00 22.10 2100 29.25 I= 17.90 1.00 7.84 1,50 150 2.70 9.10 13,80 36.00 20.00 H6620 47,00 45,00 2210 23.00 29.25 1.00 14.30 1.00 7,84 I.50 1,50 2.70 12.50 13,80 36.00 20.00 HBB30 40 52.50 57,00 34,80 34.80 40,44 1,00 21,80 9.10 15,02 2,80 2,90 2.80 13,40 1610 48.00 32.20 H8860 57.50 6720 43.00 41,11 53.66 N/A 1141 8.00 30.11 3.70 3,70 3.74 12)16,4 2 16A S7.90 40.50 H6880 57,50 7230 48.00 48.40 56.1I A 14.01 13A0 28.01 3.70 1 3.70 1 3.70 2 16,4' 1(21 16.d 66.00 1 45.70 NOTES: 1, HBB60 and HBB90 aretwin blowers. Dimension "E" is to closest blower. Dimension "F" and "G" are typical for both fan outlets. 2. "Cl" dimension is for standard unit (Non -Face & Bypass). "C2" dimension is for double wall units(Non-Face & Bypass). C3 dimension is for single wal I Face & Bypass units 3. Unit hand is determined by looking into thefilters in same direction as airfiow- RijV2thand unit shown for reference. 4. H1 dimension is for non -Face & Bypass units. H2 dimension is for single wail Face& Bypass units. 5. Electrical connections are on name sideas cooling coflor single coil_ connections. 6. Not to scale. 7. Three dimensions arefor non -Face & Bypass units. See "HB FACE AND BYPASS" for return connections for units With Face & Bypass. 07.13.2022 Page 4 HBB 1.5 HB FACE AND BYPASS Face and Bypass Damper Option Face and bypass sections have parallel -acting damper Dampers are sectionalized to limit blade length blades in both the face damper and bypass damper. to no more than 48 in. so as to minimize blade All damper blades are galvanized steel, housed in deflection. Flexible blade seals are provided to assure a galvanized steel frame and mechanically fastened tight closure. to a hex axle rod rotating in nylon bushings. SPECIFICATIONS DAMPER AREA UNIT SHIPPING WEIGHT RETURN DUCT FACTORY INSTALLED CONNECTION 4 ROW 6 ROW MODEL FBP FILTER SECTION (Reference BYPASS FACE SHIP SHIP drawingon page 7) WT WT NOM. SIZE W H D K L HBB 08/12 4 X 27 12 X 27 180 200 1-16 X 32 27.50 23 9 27.30 23.20 HBB 16/20 4 X 35 16 X 35 258 277 2-20 X 20 36 27.25 9 35.70 27.50 HBB 30/40 5 X 46 29 X 46 541 576 3-16 X 32 48 39.50 9 47.70 39.80 HBB 60 7 X 54 38 X 54 739 826 6-20 X 25 58 51 10 57.40 51.10 2-16 X 20 2-16 X 25 66 54 10 58.80 23.20 2-20 X 20 HBB 80 7 X 60 38 X 60 822 903 2-20 X 25 07.13.2022 Page 5 HBB 1.5 H B FACE AND BYPASS DAMPER OPTION Application Considerations Full Airflow through the Bypass Full Airflow through the Face Face and bypass (F&Bp) dampers are widely accepted methods of coil freeze protection, temperature control and humidity control. In this arrangement, airflow is metered through the coil or bypass section using a parallel blade damper system that allows 100% flow through coil, or 100% bypass flow, or any proportion in-between. In northern climates, these dampers allow temperature control while running the preheat coil wide open.These same dampers can be used in south and southeastern climates that encounter extremely high humidity levels. In cold climates the F&Bp damper is most often associated with a heating coil first in the air stream.The potential for a hot water heating coil to freeze exists when the space heating demand is minimal and the outside air temperature is at or below 32 degrees F. At this condition with a valve -controlled unit, the water flow through the heating coil might be modulated down to a point where freezing could occur. By using a F&Bp damper the heating coil is allowed to operate with full hot water flow while the dampers modulate airflow around the coil to control the supply air temperature. When the outside air temperature is high enough such that coil freezing is unlikely, the bypass damper is closed and the coil hot water valve modulates to provide the correct supply air temperature. If the heating coil has no valve control, the coil operates wide open with the dampers providing the temperature control. In regions where humidity control is required, this problem normally occurs at part -load conditions, providing the cooling coil is properly sized for full -load conditions in the space. By operating the cooling coil at full capacity, a percentage of the supply airflow is bypassed around the cooling coil while the balance of the air passing through the coil is cooled to a significantly lower dry bulb/wet bulb condition. By mixing the air off the cooling coil with the bypass air are supply air conditions that allow for a high latent cooling load, therefore maintaining control of the space relative humidity. This application worl<s best with a small outside air fraction. Note: Reheat or other humidity control method may still be required. Consult with your facility design professional to select the proper humidity control arrangement for your application. F&Bp is not recommended for use with DX coils. FACE & BYPASS DAMPERS SEPARATE FACTORY - INSTALLED F&BP FILTER SECTION IN 07.13.2022 Page 6 HBB 1.5 RIGI SIDE COIL PANEL ISO VIEW FRONT H B04-80 SERVICE CLEARANCES E - � 24 2� ----- i FILTER ACCESS SERVICE CLEARANCE (ON EITHER SIDE ----- CONTROLS -SERVICE CLEARANCE (ON EITHER SIDE) FILTER SERVICE CLEARANCE XING BOX ACCESSORY (ONLY ONE SIDE IS REQUIRED) (OPTIONAL) � p -------------- c ------ -- -,.------------ COIL CONNECTION COILS COIL CONNECTION AREA (NOTE 3) AREA (NOTE 3) --� --- ,------------t B................ MOTOR BLOW ER/MOTOR/ --- i BLOW ER/MOTOR A --BOX SERVICE i i SERVICE i A CLEARANCE i FAN CLEARANCE (NOTE 2) (NOTE 2) _ L J J-BOX MOTOR START/ STOP B STATION (MSS) 41.0 3'0 MSS SERVICE CLEARANCE (IF PROVIDED) FILTER ACCESS 1 1 .0 PANEL / BLOWER TOP VIEW /,III/ ACCESS PANEL CONDENSATE DRAIN PIPING AREA (NOTE 6) RIGHT SIDE VIEW (MSS NOT SHOWN) HB UNIT SIZE DIMENSIONS A B C U E 04,06 18 36 4 4 30 36 26 31 08,12 16,20 20 36 23 36 4 30 1 38 30,40 30 36 4 36 34 60 31 48 4 36 35 80 31 48 1 4 36 30 NOTES: 1. NOT TO SCALE. REFER TO CATALOG DRAWINGS FOR UNIT OUTLINE DIMENSIONS. 2. MOTOR & BLOWER PULLIES & BELT ARE LOCATED ON THE SAME SIDE AS COOLING COIL CONNECTION (UNIT WITH 2 COILS) OR 2-PIPE/HEATING COIL CONNECTION (UNIT WITH SINGLE COIL). 3. ALLOW CLEARANCE FOR FIELD PIPING AS REQUIRED BY THE PROJECT REQUIREMENTS. CONNECTIONS MAY BE ON ONE SIDE OR ON BOTH SIDES. 4. REFER TO INSTALLATION INSTRUCTIONS FOR UNIT HANGING (SUSPENSION) REQUIREMENTS. 5. COIL, DRAINPAN OR BLOWER REPLACEMENT REQUIRES UNIT TO BE REMOVED TO FLOOR FOR SAFE WORKING CONDITION. ALLOW FULL WIDTH OF UNIT FOR COIL REMOVAL. REFER TO SERVICE INSTRUCTIONS. 6. ALLOW ADEQUATE DEPTH FOR CONDENSATE DRAIN TRAP. REFER TO INSTALLATION INSTRUCTIONS FOR TRAP REQUIREMENTS. 07.13.2022 Page 7 HBB 1.5 HB04-40 C!1 � o FACTORY MOUNTED ELECTRIC HEAT COND ISOMETRIC VIEW FRONT VIEW 3: , O: TOP VIEW RIGHT VIEW NOTES: 1 . Electric heater is factory mounted and tested. 2. Heat controls include non -fused disconnect switch, 24V control transformer, electric heat contactors, fan motor start er(w/overload if required) or contactor. Fan motor is factory wired to fan starter. HB unit with factory -installed electric heat requires "single -point line" power(one power source). Motor Start/Stop Station option is not required with factory -installed electric heat. 3. HB unit with right-hand electric heat is shown. Similar for left hand but with control box on opposite side. 4. Reference dimension table, following page. 07.13.2022 Page 8 HBB 1.5 FACTORY MOUNTED ' ELECTRIC HEAT HB Factory Installed EH List Unit Size Rated Volts KW Disc No. Stages A B C D E F Size AMPS 04 240-1 1-4 40 1 8.6 10.6 14 5.5 14 11.5 04 277-1 1-4 40 1 8.6 10.6 16 5.5 14 14 04 240-3 1-4 40 2 8.6 10.6 14 5.5 14 11.5 04 480-3 2-4 40 2 8.6 10.6 16 5.5 14 14 06 240-1 1-6 40 1 8.6 10.6 14 5.5 14 11.5 06 277-1 1-4 40 1 8.6 10.6 16 5.5 14 14 06 277-1 5-6 40 2 8.6 10.6 16 5.5 14 14 06 240-3 1-6 40 2 8.6 10.6 14 5.5 14 11.5 06 480-3 2-6 40 2 8.6 10.6 16 5.5 14 14 08 240-1 5-7 40 1 8.6 10.6 14 5.5 17 11.5 08 240-1 7-10 80 2 8.6 10.6 14 5.5 17 11.5 08 277-1 5 40 1 8.6 10.6 14 5.5 17 11.5 08 277-1 6-10 40 2 8.6 10.6 14 5.5 17 11.5 08 240-3 5-10 40 2 8.6 10.6 14 5.5 17 11.5 08 480-3 5-8 40 2 8.6 10.6 14 5.5 17 11.5 08 480-3 9-10 40 2 8.6 10.6 16 5.5 17 14 12 240-1 5-7 40 1 8.6 10.6 14 5.5 17 11.5 12 240-1 7-10 80 2 8.6 10.6 14 5.5 17 11.5 12 277-1 5 40 1 8.6 10.6 14 5.5 17 11.5 12 277-1 6-8 40 2 8.6 10.6 14 5.5 17 11.5 12 277-1 8-10 80 2 8.6 10.6 14 5.5 17 11.5 12 240-3 5-10 40 2 8.6 10.6 14 5.5 17 11.5 12 480-3 5-8 40 2 8.6 10.6 14 5.5 17 11.5 12 480-3 9-10 40 2 8.6 10.6 16 5.5 17 14 16 240-1 5-7 40 1 9.3 13.9 14 5.5 17 11.5 16 240-1 7-15 80 2 9.3 13.9 14 5.5 17 11.5 16 240-1 15-17 100 2 9.3 13.9 14 5.5 17 11.5 16 277-1 5 40 1 9.3 13.9 14 5.5 17 11.5 16 277-1 8-11 80 2 9.3 13.9 14 5.5 17 11.5 16 240-3 9-13 40 2 9.3 13.9 14 5.5 17 11.5 16 240-3 13-17 80 2 9.3 13.9 14 5.5 17 11.5 16 480-3 5-17 40 2 9.3 13.9 14 5.5 21 11.5 20 240-1 10-11 80 2 12.6 13.9 14 5.5 17 11.5 20 240-1 12-15 80 2 12.6 13.9 14 5.5 21 11.5 20 240-1 15-19 80 2 12.6 13.9 14 5.5 21 11.5 20 240-1 19 125 2 12.6 13.9 16 5.5 21 14 20 277-1 10-11 80 2 12.6 13.9 14 5.5 21 11.5 20 240-3 10-13 40 2 12.6 13.9 14 5.5 21 11.5 20 240-3 13-19 80 2 12.6 13.9 14 5.5 21 1 11.5 20 480-3 10-19 40 2 12.6 13.9 14 5.5 21 11.5 30 240-1 12-15 80 2 13.4 16.2 14 5.5 23 11.5 30 240-1 15-19 100 2 13.4 16.2 14 5.5 23 11.5 30 240-1 19-21 125 2 13.4 16.2 16 5.5 23 14 30 240-3 12 40 2 13.4 16.2 14 5.5 23 11.5 30 240-3 12-18 80 2 13.4 16.2 14 5.5 23 11.5 30 240-3 19-20 80 2 13.4 16.2 16 5.5 23 14 30 240-3 21 80 2 13.4 16.2 14 5.5 23 11.5 30 480-3 10-21 40 2 13.4 16.2 14 5.5 23 11.5 40 240-1 17-18 100 2 13.4 16.2 14 5.5 23 11.5 40 240-1 19-21 125 2 13.4 16.2 16 5.5 23 14 40 240-3 17-18 80 2 13.4 16.2 14 5.5 23 11.5 40 240-3 19-21 80 2 13.4 16.2 16 5.5 23 14 40 480-3 10-21 40 2 13.4 16.2 14 5.5 23 11.5 NOTES: I. 2-stage heaters have evenly split capacity, ie: I Okw 2-stage heater has 5kW for stage # I and 5kW for stage #2. 2. Units rated for 240V may be operated at 208V (change transformer primary tap in the field). Derate performance to 75% of nominal, ie: I OkW at 240V nominal rating heater will provide 7.5kW at 208V. 07.13.2022 Page 9 HBB 1.5 MIXING BOX ACCESSORY BOTTOM O/A, RH CONTROLS, FITS MODELS BMB/HBB/HCA B 3.6 7 r .. I r• k E o C H A4-7 D 4.7 E .8 REAR VIEW NDRIGHT VIEW CONTROLS OPTIONAL A Jan D G 1 _ [ BOTTOM VIEW RETURN CONNECTION UNIT OUTLINE DUCT DIMENSIONS TO THE AHU UNIT UNIT SIZE MODEL WIDTH WIDTH HEIGHT APRROX. LENGTH WIDTH HEIGHT HEIGHT SHIPPING (Centered) (Centered) (Centered) WEIGHT A B C D E G H (LBS) MBB04H(M)/ 04/06 20.0 24.0 14.0 21.0 8.0 22.1 12.4 108 MBB06H(M) MBB08H(M)/ 08/12 24.0 26.5 17.7 24.0 12.0 27.7 16.4 141 MBB12H(M) 07.13.2022 Page 10 HBB 1.5 B REAR VIEW MIXING BOX ACCESSORY TOP O/A, RH CONTROLS, FITS MODELS BMB/HBB/HCA E 1 4.7 © LIM H E T 7 1.Q 3 TYP RIGHT VIEW ACTUATOR AND CONTROLS OPTIONAL -A 1 D G T TOP VIEW RETURN CONNECTION UNIT OUTLINE DUCT DIMENSIONS TO THE AHU UNIT UNIT SIZE MODEL WIDTH WIDTH HEIGHT APRROX. LENGTH WIDTH HEIGHT HEIGHT SHIPPING (Centered) (Centered) (Centered) WEIGHT A B C D E G H (LBS) MBB04H(M)/ 04/06 20.0 24.0 14.0 21.0 8.0 22.1 12.4 108 MBB06H(M) MBB08H(M)/ 08/12 24.0 26.5 17.7 24.0 12.0 27.7 16.4 141 MBB12H(M) 07.13.2022 Page 11 HBB 1.5 .• B -.0 MIXING BOX ACCESSORY BOTTOM O/A, RH CONTROLS, FITS MODELS BMB/HBB/HCA D - -1 3.6 REAR VIEW ACTUATOR AND CONTROLS OPTIONAL 4.7 E �.8 RIGHT VIEW r- A BOTTOM VIEW H RETURN CONNECTION UNIT OUTLINE DUCT DIMENSIONS TO THE AHU UNIT UNIT UNIT MIXING BOX APRROX. MODEL SIZE MODEL LENGTH WIDTH HEI WIDTH HEIGHT WIDTH HEIGHT SHIPPING GHT (Centered) (Centered) (Centered) WEIGHT A B C D E G H (LBS) MBB16H/ HCA/HBB 16/20 25.0 34.0 20.5 31.0 13.0 36.2 20.4 179 MBB20H / MBB16M6M20M BMB 16/20 25.0 34.0 25.5 31.0 13.0 36.2 25.4 185 MBB HCA/HBB/ 30/40 MBB30H(M)/ 31.0 37.0 32.5 30.1 24.1 48.3 32.4 288 BMB MBB40H(M) 60 MBB60H 35.0 50.0 40.7 43.1 25.1 58.0 40.6 420 HBB 80 MBB80H 39.0 54.0 46.0 47.1 29.1 66.2 45.9 498 MBB60M/MBB80M BMB 60/80 39.0 54.0 46.0 47.1 29.1 66.2 45.9 498 07.13.2022 Page 12 HBB 1.5 i MIXING BOX ACCESSORY TOP O/A, RH CONTROLS, FITS MODELS BMB/HBB/HCA D g 7 RIGHT VIEW REAR VIEW DR AND CONTROLS R©LS OPTIONAL- A D TOP VIEW H .8 TYP _ 7YF UNIT OUTLINE DUCT DIMENSIONS RETURN CONNECTION TO THE AHU UNIT UNIT MODEL UNIT SIZE MIXING BOX MODEL LENGTH WIDTH HEI GHT WIDTH (Centered) HEIGHT WIDTH (Centered) HEIGHT (Centered) APRROX. SHIPPING WEIGHT A B C D E G H (LBS) HCA/HBB 16/20 MBB16H/ MBB20H 25.0 34.0 20.5 31.0 13.0 36.2 20.4 179 BMB 16/20 / MBB MBB16M6M20M 25.0 34.0 25.5 31.0 13.0 36.2 25.4 185 HCA/HBB/ BMB 30/40 MBB30H(M)/ MBB40H(M) 31.0 37.0 32.5 30.1 24.1 48.3 32.4 288 60 MBB60H 35.0 50.0 40.7 43.1 25.1 58.0 40.6 420 HBB 80 MBB80H 39.0 54.0 46.0 47.1 29.1 66.2 45.9 498 BMB 60/80 MBB60M/MBB80M 39.0 54.0 46.0 47.1 29.1 66.2 45.9 498 07.13.2022 Page 13 HBB 1.5 FILTER BOXACCESSORY AIR FLOW F E 1 4" MERV 13 B 2'' MERV 8 • A *PER FILTER TYPE UNIT HEIGHT UNIT LENGTH UNIT DEPTH FLANGE LENGTH DUCT VVIDTH DUCT HEIGHT UNIT WEIGHT FILTERS PART NUMBER DESCRIPTON A B G 9 E F (LBS) QTY * EA NOM WIDTH NDM LENGTH 373-600160.001 FB-08-12 HB-BM CABINET 18.2 30.4 12.3 2.0 279 16.E 47 1 16 25 373-600161-001 FB-16-20 HB CABINET 22.2 41.2 12.3 2,0 36.4 20.6 57 2 20 20 373-600169.001 F8-16-20 BM CABINET 27.2 41.2 12.3 2.0 36.4 25.7 62 2 20 24 373-600170-001 FB-3"0 BM-HB CABINET 34.0 51.2 13.1 2.0 48.4 32.6 98 4 16 25 373-600162-001 FB-60 HB CABINET 42,0 60.7 13.1 2.0 58.1 40.5 121 6 20 20 3 24 24 373-600159-001 FB-60-80-BM 80-HB CABINET 47 72.7 13.1 .2 66.5 45.8 145 3 20 24 05.02.2022 Page 14 HB 1.5 Discharge Grille Plenum Adjustable four way deflection. o OPTIONAL ACCESSORIES T 1 A Return Air Grille A Model A B C WT. Grille 08112 HBGP 36.5 6.0 18.0 20 12 x 20 16/20 HBGP 45.0 6.0 22.0 27 16 x 24 30/40 HBGP 57.0 6.0 34.0 58 12 x 48 60 HBGP 67.1 6.0 42.0 70 18 x 48 80 HBGP 72.0 6.0 47.0 70 4-12 x 30 Note: Grille plenum is not for use with electric heat o� motor start -stop station (MSS) options. Model A B C WT. 08/12 BHRG 27.50 2.0 16.00 7 16/20 BHRG 36.00 2.0 20.00 9 30/40 BHRG 48.00 2.0 32.00 19 60 BHRG 57.75 2.0 40.25 23 80 BHRG 66.00 2.0 45.00 24 Note: Return grille plenum is not for use with face and bypass or mixing box options. 05.02.2022 Page IS HB 1.5 SPRING KIT AN ISOLATOR NUMBER SPRING RATE RATED LOAD MAX. DEFL COLOR A B SHB-2 25 35 1.4 WHITE SHB-5 50 74 1.4 YELLOW SHB-10 100 142 1.4 BROWN SHB-20 200 220 1.1 BLACK 5 1/2 3 SHB-30 300 324 1.1 BLUE SHB-40 420 420 1'0 RED SHB-50 500 540 1.1 ORANGE NOTES: 1. STEEL HANGER BOX- STANDARD ENAMEL FINISH SPRINGS- STANDARD MODIFIED URETHANE ENAMEL FINISH 2. BOLTS, RODS, NUTS & WASHERS ARE NOT FURNISHED WITH HANGER ASSEMBLY ISOLATICW WASHER HBB Spring Vibration Isolators HB Series HBB Unit Only (No Mixing Box) Unit Part number Unit Mounting Only FRONT REAR HBB04 010-230020-000 YELLOW BROWN HBB06 010-230020-000 YELLOW BROWN HBB08 010-230020-000 YELLOW BROWN HBB12 010-230019-000 YELLOW BLACK HBB16 010-230019-000 YELLOW BLACK HBB20 010-230019-000 YELLOW BLACK HBB30 010-230021-000 BROWN BLUE HBB40 010-230021-000 BROWN BLUE HBB60 010-230022-000 BLACK ORANGE HBB80 010-230022-000 BLACK ORANGE HBB Unit With Mixing Box (See note 3) (RECOMMENDED FOR SIZE 30 AND ABOVE) Part number FRONT HBB REAR HBB REAR MB HBB30 010-230023-000 BROWN BLACK BROWN HBB40 010-230023-000 BROWN BLACK BROWN HBB60 010-230024-000 IBLACK IRED BLACK HBB80 010-230025-000 BLACK ORANGE BLACK r NOTES: 1. Colors shown for Dynasonics Isolator Model SHB 2. Springs selected are for a total of 8 rows of coil and ODP motors. 3. For HBB30 and larger with mixing box: 6 each isolators, 2 each at front of HB unit, 2 ea at rear of HB unit, 2 ea at rear of mixing box 4. Bolts, Rods, nuts and washers are not furnished with the hangar assembly 05.02.2022 Page 16 HB 1.5 M- M K J H G F 0 HB04-60 o HORIZONTALAIR HANDLER COIL CONNECTION UNUSED /RETURN OR -- - - - LIQU)D OW (CKT #2) SUCTION OT (CKT #2) SU�TION OT(CKT #1) SUPPLY COPV LIQUID OW (CKT #1) CONDENSATE DRAIN J U A b t G U DX -SINGLE OR DUAL CIRCUIT AND HYDRONIC COILS (PREHEAT) VENT OR UNUSED j I STEAM/SUPPLY OX REUTbRN OR CONDENSATE RETURN OS SUPPLY OV CONDENSATE DRAIN i i J U_ N M L K J H G F 0 P H G F 0 STEAM COIL AND HYDRONIC COIL (PREHEAT) /, VENT OR SUCTION OT(CKT #2) I I I 11 LIQUID OV (CKT #2) i STEAM'SUPPLY OR � CONDENSATE RETURN OS SUCTION OT (CKT #1) LIQUID OV (CKT #1) CONDENSATE DRAIN r w U A t C U STEAM AND DX -SINGLE OR DUAL CIRCUIT COILS (PREHEAT) UNUSED ----- -- UNUSED' RETURN OR i 11 RETURN OS 11 SUPPLY OV i SUPPLY OT I -- -- - CONDENSATE DRAIN TWO HYDRONIC COILS (PREHEAT OR REHEAT) SUCTION OT (CKT #2) LIQUID OW (CKT #2) N L UNUSED I I � RETURN OR KLU 1 11 SUCTION OT (CKT #1) J LI�UID OW (CKT #1) L� SU'PPLY OV H CONDENSATE DRAIN i G - F 0 L N N L K J H G 0 A B E C D DX -SINGLE OR DUAL CIRCUIT AND HYDRONIC COILS (REHEAT) UNUSED RETURN CPR I I I VENT O/1 STEP1M SUPPLY OX SUPIPLY OV ii CONDENSATE RETURN OS CONDENSATE DRAIN LU J LL. 0 A B E C STEAM COIL AND HYDRONIC COIL (REHEAT) SUCTION OT (CKT #2) LIQUID OV (CKT #21 i I I 1 0SUCTION VENT OP' i STEAM SUPPLY OR i OT (CKT #1) LIQUID OV (CKT #1) CONDENSATE RETURN OS CONDENSATE DRAIN i F_ U A C [ V STEAM AND DX -SINGLE OR DUAL CIRCUIT COILS (REHEAT) NOTES: 1. NOT TO SCALE. Refer to unit dimensional drawings for cabinet dimensions. 2. Airflow is from left to right. 3. Units with right hand connections are shown. Mirror for left hand connection. NOTE: What constitutes "hand" varies among manufacturers. Please verify using facility design drawings. Magic Aire defines hand as that side when facing the filter, draw -through design, air stream hitting back of head. 4. Size 80 hydronic coils have 2 slabs and therefore have 2 circuits. Apply using half of design water flow(GPM) to each circuit. 5. For a single -coil unit, use the sketch showing desired coil in position closest to the filter. (The first coil is attached to unit near the filter. The second coil is attached to the first coil). 6. Steam coils have MPT supply and condensate return, and FPT vent connections. 05.02.2022 Page 17 HB 1.5 N N Q P K J H G F 0 Q N K J— IF 0 HB80 HORIZONTALAIR HANDLER COIL CONNECTION ---- USED - LIQUID (VW (CKT #2) SUCTION �T (CKT #2) RETURN (DR SUF)PLY 0V UNUSED RETURN (DR SU(tTION (DT(CKT #1) SUPPLY oV LIQUID �W (CKT #1) CONDEtJ�ATE DRAIN r ' LU I -----I —t T 7�T n n R F r n DX -SINGLE OR DUAL CIRCUIT AND HYDRONIC COILS (PREHEAT) [SIZE 801 r----T--- UNUSED VENT 0P,' RETURN (DR STEA�A SUPPLY 0X ____SUP�LY 0V UNUSED RETURN (DR CONDENSATE RETURN 0S r SUPPLY,0V CONDEN'SATTE DRAIN 0 05.02.2022 A E B C STEAM COIL AND HYDRONIC COIL (PREHEAT) [SIZE 801 N M J H G F 0 RETURN 0S UNUSED /SI IPPI Y mT L N Q P K J G H F 0 L Q N K J F C F C F----T---- LIUUIU wvy-tGRI 7:zl u i i i UNUSED' SUCJ40N 0T (CKT #2) REll (DR i SUPPLY 0V LJJ UNUSED ROURN (DR SUCTION 0T (CKT #1) r SUPPLY 0V -- --- - LIQUID 0W (CKT #1) —CON DE08- TIE DRAIN-' 0 A B E C D DX -SINGLE OR DUAL CIRCUIT AND HYDRONIC COILS (REHEAT) [SIZE 801 VENT 0PD/ UNUSED' RETURN (DR SUPP/(Y oV STIE MSUPPLY 0X UNUSED RETURN (DR SUPgY oV CONDENSATE RETURN 0S CONDENSATE DRAIN ❑ r ttj J — I- 0 A B E C STEAM COIL AND HYDRONIC COIL (REHEAT) [SIZE 801 UNUSED -- RETUR,N 0S SUPPLY 0T ---- -- --i UNPSED UNiUSED J RETURN (DR — RETURN 0S —SUPPLY 0V r _ S U P &Y 0T CONDENSATE DRAIN i ' 0 A B E C D TWO HYDRONIC COILS (PREHEAT OR REHEAT) NOTES: 1. NOT TO SCALE. Refer to unit dimensional drawings for cabinet dimensions. 2. Airflow is from left to right. 3. Units with right hand connections are shown. Mirror for left hand connection. NOTE: What constitutes "hand" varies among manufacturers. Please verity using facility design drawings. Magic Aire defines hand as that side when facing the filter, draw -through design, air stream hitting back of head. 4. Size 80 hydronic coils have 2 slabs and therefore have 2 circuits. Apply using half of design water flow(GPM) to each circuit. 5. For a single -coil unit, use the sketch showing desired coil in position closest to the filter.(The first coil is attached to unit near the filter. The second coil is attached to the first coil). b. Steam coils have MPT supply and condensate return, and FPT vent connections. Page 18 HB 1.5 i ell COIL CONNECTION DIMENSIONS - I DX Single -Circuit And Hydronic Coils, Preheat DRAIN (31,T FPT) RETURN SUPPLY A K R B H V C J T D G W E F 1HW 3DX 5.4 14.1 0.625 5.4 5.5 0.625 8.9 5.5 0.750 11.9 4.3 0.375 10.6 1.1 If 5.4 14.1 0.625 5.4 5.5 0.625 8.9 5.6 0.750 11.9 4.3 0.375 10.6 1.1 10 4.3 11.8 0.880 5.4 5.5 0.880 8.9 5.5 0.750 11.9 4.3 0.380 10.6 1.1 20 4.3 11.8 0.880 5.4 5.5 0.880 8.9 5.5 1.125 12.2 4.2 0.625 10.6 1.1 2HW 3DX 08 4.3 9.9 0.880 5.4 5.6 0.880 9.0 5.5 0.750 12.0 4.3 0.375 10.6 1.1 12 4.3 9.9 0.880 5.4 5.6 0.880 9.0 5.6 0.750 12.0 1 4.3 0.375 10.6 1.1 16 4.3 11.8 0.880 5.4 5.5 0.880 8.9 5.5 0.875 11.9 4.3 0.500 10.6 1.1 20 4.3 11.9 1.130 5.4 5.6 1.130 8.9 5.5 1.125 12.2 4.2 0.625 10.6 1.1 4.3 14.0 1.125 5.4 5.2 1.125 8.1 5.2 1.125 10.4 4.0 0.625 10.7 0.9 4HW 3DX 4.3 9.9 0.750 5.4 5.6 0.750 10.5 5.5 0.750 13.5 4.3 0.375 10.6 1.1 12 4.3 9.9 0.750 5.4 5.6 0.750 10.5 5.6 0.750 13.5 4.3 0.375 10.6 1.1 16 4.3 11.8 0.880 5.4 5.5 0.880 10.5 5.5 0.875 13.5 4.3 0.500 10.6 1.1 20 4.3 11.9 1.130 5.4 5.6 1.130 10.5 5.5 1.125 13.7 4.2 0.625 10.6 1.1 30 4.3 14.0 1.125 5.4 5.2 1.125 10.3 5.2 1.125 12.5 4.0 0.625 10.7 0.9 4.6 17.6 1.125 5.7 4.9 1.125 8.3 5.3 1.375 10.6 4.1 0.625 10.7 0.9 4.6 17.6 1.375 5.7 4.9 1.375 10.5 5.3 1.375 12.8 4.1 0.625 10.7 0.9 1HW6DX 5.7 7.5 0.625 6.5 3.3 0.625 9.0 7.5 0.750 11.5 3.3 0.375 11.6 1.1 06 5.7 7.5 0.625 6.5 3.3 0.625 9.0 7.5 0.750 11.9 3.5 0.375 11.6 1.1 5.4 14.1 0.625 5.4 5.5 0.625 7.7 5.5 0.875 10.7 4.3 0.375 10.6 1.1 12 5.4 14.1 0.625 5.4 5.5 0.625 7.7 5.5 0.875 10.7 4.3 0.375 10.6 1.1 16 4.3 11.8 0.880 5.4 5.5 0.880 7.9 5.5 1.125 10.9 4.3 0.625 10.6 1.1 zu 4.3 11.8 0.880 5.4 5.5 0.880 7.9 5.5 1.125 10.3 3.0 0.625 10.6 1.1 2HW 6DX 04 5.6 7.5 0.750 6.5 3.3 0.750 9.0 7.5 0.750 11.5 3.3 0.375 11.6 1.1 5.6 7.5 0.750 6.5 3.3 0.750 9.0 7.5 0.750 11.9 3.5 0.375 11.6 1.1 4.3 9.9 0.880 5.4 5.6 0.880 7.8 5.5 0.875 10.8 4.3 0.375 10.6 1.1 4.3 9.9 0.880 5.4 5.6 0.880 7.8 5.5 0.875 10.8 4.3 0.375 10.6 1.1 16 4.3 11.8 0.880 5.4 5.5 0.880 7.8 5.5 1.125 10.8 4.2 0.625 10.6 1.1 zu 4.3 11.9 1.130 5.4 5.6 1.130 7.8 5.5 1.125 10.3 3.0 0.625 10.6 1.1 30 4.3 14.0 1.125 5.4 5.2 1.125 8.1 5.7 1.125 11.1 4.3 0.625 10.7 0.9 40 4.6 17.6 1.125 5.7 4.9 1.125 8.3 5.3 1.135 11.3 4.1 0.625 10.7 0.9 4HW 6DX 5.5 7.5 0.750 8.1 3.3 0.750 10.6 7.5 0.750 13.1 3.3 0.375 11.6 1.1 Ub 5.5 7.5 0.750 8.1 3.3 0.750 10.6 7.5 0.750 13.5 3.5 0.375 11.6 1.1 4.3 9.8 0.750 6.9 5.5 0.750 9.3 5.5 0.875 12.3 4.3 0.375 10.6 1.1 . 5.5 1.125 Refer to Legend on page 28 o lei COIL CONNECTION DIMENSIONS DX Dual -Circuit And Hydronic Coils, Preheat CONDENSATE DRAIN (31,T FPT) RETURN SUPPLY CONFIGURATION UNIT SIZE A K R B H V C J T D G W C L T D M W E F 5.4 14.1 0.625 5.4 5.5 0.625 8.9 4.4 0.750 11.9 3.8 0.375 8.9 10.6 0.750 10.4 15.9 0.375 10.6 1.1 1HW3DX 5.4 14.1 0.625 5.4 5.5 0.625 8.9 4.3 0.750 11.1 3.5 0.375 8.9 11.6 0.750 10.8 16.1 0.375 10.6 1.1 4.3 11.8 0.880 5.4 5.5 0.880 8.9 5.5 0.750 10.4 5.2 0.375 8.9 15.5 0.750 12.2 18.3 0.375 10.6 1.1 4.3 11.8 0.880 5.4 5.5 0.880 8.9 5.5 0.750 12.5 4.2 0.375 8.9 15.5 0.750 12.5 19.3 0.375 10.6 1.1 4.3 9.9 0.880 5.4 5.6 0.880 9.0 4.4 0.750 12.0 3.8 0.375 9.0 10.6 0.750 10.5 15.9 0.375 10.6 1.1 4.3 9.9 0.880 5.4 5.6 0.880 9.0 4.3 0.750 11.2 1 3.5 0.375 9.0 11.6 0.750 10.9 16.1 0.375 10.6 1.1 2HW 3DX 4.3 11.8 0.880 5.3 5.5 0.880 8.9 5.5 0.750 10.3 5.3 0.380 8.9 15.5 0.750 12.1 18.4 0.380 10.6 1.1 4.3 11.9 1.130 5.3 5.6 1.130 1 8.9 5.5 1.125 12.4 4.3 0.625 8.9 15.5 1.125 12.4 19.4 0.625 10.6 1.1 30 4.3 14.1 1.125 5.4 5.3 1.125 8.1 5.3 0.875 10.4 4.0 0.500 8.1 17.3 0.875 10.4 23.5 0.500 10.7 0.9 4.3 9.8 0.750 6.9 5.5 0.750 10.5 4.4 0.750 13.5 3.8 0.375 10.5 10.6 0.750 12.0 15.9 0.375 10.6 1.1 IL 4.3 9.8 0.750 6.9 5.5 0.750 10.5 4.3 0.750 12.8 3.5 0.375 10.5 11.6 0.750 12.4 16.1 0.375 10.6 1.1 4HW 3DX 4.3 11.8 0.880 6.9 5.5 0.880 10.5 5.5 0.750 11.9 5.2 0.380 10.5 15.5 0.750 13.7 18.3 0.380 10.6 1.1 4.3 11.8 1.130 6.9 5.5 1.130 10.5 5.5 1.125 14.0 4.2 0.500 10.5 15.5 1.125 14.0 19.3 0.500 10.6 1.1 4.4 14.0 1.125 7.7 5.2 1.125 10.3 5.2 0.875 12.5 4.0 0.500 10.3 17.2 0.875 12.5 23.5 0.500 10.7 0.9 4.6 17.6 1.125 5.7 4.9 1.125 8.3 5.3 1.125 10.6 4.1 0.500 8.3 20.3 1.125 10.6 31.2 0.500 10.7 0.9 2HW 4DX bu .4 20.9 1.125 6.5 6.2 1.125 9.1 4.9 1.125 12.6 3.7 0.625 9.1 23.0 1.125 12.6 38.2 0.625 11.7 1.1 bu 5.5 13.1 1.125 6.6 7.4 1.125 9.2 8.0 1.375 11.5 7.0 0.625 9.2 27.1 1.375 11.5 28.1 0.625 12.8 1.2 4.6 17.7 1.375 7.9 4.9 1.375 10.5 5.3 1.125 12.8 4.1 0.500 10.5 20.3 1.125 12.8 31.2 0.500 10.7 0.9 4HW 4DX 5.2 20.9 1.375 9.9 6.2 1.375 11.3 4.9 1.125 14.8 3.7 0.625 11.3 23.0 1.125 14.8 38.2 0.625 11.7 1.1 5.5 13.1 1.625 8.8 7.4 1.625 11.4 8.0 1.375 13.6 7.0 0.625 11.4 27.1 1.375 13.6 28.1 0.625 12.8 1.2 5.4 14.1 0.625 5.4 5.5 0.625 7.7 5.5 0.750 11.0 4.4 0.375 7.7 13.5 0.750 11.0 15.2 0.375 10.6 1.1 1HW 6DX 5.4 14.1 0.625 5.4 5.5 0.625 8.1 4.3 0.750 12.1 4.3 0.375 8.1 11.0 0.750 9.8 15.6 0.375 10.6 1.1 16 4.3 11.8 0.880 5.4 5.5 0.880 7.8 5.5 0.875 9.8 4.2 0.500 7.8 15.5 0.875 11.9 19.4 0.500 10.6 1.1 20 4.3 11.8 0.880 5.4 5.5 0.880 7.8 5.5 0.875 12.1 4.2 0.500 7.8 15.5 0.875 10.8 19.3 0.500 10.6 1.1 4.3 9.9 0.880 5.4 5.6 0.880 7.8 5.5 0.750 11.1 4.4 0.375 7.8 13.5 0.750 11.1 15.2 0.375 10.6 1.1 4.3 9.9 0.880 5.4 5.6 0.880 8.2 4.3 0.750 12.2 4.3 0.375 8.2 11.0 0.750 9.9 15.6 0.375 10.6 1.1 4.3 11.8 0.880 5.4 5.5 0.880 7.8 5.5 0.875 9.8 4.2 0.500 7.8 15.5 0.875 11.9 19.4 0.500 10.6 1.1 2HW 6DX 4.3 11.9 1.130 5.4 5.6 1.130 7.8 5.5 0.875 12.1 4.2 0.500 7.8 15.5 0.875 10.8 19.3 0.500 10.6 1.1 4.3 14.0 1.125 5.4 5.2 1.125 8.1 5.5 1.125 11.0 4.3 0.500 8.1 17.5 1.125 11.1 23.8 0.500 10.7 0.9 4.6 17.6 1.125 5.7 4.9 1.125 8.3N4. 1.125 11.3 4.1 0.500 8.3 21.3 1.125 11.3 31.2 0.500 10.7 0.9 5.4 20.9 1.125 6.5 6.2 1.125 9.01.375 12.5 5.7 0.625 9.0 23.2 1.375 12.5 23.2 0.625 11.7 1.1 . 4.3 9.8 0.750 6.9 5.5 0.750 9.30.750 12.6 4.4 0.375 9.3 13.5 0.750 12.6 15.2 0.375 10.6 1.1 12 4.3 9.8 0.750 6.9 5.5 0.750 9.80.750 13.8 4.3 0.375 9.8 11.0 0.750 11.4 15.6 0.375 10.6 1.1 4HW 6DX . a i ell COIL CONNECTION DIMENSIONS - I DX Single -Circuit And Hydronic Coils, Reheat FIRST COIL SECOND COIL CONDENSATE DRAIN (314"FPT) CIRCUIT#1 RETURN SUPPLY SUCTION LIQUID CONFIGURATION UNIT SIZE A J T B H W C K R D G V E F 3DX 1HW 8 5.5 5.5 0.750 8.5 4.3 0.375 11.3 14.1 0.625 11.3 5.5 0.625 10.6 1.1 12 5.5 5.6 0.750 8.5 4.3 0.375 11.3 14.1 0.625 11.3 5.5 0.625 10.6 1.1 16 5.5 5.5 0.750 8.5 4.3 0.380 10.2 11.8 0.880 11.3 5.5 0.880 10.6 1.1 20 5.5 5.5 1.125 8.7 4.2 0.625 10.3 11.8 0.880 11.4 5.5 0.880 10.6 1.1 3DX 2HW 8 5.5 5.5 0.750 8.5 4.3 0.375 10.2 9.9 0.880 11.3 5.6 0.880 10.6 1.1 12 5.5 5.6 0.750 8.5 4.3 0.375 10.2 9.9 0.880 11.3 5.6 0.880 10.6 1.1 16 5.5 5.5 0.875 8.5 4.3 0.500 10.2 11.8 0.880 11.3 5.5 0.880 10.6 1.1 20 5.5 5.5 1.125 8.7 4.2 0.625 10.3 11.9 1.130 11.4 5.6 1.130 10.6 1.1 30 4.4 5.2 1.125 6.7 4.0 0.625 10.6 14.0 1.125 11.7 5.2 1.125 10.7 0.9 3DX 4HW 8 5.5 1 5.5 0.750 1 8.5 4.3 0.375 10.2 9.9 0.750 11.3 5.6 0.750 10.6 1.1 12 5.5 5.6 0.750 8.5 4.3 0.375 10.2 9.9 0.750 11.3 5.6 0.750 10.6 1.1 16 5.5 5.5 0.875 8.5 4.3 0.500 10.2 11.8 0.880 11.3 5.5 0.880 10.6 1.1 20 5.5 5.5 1.125 8.7 4.2 0.625 10.3 11.9 1.130 11.4 5.6 1.130 10.6 1.1 30 4.4 5.2 1.125 6.7 4.0 0.625 10.6 14.0 1.125 11.7 5.2 1.125 10.7 0.9 4DX 2HW 40 4.6 5.3 1.375 6.9 4.1 0.625 10.8 17.6 1.125 11.9 4.9 1.125 10.7 0.9 4DX 4HW 40 4.6 5.3 1.375 6.9 4.1 0.625 10.8 17.6 1.375 11.9 4.9 1.375 10.7 0.9 6DX 1HW 04 5.6 7.5 0.750 8.1 3.3 0.375 12.5 7.5 0.625 13.3 3.3 0.625 11.6 1.1 06 5.6 7.5 0.750 8.5 3.5 0.375 12.5 7.5 0.625 13.3 3.3 0.625 11.6 1.1 08 4.3 5.5 0.875 7.3 4.3 0.375 12.1 14.1 0.625 12.1 5.5 0.625 10.6 1.1 12 4.4 5.5 0.875 7.4 4.3 0.375 12.2 14.1 0.625 12.2 5.5 0.625 10.6 1.1 16 4.4 5.5 1.125 7.4 4.3 0.625 11.1 11.8 0.880 12.2 5.5 0.880 10.6 1.1 20 4.4 5.5 1.125 6.8 3.0 0.625 11.1 11.8 0.88C 12.2 5.5 0.880 10.6 1.1 6DX 2HW 04 5.6 7.5 0.750 8.1 3.3 0.375 12.4 7.5 0.750 13.3 3.3 0.750 11.6 1.1 06 5.6 7.5 0.750 8.5 3.5 0.375 12.4 7.5 0.750 13.3 3.3 0.750 11.6 1.1 08 4.3 5.5 0.875 7.3 4.3 0.375 11.0 9.9 0.880 12.1 5.6 0.880 10.6 1.1 12 4.4 5.5 0.875 7.4 4.3 0.375 11.1 9.9 0.880 12.2 5.6 0.880 10.6 1.1 16 4.4 5.5 1.125 7.4 4.2 0.625 11.1 11.8 0.880 12.2 5.5 0.880 10.6 1.1 20 4.4 5.5 1.125 6.8 3.0 0.625 11.1 11.9 1.130 12.2 5.6 1.130 10.6 1.1 30 4.4 5.7 1.125 7.4 4.3 0.625 11.3 14.0 1.125 12.4 5.2 1.125 10.7 0.9 40 4.6 5.3 1.135 7.6 4.1 0.625 11.6 17.6 1.125 12.7 4.9 1.125 10.7 0.9 6DX 4HW 04 5.6 7.5 0.750 8.1 3.3 0.375 12.3 7.5 0.750 14.9 3.3 0.750 11.6 1.1 06 5.6 7.5 0.750 8.5 3.5 0.375 12.3 7.5 0.750 14.9 3.3 0.750 11.6 1.1 08 4.3 5.5 0.875 7.3P4.3 0.375 11.0 9.8 0.750 13.6 5.5 0.750 10.6 1.1 12 4.4 5.5 0.875 7.40.375 11.1 9.8 0.750 13.7 5.5 0.750 10.6 1.1 16 4.4 5.5 1.125 7.40.625 11.1 11.8 0.880 13.7 5.5 0.880 10.6 1.1 20 4.4 5.5 1.125 6.80.625 11.1 11.8 1.130 13.7 5.5 1.130 10.6 1.1 30 4.4 5.7 1.125 7.40.625 11.4 14.0 1.125 14.7 5.2 1.125 10.7 0.9 40 4.6 5.3 1.135 7.60.625 11.6 17.7 1.375 14.9 4.9 1.375 10.7 0.9 Refer to Legend on page 28 o lei COIL CONNECTION DIMENSIONS DX Dual -Circuit And Hydronic Coils, Reheat CONDENSATE DRAIN (314"FPT) RETURN SUPPLY A J T B H W A L T B N W C K R D G V E F 5.5 4.4 0.750 8.5 3.8 0.375 5.5 10.6 0.750 7.0 15.9 0.375 11.3 14.1 0.625 11.3 5.5 0.625 10.6 1.1 3DX 1 HW 5.5 4.3 0.750 7.8 3.5 0.375 5.5 11.6 0.750 7.4 16.1 0.375 11.3 14.1 0.625 11.3 5.5 0.625 10.6 1.1 5.5 5.5 0.750 6.9 5.2 0.375 5.5 15.5 0.750 8.7 18.3 0.375 10.2 11.8 0.880 11.3 5.5 0.880 10.6 1.1 5.5 5.5 0.750 9.0 4.2 0.375 5.5 15.5 0.750 9.0 19.3 0.375 10.2 11.8 0.880 11.3 5.5 0.880 10.6 1.1 OU 5.5 4.4 0.750 8.5 3.8 0.375 5.5 10.6 0.750 7.0 15.9 0.375 10.2 9.9 0.880 11.3 5.6 0.880 10.6 1.1 5.5 4.3 0.750 7.8 3.5 0.375 5.5 11.6 0.750 7.4 16.1 0.375 10.2 1 9.9 1 0.880 11.3 5.6 0.880 10.6 1.1 3DX 2HW 5.4 5.5 0.750 6.9 5.3 0.380 5.4 15.5 0.750 8.6 18.4 0.380 10.1 11.8 0.880 11.2 5.5 0.880 10.6 1.1 5.4 5.5 1.125 8.9 4.3 0.625 5.4 15.5 1.125 8.9 19.4 0.625 10.1 11.9 1.130 11.2 5.6 1.130 10.6 1.1 4.4 5.3 0.875 6.7 4.0 0.500 4.4 17.3 0.875 6.7 23.5 0.500 10.6 14.1 1.125 11.7 5.3 1.125 10.7 0.9 5.5 4.4 0.750 8.5 3.8 0.375 5.5 10.6 0.750 7.0 15.9 0.375 10.2 9.8 0.750 12.8 5.5 0.750 10.6 1.1 5.5 4.3 0.750 7.8 3.5 0.375 5.5 11.6 0.750 7.4 16.1 0.375 10.2 9.8 0.750 12.8 5.5 0.750 10.6 1.1 3DX 4HW Tr 5.5 5.5 0.750 6.9 5.2 0.380 5.5 15.5 0.750 8.7 18.3 0.380 10.2 11.8 0.880 12.8 5.5 0.880 10.6 1.1 5.5 5.5 1.125 9.0 4.2 0.500 5.5 15.5 1.125 9.0 19.3 0.500 10.2 11.8 1.130 12.8 5.5 1.130 10.6 1.1 4.4 5.2 0.875 6.7 4.0 0.500 4.4 17.2 0.875 6.7 23.5 0.500 10.7 14.0 1.125 13.9 5.2 1.125 10.7 0.9 4.6 5.3 1.125 6.9 4.1 0.500 4.6 20.3 1.125 6.9 31.2 0.500 10.8 17.6 1.125 11.9 4.9 1.125 10.7 0.9 4DX 2HW bu .4 4.9 1.125 8.9 3.7 0.625 5.4 23.0 1.125 8.9 38.2 0.625 10.7 20.9 1.125 11.8 6.2 1.125 11.7 1.1 bu 5.6 8.0 1.375 7.8 7.0 0.625 5.6 27.1 1.375 7.8 28.1 0.625 10.8 13.1 1.125 11.9 7.4 1.125 12.8 1.2 4.6 5.3 1.125 6.9 4.1 0.500 4.6 20.3 1.125 6.9 31.2 0.500 10.9 17.7 1.375 14.1 4.9 1.375 10.7 0.9 4DX 4HW 5.4 4.9 1.125 8.9 3.7 0.625 5.4 23.0 1.125 8.9 38.2 0.625 10.6 20.9 1.375 15.2 6.2 1.375 11.7 1.1 BU 5.6 8.0 1.375 7.8 7.0 0.625 5.6 27.1 1.375 7.8 28.1 0.625 10.8 13.1 1.625 14.0 7.4 1.625 12.8 1.2 4.3 5.5 0.750 7.6 4.4 0.375 4.3 13.5 0.750 7.6 15.2 0.375 12.1 14.1 0.625 12.1 5.5 0.625 10.6 1.1 6DX1HW 4.8 4.3 0.750 8.8 4.3 0.375 4.8 11.0 0.750 6.4 15.6 0.375 12.1 14.1 0.625 12.1 5.5 0.625 10.6 1.1 Tr 4.4 5.5 0.875 6.4 4.2 0.500 4.4 15.5 0.875 1 8.4 19.4 0.500 11.1 11.8 0.880 12.2 5.5 0.880 10.6 1.1 zu 4.4 5.5 0.875 8.6 4.2 0.500 4.4 15.5 0.875 7.4 19.3 0.500 11.1 11.8 0.880 12.2 5.5 0.880 10.6 1.1 4.3 5.5 0.750 7.6 4.4 0.375 4.3 13.5 0.750 7.6 15.2 0.375 11.1 9.9 0.880 12.2 5.6 0.880 10.6 1.1 4.8 4.3 0.750 8.8 4.3 0.375 4.8 11.0 0.750 6.4 15.6 0.375 11.1 9.9 0.880 12.2 5.6 0.880 10.6 1.1 4.4 5.5 0.875 6.4 4.2 0.500 4.4 15.5 0.875 8.4 19.4 0.500 11.1 11.8 0.880 12.2 5.5 0.880 10.6 1.1 6DX 2HW 4.4 5.5 0.875 8.6 4.2 0.500 4.4 15.5 0.875 7.4 19.3 0.500 11.1 11.9 1.130 12.2 5.6 1.130 10.6 1.1 4.4 5.5 1.125 7.3 4.3 0.500 4.4 17.5 1.125 7.4 23.8 0.500 11.3 14.0 1.125 12.4 5.2 1.125 10.7 0.9 4.6 5.3 1.125 7.6 4.1 0.500 4.6 21.3 1.125 7.6 31.2 0.500 11.6 17.6 1.125 12.7 4.9 1.125 10.7 0.9 5.4 5.7 1.375 8.9 5.7 0.625 5.4 23.2 1.375 8.9 23.2 0.625 13.4 20.9 1.125 14.5 6.2 1.125 11.7 1.1 5.5 7.3 1.375 10.9 8.3 0.625 5.5 28.7 1.375 10.9 40.8 0.625 13.5 13.1 1.125 14.6 7.4 1.125 12.8 1.2 . U. 4.8 4.3 0 7750 8.8 4.3 0.375 4.8 11.0 0.750 6.4 15.6 0.375 11.1 9.8 0.750 13.7 5.5 0.750 10.6 1.1 6DX 4HWzu 500 875 130 . 7727 . o COIL CONNECTION DIMENSIONS Steam And Hydronic Coils, Preheat FIRST COIL SECOND COIL CONDENSATE DRAIN (34' FPT) COND.RETURN STEAM SUPPLY STEAM VENT RETURN SUPPLY CONFIGURATION UNIT SIZE A G S A J X A M P B K R C H V E F S 4CW 04106 6.9 4.0 1.000 6.9 7.4 1.500 6.9 10.9 0.500 10.5 7.5 0.750 13.1 2.7 0.750 11.6 1.1 08112 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 9.3 9.8 0.750 11.9 5.5 0.750 10.6 1.1 16120 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 9.3 11.8 1.130 11.9 5.5 1.130 10.6 1.5 30 5.6 5.2 1.000 5.6 14.0 1.500 5.6 24.6 0.500 9.4 14.0 1.125 12.7 5.2 1.125 10.7 0.9 40 5.8 4.6 1.250 5.8 17.3 2.000 5.8 30.9 0.500 9.6 17.7 1.375 12.9 4.9 1.375 10.7 0.9 60 6.6 6.8 1.500 6.6 21.6 2.500 6.6 38.9 0.500 10.2 21.6 1.375 14.9 6.8 1.375 11.7 1.1 80 6.7 7.4 1.500 6.7 24.6 2.500 6.7 44.9 0.500 10.5 13.1 1.625 13.8 7.4 1.625 12.8 1.2 S 6CW 04106 6.9 4.0 1.000 6.9 7.4 1.500 6.9 10.9 0.500 1 10.6 7.5 0.750 15.1 3.3 0.750 11.6 1.1 08 1 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 9.3 9.8 0.750 13.7 5.5 0.750 10.6 1.1 12 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 9.4 9.8 0.875 13.7 5.5 0.875 10.6 1.1 16120 5.6 5.5 1.000 1 5.6 11.7 1.500 5.6 1 20.1 0.500 9.4 11.8 1.130 13.7 5.5 1.130 10.6 1.5 30 5.6 5.2 1.000 5.6 14.0 1.500 5.6 24.6 0.500 1 9.4 1 14.0 1 1.375 1 14.8 5.2 1.375 10.7 0.9 40 5.8 4.6 1.250 5.8 17.3 2.000 5.8 30.9 0.500 9.6 17.7 1.630 15.0 4.9 1.630 10.7 0.9 60 6.6 6.8 1.500 6.6 21.6 2.500 6.6 38.9 0.500 10.3 21.6 1.625 15.7 6.8 1 1.625 11.7 1.1 80 6.7 7.4 1.500 6.7 24.6 2.500 6.7 42.6 0.500 1 10.5 13.1 1.625 15.9 1 7.4 1 1.625 11 12.8 1.2 Hydronic And Steam Coils, Reheat FIRST COIL SECOND COIL CONDENSATE DRAIN RETURN SUPPLY COND RETURN STEAM SUPPLY STEAM VENT CONFIGURATION UNITSIZE A J R B G V C H S C K X C L P E F 4CW S 04106 5.540 7.520 0.750 8.140 2.650 0.750 11.830 3.990 1.000 11.8 7.4 1.500 11.8 10.9 0.500 11.6 1.1 08112 4.340 9.830 0.750 6.940 5.530 0.750 10.640 5.530 1.000 10.6 9.8 1.500 10.6 15.8 0.500 10.6 1.1 16120 4.320 11.790 1.130 6.920 5.490 1.130 10.620 5.490 1.000 10.6 11.7 1.500 10.6 20.1 0.500 10.6 1.5 30 4.424 14.010 1.125 7.672 5.210 1.125 11.465 5.210 1.000 11.5 14.0 1.500 11.5 24.6 0.500 10.7 0.9 40 4.600 17.690 1.375 7.850 4.940 1.375 11.670 4.590 1.250 11.7 17.3 2.000 11.7 30.9 0.500 10.7 0.9 60 5.211 21.560 1.375 9.850 6.810 1.375 12.435 6.810 1.500 12.4 21.6 2.500 12.4 38.9 0.500 11.7 1.1 80 5.520 13.095 1.625 8.770 7.420 1.625 12.560 7.420 1.500 12.6 24.6 2.500 12.6 44.9 0.500 12.8 1.2 6CW S 04106 5.590 7.520 0.750 10.110 3.270 0.750 13.660 3.990 1.000 13.7 7.4 1.500 13.7 10.9 0.500 11.6 1.1 08 4.320 9.830 0.750 8.650 5.530 0.750 12.390 5.530 1.000 12.4 9.8 1.500 12.4 15.8 0.500 10.6 1.1 12 4.350 9.830 0.875 8.680 5.530 0.875 12.420 5.530 1.000 12.4 9.8 1.500 12.4 15.8 0.500 10.6 1.1 16120 4.350 11.790 1.130 8.680 5.490 1.130 12.370 5.490 1.000 12.4 11.7 1.500 12.4 20.1 0.500 10.6 1.5 30 4.384 14.010 1.375 9.797 5.210 1.375 13.590 5.210 1.000 13.6 14.0 1.500 13.6 24.6 0.500 10.7 0.9 40 4.580 17.690 1.630 10.000 4.940 1.630 13.790 4.590 1.250 13.8 17.3 2.000 13.8 30.9 0.500 10.7 0.9 60 5.310 21.560 1.625 10.710 6.810 1.625 14.560 6.810 1.500 14.6 21.6 2.500 14.6 38.9 0.500 11.7 1.1 80 5.480 13.095 1.625 10.880 7.420 1.625 14.730 7.420 1.500 14.7 24.6 2.500 14.7 42.6 0.500 12.8 1.2 Refer to Legend on page 28 P N N O N N nrla m 41 12 ca COIL CONNECTION DIMENSIONS DX Single -Circuit And Steam Coils, Preheat FIRST COIL SECOND COIL CONDENSATE DRAIN (34' FPT) COND.RETURN STEAM SUPPLY STEAM VENT CIRCUIT #1 SUCTION LIQUID CONFIGURATION UNIT SIZE A G S A K R A M P B J T C H V E F S 3DX 08 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 10.5 5.5 0.750 13.5 4.3 0.375 10.6 1.1 12 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 10.5 5.6 0.750 13.5 4.3 0.375 10.6 1.1 16 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 10.5 5.5 0.750 13.5 4.3 0.380 10.6 1.1 20 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 10.5 5.5 0.750 13.7 4.2 0.380 10.6 1.1 30 5.6 5.2 1.000 5.6 14.0 1.500 5.6 24.6 0.500 9.4 5.2 0.875 11.7 4.0 0.500 10.7 0.9 S 4DX 40 5.8 4.6 1.250 5.8 17.3 2.000 5.8 30.9 0.500 9.6 5.3 1.125 11.9 4.1 0.500 10.7 0.9 S 6DX 08 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 9.3 5.5 0.750 12.3 4.3 0.375 10.6 1.1 12 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 9.4 5.5 0.750 12.4 4.3 1 0.375 10.6 1.1 16 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 9.4 5.5 0.875 12.4 4.2 0.500 10.6 1.1 20 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 9.4 5.5 0.875 11.8 3.0 0.500 10.6 1.1 30 5.6 5.2 1.000 5.6 14.0 1.500 5.6 24.6 0.500 9.4 5.7 1.125 12.4 4.3 0.500 1 10.7 0.9 40 5.8 4.6 1 1.250 1 5.8 1 17.3 1 2.000 5.8 30.9 0.5001 9.6 1 5.3 1 1.135 12.6 4.1 0.625 11 10.7 0.9 DX Dual -Circuit And Steam Coils, Preheat FIRST COIL FIRST COIL CONDENSATE DRAIN (314" FPT) COND.RETURN STEAM SUPPLY STEAM VENT CIRCUIT #1 CIRCUIT #2 SUCTION LIQUID SUCTION LIQUID CONFIGURATION UNIT SIZE A G S A K R A M P B J T C H V B L T C N V E F 08 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 10.5 4.4 0.750 13.5 3.8 0.375 10.5 10.6 0.750 12.0 15.9 0.375 10.6 1.1 12 5.6 5.5 1.000 5.6 9.8 1.500 5.6 15.8 0.500 10.5 4.3 0.750 12.8 3.5 0.375 10.5 11.6 0.750 12.4 16.1 0.375 10.6 1.1 S 3DX 16 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 10.5 5.5 0.750 11.9 5.2 0.380 10.5 15.5 0.750 13.7 18.3 0.380 10.6 1.1 20 5.6 5.5 1.000 5.6 11.7 1.500 5.6 20.1 0.500 10.5 5.5 0.750 14.0 4.2 0.380 10.5 15.5 0.750 14.0 19.3 0.380 10.6 1.1 30 5.6 5.2 1.000 5.6 14.0 1.500 5.6 24.6 0.500 9.4 5.2 0.875 11.7 4.0 0.500 9.4 17.2 0.875 11.7 23.5 0.500 10.7 0.9 40 5.8 4.6 1.250 5.8 17.3 2.000 5.8 30.9 0.500 9.6 5.3 1.125 11.9 4.1 0.500 9.6 20.3 1.125 11.9 31.2 0.500 10.7 0.9 S 4DX 60 6.6 6.8 1.500 6.6 21.6 2.500 6.6 38.9 0.500 10.4 5.6 1.125 13.9 4.3 0.625 10.4 23.7 1.125 13.9 38.8 0.625 11.7 1.1 80 6.7 7.4 1.500 6.7 24.6 2.500 6.7 44.9 0.500 10.6 8.0 1.375 12.8 7.0 0.625 10.6 27.1 1.375 12.8 28.1 0.625 12.8 1.2 08 5.6 5.5 1.000 5.6 9.8 1.000 5.6 15.8 0.500 9.3 5.5 0.750 12.6 4.4 0.375 9.3 13.5 0.750 12.6 15.2 0.375 10.6 1.1 12 5.6 5.5 1.000 5.6 9.8 1.000 5.6 15.8 0.500 9.8 4.3 0.750 13.8 4.3 0.375 9.8 11.0 0.750 11.4 15.6 0.375 10.6 1.1 16 5.6 5.5 1.000 5.6 11.7 1.000 5.6 20.1 0.500 9.4 5.5 0.875 11.4 4.2 0.500 9.4 15.5 0.875 13.4 19.4 0.500 10.6 1.1 S 6DX 20 5.6 5.5 1.000 5.6 11.7 1.000 5.6 20.1 0.500 9.4 5.5 0.875 13.6 4.2 0.500 9.4 15.5 0.875 12.4 19.3 0.500 10.6 1.1 30 5.6 5.2 1.000 5.6 14.0 1.000 5.6 24.6 0.500 9.4 5.5 1.125 12.3 4.3 0.500 9.4 17.5 1.125 12.4 23.8 0.500 10.7 0.9 40 5.8 4.6 1.250 5.8 17.3 2.000 5.8 30.9 0.500 9.6 5.3 1.125 12.6 4.1 0.500 9.6 21.3 1.125 12.6 31.2 0.500 10.7 0.9 60 6.6 6.8 1.500 6.6 21.6 2.500 6.6 38.9 0.500 10.4 6.4 1.125 13.9 6.4 0.625 10.4 23.9 1.125 13.9 23.9 0.625 11.7 1.1 80 6.7 7.4 1.500 6.7 24.6 2.500 6.7 42.6 0.500 10.5 7.3 1.375 15.9 8.3 0.625 10.5 28.7 1.375 15.9 40.8 0.625 12.8 1.2 Refer to Legend on page 28 N N O N N o COIL CONNECTION DIMENSIONS DX Single -Circuit And Steam Coils, Reheat FIRST COIL SECOND COIL CONDENSATE DRAIN (34' FPT) CIRCUIT #1 COND.RETURN STEAM SUPPLY STEAM VENT SUCTION LIQUID CONFIGURATION UNIT SIZE A J T B G V C H S C K R C N P E F 3DX S 08 5.5 5.5 0.750 8.5 4.3 0.375 11.5 5.5 1.000 11.5 9.8 1.500 11.5 15.8 0.500 10.6 1.1 12 5.5 5.6 0.750 8.5 4.3 0.375 11.5 5.5 1.000 11.5 9.8 1.500 11.5 15.8 0.500 10.6 1.1 16 5.5 5.5 0.875 8.5 4.3 0.500 11.5 5.5 1.000 11.5 11.7 1.500 11.5 20.1 0.500 10.6 1.1 20 5.5 5.5 1.125 8.7 4.2 0.625 11.6 5.5 1.000 11.6 11.7 1.500 11.6 20.1 0.500 10.6 1.1 30 4.4 5.2 1.125 6.7 4.0 0.625 11.8 5.2 1.000 11.8 14.0 1.500 11.8 24.6 0.500 10.7 0.9 4DX S 40 4.6 1 5.3 1.375 6.9 4.1 0.625 12.0 4.6 1.250 12.0 17.3 2.000 12.0 30.9 1 0.500 10.7 0.9 6DX S 08 4.3 5.5 0.75 7.3 4.3 0.375 12.3 5.5 1.000 12.3 9.8 1.500 12.3 15.8 0.500 10.6 1.1 12 4.4 5.5 0.875 7.4 4.3 0.375 12.4 5.5 1.000 12.4 9.8 1.500 12.4 15.8 0.500 10.6 1.1 16 4.4 5.5 1.125 7.4 4.2 0.625 12.4 5.5 1.000 12.4 11.7 1.500 12.4 20.1 0.500 10.6 1.1 20 4.4 5.5 1.125 6.8 3.0 0.625 12.4 5.5 1.000 12.4 11.7 1.500 12.4 20.1 0.500 10.6 1.1 30 4.4 5.7 1.125 7.4 4.3 0.625 12.6 5.2 1.000 12.6 14.0 1.500 12.6 24.6 0.500 10.7 0.9 40 4.6 5.3 1.135 7.6 4.1 0.625 12.8 4.6 1.250 12.8 17.3 2.000 12.8 30.9 0.500 10.7 0.9 DX Dual -Circuit And Steam Coils, Reheat FIRST COIL SECOND COIL STEAM VENT CONDENSATE DRAIN (314" FPT) CIRCUIT #1 CIRCUIT #2 COND. RETURN STEAM SUPPLY SUCTION LIQUID SUCTION LIQUID CONFIGURATION UNIT SIZE A J T B G V A L T B M V C H S C K R C N P E F 08 5.5 4.4 0.750 8.5 3.8 0.375 5.5 10.6 0.750 7.0 15.9 0.375 11.5 5.5 1.000 11.5 9.8 1.500 11.5 15.8 0.500 10.6 1.1 12 5.5 4.3 0.750 7.8 3.5 0.375 5.5 11.6 0.750 7.4 16.1 0.375 11.5 5.5 1.000 11.5 9.8 1.500 11.5 15.8 0.500 10.6 1.1 3DX S 16 5.5 5.5 0.750 6.9 5.2 0.380 5.5 15.5 0.750 8.7 18.3 0.380 11.5 5.5 1.000 11.5 11.7 1.500 11.5 20.1 0.500 10.6 1.1 20 5.5 5.5 0.750 9.0 4.2 0.380 5.5 15.5 0.750 9.0 19.3 0.380 11.5 5.5 1.000 11.5 11.7 1.500 11.5 20.1 0.500 10.6 1.1 30 4.4 5.2 0.875 6.7 4.0 0.500 1 4.4 17.2 1 0.875 6.7 23.5 0.500 11.8 5.2 1.000 11.8 14.0 1.500 11.8 24.6 0.500 10.7 0.9 40 4.6 5.3 1.125 6.9 1 4.1 0.500 4.6 20.3 1.125 6.9 31.2 0.500 12.0 4.6 1.250 12.0 17.3 2.000 12.0 30.9 0.500 10.7 0.9 4DX S 60 5.4 5.6 1.125 8.9 4.3 0.625 5.4 23.7 1.125 8.9 38.8 0.625 11.9 6.8 1.500 11.9 21.6 2.500 11.9 38.9 0.500 11.7 1.1 80 5.6 8.0 1.375 7.8 7.0 0.625 5.6 27.1 1.375 7.8 28.1 0.625 12.0 7.4 1.500 12.0 24.6 2.500 12.0 44.9 0.500 1 12.8 1.2 08 4.3 5.5 0.750 7.6 4.4 0.375 4.3 13.5 0.750 7.6 15.2 0.375 12.4 5.5 1.000 12.4 9.8 1.000 12.4 15.8 0.500 10.6 1.1 12 4.8 4.3 0.750 8.8 4.3 0.375 4.8 11.0 0.750 6.4 15.6 0.375 12.4 5.5 1.000 12.4 9.8 1.000 12.4 15.8 0.500 10.6 1.1 16 4.4 5.5 0.875 6.4 4.2 0.500 4.4 15.5 0.875 8.4 19.4 0.500 12.4 5.5 1.000 12.4 11.7 1.000 12.4 20.1 0.500 10.6 1.1 6DX S 20 4.4 5.5 0.875 8.6 4.2 0.500 4.4 15.5 0.875 7.4 19.3 0.500 12.4 5.5 1.000 12.4 11.7 1.000 12.4 20.1 0.500 10.6 1.1 30 4.4 5.5 1.125 7.3 4.3 0.500 4.4 17.5 1.125 7.4 23.8 0.500 12.6 5.2 1.000 12.6 14.0 1.000 12.6 24.6 0.500 10.7 0.9 40 4.6 5.3 1.125 1 7.6 4.1 0.500 4.6 21.3 1.125 7.6 31.2 0.500 12.8 4.6 1.250 12.8 17.3 2.000 12.8 30.9 0.500 10.7 0.9 60 5.4 6.4 1.375 8.9 6.4 0.625 5.4 23.9 1.375 8.9 23.9 0.625 14.6 6.8 1.500 14.6 21.6 2.500 14.6 38.9 1 0.500J 11.7 1.1 80 5.5 7.3 1.375 10.9 1 8.3 0.625 5.5 28.7 1.375 1 10.9 1 40.8 0.625 14.7 7.4 1.500 14.7 24.6 2.500 14.7 42.6 1 0.500 11 12.8 = Refer to Legend on page 28 COIL CONNECTION ' DIMENSIONS Two Hydronic Coils, Preheat FIRST COIL SECOND COIL CONDENSATE DRAIN(314" FPT) RETURN SUPPLY RETURN SUPPLY CONFIGURATION UNIT SIZE A J R B H V C J S D G T E F 1HW 4CW 04106 5.6 7.5 0.625 6.5 3.3 0.625 8.9 7.5 0.750 11.5 2.7 0.750 11.6 1.1 08112 5.4 14.1 0.625 5.4 5.5 0.625 7.7 9.8 0.750 10.3 5.5 0.750 10.6 1.1 16120 4.3 11.8 0.880 5.4 5.5 0.880 7.8 11.8 1.130 10.4 5.5 1.130 10.5 1.1 1HW 6CW 04106 5.6 7.5 0.750 6.5 3.3 0.750 9.0 7.5 0.750 13.5 3.3 0.750 11.6 1.1 8 5.4 14.1 0.625 5.4 5.5 0.625 7.7 9.8 0.750 12.0 5.5 0.750 10.6 1.1 12 5.4 14.1 0.625 5.4 5.5 0.625 7.7 9.8 0.875 12.1 5.5 0.875 10.6 1.1 16120 4.3 11.8 0.880 5.4 5.5 0.880 7.8 11.8 1.130 12.2 5.5 1.130 10.5 1.1 2HW 4CW 04106 5.6 7.5 0.750 6.5 3.3 0.750 8.9 7.5 0.750 11.5 2.7 0.750 11.6 1.1 08112 4.3 9.9 0.880 5.4 5.6 0.880 7.8 9.8 0.750 10.4 5.5 0.750 10.6 1.1 16 4.3 11.8 0.880 5.4 5.5 0.880 7.8 11.8 1.130 10.4 5.5 1.130 10.5 1.1 20 4.3 11.8 1.130 5.4 5.5 1.130 7.8 11.8 1.130 10.4 5.5 1.130 10.5 1.1 30 4.3 14.0 1.125 5.4 5.2 1.125 8.1 14.0 1.125 11.4 5.2 1.125 10.7 0.9 40 4.6 17.6 1.125 5.7 4.9 1.125 8.3 17.7 1.375 11.5 4.9 1.375 10.7 0.9 60 5.4 21.6 1.125 6.5 6.8 1.125 8.9 21.6 1.375 13.5 6.8 1.375 11.7 1.1 80 5.5 13.1 1.125 6.6 7.4 1.125 9.2 13.1 1.625 12.5 7.4 1.625 12.8 1.2 2HW 6CW 04106 5.6 7.5 0.750 6.5 3.3 0.750 9.0 7.5 0.750 13.5 3.3 0.750 11.6 1.1 8 4.3 9.9 0.880 5.4 5.6 0.880 7.8 9.8 0.750 12.1 5.5 0.750 10.6 1.1 12 4.3 9.9 0.880 5.4 5.6 0.880 7.8 9.8 0.875 12.2 5.5 0.875 10.6 1.1 16120 4.3 11.8 1.130 5.4 5.5 1.130 7.8 11.8 1.130 12.2 5.5 1.130 10.5 1.1 30 4.3 14.0 1.125 5.4 5.2 1.125 8.1 14.0 1.375 13.5 5.2 1.375 10.7 0.9 40 4.6 17.6 1.125 5.7 4.9 1.125 8.3 17.7 1.630 13.7 4.9 1.630 10.7 0.9 60 5.4 21.6 1.125 6.5 6.8 1.125 9.0 21.6 1.625 14.4 6.8 1.625 11.7 1.1 80 5.5 13.1 1.125 6.6 7.4 1.125 9.2 13.1 1.625 14.6 7.4 1.625 12.8 1.2 4HW 4CW 04106 5.5 7.5 0.750 8.1 2.7 0.750 10.5 7.5 0.750 13.1 2.7 0.750 11.6 1.1 08112 4.3 9.8 0.750 6.9 5.5 0.750 9.3 9.8 0.750 11.9 5.5 0.750 10.6 1.1 16120 4.3 11.8 1.130 6.9 5.5 1.130 9.3 11.8 1.130 11.9 5.5 1.130 10.5 1.1 30 4.4 14.0 1.125 7.7 5.2 1.125 10.3 14.0 1.125 13.5 5.2 1.125 10.7 0.9 40 4.6 17.7 1.375 7.9 4.9 1.375 10.5 17.7 1.375 13.7 4.9 1.375 10.7 0.9 60 5.2 21.6 1.375 9.9 6.8 1.375 11.1 21.6 1.375 15.7 6.8 1.375 11.7 1.1 80 5.5 13.1 1.625 8.8 7.4 1.625 11.4 13.1 1.625 14.6 7.4 1.625 12.8 1.2 4HW 6CW 04106 5.5 7.5 0.750 8.1 2.7 0.750 10.6 7.5 0.750 15.1 3.3 0.750 11.6 1.1 8 4.3 9.8 0.750 6.9 5.5 0.750 9.3 9.8 0.750 13.7 5.5 0.750 10.6 1.1 12 4.3 9.8 0.750 6.9 5.5 0.750 9.4 9.8 0.875 13.7 5.5 0.875 10.6 1.1 16120 4.3 11.8 1.130 6.9 5.5 1.130 9.4 11.8 1.130 13.7 5.5 1.130 10.5 1.1 30 4.4 14.0 1.125 7.7 5.2 1.125 10.3 14.0 1.375 15.7 5.2 1.375 10.7 0.9 40 4.6 17.7 1.375 7.9 4.9 1.375 10.5 17.7 1.630 15.9 4.9 1.630 10.7 0.9 60 5.2 21.6 1.375 9.9 6.8 1.375 11.2 21.6 1.625 16.6 6.8 1.625 11.7 1.1 80 5.5 13.1 1.625 8.8 7.4 1.625 11.3 13.1 1.625 16.7 7.4 1.625 12.8 1.2 6HW 4CW 04106 5.6 7.5 0.750 10.1 3.3 0.750 12.3 7.5 0.750 14.9 2.7 0.750 11.6 1.1 8 4.3 9.8 0.750 8.7 5.5 0.750 11.1 9.8 0.750 13.7 5.5 0.750 10.6 1.1 12 4.4 9.8 0.875 8.7 5.5 0.875 11.1 9.8 0.750 13.7 5.5 0.750 10.6 1.1 16120 4.4 11.8 1.130 8.7 5.5 1.130 11.1 11.8 1.130 13.7 5.5 1.130 10.5 1.1 30 4.4 14.0 1.375 9.8 5.2 1.375 12.4 14.0 1.125 15.7 5.2 1.125 10.7 0.9 40 4.6 17.7 1.630 10.0 4.9 1.630 12.6 17.7 1.375 15.9 4.9 1.375 10.7 0.9 60 5.3 21.6 1.625 10.7 6.8 1.625 13.2 21.6 1.375 17.9 6.8 1.375 11.7 1.1 80 5.5 13.1 1.625 10.9 7.4 1.625 13.5 13.1 1.625 16.8 7.4 1.625 12.8 1.2 Refer to Legend on page 28 05.02.2022 Page 26 HB 1.5 COIL CONNECTION DIMENSIONS Two Hydronic Coils, Reheat FIRST COIL SECOND COIL CONDENSATE DRAIN (314" FPT) RETURN SUPPLY RETURN SUPPLY CONFIGURATION UNIT SIZE A J R B H V C J S D G T E F 4CW 1HW 04106 5.5 7.5 0.750 8.1 2.7 0.750 10.6 7.5 0.625 11.4 3.3 0.625 11.6 1.1 08112 4.3 9.8 0.750 6.9 5.5 0.750 10.4 14.1 0.625 10.4 5.5 0.625 10.6 1.1 16120 4.3 11.8 1.130 6.9 5.5 1.130 9.3 11.8 0.880 10.4 5.5 0.880 10.5 1.1 6CW 1HW 04106 5.6 7.5 0.750 10.1 3.3 0.750 12.4 7.5 0.750 13.3 3.3 0.750 11.6 1.1 8 4.3 9.8 0.750 8.7 5.5 0.750 12.1 14.1 0.625 12.1 5.5 0.625 10.6 1.1 12 4.4 9.8 0.875 8.7 5.5 0.875 12.2 14.1 0.625 12.2 5.5 0.625 10.6 1.1 16120 4.4 11.8 1.130 8.7 5.5 1.130 11.1 11.8 0.880 12.2 5.5 0.880 10.5 1.1 4CW 2HW 04106 5.5 7.5 0.750 8.1 2.7 0.750 10.6 7.5 0.750 11.4 3.3 0.750 11.6 1.1 08112 4.3 9.8 0.750 6.9 5.5 0.750 9.3 9.9 0.880 10.4 5.6 0.880 10.6 1.1 16 4.3 11.8 1.130 6.9 5.5 1.130 9.3 11.8 0.880 10.4 5.5 0.880 10.5 1.1 20 4.3 11.8 1.130 6.9 5.5 1.130 9.3 11.8 1.130 10.4 5.5 1.130 10.5 1.1 30 4.4 14.0 1.125 7.7 5.2 1.125 10.2 14.0 1.125 11.3 5.2 1.125 10.7 0.9 40 4.6 17.7 1.375 7.9 4.9 1.375 10.5 17.6 1.125 11.5 4.9 1.125 10.7 0.9 60 5.2 21.6 1.375 9.9 6.8 1.375 11.2 21.6 1.125 12.3 6.8 1.125 11.7 1.1 80 5.5 13.1 1.625 8.8 7.4 1.625 11.4 13.1 1.125 12.5 7.4 1.125 12.8 1.2 6CW 2HW 04106 5.6 7.5 0.750 10.1 3.3 0.750 12.4 7.5 0.750 13.3 3.3 0.750 11.6 1.1 8 4.3 9.8 0.750 8.7 5.5 0.750 11.1 9.9 0.880 12.2 5.6 0.880 10.6 1.1 12 4.4 9.8 0.875 8.7 5.5 0.875 11.1 9.9 0.880 12.2 5.6 0.880 10.6 1.1 16120 4.4 11.8 1.130 8.7 5.5 1.130 11.1 11.8 1.130 12.2 5.5 1.130 10.5 1.1 30 4.4 14.0 1.375 9.8 5.2 1.375 12.3 14.0 1.125 13.4 5.2 1.125 10.7 0.9 40 4.6 17.7 1.630 10.0 4.9 1.630 12.6 17.6 1.125 13.7 4.9 1.125 10.7 0.9 60 5.3 21.6 1.625 10.7 6.8 1.625 13.4 21.6 1.125 14.5 6.8 1.125 11.7 1.1 80 5.5 13.1 1.625 10.9 7.4 1.625 13.5 13.1 1.125 14.6 7.4 1.125 12.8 1.2 4CW 4HW 04106 5.5 7.5 0.750 8.1 2.7 0.750 10.5 7.5 0.750 13.1 2.7 0.750 11.6 1.1 08112 4.3 9.8 0.750 6.9 5.5 0.750 9.3 9.8 0.750 11.9 5.5 0.750 10.6 1.1 16120 4.3 11.8 1.130 6.9 5.5 1.130 9.3 11.8 1.130 11.9 5.5 1.130 10.5 1.1 30 4.4 14.0 1.125 7.7 5.2 1.125 10.3 14.0 1.125 13.5 5.2 1.125 10.7 0.9 40 4.6 17.7 1.375 7.9 4.9 1.375 10.5 17.7 1.375 13.7 4.9 1.375 10.7 0.9 60 5.2 21.6 1.375 9.9 6.8 1.375 11.1 21.6 1.375 15.7 6.8 1.375 11.7 1.1 80 5.5 13.1 1.625 8.8 7.4 1.625 11.4 13.1 1.625 14.6 7.4 1.625 12.8 1.2 6CW 4HW 04106 5.6 7.5 0.750 10.1 3.3 0.750 12.3 7.5 0.750 14.9 2.7 0.750 11.6 1.1 8 4.3 9.8 0.750 8.7 5.5 0.750 11.1 9.8 0.750 13.7 5.5 0.750 10.6 1.1 12 4.4 9.8 0.875 8.7 5.5 0.875 11.1 9.8 0.750 13.7 5.5 0.750 10.6 1.1 16120 4.4 11.8 1.130 8.7 5.5 1.130 11.1 11.8 1.130 13.7 5.5 1.130 10.5 1.1 30 4.4 14.0 1.375 9.8 5.2 1.375 12.4 14.0 1.125 15.7 5.2 1.125 10.7 0.9 40 4.6 17.7 1.630 10.0 4.9 1.630 12.6 17.7 1.375 15.9 4.9 1.375 10.7 0.9 60 5.3 21.6 1.625 10.7 6.8 1.625 13.2 21.6 1.375 17.9 6.8 1.375 11.7 1.1 80 5.5 13.1 1.625 10.9 7.4 1.625 13.5 13.1 1.625 16.8 7.4 1.625 12.8 1.2 4CW 6HW 04106 5.5 7.5 0.750 8.1 2.7 0.750 10.6 7.5 0.750 15.1 3.3 0.750 11.6 1.1 8 4.3 9.8 0.750 6.9 5.5 0.750 9.3 9.8 0.750 13.7 5.5 0.750 10.6 1.1 12 4.3 9.8 0.750 6.9 5.5 0.750 9.4 9.8 0.875 13.7 5.5 0.875 10.6 1.1 16120 4.3 11.8 1.130 6.9 5.5 1.130 9.4 11.8 1.130 13.7 5.5 1.130 10.5 1.1 30 4.4 14.0 1.125 7.7 5.2 1.125 10.3 14.0 1.375 15.7 5.2 1.375 10.7 0.9 40 4.6 17.7 1.375 7.9 4.9 1.375 10.5 17.7 1.630 15.9 4.9 1.630 10.7 0.9 60 5.2 21.6 1.375 9.9 6.8 1.375 11.2 21.6 1.625 16.6 6.8 1.625 11.7 1.1 80 5.5 13.1 1.625 8.8 7.4 1.625 11.3 13.1 1.625 16.7 7.4 1.625 12.8 1.2 Refer to Legend on page 28 05.02.2022 Page 27 HB 1.5 COIL CONNECTION ' DIMENSIONS HB Size 80 Coil Combinations DX-HYD- RE/PRE STEAM-HYD RE/PRE HYDIHYD RE/PRE COIL SELECTION UNIT SIZE P Q N Q M N 4R HBB80 29.6 35.2 29.6 35.2 29.6 35.2 6R HBB80 29.6 35.2 29.6 35.2 29.6 35.2 Coil Connection Dimensions - Legend 2HW First Coil in Air Stream Number of Rows 4DX Second Coil in Air Stream Coil Code Description HW Hot Water Heating Coil CW Chilled Water Cooling Coil (or 2-pipe coil) S Steam Coil DX Direct Expansion Cooling Coil HYD Hydronic Coil (hot water or chilled water or 2-pipe coil) PRE Preheat (first coil in airstream is heating coil) RE Reheat (second coil in airstream is heating coil) Notes: 1. Hydronic and DX coils have copper pipe with size (marked with 0) indicated in inches, Outside Diameter. 2. Steam coils' supply and return have Male Pipe Thread (MPT) connections indicated in NPT pipe sizes. 3. Steam coils' vent connections have Female Pipe Thread (FPD) connections indicated in NPT pipe sizes. 05.02.2022 Page 28 HB 1.5 TYPICALWIRING - i o MOTOR START/STOP STATION (MSS) OPTION Components shown are factory -provided and installed with the MSS option. Single Phase, Relay Control III—• • • GND GRN/142 USE COPPER SUPPLY WIRES. wHT/14o HT/131 INWHT/131 TRAN1 RED/500 DISC] L'I • • • • • �/ BLKI133 BLK/,33 N BRN/501 TBi ' 0 RED/500 Refer to motor nameplate for wiring details. O BRw5o5 0 BLK/5oz �� f _S BLK/134 BLK/141 BLK/141 EAN 1 MOTOR BRN/505 BLK/502 _ /-\ _ Note: Single phase units may utilize a contactor instead of a relay. Three Phase, Contactor Control III—• • • GND GRN/142 USE COPPER SUPPLY WIRES. DISCI L3• ry ' BL na LI131 TRAM REDI500 3 Phase L2• O­t:—_ il L1 • • / BLBLK/133 LM11115.1 TBI �-J-� 0 RED1500 / / / Refer to motor nameplate for wiring details. 0 BRN/505 BLK/502 0 BL /13 a RN/142 R n4o u1a EAN EEE3�G 2 2 BLK/141 OTOR BLK/134 1 i BRN1505 BLK/502 Three Phase, Starter Control REFERTO NAMEPLATE FOR PROPERVOLTAGE HIGHVOLTAGE FACTORYWIRING LOW VO LTAG E FACTORYWIRING FIELDWIRING — — — — — NOTES: I . These diagrams represent the factory -installed MSS option. If the j-box option is provided, an arrangement like this may be field -provided and installed to allow the customer's controls to start and stop the fan. Selection of field provided and installed electrical components is the responsibility of the installer. 2. MSS provides single -speed fan motor control and includes lockable, non -fused disconnect switch, 75VA 24V control transformer, fan relay or contactor or starter (with overload if required), low voltage terminal block and indoor enclosure. 3. Typical wiring is shown. For exact wiring, refer to the wiring diagram provided with the unit. 4. Factory -installed electric heat includes the functionality of the MSS, so MSS is not required. S. Refer to the following pages for j-box and electric heat options. 6. Units ordered for 208V-240V voltage selection are factory wired for 240V. Field may rewire motor and transformer primary tap for operation at 208V. 05.02.2022 Page 29 HB 1.5 4 4J X a bA C 7� 4J M a L0 r TYPICALWIRING - JUNCTION BOX (J-BOX) OPTION BILK L1. See Motor W T Nameplate 115 or 265V, N • for Wiring GRN g Single Phase I� Detail BILK L1. See Motor RED Nameplate 208-230V, L2 • for Wiring GRN g Single Phase I� Detail L1. . . . . . . L2. . . . . . . L3. . . . . . . II� . . . . . . BILK RED ORN GRN See Motor 208-230, Nameplate 460 575V for Wiring Detail Three Phase The J-Box option has factory -installed motor wiring terminated in a 4x4 junction box on the outside of the HB series unit, ready for connection to field wiring. J-Box option does not include disconnect switch, starter or low voltage controls. Field supplied fan controls must prevent simultaneous engagement of both high and low speeds. _ GRN/100 GRN/100 W T/101 W T1101 N • See Motor 115 or 265V, L1 H GH • • • BLK/102 BLK 102 Nameplate for RED/103 RED/103 WiringDetail Single Phase g L1 L W . . . GRN/100 GRN1100 YEL/101 YEU101 L2 See Motor 208-230V, L1 H GH • • • BLK/102 BLK/102 Nameplate for RED/103 RED/103 WiringDetail Single Phase g L1 L W . . • GRN/100 GRN/100 L1• • • • L W L2. . . . L3. • • • L1. H GH L2 . L3. Field supplied fan controls must provide motor overload protection and both motor windings must be connected in the correct phase sequence. 208-230,460V, Three Phase 05.02.2022 Page 30 HB 1.5 THERMOSTAT FIELD ___ WHITE W1 O GREEN G O _ _ _ BLACK C O � RED R O Terminal Block or w Optional Disconnect Switch af 3: L1-------- r J a � L2-------- co af w a a O------- GND U GREEN w GND co D TYPICALWIRING - FACTORY INSTALLED ELECTRIC HEAT HB*Units, 240V- I o:1-6kW (Single Element) Automatic Air Proving Reset Switch Limit Manual HC = Heat Control (Relay or Contactor) Reset HC1-1 HC1-2 NOTES: I. Motor Start/Stop Station (MSS) not required when factory -installed electric heat is selected.The electric heater contains the fan motor starter and low -voltage controls with "single -point -line" power connection. 2. See the unit wiring diagram for actual wiring. 05.02.2022 Page 31 HB 1.5 TYPICALWIRING - AN FACTORY INSTALLED ELECTRIC HEAT HB*Units — 240V-3o: I -I OkW, 480V-3o:2-2OkW (Star Wiring) FIELD THERMOSTAT W1 O WHITE WHIM W2 - -- GREY G --- BLAB C O --- RED R Q Automatic Air Proving Reset Switch Limit =FC-Overloadp 24V _ Tran1 - Manual Terminal Block or Reset �j Optional Disconnect Switch Limit HC1-1 L1-------- J o HC1-2 D L2-------- U) w HC2 a L3------- O O HC = Heat Control (Relay or Contactor) w U) D f — - - - - - - - - GND LFC BLACK GREEN GND Fuse RED Fan Fuse EEEE' ORANGE Motor Fuse FC=Fan Control (Relay, Contactor or Starter) GREEN NOTES: I. Motor Start/Stop Station (MSS) not required when factory -installed electric heat is selected.The electric heater contains the fan motor starter and low -voltage controls with "single -point -line" power connection. 2. See the unit wiring diagram for actual wiring. 05.02.2022 Page 32 HB 1.5 HB Series Airside Pressure Drop Unit Size CFM FLAT FILTERS ANGLED FILTERS DISCHARGE PLENUM MIXING BOX STD T/A PLEATED STD T/A PLEATED 0 DEG DEF 46 DEG DEF 300 0.04 0.05 0.03 0.02 0.01 0.02 0.01 HBB-04 400 0.05 0.07 0.03 0.03 0.02 0.04 0.02 500 0.07 0.10 0.05 0.04 0.04 0.06 0.03 450 0.06 0.08 0.04 0.04 0.03 0.05 0.02 HBB-06 600 0.09 0.13 0.06 0.05 0.05 0.08 0.04 750 0.13 0.18 0.08 0.07 0.08 0.13 0.06 600 0.06 0.06 0.04 0.03 0.01 0.02 0.01 HBB-08 800 0.09 0.09 0.05 0.05 0.02 0.04 0.02 1000 0.12 0.12 0.07 0.06 0.04 0.06 0.03 900 0.11 0.10 0.06 0.06 0.03 0.05 0.02 HBB-12 1200 0.16 0.16 0.09 0.08 0.05 0.09 0.04 1500 0.21 0.23 0.12 0.12 0.08 0.14 0.07 1200 0.09 0.08 0.06 0.06 0.02 0.03 0.02 HBB-16 1600 0.13 0.13 0.09 0.09 0.03 0.05 0.03 2000 0.17 0.18 0.12 0.12 0.05 0.09 0.04 1500 0.12 0.12 0.08 0.08 0.03 0.05 0.02 HBB-20 2000 0.17 0.18 0.12 0.12 0.05 0.09 0.04 2500 0.24 0.26 0.17 0.17 0.08 0.13 0.07 2250 0.07 0.06 0.06 0.06 0.03 0.05 0.03 HBB-30 3000 0.10 0.10 0.09 0.09 0.05 0.09 0.05 3750 0.13 0.14 0.12 0.12 0.09 0.14 0.08 3000 0.10 0.10 0.09 0.09 0.05 0.09 0.05 HBB-40 4000 0.15 0.15 0.13 0.14 0.10 0.16 0.09 5000 0.20 0.21 0.18 0.19 0.15 0.24 0.14 5000 0.12 0.12 0.11 0.11 0.06 0.10 0.09 HBB-60 6000 0.15 0.16 0.14 0.14 0.09 0.14 0.12 7000 0.19 0.20 0.17 0.18 0.12 0.20 0.17 7000 0.14 0.14 0.12 0.12 0.05 0.08 1 0.13 HBB-80 8000 0.17 0.18 0.15 0.15 0.06 0.10 0.17 9000 0.20 0.21 0.17 0.18 1 0.08 0.12 0.21 Unit Size Blower Size CFM CHILLED WATER/HOT WATER DX Steam 1 ROW 2 ROW 4 ROW 6 ROW Std Cap High Cap Std Cap High Cap HBB-04 9 X 6T 300 0.00 0.01 0.01 0.04 0.10 0.17 0.04 400 0.02 0.04 0.09 0.16 0.21 0.35 0.07 500 0.04 0.08 0.16 0.28 0.33 0.53 0.10 HBB-06 9 X 6T 450 0.02 0.04 0.08 0.14 0.08 0.14 0.08 600 0.04 0.09 0.17 0.30 0.17 0.30 0.13 750 0.07 0.13 0.27 0.47 0.27 0.47 0.20 HBB-08 9 X 6 600 0.05 0.11 0.17 0.28 0.14 0.28 0.05 0,09 800 0.09 0.18 0.23 0.39 0.25 0.39 0.08 0.15 1000 0.13 0.27 0.30 0.52 0.38 0.52 0.12 0,22 HBB-12 9 X 6 900 0.03 0.06 0.12 0.23 0.09 0.23 0.05 0.09 1200 0.06 0.11 0.16 0.32 0.17 0.32 0.08 0,15 1500 0.08 0.16 0.20 0.41 0.27 0.41 0.12 0.22 HBB-16 12 X 6 1200 0.01 0.02 0.14 0.26 0.12 0.26 0.05 0,10 1600 0.03 0.05 0.19 0.35 0.21 0.35 0.09 0.16 2000 0.05 0.09 0.25 0.46 0.32 0.46 0.13 0,24 HBB-20 12 X 9 1500 0.03 006 0.11 023 009 023 0.05 010 2000 0.04 0.08 0.15 0.31 0.17 0.31 0.09 0.16 2500 0.05 0.10 0.19 0.41 0.26 0.41 0.13 0.24 HBB-30 15 X 9 2250 0.06 0.17 0.29 0.15 0.29 0.05 0.10 3000 0.12 0.23 0.40 0.27 0.40 0.09 0.17 3150 0.13 0.25 0.43 0.29 0.43 0.10 0,18 3750 0.18 0.31 0.53 0.40 0.53 0.13 0.24 HBB-40 15 X 9 3000 0.07 0.14 0.26 0.10 0.26 0.05 0,10 4000 0.10 0.19 0.36 0.18 0.36 0.09 0.16 5000 0.13 0.25 0.48 0.28 0.48 0.13 0,23 HBB-60 15 X 12 (2) 5000 0.08 0.17 0.31 0.19 0.34 0.06 0.12 6000 0.10 0.21 0.39 0.27 0.48 0.08 0,16 7000 0.12 0.25 0.47 0.36 0.63 0.11 0.21 HBB-80 15 X 12 (2) 7000 0.09 0.18 0.34 0.35 0.46 0.05 0,09 BDDD 0.10 0.21 0.39 0.45 0.58 0.06 0.11 9000 0.12 0.24 0.46 0.56 0.70 0.07 0,14 NOTES: 1. All values are in inches wc. 2. All pressure drops are with dry coil. 05.02.2022 Page 33 HB 1.5 BELT DRIVE UNIT AN ' MOTOR SPECIFICATIONS General: Factory provided and installed motors are single speed, general purpose motors suitable for HVAC applications, rated for 1725rpm or 1750rpm, single speed. Two speed, two -winding motors are also available, with nominal ratings of 1140rpm at low speed and 1750rpm at high speed. FLA rating below is at high speed. Efficiency: Single phase motors comply with EPACT motor efficiency requirements. All three-phase motors comply with EISA motor efficiency requirements, and are NEMA Premium rated for sizes I hp through I Ohp. Inverter Ready: Three phase motors I hp through I Oh are Inverter Ready, meaning that they pass and are marked compliant with NEMA MG I Part 31 test for use with variable frequency drives (VFD's). Inverter Ready motors are suitable for use down to 1 /6th of synchronous speed, minimum. NOTE: Compliance with the standard does not imply that the motor is suitable for use with a specific drive. For guaranteed matching of motor andVFD, consult yourVFD supplier for matched motor and VFD set. Belt Drive Motor Electrical Data AA No motor 1 K2 0.75 208/3 2.8 240/3 3 B1 0.25 208/1 3 240/1 2.6 K3 1 460/3 1.8 B1 0.25 115/1 5.3 K3 1 208/3 3.9 240/3 3.7 B2 0.33 208/1 2.9 240/1 3.3 K4 1.5 460/3 2.3 B2 0.33 115/1 6.6 K4 1.5 208/3 5.3 240/3 5 B3 0.5 208/1 4.8 240/1 4.3 K5 2 460/3 3 B3 0.5 115/1 8.8 K5 2 240/3 5.8 B4 0.75 208/1 6.5 240/1 6.6 K6 3 460/3 4 B4 0.75 115/1 13.3 K7 5 460/3 6.4 B5 1 208/1 7.4 240/1 7.4 K7 5 240/3 12.8 B5 1 115/1 15 L1 0.5 460/3 0.9 B6 1.5 208/1 9.4 240/1 9 L1 0.5 208/3 1.8 240/3 1.8 B6 1.5 115/1 18 L2 0.75 460/3 1.2 B7 2 208/1 10.9 240/1 11 L2 1 0.75 1 208/3 2.5 1 240/3 2.4 B7 2 115/1 22 L3 1 460/3 1.6 C1 0.5 240/1 2.3 L3 1 208/3 3.2 240/3 3.2 C1 0.5 115/1 4.6 L4 1.5 460/3 2.4 C2 0.75 240/1 4.4 L4 1.5 208/3 4.6 240/3 4.8 C2 0.75 115/1 8.8 L5 2 460/3 2.9 C3 1 240/1 5.7 L5 2 208/3 6 240/3 5.8 C3 1 115/1 11.4 L6 1 3 1 460/3 4.3 E1 0.5 115/1 8.2 L6 3 208/3 8.7 240/3 8.6 E2 0.75 115/1 9 L7 5 460/3 6.8 E3 1 115/1 10.8 L7 5 208/3 14.4 240/3 13.6 F1 0.5 240/1 4.1 L8 7.5 460/3 9.9 F2 0.75 208/1 4.3 240/1 4.4 L8 7.5 208/3 20.6 240/3 19.8 F3 1 208/1 5.4 240/1 5.3 L9 10 460/3 12.8 G1 0.25 277/1 2.1 L9 10 208/3 28.5 240/3 25.6 G2 0.33 277/1 2.5 N1 0.5 575/3 0.8 G3 0.5 277/1 3.6 N2 0.75 1.2 G4 0.75 277/1 5.4 N3 1 1.2 GS 1 1 1 277/1 6.7 1 N4 1.5 1.8 G6 1.5 277/1 8.5 N5 2 2.3 G7 2 277/1 8 N6 3 3.4 K1 0.5 460/3 1.1 N7 5 5.4 K1 0.5 208/3 2.4 240/3 2.8 N8 7.5 7.5 K2 0.75 460/3 1.3 N9 10 10.1 Motor Electrical Data: Motor data provided in this data table is the motor manufacturer's rated FLA data. Where more than one manufacturer provides the same size motor/voltage, the highest value is reported in the table. Where data is provided for only one voltage, other voltages are not available for that particular motor selection (ie: if only 240V is listed, then the motor is not rated for operation at 208V). WARNING: Field -provided and installed motors may have different electrical characteristics and different specifications. LEGEND MC: Motor code (Voltage/Phase) HP: Horse power FLA: Full Load Amps MV1: First opera0ng voltage MV2: Second opera0ng voltage MA1: Motor FLA at First opera0ng voltage MA2: Motor FLA at Second oper- a0ng voltage 05.02.2022 Page 34 HB 1.5 CODE NO. �' THIS WIN DOCUMENT IS THE PROPERTY OF UNITED SUBMISSION OF THESE DRAGS OR STANDARD VALVE PACKAGE ELECTRIC ME LP AND IS DELIVERED UPON THE DOCUMENTS DOES NOT WIN UTE CATALOG EXPRESS CONDITION THAT THE CONTENTS WILL PART PERFORMANCE OR ACCEPTANCE NO. NOT BEDISCLOSEDORUSED WITHOUT UNITED OF CONTRACT. 2-WAY WITH CIRCUIT SETTER ELECTRIC CO. LP'S WRITTEN CONSENT. LN LOW PIPE DIMENSIONS (+/- 0.5") CONX. SIZE VALVE SIZE A 1 /2 1 /2 9.8 3/4 1 /2 10.0 3/4 3/4 10.3 1 3/4 10.5 1 1 10.6 1-1/4 1 12.2 1-1/4 1-1/4 13.2 1-1/2 1-1/4 12.9 ALL DIMENSIONS ARE IN INCHES PART IDENTIFICATION ITEM # PART 1 Control Valve 2 Y-Strainer 3 Union 4 Circuit Setter COIL RETURN COIL SUPPLI ACTUATOR SHOWN FOR REFERENCE ONLY FIELD RETURN SUPPLY DUCT INFORMATION IS SUBJECT TO CHANGE WITHOUT NOTICE NAME JOB # LOCATION BUYER BUYER - 05.02.2022 DRAWINGNO 053-00774L REV HB 1.5 B2 Series, 2-Way, Characterized Control Valve Stainless Steel Ball and Stem ii 6ELIMO WARRANTY Technical Data Service chilled or hot water, 60% glycol Flow characteristic A -port equal percentage Action 90° rotation Sizes Yz" 3/a" 1", 1'/a", 1Yz", 2", 2Yz" 3" Type of end fitting NPT female ends Materials: Body forged brass, nickel plated Ball stainless steel Stem stainless steel Seats PTFE Characterizing disc Tefzel° Packing 2 EPDM 0-rings, lubricated Body Pressure rating 600 psi Yz" -1'/a" (B230) 400 psi 1 Ya" B231 - 3" Media temp. range 0°F to 212°F [-18°C to 100°C] Close off pressure 200 psi Yz" - 2" (B250) 100 psi 2" (B251) - 3" Maximum differential 30 psi for typical applications pressure (AP) Leakage 0% for A to AB Cv rating A -port: see product chart for values Tefzel° is a registered trademark of DuPont Valve Nominal Size Dimensions (Inches [mm]) Valve Body Inches DN [mm] A BE B B207-B211 Yz" 15 2.41" [61.11 1.39" [35.21 B212-B215 Yz" 15 2.38" [60.41 1.72" [43.71 B217-B220 3/a" 20 2.73" [69.31 1.81" [45.91 B222-B225 1" 25 3.09" [78.41 1.81" [45.91 B229-B230 1'/a" 32 3.72" [94.61 1.81" [45.91 B231-B232 1'/a" 32 3.72" [94.61 1.98" [50.41 B238-B240 1Yz 40 3.88" [98.51 1.98" [50.41 B248-B250 2" 50 4.21" [107.01 2.21" [56.21 B251-B254 2" 50 4.93" [125.21 2.68" [68.01 B261-B265 2Yz" 65 5.55" [140.91 2.68" [68.01 B277-B280 3" 80 5.82" [147.91 2.68" [68.0] Application This valve is typically used in air handling units on heating or cooling coils, and fan coil unit heating or cooling coils. Some other common applications include Unit Ventilators, VAV box re -heat coils and bypass loops. This valve is suitable for use in a hydronic system with variable flow. Valve Nominal Size Type Suitable Return Actuators RIMMELWAM r 0.3 Yz 15 B207 0.46 Yz 15 B208 0.8 Yz 15 B209 1.2 Yz 15 B210 1.9 Yz 15 B211 3 Yz 15 B212 4.7 Yz 15 B213 7.4 Yz 15 B214 10 Yz 15 B215` 4.7 3/a 20 B217 7.4 3/a 20 B218 10 3/a 20 B219 24 3/a 20 B220` 7.4 1 25 B222 10 1 25 B223 19 1 25 B224 30 1 25 B225` 10 1'/a 32 B229 19 1'/a 32 B230` 25 1'/a 32 B231 37 1'/a 32 B232` 19 1 Yz 40 B238 29 1 Yz 40 B239 37 1Yz 40 B240` 29 2 50 B248 46 2 50 B249 57 2 50 B250` 65 2 50 B251 85 2 50 B252 120 2 50 B253 240 2 50 B254` - - 60 2Yz 65 B261 75 2Yz 65 B262 110 2Yz 65 B263 150 2Yz 65 B264 210 2Yz 65 B265` 70 3 80 B277 130 3 80 B278 170 3 80 B280` Models without characterizing disc A AB INLET OUTLET Two-way Characterizing Disc (Where applicable) Flow Direction p eeum o Ag 0 0 0 Y 05.02.2022 HB 1.5 LF Actuators, On/Off ii 6ELIMO 5 WARRANTY 3.625" [921 O 7 RA" Models Valve Nominal Size Dimensions (Inches [mm]) LF24 US Valve Body Inches DN [mm] A B LF24-S US w/built-in Aux. Switch 3207(13)-13211(13) /2" 15 2.41" [61.1] 1.39" [35.2] LF120 US 3212(13)-13215(13) /2" 15 2.38" [60.4] 1.72" [43.7] LF120-S US w/built-in Aux. Switch 3217(13)-13220(13) 3/a" 20 2.73" [69.3] 1.81" [45.9] 3222-13225 1" 25 3.09" [78.41 1.81" [45.91 3229-13230 11/a" 32 3.72" 94.6 1.81" 45.9 Technical Data Control On/Off, Floating Power supply LF24(-S) US LF120 -S US 24 VAC ± 20% 50/60 Hz 24 VDC ± 10% 120 VAC ± 10% 50/60 Hz Power consumption LF24(-S) US running holding LF120(-S) US running holding 5 W 2.5 W 5.5 W 3.5 W Transformer sizing LF24(-S) US LF120(-S) US 7 VA, class 2 power source 7.5 VA, class 2 power source Electrical connection (-S models have 2 cables) Yz" conduit connector 3 ft [1 m], 18 GA appliance cable Electrical protection 120V actuators double insulated Overload protection electronic throughout rotation Angle of rotation 95° Spring return direction reversible with CW/CCW mounting Position indication visual indicator 0° to 90° Running time motor spring <40 to 75 sec. (on -off) <25 sec. @-4°F to 122°F [-20oC to 50°C] <60 sec. @-22°F [-30°C] Ambient temperature -22° F to 122° F -30° C to 50° C Housing NEMA 2 Agency listingst UL 873, CSA C22.2 No. 24 certified, GE Noise level (max) running spring return <30 db A 62 dB(A) Quality standard ISO 9001 Auxiliary switch �adjustable 1 x SPDT, 6A (1.5A) @ 250 VAC, UL Listed, 0° to 95° (double insulated) t Rated impulse voltage 800V (4kV for 120V model), Control pollution degree 3, Type of action 1.AA (1.AA.B for -S models) 3.78" [961 �c 7 RA" Valve Nominal Size Dimensions (Inches [mm]) Valve Body Inches DN [mm] A B C �11111 3307(13)-13311(13) /2" 15 2.41"[61.1] 1.39" [35.2] 1.20" [30.6] 3312(13)-13315(13) /2" 15 2.38" [60.4] 1.72" [43.7] 1.26" [32.1] 3317(13)-13320(13) 3/a" 20 2.73" [69.3] 1.81" [45.9] 1.45" [36.8] 3322-13325 1" 25 3.09" [78.4] 1.81" [45.9] 1.56" [39.8] 0 05.02.2022 HB 1.5 ii BELI MO LF Actuators, On/Off 0 X INSTALLATION NOTES QProvide overload protection and disconnect as required. 0 CAUTION Equipment damage! Actuators may be connected in parallel. Power consumption must be observed. QActuator may also be powered by 24 VDC. For end position indication, interlock control, fan startup, etc., QLF24-S US and LF120-S US incorporates a built-in auxiliary switch: 1 x SPDT, 6A (1.5A) @ 250 VAC, UL listed, adjustable 0° to 95°. APPLICATION NOTES Meets cULus or UL and CSA requirements without the need of an electrical ground connection. QWARNING Live Electrical Components! During installation, testing, servicing and troubleshooting of this product, it may be necessary to work with live electrical components. Have a qualified licensed electrician or other individual who has been properly trained in handling live electrical components perform these tasks. Failure to follow all electrical safety precautions when exposed to live electrical components could result in death or serious injury. Note: 24 VAC Transformer Transformer provided Line Volts 1 Common Q s by Others 2 + Hot LF24 US Q On/Off wiring for 24 VDC 05.02.2022 HB 1.5 U ItraXB Ortu ri TM Model XB NEXIJS Calibrated Manual Balancing Valve, Modified Venturi, � Ball Valve, Union End, 600 WOG, 325OF nexusvalve.com (%" thru 2") Includes F (2) PT Test Plugs 05 Z �d ORTURI'll Handle Top View DIMENSIONS [inches] SIZE [inches] LO STD A B D F WTpbs] nPe e,s nolnd,.aer� F (NPT) S (.Neat) P (A -press) J 2.9 3.1 3.5 1.7 1.9 0.8 2.9 3.2 3.6 1.7 1.9 0.9 3.1 3.3 3.7 1.8 3.1 1.5 1 3.3 3.4 3.6 1.7 1.9 1.0 1 J 3.3 3.5 3.7 1.8 3.1 1.8 1X J 3.6 3.6 - 1.8 3.1 2.2 1% 4.1 4.3 2.5 4.3 3.5 1y2 J 4.1 4.4 2.5 4.3 3.8 2 5.0 5.8 3.4 5.5 4.9 TAIL PIECE OPTION SIZE O.A.L. USE WITH VALVE SIZE TP-075-050M 1.75 /, /4 LO, 1 LO TP-125-050M 1.75 TP-125-075M 1.75 Y4 STD, 1 STD, 1X LO TP-125-10DM 1.75 MALE TP-200-050M 1.69 TP-200-075M 1.73 NPT TP-200-loom 1.85 1% STD, 1X TP-200-125M 1.85 TP-200-150M 1.89 TP-250-loom 1.93 TP-250-125M 1.93 TP-250-150M 1.97 2 TP-250-200M 2.00 TP-125-05OF 1.00 TP-125-075F 1.00 3/4 STD, 1 STD, 1% LO FEMALE TP-125-10OF 1.20 NPT TP-200-10OF 1.61 TP-200-125F 1.57 1X STD, 1/2 TP-200-15OF 1.18 TP-250-125F 1.77 2 TP-250-15OF 1.97 TP-075-050S 0.59 /, /4 LO, 1 LO TP-125-050S 0.60 TP-125-075S 0.85 4 STD, 1 STD. 1X LO FEMALE TP-125-100S 1.00 TP-200-075S 1.85 SWEAT TP-200-100S 1.85 1X STD, 1% TP-200-125S 1.85 TP-200-150S 1.38 TP-250-125S 1.69 TP-250-150S 1.97 2 TP-250-200S 1.65 MATERIALS BODY, SHAFT, END PCs HANDLE MEMORYSTOP BALL BALL SEALS SHAFT SEALS UNION SEALS DESIGN DATA HOT FORGED BRASS FULL PORT, O-RING SEALS 600 WOG, 325°F SELECTION OF UNION ENDS BLOWOUT -PROOF SHAFTS DOUBLE SHAFT SEALS X" FNPT OPTION PORT ACCURACY ±3% FORGED BRASS ASTM B283 ZINC PLATED / PVC COATED 304 STAINLESS STEEL CHROME PLATED BRASS TEFLON DUAL VITON O-RINGS VITON O-RING VALVE SEAT RATING a �- so � aoo w 20 af a 0 200 400 TEMPERATURE (°F) %4' FNPT Option Port B Body available in FNPT, Sweat or Nex-press FLOW RATE SELECTION GUIDE FLOW SELECTOR SIZE(s) CV 1A %, 3/ LO, 1 LO 0.66 1 B X, % LO, 1 LO 1.32 1 C %2, % LO, 1 LO 3.53 ID X, Y/ LO, 1 LO 0.30 2B % STD, 1 STD, 1% LO 1.32 2A % STD, 1 STD, 1% LO 2.46 3A % STD, 1 STD, 1% LO 3.53 3B % STD, 1 STD, 1% LO 7.42 3C / STD, 1 STD, 1% LO 16.60 4A 1%4 STD, 1% 16.60 5A 1%4 STD, 1% 29.70 6A 2 51.60 6B 2 29.70 ACCESSORIES Order Code ❑ A .... Part No. Description AV-025. AUTOMATIC AIR VENT 250°F, 150 PSIG, positive shut-off, '/4" MNPT HKA PROJECT El B .... BD-025. BLOWDOWN / VENT / DRAIN 325°F, 600 PSIG, ''/a" hose bib & cap E ES-1M, ES-2M, ES-3M. EXTENDED HANDLE Stationary housing, for full -height vapor barrier H .... HT. HANGING TAG with Model No.: Location, Flow Rate (Maximum 7 Characters) L .... SL. SHORT LEVER HANDLE ❑ V .... MV-025. MANUAL AIR VENT 325'F, 400 PSIG, Y44" MNPT Side Discharge MV-025L, MANUAL AIR VENT EXTENDED ❑ X 325°F, 400 PSIG, Y4" MNPT Side Discharge, 2X" O.A.L. ... PTE. PRIES / TEMP TEST PLUG EXTENSION I' O.A.L. CONTRACTOR _ PO/JOB NO. ENGINEER REPRESENTATIVE DATE For part numbers and ordering information please consult 05.02rW2Ordering Guide" section in Nexus Catalog. nr. Carri� SUBMITTAL Project Santa Clarita - The Main Date Monday, August 1, 2022 Table Of Contents Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM ID 1 --------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- 3 Unit Report 4 Certified Drawing 5 Performance Summary 6 ID 2 --------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- 9 Unit Report 10 Certified Drawing 11 Performance Summary 14 Packaged Rooftop Builder 1.67 Page 2 of 16 ID 1 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM ID 1 Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 3 of 16 Unit Report For ID 1 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM Unit Parameters Unit Model:________________________ 48VLUE600903-TP Unit Size: 60 (5 Tons) Volts-Phase-Hertz----------------------------208-1-60 Heating Type: Gas Duct Cfg:__________ Vertical Supply / Vertical Return 90,000 Btuh Ultra Low NOx Unit Unit Configuration Tin -Plated Indoor Coil Hairpins Warranty Information 1 year warranty on parts 5 year warranty on compressor 5 year warranty on heat exchanger No optional warranties were selected. Dimensions (ft. in.) & Weight (lb.) *** Unit Length: 4' 0.1875„ Unit Width: 3' 8.125„ Unit Height: 4' 6.75„ *** Weights and Dimensions are approximate. Weight does not include roof curbs, unit packaging, field installed accessories or factory installed options. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Base Unit Weight (Does not include any accessories): 455 lb NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48VLUE600903-TP Rooftop Unit 1 Base Unit Tin -Plated Indoor Coil Hairpins Field Installed Accessories CPLOUVER019A00 I Louvered Metal Outdoor Coil Grilles 1 Packaged Rooftop Builder 1.67 Page 4 of 16 Certified Drawing for ID 1 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM I11H JI LEFT SIDE VIEW Packaged Rooftop Builder 1.67 f�ylfifRflrilr'��� �11Si1d1Vill1144 L��aR` u1111r Ir! m®®oo© I4 .: r.: r, OIL ,t�pT600R LOIL TOP VIEW 11224.01 FRONT VIEW am EII RmA� "'U"""m To • WTL TOP nF UNIT.. .. INCHES [W] ... 11 C355.1] DUCT SIDE OF UNIT . . .... ......7 SIDE DPPOS ITE MT5 ... ...... [SD.6, 11 C355.6] ROTTOM OF 41IT.. ...... .........I ............... FLUE PANEL ...................................... 51 C}71.1] F6 Imp GdVIUM IMEEM 4NIT5. PDEEM ENTRY SIRE,,,,,,,,,,,,, N NES [W] ,, 12 [1N61.6] UN UNIT AND 0OROUNRED SURLSEENTRY SIRE.66 1}11.0] UMIiADRLOCR CODREFE CALLS AID OTHER fiPoNDEO SURFACES, POR ENTRN 5DE....... ...12 [1}66.6] IBA 0.lNI om Im OIW616N A111) LlII = Eye. COIL ACCESS SIPE......................... I1CHEi IW] 16 E_ I POKER ENTRY SIDE .............................. 12 [1." 11 EVEPT FOR NEC REOBIREIENTSR UNIT TOP.......................................IN [111}.21 SIDE "POSITE DUETS ......................... 097 PANEL... ... �............... I........... ..35 C111.O] .,I; Em1 7N eNINI1UM DBTANCES: IF UNIT I5 PLA[ER LESS THAN 17 CS01.6] FROM PALL SYSTEM, THEN SYSTEM PERFORMANCE MAYBE COMPROMISED. DIMENSIONS IN [I ARE [N NM RIGHT SIDE VIEW ss2-.I REAR VIEW 48VL500405 Performance Summary For ID 1 Project: Santa Clarita - The Main 08/01/202, Prepared By: 03:54PN Part Number:48VLUE600903-TP ARI SEER: Base Unit Dimensions Unit Length. Unit Width: Unit Height: Base Unit Weight (Does not include any accessories):_________ Unit Unit Voltage -Phase -Hertz:_ Air Discharge:______________ Fan Drive Type:____________ Actual Airflow:______________ Site Altitude:________________ Cooling Performance Condenser Entering Air DB:________ Evaporator Entering Air DB:________ Evaporator Entering Air WB:_______ Entering Air Enthalpy:______________ Evaporator Leaving Air DB.________ Evaporator Leaving Air WB:________ Evaporator Leaving Air Enthalpy:__ Net Cooling Capacity:______________ Net Sensible Capacity:_____________ Total Unit Power Input:_____________ Coil Bypass Factor._________________ Heating Performance Heating Airflow-- --------------- Entering Air Temp: Leaving Air Temp:_____________ Gas Heating Input Capacity:__ Gas Heating Output Capacity: - Temperature Rise:_____________ AFUE (%): Supply Fan External Static Pressure Options / Accessories Static Pressure Wet Coil: Total Application Static (ESP + Unit Opts/Acc.): Fan RPM: Fan Power: Fan Motor Size, hp: NOTE: 14.00 48.2 in 44.1 in 54.8 in 455 lb -------------------------------------------------------------------------------------------- 208-1-60 ----------------------------------------------------------------------------------------------Vertical --------------------------------------------------------------------------------------------------Direct 2080 CFM 0 ft 95.0 F 80.0 F 67.0 F 31.44 BTU/Ib 61.1 F 58.5 F 25.33 BTU/Ib 57.18 MBH 42.51 MBH 4.99 kW ---------------------------------------------------------------------------------------------------- 0.243 2080 CFM 70.0 F 102.5 F 89.0 MBH 73.0 MBH - 32.5 F -------------------------------------------------------------------------------------------------------- 81.0 0.50 in wg Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Minimum Voltage: 197 Maximum Voltage: 253 Compressor RLA: 23.7 Compressor LRA: 152.5 Outdoor Fan FLA (ea): 1.05 Indoor Fan Motor FLA: 6.9 Power Supply MCA. 37.6 Power Supply MOCP (Fuse or HACR): 60 Packaged Rooftop Builder 1.67 Page 6 of 16 Performance Summary For ID 1 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Rating: Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz NA NA NA 125 Hz NA NA 81.3 250 Hz NA NA 72.6 500 Hz NA NA 68.2 1000 Hz NA NA 65.4 2000 Hz NA NA 62.9 4000 Hz NA NA 59.0 8000 Hz NA NA 54.4 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 2. Horizontal distance from unit to receiver:_________50.0 3. Receiver height above ground:_____________________5.7 4. Height of obstruction: 0.0 5. Horizontal distance from obstruction to receiver: 0.0 6. Horizontal distance from unit to obstruction: 0.0 Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 0.0 81.3 72.6 68.2 65.4 62.9 59.0 54.4 82.2 Lw B - 26.2 65.2 64.0 65.0 65.4 64.1 60.0 53.3 72.1 LwA C 0.0 48.9 40.2 35.8 33.0 30.5 26.6 22.0 49.8 L D - 26.2 32.8 31.6 32.6 33.0 31.7 27.6 20.9 39.7 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA 72.0 db Packaged Rooftop Builder 1.67 Page 7 of 16 Performance Summary For ID 1 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. Packaged Rooftop Builder 1.67 Page 8 of 16 ID 2 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM 11 WIJ Tag Cover Sheet Unit Report Certified Drawing Performance Report Packaged Rooftop Builder 1.67 Page 9 of 16 Unit Report For ID 2 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM Unit Parameters Dimensions (ft. in.) & Weight (lb.) *** Unit Model:___________________ 48FCGA06A2A3-OAOAO Unit Length:_ 6' 2.375" Unit Size: 06 (5 Tons) Unit Width: 3' 10.625„ Volts -Phase -Hertz: 208-1-60 Unit Height: 2' 9.375„ Heating Type: Gas Total Operating Weight: 586 lb Duct Cfg:____Horizontal Supply / Horizontal Return Ultra Low Nox, Low Heat Weights and Dimensions are approximate. Weight does Standard One Stage Cooling Models not include unit packaging. Approximate dimensions are provided primarily for shipping purposes. For exact dimensions and weights, refer to appropriate product data catalog. Lines and Filters Gas Line Size: ------------------------------------------------------------------------------- 1/2 Condensate Drain Line Size: ------------------------------------------------ 314 Return Air Filter Type: Throwaway Return Air Filter Quantity:_ 2 Return Air Filter Size: ---------------------------------------------- 16 x 25 x 2 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Unit Configuration Direct Drive - EcoBlue - Medium Static AI/Cu - AI/Cu Base Electromechanical Controls Standard Packaging Warranty Information 1-Year parts(std.) 5-Year compressor parts(std.) No optional warranties were selected. NOTE: Please see Warranty Catalog 500-089 for explanation of policies and ordering methods. Ordering Information Part Number Description Quantity 48FCGA06A2A3-OAOAO Rooftop Unit 1 Base Unit Direct Drive - EcoBlue - Medium Static None Field Installed Accessories CRLVHLGD047A00 I Louvered Condenser Coil Hail Guard 1 Packaged Rooftop Builder 1.67 Page 10 of 16 Certified Drawing for ID 2 Project: Santa Clarita - The Main 08/01/2022 Prepared By: O3:54PM NOTES. UNIT J I 1. DIMENSIONS ARE IN INCHES, DIMENSIONS 48FC++D4 33 3/8 18 5/8 IN [ ] ARE IN M]LL]MET ERS. 18411 14121 2. CENTER OF GRAVITY 48FC+,05 33 3/8 [847] 14 7/8 [377] 3_ DIRECTION OF AIR FLOW 48FC+�06 3/8 C847] 33 41 3/8 1 C377] 4 7/8 18 5/8 33 3/8 [848] 48FC++07 [10511 14721 32-I /8 ` ECONOMIZER HOOD 1 4. ALL VIEW DRAWN USING III ANGLE C817] (OPTIONAL) 16 11111,11110. 3-3/4 1911 111861 LEFT 01] R 5-5/8 [652] ET IIRN AIR r 6-va [277I RETURN AIR 44-1/8 29 [1120.9] Y W Z f E ALT. CONDENSATE C451] [748] [ DA AIN OPENING IN BASEPAN X17-314 IFAIIIRY 26-518 C675] SUPPLY 14-I/2 AIR C369] 12-I /2 II -I /2 C318] SEE THRU THE X [2931 BASE CHART 10-1/8 12561 2X 23-3/4 C603] � [81] 6-114 [158] 4 FLUE 11011 HOOD 12 1/8 C307] 2X 25 C 635] 18-3/8 14661 2X 4-s/8 TOP [118] —ELECTRICAL DISCONNECT LOCATION A g G OPTIONAL CONTROL BOX FACTORY ACCESS PANEL ]NIT AL LED INDOOR BLOWER DISCONNECT ACCESS PANEL �HANDLE 19 1494] [1688 C287] C ANGLE 8-3/8 30-1/8 12111 I7661 74-3/8 118891 FRONT CONNECTION SIZES A 1 3/8" 1351 DIA FIELD POWER SUPPLY HOLE B 2" 1501 DIA POWER SUPPLY KNOCKOUT C 1 3/4" 1511 DIA GAUGE ACCESS PLUG D 7/8" 1221 DIA FIELD CONTROL WIRING HOLE E 3/4"-14 NPT CONDENSATE DRAIN F 112"-14 NPT GAS CONNECTION G 2 112 1641 DIA POWER SUPPLY KNOCK OUT THRU-THE -BASE CHART THESE HOLES REQUIRED FOR USE CRB T"1118 A00, 009A 00 THREADED CONDUIT SIZE WIRE USE REQ'D HOLE SIZES (MAX.) W 112" 115V 7/V [22,21 X 112" 24V 7/8" 122.21 Y 3/4" OWE 1 86] I /11 FOR "THRU-THE -BASEPAN" FACTORY OPTION, FITTINGS FOR ONLY X, Y, 8 Z ARE PROVIDED ' (008A00) PROVIDES 3/4" FPT THRU CURB FLANGE 8 FILL]N6. E STD. CONDENSATE 1[270-17/a 51 DRAIN C251 FILTER 17-3 /8 25-3/4 C441] [6531 SUPPLY AIR RETURN AIR 1-7/8 C 302] 21-1 T C539] OUTS] DE �I AIR 5-3/4 [I46] [TO 11 7 5-3/4 [177J [146] 26-7/8 682] 31 BAROMETRIC [786.] RELIEF SUPPLY FLOW Alp AIR � RIGHT Packaged Rooftop Builder 1.67 Page 11 of 16 Certified Drawing for ID 2 Project: Santa Clarita - The Main 08/01/2022 Prepared By: O3:54PM UNIT STDUNIT WEIGHT CORNER " GHI (A CORN FR WEIGHT 1B, CORNER WEIGHT I I CORNER WEIGHT (D) C.G. HEIGHTiIIH in wrvi EN NSE� o� oi�u���o �x u wT/uou/ WRITTEN coxsEa/. LB . KG. LBS. KG. LBS. KG. LBS. KG. LBS. KG. M Y Z 48FC4404 482 219 113 51 116 53 128 58 125 57 37 5/8 19561 24 9/16 16241 18 1/4 14641 48FC+ 543 246 138 63 133 60 133 60 138 63 36 1/2 19271 23 3/8 [ 5 9 4 1 18 [4511 48F64+06 556 252 142 64 136 62 136 62 142 64 36 1/2 [927I 23 3/8 15941 18 14571 48FC+�07 607 275 162 73 152 69 141 64 151 68 36 [914] 22 1/2 15721 19 3/8 14921 RIGHT FRONT NOTES. I. FOR FlLL MINIMUM CLEARANCES LOCAL CODES OR JURISDICTIONS MAY PREVAIL. Z Mom m O O� 0 00 FRONT Packaged Rooftop Builder 1.67 Page 12 of 16 Certified Drawing for ID 2 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM y FILTER ACCESS PANEL COMP. CONDENSER (IDOL-LESS] ACCESS COIL PANEL IN100R COIL ASEE " PANEL 0 00 V I I i—s� 0 100 BACK LEFT 71-1/a RA (INSIDE THE BASE BASE RAIL 8 Sk]RI) BASE O (INSIDE IHE0 BASE RAILS) INSIDE BASERAIL DIMENSIONS BOTTOM i 4 8 i2-1/4 571 CA I-3/4 461 I -3/8 2M 1 [25] [82J 2M 3/4 8 1181 DETAIL C 199I TYP 4 PLCS CONTROL BOM ACCESS PANEL MIS =I ism IN li 3-I /4 59-3/e I82.0] I150901 FRONT INDOOR BLOWER ACCESS PANEL SEE DETAIL C 0 2-3/8 7-I/8 I61 .51 EIH 71 TYP CURB WIDTH Packaged Rooftop Builder 1.67 Page 13 of 16 Performance Summary For ID 2 Project: Santa Clarita - The Main 08/01/202, Prepared By: 03:54PN Part Number:48FCGA06A2A3-OAOAO ARI SEER: 14.00 Base Unit Dimensions Unit Length. 74.4 in Unit Width: 46.6 in Unit Height: 33.4 in Operating Weight Base Unit Weight: 586 lb Total Operating Weight: 586 lb Unit Unit Voltage -Phase -Hertz: 208-1-60 Air Discharge: Horizontal Fan Drive Type: Vane Axial Actual Airflow: 2000 CFM Site Altitude: 0 ft Cooling Performance Condenser Entering Air DB: 95.0 F Evaporator Entering Air DB: 80.0 F Evaporator Entering Air WB: 67.0 F Entering Air Enthalpy: 31.44 BTU/Ib Evaporator Leaving Air DB. 59.3 F Evaporator Leaving Air WB: 57.7 F Evaporator Leaving Air Enthalpy: 24.85 BTU/Ib Gross Cooling Capacity: 59.31 MBH Gross Sensible Capacity: 44.73 MBH Compressor Power Input: 4.14 kW Coil Bypass Factor. 0.163 Heating Performance Heating Airflow: 2000 CFM Entering Air Temp: 70.0 F Leaving Air Temp: 92.7 F Gas Heating Input Capacity: 60.0 MBH Gas Heating Output Capacity: 49.0 MBH Temperature Rise: 22.7 F AFUE (%): 81.0 Thermal Efficiency (%): 81.0 Supply Fan External Static Pressure: 0.50 in wg Fan RPM: 1991 Fan Power: 0.84 BHP NOTE: Selected IFM RPM Range: 1420 - 2390 Selection includes construction throwaway filter into the base fan curve. This filter is not MERV Rated. Electrical Data Voltage Range: 187 - 253 Compressor #1 RLA: 24.4 Compressor #1 LRA: 144 Indoor Fan Motor Type: MED Indoor Fan Motor FLA: 8.6 Combustion Fan Motor FLA (ea): 0.48 Power Supply MCA. 41 Power Supply MOCP (Fuse or HACR): 60 Packaged Rooftop Builder 1.67 Page 14 of 16 Performance Summary For ID 2 Project: Santa Clarita - The Main 08/01/20Z Prepared By: 03:54PN Disconnect Size FLA: 40 Disconnect Size LRA: 160 Electrical Convenience Outlet: None Outdoor Fan [Qty / FLA (ea)]: 1 / 1.5 Control Panel SCCR: 5kA RMS at Rated Symmetrical Voltage Acoustics Sound Power Levels, db re 10E-12 Watts Discharge Inlet Outdoor 63 Hz 91.1 88.5 85.6 125 Hz 82.1 78.1 84.7 250 Hz 76.2 71.2 80.5 500 Hz 73.0 64.8 76.0 1000 Hz 69.5 67.2 72.4 2000 Hz 67.0 58.5 68.0 4000 Hz 63.3 51.7 62.8 8000 Hz 59.6 46.1 59.3 A -Weighted 76.2 71.1 79.0 Advanced Acoustics Advanced Accoustics Parameters 1. Unit height above ground: 30.0 ft 2. Horizontal distance from unit to receiver:_________50.0 ft 3. Receiver height above ground:5.7 ft 4. Height of obstruction: 0.0 ft 5. Horizontal distance from obstruction to receiver:__0.0 ft 6. Horizontal distance from unit to obstruction:_______0.0 ft Detailed Acoustics Information Octave Band Center Freq. Hz 63 125 250 500 1 k 2k 4k 8k Overall A 85.6 84.7 80.5 76.0 72.4 68.0 62.8 59.3 89.2 Lw B 59.4 68.6 71.9 72.8 72.4 69.2 63.8 58.2 78.5 LwA C 53.2 52.3 48.1 43.6 40.0 35.6 30.4 26.9 56.8 L D 27.0 36.2 39.5 40.4 40.0 36.8 31.4 25.8 46.1 LpA Legend A Sound Power Levels at Unit's Acoustic Center, Lw B A -Weighted Sound Power Levels at Unit's Acoustic Center, LwA C Sound Pressure Levels at Specific Distance from Unit, Lp Packaged Rooftop Builder 1.67 Page 15 of 16 Performance Summary For ID 2 Project: Santa Clarita - The Main 08/01/2022 Prepared By: 03:54PM D A -Weighted Sound Pressure Levels at Specific Distance from Unit, LpA Calculation methods used in this program are patterned after the ASHRAE Guide; other ASHRAE Publications and the AHRI Acoustical Standards. While a very significant effort has been made to insure the technical accuracy of this program, it is assumed that the user is knowledgeable in the art of system sound estimation and is aware of the tolerances involved in real world acoustical estimation. This program makes certain assumptions as to the dominant sound sources and sound paths which may not always be appropriate to the real system being estimated. Because of this, no assurances can be offered that this software will always generate an accurate sound prediction from user supplied input data. If in doubt about the estimation of expected sound levels in a space, an Acoustical Engineer or a person with sound prediction expertise should be consulted. 2 U) FanCurve A daw(CFM-thousands) RPM=1991 BHP=0.84MaximumRPM=2660MaximumBf]P=5.00 SC-SystcmCurvcRP-RatcdPoint Packaged Rooftop Builder 1.67 Page 16 of 16 ataaire Precise by Design Submittal for: Santa Cla rita Trans. Submittal by: KSR ASSOCIATES, LLC Chris Mendrella cmendrella()ksrassoc.com Prepared on: 04/19/2022 Updated on: Paqe 1 /8 Prepared on: Project: Worksheet: April 19, 2022 JCI Evaporator Section . �� dataaire Precise by Design Updated on: GTWD-01834 GT WATER DOWNFLOW 18KW 3PH 460 V Evap. Tag #: Quantity: 2 Voltage: 460 Phase: 3 Hertz: 60 Color: COLOR -WILL ADVISE Cabinet Data: Configuration: Downflow Depth (in.): 40.50 Length (in.): 36.00 Height (in.): 78.00 Shipping Weight (lbs): 840 Entering Air Conditions: Entering Air DB (°F): 75.0 Entering Air WB (°F): 61.0 Relative Humidity (%): 45.0 Altitude (ft): 0 Evaporator Coil Face Area (sq ft): Face Velocity (ft/min) Rows: Fins per (in.): Fin Type: Calculated Data Gross Total Capacity (Btu/hr): Gross Sensible Capacity (Btu/hr) Net Total Capacity (Btu/hr): Net Sensible Capacity (Btu/hr): Air Out Dry Bulb (°F): Air Out Wet Bulb (°F): * Net Coil Capacity equals gross capacity minus motor heat. Condenser Fluid: Condenser Entering Water (°F): Condenser Required Flow Rate (GPM): Condenser Pressure Drop (Ft. H20): Condenser Pressure Drop (PSI): 6.25 416.0 4 12.0 Aluminum 63,700 60,800 60,390 57,490 54.3 52.6 85.00 15.0 11.6 5.00 Evaporator EC Plug Fan: CFM: 2,600 ESP (inch of water): 0.20 Motor Horsepower: 1.3 Motor FLA: 1.6 Motor Quantity: 1 Blower Quantity: 1 Air Flow: Optional Airflow # 1 Plug Fan (mm)/Motor (kW): 450mm 1kW Paqe 2/8 . �� dataaire Precise by Design Prepared on: April 19, 2022 Updated on: Humidifier: Type: Steam Generator Capacity in (Lbs/hr): 10.0 kW: 3.4 Reheat: Type: Capacity (BTU/hr): Filters: size i Quantity: 2 Size (inches): 20" x 25" x 4" Efficiency: MERV 8 MERV 8 Pre Filter: 1" Pre -Filters, gF 36" 1" disposable type pre -filters added to unit filter section. Compressor: Type: Scroll Number: 1 Refrigerant Type: R-410A Total FLA: 9.6 Connection Sizes: Condenser Fluid Supply (in. O.D.): 1-1/8 Condenser Fluid Return (in. O.D.): 1-1/8 Condensate Drain (in. O.D.): 3/4 Humidifier Supply (in. O.D.): 1/4 Electrical Data: Unit Total Amps: 18.6 Unit MCA: 22.8 Unit MOP: 30 Controls: dap4 touch Display Equipment Efficiency: SCOP DOE rating conditions: 3.79 Paqe 3/8 Prepared on: April 19, 2022 A rrPcenriPQ- Model Number: GTWD-01834 GT WATER DOWNFLOW 18KW 3PH 460 V Tag Number: ON Option Description 2 OPT-102 Hot Gas Reheat 2 OPT-6143 Single Scroll Compressor 2 OPT-8100 dap4 touch Display 2 OPT-6510 Plug Fan, 450 rum 1 kW, qty 1 2 OPT-6609 Nominal Capacity 18 kW 2 OPT-7457 Temperature/Humidity Sensor, Unit Mount 2 OPT-5221 3 Phase 2 OPT-7936 Thru-Door Disc Switch 0-30 amp 2 OPTS-0049 Special Frame Special : Request the same size as the old unit. Quote Number: 4-15-2022 2 OPT-5063 Voltage 460V 2 OPTS-0214 gForce 34.5" Cabinet Special: 34.5 IN CABINET DEPTH Quote Number: 4.19.22-SC Opportunity Number : 00 103 8924 2 OPT-5409 Evaporator Coil 2 OPT-5760 Air Flow - Optional #1 2 OPT-6852 MERV 8 Efficient Filters 2 OPT-7197 Color - Will Advise 2 OPT-7378 Liquid Line Solenoid Valve, 3/8", Single Circuit 2 OPT-81-460V 10 lb/hr Steam Humidifier 2 OPT-7334 Rotolock Valve, Single 2 OPT-6026 Refrigerant R-410A 2 OPT-7773 Electronic Expansion Valve 2 OPT-7315 Underfloor Water Detection Cable, dap4, 520.00/ft 2 OPT-5823 CIRCUIT -SINGLE 2 OPT-7321 Discharge Air Temperature Sensor, Monitor,dap4 2 OPT-5294 5 Years Compressor Warranty 2 OPT-6411 1" Pre -Filters, gF 36" 2 OPT-7142 3-way Water Regulating Valve, 150 psi 2 OPT-36GF Plug fan Overload Alarm 2 OPT-37 Smoke Detector 2 OPT-45 No Water Flow Alarm 2 OPT-203-150 NEMA Flow Switch, 150 psi, Field Install 2 OPTS-0036 WATER/GLYCOL CONDENSER SPECIAL Special : Coaxial Condenser Quote Number: OPT-8238 Opportunity Number: OPT-8238 . �� dataaire Precise by Design Updated on: Page 4/8 Prepared on: April 19, 2022 . �� dataaire Precise by Design Updated on: SCOP rating conditions Computer room air conditioners (CRAC) are regulated for energy efficiency by the U.S. Department of Energy (DOE). The test method required is in accordance with ANSI/ASHRAE 127-2007 based on federal regulation 10 CFR Ch. II section 431.96 and the energy efficiency values are required to be reported as Sensible Coefficient of Performance (SCOP). The required SCOP values are determined based on federal regulation 10 CFR Ch. II section 431.97. DOE rated CRAC units are tested under the following standard rating conditions: ASHRAE 127-2007, Base Rating A (Full Cooling) Air -Cooled indoor unit Entering air temperature (EAT) 75.0°F (23.9°C) DB / 45% RH Air-cooled condenser surrounding temperature 95.0°F (35.0°C) DB Water-cooled unit Entering Water Temperature (EWT) 86.0°F (30.0°C) Leaving Water temperature (LWT) 95.0°F (35.0°C) Glycol -cooled unit Entering Glycol Temperature (EGT) 104.0°F (40.0°C) Leaving Glycol Temperature (LGT) 115.0°F (46°C) Fluid flow rate (GPM) As required to maintain the required ?P for each model Chilled -water units Entering Water Temperature (EWT) 45.0°F (7.2°C) Leaving Water temperature (LWT) 57.0°F (13.9°C) All units External static pressure (ESP) 0.2" H2O Airflow in CFM As specified in the DOE Compliance Certification Database for each model Since the DOE standard rating conditions are different from those made available in the Product Selector Guide (PSG), the resulting performance values for the DOE listing will differ from PSG. NOTE: Not all configuration of CRAC units have a minimum energy efficiency standard, therefore they will show "Not Applicable" for the minimum and required SCOP. See http://www.regulations.doe.gov/certification-data/CCMS-461423879169.html for Data Aire listings. Paqe 5/8 COLOR SELECTION CHART Every effort has been made to reasonably represent the factory color, however, due to variation in monitors and printers as well as product surfaces, colors displayed will vary from the final product. If accurate color matching is critical, contact Data Aire for a sample. Plenum White Cloud White Black Beige Special colors are available upon request, please contact Data Aire Exterior heat exchangers are furnished in mill finished aluminum and galvanized steel with stainless steel fasteners unless otherwise specified at time of order. dataaire- Precise by Design © Data Aire, Inc. 2018 ISO 9001-2008 Certified A member of the CS group of Companies Creating Products that Make Building Better Data Aire Color Chart Rev. 07/2018 GTWD-01834 Paqe 6/8 NOTES: QDIMENSIONS NOTED ARE THE MINIMUM CLEARANCES REQUIRED BY THE FACTORY. CONSULT LOCAL BUILDING CODES AND NEC FOR ADDITIONAL CLEARANCE REQUIREMENTS. CONNECTION PIPE SIZE 0 UNIT KW 07 11 1 14 18 LIQUID 1/2 r12.701 1/2 r1270 1/2 rl2.70 1/2 rl2.70 HOT GAS 1/2 [12.701 1/2 [12.70] 1/2 [12.70] 1/2 [12.701 WATER IN 3 4 19.05 3 4 19.05 1-1 8 29.00 1-1 8 29.00 WATER OUT 3 4 19.05 3 4 L 19.05 1-1 8 29.00 1-1 A r29.001 2. ALL STANDARD PIPING TERMINATES INSIDE OF CABINET. ALL OPTIONAL PIPING (TOP/SIDE) TERMINATES OUTSIDE OF CABINET. 3. NOT ALL COMPONENTS AND OPTIONS ARE SHOWN. LOCATIONS MAY VARY DEPENDING ON OPTIONS. 4. ALL UNIT DIMENSIONS ARE IN INCH [mm] FORMAT. This dimension is .5 wider then your current unit. DATA ALARM PROCESSOR 4, (dap4) CONTROL MODULE FILTER 20" [508.00] x 25" [635.00] x 4" [102.00] 2 REQUIRED ELECTRICAL FILTERS ARE ACCESSED / --PLATE FIN FROM THE FRONT CONDENSER (WATER/GLYCOL DATA ALARM PROCESSOR 4, (dap4) UNITS ONLY) UNIT MOUNTED DISPLAY STRAINER IS FACTORY OPTIONAL DISCONNECT SWITCH PROVIDED FOR FIELD 10.0100] INSTALLATION [i ELECTRIC REHEAT SCROLL COMPRESSOR OIL STEAM GENERATOR EVAPORATOR COIL — HUMIDIFIER 0 PLUG FAN 36" [914.00] RECOMMENDED CLEARANCE FOR BOTH SIDES ►A 40" [1016.001 RECOMMENDED CLEARANCE FOR FRONT DIMENSIONAL DATA 03/4" [19.051 03/4" [19.051 CONDENSATE DRAIN CONDENSATE DRAIN WATER/GLYCOL IN HOT GAS LINE WATER/GLYCOL OUT LIQUID LINE WATER/GLYCOL COOLED AIR COOLED STANDARD PIPING LOCATIONS (SEE CONNECTION PIPE SIZE CHART) COMPONENT BREAKDOWN PIPING AND ELECTRICAL AREA SUPPLY AIR FLOOR CUTOUT DIMENSIONS GTWD-01834 Paae 7/8 Irrigation City of Santa Clarita *CLIMATEC Installation Agreement — Att E 'eatherTR ptiF[ow'-"XR Hundreds of controllers can share information and receive daily instructions about irrigation. Your site's maximum water flow potential is calculated to keep things running as close to your site's hydraulic capacity as possible. Define your water windows, pipe thresholds, and learn station flow, then let OptiFlow XR handle the schedules. Sites with complex hydraulics are now easier to manage than ever 4. 0 Reduce irrigation times to meet water windows or site demands The extended resolution capability provides minute - level flow data for accurate reporting MAXIMIZE WATER WINDOWS Imagine a scenario where you have iultiple controllers that share a single ainline from a single point of connection. ch controller has its own water windows programming requirements. 3d of forcing you to figure out the ule for hundreds of stations across controllers, OptiFlow does the work for the OptiFlow XR controllers are joined a flow group, they operate as a single ig flow data and coordinating schedules iency. HydroPoint, KEY FEATU RES Overview • 12 to 96 stations - with backlit display and touch interface • Six station modularity • Ten-year warranty • Worry -free Wireless Warranty`" covers cellular technology upgrades Programming Features • Eight simultaneous programs with five program modes and two start times • Program all settings at controller, or remotely • Independent station programming (72 cycles/ station) with automated cycle and soak • User -defined water days and water windows per program to comply with agency regulations • Built-in WeatherTRAK Scheduling Engine optimizes by plant, soil, sprinkler, sun exposure, and slope data • Automated daily runtime adjustments using site -specific ET Everywhere weather data • Percent adjust to enable fine-tuning by station • Automated skip days based on zone - specific soil moisture depletion • Runtime rationing protects plant health under constricted water windows • Stacked station manual watering from 1-99 minutes Integrated Flow Features • Mainline/catastrophic break detection and shutdown • Real-time station -specific flow monitoring and control • Local and remote station -learned flow • Fault detection, diagnostics, and alerts • Supports up to four flow sensor inputs and master valve outputs • Supports normally open or normally closed master valves • Customizable flow alert thresholds • Upgradable to OptiFlow° for advanced flow management and multi -controller automatic scheduling • Supports Data Industrial®, CST, Netafim"flow sensors and custom "K and offset" values • Compatible with WeatherTRAK FlowLink®, Flow3, and FlowHD (both iron and plastic) Hardware Features • Integrated flow sensor support included • Dedicated master valve and pump start • Commercial -grade screw -less wire terminals 10*1, • Built-in amp meter for fault protection and diagnostics V • Cellular radio and first year of \ WeatherTRAK Central service included 1 • LTE cellular communication for the best coverage and performance • 32-pin connector for hardware remote like the TRC Commander and Irritrol® ProMax- • New features and firmware pushed over - the -air using WeatherTRAK Cloud Update • Share one rain sensor across multiple controllers with RainSharelm • Robust built-in surge protection integrated directly into the controller Input Power 120VAC+/- 10%,(60 Hz) or 220VAC +/- 10%,(60 Hz) Output Power 24VAC (60Hz) • 1.0Amp (1000mA)max per station output including a pump start • 1.0Amp (1000mA)max per master valve output • 3.0 Amps (80 VA)total load Upto 17 terminal outputs energized simultaneously (8 stations,1 manual, 4 pump starts, 4 mastervalves). Consumptive Idle State: 2.5 Watts Power Maximum Power Requirements for Irrigation State: 70 Watts Certifications EPA WaterSen se' Approved, FCC Certified, ULListed , 100%SWAT-tested Ill 9 fV Enclosure Wall Mount Enclosures Options • 16 gauge wall mount enclosure available in stainless and powder coated finishes • Key -hole mounting for wall mount enclosures makes it easyto install • Easily adapts to a small 14 gauge pedestal, also available in two different finishes VIT Strong Box Stainless Steel Pedestal Enclosures Retrofit Chassis for Existing Enclosures All come with key lock entry NEMA-3R weather -resistant w moll +rs _1 HydroPoint� 11f 1� 9 1'� Lighting City of Santa Clarita *CLIMATEC Installation Agreement — Att E SYLVANIA Luminaires Ultra=' Mini Wallpack Application The UltraLED Mini Wallpack luminaires are environmentally preferable LED alternatives to traditional HID luminaires, offering up to 70% in energy savings. Ideal in place of traditional luminaires, or as new installations, the Mini wall pack series is offered in several wattages/lumen packages for illuminating building exteriors, outdoor corridors, walkways, and stairwells. Benefits and Features — CCT Selectable (3000K, 4000K, or 5000K) enabled through switch located inside fixture — IP65 rated body with aluminum backplate and polycarbonate lens offers easy mounting, reducing installation and maintenance costs — High color rendering and DLC Premium listing ensure energy efficiency and provide uniform and even lighting — Photosensor included provides additional energy savings — Up to 130 LPW — Selectable CCT of 3000, 4000, or 5000K — CRI >80 — Offered in 15 and 30 watts — Non -cutoff distribution — Energy savings up to 70% Electrical — 120-277VAc — Power Factor >90% — THD <20% — 0-10V dimmable Rated Life — 150,000 hours (L,o) Warranty — 5-year Ambient Operating Range — -40°F to +104°F (-40°C to +40°C) c us (/1 FCc LISTED\ ms (M Item # Type Project Notes Date Wattage Comparison Traditional Traditional System LED System Energy Source Wattage Wattage Savings 23W CFL 23 15 35% 35W HPS 45 15 67% 42W CFL 46 15 67% 100W Incandescent 100 30 68% 150W Incandescent 150 30 70% Certifications and Listings — cULus — DLC Premium — RoHS — IP65 — FCC Installation — Luminaire mounts to recessed outlet box or can be surface mounted svLvaNIA 0 LEDLU M093R1 5-21 Ordering Guide MWALPAKN 1A / XXX UNV D SC2 / BZ / P Product Name Generation Wattage Voltage Dimming Color Temp Color/Finish Options MWALPAKN = 1A = Generation 1A 015 =15 Watts UNV=120-277V D = 0-10V Dimming SC2 = selectable CCT BZ = Bronze Blank = no option Non -cutoff Mini 030 = 30 Watts of 3000, 4000 or 5000K P = Photocell Wallpack Ordering Information Input Total Item Ordering Power Voltage Color Fixture Number Abbreviation (W) (V) Dimming CHI Temp Lumens LPW Options DLC 62173 MWLPAKNIA/015UNVDSC2/BZ/P 15 120-277 0-10V >80 3000, 4000 or 5000K 1950 130 Photocontrol Prm 62175 MWLPAKNIA/030UNVDSC2/BZ/P 30 120-277 0-10V >80 3000, 4000 or 5000K 3900 130 Photocontrol Prim Physical Information (A) (B) A Lamp Length Width Height Description in (mm) in (mm) in (mm) MWALPAKN 1A 8.6 (218.4) 5.8 (147.3) 3.1 (78.7) 0 LEDVANCE LLC 200 Ballardvale Street Wilmington, VIA 01887 USA Phone 1-800-LIGHTBULB (1-800-544-4828) www.sylvania.com SYLVANIA and LEDVANCE are registered trademarks. All other trademarks are those of their respective owners. Licensee of product trademark SYLVANIA in general lighting. Specifications subject to change without notice. ®/sylvania D/sylvania © 2021 LEDVANCE LLC Name: Email: Phone: SYLVANIA 0 Pro e t ale o M Notes T pe I Date N LIGHTING Field Ad sta le DESCRIPTION The Aleo LCPTM Series, LED Square Canopy Luminaire combines energy -efficiency, low -glare optics, and simple slim profile aesthetics to deliver enhanced performance to a range of surface -mount and recessed lighting applications. Mounting plate allows for quick and easy installation. Weather-proof compartment to withstand challenging environments. APPLICATIONS Covered walkways, drive-thrus, semi -covered outdoor aisles, corridors, building canopies, large stairwells. Covers recessed openings for surface mount application. Perfe t for s hool amp ses. �J1 us 20 13W / 15W / 20W ••• 3 W / 45W / 55W Specification Feat res r�� •••® Intertek Construction Simple, white finish powder -coated housing with advanced thermal management system ensures relia ilit and d ra ilit . Optical System Prismati s are drop lens omes standard. Lens system improves safety and security by delivering high -efficiency illumination with low glare, comfortable ill mination. Certification ETL Listed. DLC Premi m PL. Warranty 7-year Limited Warranty. See warranty documentation for more information. Information E ample LCP 55U /CT E PSMK Series L LED S are Canop L minaire N W 20 13W/15W/20W 3 W/45W/55W Electrical Luminaire utilizes high -efficacy LED packages maintained at cool temperatures for long life, high efficacy. Reliable driver features universal voltage (120-277V) for convenient installation. Installation / Mounting • Luminaire comes standard with mounting plate for quick and eas installation. Can e mo nted dire tl to s rfa e n tion LCP 201.1 /CT PSMK box or surface mounted via keyhole slots on mounting plate. LCP 55U /CT PSMK Covers existing 12" x 12" recessed square opening. Controls / Dimming Suitable for use with dimmers, sensors, daylight harvesting and other control strategies to achieve deeper energy -savings and ode omplian e. T/W Increased versatility and reduced inventory burden. Wattage and Color Temp. Can be adjusted in the field by selecting (3) different wattages and (3) different CCTs via switch on driver 0 L T Input Voltage Housing Field Ad sta le T Field Ad st. B K 3500K 120V-277V Back housing enclosure 4000K 5000K 7E,ergencykup Cont L/H / R m Multi -Level High Frequency O pan Sensor Specifications and Dimensions subject to change without notice. 1 of 2 Form LCP-UX-SS / Rev. 02 Aleo Lighting, Inc. I www.aleolighting.com I Ph: 877-358-8825 © 2021 Aleo Lighting, Inc. All rights reserved. S mmar 120V-277V 50/60 Hz See Performan e Ta le See Performan e Ta le 121 LPW t p. 80+, R9 > 0 3500K 4000K 5000K 75 000 ho rs > 0.9 20 40oC to 40oC Data Prod t 15.6" (396mm) 3.23" (82mm) 1- o 15.6" (396mm) 13 12 15 4 132 1 32 13 1596 133 L 20 / T K 15 15 1980 132 2040 13 1995 133 20 1 2340 130 2412 134 235 131 3 33 4290 130 44 13 4422 134 L T K 45 43 5375 125 5 7 132 5590 130 55 53 413 121 37 129 731 127 y aleo M Specifications and Dimensions subject to change without notice. LED LIGHTING 2021 L All rights reserved. For informational purposes only. Reproduction in whole or par[ is prohibited without L www.aleolighting.com prior written consent of the copyright owner. The information presented in this document does not form part of any quotation or contract, is believed to be accurate and reliable and may be changed without notice. No liability will be accepted by the publisher for any 10988 Bloomfield Ave. consequences of its use. Aleo Lighting reserves the rights make changes in specification at anytime without notice. Santa Fe Springs, CA 90670 Ph 77 35 25 2 of 2 Form LCP U SS / Re . 02 /� a 1 DIMENSIONS FEATURES T616LED-E- LED EYELID ROUND WALL PACK USE OF PRODUCT The intended use of this product is for decorative wall mount, building accents, pedestrian walkways, public access areas, or to accent landscape areas. HOUSING Die Cast gasketed aluminum housing with integral heat sinking and driver compartment. Nickel -Plated Stainless Steel Hardware. FINISH Matt -finished, architectural bronze powdercoat over a precise chromate conversion coating. Available in standard dark polyester bronze or consult factory for made to order architectural finishes. OPTICS Polycarbonate Opal Lens is sealed by a one-piece silicon gasket which prohibits entrance of outside contamination. Type IV distribution. LED High output LEDs offer a minimum estimated operating life of 50,000 hours in 3000K, 4000K, or 5000K (standard) with CRI>80. ORDERING INFO T616LED-E TYPE: • CATALOG NO. • PROJECT NAME- COMMENTS - PREPARED BY: DRIVER Durable and long lasting LED driver operates at 120-277V and boasts a 90% power factor at 50 to 60 Hz with 0-10V Dimming Constant Current. Driver protections includes: Output open load, over -current and short-circuit, and over -temperature with auto recovery. -40°C Min Temp. 50°C Max Temp. MOUNTING Surface mount. LISTINGS/COMPLIANCE • CEC Compliant emergency driver • CSA -Suitable for wet location. • ANSI/UL 1598 • 8750 IP65 Sealed LED compartment. T616LED- Knock -Out Locations y T� [F 1' Front of T616LED Back of T616LED Feed through conduit access T T-SERIES 12-12W/1720 UNV-120V-277V 30 - 3000K BZ' - Bronze PC1 - Photocell, 120VAC LED 17-17W/1976 40 - 4000K MT02 - Made to Order PC2 - Photocell, 277VAC 25 - 25W/3613 50 - 5000K MGTOZ - Marine Grade S2 - Microwave Sensor w/Dimming made to order EM - Emergency Battery SP10 - Surge protection 10KV Notes: 1. Standard finish. • 2. RAL number required. LPH - Limelight by Lutron Integral module with PIR sensor and external antennae, - High mounting height LPM - Limelight by Lutron Integral module with PIR sensor and external antennae - Medium mounting height LPL - Limelight by Lutron Integral module with PIR sensor and external antennae - Low mounting height LRF - Limelight by Lutron Integral module with external antennae, RF Only RAP' RAYON LIGHTING GROUP, INC. RESERVES THE RIGHT TO CHANGE SPECIFICATIONS WITHOUT NOTICE. (12120) LIGHTING 1512 N. TAMARIND AVE, COMPTON CA 90222 1 TEL 323.446.2626 1 FAX 323.446.2606 1 WWW.RAYON LIGHTING.COM 1 of 1 T616LED LED ROUND WALL PACK Knockout Dimensions 3/4" PIR Height LPL - Lutron wireless radio module and sensor (low mounting height 8ft) 22.5 (6.8) 15 (4.5) 7.5 (2.3) 0 7.5 (2.3) 15 (4.5) 22.5 36 (11) (6.8) 22.5 15 7.5 0 7.5 15 22.5 (6.8) (4.5) (2.3) (2.3) (4.5) (6.8) 0 (2.4) 18 8 5 2 0 2 5 8 18 (5.5) (2.4) (1.5) (0.6) (0.6) (1.5) (2.4) (5.5) LPM - Lutron wireless radio module and sensor (medium mounting height 20ft) 20 (6) 0 10 (3) 5 (1.5) ` 0 � 40 (12.1) 10 (3) 10 (3) 15 (4.5) 20 20 (6) 20 10 0 10 20 (6) 20 18 15 12 9 6 3 0 3 6 9 12 15 18 20 (6) (6) (6) (5.4)(4.5) (3.6) (2.7) (1.8)(0.9) (0.9) (1.8) (2.7) (3.6) (4.5) (5.4) (6) RAYON LIGHTING GROUP, INC. RESERVES THE RIGHT TO CHANGE SPECIFICATIONS WITHOUT NOTICE. (11/18) 1512 N. TAMARIND AVE. COMPTON CA 90222 1 TEL 323.446.2626 1 FAX 323.446.2606 1 WWW.RAYON LIGHT] NG.COM 1 of 1 PHOTOMETRIC! i Characteristics IES Classification: Type II Longitudinal Classification: Very Short Lumens Per Lamp: N.A. (absolute) Total Lamp Lumens: N.A. (absolute) Luminaire Lumens: 2007 Downward Total Efficiency: N.A. (absolute) Total Luminaire Efficiency: N.A. (absolute) Luminaire Efficacy Rating (LER): 111 Total Luminaire Watts: 18.1 Ballast Factor: 1.00 Upward Waste Light Ratio: 0.00 Maximum Candela: 923.727 Maximum Candela Angle: 320H 10V Maximum Candela (<90 Degrees Vertical): 923.727 Maximum Candela Angle (<90 Degrees Vertical): 320H 10V Maximum Candela At 90 Degrees Vertical: 9.901 (0.5% Lamp Lumens) Maximum Candela from 80 to <90 Degrees Vertical: 72.97 (3.60/. Lamp Lumens) Cutoff Classification (deprecated): N.A. (absolute) FLUX DISTRIBUTION LUMENS %LAMP Downward Street Side: 1203.2 60.0 Downward House Side 800.6 39.9 Downward Total 2003.8 99.9 Upward Street Side 1.8 0.1 Upward House Side 1.1 0.1 Upward Total 2.9 0.1 Total Flux 2006.7 100.0 _ Isofootcandle lines of horizontal illuminance 3 2 1 0 1 1.7! 2 2.7! 3 4 5 Distance In Units Of Mounting Height Values Based On 10 Foot Mounting Height 1/2 Maximum Candela Trace Shown As Dashed Curve (+) = Maximum Candela Point P Luminaire classification system BUG RATING Bi - Ui -Gi FRONT LIGHT LUMENS %LAMP %WMINAIRE LOW(0-30): 363.6 N.A. 18.1 MEDIUM(30-60): 656.7 N.A. 327 HIGH(60-80): 172.2 N.A. 8.6 VERY HIGH(BO-90): 10.6 N.A. 0.5 BACK LIGHT LOW(O-30): 298.3 N.A. 14.9 MEDIUM(30-60): 436.1 N.A. 21.7 HIGH(60-80): 64.9 N.A. 3.2 VERY HIGH(BO-90): 1.3 N.A. 0.1 UP LIGHT LOW(90-100): 1.2 N.A. 0.1 HIGH(100-180): 1.8 N.A. 0.1 TOTAL 2006.7 N.A. 100.0 Maximum Candela = 923.727 Located At Horizontal Angle = 320, Vertical Angle = 10 If 1 - Vertical Plane Through Horizontal Angles (320-140) (through Max. Cd.) # 2 - Horizontal Cone Through Vertical Angle (10) (through Max. Col.) Luminaire classification system (Ics) graph 9M ME Back BUG RATING Bi -Ui -G1 FRONT LIGHT LUMENS LOW(O-30): 363.6 MEDIUM(30-60): 656.7 HIGH(60-80): 1722 VERY HIGH(BO-90): 10.6 BACK LIGHT I LOW(O-30): 298.3 MEDIUM(30-60): 436.1 HIGH(60-80): 64.9 VERY HIGH(80-90): 1.3 UP LIGHT E LOW(90-100): 1.2 HIGHL00-180): 1.8 Front T616LED-E PHOTOMETRIC! i Characteristics IES Classification: Type II Longitudinal Classification: Very Short Lumens Per Lamp: N.A. (absolute) Total Lamp Lumens: N.A. (absolute) Luminaire Lumens: 2007 Downward Total Efficiency: N.A. (absolute) Total Luminaire Efficiency: N.A. (absolute) Luminaire Efficacy Rating (LER): 115 Total Luminaire Watts: 18.1 Ballast Factor: 1.00 Upward Waste Light Ratio: 0.00 Maximum Candela: 962215H Maximum Candela Angle: 320H 10V Maximum Candela (<90 Degrees Vertical): 962.215 Maximum Candela Angle (<90 Degrees Vertical): 320H 10V Maximum Candela At 90 Degrees Vertical: 10.314 (0.5% Lamp Lumens) Maximum Candela from 80 to <90 Degrees Vertical: 76.01 (3.6% Lamp Lumens) Cutoff Classification (deprecated): N.A. (absolute) FLUX DISTRIBUTION LUMENS %LAMP Downward Street Side: 1253.3 60.0 Downward House Side 833.9 39.9 Downward Total 2087.2 99.9 Upward Street Side 1.9 0.1 Upward House Side 12 0.1 Upward Total 3.1 0.1 Total Flux 20903 100.0 _ Isofootcandle lines of horizontal illuminance 3 2 1 0 1 1.7! 2 2.7! 3 4 5 Distance In Units Of Mounting Height Values Based On 10 Foot Mounting Height 1/2 Maximum Candela Trace Shown As Dashed Curve (+) = Maximum Candela Point P Luminaire classification system BUG RATING Bi - Ui -Gi FRONT LIGHT LUMENS %LAMP %WMINAIRE LOW(0-30): 378.8 N.A. 18.1 MEDIUM(30-60): 684.0 N.A. 327 HIGH(60-80): 179.4 N.A. 8.6 VERY HIGH(80-90): 11.1 N.A. 0.5 BACK LIGHT LOW(0-30): 310.7 N.A. 14.9 MEDIUM(30-60): 454.3 N.A. 21.7 HIGH(60-80): 67.6 N.A. 3.2 VERY HIGH(80-90): 1.3 N.A. 0.1 UP LIGHT LOW(90-100): 1.2 N.A. 0.1 HIGH(100-180): 1.9 N.A. 0.1 TOTAL 2090.3 N.A. 100.0 Maximum Candela = 962.215 Located At Horizontal Angle = 320, Vertical Angle = 10 If 1 - Vertical Plane Through Horizontal Angles (320-140) (through Max. Cd.) # 2 - Horizontal Cone Through Vertical Angle (10) (through Max. Col.) Luminaire classification system (Ics) graph 9M ME Back BUG RATING Bi -Ui -G1 FRONT LIGHT LUMENS LOW(0-30): 378.8 MEDIUM(30-60): 684.0 HIGH(60-80): 179.4 VERY HIGH(BO-90): 11.1 BACK LIGHT I LOW(0-30): 310.7 MEDIUM(30-60): 454.3 HIGH(60-80): 67.6 VERY HIGH(80-90): 1.3 UP LIGHT E LOW(90-100): 1.2 HIGH(100-180): 1.9 Front T616LED-E PROJE Mi� axL,reo NOTES CT NAME: A NEW WAVE OF LIGHT LED LOW -PROFILE CANOPY CPL SERIES FEATURES: ley E SCHEDULE: PRODUCT DESCRIPTION: Quick to install, the LED Low -Profile Canopy is the ideal retrofit solution for 100-250W HID garage and canopy luminaires. Offered in 20, 30, 40, and 52-watt versions, with different reflector options for parking garage and canopy distributions, the CPL can address a variety of application needs. The series offers 0-10V dimming drivers standard with an optional integral microwave motion sensor to negate interference on light output. Consuming 75 percent less energy than incumbent fixtures, the CPL series provides immediate payback and long-term energy and maintenance cost savings. ® C UL US 10 OK 4000K SDDOK ,- FCc %i LISTED • Trade Agreements Act (TAA) compliant product available - Contact MaxLite for details • 20W replaces up to 100 watt metal halide • 30W replaces up to 150 watt metal halide • 40W replaces up to 175 watt metal halide • 52W replaces up to 250 watt metal halide • Easy one -person installation, light weight with latch allowing both hands for wire connections hanging • Universal 120-277V operation • Emergency Battery Backup Option • Photocontrol and programmable dimming motion sensor options available • Two Distribution patterns, Canopy & Parking Garage • 10kV surge protection included standard MOUNTING: • Latch design to hold fixture and allows both hands for wiring • 18" leads standard for easier pendant mounting • Standard 3/4" NPT for pendant mounting (pendants by others) • Standard adapter plate included for junction box mounting (junction boxes by others) • Three side -mounted 1/2" NPT knockouts • Cannot be mounted directly to combustible surfaces • Beauty Plate accessory available to cover up to 14"x14" opening ORDER STRUCTURE CONTROLS: Motion/Daylight Sensor with Remote Control Compatibility: 0-10V microwave -based motion sensor with integral photocontrol, allowing for three output statesA00%, 10/20/30/50% output, or 0% output. Detection area, hold time, daylight threshold, and dimming level are configurable via DIP switches. At its maximum mounting height of 32 feet, the sensor can detect motion up to 30 feet away. Sensor mounted internally, behind lens which reduces vandalism and provides a cleaner look. A compatible remote control is available with the sensor, which allows for easy sensor configuration, reprogramming, and troubleshooting when necessary. Users should review supplementary motion sensor datasheets and the product instruction manual for detailed remote control programming and operation. In the event of loss of power, remote control programmed settings return to DIP switch programmed settings. 120-277VAC Photocontrol: Universal voltage photocontrols turn fixture on and off based on footcandle levels to help conserve energy during daylight hours. The operating temperature of the photocontrol is-30°F-120°F. Photocell mounted external. WARRANTY: 10-year standard warranty with labor allowance' (further details available at www.maxlite.com/warranties) "Warranty Limitations: Product must be rated for the application per the Product Data Sheet (PDS); operated <16 hrs, in ambient of -29°F to 104°F. "Up to $25/unit, labor allowances of up to $500/unit available for purchase — contact MaxLite representative for details. FAMILY WATTAGE (NOMINAL), EQUIVALENCY GENERATION VOLTAGE DISTRIBUTIONS CCT FINISH OPTIONS CPL= Low 20= 20W, replaces up B= Generation B U= 120-277V P= Parking Garage 40= 4000K B= Bronze Blank= No Option Profile to 10OW MH H= 347-480V Distribution 50= 5000K EMO= Battery Backup Rated 0°C (120V Canopy 30= 30W, replaces up (30W+) Canopy or 277V only) to 150W MH C= Distribution EM2= Battery Backup Rated -20°C 40= 40W, replaces up (120V or277V only) to 175W MH PC= Photocell (120V-277V only) 52= 52W, replaces up MS= Motion/ Daylight Sensor to 250W MH (120V-277V only) MA axLire Makes It! Don't see what you need? Additional wattages and specifications available upon request - contact your MaxLite rep! MAX16933 Phone: 1-800-555-5629 1 Fax: 973-244-7333 1 Web: www.maxlite.com I E-mail: infoCa3maxlite.com Revised: 04/02/21 aXLiTe LED LOW -PROFILE CANOPY M axLiTe CPL SERIES A NEW WAVE OF LIGHT SPECIFICATIONS Page: 2 of 6 CPL20UB50XXXX CPL30UB50XXXX CPL40UB50XXXX CPL52UB50XXXX ITEM SPECIFICATION DETAILS Power Consumption (W) 20W 30W 40W 52W Equivalent Wattage up to 10OW MH up to 15OW MH up to 175W MH up to 25OW MH Parking Garage - Lumens Delivered 2278 Im 3329 Im 4713 Im 6347 Im GENERAL PERFORMANCE Canopy Distribution - Lumens Delivered 2374 Im 3431 Im 4935 Im 6539 Im Efficacy (Im/W) 120-125 115-118 119-124 123-127 CRI >_70 Color Temperature (K) 4000K and 5000K L70 Lumen Maintenance (hours) >_100,000 Hrs. Power Factor >_0.90 Input Voltage 120-277V ELECTRICAL Dimming 0-10V. Dimming Range: 10%-100% Surge Protection 1 OkV surge protection included standard Housing Die-cast Aluminium PHYSICAL Lens Polycarbonate Operating Temperature -40°F to 104°F or -40°C to 40°C Certification cULus, Supports Title 24 Compliance CERTIFICATION Material Usage RoHS compliant, no mercury Environment Outdoor,wet location Warranty 10 Year warranty* QUALIFICATION DesignLight Consortium DLC 4.2 Premium ORDER CODE MODEL NUMBER DLC PRODUCT ID NOMINAL WATTAGE EQUIVALENCY DISTRIBUTION 1408347 CPL20BUC50B P30ZNCPN 20W 10OW MH Canopy 1408349 CPL20BUP50B PNH1 HBCF 20W 10OW MH Parking Garage 102005 CPL30BUC50B POC9WZRJ 30W 15OW MH Canopy 102001 CPL30BUP50B PJ6N9J4W 30W 150W MH Parking Garage 102010 CPL40BUC50B PQKC3148 40W 175W MH Canopy 101024 CPL40BUP50B POZD912L 40W 175W MH Parking Garage 102339 CPL52BUC50B POZN601A 50W 250W MH Canopy 102335 CPL52BUP50B PZYTSGJ7 50W 25OW MH Parking Garage ACCESSORIES ORDER CODE MODEL NUMBER DESCRIPTION ACCESSORIES IMAGE REMOTE CTRL PROGRAMMING 108133 RMHYTHRC-05 HC403VRC/HC419VRC CPL SERIES ALUMINUM BEAUTY PLATE FOR 1409168 CPL-I5SQ-PLATE* 15" x 15" SQUARE HOLES, BRONZE* *See page 3 for CPL Cover Plate dimensions MAX16933 Phone: 1-800-555-5629 1 Fax: 973-244-7333 1 Web: www.maxlite.com I E-mail: infoCa3maxlite.com Revised: 04/02/21 MA axLire LED LOW -PROFILE CANOPY M aXUT8 CPL SERIES A NEW WAVE OF LIGHT 1� 15.00 CL 260mm 10.23" 0 260mm 10.23" Page: 3 of 6 MAX16933 Phone: 1-800-555-5629 1 Fax: 973-244-7333 1 Web: www.maxlite.com I E-mail: info@maxlite.com Revised: 04/02/21 MaXLiTe PROJE Mi� axL,reo NOTES CT NAME: A NEW WAVE OF LIGHT CPL20 FOOTCANDLE: 30' 20' 10, Each gridline represents one mounting height. For mounting heights other than 20' noted multiply FC by the below factor. (Chart's Mtg Height)z Factor-- (Actual Mtg Height)z 10, LEGEND 0 ■ 0.2 fc IF 0.5 fc 10, ■ 1 fc ■ 2 fc 20' ■ 5 fc 30' Layouts based on 4000K or 5000K. Results are 3-5% less for 3000K. Consult IES file for more precise calculations. CATALOG NUMBER: FIXTURE SCHEDULE: 0 10, 20' 30' 20W, Canopy 2,416 Lumens 10' Mounting Height Foot-candle Correction Factor: New Height: 8' 10, 15' 20' Multiply by: 1.56 1 1 0.44 0.25 30' 20' 10, 0 10, 20' 30' 20' 10, 0 10, 20' 30' 20W, Parking 2,200 Lumens 10' Mounting Height Foot-candle Correction Factor: New Height: 8' 10' 15' 20' Multiply by: 1.56 1 1 10.44 0.25 MAX16933 Phone: 1-800-555-5629 1 Fax: 973-244-7333 1 Web: www.maxlite.com I E-mail: info@maxlite.com Revised: 04/02/21 [TilaxLiTe PROJE CATALOG NUMBER Mi� axL,reo NOTES —FIXTURE NAME: FIXTURE SCHEDULE A NEW WAVE OF LIGHT CPL40 1_OOTCANDLE: 45' 30' 15' 0 15' 30' 45' Each gridline represents one mounting height. For mounting heights other than noted multiply FC by the below factor. Factor-- (Chart's Mtg Height)' (Actual Mtg Height)' LEGEND ■ 0.2 fc 0.5 fc ■ 1 fc ■ 2 fc ■ 5 fc Layouts based on 4000K or 5000K. Results are 3-5% less for 3000K. Consult IES file for more precise calculations. 30' 15' 0 15' 30' 45' 40W, Canopy 5,150 Lumens 15' Mounting Height Foot-candle Correction Factor: New Height: 10' 15' 20' 25' Multiply by: 2.25 1 0.56 0.36 45' 30' 15' 0 15' 30' 45' 30' 15' 0 15' 30' 45' 40W, Parking 4,645 Lumens 15' Mounting Height Foot-candle Correction Factor: New Height: 10' 15' 20' 25' Multiply by: 2.25 1 0.56 0.36 MAX16933 Phone: 1-800-555-5629 1 Fax: 973-244-7333 I Web: www.maxlite.com I E-mail: info@maxlite.com Revised: 04/02/21 MaxLiTe PROJE CATALOG NUMBER Mi� axL,reo NOTES —FIXTURE NAME: FIXTURE SCHEDULE A NEW WAVE OF LIGHT CPL52 I-00TCANDLE: 60' 40' 20' 0 20' 40' 60' Each gridline represents one mounting height. For mounting heights other than 40 noted multiply FC by the below factor. (Chart's Mtg Height)z Factor-- (Actual Mtg Height)z 20 LEGEND ■ 0.2 fc 0 0.5 fc 20 ■ 1 fc ■ 2 fc 40 ■ 5 fc 60 Layouts based on 4000K or 5000K. Results are 3-5% less for 3000K. Consult IES file for more precise calculations. 58W, Canopy 6,610 Lumens 20' Mounting Height Foot-candle Correction Factor: New Height: 10' 15' 20' 25' Multiply by: 1 4 1 1.78 1 1 1 0.64 60' 40' 20' 0 20' 40' 60' 40' 20' 0 20' 40' 60' 58W, Parking 6,095 Lumens 20' Mounting Height Foot-candle Correction Factor: New Height: 10' 15' 20' 25' Multiply by: 4 1.78 1 0.64 MAX16933 Phone: 1-800-555-5629 1 Fax: 973-244-7333 1 Web: www.maxlite.com I E-mail: info@maxlite.com Revised: 04/02/21 MaxLire DESCRIPTION Lumark The patented Lumark CrosstourT" LED Wall Pack Series of luminaries provides an architectural style with super bright, energy efficient LEDs. The low -profile, rugged die-cast aluminum construction, universal back box, stainless steel hardware along with a sealed and gasketed optical compartment make the Crosstour impervious to contaminants. The Crosstour wall luminaire is ideal for wall/surface, inverted mount for fagade/canopy illumination, post/bollard, site lighting, floodlight and low level pathway illumination including stairs. Typical applications include building entrances, multi -use facilities, apartment buildings, institutions, schools, stairways and loading docks test. SPECIFICATION FEATURES Construction Slim, low -profile LED design with rugged one-piece, die-cast aluminum hinged removable door and back box. Matching housing styles incorporate both a small and medium design. The small housing is available in 12W, 18W and 26W. The medium housing is available in the 38W model. Patented secure lock hinge feature allows for safe and easy tool -less electrical connections with the supplied push -in connectors. Back box includes three half -inch, NPT threaded conduit entry points. The universal back box supports both the small and medium forms and mounts to standard 3-1/2" to 4" round and octagonal, 4" square, single gang and masonry junction boxes. Key hole gasket allows for adaptation to junction box or wall. External fin design extracts heat from the fixture surface. One- piece silicone gasket seals door and back box. Minimum 5" wide pole for site lighting application. Not recommended for car wash applications. DIMENSIONS L-12W. 18W, 26W 5-3/4" [146mm] 38W 6-5/8" [168mm] Optical Silicone sealed optical LED chamber incorporates a custom engineered mirrored anodized reflector providing high -efficiency illumination. Optical assembly includes impact -resistant tempered glass and meets IESNA requirements for full cutoff compliance. Available in seven lumen packages; 5000K, 4000K and 3000K CCT. Electrical LED driver is mounted to the die-cast housing for optimal heat sinking. LED thermal management system incorporates both conduction and natural convection to transfer heat rapidly away from the LED source. 12W, 18W, 26W and 38W series operate in -40°C to 40°C [-40°F to 104°F]. High ambient 50°C models available. Crosstour luminaires maintain greater than 89% of initial light output after 72,000 hours of operation. Three half -inch NPTthreaded conduit entry points allow for th ru-branch wiring. Back box is an authorized 12W, 18W, 26W 6-3/4" [171 mm] 38W 8" [203mm] L�_ L12W, 18W, 26W 3-5/8" [92mm] 38W 4" [102mm] electrical wiring compartment. Integral LED electronic driver incorporates surge protection. 120- 277V 50/6OHz or 347V 6OHz models. Finish Crosstour is protected with a Super durable TGIC carbon bronze or summit white polyester powder coat paint. Super durable TGIC powder coat paint finishes withstand extreme climate conditions while providing optimal color and gloss retention of the installed life. Warranty Five-year warranty. ESCUTCHEON PLATES 10" [254mm] 17-1/2" [445mm] 1111 IIIII I ME 11 ii 1-1sI L- 10" [254mm] XTOR CROSSTOUR LED APPLICATIONS: WALL / SURFACE POST / BOLLARD LOW LEVEL FLOODLIGHT INVERTED SITE LIGHTING arc uo! arc "I LI - L l�STEO lIn O PREMIUM CERTIFICATION DATA UUcUL Wet Location Listed LM79 / LM80 Compliant ROHS Compliant ADA Compliant NOM Compliant Models IP66 Ingressed Protection Rated Title 24 Compliant DesignLights Consortium® Qualified* TECHNICAL DATA 40°C Maximum Ambient Temperature External Supply Wiring 90°C Minimum EPA Effective Projected Area (Sq. Ft.): XTORIB, XTOR213, XT013313=0.34 XTOR413=0.45 SHIPPING DATA: Approximate Net Weight: 3.7 - 5.25 lbs. [1.7 - 2.4 kgs.] 1 E X6 N TD514013EN Powering Business Worldwide *www.desig nl ights.org 2017-07-25 12:21:59 XTOR CROSSTOUR LED POWER AND LUMENS BY FIXTURE MODEL LED Information XTORIB XTORIB-W XTORIB-Y XT0R213 XT0R213-W XT0R213-Y XT0R313 XT0R3B-W XT0R313-Y XT0R413 XT0R413-W XT0R413-Y Delivered Lumens 11418 1,396 1,327 2,135 2,103 1,997 2,751 2,710 2,575 4,269 4,205 3,995 (Wall Mount) Delivered Lumens (With Flood 1,005 990 940 1,495 1,472 1,399 2,099 2,068 1,965 3,168 3,121 2,965 Accessory Kit)' B.U.G. Rating 3 Ell-UO-GO B1-U0-G0 B1-U0-G0 Ell-UO-GO B1-UO-GO B1-U0-G0 131-UO-GO B1-UO-130 B1-U0-G0 132-UO-GO I 1]12-UO-GO 62-UO-GO CCT (Kelvin) 5,000 4,000 3,000 5,000 4,000 3,000 5,000 4,000 3,000 1 5,000 1 4,000 I 3,000 CRI i Rendering Index) Renderg n 70 70 70 70 70 70 70 70 70 70 70 70 Power Consumption 12W 12W 12W 18W 18W 18W 26W 26W 26W 38W 38W 38W (Watts) NOTES: 1 Includes shield and visor. 2 B.U.G. Rating does not apply to floodlighting. LUMEN MAINTENANCE Ambient Temperature TM-21 Lumen Maintenance (72,000 Hours) Theoretical L70 (Hours) XTORIB Model 25°C >90% 255,000 40°C > 89 % 234,000 50°C > 88 % 215,000 XT0R213 Model 25oC >89% 240,000 40°C > 88 % 212,000 50°C > 87 % 196,000 XT0R313 Model 25°C >89% 240,000 40°C > 88 % 212,000 50°C > 87 % 196,000 XT0R413 Model 25oC >89% 222,000 40°C > 87 % 198,000 50°C > 87 % 184,000 CURRENT DRAW Model Series Voltage XTORIB XT0R213 XT0R313 XT0R413 120V 0.103A 0.15A 0.22A 0.34A 208V 0.060A 0.09A 0.13A 0.17A 240V 0.053A 0.08A 0.11A 0.17A 277V 0.048A 0.07A 0.10A 0.15A 347V 0.039A I 0.06A I 0.082A 0.12A 100 95 m U N a c� 90 L m c d c 85 c m E 80 75 ' 0 10 20 Hours (Thousands) 30 40 50 60 70 80 90 100 50oC 40oC - 25oC - Eaton 1121 Highway 74 South E,T- Peachtree City, GA 30269 Specifications and TD514013EN P: 770-486-4800 dimensions subject to Powering Business Worldwide www.eaton.com/lighting change without notice. 2017-07-2512:21:59 XTOR CROSSTOUR LED ORDERING INFORMATION Sample Number: XTOR2B-W-WT-PC1 Series' LED Kelvin Color Housing Color Options (Add as Suffix) Accessories (Order Separately) XTOR1B=Small Door, 12W [Blank]=Bright White [Blank]=Carbon Bronze PC1=Photocontrol 120V P WG/XTOR=Wire Guard 5 XTOR2B=Small Door, 18W (Standard), 5000K (Standard) PC2=Photocontrol 208-277V 2,3 XTORFLD-KNC=Knuckle Floodlight Kit a XTOR3B=Small Door, 26W W=Neutral White, 4000K WT=Summit White 347V=347V4 XTORFLD-TRN=Trunnion Floodlight Kit a XTOR4B=Medium Door, 38W Y=Warm White, 3000K BK=Black HA=50°C High Ambient 4 XTORFLD-KNC-WT=Knuckle Floodlight Kit, Summit White 9 BZ=Bronze XTORFLD-TRN-WT=Trunnion Floodlight Kit, Summit White a AP=Grey EWP/XTOR=Escutcheon Wall Plate, Carbon Bronze GM=Graphite Metallic EWP/XTOR-WT=Escutcheon Wall Plate, Summit White DP=Dark Platinum NOTES: 1. Design Lights Consortium® Qualified and classified for both DLC Standard and DLC Premium, refer to-designI ights.org for details. 2. Photocontrols are factory installed. 3. Order PC2 for 347V models. 4. Thru-branch wiring not available with HA option or with 347V. XTOR3B not available with HA and 347V or 120V combination. 5. Wire guard for wall/surface mount. Not for use with floodlight kit accessory. 6. Floodlight kit accessory supplied with knuckle (KNC) or trunnion (TRN) base, small and large top visors and small and large impact shields. STOCK ORDERING INFORMATION 12W Series 18W Series 26W Series 38W Series XTOR1B=12W, 5000K, Carbon Bronze XTORI13=18W, 5000K, Carbon Bronze XTOR3B=26W, 5000K, Carbon Bronze XTOR413=38W, 5000K, Carbon Bronze XTORIB-WT=12W, 5000K, Summit White XTOR2B-W=18W, 4000K, Carbon Bronze XTOR3B-W=26W, 4000K, Carbon Bronze XTOR4B-W=38W, 4000K, Carbon Bronze XTORIB-PC7=12W, 5000K, 120V PC, Carbon Bronze XTOR2B-WT=18W, 5000K, Summit White XTOR3B-WT=26W, 5000K, Summit White XTOR4B-WT=38W, 5000K, Summit White XTORIB-W=12W,4000K,Carbon Bronze XTORIB-PC1=18W,5000K,120V PC, Carbon Bronze XTOR3B-PC1=26W, 5000K, 120V PC, Carbon Bronze XTOR4B-PC1=38W, 5000K, 120V PC, Carbon Bronze XTORIB-W-PC1=12W,4000K,120V PC, Carbon Bronze XTOR2B-W-PC1=18W,4000K,120V PC, Carbon Bronze XTOR4B-W-PC1=38W,4000K,120V PC, Carbon Bronze Eaton 1121 Highway 74 South F,T_ Peachtree City, GA 30269 Specifications and TD514013EN P: 770-486-4800 dimensions subject to Powering business Worldwide www.eaton.compighting change without notice. 2017-07-25 12:21:59 SYLVAN V Luminaires Catalog # Type Project Square Light Notes Date Prepared by Dimensions Dual Mount Wall Mount Ceiling Mount :., i^ W 52.1" it L H H laamm) H L W W Product Features The Square Light luminaires are environmentally preferable LED alternatives to traditional luminaires, offering up to 91 % in energy savings. Ideal in place of traditional luminaires, or as new installations, the Square Light series is offered with four mounting options for illuminating building exteriors, outdoor corridors, canopies, and stairwells. The Iuminaire allows for easy installation. SYLVANIA luminaires assure optimum light engine performance for extended service and rated life (>_150,000 hours L70). Wattage Comparison Chart Traditional Source Traditional System Wattage LED System Wattage Energy Savings 23W CFL 23 13 43% 42W CFL 46 13 72% 100W Inc 100 13 87% 150W Inc 50 13 91% 35W HPS 45 13 71% 50W HPS 62 13 79% 150W Inc 150 26 83% 50W HPS 62 26 58% 70W HPS 91 26 71% Ordering Guide Item Number: L W H Dual Mount 6.4" (162mm) 4.9" (124mm) 9" (228mm) Nall Mount 6.4" (162mm) 4.9" (124mm) 4.9" (124mm) Ceiling Mount 4.9" (124mm) 4.9" (124mm) 6.9" (175mm) Pendant Mount 4.9" (124mm) 4.9" (124mm) 46" (1168mm) Specifications Weight: WM: 4.4 Ibs (2kg) DM: 7.1 Ibs (3.2kg) CM: 4.6 Ibs (2.1 kg) PM: 5.1 Ibs (2.3kg) Construction: Die Cast aluminum housing with powder coat paint. The standard color is bronze. LED System: LED system with a life rating of >150,000 hours at L7e Q 25°C. Luminaire efficacy up to 109 LPW. Electrical: Offered in 13 or 26 watts, the Iuminaire is designed to operate through the 120-277 VAc universal voltage range. The LED driver is a constant current device. The power factor is >_90% and THD is <20%. Color Characteristics: CRI >70; CCT of 4000K or 5000K. Optics: UV resistant tempered glass lens. Installation: Luminaire can be pendant mounted (PM), wall mounted (WM/DM), or ceiling mounted (CM). Please note mounting in ordering guide. Operating Temperature: -40oF to +104oF (-40°C to +40°C). Listings: cULus listed to UL1598 rated for wet locations. Warranty: Standard 5-year Iuminaire warranty (LEDLUM002). Note: Specifications subject to change without notice. IES files available online. C UL US A LISTEDFC *See page 2 for )LC listings SOUGHT 1A / XX UNV 7 XX / XX / BZ Product Generation Wattage (UNV) Voltage CRI Color Temp (CCT) Mounting Color/Finish Name 1A 013 =13W UNV=120-277V 7 = >70 40 = 4000K CM = Ceiling Mount BZ = Bronze SQLIGHT 026 = 26W 50 = 5000K DM = Dual Wall Mount PM = Pendant Mount WM = Wall Mount SYLVAN/A 0 LEDLUM042R3 2-21 Dk-l-ometric Mn,- SORLIGHTIA/013UNV740/WM/BZ Isofootcandle Lines at 15' Mounting Height 2 1 0 1 2 1 n 1 1 I 1 2 1 0 1 2 For other mounting heights apply the following multipliers: Mounting 10' 12' 15' 18' 20' Height Multiplier 2.25 1.56 11 0.69 0.56 Ordering Information Item Number Ordering Abbreviation Power (W) Input Voltage CRI Color Temp (CCT) Lumens LPW* Mounting Distribution BUG Rating DLC** 60208 SQLIGHTIA/013UNV740/WM/BZ 13 120-277 >70 4000K 1390 109 Wall Mount Type VS 62-U1-GO Std 60209 SQLIGHTIA/013UNV750/WM/BZ 13 120-277 >70 5000K 1390 109 Wall Mount Type V S 132-U1-GO Std 60210 SQLIGHTIA/026UNV740/DM/BZ 26 120-277 >70 4000K 2750 105 Dual Direction/WaIlMount Type VS 131-U4-G3 — 60211 SQLIGHTIA/026UNV750/DM/BZ 26 120-277 >70 5000K 2750 105 Dual Direction/WaIlMount Type VS 61-U4-G3 — 60212 SQLIGHTIA/013UNV740/CM/BZ 13 120-277 >70 4000K 1390 109 Ceiling Mount Type VS 132-U1-GO Std 60213 SQLIGHTIA/013UNV750/CM/BZ 13 120-277 >70 5000K 1390 109 Ceiling Mount Type VS 62-U1-GO Std 60214 SQLIGHTIA/013UNV740/PM/BZ 13 120-277 >70 4000K 1390 109 Pendant Mount Type V S 132-U1-GO Std 60215 SQLIGHTIA/013UNV750/PM/BZ 13 120-277 >70 5000K 1390 109 Pendant Mount Type VS 132-U1-GO Sid 'LPW per LM79 report "Std for DLC Standard LEDVANCE LLC 200 Ballardvale Street Wilmington, MA 01887 USA Phone 1-800-LIGHTBULB (1-800-544-4828) www.sylvania.com SYLVANIA and LEDVANCE are registered trademarks. All other trademarks are those of their respective owners. Licensee of product trademark SYLVANIA in general lighting. Specifications subject to change without notice. ®/Sylvania []/Sylvania SYLVANIA 0 © 2021 LEDVANCE LLC R. e ASCG UI.3— I111 P65 � PREMIUM , RTInED VOLT VOLT 1M,r-*AV4F; I`■ -• _ IIVNLNBLE CONrao�� PROJECT Fixture with Fixture with Fixture with Wire Guard Visor Wire Guard & Visor Sensor Window -r CCT Wattage Switch Switch Ordering Structure FAMILY WATTAGE VOLTAGE (NOMINAL) WPOP= WaIIMax 28= 28W Open Face 40= 40W Wall Pack 55= 55W 80= 80W 120= 120W CAT. #: FIXTURE SCHEDU Product Description: The new generation of WallMax Open Face LED Wall Packs provides flexibility for distributors and contractors with field -selectable CCTs, wattages (55W and 120W models) and field -installable controls. The housing has been enlarged to cover HID fixture footprints and accommodate battery backup in all sizes. The Wall Packs feature a controls -ready receptacle compatible with c-Max controls. The simple plug -and -play sensor receptacle enables c-Max control nodes to be added at the time of installation, or in the future. as well as allowing for future control upgrades without changing the fixture. The receptacle is located at the bottom of the fixture and looks through a window, which minimizes the impact on the fixture aesthetics. A cover is included to hide the window when controls are not used. Features: • CCT selectable between 3000K, 4000K or 5000K • Controls Ready - simple plug and play Sensor Receptacle/Socket enables installation of c-Max control nodes without changing the fixture • Sealed housing - control nodes are mounted internally without impacting the fixture sealing or aesthetics • High Voltage Option: 277-480V • Battery Backup Options - 0°C and -20oC • Avi-On Network Controls Option available • CRI: >>>80 Construction: • Rugged die cast housing with corrosion resistant polyester powder paint finish • Impact resistant borosilicate glass • Covers old HID footprints (14" and 18") • 4 x 1/2" conduit holes, one on each side for surface conduit applications Check out our product video at: MA aXLiTe Makes It! https://www.youtube.com/ Don't see what you need? Additional wattages and specifications watch?v=G56061b5PSM available upon request- contact your Maxi-ite rep! U= Universal - CS= 3/4/5K B= Dark AV= Avi-On Network BLANK= 120-277V WCSt= 3/4/5K, Bronze Controls EMO= H= High Voltage Wattage contact CR= Controls 277-480V Selectable MaxLde Ready Port EM2= for additional finishes Ordering Notes: 1_ Available in 55W (28/40/55) and 120W (80/100/120) in Universal Voltage 120-277V Bi-level dimming only works on highestwattage setting * Based on CCT Selected and color mixing, all LEDs may not be activated. Stocked Items STOCKED ITEMS ORDER CODE DLC ID # STOCKED ITEMS ORDER CODE DLC ID # WP0P28lJ CSBCR 104898 WP0P40lJ CSBCR 104899 WP0P55U-CSBCR 104900 WP0P55U-WCSBCR 105518 PLBJPNHX WP0P80lJ CSBCR PET2F3DX WPOP12OU-CSBCR P4LZGCHW WPOP12OU-WCSBCR PRFGPVAN 104901 PGJ4N743 104902 P07X4VS2 105519 PH19YKZV None Battery Backup 0°C (120V or 277V only) Battery Backup -20oC (120V or 277V only) Control Ready Rectangle Node Installation Video: 1' t lEMt o NZY https,//www.voutube.com/watcioPiD P65mr8&feature=voutu.be 10 10-year standard warranty with labor allowance" (further details available at www.maxlite.com/warranties) "Warranty Limitations: Product must be rated for the application per the Product Data Sheet (PDS), operated <16 hrs/day, in ambient of -29°F to 104°F. "Up to $25/unit, labor allowances of up to $500/unit available for purchase — contact MaxLite representative for details. © 2022 Specifications subject to change without notice. ` ax Mi� axLiTe 9r_'0"N—TRMQiLS1C0MPATrRLF� Q W (Isvv m0 1` 1 1 Open Face 1 11 Packs ,. e e Specifications WPOP28 WPOP40 WPOP55 WPOP80 WPOP120 Nominal Wattage (W) 28 40 55 80 120 Output (Im) >_ 3,300 >_ 4,700 >_ 6,400 >_ 9,600 >_ 14,000 Efficacy (Im/W) min 120 min 120 min 120 min 120 min 120 CCT Selectable between 3000K, 4000K or 5000K CRI >80 Dimming 0-10V and High -end trim Power Factor >0.90 Input Voltage 120-277V, 277-480V option Battery Backup 120V or 277V only, 800-900 lumens, 1 fc minimum in 10' x 10' grid at 10-11' mounting height, OoC 16W, -20oC 14W Surge Protection 6kV integral to the driver, 20kA available as an option Housing Die Cast Aluminum with polyester powder coat paint finish Lens Borosilicate Glass Listings DLC Premium, cULus, FCC, TAA Available (contact Maxlite) Environment Wet locations and IP65 Warranty 10-year standard warranty* Accessories (Sold MODEL # Separately) ORDER CODE DESCRIPTION IMAGE WPOP-SVISOR-B 106160 VISOR SMALL HOUSING (28-55W), BRONZE WPOP-LVISOR-B 106161 VISOR LARGE HOUSING (80-12OW), BRONZE WPOP-SWG 106162 WIRE GUARD SMALL HOUSING 28-55W WPOP-LWG 106163 WIRE GUARD LARGE HOUSING 80-12OW CN-RTPCT 105568 C-MAX PHOTOCELL NODE RECTANGULAR CN-RTMST 105564 C-MAX RECTANGULAR MOTION SENSOR/PC, REQUIRES REMOTE CONTROL TO PROGRAM NN-RTW 105892 NETWORK NODE RECTANGULAR, WHITE CN-REMOTE 105567 C-MAX REMOTE CONTROL, AT LEAST ONE REQUIRED PER PROJECT TO PROGRAM MOTION SENSOR © 2022 Specifications subject to change without notice ` L e 45CG� U � � . PREMIUM CERTIFIE❑ eon.no�` ■ - ■ ■ nvu�n■�e Dimensions 28-55W 9.35 " [237,4mm] 1 "*�13.33"�j I Top View 14.39' — [365,5mm] Front View I Visor 7.40" [188mm] 14.39' — [365,5mm] Bottom View Side View 4mm] © 2022 Specifications subject to change without notice. A SCG U� rA— ICERTIFIMPREMIUM VOLT VOLT IIVNLNBLE CONrrto�� Dimensions 80-12OW 9. [2 9.06" [230mm] Top View 17.87" — [454mm] Front View 1-16.96"�j I Visor 9.61" 17.87" — [454mm] Sortom V/ evti Side View mn © 2022 Specifications subject to change without notice. ` Mi� Q - - 9r-O"N—TRMOiLX.OF1APAT1RLr.. 45CG W ( ,so,, , O 0 Face Wa I I Packsnor WPOP Series ISOFOOTCANDLE: LEGEND ® 0.5 fc Each gridline represents one mounting height. ■ 1 fc For mounting heights other than noted multiply FC by the below factor. ■ 2 fc Factor= (Chart's Mtg Height)Z (Actual Mtg Height)z Layouts based on 3000K. Results are 3-5% more for 4000/5000K. Consult IES file for more precise calculations. WPOP', 45' 30' 15' 0' 15' 30' 45' 15' 30' 45' .5 40W 15MOUNTING HEIGHT WPOP80 75' 50' 25' 0' 25' 50' 75' 25' 50' 75' 80W 25' MOUNTING HEIGHT WPr)P9A 12' 2 24' ) .5 36' 28W 12' MOUNTING HEIGHT WPOP55 60' 40' 20' 0' 20' 40' 60' 20' 40' 60' WPOP120 55W 20' MOUNTING HEIGHT 11 120W 30' MOUNTING HEIGHT © 2022 Specifications subject to change without notice. SYLVAN IA LEDVANCE Luminaires Wall Pack Cutoff Product Features The Wall Pack luminaires are environmentally preferable LED alternatives to traditional HID luminaires, offering up to 76% in energy savings. Ideal in place of traditional luminaires, or as new installations, the Wall Pack series is offered in seven wattages/lumen packages for illuminating building exteriors, outdoor corridors, Catalog # Project Notes Date Prepared by Dimensions Cutoff Wall Pack Generation 1 Front View 12.69in [320mm] 14.3]in [365mm] Side View 9.45in [246mm] 11.42in I— [290mm] — Type Cutoff Wall Pack Generation 2 Front View 9.3in A—] 14.3m [362mm] Side View 0 5.7in Dimensions in [145mm] —� inches (mm). walkways, and stairwells. Specifications The housing is a perfect fit for replacing existing traditional luminaires and minimizes Weight: Gen.1 — UNV:16.2lbs (7.4kg) 347V:17lbs (7.9kg) light pollution through its cut-off design. The luminaires are available with optional Gen.2 — UNV: 9.9lbs (4.3kg) photo control. LEDVANCE luminaires assure optimum light engine performance for Construction: Two-piece cast aluminum alloy housing with powder coat paint finish extended service and rated life (>_150,000 hours L70). and a glass lens. The standard color is bronze. LED System: LED system with a life rating of >_150,000 hours at L70 @25°C. Luminaire efficacy up to 135 LPW. Wattage Comparison Chart Electrical: Offered in3O,36,50, and 75Watts, the luminaire isdesigned tooperate through Cutoff Wall Packs (UNV/347) the 120-277 VAc universal voltage range. Offered in 40, 55, and 80 Watts, the luminaire is designed to operate at the 347VAc voltage range. The LED driver has a 4kV inherent surge Traditional Traditional System LED System Energy suppression and is a constant current device, meeting UL1310 and UL48 Class 2 with Source Wattage Wattage Savings 70W HPS 91 30 / 36 / 40 67% / 60% / 56% built-in over temperature protection. The power factor is >_90% and THD is <20%. 100W HPS 120 30 / 36 / 40 75% / 70% / 67% Color Characteristics: CRI>70; CCT of 4000K or 5000K. 10OW MH 130 30 / 36 / 40 77% / 72% / 69% Optics: Cutoff distribution with a flat tempered glass lens. 70W HPS 91 50/55 45% /40% 100W HPS 120 50 / 55 58% / 54% Installation: Luminaire mounts to exterior wall. 10OW MH 130 50 / 55 62% / 58% Operating Temperature: -40°F to +104°F (-40°C to +40°C); EM: +32°F to +104°F 150W HPS 170 50 / 55 71 % / 68% (0°C to AVG). 150W MH 188 50 / 55 73% / 71% Listings: cULus listed to UL1598 standards for wet locations. 175W MH 210 50 / 55 76% / 74% 175W MH 210 75 / 80 64% / 62% Warranty: Standard 5-year luminaire warranty (LEDLUMOOI). 250W MH 290 75 / 80 74% / 72% Note: Specifications subject to change without notice. IES files available online. 250W HPS 295 75/80 75% /73% C UL US (�oHS LISTED *DLC Premium only applicable on 2C versions Ordering Guide Item Number: WALPAK XX / XXX XXX 7 XX / CO / BZ / X Product Generation Wattage (UNV) Name 1 C 030 = 30 Watts WALPAK 2C 036 = 36 Watts 050 = 50 Watts 075 = 75 Watts Wattage (347V) 040 = 40 Watts 055 = 55 Watts 080 = 80 Watts `Available in UNV only " Made to order (MTO); Available in 50W UNV only LEDLUM004RB 5-17 Voltage CRI Color Temp (CCT) Optics Color/Finish Options UNV=120-277V 7 = >70 40 = 4000K* CO = Cutoff Distribution BZ = Bronze Blank = No Option 347 = 347V 50 = 5000K P = Photocontrol* E = Emergency** SYLVANZA 0 Photnmrafrir nntn /l IRIV/1.17V1 WALPAK2C/030UNV740/C0/BZ WALPAK2C/050UNV740/C0/BZ WALPAK2C/075UNV740/C0/BZ Isofootcandle Lines at 15' Mounting Height Isofootcandle Lines at 18' Mounting Height Isofootcandle Lines at 20' Mounting Height For other mounting heights apply the following multipliers Mounting 12' 15' 18' 20 A22' Height Multiplier 1.56 0.69 0.56 Ordering Information Item Ordering Number Abbreviation Power (W) Mounting Height Multiplier Input Voltage 15' 1.44 CRI 18' 20' 0.81 Color Temp (CCT) 22' 25' 0.67 0.52 Distribution Total Fixture Lumens Mounting 15' 18' Height Multiplier 1.78 1.23 BUG LPW* DLC** Rating 20' 22' 25' NW0,83 0,64 Options 74186 WALPAKIC/0361JNV740/C0/BZ 36 120-277V >70 4000K Cutoff 3300 92 Std 131-U0-G1 — 74189 WALPAKIC/036UNV750/CO/BZ 36 120-277V >70 5000K Cutoff 2900 82 - 61-UO-G1 — 74187 WALPAKIC/050UNV740/C0/BZ 50 120-277V >70 4000K Cutoff 5200 107 Std 132-UO-G1 — 74190 WALPAKIC/050UNV750/C0/BZ 50 120-277V >70 5000K Cutoff 5000 102 Std B2-UO-G1 — 74188 WALPAKIC/0751JNV740/C0/BZ 75 120-277V >70 4000K Cutoff 6600 91 62-UO-G1 — 74191 WALPAKIC/075UNV750/CO/BZ 75 120-277V >70 5000K Cutoff 6400 88 62-UO-G1 — 74210 WALPAKIC/0361JNV740/C0/BZ/P 36 120-277V >70 4000K Cutoff 3300 92 Std 131-UO-G1 Photocontrol 74213 WALPAKIC/036UNV750/C0/BZ/P 36 120-277V >70 5000K Cutoff 2900 82 - 131-UO-G1 Photocontrol 74211 WALPAKIC/050UNV740/C0/BZ/P 50 120-277V >70 4000K Cutoff 5200 107 Std 62-UO-G1 Photocontrol 74214 WALPAKIC/050UNV750/C0/BZ/P 50 120-277V >70 5000K Cutoff 5000 102 Std 132-UO-G1 Photocontrol 74212 WALPAKIC/075UNV740/C0/BZ/P 75 120-277V >70 4000K Cutoff 6600 91 62-UO-G1 Photocontrol 74215 WALPAKIC/0751JNV750/C0/BZ/P 75 120-277V >70 5000K Cutoff 6400 88 132-UO-G1 Photocontrol 72993 WALPAKIC/040347750/CO/BZ 40 347V >70 5000K Cutoff 4500 107 Std 131-UO-G1 — 72994 WALPAKIC/055347750/CO/BZ 55 347V >70 5000K Cutoff 5500 101 Std 62-UO-G1 — 72995 WALPAKIC/080347750/CO/BZ 80 347V >70 5000K Cutoff 8900 113 Std 132-UO-G1 — 74497 WALPAKI C/050UNV840/C0/BZ/E (MTO) 50 120-277V >70 4000K Cutoff 5200 107 Std 132-UO-G1 Emergency Battery Backup 74498 WALPAKI C/050UNV850/C0/BZ/E (MTO) 50 120-277V >70 5000K Cutoff 5000 102 Std 62-UO-G1 Emergency Battery Backup 74912 WALPAK2C/030UNV740/C0/BZ 30 120-277V >70 4000K Cutoff 3800 135 Prm 62-U1-G1 — 74915 WALPAK2C/030UNV750/C0/BZ 30 120-277V >70 5000K Cutoff 3800 135 Prm B2-U1-G1 — 74913 WALPAK2C/050UNV740/C0/BZ 50 120-277V >70 4000K Cutoff 6200 126 Prm 132-M-G2 — 74916 WALPAK2C/050UNV750/C0/BZ 50 120-277V >70 5000K Cutoff 6300 128 Prm 62-U1-G2 — 74914 WALPAK2C/075UNV740/C0/BZ 75 120-277V >70 4000K Cutoff 9000 120 Prm 63-U1-G2 — 74917 WALPAK2C/075UNV750/C0/BZ 75 120-277V >70 5000K Cutoff 9100 121 Prm 133-U1-G2 — *LPW per LM79 report. **Prm for DLC Premium; Sul for DLC Standard For further information and to learn more about utility rebates, contact your local SYLVANIA sales representative. Options Information Emergency Battery Backup: Activates when normal power supply to fixture fails, providing a minimum of 500 lumens for at least 90 minutes. Accessories and Replacement Parts Item Ordering Item Number Abbreviation Description 74396 WALPAKIC/LENS/BZ Replacement Lens with Frame LEDVANCE LLC 200 Ballardvale Street Wilmington, MA 01887 USA Phone 1-800-LIGHTBULB (1-800-544-4828) www.sylvania.com SYLVANIA and LEDVANCE are registered trademarks. All other trademarks are those of their respective owners. Licensee of product trademark SYLVANIA in general lighting. Specifications subject to change without notice. ®/sylvania 91/sylvania SYLVANIA 0 0 2017 LEDVANCE LLC CLIENT VA L R I "'YA PREMIUM COMMERCIAL LED LIGHTING ALA Series Area Light Highlights ■ Die-cast aluminum shell ■ Full cut off design for improved downlight and minimal light pollution ■ Ideal upgrade for parking lots, perimiter security, and walkway applications ■ Premium LEDs provide a crisp CRI across a spectrum of temperatures ■ Optional wireless daylight + occupancy sensor for energy savings ■ UL Wet Rated, DLC Premium S`P(LRgiyT< �5) yE AR Ordering Guide VA - ALA - VALRIYA FAMILY VA ALA Area Light PROJECT NOTES Example: VA-ALA-150-LVD3-50-SQ POWER VOLTAGE XXX XX 70 = 70W LV=120-277VAC 100 =100W HV = 347-480VAC 150 =150W 200 = 20OW 250 = 25OW 300 = 30OW COLOR LENS TYPE X X D = Dark Bronze 3 = Type III W=White 4= Type IV B=Black 5=TypeV CCT MOUNTING XX XX 30 = 3000K SQ = Pole 40 = 4000K SP = Slipfitter 50 = 5000K W M = Wall YK= Yoke valriya.com 1-833-VALRIYA (825-7492) orders@valriya.com 1 ALA Series Area Light 0.1 Dimensions 70W/10OW (Pole Mount) 62.5mm(2.46in.) 497.47mm(19.587in.) 56mm(2.20in.) v I E o E I Q m E Q E 320.89mm(12638in.) E VA L R I "'YA PREMIUM COMMERCIAL LED LIGHTING 150W/200W (Pole Mount) 548.48mm(216in.) —F 22in) 385mm(15.16in.) 62.5mm(2.46in.) N 13m (O SLn.) E J- Q E Q r m E 0.2 Technical Overview 250W/300W (Pole Mount) 768.3mm(30.25in.) 62.5mm(2.46in.) 56mm(220in) E Q E O 591.7mm(23.3in.) - E E p En E E CATEGORY SPECIFICATION DETAILS General Performance Nominal Power 70W 100W 150W 20OW 25OW 30OW Input Voltage 120-277VAC50/60Hz(Low) or 347-480VAC50/60Hz (High) Dimming Standard 1-10V Dimming Color Temperature (CCT) 3000K, 4000K, 5000K Nominal Lumens' - 3000K 9,3001m 13,2001m 20,2001m 25,0001m 33,5001m 40,0001m 4000K 9,5001m 13,5001m 20,5001m 25,5001m 34,0001m 40,5001m 5000K 9,6001m 13,8001m 20,8001m 26,0001m 34,5001m 41,0001m Efficiency (lm/w) 1301m/w+ CRI 70+ Lumen Maintenance (L70) 50,000 Hours+ Physical Dimensions (Inches) See Above Weight (Pole Mount) 8.2lbs 9.4lbs 12.3lbs 12.9lbs 16.8lbs 18.6lbs Housing Die -Cast Aluminum; Finishes include White / Black/ Dark Bronze Lens Types III, IV, V Certifications Mounting Pole (Square / Round), Slipfitter, Wall Mount, Yoke Operating Temperature -40OFto1130F Safety Certification UL (Wet Rated) DLC Listed" 4.4, Premium Warranty 5 Year 'Based on Type 3 distribution, qualified pointing down. 200Wmodel DLC Premium only under Type 3 distribution. Excludes all 70Wand 3000Kproducts. valriya.com 1-833-VALRIYA(825-7492) orders@valriya.com I REVISED: OCTOBER 2020 2 ALA Series Area Light VA L R I "'YA PREMIUM COMMERCIAL LED LIGHTING 0.3 EPA Ratings Arrangement 01— /II� 1 2 @90° 2 @120° 2@180° 3 @90° 3 @120° 4 @90° 70W/ 10OW 0.3413 0.5929 0.7983 0.6826 1.0239 1.0499 1.0239 150W/ 20OW 0.423 0.735 0.873 0.846 1.158 1.185 1.158 250W/ 30OW 0.4759 0.7889 1.0581 0.9518 1.2648 1.3711 1.2648 0.4 Distribution Types The ALA series can be configured with 3 distinct optic lenses to meet the lighting requirements of any environment Type III Produces an asymmetrical pattern that directs the majority of the light forward and equally on both sides of the luminaire. In a back-to-back configuration, it creates a rectangular pattern which can extend pole spacings. Type IV fll, i 1 V Suitable for applications where light is primarily required forward with minimal backlight. Typical installations include perimeter poles. 0.5 Mounting Arm Options Pole Mount Standard versatile mounting arm is simple to install and can be used existing poles for retrofit installations. Fits both 4" and 5" inch poles Slipfitter Cast aluminum mast arm adapter secures fixture head to nominal 2" (2-3/8" O.D. pipe size) horizontal steel tenon arm Type V ■ Produces a symmetrical square distribution pattern that distributes light equally on all sides of the luminaire. (I Yoke Adjustable mount for applications that require surface mount and angle adjustment Wall Mount Adaptor that can be attached to Pale Mount to allow for direct wall mounting with 1/2" conduit wiring or standard J-box mounting valriya.com 1-833-VALRIYA (825-7492) orders@valriya.com 3 ALA Series VA L R I "YA Area Light PREMIUM COMMERCIAL LED LIGHTING 0.6 SKU List LENS INPUT SAFETY QUICK SKU DESCRIPTION WATTS COLOR' TYPE CCT LUMENS CRI DIM VOLTAGE2 RATING MOUNT DLC3 SHIP VA-ALA-70-LVD3-30-XX 70W Area Light 70W Dark Bronze Type III 3000K 9,300 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD4-30-XX 70W Area Light 70W Dark Bronze Type IV 3000K 9,150 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD5-30-XX 70W Area Light 70W Dark Bronze Type V 3000K 9,430 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD3-40-XX 70W Area Light 70W Dark Bronze Type III 4000K 9,500 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD4-40-XX 70W Area Light 70W Dark Bronze Type IV 4000K 9,310 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD5-40-XX 70W Area Light 70W Dark Bronze Type V 4000K 9,730 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD3-50-XX 70W Area Light 70W Dark Bronze Type III 5000K 9,600 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD4-50-XX 70W Area Light 70W Dark Bronze Type IV 5000K 9,450 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-70-LVD5-50-XX 70W Area Light 70W Dark Bronze Type V 5000K 9,800 70+ 1-10V 120-277VAC ILL, Wet Rated All No No VA-ALA-100-LVD3-30-XX 100W Area Light 10OW Dark Bronze Type III 3000K 13,200 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-100-LVD4-30-XX 100W Area Light 10OW Dark Bronze Type IV 3000K 13,100 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-100-LVD5-30-XX 100W Area Light 10OW Dark Bronze Type V 3000K 13,400 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-100-LVD3-40-XX 100W Area Light 10OW Dark Bronze Type III 4000K 13,500 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-100-LVD4-40-XX 100W Area Light 10OW Dark Bronze Type IV 4000K 13,200 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-100-LVD5-40-XX 100W Area Light 10OW Dark Bronze Type V 4000K 13,800 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-100-LVD3-50-XX 100W Area Light 10OW Dark Bronze Type III 5000K 13,800 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-100-LVD4-50-XX 100W Area Light 10OW Dark Bronze Type IV 5000K 13,300 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-100-LVD5-50-XX 100W Area Light 10OW Dark Bronze Type V 5000K 13,900 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-150-LVD3-30-XX 15OW Area Light 15OW Dark Bronze Type III 3000K 20,000 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-150-LVD4-30-XX 15OW Area Light 15OW Dark Bronze Type IV 3000K 19,800 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-150-LVD5-30-XX 15OW Area Light 15OW Dark Bronze Type V 3000K 20,300 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-150-LVD3-40-XX 15OW Area Light 15OW Dark Bronze Type III 4000K 20,500 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-150-LVD4-40-XX 15OW Area Light 15OW Dark Bronze Type IV 4000K 19,800 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-150-LVD5-40-XX 15OW Area Light 15OW Dark Bronze Type V 4000K 20,500 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-150-LVD3-50-XX 15OW Area Light 15OW Dark Bronze Type III 5000K 21,300 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-150-LVD4-50-XX 15OW Area Light 15OW Dark Bronze Type IV 5000K 20,000 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-150-LVD5-50-XX 15OW Area Light 15OW Dark Bronze Type V 5000K 20,800 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-200-LVD3-30-XX 200W Area Light 20OW Dark Bronze Type III 3000K 25,000 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-200-LVD4-30-XX 200W Area Light 20OW Dark Bronze Type IV 3000K 24,800 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-200-LVD5-30-XX 200W Area Light 20OW Dark Bronze Type V 3000K 25,200 70+ 1-10V 120-277VAC ILL, Wet Rated All No Yes VA-ALA-200-LVD3-40-XX 200W Area Light 20OW Dark Bronze Type III 4000K 25,500 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-200-LVD4-40-XX 200W Area Light 20OW Dark Bronze Type IV 4000K 24,600 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-200-LVD5-40-XX 200W Area Light 20OW Dark Bronze Type V 4000K 25,500 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-200-LVD3-50-XX 200W Area Light 20OW Dark Bronze Type III 5000K 26,000 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-200-LVD4-50-XX 200W Area Light 20OW Dark Bronze Type IV 5000K 24,800 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes VA-ALA-200-LVD5-50-XX 200W Area Light 20OW Dark Bronze Type V 5000K 26,000 70+ 1-10V 120-277VAC ILL, Wet Rated All Yes Yes White and Black color options are available through special order, MOQ will apply 'High Voltage (347-480VAC) option available through special order 3 DLC listed products are v4.4 Premium valriya.com 1-833-VALRIYA (825-7492) orders@valriya.com I REVISED: OCTOBER 2020 4 ALA Series Area Light 0.6 SKU List Continued LENS SKU DESCRIPTION WATTS COLOR' TYPE CCT LUMENS CRI VA-ALA-250- LVD3-30 -XX 25OW Area Light 25OW Dark Bronze Type III 3000K 33,500 70+ VA-ALA-250-LVD4-30-XX 25OW Area Light 25OW Dark Bronze Type IV 3000K 33,200 70+ VA-ALA-250-LVD5-30-XX 25OW Area Light 25OW Dark Bronze Type V 3000K 33,750 70+ VA-ALA-250-LVD3-40-XX 25OW Area Light 25OW Dark Bronze Type III 4000K 34,000 70+ VA-ALA-250-LVD4-40-XX 25OW Area Light 25OW Dark Bronze Type IV 4000K 33,250 70+ VA-ALA-250-LVD5-40-XX 25OW Area Light 25OW Dark Bronze Type V 4000K 34,750 70+ VA-ALA-250-LVD3-50-XX 25OW Area Light 25OW Dark Bronze Type III 5000K 34,500 70+ VA-ALA-250-LVD4-50-XX 25OW Area Light 25OW Dark Bronze Type IV 5000K 33,750 70+ VA-ALA-250-LVD5-50-XX 25OW Area Light 25OW Dark Bronze Type V 5000K 35,250 70+ VA-ALA-300-LVD3-30-XX 30OW Area Light 30OW Dark Bronze Type III 3000K 40,000 70+ VA-ALA-300-LVD4-30-XX 30OW Area Light 30OW Dark Bronze Type IV 3000K 39,200 70+ VA-ALA-300-LVD5-30-XX 30OW Area Light 30OW Dark Bronze Type V 3000K 40,000 70+ VA-ALA-300-LVD3-40-XX 30OW Area Light 30OW Dark Bronze Type III 4000K 40,500 70+ VA-ALA-300-LVD4-40-XX 30OW Area Light 30OW Dark Bronze Type IV 4000K 39,600 70+ VA-ALA-300-LVD5-40-XX 30OW Area Light 30OW Dark Bronze Type V 4000K 40,500 70+ VA-ALA-300-LVD3-50-XX 30OW Area Light 30OW Dark Bronze Type III 5000K 41,000 70+ VA-ALA-300-LVD4-50-XX 30OW Area Light 30OW Dark Bronze Type IV 5000K 39,900 70+ VA-ALA-300-LVD5-50-XX 30OW Area Light 30OW Dark Bronze Type V 5000K 41,000 70+ White and Black color options are available through special order, MOQ will apply 'High Voltage (347-480VAC) option available through special order 'DLC listed products are v4.4 Premium with exception of200W Type V Distribution 0.7 Sensor Options* VA L R I "YA PREMIUM COMMERCIAL LED LIGHTING INPUT SAFETY QUICK DIM VOLTAGE' RATING MOUNT DLC' SHIP 1-10V 120-277VAC UL, Wet Rated All No No 1-10V 120-277VAC UL, Wet Rated All No No 1-10V 120-277VAC UL, Wet Rated All No No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All No No 1-10V 120-277VAC UL, Wet Rated All No No 1-10V 120-277VAC UL, Wet Rated All No No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No 1-10V 120-277VAC UL, Wet Rated All Yes No SKU DESCRIPTION MS-PSUNVBI Twist Lock Photocell Kit (120-277VAC, 3-Pin) LC-10R/2 3-Pin Receptable (480V) JL-240XA 7-Pin Receptable (480V) JL-208 NEMA Shorting Cap (IP66) 40 BRI823 Wireless Occ + Photocell RC100 Wireless Programmable Remote (BRI823) MS-PSUNVBi "Items must be ordered separately BRI823 RC100 JL-240XA LC-10R/2 JL-208 valriya.com 1-833-VALRIYA (825-7492) orders@valriya.com 5 ALA Series Area Light VA L R I "",(A PREMIUM COMMERCIAL LED LIGHTING 0.8 Photometric Data (150W, 5000K, Type III) CANDLE POWER ANGLE CO C45 10 3555 3782 20 3771 4194 30 4107 4824 40 4712 5662 50 5348 6407 60 5843 6917 70 5815 3632 80 2329 324 90 1 0 ZONAL LUMEN SUMMARY C90 3950 4544 5565 6145 6799 4505 370 130 0 ZONE LUMENS % FIXTURE LAMP 0-30 3,183 15.8 15.8 0-40 5,878 29.1 29.1 0-60 13,815 68.4 68.4 0-90 20,182 100.0 100.0 0-180 20,185 100.0 100.0 CANDELA PLOT COEFFICIENT OF UTILIZATION (PFC - 20%) I 2750 1 5500 co C90 RC 80% 70% 50% 30% 10% 0% RW 50% 30% 10% 50% 30% 10% 50% 30% 10% 50% 30% 10% 50% 30% 100/c 0% 0 119 119 119 116 116 116 111 111 111 106 106 106 102 102 102 0 1 102 97 92 99 95 91 95 91 88 91 88 85 87 85 83 80 2 86 78 72 84 77 71 80 74 69 77 72 67 74 70 66 63 3 73 64 57 72 63 56 69 61 55 66 59 54 63 58 53 50 () 4 63 53 46 62 53 45 59 51 45 57 50 44 55 48 43 41 5 55 45 38 54 45 38 52 44 37 50 42 37 48 41 36 34 6 49 39 32 48 39 32 46 38 31 44 37 31 43 36 31 28 7 44 34 27 43 34 27 41 33 27 40 32 27 38 32 26 24 8 39 30 24 39 30 24 37 29 23 36 29 23 35 28 23 21 9 36 27 21 35 27 21 34 26 21 33 26 20 32 25 20 18 10 33 24 18 32 24 18 31 23 18 30 23 18 29 23 18 16 'Effective floor cavity reflectance 20 'Additional IES data can be downloaded here valriya.com 1-833-VALRIYA (825-7492) orders@valriya.com 6 ALA Series Area Light 0.9 House Side Shield* "Items must be ordered separately SHIELD DIMENSIONS A B r D 70 3.9" 7.2" 3.1" 38.30 150 3.9" 10.5" 2.7" 34.60 250 6.3" 10.5" 7.1" 48.20 A VA L R I "'YA PREMIUM COMMERCIAL LED LIGHTING SKU DESCRIPTION VA-ALA-70-D-HSS 70W / 100W Shield, Dark Bronze"' VA-ALA-150-D-HSS 150W / 20OW Shield, Dark Bronze"' VA-ALA-250-D-HSS 250W / 30OW Shield, Dark Bronze'" '" Black and White color options avaliable upon special request, subject to MOQ 0.10 Additional Mounting Options* "Items must be ordered separately VA-ALA-4SPT VA-ALA-4RPT 1 9 VA-ALA-3HTA-120 VA-ALA-SSPT VA-ALA-5RPT 0 w VA-ALA-3HTA-90 e VA-ALA-WMSP Milo VA-ALA-2HTA-180 VA-ALA-4HTA-90 valriya.com 1-833-VALRIYA (825-7492) orders@valriya.com 7 Page 1 of 5 SINGE 7, KEYSTONE LIGHT MADE EASY' DESCRIPTION Compact 35W General -Purpose LED Flood Light 1120-277V Input I 3000-5000K I Bronze Housing I Multiple Mounting Options APPLICATION Building Mount or Ground Mount for outdoor illumination (landscapes, display signage, loading docks, building facades, pathways, parking areas, and other general site lighting requirements) C 11 us YEAR COLOR WARRANTSELECT Al ,��us rFa I�i .3 �yq-��, LISTED PP PRODUCT FEATURES • Uniform, wide flood design (NEMA 7h x 7w distribution pattern) • Heavy-duty, die cast aluminum housing featuring built-in glare visor and tempered glass lens • Powered by Keystone 0-10V dimming LED drivers • Keystone Color Select Technology: Adjustable CCT (3000K, 4000K, or 5000K) • Built-in dusk -to -dawn photocell behind translucent 3/4" threaded plug with anti -yellowing agent • Heavy-duty 112" knuckle mount with 900 adjustment and yoke mount options included • Ambient operating temperature:-300C/-2201' to 450C/113°F • UL listed for wet locations, IP65 • 0-10V dimming, 10% min • Power Factor: >0.95 • TH D: <20% • LED chip lifetime: L70 >100,000 hrs Q 25°C/77°F ambient fixture temp • Meets FCC Part 15, Part B, Class A standards for conducted and radiated emissions • 18" input cable, pre -stripped • Fixture impact rating IK07 ELECTRICAL SPECIFICATIONS Catalog Number Wattage Lumens Dimming CCT* Efficacy CRI HInput Legacy ousing Mounting Voltage Rated Life Equivalent F 44801m 3000K 1281m/W Universal: KT-FLED35-R1A-UNV-8CSB-VDIM 35W 5075 Im 0-10V 4000K 145 Im/W >80 Bronze 1/2" Knuckle 120-277V 50,000 hrs 150-175W MH or yoke 49001m 5000K 1401m/W *Color Uniformity: CCT (Correlated Color Temperature) range as per guidelines outlined in ANSI C78.377-2017 Keystone Technologies • Philadelphia PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 02.24.21 Page 2 of 5 SINGE 7, KEYSTONE LIGHT MADE EASY' PHOTOMETRIC SPECIFICATIONS ISOCANDELA PLOT 80° 60° 40° 20° 0° -20° -40° -60° -80° -80° -60° -40° -20° 0° 20° 40° 60° 80° ■ Cd: 171 (10%) Cd: 684 (40%) ■ Cd: 274 (16%) ■ Cd: 1077 (63%) ■ Cd: 428 (25%) Cd: 1710 (100%) LUMINOUS INTENSITY DISTRIBUTION 180° -150° 150D -120° T r ter\ 120° -900 - - -- 90° 3 r2 . -600 i2i82.: 1\ 600 -300 21'37 300 0° LIGHT DISTRIBUTION PATTERNS (Isometric view from above) Building exterior mounted at 15', 30' below horizontal 51 30' 20' 10, 0 50' 70' Average diffuse angle (50%): 114.3° 1 Violet CO-C180 2 Green C90-C270 3 Orange G3 Unit: cd 0.1 fc ■ 0.2 fc ■ 0.5 fc ■ 1.0 fc ■ 2.0 fc ■ 5.0 fc ■ 10.0 fc FLUX DISTRIBUTION Zone Lumens % Luminaire Forward Light 2,527 Im 53.2% 0°-30° 675 Im 14.2 30°-60° 1,3661m 28.8% 60°-80° 471 Im 9.9 80°-90° 15 Im 0.3 Back Light 2,181 Im 46.0 0°-30° 6561m 13.8% 30°-60° 1,2231m 25.8% 60°-80° 297 Im 6.3 80°-90° 5 Im 0.1 Up Light 39 Im 0.8% 90°-100° 21m 0.0% 100°-180° 361m 0.8% BUG* Rating Asymmetrical Luminare Types Type I, II, III, IV B2 U2 G1 Quadrilateral Symmetrical Luminare Types Type V, Area Light B2 U2 G1 Backlight, Uplight, Glare Ground mounted at 6" above ground, 10' above horizontal, shining towards building exte- rior wall at 14' away 50' 51 50' 40' 30' 20' 10, 0 20' Keystone Technologies • Philadelphia PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 02.24.21 Page 3 of 5 '•,. SINGE 194S KEYSTONE LIGHT MADE EASY' PHYSICAL SPECIFICATIONS KNUCKLE MOUNT r 7.40" YOKE MOUNT 7.40" 5.51" 8.98" 5.51" 6.97" 2.75" 2.75" Keystone Technologies • Philadelphia PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 02.24.21 Page 4 of 5 SINGE 7, KEYSTONE LIGHT MADE EASY' GENERAL SETUP INSTRUCTIONS GENERAL WIRING DIAGRAM Purple (Dim+) Black (Line) I= _­ L, Gray (Dim—) L -277V Input White (Neutral) 110EYST01E Green (Ground) LED Driver Red (+) Black (—) 1 PHOTOCELL ENABLE/DISABLE This fixture is equipped with a dusk -to -dawn photocell behind the translucent knock -out (KO) cover. Adjust the dip switch to enable (ON) or disable (OFF) the photocell function (see illustrations to the right). Fixture comes preset with photocell enabled unless otherwise noted. COLOR SELECT (CCT) ADJUSTMENT This fixture is equipped with Color Select technology. There is an adjustable dip switch behind the translucent knock -out (KO) cover to change CCT between 5000K, 4000K, and 3000K (see illustrations to the right). Fixture comes preset at 5000K unless otherwise noted. ACCESSORIES (SOLD SEPARATELY) Catalog Number Description KT-FLED-SM-I-KIT Flood Light Wall Mount Kit KT-FLED-RC-4-W 4" Round Flood Light Junction Box Cover, White KT-FLED-RC-4 4" Round Flood Light Junction Box Cover, Bronze Dimming wires to 0-10V I EC -compliant control Pre -wired leads DC Output to LED load Caution: Before installing, make certain that AC power to the fixture is off. Caution: The electrical rating of this product is 120-277V. Installer must confirm that there is 120-277V at the fixture before installation. Photocell Enable/Disable Color Select (CCT) Adjustment Keystone Technologies • Philadelphia PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 02.24.21 Page 5 of 5 '•,. SINGE 194S KEYSTONE LIGHT MADE EASY' ORDERING INFORMATION CATALOG NUMBER PACK QTY. EASY CODE UPC KT-FLED35-R1A-UNV-8CSB-VDIM 1 DND-10 843654128962 CATALOG NUMBER BREAKDOWN KT-FLED35-R 1A-U NV-8CSB-VDI M 1 2 3 4 5 6 7 8 9 10 11 12 1 Keystone Technologies 2 Fixture Type 5 Shape 2 Fixture Type F Flood R Rectangular 3 LED Lamp WP Wallpack C Circular 4 Max Wattage 5 Shape 7 Distribution 8 Mounting 6 Style 7 Distribution A Wide (7 x 7) UNV Universal 8 Mounting B Narrow 9 CRI C Very Narrow 10 Color 13 6 Style 1 Non -Cutoff 2 Full -Cutoff 9 CRI 8 >80 9 >90 11 Color Select Designation 10 Color 11 Color Select Designation 12 Dimming 40 4000K A 3500K, 4000K, 5000K 13 Housing Color 50 5000K B 3000K, 4000K, 5000K CS Color Select C 3000K, 3500K, 4000K, 5000K D TBD 12 Dimming 13 Housing Color VDIM 0_10V Bronze B Black W White Keystone Technologies • Philadelphia PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 02.24.21 TM ale Lmi.i LIGHTING Project Notes Type I Date Cat. No. 7 mear Strip Luminaire DESCRIPTION The Aleo LLSTM XE Series Linear Strip Luminaire delivers industry -leading performance with deep energy savings and continuous dimming. Low profile design offers easy handling and storage. This , versatile luminaire produces energy -efficient, comfortable illumination for a myriad of applications. APPLICATIONS Excellent for general utility applications: Parking garage, warehouse, offices, restrooms, storage units, stairwell. &US Specification Features C LISTED Construction Integral LED gear tray and reflector with driver on board allows for easy installation and handling. Luminaire features matte white durable finish. Diffuser requires no additional frame or fastener for easy installation. Optical System Reflector systems features highly reflective coating and delivers balanced, comfortable luminance for productive spaces. Diffuser lens reduces glare and improves occupant comfort while maintaining high efficiency emission. Certification UL Listed. All components have UL certification. UL Class 2. Driver: SCP, OTP, OVP protection, FCC Part 15 Class B, UL8750 Class 2. DLC Premium Warranty 7-year Limited Warranty. See warranty documentation for more information. Example: LLS-4HE-26/840 XE G4 Series LLS LED Linear Strip Luminaire Form Factor 2 2' 4 4' 8 8' Lumen Package HE High Lumen VHE Very High Lumen Electrical Luminaire utilizes high -efficacy LED packages maintained at cool temperatures for long life, high efficacy. Reliable driver features continuous dimming. Universal voltage (120-277V) for convenient installation Comes equipped with luminaire quick -disconnect. Installation / Mounting Luminaire back housing includes holes and slots for various mounting methods. Controls / Dimming Continuous dimming (0-10V) comes standard. Suitable for use with dimmers, sensors, daylight harvesting and other control strategies to achieve deeper energy - savings and code compliance. Sensor accessory available: occupancy sensing with daylight cut-off. 0 Nom. Watt,:' , CRI 20 20W (2) 8 83+ 26 26W (4) 41 40 W (4) 52 52W (8') 68 68W (8') 78 78W (8') Controls' OS OSDL OSDL/IR Color Temp I �,: riming 40 4000K Blank 50 5000K 0-10V Continuous Dimming Occupancy Sensor I SB Occ. Sensor w/ Daylight Multi -Level Occ. Sensor w/ wireless config. 2' 20W 4' 26W, 41 W 8' 52W, 68W, 78W ._, CONTINUOUS DIMMING LLS-2HE-20/850 XE G3 LLS-4HE-26/840 XE G4 LLS-4HE-26/850 XE G4 LLS-4VHE-41/840 XE G4 LLS-8HE-52/840 XE G3 LLS-8HE-52/850 XE G3 LLS-8H-68/840 XE G4 Emergency Backup EM700 7001m EM1400 14001m EM2000 20001m Integrated Sensor Box " Will be supplied with side fixture -mount sensor, unless SB is specified " Contact factory for other control options and wireless capabilities Specifications and Dimensions subject to change without notice. 1 of 4 Form LLS-XE G4-SS / Rev. 01 Aleo Lighting, Inc. I www.aleolighting.com I Ph: 877-358-8825 © 2020 Aleo Lighting, Inc. All rights reserved. Performance Summary Input Voltage Input Frequency 060 Hz Rated Wattag See Performance Table Delivered Lumens -- Performance Table Efficacy CRI 0 Available CCl" 400 00 Color ConsistencyZ5-step MacAdam Ellipse Rated Life75,000 hours L7U3> 72,000 hours Power Factor> 0 THD< 20% Dimming 00'. Operating Temp. 01 Performance Data Mounting Information E B A: End Cap B: Suspension -mount with air craft cable C: Surface Mount D: T-Bar Clip Mounting hole E: Wiring Knockout .'� -.F •O• � ® ® J-Box Mounting Accessory LLS-2HE-20 XE G4 20 19.1 2600 130 2620 131 LLS-4HE-26 XE G4 25 25.04 3275 131 3300 132 LLS-4VHE-41 XE G4 40 39.44 5200 130 5240 131 LLS-8HE-52 XE G4 52 55.04 7128 132 7182 133 LLS-8H-68 XE G4 65 - 8515 131 8580 132 LLS-8VHE-78 XE G4 75 74.88 9750 130 9825 131 Product Dimensions L --------------------------------------------------------------------------------- e 8 8 • ° �L LLS-2 25.87" (657.2mm) 3.56" (90.5mm) 3.35" (85.2mm) LLS-4 47.99" (1219mm) 3.56" (90.5mm) 3.35" (85.2mm) LLS-8 92.44" (2438mm) 3.56" (90.5mm) 3.35" (85.2mm) A Specifications and Dimensions subject to change without notice. 2 of 4 Form LLS-XE G4-SS / Rev. 01 Aleo Lighting, Inc. I www.aleolighting.com I Ph: 877-358-8825 © 2020 Aleo Lighting, Inc. All rights reserved. I Photometric Data LLS-4HE-26/840 Tested in accordance to IESNA LM-79 Polar Graph Zonal Lumen Summary Coefficients of Utilization EFFECTIVE FLOOR CAVITY REFLECTANCE: 20 % 133 1000 ZONE LUMENS % LUMINAIRE RCC% 80 70 50 0-30 626.9 17.5 % RW % 70 50 30 0 70 50 30 0 50 30 20 CD.O g0° 0-40 1,047.9 29.3% RCR 133 800 0-60 1,997.0 55.7% 0 1.16 1.16 1.16 1.16 1.11 1.11 1.11 0.85 1.03 1.03 1.11 267 60-90 1,064.4 29.7% 1 1.02 0.96 0.91 0.86 0.98 0.93 0.88 OM 0.86 0.82 0.9 70° 70-100 795.7 22.2% 2 0.92 0.82 0.74 0.68 0.88 0.79 0.72 0.53 0.73 0.67 0.73 400 90-120 394.2 11.0 % 3 0.83 0.71 0.62 0.55 0.79 0.68 0.6 0.44 0.63 0.56 0.61 �00 533 0-90 3,061.4 85.5 % 4 0.75 0.62 0.53 0.45 0.72 0.6 0.51 0.37 0.56 0.48 0.52 90-180 521.1 14.5 % 5 0.69 0.55 0.46 0.39 0.66 0.53 0.44 0.32 0.49 0.42 0.44 667 500 0-180 3,582.5 100.0 % 6 0.64 0.49 0.4 0.33 0.61 0.48 0.39 0.27 0.44 0.37 0.39 800 D 7 0.59 0.45 0.35 0.29 0.56 0.43 0.34 0.24 0.4 0.33 0.34 0° 10° 20° 30° 40° 8 0.55 0.4 0.32 0.26 0.52 0.39 0.31 0.22 0.37 0.29 0.3 0 - 0° H 9 0.51 0.37 0.29 0.23 0.49 0.36 0.28 0.19 0.34 0.26 0.27 0 - 90' H 10 0.48 0.34 0.26 0.2 0.46 0.33 0.25 0.17 0.31 0.24 0.25 LLS-4VHE-41/840 Tested in accordance to IESNA LM-79 Polar Graph Zonal Lumen Summary Coefficients of Utilization EFFECTIVE FLOOR CAVITY REFLECTANCE: 20 % 100° ZONE LUMENS % LUMINAIRE RCC% 80 70 50 92 0-30 860 19.8 % RW % 70 50 30 0 70 50 30 0 50 30 20 1\ 90° CD:0 0-40 1,415 32.6% RCR 80° 0-60 2,577 59.4 % 0 1.16 1.16 1.16 1.16 1.12 1.12 1.12 0.88 1.04 1.04 1.11 92 701 60-90 1,225 28.3% 1 1.03 0.97 0.92 0.87 0.99 0.94 0.89 0.69 0.87 0.83 0.9 183 70-100 942 21.7 % 2 0.93 0.83 0.76 0.69 0.89 0.8 0.73 0.56 0.75 0.69 0.73 275 601 90-120 421 9.7 % 3 0.84 0.73 0.64 0.56 0.8 0.7 0.62 0.47 0.65 0.58 0.61 0-90 3,803 87.7 % 4 0.77 0.64 0.54 0.47 0.73 0.62 0.53 0.4 0.58 0.5 0.52 367 r Soo 90-180 533 12.3 % 5 0.7 0.57 0.47 0.4 0.67 0.55 0.46 0.34 0.51 0.44 0.44 458 0-180 4,336 100.0 % 6 0.65 0.51 0.42 0.35 0.62 0.49 0.41 0.3 0.46 0.39 0.39 55001 101 201 301 401 7 0.6 0.46 0.37 0.31 0.57 0.45 0.36 0.26 0.42 0.34 0.34 8 0.56 0.42 0.33 0.27 0.54 0.41 0.32 0.24 0.38 0.31 0.3 9 0.52 0.38 0.3 0.24 0.5 0.37 0.29 0.21 0.35 0.28 0.27 ■ - 0° H ■ - 90° H 10 0.49 0.35 0.27 0.22 0.47 0.34 0.27 0.19 0.33 0.26 0.25 Example: LLS-4HE-25/840 XE G3-OSDL/IR L2-10H-3L-10M-30M-5S-30S , / Coverage High Level Lo- ' eve' Time Delay L2 10H 100% 1 L 10% 30S 30 sec. 8' height (60' dia.) 9H 90% 2L 20% #M 1-30 min. L3 8H 80% 3L 30% 20' height (40' dia.) 7H 70% 4L 40% # = enter no. of 6H 60% 5L 50% 30 min. from 1 to minuteL7 40' height (100' dia.) 5H 50% 6L 60% 7L 70% Cut -Off #M 1-59 min. #H 1-5 hrs. 0 Disabled # = enter no. of minutes or hours Ramp Up #S 1-60 sec. 0 Disabled Fade Down #S 1-60 sec. 0 Disabled High Le gel When the sensor detects motion the dimming control output ramps up to the selected HIGH light level. I n= I .ea,el After the sensor stops detecting motion and the time delay expires the dimming control output fades down to the selected LOW light level. Time Delay The selected time period that must elapse after the last time the sensor detects motion for the electric lights to fade to LOW mode Cut -Off The time period that must elapse after the lights fade to Low mode and the sensor detects no motion for the electric lights to turn OFF. Ramp Up Time period for light level to increase from LOW to HIGH. Fade Down Time period for light level to decrease from HIGH to LOW. Specifications and Dimensions subject to change without notice. 3 of 4 Form LLS-XE G4-SS / Rev. 01 Aleo Lighting, Inc. I www.aleolighting.com I Ph: 877-358-8825 © 2020 Aleo Lighting, Inc. All rights reserved. Accessory Options Wire Guard for LLS-4 3.97" (101 mm) C, 0o w r ]'�� - A p 3 c? DLC QPL Data 1 rm MW LLS-2HE-20/835 XE G4 PLBAK8CEJ4T5 5.0 Premium Direct Linear Ambient Luminaires LLS-2HE-20/840 XE G4 PL05RF33K1 GE 5.0 Premium Direct Linear Ambient Luminaires LLS-2HE-20/850 XE G4 PLKBAE2A41A1 5.0 Premium Direct Linear Ambient Luminaires LLS-4HE-26/835 XE G4 PLAODE9A9UL4 5.0 Premium Direct Linear Ambient Luminaires LLS-4HE-26/840 XE G4 PLZNS5K4BVH3 5.0 Premium Direct Linear Ambient Luminaires LLS-4HE-26/850 XE G4 PLZHOCHXLSKF 5.0 Premium Direct Linear Ambient Luminaires LLS-4VHE-41/835 XE G4 PW39T5JS 5.0 Premium Direct Linear Ambient Luminaires LLS-4VHE-41/840 XE G4 PRJZ9MNH 5.0 Premium Direct Linear Ambient Luminaires LLS-4VHE-41/850 XE G4 P56BM45G 5.0 Premium Direct Linear Ambient Luminaires LLS-4VHE-41/835 XE G4 PL10035SR30S 5.0 Premium Low -Bay Luminaires for Commercial and Industrial Buildings LLS-4VHE-41/840 XE G4 PLS7KT217GI1 5.0 Premium Low -Bay Luminaires for Commercial and Industrial Buildings LLS-4VHE-41/850 XE G4 PL9K228VZOY1 5.0 Premium Low -Bay Luminaires for Commercial and Industrial Buildings LLS-8HE-52/835 XE G4 PL6SECVT000Q 5.0 Premium Direct Linear Ambient Luminaires LLS-8HE-52/840 XE G4 PLOG009NMR5Y 5.0 Premium Direct Linear Ambient Luminaires LLS-8HE-52/850 XE G4 PLW8G3DCYWD2 5.0 Premium Direct Linear Ambient Luminaires LLS-8H-68/835 XE G4 PLR8S7Ul2SA1 5.0 Premium Direct Linear Ambient Luminaires LLS-8H-68/840 XE G4 PLGZTVX94F67 5.0 Premium Direct Linear Ambient Luminaires LLS-8H-68/850 XE G4 PL5KOOWA4P1 M 5.0 Premium Direct Linear Ambient Luminaires LLS-8VHE-78/835 XE G4 PYU7VZ14 5.0 Premium Direct Linear Ambient Luminaires LLS-8VHE-78/840 XE G4 PO4CLTBA 5.0 Premium Direct Linear Ambient Luminaires LLS-8VHE-78/850 XE G4 PDXI7LOX 5.0 Premium Direct Linear Ambient Luminaires LLS-8VHE-78/835 XE G4 PNXKSPNN 5.0 Premium Low -Bay Luminaires for Commercial and Industrial Buildings LLS-8VHE-78/840 XE G4 PQNVGCH9 5.0 Premium Low -Bay Luminaires for Commercial and Industrial Buildings LLS-8VHE-78/850 XE G4 PL5GKA8K 5.0 Premium Low -Bay Luminaires for Commercial and Industrial Buildings © 2020 Aleo Lighting, Inc. All rights reserved. For informational purposes only. Reproduction in whole or part is prohibited without prior written consent of the copyright owner. The information presented in this document does not form part of any quotation or contract, is believed to be accurate and reliable and may be changed without notice. No liability will be accepted by the publisher for any consequences of its use. Aleo Lighting reserves the rights make changes in specification at any time without notice. 4 of 4 Form LLS-XE G4-SS / Rev. 01 Aleo Lighting, Inc. M www.a13924 eolighcourtom aleo 13924 Bettencourt St. Cerritos, CA 90703 Ph: 877-358-8825 LED LIGHTING PGR-1 LED Specifications Ordering Information MODEL OPTICS LEDs PGR-1 T1 16LC T2 32LC T3 48LC T4 T4A T5 T5 W Project Name: Catalog Number: Type: The PGR LED luminaire from Visionaire combines contemporary design with new LED technology; while maintaining a traditional architectural fixture image. The LEDs Performance and Life are maximized by the unique integral aluminum heat sink. It is an ideal replacement for the high -maintenance HID fixtures of yesterday. The LED housing is spun aluminum; with either 16, 32 or 48 LEDs. Mounting options include Spider Mount, Arm Mount, Knuckle Mount or Wall Mount. The Arm Mount is available with either a Quick Mount Pole Adaptor; or a Universal Quick Mount Pole Adaptor for retrofitting existing poles. Seven optical distribution patterns are available. Choose between 3000, 4000 or 5000 Kelvin temperature of the LEDs. A durable polyester powder coat finish is guaranteed for five years; and is available in standard or custom colors. The PGR LED series is an exceptional choice for universities, shopping centers, parks and recreational areas; and general site lighting. CURRENT KELVIN VOLTAGE MOUNTING FINISH 3 3K UNV AM BZ 350mA 3000K '120, ]N Arm Mount Bronze 5 4K 8 WM BK 530n-A 4000K 347V Wall Mount Black 7 5K SM SBK 700mA 5000K 5 SpiderMount Smooth Black ' v KM WH Knuckle Mount White UBOA SWH Universal Smooth White Bolt On Arm GP Graphite Round Pole Plate Adaptors (RPP) are GY to be ordered Grey separately. SL Silver Metallic CV Custom Color OPTIONS OPTIONS PCR-120 PMtocell & Receptxle PCR-208 PMtocell & Recep- PCR-240 PMtocell & Recep- PCR-277 Ptwtocell & Recepfxle PCR-Q0 PMfocell & Recepfxle PER 3 Pin Photo Receptacle w/sttatirq cap 5PINPER s Pin mao Receptacle w/.-« w Raruires Dlmm, Dr,-r 7PINPER r Pm mao Receptacle w/­ eap Requires Dim- Dr,-r WSC-8 Motion Sensor 8' Maunting Height WaSC-20 Motion Sensor .' Maunting Height WSC-40 Motion Sensor 21-0 ' Maunting Height This optionwill require (1) ESIR 1 W remote for pregr—M DIM Or— Dl—M Dr�— EBPL Emergency Battery Pack VWC Vso Wreless Contrds 'Consult Factory RPP Round Pole PlateA ,.r ROT-R Rotar�edopt_ RigMSide ROT-L Rotatetl Optics Left 5de CLS Back Side Cutoff L rsh�eld V<fIVISIONAIRE LIGHTING PGR-1 Features & Specifications Housing Heavy duty formed aluminum housing with internal heat sink for maximum heat dissipation. Silicone gasket is used for weather tight operation. Mounting For post top mounting, an adaptor fits over a 2 3/8" tenon secured with stainless steel hardware. A Pre -Attached Aluminum Arm (AM) is supplied along with a Quick Mount pole adaptor, for fast and easy attachment to the pole. An adjustable knuckle slip fits over a 2 3/8" Tenon, and allows for up to 90' degrees of vertical adjustment in 10' degree increments from horizontal, as well as full side to side adjustment with the knuckle mount For retro-fit applications, a Pre -Attached Aluminum Arm (UBQA) is supplied along with a Universal Quick Mount pole adaptor for fast and easy attachment to the pole. Thermal Management The PGR series provides excellent thermal management by mounting the LEDs to the substantial heat sink within the housing. This enables the Luminaire to withstand higher ambient temperatures and driver currents without degrading LED life. Optical System The hightest lumen output LEDs are utilized. High-performance acrylic optics feature industry leading Type I, II, III, IV, IVA, V and VW optical distributions. Acrylic optics are impact -resistant and rated to 94 percent translucence. L70 life of our LEDs is rated over 100,000 hours (for 350 1 The optical system qualifies as IES full cutoff to restrict light trespass, glare and light pollution for neighborhood -friendly lighting. CRI values are 70. Quali-Guard® Finish The finish is a Quali-Guard® textured, chemically pretreated through a multiple -stage washer, electrostatically applied, thermoset polyester powder coat finish, with a minimum of 3-5 millimeter thickness. Finish is oven -baked at 400Q F to promote maximum adherence and finish hardness. All finishes are available in standard and custom colors. Finish is guaranteed forfive (5) years. Electrical Assembly The PGR LED series is supplied with a choice of 350, 530 or 700 mA high-performance LED drivers that accept 120v thru 480v, 50 Hz to 60 Hz, input. Power factor of 90%. Rated for-40°C operations. 10kV Surge Protector supplied as standard. TH D less than or equal to 20% Warranty • Five (5) year Limited Warranty on electrical components, Five (5) year on finish. For full warranty information, please visit visionairelight- ing.com. Options Photocell & Receptacle Photo & Receptacle 0-10 Volt Dimming Driver Motion Sensor/Control Watt Stopper FSP-211 Wireless Controls 10 kV surge protector Emergency Battery Pack Round Pole Plate Adapter Cutoff Louver Shield Listings PGR is cUL listed, suitable for wet locations. IP65 Rated Powder Coated Tough DLC Listed IDA Certification IlpPOWDER UGH IPTE �CE° ANSI c �L us iOCATO6N LISTED RATED DesignLights Consortium (Di qualified Product. Some configurations of this product family may not be DesignLights Consortium (DLC) listed, please refer to the DLC qualified products list to confirm listed configurations. http://www.designlights.org/ 3000K must be selected for IDA certification. 19645 Rancho Way • Rancho Dominguez, CA 900220 • Phone, 310 512 6480 Fax 310512 6486 www.vision airelightin g. com 137 PGR-1 LED Specifications Photometric Optical Summary Not all opYioeareavallableonauflxtures.checkorderingchart for avallablllty Type I Type II Type III Type IV Type IVA Type V Type VW (11) (12) (13) (14) (14A) (15) (15W) QMD 0 ® ® ® M N Or 0.70 1.08 1.4 1.56 1.78 1.56 Dimensions Width: PGR-1 16" Height: PGR-1 5.0" Weight: 20 LBs Vf VISIONAIRE LIGHTING 138 I ID Specifications PGR-1 LEDS mA T1 T2 T3 Data T4 T5 T5W T5WR Watts 16 350 2250 2081 2073 2032 2277 2056 2073 18 530 3239 2997 2986 2926 3279 2961 2986 26 700 4273 3954 4180 3860 4169 3906 3939 37 32 350 4761 4405 4388 4300 14819 4352 4388 35 530 6817 6308 6283 6158 6900 6231 6284 52 700 8619 7975 7944 7785 8723 7878 7944 71 48 350 7136 6603 6577 6446 7223 6523 6577 53 530 9566 8851 8817 8641 9682 8744 8817 78 700 12850 11890 11843 R 41K Lumen 11607 Data 13006 11745 11844 107 16 350 2368 2191 2183 2126 2397 2164 2183 18 530 3410 3155 3143 3080 3451 3117 3143 26 700 4498 4162 4400 4063 4388 4112 4146 37 32 350 5011 4637 4619 4527 5072 4581 4619 35 530 7176 6640 6614 6482 7263 6559 6614 52 700 9072 8394 8362 8195 9182 8292 8362 71 48 16 350 7512 6950 6923 6785 7603 6866 6924 53 530 10070 9317 9281 9096 10192 9204 9281 78 700 350 13526 2272 12515 2102 12467 2094 12218 Data 2053 13690 2300 12364 2077 12467 2079 107 18 530 3272 3028 3016 2956 3312 2991 2993 26 700 4316 3994 4222 3899 4211 3945 3949 37 32 350 4809 4450 4432 4649 4867 4396 4399 35 530 6886 6372 6347 6220 6970 6294 6299 52 700 8706 8055 8024 7864 8811 7957 7964 71 48 350 7208 6670 6644 6452 7296 6589 6594 53 530 9663 8941 8906 8728 9780 8832 8839 78 700 12980 12010 11963 11724 13137 11864 11873 107 19645 Rancho Way • Rancho Dominguez, CA 900220 • Phone, 310 512 6480 Fax 310 512 6486 www.Asionairelighting.com 139 PGR-'` LED Specifications LEDS mA T1 T2 T3 Data T4 T5 T5W TSWR Watts 16 350 127 117 117 115 128 116 117 18 530 124 115 115 112 126 114 115 26 700 116 108 114 105 114 106 107 37 32 350 135 125 125 122 137 124 125 35 530 131 121 121 118 133 120 121 52 700 121 112 112 110 123 111 112 71 48 350 135 125 124 122 136 123 124 53 530 123 1 113 1 113 1 111 124 112 113 78 700 120 111 111 `4 108 122 110 111 107 16 350 133 124 123 120 135 122 123 18 530 131 121 121 118 132 120 121 26 700 123 113 120 111 120 112 113 37 32 350 142 132 131 128 144 130 131 35 530 138 128 127 125 140 126 127 52 700 128 118 118 115 129 117 118 71 48 16 350 142 131 131 128 143 130 131 53 530 129 119 119 117 131 118 119 78 700 350 126 _77117 128 119 117 118 114 Data 116 128 130 116 117 117 117 107 18 530 126 116 116 113 127 115 115 26 700 118 109 115 106 115 108 108 37 32 350 137 126 126 132 138 125 125 35 530 132 123 122 120 134 121 121 52 700 123 113 113 111 124 112 112 71 48 350 136 126 125 122 138 124 124 53 530 124 115 114 112 125 113 113 78 700 121 112 112 110 123 111 111 107 'Kf/VISIONAIRE LIGHTING 14Z LED Specifications PGR-1 PGR 31K BUG Data PGR 41K BUG Data PGR 51K BUG Data •• • • • • • • MEMONNIMEMEM©000000©DO©DO■■■ •111 - III III • III Jim III • Jim I III • • • •MON 19645 Rancho Way • Rancho Dominguez, CA 900220 • Phone, 310 512 6480 Fax 310 512 6486 www.vi s ion airelighting. com 141 PGR-1 LED Specifications Spider Mount Detail PGR UBOA Assembly Drawing *Round Pole Plate Adapter ordered separately. Arm Mount Assembly Drawing `Round Pole Plate Adapter ordered separately. PGR Wall Mount Drawing 'Kf/VISIONAIRE LIGHTING 142 LED Specifications PGR-1 Arm Mount Drill Diagram UBOA Drill Diagram (2) 3/8" BOLTS 4 2 " MAXIMUM + 19645 Rancho Way • Rancho Dominguez, CA 900220 • Phone, 310 512 6480 Fax 310 512 6486 www.vi s ion airelighting. com 143 J. Fsc lightinq y LEHB Series LED High Bay (PCB) The LEHB Series is the perfect lighting solution for a wide variety of applications. LED technology allows power and light levels to be customized to meet both energy and design needs. Specifications Applications • Warehouse Distribution Centers Food Processing Plants Retail Industrial Commercial Gymnasiums Construction Die formed 24 gauge cold rolled steel body Post painted with high gloss baked white matte powder coat Frosted diffuser Mounting • Various mounting options available, including suspension, pendant, and surface mount. V-Hooks Included. Cord and plug options offered. Options • Sensors can be integrated for additional energy savings Wireguard, top mount and no vents Emergency battery back-up • Dimming Warranty Five-year warranty. Terms and Conditions Apply. See warranty documentation for more information. Adheres to LM79, LM80 and TM21 industry standards UL Listed DesignLights Consortium® (DLC) qualified Lighting Facts RoHS Compliant lighting L R2n facts �em��,a.� r�� J. Fsc lighting y y Catalog Ordering Example LEHB-22-135W-40K FamiLy Type LEHB • 22 - 68W (1 x 2 Foot, 65 Watt/ 8,515 lms) 40K (4000 Kelvin Temp) Options OS (Occupancy Sensor) 22 - 90W (1 x 2 Foot, 90 Watt/ 11,790 lms) 50K (5000 Kelvin Temp) OSD (Occupancy Sensor w/ Daylight) 22 - 110W ( 1 x 2 Foot, 110 Watt/ 14,440 lms) 57K (5700 Kelvin Temp) PRGOS-LS (Sensorswitch LSXR-ADC-3v Occ Sensor w/ Dimming Photocell) 22 - 135W (1.5 x 2 Foot, 135 Watt/ 17,685 lms) PRGOS-LO (IRTEC LOD509 Bi-Level OccSensor w/ Photocell) 22 - 162W ( 1.5 x 2 Foot, 162 Watt/ 21,222 lms) PRGOS-LR (IRTEC LRD509 Programmable Occ Sensor w/ Remote Control) 24 - 178W (1 x 4 Foot, 178 Watt/ 23,318 lms) EMR (Emergency Battery) 24- 223W (1 x 4 Foot, 223 Watt/ 29,312 lms) 480SD (480 Step -Down) 24 - 265W (1.5 x 4 Foot, 265 Watt/ 34,715 lms) PLG (6' SJT Cord & Plug) 24 - 425W (2 x 4 Foot, 425 Watt/ 55,675 lms) 10GL (10' Loop w/ Gripple Hanging Kit) TMB (Top Mount Box) NV (No Vents) WG (Wireguard) Specifications and Dimensions subject to change without notice. Contact factory for updates: (909) 948-8878 Safety Warning FOR YOUR SAFETY, READ AND FOLLOW ALL INSTRUCTIONS TO PREVENT ELECTRIC SHOCK OR FIRE INSTALLATION REQUIRES KNOWLEDGE OF LIGHTING LUMINAIRE ELECTRICAL SYSTEMS Contact qualified electrician prior to installation. DISCONNET POWER BEFORE INSTALLATION DO NOT ALTER PRE-EXISTING HOLES OR DRILL NEW HOLES CHECK FOR INCLOSED WIRING COMPONENTS PRIOR TO DRILLING Luminaire wiring, ballasts, power supplies or other electrical parts may be damaged. USE ONLY ON COMPATIBLE LUMINAIRES Installation requires specific dimensions and construction features. PROTECT WIRING FROM ABRASION Do not expose wiring to sharp objects or edges of sheet metal. Installation Instructions 1. Disconnect Power to the circuit supplying power to the fixture 2. Removed the existing lamps and fixture 3. Disassemble new fixture to allow access to the LED Driver 4. Run existing power supply wires into fixture through fixture knock -out or end plug on fixture 5. Mount the fixture to surface, or hang fixture with appropriate fixture mounting hardware or install fixture in T-bar Ceiling (Be sure to follow local building codes for the appropriate fixture installation methods.) Connect power supply wires to supplied wire disconnect to provide power to fixture Re -assemble fixture Re -connect power and check installation J. Fsc lighting y y Technical Information Lei Tyl 1.. 40K, 50K & 57K 84 See Performance Data 0-10V Dimming Standard 131 LPW 50/60 Hz 122,000 IP20 LED Board > 0.95 LED High Efficiency Power Supply See Performance Data -40°C - 50°C Ambient < 20% 100V to 277V Application Photo ormance Data , , , 13 Form Factor Dom Rated Wattage (W) Tested Wattage (W) Delivered Lumens (1m) (IM/W) LEHB-22-68W-50K 11 68 65 8,515 131 LEHB-22-90W-50K 90 90 11,790 131 LEHB-22-11OW-50K 110 110 14,4401 131 LEHB-22-135W-50K 135 135 17,685 131 LEHB-22-162W-50K p- 162 162 21,222 131 23,318 131 LEHB-24-178W-50K 178 178 LEHB-24-223W-50K 223 223 29,312 131 LEHB-24-265W-50K 265 265 34,715 131 LEHB-24-425W-50K 425 425 55,675 131 J. Fsc lightinq y Photometric Data LEHB-22-135W-40K Tested in accordance to IESNA LM-79 Zonal Lumen Summary 0-10 624.31 3.66% 10-20 1,791.19 10.49% 20-30 2,707.05 15.86% 30-40 3,222.12 18.88% 40-50 3,193.20 18.71% 50-60 2,634.74 15.44% 60-70 1,781.07 10.45% 70-80 900.14 5.27% 80-90 214.87 1.26% Polar Graph Physical Characteristics Dimensions 68WT, 90WT & 110WT 3.62" 23.8" 12.6" 135WT & 162WT 3.62" 23.8" 17.3" 178WT & 223WT 3.62" 45.9" 12.6" 265WT 3.62" 45.9" 17.3" 425WT 3.62" 45.9" 23.8" Line Drawing Weights Model No. 68WT, 90WT & 110WT Weight 101bs 135WT & 162WT 121bs 178WT & 223WT 151bs 265WT 181bs 420WT 221b Page 1 of 3 SINGE 1945 DIRCCTDRIVC KEYSTONE CD LINE VO TAO �LGE DESCRIPTION 8W 2-Pin LED Lamp 12700K, 3000K, 3500K, 4000K, 5000K 1 >_83 CRI y LAMP TYPE: Compact ' BULB TYPE: 2-Pin LED ' BASE TYPE: G24d WATTAGE: 8W COLOR TEMPERATURE: 2700K, 3000K, 3500K, 4000K, 5000K COLOR RENDERING INDEX (CRI): >_83 WARRANTY: 5 Years PRODUCT FEATURES • Replaces 26W/32W/42W G24d & G24q CFL Lamps • 50,000+ Hour Lifetime • Approximately 50% More Energy Efficient than Traditional CFL Lamps • Environmentally Friendly: No Mercury Used • Instant Startup OPERATING SPECIFICATIONS ELECTRICAL CHARACTERISTICS Input Voltage Lamp Wattage Power Factor System Wattage 120-277V 8W >0.9 8W PHOTOMETRIC CHARACTERISTICS Ll o G�pssIf, FO RoHSfP� c �L us Compliant WARRANTY • Frosted Lens Eliminates Pixelation • Integral Driver, Eliminates the Need for External Driver or Ballast • UL Recognized and UL Classified • Operating Temperature:-20°C/-40F to 45°C/113°F • Up to 5x Longer Life than Traditional CFL Lamps • Horizontal Orientation Color Temperature (CCT) 2700K 3000K 3500K 4000K 5000K Luminous Flux 900 Im 900 Im 900 Im 950 Im 950 Im Color Rendering Index (CRI) >_83 >_83 >_83 >_83 >_83 Bare Lamp Efficacy 113 Im/W 113 Im/W 113 Im/W 119 Im/W 119 Im/W Beam Angle >120o >120° >120o >120° >120° RATED LIFE L70 (Hours) 50,000 280 233 187 140 93 47 CD: 0 47 93 140 187 233 280 POLAR CANDELA DISTRIBUTION 180' 170o 160° 150' 140o 0° 10' 20' 30' 40' Violet:0°H Green:90°H 130, 120' 110, 100, 90, 80, 70o 60o 50' Keystone Technologies • 1390 Welsh Road, North Wales, PA 19454 • Phone (800) 464-2680 • Fax (888) 966-0556 • www.keystonetech.com Specifications subject to change. Last revised on 11.17.16 Page 2 of 3 TY-SINGE 1945 KEYSTONE WIRING BYPASS MAGNETIC BALLAST WITH 1 LAMP BEFORE B LAC K (LINE) CFL BALLAST LAMP OWHITE (NEUTRAL) AFTER BLACK (LINE) LAMP O WHITE (NEUTRAL) BYPASS MAGNETIC BALLAST WITH 2 LAMPS BEFORE (BL NELACK CFL BALLAST 4BLU LAMP OWHITE (NEUTRAL) LAMP ........................................................... AFTER BLACK (LINE) BLUE LAMP OWHITE (NEUTRAL) LAMP RED PHYSICAL CHARACTERISTICS LAMP DIMENSIONS M 5.6" 1.22" CONNECT TO 041:1IRCCTDIRIVC LCDLINE VOLTAGE BYPASS ELECTRONIC BALLAST WITH 1 LAMP BEFC BLACK BLUE (LINE) LAMP OWHITE CFL BALLAST YELLOW U GREEN RED ........................................................... AFTER BLACK (LINE) BLUE �LAM O WHITE (NEUTR=RED�E BYPASS ELECTRONIC BALLAST WITH 2 LAMPS BEFORE BLACK BLUE (LINE) LAMP OWHITE CFL BALLAST :RED W GREEN LAMP .......................................................... . AFTER BLACK (LINE) BLUE LAMP YELLOW WHITE LAMP (NEUTRAL) RED O Keystone Technologies • 1390 Welsh Road, North Wales, PA 19454 • Phone (800) 464-2680 • Fax (888) 966-0556 • www.keystonetech.com Specifications subject to change. Last revised on 11.17.16 Page 3 of 3 TY—SINGE 1945 KEYSTONE ORDERING INFORMATION ORDER CODE PACKAGING STYLE KT-LED82P-H-8xx-D-DP Distributor Pack CATALOG NUMBER BREAKDOWN KT-LED82P-H-8xx-D Keystone LED Lamp Wattage Lamp Orientation 800 Color Direct Technologies Type Series Temp. Drive Series 041:1IRECTDIRIVE LEDCONNECT TO LINE VOLTAGE PACK QTY. ITEM STATUS 50 Quick Ship Keystone Technologies • 1390 Welsh Road, North Wales, PA 19454 • Phone (800) 464-2680 • Fax (888) 966-0556 • www.keystonetech.com Specifications subject to change. Last revised on 11.17.16 SYLVANIA Luminaires UltraLEDTM Selectable Downlights Application The SYLVANIA UltraLED Selectable Downlights are offered in 5/6", 6", and 8" sizes and provide high performing light optimized for both new construction and retrofit applications where pin based compact fluorescent lamps have previously been used. The installation is done quickly and easily in most standard frames. The lumen and CCT selectable switches allow for customizable light replacing up to two 26W compact fluorescent lamps and offering up to 52% energy savings when compared to traditional technologies. Benefits and Features — Lumen and CCT selectable light enabled through the two switches located on the base of the product — This product is available in lumen selectable only versions - enabled through the one switch located on the base of the product — ENERGY STAR° listed to maximize rebate opportunities — Available in 5/6", 6" (lumen and lumen and CCT versions), and 8" sizes (lumen selectable versions only) — Up to 93 LPW — 2700K, 3000K, 3500K, 4000K, and 5000K and selectable K color temperature — CRI >90 — Lumen Selectable offered in 9 or 12 watt, 14.5 or 18 watt, and 17 or 25 watt versions — Lumen and CCT Selectable offered in 9 or 12 watt or 14.5 or 18 watt versions — CCT Selectable and EMBB Ready offered in 9, 12, 14, 18, 23, 32 or 57 waft versions — Energy savings up to 52% Electrical — 120-277VAc — Power Factor >90% — THD <20% — 0-10V dimmable — Phase -cut dimmable (9W CCT Selectable/EMBB Ready only) Rated Life — 50,000 hours (1-70) Warranty — 5-year (please see LEDLUM001) TI' ® FCc O E l r `-RoH t C US ln �--- Pliant Item # Type Project Notes Date ft Wattage Comparison Traditional LED System Energy Source Wattage Savings 13 or 18W CFL 9 or 12W 30 or 33% 23 or 32W CFL 14.5 or 18W 37 or 44% 32W or 2x26W CFL 17 or 25W 47 or 52% Ambient Operating Range -4°F to +104°F (-20°C to +40°C) Certifications and Listings — cETLus — RoHS — ENERGY STAR — FCC Installation — Installation performed as a stand-alone kit (without frame) is recommended for hard ceiling. Installation of a recessed incandescent frame is recommended for tiled ceiling application for proper support of the retrofit kit. svLvaNZA 0 LEDLUM055R3 10-20 Ordering Guide One Switch (Lumen Selectable) RT SL XX R 1A XXXXXX U D 9 XX RT = SL = Size Shape Generation Light Output Voltage Dimming CRI CCT Retrofit Selectable Lumen 56 = 5/6" R = Round 700900 = 700 U=120-277V D = 0-10V 9 = >90 27 = 2700K Downlight 6 = 6" or 900 lumens 30 = 3000K 8 = 8" 12001500 =1200 35 = 3500K or 1500 lumens 40 = 4000K 15002000 =1500 50 = 5000K or 2000 lumens Two Switch (Lumen and CCT Selectable) RT SD XX 1A XXXX U D 9 303540 RT = SD = Size Generation Light Output Voltage Dimming CRI CCT Retrofit Dual Selectable 56 = 5/6" 79 = 700 or 900 lumens U =120-277V D = 0-10V 9 = >90 303540 = 3000K, 3500K Downlight (Lumen and CCT) 6 = 6" 1215 =1200 or 4000K or 1500 lumens CCT Selectable and EMBB Ready LED RT XX / R 3C / XXXX U D 9 SC8 LED RT = Size Shape Generation Light Output Voltage Dimming CRI Selectable CCT Retrofit 56 = 5/6" R = Round 3C = Generation 3C 700 = 700 lumens U =120-277V D = 0-10V 9 = >90 SC8 = 3000K, Downlight 6 = 6" 900 = 900 lumens 3500K or 4000K 8 = 8" 1200 =1200 lumens or 5000K 1500 =1500 lumens 2000 = 2000 lumens 3000 = 3000 lumens 5000 = 5000 lumens Ordering Information Item Number Ordering Abbreviation Power (W) Input Voltage Dimming CRI Color Temp (CCT) Total Fixture Lumens Lumens per Watt ENERGY STAR° Listed O MTO' Lumen Selectable Only 60742 RTSL56R1 A7009000D927 9 or 12 120-277 0-10V 90 2700K 700 or 900 75 Yes — 60743 RTSL56R1 A7009000D930 9 or 12 120-277 0-10V 90 3000K 700 or 900 75 Yes — 60744 RTSL56R1 A7009000D935 9 or 12 120-277 0-10V 90 3500K 700 or 900 75 Yes — 60745 RTSL56R1 A7009000D940 9 or 12 120-277 0-10V 90 4000K 700 or 900 75 Yes — 60746 RTSL56R1A7009000D950 9 or 12 120-277 0-10V 90 5000K 700 or 900 75 Yes VITO 60747 RTSL6R1Al2OO15000D927 14.5 or 18 120-277 0-10V 90 2700K 1200 or 1500 83 Yes VITO 60748 RTSL6R1A120015000D930 14.5 or 18 120-277 0-10V 90 3000K 1200 or 1500 83 Yes VITO 60749 RTSL6R1A120015000D935 14.5 or 18 120-277 0-10V 90 3500K 1200 or 1500 83 Yes — 60750 RTSL6R1A120015000D940 14.5 or 18 120-277 0-10V 90 4000K 1200 or 1500 83 Yes — 60751 RTSL6R1A120015000D950 14.5 or 18 120-277 0-10V 90 5000K 1200 or 1500 83 Yes — 60752 RTSL8R1A15002000UD927 17 or 25 120-277 0-10V 90 2700K 1500 or 2000 80 Yes VITO 60753 RTSL8R1 Al5002000UD930 17 or 25 120-277 0-10V 90 3000K 1500 or 2000 80 Yes — 60754 RTSL8R1A15002000UD935 17 or 25 120-277 0-10V 90 3500K 1500 or 2000 80 Yes — 60755 RTSL8R1 Al5002000UD940 17 or 25 120-277 0-10V 90 4000K 1500 or 2000 80 Yes — 60756 RTSL8R1A15002000UD950 17 or 25 120-277 0-10V 90 5000K 1500 or 2000 80 Yes — Lumen and CCT Selectable 60814 RTSD561A79UD9303540 9 or 12 120-277 0-10V 90 3000, 3500 or 4000K 700 or 900 75 Yes — 60815 RTS061A1215UO9303540 14.5 or 18 120-277 0-1 OV 90 3000, 3500 or 4000K 1200 or 1500 83 Yes — CCT Selectable and EMBB Ready 65472 LEDRT56/R3C/700ST/9SC8 9 120 Phase -cut 90 3000, 3500, 4000 or 5000K 700 77 Yes — 65473 LEDRT56/R3C/7000D/9SC8 9 120-277 0-10V 90 3000, 3500, 4000 or 5000K 700 77 Yes — 65474 LEDRT56/R3C/9000O/9SC8 12 120-277 0-10V 90 3000, 3500, 4000 or 5000K 900 75 Yes — 65475 LEDRT6/R3C/12000D/9SC8 14 120-277 0-10V 90 3000, 3500, 4000 or 5000K 1200 88 Yes — 65476 LEDRT6/R3C/15000O/9SC8 18 120-277 0-10V 90 3000, 3500, 4000 or 5000K 1500 88 Yes — 65477 LEDRT8/R3C/9000D/9SC8 12 120-277 0-10V 90 3000, 3500, 4000 or 5000K 900 86 Yes — 65478 LEDRT8/R3C/15000O/9SC8 18 120-277 0-10V 90 3000, 3500, 4000 or 5000K 1500 86 Yes — 65479 LEDRT8/R3C/2000UD/9SC8 23 120-277 0-10V 90 3000, 3500, 4000 or 5000K 2000 86 Yes — 65480 LEDRT8/R3C/3000UD/9SC8 32 120-277 0-10V 90 3000, 3500, 4000 or 5000K 3000 93 Yes — 65481 LEDRT8/R3C/5000UD/9SC8 57 120-277 0-10V 90 3000, 3500, 4000 or 5000K 5000 87 Yes — `Made To Order Photometrics 700/9001m -1 -90 Luminous Intensity Distribution Diagrams 1500/20001m One Switch -/+180 -/+180 0 -1 90 -90 ou ou UNIT:cd - CO/180, 85.4 C90/270,85.1 0 AVERAGE BEAM ANGLE(50%):85.3 DEG Zonal Lumen Distribution Zone Lumens %Retrofit Kit 0-20 170 18 0-30 350 38 0-40 549 59 0-60 838 91 0-80 919 99 0-90 925 100 10-90 880 95 20-40 379 41 20-50 551 60 40-70 348 38 60-80 81 9 70-80 22 2 80-90 6 1 0-180 925 100 Illuminance at a Distance Distance to Illuminated Plane (feet) Footcandles Beam Center Footcandles Beam Edge Beam Diameter (feet) 2 119.7 fc 22.9 fc 3.8 4 29.9 fc 5.7 fc 7.6 6 13.3fc 2.5fc 11.4 8 7.5 fc 1.4 fc 15.2 10 4.8 fc 0.9 fc 19 12 3.3 fc 0.6 fc 22.8 Spacing to Mounting Height Ratio 1200/15001m Two Switch -/+180 0 -1 90 -90 ou ou IINIT:cd - CO/180,89.4 c90/270,89.3 0 AVERAGE BEAM ANGLE(50%):89.3 DEG Zonal Lumen Distribution Zone Lumens %Retrofit Kit 0-20 279 18 0-30 572 38 0-40 894 59 0-60 1370 90 0-80 1508 99 0-90 1518 100 10-90 1444 95 20-40 615 41 20-50 897 59 40-70 577 38 60-80 138 9 70-80 37 2 80-90 10 1 0-180 1518 100 Illuminance at a Distance Distance to Illuminated Plane (feet) Footcandles Beam Center Footcandles Beam Edge Beam Diameter (feet) 2 196.6 fc 38 fc 3.8 4 49.2 fc 9.5 fc 7.5 6 21.8fc 4.2fc 11.3 8 1 12.3 fc 2.4 fc 15.1 10 7.9 fc 1.5 fc 18.8 12 5.5 fc 1.1 fc 22.6 Spacing to Mounting Height Ratio 0 90 IINIT:cd - CO/180,85.1 C90/270,85.1 0 AVERAGE BEAM ANGLE(50%):85.1 DEG Zonal Lumen Distribution Zone Lumens % Retrofit Kit 0-20 360 18 0-30 749 37 0-40 1198 59 0-60 1857 91 0-80 2020 99 0-90 2034 100 10-90 1940 95 20-40 838 41 20-50 1242 61 40-70 772 38 60-80 163 8 70-80 50 3 80-90 14 1 0-180 2034 100 Illuminance at a Distance Distance to Illuminated Plane (feet) Footcandles Beam Center Footcandles Beam Edge Beam Diameter (feet) 2 250.5 fc 42 fc 4.1 4 62.6 fc 10.5 fc 8.3 6 27.8 fc 4.7 fc 12.4 8 1 15.7 fc 2.6 fc 16.6 10 10 fc 1.7 fc 20.7 12 7 fc 1.2 fc 24.9 Spacing to Mounting Height Ratio Spacing Criterion (0-180) Spacing Criterion (0-180) 1.12 Spacing Criterion (0-180) 1.18 Spacing Criterion (90-270) 1.14 Spacing Criterion (90-270) 1.2 Spacing Criterion (Diagonal) 1.2 Spacing Criterion (Diagonal) 1.26 1.12 Spacing Criterion (90-270) 1.14 Spacing Criterion (Diagonal) 1.22 Physical Information RT6 700-900 One Switch RT6 700-900 Two Switch Physical Information (continued) RT61200-1500 One Switch RT61200-1500 Two Switch 48 1] 48 1] Physical Information (continued) RT61500-2000 One Switch Accessories Item Number Ordering Abbreviation Item Decsription Trim Rings 75095 RT/5/6/TRIM/DKBZ Dark bronze trim ring (5/6") 75097 RT/5/6/TRIM/BLK Black trim ring (5/6") 75098 RT/5/6/TRIM/ORBZ Bronze trim ring (5/6") 75099 RT/5/6/TRIM/SN Satin nickel trim ring (5/6") Trim Ring Extender 75082 RT6/8/TRIMEXT Trim extender for8" cans Rough In Frame 71708 LED/RT6HO/FRAME 6" recessed rough -in frame 75095 75097 75098 75099 and 75093 75082 8.82 (224mm) 1 6.73" 71mm) 0 j� 71708 Additional Specifications — Compatible with 0-10V Dimmers. — Suitable for dry, damp, and wet indoor or outdoor locations. — Not intended for use with emergency light fixtures or exit lights. — Standard 5-year luminaire warranty (LEDLUM001). LEDVANCE LLC 200 Ballardvale Street Wilmington, MA 01887 USA Phone 1-800-LIGHTBULB (1-800-544-4828) www.sylvania.com SYLVANIA and LEDVANCE are registered trademarks. All other trademarks are those of their respective owners. Licensee of product trademark SYLVANIA in general lighting. Specifications subject to change without notice. ®/sylvania /sylvania Name: Email: Phone: SYLVANIA A © 2020 LEDVANCE LLC 4ESPEN • Internal Driver Smooth, Consistent Light • UL for Safety • No UV, No Mercury • Long Life + High CRI • Instant on, no delay or warm up time • Convenient and quick installation Utilizes non-shunted(rapid start) sockets + Compatible with controls and sensors • Works in cold temperature applications • 5 Year Warranty C( ')S RVOHS Specification Data OLED TECHNOLOGY Flex TIM Internal n-ver LED FT Lamp Commercial Grade LED FT Lamp LT40W/835-ID FT40W/FT55W 18 120-277 3500 1800 83 100 50000 LT40W/840-ID FT40W/FT55W 18 120-277 4000 1800 83 100 50000 LT40W/850-ID FT40W/FT55W 18 120-277 5000 1800 83 100 50000 Wiring diagram N LT series Overall Length (cm) Base face to top (cm) LT40 54.00 49.30 LT36 42.10 37.40 LT24 32.60 27.80 LT18 23.10 18.30 Copyright © 2014 ESPEN Technology Inc. All Rights Reserved Espen Technology Inc. 1 12257 Florence Ave. I Santa Fe Springs, CA 90670 Toll Free: (866) 933-7736 1 Tel.: (562) 529-2938 1 Fax: (562) 529-2978 1 Email: infol@espentech.com Project Name: Type: Part Number: Date: COMPACT HID REPLACEMENT BULB vu..D GREENCREATIVE N a ■ Integral driver suitable for 120-277V ■ Integral thermal sensor reduces power to the lamp in the event ambient temperature exceeds specified limitations ■ E26 versions are smooth dimming with existing installations" ■ EX39 versions are step -dimming using SelectDrive technology ■ A21 replaces up to 125W Inc. ■ A23 replaces up to 200W Inc. ■ PS30 replaces up to 100-175W HID, E26 version replaces up to 300W Inc. ■ Suitable for damp locations and totally enclosed fixtures— ■ Lamp ambient temperature: -4°F to 140°F (-20oC to 60°(C) ■ Fixture operating temperature: -4°F to 113°F (-20oC to 45°C) ■ Rated lifetime (L70): 50,OOOhrs ■ 5 year limited warranty— ■ Supplied with safety cable to provide secondary support for A23 and PS30 ■ 4kV integral surge protector ■ For installation in Post Top, Area light, or other fixtures exposed to high surge conditions, the use of our 10KV surge protector 97718-10SURGE/277V is recommended. ETL CLASSIFIED c �II us cON- FCc ' Intertek Intertek EX39 version has integrated side switch for step -dimming 3 Level power output H Power select switch allows power to be tailored M to application requirements and can be adjusted from high to low. L • - Drive 34H 1D/8xx/277WEX39/SD CCT Wattage Lumen LPW 3000K 40%-13.6W 1,800 132 60%-20.4W 2,700 132 100%-34W 4,500 132 4000K 40%-13.6W 2,000 147 60%-20.4W 3,000 147 100%-34W 5,000 147 5000K 40%-13.6W 2,000 147 60%-20.4W 3,000 147 100%-34W 5,000 147 Where xxx means 824-965 which indicates CRI and color temperature w I!M _tea -A (Select 24HID/8xx/277WEX39/SD CCT Wattage Lumen LPW 3000K 40%-9W 1,250 139 60%-14W 1,850 132 100%-24W 3,100 129 3500K 40%-9W 1,250 139 60%-14W 1,850 132 100%-24W 3,100 129 4000K 40%-9W 1,300 144 60%-14W 1,900 136 100%-24W 3,200 133 5000K 40%-9W 1,300 144 60%-14W 1,900 136 100%-24W 3,200 133 www.greencreative.com - info@greencreative.com - Tel / Fax: (866) 774-5433 - f / GREENCREATIVELED 'V/ GClightingLED ® / GREEN -CREATIVE An ILLUMUS Brand vu.D GREENCREATIVE COMPACT HID REPLACEMENT BULB SPECIFICATIONS Product Model Equiv. Input Voltage Wattage Lumens CCT CRI Efficacy LP Beam Angle Dim.* Power Factor THD Fixture Rating DLC / ES 36165 17A21/830/277WDIM 125W Inc. 120-277V 17 2,000 3000K 82 118 230' Yes 0.9 <20% Enclosed N.A. 36166 17A21/835/277WDIM 125W Inc. 120-277V 17 2,000 3500K 82 118 230' Yes 0.9 <20% Enclosed N.A. 36167 17A21/840/277WDIM 125W Inc. 120-277V 17 2,100 4000K 82 124 230' Yes 0.9 <20% Enclosed N.A. /V 36168 17A21/850/277WDIM 125W Inc. 120-277V 17 2,100 5000K 82 124 230' Yes 0.9 <20% Enclosed N.A. /,/ 36169 24HID/830/277V/E26/DIM 20OW Inc. 120-277V 24 3,100 3000K 82 129 230' Yes 0.9 <20% Enclosed N.A. /,/ 36214 24HID/835/277V/E26/DIM 20OW Inc. 120-277V 24 3,100 3500K 82 129 230' Yes 0.9 <20% Enclosed N.A. /,/ 36170 24HID/840/277V/E26/DIM 20OW Inc. 120-277V 24 3,200 4000K 82 133 230' Yes 0.9 <20% Enclosed N.A. /V 36171 24HID/850/277V/E26/DIM 20OW Inc. 120-277V 24 3,200 5000K 82 133 230' Yes 0.9 <20% Enclosed N.A. /4 36158 24HID/830/277WEX39/SD 70-100W HID 120-277V 24 3,100 3000K 82 139 230' No 0.9 <20% Enclosed ,I / N.A. 36159 24HID/835/277V/EX39/SD 70-100W HID 120-277V 24 3,100 3500K 82 139 230' No 0.9 <20% Enclosed ,I / N.A. 36160 24HID/840/277V/EX39/SD 70-100W HID 120-277V 24 3,200 4000K 82 144 230' No 0.9 <20% Enclosed ,/ / N.A. 36161 24HID/850/277V/EX39/SD 70-100W HID 120-277V 24 3,200 5000K 82 144 230' No 0.9 <20% Enclosed ,/ / N.A. 36173 34HID/840/277V/E26/DIM 30OW Inc. 120-277V 34 5,000 4000K 82 147 230' Yes 0.9 <20% Enclosed N.A. /,/ 36174 34HID/850/277V/E26/DIM 30OW Inc. 120-277V 34 5,000 5000K 82 147 230' Yes 0.9 <20% Enclosed N.A. /,/ 36163 34HID/840/277WEX39/SD 100-175W HID 120-277V 34 5,000 4000K 82 147 230' No 0.9 <20% Enclosed ,/ / N.A. 36164 34HID/850/277V/EX39/SD 100-175W HID 120-277V 34 5,000 5000K 82 147 230' No 0.9 <20% Enclosed ,/ / N.A. `This lamp is available for dimming with 120V line voltage only and might not be compatible with all dimmers. Please visit www.greencreative.com for compatibility information. ***Please visit www.greencreative.com for Limited Warranty terms. a s E26 EX39 Model Base Mol. Dia. Weight 17A21/xxx/277WDIM E26 5-1/4" 2-5/8" 2-5/8" Model Base Mol. Dia. Weight 24HID/xxx/277WE26/DIM E26 6-5/8" 3-5/16" 0.82lb 24HID/xxx/277WEX39/SD EX39 6-11/16" 3-5/16" 0.87lb Model Base Mol. Dia. Weight 34HID/xxx/277WE26/DIM E26 8-1/8" 3-3/4" 1.42lb 34HID/xxx/277WEX39/SD EX39 8-1/8" 3-3/4" 1.49lb Where xxx means 824-965 which indicates CRI and color temperature www.greencreative.com - info@greencreative.com - Tel / Fax: (866) 774-5433 - f / GREENCREATIVELED 'V/ GClightingLED ® / GREEN -CREATIVE An ILLUMUS Brand vu.D GREENCREATIVE COMPACT HID REPLACEMENT BULB ORDERING •- • Model Number Master Carton Case Qty Case Dimensions (LxWxH) Case Weight Shipping Carton Case Qty Case Dimensions (LxWxH) Case Weight 17A21/xxx/277WDIM 6PCS 8-15/16"x 6-1/4" x 6-1/2" 3.5 lb 24PCS 12-7/8" x 9-5/16" x 13-3/4" 15 lb 24HID/xxx/277WE26/DIM 6PCS 11-1/4" x 7-9/16" x 7-13/16" 6.4 lb 24PCS 15-1/2" x 11-9/16" x 8-7/16" 13.4 lb 24HID/xxx/277WEX39/SD 6PCS 11-1/8" x 7-1 /2" x 7-7/8" 7.5lb 24PCS 15-1/2" x 11-3/4" x 8-7/16" 15.21b 34HID/xxx/277WE26/DIM N.A. N.A. N.A. 12PCS 16-9/16"x 12-3/8"x 9-9/16" 21.2 lb 34HID/xxx/277WEX39/SD N.A. N.A. N.A. 12PCS 16-9/16" x 12-3/8"x 9-9/16" 22.1 lb Where xxx means 824-965 which indicates CRI and color temperature Low bay installation Model Number 24HID/xxx/277V/EX39/SD 34HID/xxx/277V/EX39/SD Lamp Compartment Dimensions Diameter Height 6" 8" 8-1/2" 11" Maximum Lamps in Luminaire 1 1 Post top installation Model Number 24HID/xxx/277V/EX39/SD 34HID/xxx/277V/EX39/SD Lamp Compartment Dimensions Diameter Height 3-9/16" 8" 7-7/8" 11" Maximum Lamps in Luminaire 1 1 Model Number 17A21/xxx/277V/DIM 24HID/xxx/277V/E26/DIM 34HID/xxx/277V/E26/DIM Low bay installation i o t Lamp Compartment Dimensions Diameter 6" 6" 8" Height 8-1/2" 8-1/2" 11" Post top installation Diameter 3-9/16" 3-9/16" 8" Height 7-7/8" 7-7/8" 11.. Maximum Lamps in Luminaire 1 1 1 "Installing lamp in a fixture that does not have the minimum compartment dimensions will void the warranty and could cause product failures. SUPPLIED ACCESSORY Description Picture Dimensions Safety Cable 22-13/16" www.greencreative.com - info@greencreative.com - Tel / Fax: (866) 774-5433 - f / GREENCREATIVELED 'V/ GClightingLED ® / GREEN -CREATIVE An ILLUMUS Brand vu.D GREENCREATIVE COMPACT HID REPLACEMENT BULB OPTIONAL ACCESSORY ORDERING INFORMATION Product Model Description Picture Dimensions 10 W Surge Protector 97718 10SURGE/277V (For use in outdoor and other applications subject to high surge conditions) 2-1/2 1 —1 a/16^ - E26 Lamp Extender 16325 E26 EXTENDER 2-3/6" Adds 1-5/16" to Lamp Height t�"" 41 ` 4-2-3/16"—I EX39 Lamp Extender 35050 E39 EXTENDER Adds 1-11/16" to Lamp Height 4" 41 z �a CERTIFICATION Product INFORMATION Model DLC ID# ES ID# 36158 24HID/830/277V/EX39/SD PLEQ5F7K N.A. 36159 24HID/835/277V/EX39/SD PW8VV6BP N.A. 36160 24HID/840/277WEX39/SD PRDUFTI V N.A. 36161 24HID/850/277WEX39/SD PLEQ5F7K N.A. 36162 34HID/830/277V/EX39/SD PSE1 OG12 N.A. 36163 34HID/840/277V/EX39/SD P7TYZOPO N.A. 36164 34HID/850/277V/EX39/SD PYWBKOEW N.A. 36165 17A21/830/277WDIM N.A. 2390212 36166 17A21/835/277WDIM N.A. 2390213 36167 17A21/840/277WDIM N.A. 2390214 36168 17A21/850/277WDIM N.A. 2390215 36169 24HID/830/277WE26/DIM N.A. 2390216 36214 24HID/835/277WE26/DIM N.A. 2390217 36170 24HID/840/277V/E26/DIM N.A. 2390218 36171 24HID/850/277V/E26/DIM N.A. 2390219 36173 34HID/840/277V/E26/DIM N.A. 2390221 36174 34HID/850/277V/E26/DIM N.A. 2390222 Note: All rights reserved. All sizes and specifications are subject to change at any time without notice. www.greencreative.com - info@greencreative.com - Tel / Fax: (866) 774-5433 - f / GREENCREATIVELED W/ GClightingLED ® / GREEN -CREATIVE An ILLUMUS Brand Page 1 of 2 TY-SINGE 1945 KEYSTONE :IDIRECTDRIVE LED LINE VOLTAGE T5 TUBES DESCRIPTION 25W T5 LED 14000K 1 >80 CRI I High Efficiency 1120-277V Input IM1 Compliant C VL US Compliant WARRANTY LAMP TYPE: Linear BULB TYPE: T5 LED AM BASE TYPE: G5 (Miniature Bi-Pin) WATTAGE: 25W ■L COLOR TEMPERATURE: 4000K MIR COLOR RENDERING INDEX (CRI): >80 1 WARRANTY. 5 Years Ed PRODUCT FEATURES • Replacement for Conventional Fluorescent Lamp • 50,000+ Hour Lifetime • Environmentally Friendly: No Mercury Used • Instant Startup • Direct Replacement for F54T5/HO Fluorencent Lamp • Frosted Lens Eliminates Pixelation • UL Classified OPERATING SPECIFICATIONS ELECTRICAL CHARACTERISTICS Input Voltage Power Consumption Power Factor 120-277Vac 25W >0.9 RATED LIFE L70 (Hours) 50,000 SPECTRAL DISTRIBUTION 7.95E-002 7.06E-002 6.18E-002 5.30E-002 4.41E-002 3 x 3.53E-002 ` 2.65E-002 1.77E-002 8.82E-003 0.00E+00 380 430 480 530 580 630 680 730 580 780 Wavelength (nm) • Operating Temperature:-20°C/-4°F to 45°C/113°F • Integral Driver (Isolated), Eliminates the Need for External Driver or Ballast • 120+ Lumens per Watt • Improved Lamp Durability with Shatterproof Coated Glass • ETL Sanitation Listed NSF/ANSI Standard 2 - Food Equipment • Suitable for use in typical vapor tight fixtures up to 35C Ambient PHOTOMETRIC CHARACTERISTICS Input Current Color Temperature (CCT) .21 Q 120V Luminous Flux .09 @ 277V Color Rendering Index (CRI) Efficacy 6. Beam Angle Visible Light Area POLAR CANDELA DISTRIBUTION 180, -150' ♦ 1 150, < ♦ T'r `. is ter. ♦ �� �-�' ♦ �� Ii6q$ r ti . , ` ' • T `W.4 ♦ 2 `I 12T3.� 1 30° 3 300 4000K 3300 Im >80 132 Im/W 240° 325° Located at Horizontal Angle = 0, Vertical Angle 0 1. Violet Vertical Plane through Horizontal Angles (90-270) 2. Green Vertical Plane through Horizontal Angles (0-180) Keystone Technologies • 1390 Welsh Road, North Wales, PA 19454 • Phone (800) 464-2680 • Fax (888) 966-0556 • www.keystonetech.com Specifications subject to change. Last revised on 12.12.17 Page 2 of 2 SINCE 77 KEYSTONE :IDIRECTDRIVE LED LINE VOLTAGE T5 TUBES WIRING DIAGRAMS 1. Cut all existing connections to ballast as shown below and remove ballast. Typical Ballast Configurations: LAMP CI 0 LAMP I LAMP 6 BALLAST RE° vEu ow BALLAST RED BLUE LINE BLUE BLUE x — BLUE NEUTRAL 2. Re -wire fixture as shown below. LINE NEU MIL Direct Drive LED Tube Direct Drive LED Tube 00 00 00 00 00 00 Direct Drive LED Tube Direct Drive LED Tube No Live Connection Typical Non -Shunted Lampholder 4 Connect wires directly to these terminals CAUTION: Use only non -shunted lampholders. Do not install product in a fixture with shunted lampholders (found in all fixtures using instant start bal- lasts). If the current lampholders are shunted, remove them and replace them with non -shunted lampholders. Make new con- nections directly to terminals as indicated above. Keystone can provide any style replacement lampholders. Call us at 800-464-2680. PHYSICAL CHARACTERISTICS LAMP DIMENSIONS A A (Illuminated Length) 40.56" -P I C B (Body Length) 45.19" B C (Diameter)* 0.82" NOMINAL LENGTH: 48" BASE TYPE: G5 (Miniature Bi-Pin) *Though nominally referred to as a T5, this lamp has a T6 diameter ORDERING INFORMATION ORDER CODE PACKAGING STYLE KT-1_ED25T5H0-48GC-840-D /G2-CP Carton Pack (Egg Crate Packaging) CATALOG NUMBER BREAKDOWN PACK QTY. ITEM STATUS 25 Quick Ship KT-LED25T5H0-48GC-840-D /G2-CP III IIL-HIL-H II Keystone LED Lamp Wattage Lamp Nominal Shatter -Proof 800 Color Direct 2nd Packaging Technologies Type Length Coated Series Temp. Drive Generation Style (Inches) Glass Series Keystone Technologies • 1390 Welsh Road, North Wales, PA 19454 • Phone (800) 464-2680 • Fax (888) 966-0556 • www.keystonetech.com Specifications subject to change. Last revised on 12.12.17 SINGE 7 KEYSTONE LIGHT MADE EASY' Page 1 of 3 DIRECTDRIVE IM SINGLE- OR DOUBLE -ENDED LINE VOLTAGE LED TUBES �pSSIFjf, DESCRIPTION `O° Compliant _ C�YEAR c L us C U$ Compliant v 7W T8 LED 14000K 1 >83 CRI I High Efficiency I Single or Double -ended Wiring C LAMP TYPE: Linear Mid `BULB TYPE: T8 LED ■ ' BASE TYPE: G13 (Medium Bi-Pin) MM ' WATTAGE: 7W COLOR TEMPERATURE: 4000K COLOR RENDERING INDEX (CRI): >83' WARRANTY: 5 Years PRODUCT FEATURES • Replacement for Conventional Fluorescent Lamp • Single or Double -Ended Wiring • 50,000+ Hour Lifetime • Approximately 40% More Energy Efficient that Standard F32T8 Lamps • Environmentally Friendly: No Mercury Used • Instant Startup • Frosted Lens Eliminates Pixelation OPERATING SPECIFICATIONS • UL Classified • Operating Temperature:-20°C/-4°F to 45°C/113°F • Integral Driver (Isolated), Eliminates the Need for External Driver or Ballast • 110+ Lumens per Watt • Improved Lamp Durability with Shatterproof Coated Glass • ETL Sanitation Listed NSF/ANSI Standard 2 - Food Equipment ELECTRICAL CHARACTERISTICS PHOTOMETRIC CHARACTERISTICS Input Voltage Power Consumption Power Factor Input Current Color Temperature (CCT) 4000K 120-277Vac 7W >0 9 0.06A @ 120V Luminous Flux 900 Im 0.03A @ 277V Color Rendering Index (CRI) >83 Efficacy 129 I m/W RATED LIFE 60 Beam Angle 240' L70 (Hours) 50,000 r Visible Light Area 325' POLAR CANDELA DISTRIBUTION SPECTRAL DISTRIBUTION 1.0 0.8 E 0.6 LL 0.4 0.2 0.0 350 425 - Flux (W/nm) 500 575 650 725 800 Wavelength (nm) -1s0° ♦ 1 150' ♦ * v ` ♦ , 1 a ` -90' F F 1— —I } h go' ♦ � 1412 ); 't ♦ 2 -30" 3 30" o� Maximum Candela = 1248.55 Located at Horizontal Angle = 0, Vertical Angle 0 1. Violet Vertical Plane through Horizontal Angles (90-270) 2. Green Vertical Plane through Horizontal Angles (0-180) Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonelamp.com Specifications subject to change. Last revised on November 15, 2019 1:50 PM SINGE 7, KEYSTONE LIGHT MADE EASY' Page 2 of 3 DIRECTDRIVE IM SINGLE- OR DOUBLE -ENDED LINE VOLTAGE LED TUBES SINGLE -ENDED WIRING DIAGRAM 1. Cut all existing connections to ballast as shown below and remove ballast. See Figure A for typical ballast configurations. Note: Single -ended wiring requires non -shunted lampholders. Typical Ballast Configurations: PROGAM START PREHEAT WITH STARTER INSTANT START LAMP S LAMP LAMP LAMP LAMP YELLOW RED YELLOW BALLAST RED BALLAST BALLAST RED LINE BLUE -L LINE BLUE x — BLUE!��IEBLACK BLUE NEUTRAL NEUTRAL CAUTION: INSTANT START BALLASTS HAVE SHUNTED LAMPHOLDERS. 2. Re -wire fixture as shown below. lal Direct Drive LED Tube I'd lal Direct Drive LED Tube II Ial Direct Drive LED Tube I'd lal Direct Drive LED Tube LI DOUBLE -ENDED WIRING DIAGRAM No Live Connection Typical Non -Shunted Lampholder Q Connect wires directly to these terminals CAUTION: For Single - ended wiring use only non -shunted lampholders. For Single -ended wiring, do not install product in a fixture with shunted lampholders (found in all fixtures using instant start bal- lasts). If the current lampholders are shunted, remove them and replace them with non -shunted lampholders. Make new con- nections directly to terminals as indicated above. Keystone can provide any style replacement lampholders. Call us at 800-464-2680. 1. Cut all existing connections to ballast as shown below and remove ballast. See Figure A above for typical ballast configurations. 2. Re -wire fixture as shown below. For Double -ended wiring, use either shunted or nonshunted lampholders. Note: There should not be any exposed wires at the end of installation. Shunted Lampholders Nonshunted Lampholders LINE G NEUTRAL LINE G N Direct Drive LED Tube a Direct Drive LED Tube N Direct Drive LED Tube N Direct Drive LED Tube N Direct Drive LED Tube N Direct Drive LED Tube Direct Drive LED Tube - a Direct Drive LED Tube Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonelamp.com Specifications subject to change. Last revised on November 15, 2019 1:50 PM SINGE 7 KEYSTONE LIGHT MADE EASY' Page 3 of 3 DIRECTDRIVE IM SINGLE- OR DOUBLE -ENDED LINE VOLTAGE LED TUBES PHYSICAL CHARACTERISTICS LAMP DIMENSIONS A A (Illuminated Length) 20.96" B NPC B (Body Length) 23.19" C (Diameter) 1.101, NOMINAL LENGTH: 24" BASE TYPE: G13 (Medium Bi-Pin) ORDERING INFORMATION ORDER CODE PACKAGING STYLE PACK QTY. ITEM STATUS KT-1_ED7T8-24GC-840-DX2-CP Carton Pack (Egg Crate Packaging) 25 Quick Ship CATALOG NUMBER BREAKDOWN KT- LED 7T8-24GC-840-DX2-CP 1 2 3 4 5 6 7 8 9 10 1 Keystone Technologies 2 LED Lamp 3 Wattage 4 Lamp Type 5 Nominal Length (Inches) 6 Shatter -Proof Coated Glass 7 800 Series 8 Color Temperature 9 Single or Double -Ended Wiring 10 Packaging Style Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonelamp.com Specifications subject to change. Last revised on November 15, 2019 1:50 PM Page 1 of 3 s�N�E,94s 7Z7 DIRECTDRIVEIIM LIGHT MADE EASY' SINGLE- OR DOUBLE -ENDED LINE VOLTAGE LED TUBES DESCRIPTION 12W T8 LED 14000K 1 >83 CRI I High Efficiency I Single or Double -ended Wiring ' LAMP TYPE: Linear ' BULB TYPE: T8 LED ' BASE TYPE: G13 (Medium Bi-Pin) WWM ' WATTAGE: 12W COLOR TEMPERATURE: 4000K COLOR RENDERING INDEX (CRI): >83 MM WARRANTY: 5 Years PRODUCT FEATURES • Replacement for Conventional Fluorescent Lamp • Single or Double -Ended Wiring • 50,000+ Hour Lifetime • Approximately 40% More Energy Efficient that Standard F32T8 Lamps • Environmentally Friendly: No Mercury Used • Instant Startup • Frosted Lens Eliminates Pixelation OPERATING SPECIFICATIONS ELECTRICAL CHARACTERISTICS Input Voltage Power Consumption Power Factor Input Current 120-277Vac 12W >0 9 0.10A @ 120V 0.04A @ 277V RATED LIFE L70 (Hours) 50,000 POLAR CANDELA DISTRIBUTION 1s0° -150° ♦ � 1 150° .� ♦ �. T.r 1 \�. -60' ♦� I. 1 1 ♦ h ♦ ♦ 60° ♦\ 1 1�T4 ; h V 2 \ -30' 3 30° 0° Maximum Candela = 1248.55 Located at Horizontal Angle = 0, Vertical Angle 0 1. Violet Vertical Plane through Horizontal Angles (90-270) 2. Green Vertical Plane through Horizontal Angles (0-180) RoHSLM SYEAR c �L us C US Compliant WARRANTY • UL Classified • Operating Temperature:-20°C/-4°F to 45°C/113°F • Integral Driver (Isolated), Eliminates the Need for External Driver or Ballast • 110+ Lumens per Watt • Improved Lamp Durability with Shatterproof Coated Glass • ETL Sanitation Listed NSF/ANSI Standard 2 - Food Equipment PHOTOMETRIC CHARACTERISTICS Color Temperature (CCT) 4000K Luminous Flux 1400 Im Color Rendering Index (CRI) >83 Efficacy 1171m/W 6. Beam Angle 240' r Visible Light Area 325° Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 12.12.19 Page 2 of 3 SINGE1945 KEYSTONEDIRECTDRIVE LIGHT MADE EASY" SINGLE- OR DOUBLE -ENDED LINE VOLTAGE LED TUBES L ED 12T8-36GG-840-DX2 u] T8 LED LAMP SINGLE -ENDED WIRING DIAGRAM 1. Cut all existing connections to ballast as shown below and remove ballast. See Figure A for typical ballast configurations. Note: Single -ended wiring requires non -shunted lampholders. Typical Ballast Configurations: PROGAM START PREHEAT WITH STARTER INSTANT START LAMP S LAMP LAMP LAMP LAMP YELLOW RED YELLOW BALLAST RED BALLAST BALLAST RED LINE BLUE LINE BLUE x — BLUE!��IEBLACK BLUE NEUTRAL NEUTRAL CAUTION: INSTANT START BALLASTS HAVE SHUNTED LAMPHOLDERS. 2. Re -wire fixture as shown below. lal Direct Drive LED Tube I'd lal Direct Drive LED Tube II Ial Direct Drive LED Tube I'd laI Direct Drive LED Tube LI DOUBLE -ENDED WIRING DIAGRAM No Live Connection 1. Cut all existing connections to ballast as shown below and remove ballast. See Figure A above for typical ballast configurations. Typical Non -Shunted Lampholder Q Connect wires directly to these terminals CAUTION: For Single - ended wiring use only non -shunted lampholders. For Single -ended wiring, do not install product in a fixture with shunted lampholders (found in all fixtures using instant start bal- lasts). If the current lampholders are shunted, remove them and replace them with non -shunted lampholders. Make new con- nections directly to terminals as indicated above. Keystone can provide any style replacement lampholders. Call us at 800-464-2680. 2. Re -wire fixture as shown below. For Double -ended wiring, use either shunted or nonshunted lampholders. Note: There should not be any exposed wires at the end of installation. Shunted Lampholders Nonshunted Lampholders Direct Drive LED Tube NEUTRAL LINE G a Direct Drive LED Tube Direct Drive LED Tube a N Dirct Drive LED Tube e Direct Drive LED Tube a N Direct Drive LED Tube Direct Drive LED Tube a Direct Drive LED Tube Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 12.12.19 Page 3 of 3 SINGE1945 KEYSTONEDIRECTDRIVE LIGHT MADE EASY" SINGLE- OR DOUBLE -ENDED LINE VOLTAGE LED TUBES V LET -LED 12T8-36GC-840-DX2 u] T8 LED LAMP PHYSICAL CHARACTERISTICS LAMP DIMENSIONS A A (Illuminated Length) C B (Body Length) B C (Diameter) NOMINAL LENGTH: 36" BASE TYPE: G13 (Medium Bi-Pin) 31.81" 35.19" 1.101, ORDERING INFORMATION ORDER CODE PACKAGING STYLE PACK QTY. ITEM STATUS KT- LED 12T8-36G C-840-DX2-CP Carton Pack (Egg Crate Packaging) 25 Quick Ship CATALOG NUMBER BREAKDOWN KT-LED 12T8-36GC-840-DX2-CP 1 2 3 4 5 6 7 8 9 10 1 Keystone Technologies 2 LED Lamp 3 Wattage 4 Lamp Type 5 Nominal Length (Inches) 6 Glass Coated 7 800 Series 8 Color Temperature 9 Single- or Double -Ended Wiring 10 Packaging Style Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 12.12.19 Page 1 of 3 SINCE 7, KEYSTONE LIGHT MADE EASY DIRECTDRIVE DOUBLE -ENDED LINE VOLTAGE LED TUBES KT-LED10.5T8-48G-84 - T8 LED LAMP Abb % DESCRIPTION 10.5W T8 LED 14000K 1 >80 CRI I High -Efficiency LAMP TYPE: Linear BULB TYPE: T8 BASE TYPE: G13 (Medium Bi-Pin) WATTAGE: 10.5W COLOR TEMPERATURE: 4000K COLOR RENDERING INDEX (CRI): >80 WARRANTY: 5 Years PRODUCT FEATURES • Replacement for conventional fluorescent lamp • 50,000+ hour lifetime • Approximately 40% more energy efficient than standard F32T8 lamps • Environmentally friendly: No mercury used • Instant startup • Frosted lens eliminates pixelation Gp551FjFQ {l RoHSIg 5YEAR 1,1�►7 C UL US Compliant WARRANTY �s g � KCYSfTOAC- • Integral driver (isolated) eliminates the need for external driver or ballast • UL classified • Not compatible with Keystone AC Emergency Drivers: KT-EMRG-LED-5-500-AC, KT-EMRG-LED-5-500-AC/DF, or KT-EMRG-LED-12-1200-AC PERFORMANCE SPECIFICATIONS Catalog Number Input Voltage Input Current Wattage Color Temperature Lumen Output CRI Power Factor Efficacy KT-LED10.5T8-48G-840-D2 120-277V 90mA @ 120V; 42mA @ 277V 10.5W 4000K 1650 Im >80 >0.9 157 Im/W PHOTOMETRIC CHARACTERISTICS Color Temperature (CCT) 4000K Luminous Flux 1650 Im Color Rendering Index (CRI) >80 Efficacy 157lm/W Beam Angle 240° Visible Light Area 325° SPECTRAL DISTRIBUTION 3.15E-02 2.80E-02....................... I ...................... . . 2.45E-02.......................I..................... i.. 2.10E-02.......................I.....................I.... E 1.75E-02.......................I.....................I..... 1.40E-02 1.05 E-02....................... I................ .... I..... 7.00E-03 3.50E-03 0.00E+00 MECHANICAL CHARACTERISTICS Rated Life (L70) 50,000 hours Wiring Double -ended Flux (W/nm) 4000K 350 400 450 500 550 600 650 700 750 800 Wavelength (nm) POLAR CANDELA DISTRIBUTION 180D -150' 150° i -120° , T y 1200 I -900 - - I \ -1 " a - - I- - 900 UQ i t Unit = cd C 0-180: 116.0 - C 30-210: 141.3 - C 60-240: 226.9 C 90-270: 251.2 x it x -60° � � 1-180'��• • 60° -30° 300 30° 0° Average Beam Angle (50%): 183.9° Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 10.26.20 Page 2 of 3 ":. SINCE 1945 KEYSTONE LIGHT MADE EASY DIRECTDRIVE DOUBLE -ENDED LINE VOLTAGE LED TUBES WIRING DIAGRAMS 1. Cut all existing connections to ballast as shown below and remove ballast. See Figure A for typical ballast configurations. TYPICAL BALLAST CONFIGURATIONS PROGRAM START PREHEAT WITH STARTER INSTANT START Lamp Lamp Yellowj Ballast Red Ballast Red Lin 1 Blue 1 Lin 1 Blue Neu __4Ballast Blue Lin Black Neu Blue CAUTION: Instant start ballasts have shunted lampholders. 2. Re -wire fixture as shown below. For double -ended wiring, use either shunted or nonshunted lampholders. NOTE: There should not be any exposed wires at the end of installation. SHUNTED LAMPHOLDERS NON -SHUNTED LAMPHOLDERS Line Neutral Line N Direct Drive LED Tube Direct Drive LED Tube G N • Q Direct Drive LED Tube Direct Drive LED Tube N Direct Drive LED Tube Direct Drive LED Tube N Direct Drive LED Tube N Direct Drive LED Tube N PHYSICAL CHARACTERISTICS • Neutral • LAMP DIMENSIONS A (Body Length) 47.15" B (Illuminated Length) 42.63" C (Diameter) 1.10" NOMINAL LENGTH: 48" BASE TYPE: G13 (Medium Bi-Pin) Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 10.26.20 Page 3 of 3 SINCE 7, KEYSTONE LIGHT MADE EASY DIRECTDRIVE DOUBLE -ENDED LINE VOLTAGE LED TUBES ORDERING INFORMATION ORDER CODE CARTON QUANTITY UPC EASY CODE KT-LED10.5T8-48G-840-D2 25 843654131023 WAT-49 CATALOG NUMBER BREAKDOWN KT-LED 10.5T8-48G-840-D2 1 2 3 4 1 M 5 6 7 8 9 1 Keystone Technologies 2 LED Lamp 3 Wattage 4 Lamp Type 5 Nominal Length (Inches) 6 Glass Construction 7 CRI 8 Color Temperature 9 Double -Ended Wiring Keystone Technologies • Philadelphia, PA • Phone (800) 464-2680 • www.keystonetech.com Specifications subject to change. Last revised on 10.26.20 Overview Control -Link Control and Monitoring System provides remote on/off control, dimming, system monitoring, and management of your lighting system. Features Control • Lighting system and auxiliary equipment • Control with: Control -Link website, smartphone app, phone call, email, or fax up to 10 years in advance • Seven controllable lighting zones • Three customizable dimming levels (factory set at 100%, 50%,15%) • Multi -level user security settings • Door -mounted or remote -mounted on/off/auto switches allow for manual override of automated control Monitoring • Detects luminaire outages and other issues that affect light quality Management and Support • Control -Link Central'"" service center provides support 24 hours a day, 7 days a week for scheduling, monitoring, and reporting • Luminaire outage notification within the next business day • Customized usage reports through website 0000 ©2019 Musco Sports Lighting, LLC - Control -Link® is a registered trademark of Musco Corporation in the United States. U.S. patents issued and pending. - M-3089-en04-1 musco Technical Specifications Control and Monitoring Cabinet Ratings LIL 508A Listed ....................................... E204954 CE declaration................................LVD, EMC, RoHS IEC 60439-1 compliant ..............LIL test report 05NK26317 IEC Emissions/Immunity .....................Class A compliant Operating temperature ...........4°F to 140°F (-20oC to 60°C) FCC Part 15 .................................Class A compliant Weight for 72 inch (1829 mm) cabinet ........... 180 lb (82 kg) Weight for 48 inch (1219 mm) cabinet ........... 140 Ib (64 kg) Short Circuit Current Rating (SCCR) 72.00 in with 30 A contactors 18 kA (1829 mm) with 60 or 100 A contactors 25 kA 731 in *Minimum circuit breaker interrupt rating must be greater than or equal to SCCR rating listed above. Construction Control and Monitoring Cabinet • NEMA type 4 (IP65) cabinet • Powder -coated aluminum 5052 H32 cabinet and panel • Lockable, 3-point latch • Supports lighting system voltage up to 480 V • Requires 120 V or 230 V phase -to -neutral control voltage • Protective cover isolates high voltage On/Off/Auto Manual Switches Cabinet (optional) • NEMA type 4 (IP65) cabinet • Powder -coated aluminum 5052 H32 cabinet and panel • Lockable door • Hinged interior panel for switch mounting Remote Wireless Antenna Cabinet (for wireless communication) • Cast aluminum with texture gray paint finish • Omnidirectional antenna • Operating temperature: -40°C (-40°F) to 85°C to (185°F) • Frequency: 900 MHz or 2.4 GHz 24.00 in (610 mm) 18.00 in 0. in dia. (q57 mm) (1 (11 mm) ng fEE OO O OO OO 49.25 in (1251 mm) Ej W _ 12.86 in (327 mm) 11.38 in (289 mm) 10.00 in (254 mm) n 15.75 in (400 mm) 0.44 in dia. (11 mm) 12.00 in (305 mm)� 11.69 in (297 mm)� 17.00 in_- (432 mm)'p%%i CAI 15.75 in (40000 mm) Lfu Manual switches cabinet it 7.8 in (200 mm) 4.5 in (11515 mm) Remote wireless antenna cabinet /�/�/O ©2019 Musco Sports Lighting, LLC - Control -Link® is a registered trademark of Musco Corporation in the United States. U.S. patents issued and pending. - M-3089-en04-1 musco 2 Internal Details • Factory wired, programmed, and tested • Internally fused • Control power terminal blocks provided • One control circuit operates entire cabinet • Plug-in wire harnesses provided to connect multiple cabinets Control Module Receives and stores schedules from Control -Link Central — service center, operates your equipment, and verifies schedules were carried out. • Executes scheduled on/off or dimming events. • Stores schedules for up to 7 days • Reboots automatically and executes current schedule when power is restored, in case of power interruption • Monitors Musco lighting system and reports issues to keep facilities operating and to help plan routine maintenance. Alerts Control -Link Central service center to schedule appropriate action or maintenance. Communication Modules Communication with Control -Link Central is done via an integrated, high speed, cellular connection with no additional monthly charges during the warranty period. Communication with light poles is done via powerline communication or wireless communication. Powerline communication requires a dedicated 20A circuit (lighting circuit distribution panel) Wireless communication requires a dedicated antenna to be mounted at least 3 ft above the cellular antenna, and 7 ft total distance away, and line of sight to lighting poles. Contactor Modules Operates equipment based on control module schedules. • Compliant with IEC 60947-4-1 for continuous operation at 100% of rated current • Contactors rated for 30, 60, or 100 amps Ground Bar Provides integral ground bar for lighting equipment grounding. 0000 ®III HHHHII ---------------- r /�/�/O ©2019 Musco Sports Lighting, LLC - Control -Link® is a registered trademark of Musco Corporation in the United States. U.S. patents issued and pending. - M-3089-en04-1 musco 22.50 in (572 mm) 15.00 in (381 mm) 23.75 in (603 mm) Luminaire Data Weight (luminaire) 25 lb (11 kg) UL listing number E338094 UL listed for USA / Canada UL1598 CSA-C22.2 No.250.0 CE Declaration LVD, EMC, RoHS Ingress protection, luminaire (pending) IP65 Impact rating IK07 Material and finish Aluminum, powder -coat painted Wind speed rating (aiming only) 150 mi/h (67 m/s) UL, IEC ambient temperature (pending) 50°C (122T) rating, luminaire Photometric Characteristics Projected lumen maintenance per IESTM-21-11 L90 (20k) >120,000 h L80 (20k) >120,000 h L70 (20k) >120,000 h Lumens' 67,000 CIE correlated color temperature 5700 K Color rendering index (CRI) 75 typ, 70 min LED binning tolerance 7-step MacAdam Ellipse Footnotes: 1) Incorporates appropriate dirt depreciation factor for life of luminaire. OOOO musco, U.S. and foreign patent(s) issued and pending • ©2018, 2020 Musco Sports Lighting, LLC • TLC-LED-550 5700K 75 CRI • M-3596-en04-2 1 Driver Data Electrical Data Rated wattage' Per driver Per luminaire Surget 1080 W protection 540 W Number of luminaires per driver 2 Ll Disconnect T Starting (inrush) current <40 A, 256 ps Fuse rating 15 A L2* UL, IEC ambient temperature rating, (pending) 50°C I tr' I m n nt n l r (122°F) Typical Wiring ControllerZ-Luminaire (if present)Fuse Driver +Fuse e ec ica co o e s e c osu e * If L2 (com) is neutral then not switched or fused. Ingress protection, electrical IP54 t Not present if indoor installation. components enclosure Efficiency 95% Dimming mode optional Range, energy consumption 15 - 100% Range, light output 20 -100% Flicker <2% Total harmonic distortion (THD) at full <20% output Max operating current per 3.32 A 3.19 A 3.02 A 2.89 A 2.77 A 2.40 A 1.92 A 1.75 A 1.66 A 1.60 A 1.39 A Luminaire' Footnotes: 1) Rated wattage is the power consumption, including driver efficiency losses, at stabilized operation in 25°C ambient temperature environment. 2) Operating current includes allowance for 0.90 minimum power factor, operating temperature, and LED light source manufacturing tolerances. Notes 1. Use thermal magnetic HID -rated or D-curve circuit breakers. 2. See Musco Control System Summary for circuit information. 0000 U.S. and foreign patent(s) issued and pending • ©2018, 2020 Musco Sports Lighting, LLC • TLC-LED-550 5700K 75 CRI • M-3596-en04-2 musco 2 25.00 in (635 mm) 26.00 in (660 mm) 24.00 in (610 mm) Luminaire Data Weight (luminaire) UL listing number UL listed for USA / Canada CE Declaration Ingress protection, luminaire Material and finish Wind speed rating (aiming only) UL, IEC ambient temperature rating, luminaire 45 Ib (20 kg) E338094 UL1598 CSA-C22.2 No.250.0 11/r% rhAr r3. LIC IF V.J Aluminum, powder -coat painted 150 mi/h (67 m/s) Photometric Characteristics Projected lumen maintenance per IESTM-21-11 L90 (20k) L80 (20k) L70 (20k) Lumens' 50°C (122T) >120,000 h >120,000 h >120,000 h 136,000 CIE correlated color temperature 5700 K Color rendering index (CRI) 75 typ, 70 min Footnotes: 1) Incorporates appropriate dirt depreciation factor for life of luminaire. OOOO musco, U.S. and foreign patent(s) issued and pending • ©2019 Musco Sports Lighting, LLC • TLC-LED-1200 5700K 75 CRI • M-2943-en04-4 I Driver Data Electrical Data Rated wattage' Per driver 1170 W Per luminaire 1170 W Number of luminaires per driver 1 Starting (inrush) current <40 A, 256 ps Fuse rating 15 A UL, IEC ambient temperature rating, 50°C (1227) electrical components enclosure Ingress protection, electrical IP54 components enclosure Efficiency 95% Dimming mode optional Range, energy consumption 14 — 100% Range, light output 19 — 100% Typical Wiring Surges protection --------------- Controller Disconnect (if present) ; L1 Fuse Drivero + T Luminaire L2* Fuse * If L2 (corn) is neutral then not switched or fused. t Not present if indoor installation. Max operating current per 7.26 A 6.98 A 6.60 A 6.31 A 6.05 A 5.24 A 4.18 A 3.82 A 3.63 A 3.50 A 3.03 A luminaires Footnotes: 1) Rated wattage is the power consumption, including driver efficiency losses, at stabilized operation in 25°C ambient temperature environment. 2) Operating current includes allowance for 0.90 minimum powerfactor, operating temperature, and LED light source manufacturing tolerances. Notes 1. Use thermal magnetic HID -rated or D-curve circuit breakers. 2. See Musco Control System Summary for circuit information. 0000 U.S. and foreign patent(s) issued and pending • 02019 Musco Sports Lighting, LLC • TLC-LED-1200 5700K 75 CRI • M-2943-en04-4 musco 2 23.00 in (584 mm) 22.00 in (559 mm) 26.00 in (660 mm) 27.00 in (686 mm) Luminaire Data Weight (luminaire) 67 lb (30 kg) UL listing number E338094 UL listed for USA / Canada UL1598 CSA-C22.2 No.250.0 CE Declaration LVD, EMC, RoHS Ingress protection, luminaire IP65 Impact rating IK07 Material and finish Aluminum, powder -coat painted Wind speed rating (aiming only) 150 mi/h (67 m/s) UL, IEC ambient temperature 500C (122°F) rating, luminaire Photometric Characteristics Projected lumen maintenance per IESTM-21-11 L90 (20k) >120,000 h L70 (20k) >120,000 h Lumens' 160,000 CIE correlated color temperature 5700 K Color rendering index (CRI) 75 typ, 70 min LED binning tolerance 7-step MacAdam Ellipse Footnotes: 1) Incorporates appropriate dirt depreciation factor for life of luminaire. OCXO U.S. and foreign patents) issued and pending • ©2019, 2020 Musco Sports Lighting, LLC • TLC-LED-1500 5700K 75 CRI • M-2955-en04-5 musco 1 Driver Data Electrical Data Rated wattage' Per driver 1430 W Per luminaire 1430 W Number of luminaires per driver 1 Starting (inrush) current <40 A, 256 ps Fuse rating 15 A UL, IEC ambient temperature rating, 50°C (122°F) electrical components enclosure Ingress protection, electrical IP54 components enclosure Efficiency 95% Dimming mode optional Range, energy consumption 12 — 100% Range, light output 17 —100% Flicker <2% Total harmonic distortion (THD) at full <20% output Typical Wiring Surget protection --------------- Controller Disconnect f present) ; L1 Fuse Driver + o Luminaire L2* Fuse * If L2 (conn) is neutral then not switched or fused. t Not present if indoor installation. Max operating current per 8.86 A 8.52 A 8.06 A 7.71 A 7.39 A 6.40 A 5.11 A 4.67 A 4.43 A 4.27 A 3.70 A Luminaire' Footnotes: 1) Rated wattage is the power consumption, including driver efficiency losses, at stabilized operation in 25°C ambient temperature environment. 2) Operating current includes allowance for 0.90 minimum power factor, operating temperature, and LED light source manufacturing tolerances. Notes 1. Use thermal magnetic HID -rated or D-curve circuit breakers. 2. See Musco Control System Summary for circuit information. 0000 U.S. and foreign patent(s) issued and pending • ©2019, 2020 Musco Sports Lighting, LLC • TLC-LED-1500 5700K 75 CRI • M-2955-en04-5 musco 2 Vive PowPak Dimming Module Wireless Lighting Control 369913e 1 03.07.17 Vive PowPak Dimming Module with 0-10 V= Control The PowPak Dimming Module with 0-10 V= Control is a radio frequency (RF) control that operates 0-10 V= controlled fluorescent ballasts or LED drivers based on input from Pico remote controls and Radio Powr Savr sensors. The Dimming Module with 0-10 V= Control is ideal for small areas (e.g., classrooms, conference rooms, private offices). Communication with RF input devices (e.g., Pico remote controls, Radio Powr Savr sensors) is accomplished by using Lutron Clear Connect RF Technology. These products are also compatible with the Vive hub which enables a simple setup process using a standard web browser on any Wi-Fi enabled phone, tablet or computer. It also enables control and monitoring of all Vive devices. The Vive hub can be added at any time. System reprogramming will be required. For a complete list of features supported with the Vive hub, see specification submittal 369902. Note for Replacement: RMJS/URMJS - the "S" model can replace the non-"S" model. Features • Controls up to 60 mA of 0-10 V= controlled fixtures together • Switches up to 8 A total • 0-10 V= control link automatically sources or sinks to the third party fixtures • Configurable high- and low -end trim • Various operating voltages available; refer to model number chart below for details on voltage requirements • Receives wireless inputs from up to 10 Pico remote controls, 10 Radio Powr Savr occupancy/vacancy sensors, and 1 Radio Powr Savr daylight sensor • Utilizes Lutron Clear Connect RF Technology; refer to model number chart below for frequency band data • Mounts to a US -style junction box through a standard -size knockout "''=LUTRON SPECIFICATION SUBMITTAL Page Job Name: Model Numbers: -1 L IF Job Number: I F 1 Vive PowPak Dimming Module Wireless Lighting Control 369913e 2 03.07.17 Models Model Number Region Operating Voltage Frequency Band RMJS-8T-DV-B U.S.A., Canada, Mexico 120/277 V— 431.0-437.0 MHz URMJS-8T-DV-B U.S.A. (BAA Compliant) 120/277 V— 431.0-437.0 MHz NOTE: Contact Lutron for frequency band compatibility for your geographic region if it is not indicated above. "''=LUTRON SPECIFICATION SUBMITTAL Page 0 Job Name: Model Numbers: C Job Number: C Vive PowPak Dimming Module Wireless Lighting Control 369913e 3 03.07.17 Specifications Regulatory Approvals RMJS- and URMJS- models • UL Listed • FCC approved. Complies with the limits for a Class B device, pursuant to Part 15 of the FCC rules • Complies with requirements for use in other spaces used for environmental air (plenums) per NEC 2014 300.22(C)(3) • Listed in accordance to CAN/ULC S102.2-2010 with a Flame Spread Rating of 0 and a Smoke Developed Classification of 40, with a minimum spacing of 6 ft (1.83 m) off center • cUL and IC (Canada) (RMJS- only) • COFETEL (Mexico) (RMJS- only) • NOM (Mexico) (RMJS- only) Power • Operating voltage - RMJS- and URMJS- models: 120/277 V— 50/60 Hz Output Ratings • Switch rating of 8 A. Rated for resistive or capacitive loads as defined by IEC/EN 60669-2-1 • 0-10 V= control link for 60 mA maximum output, source or sink automatically configures Other Power Specifications • Standby power: - 240-277 V— 610 mW - 120 V— 550 mW • BTU/hour when fully loaded: 9 • Works with all ballasts and drivers that provide a current source that is compliant to IEC 60629 Annex E.2, and whose inrush current does not exceed NEMA410 standards for electronic ballast/driver "''=LUTRON SPECIFICATION SUBMITTAL Job Name: Model Numbers: C Job Number: C System Communication • Operates using Clear Connect RF Technology for reliable wireless communication; refer to model number chart on page 1 for frequency band details • RF range is 30 ft (9 m) • Wireless sensors and controls must be located within 60 ft (18 m) line of sight, or 30 ft (9 m), through walls, of the associated control module. The 60 ft (18 m) range is not reduced by a ceiling tile obstruction. Environment • Ambient operating temperature: 32 °F to 104 °F (0 °C to 40 °C) • 0% to 90% humidity, non -condensing • For indoor use only • All drivers and ballasts used with Vive wireless controls must comply with the limits for a Class A device pursuant to Part 15 of the FCC Rules 0-10 V= Control Link • Communicates with up to 60 mA of fixtures • Control link is IEC SELV/NEC Class 2 • 0-10 V= control can be installed using NEC Class 1 or Class 2 wiring methods. Alternately, it can be wired to basic or double -insulated devices • Terminals accept one 18 AWG to 16 AWG (0.75 mm2 to 1.5 mm2) solid wire • Always consult local wiring codes • Compatible with ANSI E1.3 2001 (R2006), IEC 60929 Annex E Page 0 Vive PowPak Dimming Module Wireless Lighting Control 369913e 4 03.07.17 Specifications (continued) Default Operation High- and Low -End Trim • Associated wireless input devices control all connected • High -end and low -end trim affect all connected fixtures together fixtures equally, and can be configured from the • Occupancy Sensors: PowPak Dimming Module. - Occupied: 100%; Unoccupied: 0% (OFF) • Adjustable low -end trim (0%-45%). Trimmable • Pico Remote Controls: low -end can ensure a stable light level. Some fixtures - On: 100%; Favorite Level: 50%; Off: 0% (OFF) will flicker or drop out if trimmed too low. • The maximum light output of connected fixtures can • Daylight Sensor: Decreases electric light in response to be decreased down to 55% for energy savings in additional available daylight over -lit spaces. Key Design Features Note: The perceived light output of low -end trim may • LED status indicator shows load status and provides vary between fixture manufacturers and model programming feedback numbers. For best results, do not mix different • Configurable high -end and low -end trim ballasts or drivers on the same 0-10 V= circuit. • Power failure memory: If power is interrupted, connected loads will return to the previous level prior to interruption • 0-10 V= control mis-wire protection up to 30 V= Advanced Configurations Pico Remote Controls • Up to 10 Pico remote controls • Favorite levels can be set for each Pico remote control Radio Powr Savr Daylight Sensor • The Radio Powr Savr daylight sensor will affect all connected ballast and LED drivers equally • For multple rows of daylighting, a separate PowPak Dimming Module with 0-10 V= must be used for each daylighting row Minimum Light Level Setting (optional) • Certain applications, such as hallways, may require that the lights never turn off. For these areas, select the minimum light level option and the load will lower to programed low -end level. Default operation lowers to OFF. Radio Powr Savr Occupancy Sensors • Radio Powr Savr occupancy and vacancy sensors control all connected ballasts or drivers. • Pico remote controls can be used to adjust the Occupied levels of fixtures that they control from 1 % to 100% (of output signal) or can make them unaffected by Occupancy events. • Vacancy events (area becomes unoccupied) turn all ballasts and driver models off or to minimum light level. "''=LUTRON SPECIFICATION SUBMITTAL Page Job Name: Model Numbers: C Job Number: C Vive PowPak Dimming Module Wireless Lighting Control 369913e 5 03.07.17 System Diagram (RMJS- and URMJS- models) PEIItIA, Pico Remote Control (up to 10) ^N► Radio Powr Savr Occupancy Sensor (up to 10) Radio Powr Savr Daylight Sensor (up to 1) To fixtures (60 mA max) Wiring Schematic (RMJS- and URMJS- models) -------- Junction Box I I Line/Hot i o Fluorescent Ballasts/LED Drivers NOTE: Some applications (in the U.S.A.) require the PowPak module to be installed inside an additional junction box. For information about how to perform this installation, visit www.lutron.com, Application Note #423 (P/N 048423). Please consult all local and national electric codes for proper installation methods. Fluorescent _ED Drivers "''=LUTRON SPECIFICATION SUBMITTAL Page 5 Job Name: Model Numbers: L IF Job Number: C Vive PowPak Dimming Module Wireless Lighting Control 369913e 6 03.07.17 Dimensions Dimensions are shown as: in (mm) 3.94 3.42 (100.1) (86.9) 2.82 (71.6) Range Diagram PowPak Dimming Module Install in center of room to maximize RF coverage. Radio Powr Savr Occupancy Sensor E 30 ft (9 m) �� PowPak rn maximum Dimming Module C co Pico Remote Control L 40 ft (12 m) 1/2 in or 21 mm trade -size knockout opening 1.25 (31.8) Contact Lutron first for applications using foil -backed or metallic ceiling tiles. NOTE: Wireless sensors and controls must be located within 60 ft (18 m) line of sight, or 30 ft (9 m), through walls, of the associated control module. The 60 ft (18 m) range is not reduced by a ceiling tile obstruction. Lutron, ,;: Lutron, PowPak, Clear Connect, and Pico are trademarks of Lutron Electronics Co., Inc. registered in the U.S. and other countries Radio Powr Savr and Vive are trademarks of Lutron Electronics Co., Inc. "''=LUTRON SPECIFICATION SUBMITTAL Page Job Name: Model Numbers: Job Number: = C Pico® Wireless Control and Pedestal Control Specification 369-453b 1 03.12.12 Pico® Wireless Control and Mounting Accessories (for North, Central, and South America) The Pico. wireless control is a flexible and easy to use device that allows the user to control Lutron. wireless load control devices from anywhere in the space. This battery operated control requires no external power or communication wiring. Features • Provides control for the following: • Maestro Wireless. controls • PowPakTM Modules • Sivoia. QS wireless systems • Energi Savr NodeTM and Quantum. systems, through the use of a QS sensor module (QSM) • GRAFIK Eye. QS wireless systems • RadioRA. 2 systems • HomeWorks® QS wireless systems • Control available in a variety of button marking options. • Easy reconfiguration for use as: • Handheld remote • Wall mount control (with or without faceplate; faceplate adapter kit sold separately) • Car visor control (car visor clip sold separately) • A table top control (table top pedestal sold separately). • Battery powered Picoo wireless control requires no wiring. • 10 year battery life (one CR2032 battery included). • Can provide control to blinds, curtains or lighting devices within a 30 ft (9 m) range. ="'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: r u Pico. wireless control Page: 1 Pico® Wireless Control and Pedestal Control Specification 369-453b 2 03.12.12 Specifications Regulatory • Lutron. Quality Systems registered to ISO 9001:2008 • FCC Certified (U.S.A.) • IC Certified (Canada) • COFETEL Certified (Mexico) • SUTEL Certified (Costa Rica) Power • Operating Voltage 3 V— • (1) CR2032 Battery (included) System Communication and Capacity • Pico. wireless controls communicate using Radio Frequency (RF) at 431 - 437 MHz. • Thousands of system addresses prevent interference between systems. • Picoo wireless controls can be assigned to control blinds, curtains or lighting devices that are within a 30 ft (9 m) range. • Can be configured as a scene or zone control in GRAFIK Eye. QS wireless applications. Mounting Considerations • Mounting of any RF devices on or in close proximity to a metal surface will drastically reduce the effective range of radio signal transmission or reception. • All RF devices must be mounted on non-conductive materials to ensure proper performance. • Coming soon! If you wish to mount your Pico. wireless control to a metal surface, the "Metal Mounter" will be required in order to maintain proper RF performance. Please contact Lutron. Customer Service for availability at 1.888.LUTRONI (1.888.588.7661). -"'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: Environment • Ambient operating temperature: 32 T to 140 T (0 'C to 60 'C) • Maximum 90% non -condensing relative humidity • Indoor use only Warranty • 1 Year Limited Warranty For additional Warranty information, please visit http://www.lutron.com/-FechnicalDocumentLibrary/ 369-119_Wal Ibox_Warranty. pdf Page: 2 Pico® Wireless Control and Pedestal Control Specification 369-453b 3 03.12.12 Model Number For order quantities of 96 pieces or greater of the same model number, bulk packaging may be available. Mounting hardware is not available with bulk packaging. Please contact Lutrono Customer Service for availability at 1.888.LUTRONI (1.888.588.7661). � I PJ-XXXX-GXX-XXX Frequency/Channel Code Button Configuration Code Color Code Button Marking Type Code (see next page) Button Marking Code (see next page) Frequency/Channel Codes: Code Contact Lutron's Customer Service at www.lutron.com for frequency/channel J — 431.0 - 437.0 MHz code compatibility with your particular geographic region, and for integrating with other Lutrono lighting and shading products. Button Configuration Codes: Button Configuration Code 2 Button 2B 2 Button with Raise/Lower 2BRL 3 Button 3B 3 Button with Raise/Lower 3BRL 2 Button 2 Button with 3 Button 3 Button with (213) Raise/Lower (313) Raise/Lower (2BRL) (3BRL) Color Codes: Gloss Color Code White WH Black BL Ivory IV Light Almond LA White/Gray WG (Top and Raise buttons are White; Preset, Lower, and Bottom buttons are Gray) Continued on next page... -' LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: r Page: 3 Pico® Wireless Control and Pedestal Control Specification 369-453b 4 03.12.12 Model Number (continued) Frequency/Channel Code (see previous page) Button Configuration Code (see previous page) Color Code (see previous page) Button Marking Type Code Button Marking Code PX-XXXX-GXX-XXX Button Marking Type Codes: Button Marking Type Options Code Text T Icons I Button Marking Codes: Button Marking Options Code Button Marking Options Code Light 01 Drapery 08 Shade 02 Blackout 09 Shade 1 05 Sheer 10 Shade 2 06 Blind 13 Screen 07 Power 14 2 Button Light (text) Light (icons) Power (icons) (01) (01) (14) Continued on next page... ="'=LUTRON, SPECIFICATION SUBMITTAL Page: 4 Job Name: Model Numbers: Job Number: Pico® Wireless Control and Pedestal Control Specification 369-453b 5 03.12.12 Button Marking Codes: (continued) 2 Button with Raise/Lower E] El z z Light (text) Light (icons) (01) (01) 3 Button El E] Light (text) Light (icons) (01) (01) 3 Button with Raise/Lower E] E] El oPede, S�hede2 „ Ll L-1— Light (text) Light (icons) Shade (text) Shade (icons) Shade 1 (text) Shade 2 (text) (01) (01) (02) (02) (05) (06) El 171 1:71 a� r� Screen (text) Drapery (text) Drapery (icons) Blackout (text) Sheer (text) Blind (text) (07) (08) (08) (09) (10) (13) ="'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: Job Number: Page: 5 Pico® Wireless Control and Pedestal Control Specification 369-453b 6 03.12.12 Operation Preset Button (313 & 3BRL models only) Tap once: Devices go to preset levels/positions. Activates scene 16 when used in scene mode with GRAFIK Eye. QS wireless applications. Press and hold: To save new preset level or position, press and hold for 6 seconds. Dimensions Measurements shown as: in (mm) 0.31 (8) 1.30 (33) 2.6 (66) ="'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: C Top Button Lights brighten to full intensity and shades/ draperies go to open limit. Activates scene 1 when used in scene mode with GRAFIK Eye. QS wireless applications. Raise Button (2BRL & 3BRL models only) Lights increase in intensity and shades/ draperies move towards open limit. Lower Button (2BRL & 3BRL models only) Lights decrease in intensity and shades/ draperies move towards close limit. Bottom Button Lights dim to off and shades/draperies go to close limit. Activates "OFF" scene when used in scene mode with GRAFIK Eye. QS wireless applications. Page: 6 Pico® Wireless Control and Pedestal Control Specification 369-453b 7 03.12.12 Pico® Pedestal Model Number Pedestals sold separately. Available in gloss finish only. L-PEDX-XX Color Code Capacity Code Capacity Capacity Code Single 1 Double 2 Triple 3 Quadruple 4 Dimensions Measurements shown as: in (mm) Single Pedestal Pedestals sold separately. (45) Triple Pedestal Pedestals sold separately. (117) ="'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: C Gloss Color White Black Double Pedestal Pedestals sold separately. Quadruple Pedestal Pedestals sold separately. (152) Color Code WH BL Page: 7 Pico® Wireless Control and Pedestal Control Specification 369-453b 8 03.12.12 Mounting Options Stand Alone Mounting Adhesive Mount (included with Pico@) Screw Mount (sold separately) Model PICO-SM-KIT Note: Kit includes special screws to be used for more permanent mounting and/or © for non -smooth surfaces. © � o El 0 E 0 0 0 0 Wallplate Adapter Model PICO-FP-ADAPT (sold separately) 0 © U 0 ®0 0 ® 0 ®0 ®0 Continued on next page... -"'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: © 0 *Wallplate adapter/ wall plate sold separately Page: 8 Pico® Wireless Control and Pedestal Control Specification 369-453b 9 03.12.12 Mounting Options (continued) Car Visor Model PICO-CARVISOR-CL (sold separately) Mounting to Metal Surfaces Coming Soon (sold separately) -"'=LUTRON, SPECIFICATION SUBMITTAL Job Name: Model Numbers: L Job Number: r Page: 9 FSP-211 Digital High/Low Passive Infrared Fixture Integrated Outdoor Sensor Fully adjustable high and low dimmed light levels Designed for LED fixtures; rated for extreme temperatures and up to 200,000 on/off cycles Hold off setpoint with automatic calibration option for convenience and added energy savings Product Overview Features WaHStvpper'' www.wattstopper.com 800.879.8585 Description s .M� a . r PROGRESS A e " , " The FSP-211 mounts in an outdoor Lighting fixture and provides multi -level control based on motion. The sensor also includes a photocell to measure the ambient Light level. It controls 0-10 VDC LED drivers or dimming ballasts, as well as non -dimming ballasts and, with an FSP-Lx Lens, is rated for wet and cold Locations. ALL control parameters are adjustable via a wireless configuration tool capable of storing and transmitting sensor profiles. Operation The sensor ramps Lighting On to the selected High mode Level when motion is first detected and the ambient Light Level is below the hold off setpoint. After the sensor stops detecting movement and the time delay elapses, Lights fade to the Low mode level. If there is no motion during the subsequent cut off time delay, the Lights will turn Off. If the sensor detects motion before the Lights turn Off, it ramps the Light Level back to High, unless the daylight contribution is sufficient to hold Lighting at Low. • Provides Line voltage On/Off switching and 0-10 VDC dimming control • Works with ballasts or LED drivers • High and Low modes fully adjustable from 0 to 10V • Time delay from 5 to 30 minutes • Optional cut off delay • Adjustable ramp up and fade down times Adjustable via handheld wireless configuration tool IP66 rated with choice of lenses for wet and outdoor locations, and mounting heights from 8' to 40' Adjustable time delay and cut off delay PROJECT LOCATIONITYPE Wireless Handheld Configuration Tool Initial setup and subsequent sensor adjustments are made using a handheld configuration tool (FSIR-100). This tool enables adjustment of parameters including high and Low modes, sensitivity, time delay, cut off and more. The FSIR- 100 is also used to initiate automatic calibration of the FSP-211 ambient Light Level setpoint. The setpoint is used to hold the controlled Lighting off or at Low Level when there is sufficient daylight. The wireless tool stores up to five sensor parameter profiles to speed configuration of multiple sensors. Applications The slim, low -profile FSP-211 is designed for installation inside the bottom of a Light fixture body. When fully assembled and installed in an IP66-rated fixture, the sensor and FSP-Lx Lenses are IP66 outdoor rated. The sensor is ideal for areas such as parking facilities, gas stations, pedestrian pathways and warehouses. A choice of four Lenses ensures complete coverage for mounting heights up to 40'. • Optional daylighting setpoint features automatic calibration, or permits manual adjustment • Configuration tool stores five sensor profiles for quick setup and adjustment of multiple sensors • Polycarbonate construction; flame retardant, UV resistant, impact resistant, recyclable • UL244A and UL508; IP66 rated (when fully assembled and installed) for use in wet Locations Specifications Dimensions & Mounting • 120/277 VAC, 50/60Hz - Load (a120 VAC 0-80OW ballast or incandescent -Load 0277 VAC 0-120OW ballast • 230 VAC, 50Hz; Load 0-30OW ballast • Relay life rating: 200,000 cycles (120/277 VAC); 50,000 cycles (230 VAC) • High mode: 0-10 V; default 10 V • Low mode: Off, 0-9.8 V; default 1 V • Time delay: 30 sec., 5-30 min.; default 5 min. • Cut off delay: none, 1-60 min. 1-5 hrs.; default 1 hr. Sensor Dimensions 3.79" 96.27mm 0 0 0 ®o 0 a00000 22.86mm ® 0 ID 0 0 o .65" 16.48mm 1.66" 42.18mi 1.11, 0.28mm 1.38" 35 1 1 2.77m77mm FQQ Wiring Dimming Wiring Diagram Ordering Information w� zw J Z NEUTRAL LOAD ®w P'Iff Dimming v Driver <E a GROUND GRAY (-) _ VIOLET W Catalog No. Color • Sensitivity: none, low, med, max; default max • Setpoint: none, 1-250 fc, auto; default 4 fc • Ramp up time: none, 1-60 sec.; default none • Fade down time: none, 1-60 sec.; default none • Operating temperature:-40-167°F (-40-75°C) • Operating Humidity: 20-90% • Weight: 2.8 oz (80 grams) • IP66, CE compliant • TUV, UL and cUL listed • Five year warranty Sensor Mounting FSP-211 LED Controller Tightening Nut Lens Assembly FSP-211 Inside FixWre Rubber wail , 1 Gasket Future Tghtening Nut The FSP-211 accommodates fixture wall thickness up to 0.125" (3.18mm). Non -Dimming Wiring Diagram NEUTRAL Non -Dimming Driver *The FSP-211 must be properly grounded. Description Input Voltage ❑ FSP-211 I White Fixture mount, passive infrared motion sensor 120/277V, 50/60Hz or 230V, 50Hz ❑ FSIR-100 Black Remote handheld configuration tool (3) 1.5VAAA alkaline batteries A Group brand Plegraind Pub. No. 38801 rev. 12/2011 www.wattstopper.com 18 0 0. 8 7 9. 8 5 8 5 REALice City of Santa Clarita *CLIMATEC Installation Agreement — Att E The No. I energy saving equipment for ice rinks. Watreco AB, Koksgatan 9, 5E-211 24 Malmo, Sweden Phone: +46 40 631 84 70 Web: www.watreco.com E-mail: info@watreco.com Partner of I NTERDiATIONAL ICE HOCKEY FEDERATION watreco 8 8 Realice system Energy savings and improved ice quality This is the second and improved generation of the well known and established Realice system. It consists of two parts: the hand unit, Realice r1x with two nozzles, and one of the three base units, Realice r4x, r6x, or r10x, adapted to different water pressures and flows. The nozzles are used for building the ice foundation and for ice maintenance. The base unit treats the water before filling the resurfacer. Lower the temperature of added water The temperature of added water can be lowered below 2M (cold water) with the Realice system. Raise ice temperature Ice temperature can be raised by 1-2C when the ice has been made from Realice water. Reduce hot water consumption As Realice is used when resurfacing the ice, you can drastically reduce your hot water consumption. Improve ice quality Ice made from water that has been treated by Realice becomes better, faster, and more durable. 0 N O N ry Save 10 000 Euro Lowered water temperature in the resurfacer and slightly warmer ice reduces the required cooling, compressors last longer and you save energy and money. The saving is around 10 000 Euro per year. Lower viscosity The Realice system will lower the viscosity of the water, entailing that it flows out more easily despite the temperature being lower. Reduced limescale deposits Realice changes the chemical balances of hard water in such a way that lime scaling is reduced on surfaces. Equipment lasts longer and does not require maintenance as often as before. www.realice.se watreco Technical specification 8 7 6 5 4 N i� a 3 2 1 0 r1 x C4 / ♦ ' '' r10x / r I 00001, • 1 — 1 r / • I I 0 1 2 3 4 5 6 7 6 9 10 Flow [m3/h] c1 C-\ A tw r1 x r4x r6x r1 Ox Max pressure @ 20 16 bar / 232 PSI 16 bar / 232 PSI 16 bar / 232 PSI 16 bar / 232 PSI (PN16) (PN16) (PN16) (PN16) Normal flow @ 4 - 5 bar 1 - 2 m3/h 4 m3/h 6 m3/h 10 m3/h 264 - 528 gal/h 1057 gal/h 1585 gal/h 2642 gal/h Recommended operational temperature 189C / 64 F 189C / 64 F 189C / 64 F 189C / 64 F Length (A) 340 mm 558 mm 643 mm 726 mm Diameter (B) 106 mm 82 mm 96 mm 120 mm Weight 0,97 kg 1,27 kg 1,43 kg 1,89 kg 2,14 lb 2,80 lb 3,15 lb 4,17 lb Connect to: (C) ISO 228-G1" ISO 228-G1" ISO 228-G1" ISO 228-G11/4" Pressure meter No Yes Yes Yes Watreco AB, Koksgatan 9, SE-211 24 Malmo, Sweden Phone: 670 � Web: www.watreco.com 4EMN. E-mail: info@watreco.com atreco 4111111110 0 N O N ry Installation (7 Realice r1x -Hand Unit The hand unit Realice r1x is used when building the ice for the first time and for repair and maintenance. Hose Attach the Realice r1x at the end of the hose used for repair and maintenance of the ice. Use it at all times for optimal energy saving and ice quality. Two nozzles You can choose between two nozzles for different water flow. Watreco AB, Koksgatan 9, SE-211 24 Malmo, Sweden Phone: +46 40 631 84 70 Web: www.watreco.com E-mail: info@watreco.com Realice r4x, r6x, r10x - Base Unit Close to the tap station for the ice resurfacer, one of the three base units, Realice r4x, r6x or r10x, will be installed to fill the ice resurfacer prior to resurfacing. Piping Install the Realice base unit at the piping and fix it to the wall before and after the Realice unit. Pressure meter Use the pressure meter to see the maximum water flow that is possible to get out from your water system when the Realice unit is installed at a certain pressure. Make a straight line from the pressure value and the measured water flow in the system, taken without the Realice base unit installed. Check the flow value in the diagram where the lines are crossing at your corresponding Realice unit. (See technical specification) watreco 0 N O N ry Instruction Realice r1x - Hand Unit Two nozzles The hand unit, Realice r1x, comes with two nozzles for different water flow, to use when building the ice for the first time and for repair and maintenance. The hand unit will create a very fine mist that will freeze in thin layers. For best result, point the Realice r1x upwards, in a 45 degree angle and move it from left to right. Cold water Always use cold water, below 20`C when building and maintaining the ice with the hand unit. Building the ice for the first time Use the Realice r1x to make thin layers of water and let it freeze before the next layer of water is added. Build the ice for approximately 10 mm or until you can enter the ice with the ice resurfacer. Ice repair and maintenance Choose between two nozzles for different water flow when repairing or maintaining the ice. Always let the ice freeze in thin layers for best result. Realice r4x, r6x, r10x - Base Unit Cold water Always use cold water when using the the Realice r4x, r6x, r10x unit. Normally below 20'C. Filling up the ice resurfacer Fill up the ice resurfacer as close to ice resurfacing as possible for best result. The effect of Realice treatment will stay in the water for a minimum of 24 hours. Ice resurfacer speed Take your time when resurfacing the ice. A normal resurfacing of the ice will take about 10 minutes. Slow down in the curves. Ice temperature When using Realice you can normally raise the ice temperature 1-2`C. Ice thickness Ice thickness can be decreased to approximately 30 mm due to the harder and more durable ice, produced by Realice treated water. Humidity Optimal humidity in the ice arena is around 50%. Watreco AB, Koksgatan 9, SE-211 24 Malmo, Sweden Phone: 670 Web: www.watreco.com E-mail: info@watreco.com atreco 4M 0 N O N ry Warranty The warranty cover: • The product is warranted for 2 (two) years from the date of delivery. • Watreco warrantees that on delivery the product is free of faults in materials, manufacturing and function. • Watreco warrantees that the product is identifiable on delivery. • The warranty covers all types of fault which may arise in normal use of the product. • Under the warranty, Watreco or its representative will mend the damaged product or replace it with a new one free of charge. • In the event of a claim under the warranty, Watreco's representative should be contacted in the first instance. Watreco may be contacted in the second instance. • Watreco or its representative will decide whether the product is to be mended or replaced. • Where the damaged product is to be replaced, the product should be returned to Watreco's representative for inspection in the first instance. The customer is to pay the shipping costs. The product may be sent to Watreco in the second instance. • The replacement component will, in the first instance, be shipped free of charge from the warehouse of Watreco's representative, or from Watreco if necessary. Watreco AB, Koksgatan 9, SE-211 24 Malmo, Sweden Phone: +46 40 631 84 70 Web: www.watreco.com E-mail: info@watreco.com The warranty does not cover: • Cases where the product has been changed, modified or opened. • Cases where the product has not been used in accordance with the instructions. • Cases where the product has not been installed in accordance with the installation instructions. • Cases where the product has been used for a purpose other than that for which it was intended. • Cases where the label identifying the product has been removed. • Cases where the product has been subjected to pressure or temperature exceeding that set out in the instructions or the values stated on the p rod u ct. • Cases where the internal channels in the unit is clogged by particles in the water. • Cases where the damage has arisen through external force such as hitting, bending or twisting. • Damage which may arise to other property or persons due to the product or deficiencies in the product. • Other costs which may arise due to the product or deficiencies in the product. • Any costs, charges or taxes which may arise when replacing the product. • Costs arising for removing and installing the p rod u ct. watreco Roofing City of Santa Clarita *CLIMATEC Installation Agreement — Att E JM TPO Membrane Application Guide Assembly Identification Membrane Thickness Membrane Type 4 = 45 mil (1.14 mm) R = Reinforced 6 = 60 mil (1.51 mm) P = Polyester Fleece Backed 8 = 80 mil (2.03 mm) e, ST 6 R M � Attachment S = Single Ply M = Mechanically Attached TPO Membrane R = RhinoPlate Attached Mechanically Attached �■ ' �■ NOTE: For additional assembly plate variations, check out our interactive form online. Installing Membranes Unroll the JM TPO Membrane and position without stretching. Allow the membrane to relax at least 15 minutes when the temperature is above 60OF (160C), or 30 minutes when the temperature is below 60OF (160C), prior to installation. Inspect for any damaged membrane. Remove sections of the membrane that are creased or damaged. Pay special attention to membrane creasing at temporary tie-ins as this will be permanent. Install all roof deck materials (vapor retarders, insulation and slip -sheet) in complete sections, and cover with the membrane immediatelyto produce weather -tight sections each day. Phased construction is not permitted. For mechanically attached systems on steel decks, the membrane sheets must be applied perpendicular to the flutes of the deck. 2-8 JM TPO Membrane Application Guide To prevent wind uplift and secure the membrane on mechanically attached roofs, fasten the membrane to the roof deck with metal plates and acceptable fasteners. Perimeter Areas Refer to the local code requirements, project specifications, JM guarantee requirements, or FM Global° requirements when determining fastener rates. The requirements to calculate perimeter areas are as follows: 1. Roof Height <_ 60 ft., the perimeter is the smaller dimension of:10% of the shortest side (plan view), or 40% of the roof height, but not less than 4% of the shortest side (plan view) or 3 feet. 2. Roof Height > 60 ft., the perimeter is:10% of the shortest side (plan view) but not less than 3 feet. 3. For mechanically fastened systems, spacing between fastener rows should be no greater than 60% of the width of the field sheets in the perimeters. 4. For induction welded systems, fastener rate (contributory area) shall be no greater than 60% of the field fastener rate. Corner Areas All corners shall be the intersections of the perimeter areas. Refer to the local code requirements, project specifications or FM Global requirements when determining corner layouts for perimeter sheets. If parapets are greater than 36" continuous the corners may be treated as a perimeter. Typically, one of the following layouts is used in the corners: 1. The perimeter rolls should be fastened all the way into the corner. The other perimeter sheets are fastened up to the previously installed perimeter sheets, and then the fastener rows are continued to the corner through the top of the previously installed sheets. Install a cover strip of reinforced membrane extending 2" (5.08 cm) on each side over the fasteners for a watertight seal. This method is commonly referred to as "picture framing". 2. The perimeter rolls should be run perpendicular to the flutes in steel deck applications. Additional fasteners should be installed in rows that are no greater than 40% of the width of the field sheets. These fastener rows should then be stripped in with reinforced JM TPO Membrane or JM TPO Reinforced Cover Strip. This method is commonly referred to as the "finger" method. 3. For induction welded systems, fastener rate (contributory area) shall be no greater than 40% of the field fastener rate. General Suggestions to Avoid Problems in Cold Weather (Below 50°F [10°CD 1. Store all JM TPO materials in warm 60°F— 80OF (16°C — 270C), dry area away from sparks and open flames, to avoid condensation problems that could affect weld quality. Protect from freezing. 2. Take at leasttwice the usual number of seam samples to test for shear strength, since the possibility of inferior welds is greater. 3. Thoroughly dry all weld surfaces prior to welding. 4. Exercise caution when walking on dew, frost, ice or snow covered roofs, since the membrane may be extremely slippery. 5. Allow membrane to relax for a longer period of time. 6. Allow for extended adhesive flash off times. 2-9 JM TPO Membrane Application Guide In -Lap Mechanically Fastening The In -Lap Method 1. Roll out one roll of membrane over the acceptable substrate. Let it relax 15 to 30 minutes or as needed to compensate for any residual roll tension. 2. Secure the plate along the edge of the membrane, maintaining at least a %z" (1.27 cm) distance from the edge of the plate to the outer edge of the roll Fastener and Into s acin is p p 9 per FM Global requirements and/or job specifications or to meet JM guarantee requirements. 3. Tightly screw down the plates (do not overdrive the fastener) using an appropriate screw gun unit with adjustable clutch. Make certain to drive the fastener perpendicular to the surface of the substrate and to properly penetrate the deck surface. On steel decks, the screws must be fastened into the top flanges of the metal deck. 4. After securing the edge of the first membrane roll, roll outthe next adjacent roll of membrane. Position this roll so that its common edge fully overlaps the row of plates and fasteners just installed. Maintain a minimum overlap of 6" (15.24 cm) (depending on plate size) to cover the plates, and leave the required 1%z" (3.81 cm) minimum for the seam weld. 5. Weld the overlap seam. Apply a bead of liquid JM TPO Edge Sealant along all cut edges of the seam. Induction Welding Insulation Attachment Insulation must be fastened to the roof deck in TPO induction welded roof systems perthe appropriate fastening pattern details, depending on membrane type and uplift requirements. For specific requirements, contactyour JM Technical Services Specialist at (800) 922-5922. NOTE: JM TPO induction weld plates must be used in JM TPO systems; JM TPO and JM PVC induction weld plates are not interchangeable. Note that TPO induction weld plates are gold. Do not overdrive the plate and fasteners, as this will lead to poor bonding adhesion to the membrane when applied. Take caution to ensure there is no moisture on the board or membrane prior to application. Any water or dew will decrease the bonded welding circumference. Induction weld plates are only approved for TPO membranes that are 60 mil thick and greater. Induction Weld Method 1. Roll out one roll of membrane over the acceptable substrate. Let it relax 15 to 30 minutes or as needed to compensate for any residual roll tension. 2. Perform calibration and set up as detailed bythe induction welder's owner's manual. Refer to the induction welder's owner's manual for setup, calibration and welding. 3. Centerthe induction welder overthe first plate in the pattern and activate the weld. WARNING: The induction welder must be centered over the plate to create a 100% bond. If an error occurs during activation, refer to the induction welder owner's manual for corrective action. 2-10 JM TPO Membrane Application Guide 4. Immediately place a cooling magnet over the welded plate. WARNING: Keep magnet in place for at least 45 seconds while the assembly cools. 5. Repeat process for each plate. To increase the pace, work across the sheet, moving cooling magnets from one row to the next as needed. It is bestto work in the direction of the aligned rows. To eliminate damage to the membrane, keep the magnets and surface of membrane clean and free from debris or contamination both prior and during the induction welding process. Always wipe the magnet clean when moving to the next plate. When removing the magnet do nottwist it off, as it may damage the membrane. To determine if a weld has been made, place the plunger nextto a welded plate and create enough suction to liftthe membrane. If welded, you will see a complete round outline of the plate. If the assembly is notwelded, the membrane will lift up from the plate. Mark any plates that are notwelded as a reminderto complete the weld. Safety Guidelines: Induction welding requires special safety precautions prior to, during and after installation. When working with welding equipment, contractors must use extra care and extreme caution to prevent accidents. Carelessness can lead to loss of life, injury and loss of property. Installers should always reference the manufacturer's user manual for how to properly use the equipment. 4.0 Adhered Systems Assembly Identification Membrane Thickness Membrane Type 4 = 45 mil (1.14 mm) R = Reinforced 6 = 60 mil (1.51 mm) P = Polyester Fleece Backed 8 = 80 mil (2.03 mm) --. ST6 RA "(-- Attachment S = Single Ply A= Adhered TPO Membrane U= Urethane Adhesive Arlh-rl M-hr- NM NOTE: For additional assembly plate variations, IW— check out our interactive form online. i� Solar Thermal City of Santa Clarita *CLIMATEC Installation Agreement — Att E 4 PENTAIR INTELLIFLOOVSF VARIABLE SPEED AND FLOW PUMP Consistent flow control for the highest energy savings and ultimate system performance. PENTAIR GOOD THINGS HAPPEN WHEN YOU GO WITH THE FLOW. The world's first variable speed and flow pump that delivers the highest available efficiency and peak performance. The IntelliFlo° VSF Pump is the first to adjust to changes in flow conditions to maintain its preprogrammed flow rate. So, it runs optimally throughout the entire filtration cycle. It's like having cruise control for your pump. WEF 69 THP 3.95 (011056) UP TO 90%" ENERGY SAVINGS Since the IntelliFlo VSF Pump is ultra energy efficient, you can experience increased energy savings, up to 90%, when compared to conventional single- or two -speed pumps. 'Savings based on variable speed pump compared to a single -speed pump running 12 hours per day at an average of $0.16 per kWh in a 20,000-gallon pool. Actual savings may vary based on local utility rates, pool size, pump run time, pump horsepower, pump RPM, plumbing size and length, pump model, service factor and other hydrau I ic factors. THE INTELLIFLO VSF PUMP IS PART OF THE TRADEGRADE FAMILY OF PRODUCTS —EXCLUSIVELY MADE FOR AND SOLD BY THE WORLD'S MOST DEMANDING POOL PROFESSIONALS. TradeGrade products give consumers the confidence that their pool pro is recommending the very best equipment and providing unmatched expertise for installation, setup and servicing. CONSISTENT PERFORMANCE BY DESIGN • Filters get the right amount of flow to maintain water clarity. • Laminars and water features perform more consistently. • Equipment efficiency and service life increase. POTENTIAL SAVINGS WITH AN INTELLIFLO VSF VARIABLE SPEED AND FLOW PUMP Estimated pump Estimated pump savings per year' Energy cost per savings after five years kilowatt hour (kWh) up to $1,500 up to 67,600 $0.16 lip up to $1,800 $0.20 up to $2,700 $0.30 TRADEGRADE ►•- ALL AROUND THE POOL, PRECISION PAYS. ADJUSTS TO YOUR POOL'S UNIQUE NEEDS Every pool design is different, and conditions change, such as when filters accumulate debris overtime. Other variable speed pumps require guesswork to set, and they don't adjust for flow changes. But, the IntelliFlo°VSF Pump does and always deliversjust the right flow. MA91119AkiIQ9111*3A91110 Just set the desired flow rate, and the IntelliFlo VSF Pump will adjust as needed to maintain it. It's that simple. There's no more guesswork. Kick back and enjoy your pool while the IntelliFlo VSF Pump supplies consistent flow for peak performance. ENERGY SAVINGS WITH FLOW CONTROL Traditional variable speed pumps are set to run faster than needed early in the filtration cycle to compensate for flow reduction later as debris accumulates in the filter. The IntelliFlo VSF Pump adjusts flow throughout the cycle to minimize energy use. VS Potential additional savings with an IntelliFlo VSF Pump / of a / VSF (: Variable Speed: RPM set high to maintain minimumflow FILTRATION LOADING Variable Speed and Flow: Increases speed as needed to maintain preset flow Sparkling clean water Visual perfection More efficient heating Always the right flow to Always the right flow so laminars, Always the right flow for maintain daily water turnover waterfalls and negative edges maximum heater efficiency. for optimum filtration. look their best. PERFECTING FLOW By itself or integrated with an automation system, rely on the IntelliFlo VSF Pump to consistently maintain` +� your system's flow requirements, no matterthe task. go- _ .sr a ,,.'.� k. C IT'S AN INTELLIFLO° PUMP WITH TRUSTED FAMILY TRADITIONS. Pentair is the first brand to offer speed control and flow control in the same pump. And, the IntelliFlo VSF Pump is the most recent product in a long history of firsts. Innovations include: the first variable speed pool pump, the first variable flow pool pump, Safety Vacuum Release System (SVRS)technology and the first ENERGY STAR' Certified pool pump. Rotatable keypad with optional i wall mount kit (sold separately) Menus easier than ever to use 0 Top -mounted field wirir compartment easier to access and connect Eight programmable speed or flow settings and built-in timer Totally enclosed fan -cooled design for quiet operation and long life �. Palo _Nm..... illit 'ter AW SAL ., �I Library 30 dB Moderate rainfall 50 dB Dishwasher 60 dB Car traffic 70 dB Vacuum cleaner 70 dB Alarm clock 70 dB Lawnmower 106 dB 3 Decibels(dB) 1.5-HP pool pump. Sources: American Speech -Language -Hearing Association, OSHA. INTELLIFLOOVSF VARIABLE SPEED AND FLDW PUMP CONSISTENT FLOW CONTROL FOR THE HIGHEST ENERGY SAVINGS AND ULTIMATE SYSTEM PERFORMANCE. PERFORMANCE CURVES Pump Performance Curves 100 90 �.. MAX SPEED 3450 RPM OPERATING RANGE O 80 FOR FLOW CONTROL 6 o y SPEED4-31 -, ORPfv� LL C 60,,',,,',,,',, 2 50,�,,i.. V r SPEED 3 - 23 0 RPM_.__ _._..__ . 40 0 30 H 20 SPEED 2 - 15 ORPM',',, 10 �.. 0 SPEE41 7511 RPM 0 20 40 60 80 100 120 140 160 180 Volumetric Flow Rate in US GPM - .select` TRADEGRADE The Intel IiFloVSFVariableSpeedend The TradeGrade family of ENERGY STAR' Certified lntelliFloVSFPumps Flow Pump has earned the Eco Select° products is exclusively made from Pentair meet strict energy efficiency ��� brand distinction as one of the greenest for and sold by the world's most criteria set by the U.S. Environmental and most efficient choices from Pentair. demanding pool professionals. Protection Agency and the U.S. Department of Energy. These pumps save money, reduce energy use and protect the environment. 1620 Hawkins Ave I Sanford, NC 27330 1 United States 1 800.831.7133 1 pentair.com All indicated Pentair trademarks and logos are property of Pentair. Third party registered and unregistered trademarks and logos are the property of their respective owners. Pt-413 11/20 02020 Pentair. All Rights Reserved. SUNTREK ST TM Enjoy your pool even more by heating With a SUNTREK ST Solar Pool Heating System! Solar is the most efficient way to heat your pool by using free energy from the sun. Allowing you to take advantage of your investment beyond the summer months. Suntrek ST was designed with your roof in mind. No straps are needed, requiring less roof penetrations. Our panels are slim, light weight and available in 3 standard sizes —making installation a breeze. HOW IT WORKS Using your existing pool pump, pool water is directed through a series of valves to your solar panels. The water enters the panels at the bottom and rises to the top through the individual tubes. As the water rises through the panel, it is heated by the sun's radiant energy. The water is returned to the pool to repeat the cycle until your pool has been warmed to your desired temperature. DESIGN FEATURES 1. Unique hexagon -Shaped Manifold A flat aesthetic installation on a large range of roof types. 2. Reinforced Ribs Ensures the manifold header withstands va pressure and temperature changes over tin R'e...-,... ne_.1..J:­ �eo.e.....s.,,,.x...,:,—� ee...sV. rf Eliminate leaks from welding by fusing the header directly over the panel tubes. 4. Individual Tube Design Minimize wind effects on the panel and allow for rapid moisture release. 0. Spacer cars Prevents the panel from warping over time and abrasion to the riser tubes. OTHER FEATURES The Modular Structure enables fast and firm connection between panels, creating any size absorption area over any type of roof imaginable. Specially Formulated Polymer Material stabilizes against sustained ultraviolet radiation, extreme weather and aging. Alligator Clamps can be positioned anywhere on the panel header and allows for direct drilling to various designs of roof truss structures. All -Polymer Parts and Fittings create simple connections between panels and standard plumbing pipes. (optional fittings to flex hose with a 2" adaptor) l� Collector Data ST-48 Solar Insolation • "` • • - ST 48 ST 40 ST 32 Size, Nominal 4' x 12' 4' x 10' 4' x 8' Width 47.24" 47.24" 47.24" Length 143.70" 119.69" 95.67" Aperture Area 47.14 sq ft 39.26 sq ft 31.38 sq ft Manifold Diameter 2" 2" 2" Dry Weight 16.53 Ibs 13.67 Ibs 11.02 Ibs Volume Capacity 3.8 gal 3.1 gal 2.4 gal Working Pressure 90 psi 90 psi 90 psi Burst Pressure 135 psi 135 psi 135 psi Typical Flow 5 - 7 gpm 4 - 6 gpm 3 - 5 gpm Certification Data IS& National Standard SRCC ST 48 47,135 ST 40 39,551 ST 32 28,279 n= (0.909)(1 - 0.026u) - (2.1084 + 1.1254u)(P/G") yp0►;� t�ilDj;2 l =1 NSF-50 10 *0 SUNTREK' 1,500 1,000 up2,000 BTU/ft2 BTU/ft2 BTU/ft2 d v A (-9) 94.28 75.42 56.57 47.14 28.28 9.43 a 3 B (+9) C (+36) 4.71 0 0 v 3 D(+90) 1 0 1 0 1 0 ST-40 Thousands of BTU's per day per panel Solar Insolation - • • J04 2,000 1,500 1,000 BTU/ft2 BTU/ft2 BTU/ft2 Q v A (-9) 78.32 62.82 47.11 B (+9) 39.26 23.56 7.85 a v C (+36) 3.93 0 0 v 3 D(+90) 0 0 0 ST-32 Thousands of BTU's per day per panel Solar Insolation . - • 2,000 1,500 1,000 BTU/ft2 BTU/ft2 BTU/ft2 Q v A (-9) 62.76 50.21 37.66 B (+9) 31.38 18.83 6.28 a 3 v C (+36) 3.14 0 0 v 3 D(+90) 0 0 0 Thousands of BTU's per day per panel KEY A - Pool Heating (Warm Climate) B - Pool Heating (Cool Climate) C -Water Heating (Warm Climate) D -Space & Water Heating Your Solar Energy Company" 800-292-7648 • www.suntrel-,solar.com www.suntreksolar.com 5 Holland, Building #215 9 Irvine, CA 92618 Transformers City of Santa Clarita *CLIMATEC Installation Agreement — Att E POweRSMITHS E—SAVER OPAL—RTM Series r OPAL-R TRANSFORMERS ARE OPTIMIZED FOR RETROFIT PROJECTS DELIVERING AN AVERAGE OF 80% LESS LOSSES WHEN REPLACING OLDER UNITS APPLICATION The OPAL-R Series (E-Saver-80R & E-Saver-81 R) are ultra -efficient dry type isolation transformers optimized to maximize energy savings and provide the fastest payback in retrofit applications. Powersmiths has actively measured load profiles and losses for thousands of lowvoltagetransformers it has retrofitted for applications from K-12 schools to college and hospital campuses, from courthouses to military bases, from general commercial and office buildings to mission critical data centers. Powersmiths has found that the most common profile is a lightly loaded transformer that feeds predominately electronic equipment. OPAL-R's E-Saver-80R and -81 R models have been optimized specifically for this profile delivering a per project average of an 80% reduction in losses when replacing existing older transformers. For transformers optimized to feed dedicated equipment like fans, motors, elevators, or heavy harmonic rich loads, see the rest of the OPAL SeriesTm as well as OPAL TI OOOTM. OPAUm - OPTIMIZED DESIGNS FOR RETROFITS There is more to a transformer retrofit than simply matching the kVA and voltages with a typical transformer from the distributor's warehouse. A transformer has much more impact in an electrical system than just efficiency because of electrical characteristics that affect fault levels, arc flash levels and inrush. Other important considerations for a retrofit should also include site conditions, footprint and internal terminal layout. Powersmiths has developed a transformer design best practice called OPAL - Optimized Performance for the Application Load to specifically address transformer retrofit considerations. OPAL considers the system as a whole, including goals like managing impedance, arc flash, fault level, inrush, harmonics, and more. OPAL is possible thanks to the tight feedback loop between design, onsite manufacturing, and extensive real world performance verification. Our flexible design and manufacturing process enables us to deliver solutions for the wide variety of site conditions and transformer manufacturers including footprint and internal terminal layouts, while the result is the most savings per dollar spent. DOE IDENTIFIES BILLIONS IN SAVINGS BEYOND DOE 2016 Most manufacturers design lowvoltagetransformers to just meet the minimum requirement of U.S. Dept. of Energy law (DOE 2016). DOE 2016 has been set at a single 35% load point, under an ideal sine wave factory test profile, sacrificing performance elsewhere. By exceeding the minimum efficiency, the DOE has quantified the savings potential to be in billions of dollars and that lifecycle savings can be maximized by optimizing for real world loading. OPAL enables access to these savings - backed by real -world performance verification. DEPARTMENT OF DEFENCE UFC COMPLIANCE The OPAL-R with the T1 15 option complies with the US Department of Defense's Unified Facilities Criteria (UFC) - Interior Electrical Systems. C 0 of of 0 0 J E-SAVER OPAL-RTm Loss Reduction Curves E-Saver OPAL-Rr- Retrofits deliver maximum energy savings and follow best practices to measure & verify lifecycle savings, and ensure hassle -free transformer replacements. RETROFITS REQUIRE A BEST PRACTICE To replace existing transformers cost effectively, Powersmiths' professional engineers use a multi -step best practice for the entire project cycle including vetted project savings calculations, comprehensive site audits and tagging, individualized product selection, baseline and post installation field measurements of load profiles, losses and efficiency, following IPMVP protocols, performance reports and more. GUARANTEED PERFORMANCE FOR 32 YEARS In a world filled with small print disclaimers and limited DOE compliance testing, you can count on Powersmiths performance. We guarantee that every transformer we manufacture meets our published technical data, and furthermore, that this performance is met over the full term of the 32-year pro -rated warranty. Trusting that savings are both real and long-term is part of why organizations choose Powersmiths. K-RATING IS A MODERN REQUIREMENT Typically, transformers are purchased and installed with lowest first cost in mind, however, these transformers' are UL listed on the basis of feeding only linear load. Today, most connected loads are electronic with nonlinear profiles, and in order to have a valid UL listing, a lowvoltageisolation transformer needs to be appropriately K-rated for most applications EXPANDED KVA SELECTION ENABLES RIGHT -SIZING Powersmiths enables right -sizing of electrical infrastructure by offering a much broader selection of transformer kVA sizes. The capital cost, operating cost and footprint reductions can be dramatic - on the order of 30-50%, through smaller transformers, breakers, conductors, and distribution panels. ENVIRONMENTAL/GREEN BUILDING/LEED°/NET ZERO By going meaningfully beyond the DOE 2016 baseline efficiency, the E-Saverlm contributes to green building, LEED®, Net Zero and carbon footprint reduction. goals. Additional benefits include our IS014001 certified manufacturing, integrated metering and ability to integrate with the Powersmiths WOWT11- Building Resource Management Platform. CERTIFICATIONS & TESTING Powersmiths certifications include IS09001 (Quality), IS014001 (Environment) IS01 7025 (Efficiency Test Lab), UL and CSA. Powersmiths has a production - integrated nonlinear load test program that enables efficiency verification under real world conditions, as well as Certified Test Lab Profile Test Reports. METERING & ARC FLASH OPTIONS Integrated metering can provide information about capacity utilization, load profiles, power quality and energy use. The lockable hinged door option as well as our patented 360' Rotatable IR PortTm option enable quick and safe access to internal transformer connections, and reduces arc flash risk. Powersmiths offers also transformers with Integrated Power Distribution, see the Energy Station TXTm brochure. KEY FEATURES • Optimized for light, nonlinear loads found in most applications K-rated as required by UL to feed modern electronic equipment • Retrofit Best Practice ensures a smooth retrofit with verified savings • Significant savings beyond DOE 2016 legislation • Electrical system consideration: impedance, inrush, fault & arc flash levels -Available with a wide range of safety & performance features like integrated hinged doors, 360' Rotatable IR PortTM, and CyberhawkTM Metering and Logging • Manufactured in a certified ISO 9001, ISO 14001 and ISO 17025 facility for quality, low environmental impact, and transformer efficiency testing Percentage Loading I U.S. Dept. of Energy 10 CFR Part 431, [Docket No. EERE-2010—BT—STD-0048] Energy Conservation Program: Energy Conservation Standards for Distribution Transformers, Final Rule April 18, 2013. TECHNICAL SPECIFICATIONS The E-SaverTM-80R and 81 R are ultra -efficient low -voltage dry -type isolation transformers that meaningfully exceed the U.S. Dept. of Energy's new minimum efficiency law, commonly referred to as DOE 2016, All E-Saver transformers carry a UL Listing and CSA Approval, with application appropriate K-factor. The aluminum wound E-Saver-80R and the copper wound E-Saver-81 R are both K-factor listed per UL 1 561 and are K-7 rated per C57.1 10. Both models are compatible with electronic equipment all the way up to full load. The standard temperature rise is 130°C with a 115°C option available. E-Savers have a common -core (3-phase models), 10kV BIL, 200% rated neutral, are 60Hz rated (std), built to NEMA ST-20, UL1 561, IEEE C57.1 10 and other applicable ANSI and IEEE standards. Both primary and secondary terminals and voltage taps (typically six 2.5%) are all front -accessible. E-Savers have a 220°C class insulation system that is NOMEX-based with an Epoxy Co -polymer impregnant with technical performance characteristics that embed lower environmental impact, long term reliability and long life expectancy. E-Savers carry OSHPD and IBC Seismic Certification. The seismic bracing option provides a higher 2.28g certification. All E-Saver models come standard in a Type 2 ventilated drip -proof indoor enclosure made of heavy gauge steel finished with epoxy powder coating for durability and low environmental impact, and are UL Listed for 2" rear clearance - a significant improvement over the typical industry 6" limit. A wide variety of enclosures and options are available. Low Noise: Keeping audible noise at a minimum is key. While the NEMA ST-20 standard sets levels referenced by industry only a type test, not a production test, is required - so transformers on actual projects may be noisy. Powersmiths builds 3dB quieter than NEMA standard values, and furthermore every unit is tested to ensure quiet operation. For very sensitive environments an additional 2dB lower noise option is available. Management of Impedance, Inrush, Fault Level, Arc Flash: Powersmiths OPALTM design best practice includes addressing key transformer attributes like impedance, inrush, fault level, arc flash, to ensure smooth integration into an electrical system, avoiding the negative impacts often associated with high efficiency transformers. See individual technical data sheets for comprehensive values for all parameters. Impedance: For both the E-Saver-80R and E-Saver-81 R, impedance is kept at or above 4.0% in order to manage downstream fault current and arc flash levels, and maintain compatibility with equipment interrupting capacity (kAIC) ratings. Higher impedance is available to meet specific project needs. Inrush: Inrush currents are managed in order to avoid nuisance tripping of the primary breaker and to enable design engineers to use standard 125% rated primary protection, thereby avoiding expensive design changes that otherwise may be needed. Very low inrush designs are available as specific projects may require, for example some datacenter and medical applications. ORDERING INFORMATION AVAILABLE OPTIONS OPALPRODUCT FAMILY - MODEL - kVA - PV - SV - OPT 7-- E-SAVER 7- Prim -\ Options 880RR Volttage Secondary Applicable kVA Rating Unit (Up Input to 60OV) Voltage Input TECHNICAL DATA (9-1000 kVA) (Up to 600/347V) kVA Audible Noise 8011, 81R Model Weight Range (Ibs) Standard Case Size (in) Alternate Smaller Case Size (in)* 15 42 dB 230-300 17.5W x 17D x 27.5H 17.5W x 14.5D x 25H 20 42 dB 260-340 25.5W x 18D x 30H 23W x 15.5D x 27.5H 25 42 dB 300-380 25.5W x 18D x 30H 23W x 15.51D x 27.51H 30 42 dB 340-420 25.5W x 18D x 30H 23W x 15.5D x 27.5H 45 42 dB 400-540 25.5W x 18D x 30H No Alternate 50 42 dB 450-600 31.5W x 21.5D x 40H No Alternate 63 47 dB 500-650 31.5W x 21.51D x 40H 26.5W x 20D x 33H 75 47 dB 610-700 31.5W x 21.5D x 40H 26.5W x 20D x 33H 100 47 dB 675-900 31.5W x 21.51D x 40H No Alternate 112.5 47 dB 770-990 31.5W x 21.5D x 40H No Alternate 125 47 dB 875-1120 37.5W x 26.51D x 48H 33W x 23D x 38H 150 47 dB 1010-1230 37.5W x 26.5D x 48H 33W x 23D x 38H 175 52 dB 1100-1360 37.5W x 26.51D x 48H 34.5W x 26.51D x 42H 200 52 dB 1175-1450 37.5W x 26.5D x 48H 34.5W x 26.5D x 42H 225 52 dB 1295-1600 37.5W x 31.51D x 52H 34.5W x 26.51D x 42H 250 52 dB 1400-1800 375W x 31.5D x 52H 375W x 26.5D x 48H 300 52 dB 1575-1960 375W x 31.51D x 52H 375W x 26.51D x 48H 400 57 dB 2025-2450 51.5W x 38D x 61 H 43.5W x 33.5D x 55.5H 450 57 dB 2200-2600 51.5W x 38D x 61 H 43.5W x 33.51D x 55.5H 500 1 57 dB 1 2475-2900 1 51.5W x 38D x 61 H I 43.5W x 33.5D x 55.5H 600 59 dB 2725-3600 64W x 47D x 67H 51.5W x 38D x 61H 750 61 dB 3200-4300 64W x 47D x 67H Contact Factor 850 61 dB 3600-5000 64W x 47D x 67H Contact Factory 1000 61 dB 4200-6000 64W x 53D x 67H Contact Factory Metering: Express Logger TM, SMARTTM or Cyberhawk TXTM (see product cut sheets for details) CC: Core & Coils available for OEM Integration 3R: Type 3R, sprinkler proof/outdoor ventilated enclosure OSEC: Enclosure for outdoor public areas SS: Painted stainless steel enclosure NVI: Non -ventilated indoor enclosure IRP: 360' Rotatable IR PortTM HD: Hinged Door F50: 50 Hz design 1S: Single electrostatic shield 2S: Dual electrostatic shields 3S: Triple electrostatic shields SPD: (120/208 V OR 277/480V) PR080: 80kA, 7 mode, Filter PRO 120: 120kA, 7 mode, Filter PRO 160: 160kA, 7 mode, Filter PROXX: Where XX is custom ID VLI: Very Low Inrush IMP: Custom Impedance COL: Custom color TS: Thermal sensors at 1 70°C and 200°C RTR: Routine Test Report NLT: Nonlinear Load Test with Certificate 2016TR: DOE 2016 Test Report CTL: ISO 17025 Certified Test Lab, load profile test SE: Sensitive environment, extra low noise SB: Certified Seismic bracing for 2.28g (for Certificate details contact Powersmiths) WM: Wall -mount kit up to 75kVA is available (sold separately) T115: 115°C Temperature Rise NOTE: The above data applies to the standard configuration of each kVA. Selection of some options may change enclosure size and/or transformer weight. Some options may be mutually exclusive. Consult factory for detailed product data sheet for these and other configurations. Efficiencies tested according to U.S. Dept. of Energy's 10 CFR Part 431, a linear load test at 35% of nameplate capacity. Refer to technical data sheet for comprehensive information for each specific model, kVA, and option selected. As design optimization is continuous, technical data is updated over time. Please check with Powersmiths for latest revision. Copyright © 2018, Powersmiths International Corp. All rights reserved. OPAL, OPAL-R, Cyberhawk, E-Saver, E-Saver-80R, E-Saver-81 R, Express Logger Rotatable IR Port and SMART are trademarks of Powersmiths International Corp. All other trademarks are those of their respective owners. Please print M responsibly. 0 0 PoweRSM I THS o P 0 W E R S M I T H S I N T E R N AT 10 N A L C 0 R P. 8985 Airport Road, Brampton, Ontario L6T 5T2 Canada C, M Phone: (905) 791-1493 Toll -free: (800) 747-9627 Fax: (905) 791-8870 Email: info@powersmiths.com WWW.POWERSMITHS.COM Window Film City of Santa Clarita *CLIMATEC Installation Agreement — Att E A better environment inside and out.° O L OFilm performance Performance results were generated from testing 1/8" (3mm) thick clear glass. WITHOUT FILM 0 WITH PANORAMA SLATE 10 WINDOW FILM Visible light transmittance 90% 12% Visible light reflectance (exterior) 9% 44% Visible light reflectance (interior) 9% 21% Ultraviolet light blocked - 27% >99% Total solar energy rejected - 15% 79% 0 20 40 60 80 100 PERFORMANCE PERCENTAGE All performance results are based on the film installed on the inside surface of 1/8" (3mm,) 1/4" (6mm,) and 1/8"+1/8" (3mm+3mm) thick, clear glass. Notes 1. Solar Gard is a participating member of AIMCAL (the Association of Industrial Metallizers, Coaters and Laminators), IWFA, and EWFA. Performance results are calculated using NFRC methodology and LBNL Window 5.2 software, and are subject to variations within industry standards and only intended for estimating purposes. 2. These test data contain only results arrived at after employing specific test procedures and standards. The included data do not constitute a recommendation for, endorsement of, or certification of the product or material tested. These data are provided for informational purposes only and are not to be considered part of the basic representation or warranty, expressed or implied, including the implied warranties of merchantability or fitness for a particular purpose, that its products will conform to these test data. Solar Gard's limited warranty should be carefully reviewed prior to purchasing any Solar Gard product. Extrapolation of data from the sample or samples relation to the batch or lot from which data were obtained may not correlate and should be interpreted accordingly with caution. Solar Gard shall not be responsible for variations in quality, composition, appearance, performance, or other feature of similar subject matter produced by persons or under conditions over which Solar Gard has no control. 3. Performance results for summer solar heat gain reduction and glare reduction are calculated by comparing filmed glass O to that of untreated glazing. AtSolar, www.solargard.com/us Gard SK0314PANSL1 03/13 0 Copyright 2013, Saint-Gobain Performance Plastics Corporation and/or its affiliates • All Rights Reserved • www.solargard.com �. SAINT G DBAIN APlease recycle A better environment inside and out.' Solar Gard' Solar Control Window Films Panorama® Slate 10 in IN Performance results 1/8" 1/4" 1/8"+1/8" (3mm) (6mm) (3mm+3mm) Solar energy % Transmittance 8 8 7 % Absorptance 44 51 51 % Reflectance 48 41 42 Visible light % Transmittance 12 12 11 % Reflectance exterior 44 43 46 % Reflectance interior 21 21 21 Emissivity .82 .82 .82 Winter U-Factor (BTU hr/ft2 °F) 1.03 1.01 .48 Shading coefficient .24 .27 .38 Solar heat gain coefficient .21 .23 .33 Solar selectivity index — luminous efficacy (VLT/SC) .49 .43 .29 Light to solar heat gain factor (VLT/SHGQ .57 .50 .34 % Ultraviolet light blocked @ 300 to 380 nm >99 >99 >99 • Total solar energy rejected 79 77 67 • Summer solar heat gain reduction 76 71 56 % Glare reduction 87 87 87 Physical properties nominal Gauge Tensile strength 2.5 mil (62 micron) 30,000 Ibs/in2 (2,110 kg/cm2) www.solargard.com/us SK0314PANSL1 03/13 ® Copyright 2013, Saint-Gobain Performance Plastics Corporation and/or its affiliates • All Rights Reserved •-solargard.com .-SS-S UENERG "�L `i (,ANCERV STARTNER Only available through an authorized Panorama dealer. /I\\ JM�aalar" M SAINTr;M Authorized Panorama^ Dealer //,, lffSolar Gard 'qqftw" SAINT GOBAIN n 0 4 Please recycle CLIMATEC MEASUREMENT AND VERIFICATION AGREEMENT FOR City of Santa Clarita, CA SCOPE OF SERVICES TERMS AND CONDITIONS ATTACHMENTS Attachment "A" — Guaranteed Savings Measurement & Verification I. Savings Guarantee II. Measurement And Verification Methods III. Selected Measurement And Verification Options IV. Specific M&V Plan For Each ECM: a. Lighting System Upgrades b. HVAC System Installation c. HVAC Controls Upgrades d. High Efficiency Transformer Upgrades Attachment "B" — Utility Baseline Summary Attachment "C" — Standards of Operation (Lighting & HVAC) I. Standards of Operation for HVAC II. Standards of Operation for Lighting City of Santa Clarity *CLIMATECc M&V Agreement MERGINGBUILDINGS &TECHNOLOGY Page 1 of 5 CLIMATEC M&V AGREEMENT This Measurement and Verification ("M&V") Agreement ("Agreement") entered into as of September 19, 2022 ("Effective Date' is made by and between: City of Santa Clarita, CA ("Purchaser's with its principal place of business at 23920 Valencia Blvd., Suite 300, Santa Clarita, CA 91355 and Climatec LLC with its principal place of business at 2150 Towne Centre Place, Suite 200 Anaheim, CA 92805 This agreement shall include the Attachment(s) listed below. Attachment "A" - Guaranteed Savings Measurement & Verification Attachment `B" — Utility Baseline Summary Attachment "C" — Standards of Operation (Lighting & HVAC) SCOPE OF SERVICES Energy Savings Measurement & Verification Service: Climatec LLC will provide measurement and verification services of the energy savings associated with Purchaser's Energy Retrofit Installation, as described in Attachment A - Scope of Work, located in the associated Installation Agreement. Energy Savings M&V reports will be provided to the Purchaser on an annual basis. Term: The terms of this Service Agreement shall continue for up to 25 Years. The agreement shall commence upon the completion and acceptance of the Purchaser's energy retrofit installation project and receipt of final payment for the associated Installation Contract and shall initially continue for a term of 3 years. If authorized by the Purchaser, the agreement may be extended beyond three years. The Purchaser may terminate this service agreement at any time with a 60 day written notice. However, termination of this agreement will void any savings guarantee associated with this project. Charges: This Agreement shall be billed once per year and is due and payable within forty-five (45) days of the Purchaser's receipt of each invoice, which shall be sent quarterly beginning 30 days following receipt of final payment for the associated Installation Agreement work. The annual Service Agreement charge is $28,000 for each of the first three years. This rate does not include taxes. After year three, the City may elect to continue the Service Agreement and the annual charge will be escalated at 4% per year for every subsequent year after year three. Without formal authorization from the Purchaser to continue M&V services and the savings guarantee past year three, the Service Agreement will terminate automatically. City of Santa Clarita * CLIMATECc M&V Agreement MERGING BUILDINGS & TECHNOLOGY Page 2 of 5 TERMS AND CONDITIONS 1. General Provisions: 1.1 Unless stated otherwise, the services provided under this Agreement shall be provided during Climatec LLC's normal business hours. Normal business hours are Monday through Friday, 8:00 A.M. to 5:00 P.M. inclusive, excluding holidays. 1.2 The Purchaser shall provide reasonable means of access to the equipment being measured or verified. Climatec LLC shall not be responsible for any removal, replacement, or refinishing of the building structure, if required to gain access to the equipment. Climatec LLC shall be permitted to start and stop all equipment necessary to perform the services herein described as arranged with the Purchaser's representative. 1.3 This Agreement, when accepted in writing by authorized representatives of Purchaser and Climatec LLC, shall constitute the entire Agreement between the two (2) parties. 2. Charges: 2.1 For services not covered by this Agreement, but performed by Climatec LLC upon the Purchaser's authorization, the Purchaser agrees to pay Climatec LLC within forty-five (45) days of presentation of properly itemized invoice(s) at Climatec LLC's current rates. 2.2 If emergency service is requested by the Purchaser and inspection does not reveal any defect for which Climatec LLC is liable under this Agreement, the Purchaser will be charged at Climatec LLC's current emergency charge rates. 3. Limitations of Liability: 3.1 Climatec LLC shall not be liable for any loss, delay, injury, or damage that may be caused by circumstances beyond its control including, but not restricted to; acts of God, war, civil commotion, acts of government, fire, theft, corrosion, floods, lightning strikes, freezes, strikes, lockouts, differences with workmen, riots, explosions, quarantine restrictions, delays in transportation, shortage of vehicles, fuel, labor or materials, or malicious mischief. IN NO EVENT SHALL EITHER PARTY BE LIABLE FOR BUSINESS INTERRUPTION, LOSSES, OR CONSEQUENTIAL, INDIRECT, SPECIAL OR SPECULATIVE DAMAGES 3.2 Climatec LLC shall not be required to make safety tests, install new devices, or make modifications to any equipment to comply with recommendations or directives of insurance companies, governmental bodies, or for other reasons. 3.3 Climatec LLC shall not be required to make replacements or repairs necessitated by reason of negligence, abuse, misuse, or by reason of any other cause, unless such repairs are necessitated due to the actions or inaction of Climatec LLC, or its employees, representatives, agents, consultants, or subcontractors. 3.4 This agreement pre -supposes that all equipment is in satisfactory working order. Climatec LLC will inspect the equipment within sixty (60) days after the agreement takes effect and will advise the Purchaser of any equipment found to be in need of repair. If the Purchaser does not authorize Climatec LLC to make the repairs or if the Purchaser does not have the work performed, the equipment will be eliminated from coverage and the Agreement savings will be adjusted. Maintenance of existing equipment and systems is the responsibility of the Purchaser. Failure to properly maintain equipment and systems can result in reduced energy efficiency and may necessitate a baseline energy adjustment and annual Service Agreement charge will be proportionately reduced. There may be some equipment which, for reasons beyond Climatec LLC's control, cannot be inspected before this Agreement takes effect. Climatec LLC will inspect such equipment on the first visit where the equipment is available. 3.5 The amount of any present or future sales, use, occupancy excise, or other tax (federal, state, or local) which Climatec LLC hereafter shall be obligated to pay, either on its own behalf or on the behalf of the Purchaser or otherwise, with respect to the services covered by this Agreement, shall be paid by the Purchaser. 3.6 If the equipment or software included under this Agreement is altered, modified, or changed by a party other than Climatec LLC, this Agreement shall be modified to incorporate such changes and the Agreement price and/or Savings shall be adjusted accordingly, and the Annual Service Agreement charge shall be adjusted accordingly. City of Santa Clarita * CLIMATECc M&V Agreement MERGING BUILDINGS & TECHNOLOGY Page 3 of 5 3.7 Following twelve (12) months of service or any time thereafter, if individual item(s) cannot, in Climatec LLC's opinion, be properly repaired on -site because of excessive wear or deterioration, Climatec LLC may withdraw the item(s) from coverage upon ninety (90) days prior written notice. Energy savings may be adjusted accordingly. 3.8 This Agreement shall be governed by, construed, and enforced in accordance with the laws of the State of California. 4. Miscellaneous Provisions: 4.1 Safety and Security: The services provided hereunder may occur on active Purchaser sites. As such, Climatec LLC shall ensure that its services on and around the Purchaser site comply with all applicable laws, regulations and standards and any other legal requirements which may be applicable to Climatec LLC's activities on or about the Purchaser sites. While the Purchaser shall reasonably assist Climatec LLC in determining the applicable requirements, it shall be Climatec LLC's sole responsibility for determining and complying with all applicable laws, regulations, and standards. 4.2 Dispute Resolution: a. In the event of any dispute whatsoever between the Parties, Parties shall exhaust every reasonable effort to settle or dispose of the same, including a discussion of the matter between senior executives of each Party. b. Claims between City and Contractor shall first be resolved using the procedures set forth at California Public Contract Code section 9204. "Claims" are defined, pursuant to California Public Contract Code section 9204, as a separate demand by Contractor for one of the following: a time extension for relief from penalties for delay, payment of money or damages arising from work done; or payment of an amount disputed by City. C. Upon receiving a claim sent by registered or certified mail, City must review and provide a written response within forty-five (45) days that identifies the disputed and undisputed portions of the claim. The forty-five (45) day period to respond may be extended by mutual agreement between the Parties. The claim is deemed rejected in its entirety if City does not issue a response. Any payment due on an undisputed portion of the claim must be processed within sixty (60) days after City's response. If a claimant disputes City's response or lack thereof, the claimant may demand to meet and confer for settlement of the issues in dispute. Any portion of a claim that remains in dispute after a meet and confer conference will be subject to nonbinding mediation process, as described in California Public Contract Code section 9204. Undisputed and unpaid claims accrue interest at seven percent (7%) per annum. A subcontractor or lower tier subcontractor may make a claim to the City through Contractor, as specified in California Public Contract Code section 9204. However, the procedures in this section shall not supersede the requirements of the Agreement with respect to Contractor's notification to City of such claim or extend the time for the giving of such notice as provided in the Agreement. d. Any controversy or claim arising out of or relative to the Agreement, or the breach thereof, not adjusted or disposed of by mutual agreement between the Parties as described above, shall be first settled by mediation and then (in the absence of settlement after mediation), by arbitration under the American Arbitration Association Construction Arbitration Rules then in effect, and judgment upon the award rendered by the arbitrator(s) may be entered in any court having jurisdiction thereof, and arbitration decision shall be final and binding on the Parties and on all Parties subject to the following. Said arbitration proceedings shall be filed in the Regional office of the American Arbitration Association nearest to City. All arbitrators shall be bound by the terms of the Agreement. The expenses of any arbitration shall be borne equally by the Parties to the arbitration, provided that each Party shall pay for and bear the cost of its own experts, evidence, and counsel. e. Pending a final resolution of a Dispute, the Parties shall each proceed diligently and faithfully with performance of their respective obligations under this Agreement. 4.3 Indemnification: To the extent it may lawfully do so, the Parties hereby indemnify, defend (with counsel of its choosing), and holds harmless the other party and its affiliates, directors, representatives, agents, officers, employees and volunteers from and against any and all liability or claim of liability, loss or expense, including defense costs and legal fees and claims for City of Santa Clarita * CLIMATECc M&V Agreement MERGING BUILDINGS & TECHNOLOGY Page 4 of 5 damages of whatsoever character, nature and kind, whether directly or indirectly arising from any third party actions from injury to or death of persons, and damage to or loss of property to the extent caused by or arising out of or connected with an act or omission of the indemnifying party, or an agent, invitee, guest, employee, or anyone in, on or about the Purchaser sites, including, but not limited to, liability, expense, and claims for: bodily injury, death, personal injury, or property damage caused by negligence, creation or maintenance of a dangerous condition of property, breach of express or implied warranty of product, defectiveness of product, or intentional infliction of harm, including any workers' compensation suits, liability, or expense, arising from or connected with services performed by, or on behalf of the, indemnifying party, by any person pursuant to this Agreement; nonpayment for labor, materials, appliances, teams, or power, performed on, or furnished or contributed to the Purchaser sites. Notwithstanding the above, neither party shall be required to defend, indemnify and hold harmless the other for its own negligent acts and omissions or willful misconduct. It is the intent of the Parties that where negligence is determined to have been joint or contributory, principles of comparative negligence will be followed, and each Party shall bear the proportionate cost of any loss damage, expense or liability attributable to that Party's negligence. 5. Occupational Safety and Health: The Parties hereto agree to notify each other immediately upon becoming aware of any alleged violation of, the Occupational Safety and Health Act (OSHA) relating in any way to the project or project site. 6. Entire Agreement: This Agreement, upon acceptance, shall constitute the entire agreement between the parties and supersedes any prior representations or understandings. 7. Changes: No change or modification of any of the terms and conditions stated herein shall be binding upon either Party unless accepted by both Parties in writing. 8. Severability: If one or more of the provisions of this Agreement are held to be unenforceable under laws, such provision(s) shall be excluded from these terms and conditions and the remaining terms and conditions shall be interpreted as if such provision were so excluded and shall be enforced in accordance to their terms and conditions. 9. Counterparts: This Agreement may be executed in multiple counterparts, each of which shall be deemed an original and all of which together shall constitute one and the same instrument. A signature on a copy of this agreement received by either party by facsimile or portable document format (PDF) is binding upon the other party as an original. The parties shall treat a photocopy of such facsimile as a duplicate original. 10. Assignment: Climatec LLC retains the right to assign its rights and obligations of this Agreement only with advance written consent of Purchaser. 11. Acknowledgment: Both Climatec LLC and the Purchaser acknowledge having read this Agreement, and all Attachments hereto, and have executed this agreement on the date written above. 12. Approval: Each party represents that the person that has executed this Agreement on its' behalf is authorized to do so. City of Santa Clarita, CA Climatec LLC Signature Print Name Title Date * CLIMATECc MERGING BUILDINGS & TECHNOLOGY Signature Print Name President — Energy Services Title Date City of Santa Clarita M&V Agreement Page 5 of 5 Attachment "A" Guaranteed Savings Measurement & Verification *CLIMATECCity of Santa Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 1 of 17 Attachment A Guaranteed Savings Measurement & Verification This document contains the energy savings Measurement and Verification (M&V) plan for the Energy Conservation Measures (ECMs) contained in the Installation Agreement. The following table summarizes the ECMs proposed. — See below Table 1.0 TABLE 1.0 Site Lighting System Upgrades HVAC System Installation HVAC Control Upgrades High Efficiency Transformers Solar PV System Installation Solar Thermal for Pool Heating Energy (Battery) Storage Systems Refrigeration System Installation Irrigation System Upgrades Window Improvements New Roofing& Insulation Aquatic Center &Skate Park X X X X X Business Incubator X X X Canyon Country Community Center X Canyon Country Library X X X CityHall X X X X X X X Corporate yard X X X X Newhall Community Center X X X X Maintenance Shop @ Central Park X X X Metrolink Jan Heidt X X X Metrolink Santa Clarita X X X Metrolink Via Princessa X X X Old Town Newhall Library X X X Parking Garage X The Centre & Gymnasium X X X X X The Cube X X X X X X X The Main X X X Transit Maintenance Facility X X X X X Almendra Park X Begonias lane Park X Bouquet Canyon Park X X Bridgeport Park X X Canyon Country Park X X X Central Park X X X X Circle J. Ranch Park X Creekview Park X Newhall Park X X X North Oaks Park X X X X Oak Springs Canyon Park X Old Orchard Park X X X Pampalica Park X Santa Clarita Park X X X Todd Longshore Park X Valencia Central Valley X Valencia Heritage Park X X Valencia Meadows X X X Valencia Summit Park X Valencia Glen Park X X X Valencia Library X Various Parks X A specific Measurement and Verification Plan is submitted for each Energy Conservation Measure (ECM) to provide a comprehensive overall Plan for Purchaser. Each measure's M&V Plan provides: ➢ A description of how the savings shall be verified for each ECM. ➢ Selection of specific protocol for verification of savings of each ECM. ➢ Requirements for measurement or other means to establish the ECM savings. Climatec LLC is responsible for the pre -retrofit measurement, energy savings calculations, equipment installation, and required post retrofit verification as outlined herein. Purchaser agrees to operate and maintain all equipment installed. Proper operation and maintenance of equipment and systems is critical to long-term achievement of energy savings. *CLIMATECCity of Santa Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 2 of 17 SAVINGS GUARANTEE Climatec LLC warrants that Purchaser shall realize total utility (energy and water) savings and total operational savings ("Guaranteed Project Savings") in excess of the total project cost, during the course of the useful life of the equipment The effective date will begin on the date of final acceptance of the Installation project and receipt of final payment for the associated Installation Contract and continue for a term not to exceed 25 years (Guarantee Period). Climatec LLC agrees to complete the M&V Report on an annual basis and deliver to the Purchaser within sixty (60) days of the anniversary date of final acceptance and annually thereafter. Project savings that are verified during the course of construction will be applied to the first year guaranteed project savings. Annual Savings Summary Utility Savings Total Utility Savings $ 412,522 Solar PV Savings $ 428,957 Utility Savings $ 841,479 Operational Savings Total Operational Savings $ 696,815 Operational Savings $ 696,815 Total First Year Annual Savings $ 1,538,295 If the annual M&V Report demonstrates that the project will achieve one hundred percent (100%) or more of the Guaranteed Project Annual Savings, then Climatec LLC shall have satisfied its energy performance guarantee obligation and the Purchaser shall accept the Annual M&V Report. In the event that an annual M&V Report savings value (including any excess, unapplied savings from previous years) does not meet the Guaranteed Project Savings in accordance with the M&V Plan, then Climatec LLC shall repair, replace, or substitute the ECM that is not performing at the required level, as identified in the M&V Report, and at Climatec LLC's sole expense. Following corrective action, Climatec LLC shall re -perform the relevant M&V work for the affected ECM(s) and amend or supplement the M&V Report. If the sum of the ECMs indicates that the Guaranteed Project Savings are met or exceeded, then no further remedy shall be required. If, after the opportunity to make corrections, the M&V Report, as amended, indicates that verified savings are less than the Guaranteed Project Savings as shown in the Savings Summary, then Climatec LLC shall pay the Purchaser the shortfall amount. However, under no circumstances will the amount(s) paid for the total of the energy savings shortfalls exceed the Installation Contract Amount. The Purchaser agrees that project savings, which exceed the guaranteed amount in any one (1) year, may be applied to future year's savings to offset an energy savings shortfall. The savings guarantee will remain in effect for the term of this agreement. Cancellation of this agreement will result in the termination of the savings guarantee. The Utility Baseline Summary, as shown in Attachment B, may be modified over the course of the Guarantee Period to adjust for changes in utility rates, number of days in utility billing cycle, square footage, energy using equipment, building occupancy and weather. This Guarantee is subject to the Purchaser's adherence to the Standards of Operation for Lighting and HVAC systems, as documented in Attachment "C" of this agreement. *CLIMATECCity of manta Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 3 of 17 MEASUREMENT AND VERIFICATION METHODS Measurement and Verification (M&V) of energy savings is a methodology based on standard industry protocol intended to provide reasonable assurance that energy savings calculated are realized over the term of the contract The development of the M&V plan is based on the IPNIVP-2022 (International Performance Measurement and Verification Protocol) and the application of sound engineering and business guidelines to the overall need for verification of energy savings for each ECM. This plan contains methodology that shall cost effectively provide assurance of equipment savings through short term or spot measurements, engineering calculations and/or direct utility billing comparisons. The necessary components to a well -established M & V Plan are: ➢ Specific identification of each ECM and proposed M&V reporting requirements for overall savings. ➢ Participation of all parties and any necessary coordination with independent review. Methods of M&V vary in accordance with the type of project, level of assurance of savings, cost, and availability of data, financing constraints, and energy costs. The methods selected must be cost effective given the financial savings to the Purchaser. The methods used for the ECMs detailed herein were selected to minimize M&V cost while still providing a reasonable assurance of the savings calculations. The IPMVP-2022 guideline provides the following options related to methodology for M&V: Option A — Partially Measured Retrofit Isolation. Option A uses a combination of stipulated and/or measured factors to calculate baseline usage and savings associated with the ECM. Spot or short-term measurement would be used for the measured values. Stipulated values are supported by Purchaser input, historical data, or manufacturer data. ➢ Baseline and savings calculations are provided through engineering calculations, component or system models. ➢ Depending on number of points measured, Option A provides the least cost alternative to M&V. Option B — Retrofit Isolation. Option B provides for measurement to provide data for asses sing values or variables. Spot or short-term measurement, taken at the component and/or system level are taken when variations in factors can be accounted for or eliminated. Continuous measurement at the component and/or system level can also be used to account for the variations in factors over time. ➢ Baseline and savings calculations are provided through engineering calculations, component or system models. Cost is variable depending on the points measured, and the term of the measurement process used. Option B provides a better scenario for ECMs where a small number of factors can be accurately measured with a measurement plan. Option C — Whole Building. Option C involves the use of utility meters or whole building sub -metering to assess the energy performance of the entire building. After an ECM is implemented the billing data is assessed in accordance with an approved plan to determine actual ECM savings. ➢ Baseline is established through utility data and engineering/regression analysis. ➢ Engineering calculations or modeling initially provides estimated ECM savings. ➢ Actual ECM savings are based on the utility or metered data. Savings must be adjusted for changes in building operation and variables assumed in the engineering calculations or modeling (such as weather, occupancy, etc.). ➢ Cost of this approach is variable based on the availability of utility data, sub -metered data, and overall savings guarantee. If the metered data is used for a savings guarantee, all variables related to building performance must be measured and adjusted, usually on an annual basis. Option C usually requires a *CLIMATECCity of Santa Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 4 of 17 substantial amount of time and effort to establish the baseline, provide adjustments and track the savings. Option D — Calibrated computer simulation. Option D uses computer -modeling techniques to provide an engineering model of component and/or system performance. The inputs to the computer simulation may be made by engineering estimates, short or long term measurements, and utility or other metered data. Once the model is properly calibrated it is used for the establishment of the baseline and savings by changing appropriate inputs. ➢ Baseline is established through a calibration process for the computer modeling. Appropriate measurements and inputs are reflected against regression analysis for the metered data. ➢ Once the model is calibrated and the baseline established inputs are varied for the proposed ECM to establish savings. ➢ Actual ECM savings are stipulated based on the computer model. There may be follow up calibration of the model with the ECM in place to affirm the overall building simulation model. ➢ Cost of this method varies based on the complexity and accuracy of model desired, availability of data and overall measurement required. *CLIMATECCity of Santa Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 5 of 17 SELECTED MEASUREMENT AND VERIFICATION OPTIONS For the ECM's covered under this M&V plan, the Table of Selected M&V Options, located on the following page summarizes the proposed IPMVP Options selected: See table 1.1 below TABLE 1.1 Site Lighting System pgra Upgrades HVAC System Installation HVAC Control PBra Upgrades High Efficienry Transformers Solar PV System Installation Solar Thermal for Pool Heating Energy (Battery( Stora S stems Be y Refrigeration System Installation Irrigation System pgra Upgrades Window provemen Im is New Roofing& Insulation Aquatic Center&Skate Park A A A A c Business Incubator c c c Canyon Country Community Center A Canyon Country Library c c c CityHall c c c c c c S. Corporate yard A A A A Newhall Community Center c c c c Maintenance Shop @Central Park A A A Metrolink Jan Heidt A A A Metrolink Santa Clarita A A A Metrolink Via Princessa A A A Old Town Newhall Library A A c Parking Garage A The Centre & Gymnasium A A A A c The Cube c c c c c c S* The Main A A A Transit Maintenance Facility A A A A S* Almendra Park A Begonias Lane Park A Bouquet Canyon Park A A Bridgeport Park A A Canyon Country Park A A A Central Park A A A A Circle J. Ranch Park A CreekAew Park A Newhall Park A A A North Oaks Park A A A c Oak Springs Canyon Park A Old Orchard Park A A A Pampalica Park A Santa Clarita Park A A A Todd Longshore Park A Valencia Central Valley A Valencia Heritage Park A A Valencia Meadows A A c Valencia Summit Park A Valencia Glen Park A A c Valencia Library A Various Parks $* S*-Stipulated The particular option selected for each ECM was based on a number of related issues including: ECM cost, ECM savings, cost of Measurement and Verification and the ability to accurately determine whole building operations. The baseline and the post -installation energy use depend on various system and external factors, such as energy demand, operating hours, weather conditions, motor loading, energy rates, and occupancy. Development of the baseline, post ECM consumption, cost avoidances and simple payback for each ECM covered by this M&V plan includes: ➢ Stipulated Values — These values are important in the overall calculations for energy consumption, financial calculations, and operating conditions. Climatec LLC and Purchaser have agreed to these values for purposes of establishing savings. ➢ Developed/Measured Values — These are the values determined by spot or short-termmeasurement. Values are determined based on a sound engineering approach to variable determination. Both values used for baseline consumption and values to be measured/determined as parts of the post ECM implementation are detailed. ➢ Assumptions — Some values that are assumed in order to calculate energy use are necessary in certain *CLIMATECCity of Santa Clarita M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 6 of 17 circumstances. ➢ Calculations — The necessary calculations for baseline energy and demand usage, the calculation of the energy and demand components with implementation of the ECM, the calculation of costs, and annual savings are the primary tool for assessing the estimated and actual savings of any ECM. ➢ Instrumentation — The type and specifications, if applicable, for any instrumentation used for developed/measured values is provided to ensure appropriate meters and measurement equipment is used for specified applications. Pre Retrofit Measurements — Each ECM may have a section detailing the measurements required prior to the retrofit. These measurements are used to establish the baseline or adjustments required to establish an accurate baseline. Post Retrofit Measurements — Each ECM may have a section that details the measurements required if any after the retrofit is completed. This section is utilized to detail the type of measurements required for verification of the energy savings calculations. ➢ Adjustments — Each ECM may have a section for adjustments. This section includes possible adjustments to the actual Energy Audit Report and energy information, appropriate adjustments to the M&V plan, and adjustments to any savings guarantee. This section is utilized to anticipate changes necessary due to field conditions and provide an appropriate response in the verification of actual energy and costavoidances. Commissioning — Each ECM may have a section regarding the commissioning process. This provides the detail for how the savings will be verified upon project completion, and the type of inspection that will be completed, and the billing method for verified savings. This section is utilized to provide a standard approach for each ECM upon project completion. Climatec LLC will follow the agreed -upon M&V protocols for the measurement period and will prepare post - installation reports with supporting documentation for the Purchaser. The cost of M&V is included in the project cash flow requirements. *CLIMATECCity of Santa Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 7 of 17 SAMPLE MEASUREMENT AND VERIFICATION PLAN "OPTION A" FOR LIGHTING SYSTEM UPGRADES Introduction This Measurement and Verification Plan (M&V) is specific to all lighting retrofits and occupancy sensor installations. The sites receiving these upgrades are listed in the Table of Recommended Measures located at the beginning of this Attachment. M&V Protocol For this ECM, IPMVP Protocol — Option A shall be utilized. This option provides for the measurement of at least one variable pre and post retrofit with other variables allowed for stipulation. For this retrofit, a representative sample of each of the fixture types will be measured. The same sample will be used for both pre and post retrofit calculations. Wattage shall be measured with an appropriate instrument that is properly calibrated. Light Levels A representative sample of the light levels shall be measured. Where rooms have similar or identical lighting design, it is not required that each room be measured. Light levels shall be measured by an appropriate instrument that is properly calibrated. Light level measurements apply to both pre and post retrofit areas and shall be recorded at the work surface. Where rooms do not have a specific work surface (such as gymnasiums) light levels shall be measured at the floor. Documentation All areas measured shall be documented. The data shall indicate areas that do not meet IESNA standard light level requirements. All instrumentation used shall be clearly documented. Stipulated Values Operating Hours are stipulated for purposes of M&V. Please see Attachment "C", Lighting Standards of Operation for a complete list of lighting hours of operation. Stipulated values are agreed to by the Purchaser. Savings Calculations The calculations for the baseline energy consumption and post retrofit savings provide the basis for the overall financial viability of this ECM. kWh and/or kW Savings The electrical consumption reduction of a particular lighting ECM is determined by comparing the pre and post conditions applied to the hours agreed upon in the Standards of Operation. {[(Existing watts/fixture) x (existing quantity) x (existing hours of operation)] — [(proposed watts/fixture) x (proposed quantity) x (proposed hours of operation) } / 1000 = kWh savings Dollar Savings After calculating the kWh saved, the specific facility's average cost per kilowatt hour shall be used to determine dollar savings. (kWh saved) x (average kWh rate) = $ kWh saved ($ kWh saved) = the total dollars saved Operational Savings The Purchaser will realize maintenance and operational savings resulting from the new lighting system installations, extended warranties, and/or service agreements provided by Climatec LLC. The operational savings are stipulated and met upon the completed installation of the energy retrofit contract. *CLIMATECCity of manta Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 8 of 17 Adjustments For this ECM the following adjustments are allowed for purposes of Measurement and Verification: ➢ Light level requirements may be modified as detailed in this plan. ➢ Changes in actual construction including number and/or type of fixtures. All changes shall be clearly documented and provided to the Purchaser's representative. ➢ Utility rates, billing days or degree days. Commissioning Commissioning shall consist of inspections and a final savings verification report. Inspections shall consist of: ➢ During the construction phase of the project, Climatec LLC shall keep a detailed record of the quantity and types of fixtures retrofitted and fixtures installed in each building. A post construction inspection is required by the responsible M&V party. ➢ After lighting modifications have been made, the installations shall be inspected to verify the retrofit counts by fixture code. ➢ Post retrofit lighting levels shall be measured to verify compliance with the contract standards. *CLIMATECCity of Santa Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 9 of 17 SAMPLE SPECIFIC MEASUREMENT AND VERIFICATION PLAN "OPTION A" FOR HVAC SYSTEMS INSTALLATION Introduction This Measurement and Verification Plan (M&V) is specific to the installation of new high efficiency HVAC units at the sites listed in the Table of Recommended Measures located at the beginning of this Attachment. M&V Protocol For this ECM, IPMVP Protocol — Option A shall be utilized. This option shall provide for the measurement of at least one variable pre and post retrofit with other variables allowed for stipulation. For this retrofit, field data shall be collected which includes, unit counts, unit tonnage, nameplate horsepower and efficiency rating for each existing HVAC system. Stipulated Values Hours of Operation, heating/cooling loads and runtime hours of the existing HVAC systems are stipulated for purposes of M & V. Please refer to Attachment C, HVAC Standards of Operation in this agreement for specific operating hours and runtime hours for each HVAC unit or area. Stipulated values are agreed to by Purchaser. Calculations The calculations for the baseline energy consumption and post -retrofit savings provide the basis for the overall financial viability of these ECM's. The following equations summarize the calculation of savings: Electric (kWh) Savings The electrical usage reduction of this ECM is determined by the following equation: ((Size of Existing HVAC Unit) x (Unit Efficiency) x (Stipulated Load Factor) - (Size of New Cooling Unit) x (Unit Efficiency) x (Stipulated Load Factor)) x (Annual Operating Hours) = kWh Savings Dollar Savings After calculating the kWh saved, the specific facility's average cost per kilowatt hour shall be used to determine dollar savings. (kWh saved) x (average kWh rate) = $ kWh saved ($ kWh saved) = Total dollars saved Operational Savings The Purchaser will realize maintenance and operational savings resulting from the new system installations, extended warranties, and/or service agreements provided by Climatec LLC. The operational savings are stipulated and met upon the completed installation of the energy retrofit contract. Pre Retrofit Measurements None required for this ECM. Post Retrofit Measurements None required for this ECM. *CLIMATECCity A of manta tt A M&V Agreement — tt A MERGING BUILDINGS & TECHNOLOGY Page 10 of 17 Adjustments None required for this ECM. Commissioning Commissioning shall consist of inspections, and a final Commissioning report. The Inspections and Report shall consist of: ➢ Commissioning of the newly installed HVAC equipment shall include verification that each new unit is operating, as specified, in all modes (heat/cool). *CLIMATECCity A of Santa rt A M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 11 of 17 SPECIFIC MEASUREMENT AND VERIFICATION PLAN "OPTION A" FOR HVAC CONTROLS UPGRADES Introduction This Measurement and Verification Plan (M&V) is specific to the energy management system upgrades at the sites listed in the Table of Recommended Measures located at the beginning of this Attachment. M&V Protocol For this ECM, IPMVP Protocol — Option A shall be utilized. This option shall provide for the measurement of at least one variable pre and post retrofit with other variables allowed for stipulation. The cooling and heating setpoints during occupied and unoccupied modes of the HVAC equipment will be verified and documented. For this retrofit, field data shall be collected which includes, unit counts, unit tonnage, nameplate horsepower, efficiency rating, operating schedules, cooling and heating temperature setpoints for each HVAC system. Stipulated Values Hours of operation and heating/cooling load factors are stipulated for purposes of M&V. Please refer to the Attachment C, HVAC Standards of Operations for specific existing and proposed operating hours for each HVAC unit or area. Stipulated values are agreed to by Purchaser. Calculations The calculations for the baseline energy consumption and post retrofit savings provide the basis for the overall financial viability of these ECM's. Post -retrofit operating schedules and trend reports will be used to verify the inputs such as operating hours, cooling/heating temperature setpoints that are used in the calculations to validate the savings. The following equations summarize the calculation of savings: Electric (kWh) Savings The electrical usage reduction of this ECM is determined by applying the stipulated runtime reduction to the calculated energy usage of the HVAC unit. (Size of HVAC unit) x (Unit efficiency) x (Stipulated load factor) x (Existing annual operating hours — Proposed annual operating hours) = kWh savings Natural Gas (Therms) Savings The natural gas usage reduction of this ECM is determined by applying the stipulated runtime reduction to the calculated energy usage of the HVAC unit. (Size of Heating unit) x (Unit efficiency) x (Stipulated load factor) x (Existing annual operating hours — Proposed annual operating hours) = Therm savings Dollar Savings After calculating the kWh saved and the Therms saved, the specific facility's average cost per kWh and the average cost per Therm of natural gas shall be used to determine dollar savings. (kWh saved) x (average kWh rate) = $ kWh saved (Therms saved) x (average Therm rate) = $ Therms saved ($ kWh saved) + ($ Therms saved) = Total dollars saved Operational Savings The Purchaser will realize maintenance and operational savings resulting from the new system installations, extended warranties, and/or service agreements provided by Climatec LLC. The operational savings are stipulated and met upon the completed installation of the energy retrofit contract. *CLIMATECCity of manta Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 12 of 17 Pre Retrofit Measurements Existing operating hours and cooling/heating temperature setpoints for each HVAC unit or area will be obtained from current thermostats/EMS. Post Retrofit Measurements Post -retrofit operating schedules, cooling and heating temperature setpoints in both occupied and unoccupied modes for the HVAC equipment will be obtained using the new controls system. Adjustments For this ECM the following adjustments are allowed for purposes of Measurement and Verification: ➢ Addition or subtraction to the conditioned square footage of facilities. ➢ Utility rates, billing days or degree days. ➢ Equipment changes. ➢ Increase or decrease in facility usage as associated with daily occupancy times and special events. Commissioning Commissioning shall consist of inspections, and a final Commissioning report. The Inspections and Report shall consist of: ➢ Commissioning of the newly installed energy management system (EMS) shall include verification that the operating schedules, cooling and heating temperature set points and the control sequences for the HVAC equipment have been programmed as specified. *CLIMATECCity of manta Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 13 of 17 SPECIFIC MEASUREMENT AND VERIFICATION PLAN "OPTION A" FOR HIGH EFFICIENCY TRANSFORMER UPGRADES Introduction This Measurement and Verification Plan (M&V) is specific to all high efficiency transformer upgrades. The sites receiving these upgrades are listed in the Table of Recommended Measures located at the beginning of this Attachment. M&V Protocol For this ECM, IPMVP Protocol Option A- Retrofit Isolation shall be utilized. This option is based on a combination of measured and estimated factors when variations in factors. Measurements are short-term, periodic, or continuous, and are taken at the component or system level for both the baseline and the retrofit equipment. Estimated factors are supported by historical or manufacturer's data. Savings are determined by means of engineering calculations of baseline and reporting period energy use based on measured and estimated values. Hours of operation are stipulated for the purposes of M&V. The following electrical system data will be measured and logged over a 15 minute period when the transformers are operating under typical conditions for the facility. Field measurements will be taken for both the old and new transformers under similar electrical load conditions with appropriate calibrated instruments. • Transformer Losses • Transformer Loading (k)XI) • Power Quality Data • Other measured parameters include voltages, currents, power factor, etc. Calculations The calculations for the baseline electrical demand and consumption and post retrofit savings provide the basis for the overall financial viability of this ECM. Electric (kWh) Savings The electrical consumption reduction of a transformer replacement is determined by comparing the measurements specified above at pre and post conditions within the typical loading range. Electrical demand and consumption savings are determined according to the equation given below for each transformer. kWh Savings = [Existing Transformer Losses (kW) — Replacement Transformer Losses (M] x Operating hours Dollar Savings After calculating the kWh saved, the specific facility's average cost per kilowatt hour shall be used to determine dollar savings. (kWh saved) x (average kWh rate) = $ kWh saved ($ kWh saved) = Total dollars saved Adjustments For this ECM the following adjustments are allowed for purposes of Measurement and Verification: ➢ Changes in utility rates and tariffs ➢ Changes in the transformer usage or load profile as a result of facility alterations ➢ Modifications or removal of transformers after the guarantee period has started ➢ Variations in actual construction including number and/or type of transformers installed *CLIMATECCity of manta Clarity M&V Agreement — Art A MERGING BUILDINGS & TECHNOLOGY Page 14 of 17 Commissioning ➢ Commissioning shall consist of on -site inspections, an ISO 17025 Certified Efficiency Test Lab report, and a final savings verification report. *CLIMATECCity A of Santa tt A M&V Agreement — tt A MERGING BUILDINGS & TECHNOLOGY Page 15 of 17 SPECIFIC MEASUREMENT AND VERIFICATION PLAN "OPTION C" FOR WHOLE FACILITY UPGRADE WITH MULTIPLE ECM'S Introduction This Measurement and Verification Plan (M&V) is designed to assess the impact of multiple energy conservation measures, solar PV systems, solar thermal systems for pool heating and energy (battery) storage systems installed at the same facility. The sites, which qualify for this M&V Plan, are listed in the Table of Recommended Measures located at the beginning of this Attachment. M&V Protocol For sites with multiple interactive ECM's, IPMVP Protocol — Option C shall be utilized. This option involves use of utility meters, whole -facility meters, or sub -meters to assess the energy performance of a total facility. Facility characteristics and energy consumption information must be collected for the entirety of the baseline and reporting periods. This Option determines the collective savings of all ECMs applied to the part of the facility monitored by the energy meter. Independent Variables Regularly changing parameters affecting a facility's energy use are called independent variables. Common independent variables are weather, occupancy, and utility tariffs. All independent variables for the facility will be measured and recorded at the same time as the energy data. For example, weather data will be recorded daily so they can be totaled to correspond with the exact monthly energy -metering period, which may be different from the calendar month. Static Factors Parameters that may affect a facility's energy consumption which are not likely to change during the reporting period are known as static factors. Common static factors for a whole facility retrofit may include the facility square footage, building envelope characteristics, and internal plug -loads. In order to accurately analyze the effects of the building retrofit, any changes of the static factors between the baseline and reporting periods must be documented and accounted for. It is the customer's responsibility to document and report any and all changes of static factors to Chmatec LLC as they occur. On an annual basis, Climatec LLC will conduct a facility review to determine if any major changes to any static factors have occurred which were not previously reported by the customer. Savings Calculations The calculations for the baseline energy consumption and post retrofit savings are completed in accordance with the industry guidelines set forth in IPMVP (2022) & ASHRAE (2022). kWh and/or kW Savings The electrical consumption reduction of the facility shall be reported as "Avoided Energy Use" in which the savings are stated under the conditions of the Reporting Period. Avoided energy use quantifies savings in the reporting period relative to what energy use would have been without the ECM(s). Avoided Energy Use (or Savings) = (Baseline Energy ± Routine Adjustments to reporting period conditions ± Non Routine Adjustments to reporting period conditions) — Reporting Period Energy *CLIMATEC® MERGING BUILDINGS & TECHNOLOGY City of Santa Clarita M&V Agreement — Att A Page 16 of 17 Dollar Savings Cost savings are determined by applying the appropriate price schedule in the following equation: Cost Savings = Cb — Cr Where: Cb: Cost of the baseline energy plus any adjustments Cr: Cost of the reporting period energy plus any adjustments Costs will be determined by applying the applicable rates that were effective during the reporting period in computing both Cb and C.. Since energy savings are being reported as avoided energy, the price schedule of the reporting period will be used to compute the "avoided cost" on a meter by meter basis. The price schedule will be obtained from the energy supplier and will include all elements that are affected by metered amounts, such as consumption charges, demand charges, transformer credits, power factor, demand ratchets, and fuel price adjustments. In the event of a significant decrease in energy prices, the price schedule used for savings reporting will be that which prevailed at the time of commitment to the investment Adjustments All adjustments will be computed from identifiable physical facts about the energy governing characteristics of equipment within the measurement boundary. Two types of adjustments are possible: Routine Adjustments - Routine adjustments are used to account for changes in any energy -governing factors, expected to change routinely during the reporting period, such as weather. This is completed by developing a valid mathematical model of each meter's energy -use pattern. Although model specifics may vary from meter to meter, typically the baseline model includes factors derived from regression analysis, which correlates energy to one or more independent variables such as occupancy, degree days, and metering period length. Current values of independent variables over the reporting period are then inputted into the baseline model to predict what the baseline energy consumption would have been had not ECM's been installed. Non -Routine Adjustments Non -Routine adjustments are used for static energy -governing factors, which are not expected to change, such as: the facility size, the design and operation of installed equipment, or the type of occupancy. All changes to static factors must be documented and reported, as they occur in order to properly quantify the impacts they have on a facilities energy -use pattern. Due to the unpredictable nature and infrequence of static factor changes, customized adjustments will be based on industry standards and sound engineering principals as they pertain to the specific system in question. *CLIMATECCity of manta Clarity M&V Agreement — Att A MERGING BUILDINGS & TECHNOLOGY Page 17 of 17 Attachment "B" Utility Baseline Summary *CLIMATEC ® MERGING BUILDINGS & TECHNOLOGY City of Santa Clarity M&V Agreement — Att B Page 1 of 2 Energy Baseline City of Santa Clarita Baseline Summ ry 12/l/2020 through 11/30/2021 Site Name Address Electricity Cost ($) Electrical Energy Usage (kWh) Avg. Cost ($/kWh) Natural Renewables Renewables Gas Cost Cost ($) Energy (kWh) ($) Natural Gas Energy Usage (Therms) Avg. Cost ($/Therms) Water Cost ($) Water Usage (kGal) Avg. Cost ($/kGal) Aquatic Center&Skate Park 20850 CENTRE POINTE PKWY $156,630 855,275 $0.18 $112,324 128,980 $0.87 Business Incubator 22704 9TH STREET $11,620 58,341 $0.20 $2,802 1,912 $1.47 Canyon Country Library 18601 SOLEDAD CANYON RD $44,778 204,434 $0.22 City Hall 23920 VALENCIA BLVD $193,849 1,068,163 $0.18 $26,446 24,365 $1.09 Corporate Yard 25663 AVENUE STANFORD $63,966 335,315 $0.19 1 $7,720 1 6,540 $1.18 Newhall Community Center 22421 MARKET ST $59,452 276,349 $0.22 $8,637 7,795 $1.11 Maintenace Shop @ Central Park 27150 BOUQUET CANYON RD $34,912 108,292 $0.32 Metrolink Jan Heidt 24247 RAILROAD AVE $18,759 94,448 $0.20 Metrolink Santa Clarita 22122 SOLEDAD CANYON RD $3,770 8,138 $0.46 Metrolink Via Princessa 19201 VIA PRINCESSA $2,011 9,195 $0.22 Old Town Newhall Library 24500 MAIN ST $118,661 741,423 $0.16 $13,235 11,717 $1.13 Parking Garage 22551 9TH ST $25,997 116,510 $0.22 The Centre & Gymnasium 20880 CENTRE POINTE DR $87,264 413,354 $0.21 The Cube 27745 SMYLH DR $377,920 1,923,462 $0.20 $29,832 26,255 $1.14 The Main 24266 MAIN ST $7,060 16,810 $0.42 $341 122 $2.79 Transit Maintenance Facility 28250 CONSTELLATION $81,018 $1,091 810,473 $0.10 $0.26 $0 1,193,849 $15,597 14,399 $1.08 Almendra Park 25546 VIA ITERALDO 112 4,244 Begonias Lane Park 14911 BEGONIAS LN $923 3,679 $0.25 Bouquet Cyn Park 28127 WELLSTON DR $4,567 18,838 $0.24 Bridgeport Park 23521 BRIDGEPORT $3,796 16,512 $0.23 Canyon Country Park 17615 SOLEDAD CANYON RD $14,107 46,337 $0.30 $571 292. $1.95 Central Park 27150 BOUQUET CANYON RD - B $16,344 56,091 $0.29 Circle J. Ranch Park 22651 VIA PRINCESSA COM $944 3,888 $0.24 Creekview Park 22200 PARKST $1,465 5,741 $0.26 Newhall Park 24923 NEWHALL AVE $20,042 78,575 $0.26 $42,135 42,901 $0.98 North Oaks Park 27824 CAMP PLENTY RD $27,175 142,733 $0.19 $21,285 20,363 $1.05 Oak Springs Canyon Park 28945 DUNE LN $452 1,500 $0.30 Old Orchard Park 25023 AVE ROTELLA $1,116 3,244 $0.34 $166 Pampalico Park 22444 PAMPALICO DR. $868 3,489 $0.25 Santa Clarita Park 27285 SECO CANYON RD $41,072 166,945 $0.25 $25,734 24,342 $1.06 Todd Longshore Park 28151 Whites Canyon Rd $787 2,846 $0.28 Valencia Central Valley 23657 CARRIZO DR $2,018 7,780 $0.26 Valencia Heritage Prk 24155 NEWHALL RANCH RD $6,81 7 74,914 $0.09 Valencia Meadows 25671 FEDALA RD $15,819 76,246 $0.21 $1,234 747 $1.65 Valencia Summit Prk 26125 MCBEAN PKWY - - Valencia Glen Park 23750 VIA GAVOLA $12,587 79,609 $0.16 $1,215 701 $1.73 Landscape AL-2 $65,889 266,397 $0.25 Streetlights LS-1 $156,038 650,615 $0.24 Streetlights LS-2 $423,419 1,660,129 $0.26 Streetlights LS-3 $8,417 34,320 $0.25 StreetlightsTC-1 $147,322 202,322 $0.73 Landscape GS-1 $35,553 40,116 $0.89 Irrigation $0 1 0 1 1 $959,036 1 371,153 $2.58 Pro'ectTota1 $2,297,564 1 10,689,565 $0.21 1 $0 1 1,193,849 1 $309,273 1 311,431 r $0.99 1 $959,036 1 371,153 1 $2.58 *CLIMATECCity of Santa Cla M&V Agreement - Att B MERGING E3UILDiNG8 & TECHNOLOGY Page 2 of 2 Attachment "C" Standards of Operation for HVAC & Lighting *CLIMATEC' cit�r ee Santa to M&V Agreement Atent — Att C MERGING BUILDINGS & TECHNOLOGY Page 1 of 7 STANDARDS OF OPERATION The hours of operation for the Purchaser's Lighting and HVAC systems, located on the following pages, were used to calculate the energy savings in the Savings Summary section of this agreement and will be used in all measurement and verification calculations. *CLIMATEC' C City of Santa Clarita M&V Agreement — Att MERGING BUILDINGS & TECHNOLOGY Page 2 of 7 City of Santa Clarita HVAC Standards of Operation City of Santa Clarita HVAC Standard of Operations Area Served Business Day HVAC Schedule Non -Business Day HVAC Schedule Temperature Setpoints �m Start Time Stop Time Start Time Stop Time Cooling (All Areas) Occupied Setpoint': 76 °F (+/-2) )ble Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with g Occupied Setpoint will have±2°F Local Adjustability' Occupied Setpoin lent All Space Types Business Day Business Day Local Button Override option. Areas with Motion Sensors Z Special Event scheduling. Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) 30 Min Before Start of Close of Unoccupied mode with Unoccupied Setpoint: 85 °F ible Offices, conference rooms, classrooms Occupied Setpointwill have ±2°F Local Adjustability' Occupied Setpoin Business Day Business Day Local Button Override option. Areas with Motion Sensors: Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Recreational Activity & Event Spaces HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) 30 Min Before Start of Close of Unoccupied mode with Unoccupied Setpoint: 85 °F ible Office Occupied Setpointwill have ±2°F Local Adjustability' Occupied Setpoin Business Day Business Day Local Button Override option. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied mode with Unoccupied Setpoint: 85 °F Optimum Start time prior to Close of tion Public WorkSpace Local Button Override option. Occupied Setpointwill have ±2°F Local Adjustability' Occupied Setpoin start of business day Business Day Special Event scheduling. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied mode with Unoccupied Setpoint: 85 °F Optimum Start time prior to Close of tion Conference Rooms Local Button Override option. Occupied Setpointwill have±2°F Local Adjustability' Occupied Setpoin start of business day Business Day Recreational Spaces Special Event scheduling. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Event Spaces HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with ible Conference Rooms Occupied Setpointwill have±2°F Local Adjustability' Occupied Setpoin Business Day Business Day Local Button Override option. Study/ Reading Areas Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Special Events HVAC provided by Local Button Overridesz HVAC provided by Local Button Overrides2 Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) Lobby Unoccupied mode with Unoccupied Setpoint: 85 °F Public Business Office Optimum Start time prior to Close of tion Local Button Override option. Occupied Setpointwill have±2°F Local Adjustability' Occupied Setpoin Conference Rooms start of business day Business Day Special Event scheduling. Areas with Motion Sensors': Offices Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Council Chambers HVAC provided by DDC Programming Overridesz HVAC provided by Local Button Overridesz Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) Lobby Unoccupied Setpoint: 85 °FZ Conference Rooms 30 Min Before Start of Close of Unoccupied mode with ible Occupied Setpointwill have ±2°F Local Adjustability Occupied Setpoin Offices Business Day Business Day Local Button Override option. Areas with Motion Sensors': Warehouse Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac City of Santa Clarita HVAC Standard of Operations Area Served Business Day HVAC Schedule Non -Business Day HVAC Schedule Temperature Setpoints Start Time Stop Time Start Time Stop Time Cooling (AII Areas) HE Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with Conference Rooms Z Occupied Setpointwill have ±2°F Local Adjustability Occupied Setpointwil Business Day Business Day Local Button Override option. Recreational Spaces Areas with Motion Sensors: Are Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Event Spaces HVAC provided by DDC Programming Overridesz HVAC provided by Local Button Overridesz Occupied Setpoint': 76 °F (+/-2) Unoccupied Setpoint: 85 °F Conference Rooms 30 Min Before Start of Close of Unoccupied mode with Z Occupied Setpointwill have ±2°F Local Adjustability Occupied Setpointwil Offices Business Day Business Day Local Button Override option. Areas with Motion Sensors': Are Shop Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Occupied Setpoint': 76 °F (+/-2) Information Office HVAC provided b Local p Y Unoccupied mode with Unoccupied Setpoint: 85 °F Occupied Setpointwill have ±2°FLocal Adjustability' Occupied Setpointwil Button Overridesz Local Button Override option. Areas with Motion Sensors': Are Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Occupied Setpoint': 76 °F (+/-2) Information Office HVAC provided by Local Unoccupied mode with Unoccupied Setpoi nt: 85 °F Occupied Setpointwill have ±2°FLocal Adjustability' Occupied Setpointwil Button Overridesz Local Button Override option. Areas with Motion Sensors': Are Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Occupied Setpoint': 76 °F (+/-2) Information Office HVAC provided b Local p Y Unoccupied mode with Unoccupied Setpoint: 85 °F Occupied Setpoint will have±2°FLocal Adjustability' Occupied Setpointwil Button Overridesz Local Button Override option. Areas with Motion Sensors': Are Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Occupied Setpoi nt': 76 °F (+/-2) Offices Unoccupied mode with Unoccupied Setpoint: 85 °F Optimum Start time prior to Close of Conference Rooms Local Button Override option. Occupied Setpoint will have±2°F Local Adjustability' Occupied Setpointwil start of business day Business Day Study / Reading Areas Special Event scheduling. Areas with Motion Sensors': Are Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Special Events HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Ice Rinks Occupied Setpoint':76°F (+/-2) Offices Unoccupied mode with Unoccupied Setpoint: 85 °F Optimum Start time prior to Close of Cafe Local Button Override option. Occupied Setpointwill have ±2°F Local Adjustability' Occupied Setpointwil start of business day Business Day Sports Shop Special Event scheduling. Areas with Motion Sensors': Are Lobby Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Special Events HVAC provided by DDC Programming Overridesz HVAC provided by Local Button Overridesz Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with Conference rooms Z Occupied Setpointwill have ±2°F Local Adjustability Occupied Setpointwil Business Day Business Day Local Button Override option. Areas with Motion Sensors': Are Soft Set Back (No Motion for 15 minutes): 80 °F Hard Set Back (No Motion for 30 minutes): 85 °F Soft Set Back (Nc Hard Set Back (Nc Event Spaces HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Area Served Business Day HVAC Schedule Non -Business Day HVAC Schedule Temperature Setpoints. Start Time Stop Time Start Time Stop Time Cooling (AII Areas) F Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with le Recreation/Sports Areas Occupied Setpointwill have ±2°FLocal Adjustability' Occupied Setpointv Business Day Business Day Local Button Override option. locker Rooms Areas with Motion Sensors: Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Occupied Setpoint': 76 °F (+/-2) Office Space 30 Min Before Start of Close of Unoccupied mode with Unoccupied Setpoint: 85 °F le Occupied Setpointwill have ±2°F Local Adjustability' Occupied Setpointv Lobby Business Day Business Day Local Button Override option. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Theater Events HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Occupied Setpoint': 76 °F (+/-2) Offices Unoccupied mode with Unoccupied Setpoint: 85 °F Optimum Starttime priorto Close of on Conference rooms Local Button Override option. Occupied Setpointwill have ±2°F Local Adjustability' Occupied Setpointv start of business day Business Day Lobby Special Event scheduling. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Occupied Setpoint': 76 °F (+/-2) Lobby Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with le Preschool Z Occupied Setpointwill have±2°F Local Adjustability Occupied Setpointv Classes school day Local Button Override option. Recreational Areas Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Special Events HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Occupied Setpoint': 76 °F (+/-2) Unoccupied Setpoint: 85 °FZ Offices 30 Min Before Start of Close of Unoccupied mode with le Occupied Setpointwill have ±2°F Local Adjustability Occupied Setpointv Lobby Business Day Business Day Local Button Override option. Areas with Motion Sensors': ! Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Occupied Setpoint': 76 °F (+/-2) HVAC provided by Local Unoccupied mode with Unoccupied Setpoint: 85 °F le Meeting Space Occupied Setpointwill have ±2°FLocal Adjustability' Occupied Setpointv Button Overridesz Local Button Override option. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Occupied Setpoint': 76 °F (+/-2) Unoccupied Setpoint: 85 F 30 Min Before Start of Close of Unoccupied mode with Z le Preschool Occupied Setpoint will have±2°FLocal Adjustability Occupied Setpointv Classes school day Local Button Override option. Areas with Motion Sensors': ! Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Special Events HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back Occupied Setpoint': 76 °F (+/-2) HVAC provided by Local Unoccupied mode with Unoccupied Setpoint: 85 °F le Meeting Space Occupied Setpointwill have ±2°FLocal Adjustability' Occupied Setpointv Button Overridesz Local Button Override option. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Back Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Back City of Santa Clarita HVAC Standard of Operations Area Served Served Business DayHVAC Schedule Non-8usiness ❑ay HVAC Schedule Temperature Setpoints rt�co Start Time Stop Time Start Time Stop Time Cooling (AII Areas) Occupied Setpoint': 76 °F (+/-2) HVAC provided b Local p Y Unoccupied mode with Unoccupied Setpoint: 85 °F able Meeting Space z Occupied Setpointwillhave ±2°FLocal AdjustabilityZ Occupied Setpoin Button Overrides Local Button Override option. Z Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) Unoccupied Setpoint: 85 °F 30 Min Before Start of Close of Unoccupied mode with able Preschool Occupied Setpoint will have ±2°FLocal Adjustability' Occupied Setpoin Classes school day Local Button Override option. Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac Special Events HVAC provided by Local Button Overridesz HVAC provided by Local Button Overridesz Hard Set Back (No Motion for 30 minutes): 85 °F Hard Set Bac Occupied Setpoint': 76 °F (+/-2) HVAC provided b Local p Y Unoccupied mode with Unoccupied Setpoint: 85 °F able Meeting Space z Occupied Setpoint will have ±2°FLocal AdjustabilityZ Occupied Setpoin Button Overrides Local Button Override option. Z Areas with Motion Sensors': Soft Set Back (No Motion for 15 minutes): 80 °F Soft Set Bac forsystems with DDC Building Automation. Optimum Start is a control strategy implemented through aIogorithms programmed to "learn" the precise time to required forth HVACsystem to reach setpoint through ints, space temperatures and outside air temperatures. ems will be capable of these features (local setpoint adjustments and set back controls). It is recommened as part of the City Energy Policy that these spaces be used for any before/after/special event Bldg activities. Lighting Standards of Operation Lighting Standards of Operations Space Usage 24/7 Admin Open Area Dusk/ Dawn Dusk/ Sports Gym/ MPR Hallway Library Mech/ Elec/ Strg Office Admin Restroom Almendra Park 4380 Aquatic Center & Skate Park 4836 4380 1095 4928 500 2850 4745 Arboleda Trailhead Park 4380 3800 Begonias Lane Park 4380 1095 500 3800 Bouquet Cyn Park 4380 1095 500 3800 Bridgeport Park 4380 500 3800 Business Incubator 3500 4380 3950 500 3500 Canyon Country Community Center 2500 4380 Canyon Country Library 4380 3484 3380 500 3276 3276 Canyon Country Park 3500 4380 500 3800 Central Park 3500 4380 1095 500 2850 3800 CircleJ. Ranch Park 1 4380 1 1 500 3800 City Hall 8760 3500 4380 3950 500 2850 3500 Corporate Yard 8760 3500 4380 3950 500 2850 3500 Creekview Park 4380 3800 Discovery Park 2850 Landscape AL-2 4380 Maintenace Shop @ Central Park 3500 4380 500 2850 3800 Metrolink Jan Heidt 4380 3950 500 3100 3500 Metrolink Santa Clarita 4380 500 3100 3500 Metrolink Via Princessa 4380 500 3100 3500 Mountainview Park 4380 Newhall Community Center 3900 4380 1095 4004 500 3536 4004 Newhall Park 1 3500 4380 1 1095 1 500 2850 3800 North Oaks Park 3500 4380 500 3500 Oak Springs Canyon Park 4380 3800 Old Orchard Park 3500 4380 1095 500 2850 3500 Old Town Newhall Library 8760 4380 3484 3380 500 3276 Other Sites/Parks (not listed on baseline 8760 3500 4380 3484 3380 500 3276 3800 Pacific Crest Park 1 4380 1 3500 Pampalico Park 4380 500 3800 Parking Garage 2500 4380 Santa Clarita Park 3800 4380 1095 3800 500 2850 3500 Space Filler #1 2500 4380 Streetlights LS-1 4380 Streetlights LS-2 4380 Streetlights LS-3 1 4380 Streetlights TC-1 4380 The Centre & Gymnasium 4836 4380 1095 4836 4928 500 2850 4745 The Cube 8760 6000 4380 6500 500 3200 4875 The Main 8760 1200 4380 1200 500 2850 1200 Todd Longshore Park 4380 500 3800 Transit Maintenance Facility 3500 4380 3950 500 2850 3100 Valencia Central Valley 4380 Valencia Heritage Prk 4380 1095 500 3800 Valencia Meadows 3500 4380 3500 500 3500 3500 Valencia Summit Prk 4380 1095 Valenica Glen Park 1 1 3500 1 4380 1095 1 3500 1 500 1 3500 1 3500 *CLIMATEC ® MERGING BUILDINGS & TECHNOLOGY City of Santa Clarita M&V Agreement — Att C Page 7of7 STATE OF CALIFORNIA LOAN AGREEMENT CEC-142 (05/10) CALIFORNIA ENERGY COMMISSION BORROWER JAGREEMENT NUMBER Recipient Name XXX-XX-XXX ADDRESS I AGREEMENT TERM //to / / The effective date of this Agreement is the date the California Energy Commission signs the Agreement. No work is authorized, or shall begin until the California Energy Commission signs the Agreement. See the signature date below for effective start date. The parties agree to comply with the terms and conditions of the following Exhibits which are by this reference made a part of the agreement. Exhibit A — Energy Conservation Assistance Act Loan Agreement Page(s): 09 Exhibit A — Attachment 1 — Budget Detail/Project Cost and Savings Page(s): 02 Exhibit B — Promissory Note Page(s): 03 Exhibit B — Attachment 1 — Estimated Amortization Schedule Page(s): 01 Exhibit C — Contacts Page(s): 01 The undersigned parties have read the attachments to this agreement and will comply with the standards and requirements contained therein. CALIFORNIA ENERGY COMMISSION AUTHORIZED SIGNATURE I DATE NAME JPHONE Rachel L. Grant Kiley (916) 654-4379 TITLE Contracts, Grants and Loans Office Manager CALIFORNIA ENERGY COMMISSION ADDRESS 1516 9th Street, MS-18, Sacramento, CA 95814 AUTHORIZED SIGNATURE NAME RECIPIENT DATE PHONE EXHIBIT A ENERGY CONSERVATION ASSISTANCE ACT LOAN AGREEMENT This Loan Agreement (the "Agreement") is entered into as of the date it is executed by both parties hereto, between the California Energy Resources Conservation and Development Commission (the "Energy Commission") and the [Insert Recipient Name] (the "Borrower") located in [Insert Recipient County], CA. 1. STATUTORY AUTHORITY AND LOAN A. Pursuant to the purposes authorized by section 25410, et seq., of the California Public Resources Code (the "Energy Conservation Assistance Act"), the Energy Commission has approved the Borrower's loan application dated [Insert Loan Application Date], which is not attached but is expressly incorporated by reference herein. B. Subject to the terms, covenants, conditions, and including Special Conditions (if applicable) contained herein, and the Budget Detail/Summary of Project Cost and Savings attached as Exhibit A, Attachment 1 hereto to the extent it modifies the Borrower's loan application, the Energy Commission shall make a loan to the Borrower (the "Loan") in the amount of [Spell Out Loan Amount] dollars ($[Insert Loan Amount]) evidenced by a Promissory Note (the "Promissory Note") for loan number [Insert Loan Number] attached hereto as Exhibit B. 2. PURPOSE The Borrower agrees to expend all funds disbursed pursuant to this Agreement only for the purposes and in the amounts set forth in Exhibit A, Attachment 1 (the "Project"). Any other use of funds disbursed hereunder shall require prior written approval by the Energy Commission. 3. LOAN DISBURSEMENT SCHEDULE A. The Energy Commission agrees to disburse funds to the Borrower upon the Borrower's execution of the attached Promissory Note and required supplemental documents, including invoices as required in Section 3.13 below. B. Loan funds shall be disbursed on a reimbursement basis based on invoices submitted by Borrower in a form approved by the Energy Commission. Backup documentation for actual expenditures (such as timecards, vendor invoices, etc) and proof of payment must be provided to substantiate the request. Energy Commission staff will approve invoices Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 1 of 9 [Insert Recipient Name] 0 5 0 rA only after verifying requested amounts against backup billings and determining that expenses are appropriate and used for the authorized purposes of this Loan. For executed Agreements, invoices for expenses incurred during the Agreement Term are eligible for reimbursement. C. All invoices must be submitted within sixty (60) days after Project completion. D. The final ten percent (10%) of the Loan amount will be withheld as retention until the final report is received from the Borrower and the Commission's Project Manager determines the Project has been satisfactorily completed. LOAN REPAYMENT AND INTEREST All funds disbursed hereunder, together with all interest payable thereon, shall be repaid to the Energy Commission in accordance with the terms of the Promissory Note. The Loan shall bear simple interest at the annual rate set forth in the attached Promissory Note on the principal balance of Loan funds disbursed to the Borrower. Payment of said interest shall be due at the time of semiannual scheduled Loan repayment installments to the Energy Commission, and interest shall accrue from the time of disbursal of funds to the Borrower until receipt of full Loan repayment to the Energy Commission. TERM A. The effective date of this Agreement shall be the date on which it has been executed by both parties hereto. No work is authorized, or shall begin until the Energy Commission signs the Agreement. B. The Borrower agrees to complete performance of its obligations under this Agreement within the applicable periods stated in this Agreement. PREPAYMENT The Borrower shall have the right to prepay all or any part of the amount of this Loan at any time without penalty. PROMISSORY NOTE In order to evidence its debt to the Energy Commission hereunder, the Borrower agrees to, contemporaneously with the execution of this Agreement, execute and deliver to the Energy Commission the Promissory Note (attached as Exhibit B hereto). Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 2 of 9 [Insert Recipient Name] 8. ACCOUNTS, AUDITS, AND RECORDS A. The Borrower agrees to establish on its books a separate account for this Loan. This account shall be maintained as long as the Loan obligation remains unsatisfied. B. The Borrower further agrees to maintain records that accurately and fully show the date, amount, purpose, and payee of all expenditures drawn on said account for three (3) years after this Loan is repaid in full unless the Energy Commission requests a longer retention period. C. The Borrower further agrees to utilize a voucher system by which all expenditures from said account will be authorized and authenticated. D. The Borrower further agrees to allow the Energy Commission or any other agency of the State of California (the "State") or their designated representatives, on written request, to have reasonable access to, and the right of inspection of, all records that pertain to said account or the Project. The Borrower also agrees to submit to an independent audit, if requested by the Energy Commission, at the expense of the Borrower. Borrower agrees to maintain all such records for a minimum of three years after this Loan is repaid in full unless the Energy Commission notifies the Borrower, prior to the expiration of such three-year period, that a longer period of record retention is necessary. 9. SOURCE OF REPAYMENT; OPERATION OF PROJECT A. Semiannual payments due to the Energy Commission under this Agreement shall be made from savings in energy costs or other legally available funds as the Borrower chooses. If the Borrower is a county, city, town, township, board of education, or school district, the Borrower agrees that the amount of the semiannual Loan repayment shall not be raised by the levy of additional taxes and shall not be an obligation against tax revenues, but shall be obtained either from savings in energy costs resulting from the subject energy conservation projects or other legally available funds as the Borrower chooses. B. Energy cost savings as determined by the Energy Commission are based on energy usage and serving utility rate schedules at the time the Loan application is submitted, except as specified in Special Conditions, if any, as detailed in this Agreement, and the information and data contained in the Borrower's loan application and technical study. The following will not affect the Energy Commission's initial finding of energy cost savings, and are not a basis for claiming a lack of energy savings: a) changes in energy use and/or rate schedules which occur after submittal of the Loan Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 3 of 9 [Insert Recipient Name] application, except as specified in Special Conditions, if any, as detailed in this Agreement, b) deviations in the Project work scope from what was approved by the Energy Commission, c) changes in the Borrower's facility and/or equipment which occur after submittal of the Loan application, including, but not limited to maintenance, operations, schedules, employees and facility alterations and expansions, d) deviations, omissions or errors found in the loan application and technical study after submittal of the Loan application. The Borrower is responsible for ensuring the accuracy of the information contained in its loan application and technical study. In the event annual energy cost savings resulting from the Project, as determined by the Energy Commission, fail to equal or exceed the amount due under this Agreement, this Agreement may be renegotiated to assure that the repayment amount does not exceed the actual energy savings or avoided costs resulting from the Project, and the Promissory Note will be revised accordingly. In no event, however, will the number of semiannual installments payable hereunder and under the Promissory Note exceed forty. C. The Borrower shall obtain and maintain in its records any and all permits and licenses required to install or operate the Project and shall comply with all local, state, and federal laws, rules and codes concerning the Project. The Borrower shall maintain the Project in good working order for the duration of the Loan and shall insure that staff members are provided appropriate training on the operation and maintenance of the Project. The Borrower shall maintain insurance on the Project and, in the event of any casualty loss covered by such insurance policy, apply the proceeds to the repair of the Project or, with the approval of the Energy Commission, may use the insurance proceeds to install alternate projects to generate alternative energy cost savings to repay the Loan. D. The Borrower agrees to provide the Energy Commission with the following information for three years following completion of the Project, unless the Energy Commission requests a longer period: (1) the annual computation, required by Section 25414 of the Energy Conservation Assistance Act, of energy cost savings for the most recent fiscal year, calculated in the manner and provided in the format prescribed by the Energy Commission; and (2) any information or change in assumptions or operations which might affect the Energy Commission's initial determination of energy savings. E. The Borrower authorizes any official or agent of the Energy Commission or the State to conduct physical inspections of the Project before the commencement; during construction, installation and implementation of the Project; and at any time prior to the complete repayment of the Loan. In each contract entered into with suppliers of goods and services to Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 4 of 9 [Insert Recipient Name] install, conduct, or operate the Project, including management services, the Borrower shall include terms which allow any officer or agent of the Energy Commission or the State access to the Project site and to any books, documents, or records directly relevant to the Project. F. If, prior to final repayment of the Loan, the Borrower sells the equipment or material installed with the proceeds of the Loan or sells the building, facility or system in which the Project has been implemented, then the Borrower shall apply the sale proceeds to repay any remaining balance due under this Agreement in full at the time of such sale. The Borrower shall notify the Energy Commission within five business days of the date on which the Borrower enters into an agreement to effect such transaction. The Borrower shall repay the Energy Commission within 30 calendar days of receiving an invoice from the Energy Commission for the balance due. G. In accordance with Section 25415 of the Energy Conservation Assistance Act, the Borrower covenants to take such action as may be necessary to include all payments due hereunder in its annual budget and to make the necessary annual appropriations for all such payments. The obligation of the Borrower to make such payments shall be limited to the savings realized by the Borrower as a result of implementing the Project funded by the Loan. 10. DEFAULT A. The Borrower's failure to comply with any of the terms of this Agreement shall constitute a breach of this Agreement and an event of default. In such case, the Energy Commission may declare this Agreement to have been breached and be released from any further performance hereunder. B. In the event of any default or breach of this Agreement by the Borrower, the Energy Commission, without limiting any of its other legal rights or remedies, may, to the extent permitted by law, declare the Promissory Note evidencing this Loan to be immediately due and payable. 11. TERMINATION A. With Cause The Energy Commission may, at its option, terminate this Agreement with cause in whole or in part, at any time prior to the funding of the Loan, upon giving five (5) days advance notice in writing to the Borrower. "Cause" includes without limitation: Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 5 of 9 [Insert Recipient Name] 1) Failure to perform or breach of any of the terms or covenants at the time and in the manner provided in this Agreement; or 2) Significant change in Energy Commission or State policy such that the work or product being funded would not be supported by the Energy Commission; or 3) Reorganization to a business entity unsatisfactory to the Energy Commission. B. Without Cause The Energy Commission may, at its option, terminate this Agreement without cause in whole or in part, at any time prior to the funding of the Loan, upon giving thirty (30) days advance notice in writing to the Borrower. 12. REPORTING A. Progress reports are due each calendar quarter until Project completion. At a minimum, Borrower shall submit progress reports in accordance with the following schedule: PROGRESS REPORT SCHEDULE For the Period Covering Report Due Date January 1 through March 31 April 5 April 1 through June 30 July 5 July 1 through September 30 October 5 October 1 through December 31 January 5 th B. A final report is due no later than (sixty) 60 days after Project completion. C. The Energy Commission will not process an invoice unless the Borrower's report submittals are up to date. D. If requested by the Energy Commission, Borrower shall submit, within ten (10) days after the Energy Commission's written request, a status report on its activities to date, pursuant to this Agreement. E. Reports shall be in a format as determined by the Energy Commission. F. The Borrower shall submit reports regarding energy savings as described in Section 9.D above. Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 6 of 9 [Insert Recipient Name] 13. GENERAL TERMS A. Indemnification by the Borrower. The Borrower agrees to indemnify, defend, and save harmless the Energy Commission, the State, and their officers, agents, and employees from any and all claims, losses, or costs (including reasonable attorney fees) arising out of, resulting from, or in any way connected with the Loan or this Agreement, or the financing or the operation of the facilities financed with the Loan. B. Ownership of Equipment and Material. All equipment and material acquired under this Agreement shall become the property of the Borrower at time of purchase. The Borrower shall obtain and maintain in its records a written waiver of all claims, other than those previously made in writing and still unsettled, from each contractor who supplies goods and services, including management services, in connection with the Project. C. Independent Capacity. The Borrower, and the agents and employees of the Borrower, in the performance of this Agreement, shall act in an independent capacity and not as officers or employees or agents of the Energy Commission or the State of California. D. Assignment. Without the written consent of the Energy Commission, this Agreement is not assignable or transferable by the Borrower either in whole or in part. The Energy Commission may assign its rights under this Agreement for security purposes, and in such event the assignee of this Loan Agreement, including the bond trustee of any bonds which may be secured by repayment of this Loan, shall be entitled to enforce the provisions hereof and shall be a third party beneficiary of this Agreement. E. Time of the Essence. Time is of the essence in this Agreement. Borrower is required to take timely actions which, taken collectively, move to completion of the purpose for which this Loan was awarded. The Commission Project Manager will periodically evaluate the progress toward completion. If the Commission Project Manager determines that the Borrower is not progressing toward completion within one (1) year after the effective date of this Agreement, the Commission Project Manager may, without penalty or prejudice to any of the Energy Commission's other remedies, terminate this Agreement. F. Amendment. No amendment or variation of the terms of this Agreement shall be valid unless made in writing and signed by the parties hereto, and no oral understanding or agreement not incorporated herein shall be binding on any of the parties hereto. Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 7 of 9 [Insert Recipient Name] G. Severability. In the event that any provision of this Agreement is unenforceable or held to be unenforceable, then the parties agree that all other provisions of this Agreement have force and effect and shall not be affected thereby. H. Governing Law and Venue. This Agreement is governed by and shall be interpreted in accordance with the laws of the State of California. Venue shall be in Sacramento County. Non-discrimination. During the performance of this Agreement, the Borrower and its contractors and subcontractors shall not unlawfully discriminate, harass, or allow harassment against any employee or applicant for employment because of sex, race, color, ancestry, religious creed, national origin, physical disability (including HIV and AIDS), mental disability, medical condition (cancer), age (over 40), marital status, and family care leave. The Borrower and its contractors and subcontractors shall insure the evaluation and treatment of their employees and applicants for employment are free from such discrimination and harassment. The Borrower and its contractors and subcontractors shall comply with the provisions of the Fair Employment and Housing Act (Government Code Section 12990 (a-f) et seq.) and the applicable regulations promulgated thereunder (California Code of Regulations, Title 2, Section 7285 et seq.). The applicable regulations of the Fair Employment and Housing Commission implementing Government Code Section 12990 (a-f), set forth in Chapter 5 of Division 4 of Title 2 of the California Code of Regulations, are incorporated into this agreement by reference and made a part hereof as if set forth in full. The Borrower and its contractors and its subcontractors shall give written notice of their obligations under this clause to labor organizations with which they have a collective bargaining or other agreement. The Borrower and its contractors shall include the nondiscrimination and compliance provisions of this clause in all subcontracts to perform work under this Agreement. J. Incorporation of Energy Conservation Assistance Act. The Energy Conservation Assistance Act, together with any applicable rules, regulations or procedures authorized by such statute, is incorporated by reference in this Agreement. K. Borrower Authorization. The Borrower certifies it has full power and authority to enter into this Agreement, and this Agreement has been duly authorized, executed and delivered by the Borrower. The Borrower acknowledges the resolution of its governing body or other official action authorizing it to enter into this Agreement. The Borrower also authorizes such further acts as are necessary, including execution of the Promissory Note, to implement and further the intent of this Agreement. Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 8 of 9 [Insert Recipient Name] L. Prevailing Wage. The Borrower shall comply with Chapter 1 (commencing with Section 1720) of Part 7 of Division 2 of the Labor Code relating to the payment of prevailing wage for work performed on the Project financed in whole or in part with the proceeds of the Loan. M. Funding Eligibility. By signing this Agreement, Borrower certifies it is eligible to receive state funding under all applicable laws, including but not limited to Chapter 2.8 "Project Labor Agreements", of Part 1, of Division 2 of the Public Contract Code. 14. NOTICE Any notice required to be given to the Energy Commission hereunder shall be sent to the person and address listed under Legal Notices in Exhibit G, Contacts, or at such other address as the Energy Commission may designate in writing to the Borrower. Any notice required to be given to the Borrower hereunder shall be sent to the address shown for Borrower in this Agreement, or at such other address as the Borrower shall designate in writing to the Energy Commission. Notice to either party may be given using the following delivery methods: U.S. mail, overnight mail, or personal delivery, providing evidence of receipt, to the respective parties identified in this Agreement. Delivery by fax or e-mail is not considered notice for the purposes of this Agreement. Notice shall be effective when received, unless a legal holiday for the State commences on the date of the attempted delivery in which case the effective date shall be postponed 24 hours, or whenever the next business day occurs. Non -Bond Funded Loan Agreement Exhibit A [Insert Loan Number] Rev. June 9, 2017 GKLFEB Page 9 of 9 [Insert Recipient Name] EXHIBIT A ATTACHMENT 1 BUDGET DETAIL/PROJECT COST AND SAVINGS This Loan is made to the [Insert Recipient Name] ("Borrower") for an energy savings Project. The Project consists of the energy efficiency measures listed in Table 1 below to be installed at the [Describe Facilities] in the [Insert City(ies) and County(ies) Where Measures to be Installed], CA. The Table below summarizes the estimated Project cost(s), saving(s) and simple payback(s) for the Project. TABLE 1: Summary of Project Cost and Savings: Estimated Estimated Annual Total Energy Energy Simple Project Commission Cost Payback* Energy Efficiency Measures Cost Loan Savings (Years) [Insert [Insert [Insert EEM #1. Add additional [Insert Cost EEM rows as necessary] EEM Cost] $00.00 Savings] Payback] [Insert Total [Insert Annual Total Energy [Insert Project [Insert Loan Cost Overall TOTALS: Cost] Amount] Savings] Payback] *The simple payback is based on the Loan amount. The Borrower shall implement each measure listed in Table 1. If Borrower does not complete one or more of the measures or deviates from the quantities and specifications listed in Table 1, the Commission Project Manager will calculate the maximum Loan amount supported by the Project. The Loan amount will be determined by the lesser of: 1) multiplying the annual energy cost savings by [Insert Maximum Simple Payback Period]; 2) total Project costs; or 3) approved Loan amount. Borrower shall notify the Commission Project Manager in writing if Borrower expects any information in Table 1 to change. Energy Commission staff will advise Borrower of the procedure to approve any changes. Written documentation is required for any changes to the information included in this Attachment. Budget Detail Exhibit A, Attachment 1 [Insert Loan Number] Rev October 5, 2016 MPLFCIAA Page 1 of 2 [Insert Recipient Name] If the Borrower has received disbursements exceeding the maximum Loan amount supported by the Project, the Borrower shall refund the difference to the Energy Commission within 30 days of notification. Budget Detail Exhibit A, Attachment 1 [Insert Loan Number] Rev October 5, 2016 MPLFCIAA Page 2 of 2 [Insert Recipient Name] EXHIBIT B PROMISSORY NOTE LOAN NUMBER: PRINCIPAL AMOUNT: INTEREST RATE: flnsert Loan #1 $[Insert Loan Amt flnterest Ratel% 1. For value received, the undersigned, (hereinafter referred to as the "Borrower"), promises to pay to the order of the State of California, Energy Resources Conservation and Development Commission (hereinafter referred to as the "Energy Commission"), at its principal place of business at 1516 Ninth Street, Sacramento, California 95814, or at such other place as the Energy Commission may designate the principal sum of [Spell Out Loan Amount] dollars ($[Insert Loan Amount]) or such lesser amount as shall equal the aggregate amount disbursed to the Borrower by the Energy Commission pursuant to the above - referenced Energy Conservation Assistance Act Loan Agreement (the "Loan Agreement") between the Borrower and the Energy Commission, together with interest thereon at the rate of Insert Interest Rate]% percent per annum on the unpaid principal, computed from the date of each disbursement to the Borrower. Principal, together with interest thereon, is due and payable in semiannual installments as specified in the Estimated Amortization Schedule, attached hereto as Exhibit B, Attachment 1 and as amended in the Final Amortization Schedule, beginning on or before December 22 of the fiscal year following the year in which the Project is completed and continuing thereafter on each June 22 and December 22 until said principal and interest shall be paid in full. The Final Amortization Schedule, and any amended Final Amortization Schedule(s), are not attached but are expressly incorporated by reference herein. 2. Payments received will be first applied to billed interest, if any, and the balance, if any, to principal. If all principal is repaid, the balance is applied to accrued interest. 3. Payment of any scheduled installment received within thirty (30) days of the due date shall be considered to have been received on the due date. Interest on the principal portion of the payment accrues through the due date. 4. Payment of any scheduled installment received more than thirty (30) days after the due date shall be considered late. Interest on the principal portion of the payment accrues through the actual date payment is received. 5. The Borrower may prepay this Promissory Note in full or in part, without penalty. 6. In accordance with Section 25415 of the Energy Conservation Assistance Act, the Borrower covenants to take such action as may be necessary to include all payments due hereunder in its annual budget and to make the necessary annual appropriations for all such payments. The obligation of the Borrower to make Non -Bond Funded Promissory Note Exhibit B [Insert Loan Number] Rev. January 24, 2017 GKLFEB 1 of 3 [Insert Recipient Name] such payments shall be limited to the savings realized by the Borrower as a result of implementing the Project funded by the Loan. 7. If any installment is not paid within thirty (30) days after its due date, the Energy Commission, at its option, may require the Borrower to pay a late charge equal to five percent (5%) of the amount of the installment or Five Dollars ($5.00), whichever is greater. 8. On the occurrence of any event of default, the Energy Commission, at its sole election and without limiting any of its other legal rights or remedies, may, to the extent permitted by law, declare all or any portion of the principal and accrued interest on this Promissory Note to be immediately due and payable and may proceed at once without further notice to enforce this Promissory Note according to law. 9. Each of the following occurrences shall constitute an event of default: A. Failure of the Borrower to repay any principal or interest when due under the terms of this Promissory Note; B. Termination of the Loan Agreement pursuant to the terms thereof or breach by the Borrower of any terms of said Loan Agreement; C. Failure of the Borrower to undertake in a timely way the express and implied activities for which said Loan Agreement has been executed; D. Failure of the Borrower to obtain prior written Energy Commission approval before undertaking a change in the scope of the activities for which said Loan Agreement has been executed; or E. Occurrence of: (1) the Borrower becoming insolvent or bankrupt or being unable or admitting in writing its inability to pay its debts as they mature or making a general assignment for the benefit of or entering into any composition or arrangement with creditors; (2) proceedings for the appointment of a receiver, trustee, or liquidator of the assets of the Borrower or a substantial part thereof, being authorized or instituted by or against the Borrower; or (3) proceedings under any bankruptcy, reorganization, readjustment of debt, insolvency, dissolution, liquidation or other similar law, or any jurisdiction being authorized or instituted against the Borrower. 10. No delay or failure of the Energy Commission in the exercise of any right or remedy hereunder or under any other agreement which secures or is related hereto shall affect any such right or remedy, and no single or partial exercise of any such right or remedy shall preclude any further exercise thereof, and no action taken or omitted by the Energy Commission shall be deemed a waiver of any such right or remedy. Non -Bond Funded Promissory Note Exhibit B [Insert Loan Number] Rev. January 24, 2017 GKLFEB 2 of 3 [Insert Recipient Name] 11. Any notice to the Borrower provided for in this Promissory Note shall be given by mailing such notice by certified mail, return receipt requested, addressed to the Borrower at the address stated in the Loan Agreement, or to such other address as the Borrower may designate by notice to the Energy Commission. Any notice to the Energy Commission shall be given by mailing such notice by certified mail, return receipt requested, to the Energy Commission at the address stated in the Loan Agreement, or at such other address as may have been designated by notice to the Borrower. 12. If suit is brought to collect any part of this Promissory Note, the Energy Commission shall be entitled to collect all reasonable costs and expenses of said suit and any appeal therefrom, including reasonable attorney's fees. 13. This Promissory Note shall be binding upon the Borrower and its permitted successors and assigns and upon the Energy Commission and its permitted successors and assigns. Without the written consent of the Energy Commission, this Promissory Note is not assignable or transferable by the Borrower either in whole or in part. The Energy Commission may assign its rights under this Promissory Note for security purposes, and in such event the assignee of this Promissory Note, including the bond trustee of any bonds which may be secured by repayments of this Promissory Note, shall be entitled to enforce the provisions hereof and shall be a third party beneficiary of this Promissory Note. 14. This Promissory Note shall be construed and enforced in accordance with the laws of the State of California. Insert Recipient Name BORROWER PRINTED NAME OF AUTHORIZED REPRESENTATIVE AUTHORIZED SIGNATURE TITLE DATE Non -Bond Funded Promissory Note Exhibit B [Insert Loan Number] Rev. January 24, 2017 GKLFEB 3 of 3 [Insert Recipient Name] EXHIBIT B ATTACHMENT 1 ESTIMATED AMORTIZATION SCHEDULE Estimated Amortization Exhibit B, Attachment 1 [Insert Loan Number] Rev. August 1, 2013 GKAFLFMS Page 1 of 1 [Insert Recipient Name] EXHIBIT C CONTACTS Energy Commission Project Manager: Borrower Project Manager: (Name) (Name) California Energy Commission (Contractor Name) 1516 Ninth Street, MS - 23 Address Sacramento, CA 95814 Phone: (916) Phone: Fax: (916) Fax: e-mail: e-mail: Energy Commission Loan Officer: Borrower Administrator: Gordon Kashiwagi (Name) California Energy Commission (Contractor Name) 1516 Ninth Street, MS - 18 Address Sacramento, CA 95814 Phone: (916) 654-5131 Phone: Fax: (916) 654-4423 Fax: e-mail: Gordon.Kashiwagi@energy.ca.gov e-mail: Energy Commission Accounting Officer: Borrower Accounting Officer: Molly Zhong (Name) California Energy Commission (Contractor Name) 1516 Ninth Street, MS - 2 Address Sacramento, CA 95814 Phone: (916) 653-8555 Fax: (916) 653-1435 Phone: e-mail: Molly.Zhong@energy.ca.gov Fax: e-mail: Energy Commission Legal Notice: Rachel Grant Kiley Grants and Loans Manager 1516 9th Street, MS-18 Sacramento, CA 95814-5512 Phone: (916) 654-4379 Fax: (916) 654-4076 e-mail: Rachel.Grant-Kiley@energy.ca.gov Contacts Exhibit C [Insert Loan Number] Rev. August 1, 2013 GKAFLFMS Page 1 of 1 [Insert Recipient Name] 9/15//22 FIRST SUPPLEMENTAL INDENTURE by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION as Trustee Dated as of October 1, 2022 Relating to: $[principal amount] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) TABLE OF CONTENTS Page PART 1 ADDITION OF ARTICLE X PART 1.1 ADDITION OF ARTICLE X...................................................................................... 2 ARTICLE X-2022A BONDS ...................................................... 3 Section10.01 Definitions.................................................................................................. 3 Section 10.02 Terms of the 2022A Bonds........................................................................ 4 Section 10.03 Redemption of the 2022A Bonds............................................................... 5 Section 10.04 Form of the 2022A Bonds............................................................................ Section 10.05 Execution of the 2022A Bonds.................................................................... Section 10.06 Application of Proceeds of the 2022A Bonds ............................................ 5 Section 10.07 Reopening of Costs of Issuance Fund ........................................................ 5 Section 10.08 2022A Account of the Project Fund.......................................................... 6 Section 10.09 Tax Covenants Relating to the 2022A Bonds ............................................ 6 Section 10.09 Amendment of Exhibit D........................................................................... 9 PART 2 MISCELLANEOUS PART 2.1 EFFECT OF FIRST SUPPLEMENTAL INDENTURE ........................................... 10 PART 2.2 EFFECTIVE DATE OF FIRST SUPPLEMENTAL INDENTURE ......................... 10 PART 2.3 APPLICABLE LAW................................................................................................. 10 PART 2.4 COUNTERPARTS.................................................................................................... 10 EXHIBIT D — AMENDED FORM OF NET PROCEEDS REQUISITION EXHIBIT E — FORM OF 2022A BOND EXHIBIT F — FORM OF 2022A COSTS OF ISSUANCE REQUISITION EXHIBIT G — FORM OF 2022A ACCOUNT OF THE PROJECT FUND REQUISITION -1- FIRST SUPPLEMENTAL INDENTURE THIS FIRST SUPPLEMENTAL INDENTURE (this "First Supplemental Indenture") is made, entered into and dated as of October 1, 2022, by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY (the "Authority"), a joint exercise of powers authority organized and existing under the laws of the State of California, and U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION (formerly known as U.S. Bank National Association), a national banking association organized and existing under the laws of the United States of America, as Trustee (the "Trustee"). WITNESSETH: WHEREAS, the Authority is authorized pursuant to the Marks -Roos Local Bond Pooling Act of 1985 to purchase, with the proceeds of bonds of the Authority, bonds of local agencies within the State of California in order to assist such local agencies in financing or refinancing public capital improvements; WHEREAS, pursuant to the Indenture, dated as of October 1, 2020 (the "Original Indenture") by and between the Authority and the Trustee, the Authority issued the $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility) Series 2020A and the $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (collectively, the "2020 Bonds"), for the purpose of financing the acquisition of an approximately 93,000 square foot recreation facility (the "Facility") located on an approximately 4.4 acre parcel located at 27745 Smyth Drive within the City (the "Site" and together with the Facility, the "Recreational Facility") (capitalized undefined terms have the meanings ascribed thereto in the Original Indenture); WHEREAS, the Original Indenture provides that, for any purpose the Authority may at any time issue one or more Series of Additional Bonds (in addition to the 2020 Bonds) payable from Revenues as provided therein on a parity with all other Bonds theretofore issued thereunder, but only subject to the conditions precedent to the issuance of such Additional Bonds specified in the Original Indenture, including amendment of that certain Lease Agreement, dated as of October 1, 2020 (the "Original Lease"), between the Authority and the City, whereby the Authority has agreed to lease the Recreational Facility (the "Leased Property") to the City, and the City is obligated to make Base Rental Payments (as defined therein) to the Authority for the sublease of the Leased Property; and WHEREAS, the Authority and the City have entered into a First Amendment to Lease Agreement, dated as of October 1, 2022 (the "First Amendment to Lease," and together with the Original Lease, as amended, the "Lease") which amendment shall increase the Base Rental Payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds; WHEREAS, the Original Indenture provides that the Original Indenture and the rights and obligations of the Authority, the Trustee and the Owners of the Bonds may be modified or amended from time to time and at any time by a Supplemental Indenture, which the Authority and the Trustee may enter into without the consent of any Bond Owners to provide for the 131735222.3 issuance of one or more Series of Additional Bonds, and to provide the terms and conditions under which such Series of Additional Bonds may be issued, subject to and in accordance with the provisions of the Original Indenture; WHEREAS, the City desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "2022 Project"); and WHEREAS, the City has requested that the Authority issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "2022A Bonds") as Additional Bonds on parity with the 2020 Bonds for the purpose of financing a portion of the costs of the 2022 Project and to pay for the costs of issuing the 2022A Bonds; WHEREAS, concurrently with the issuance of the 2022A Bonds, the City has requested that the Authority also issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "2022B Bonds") for the purpose of financing a portion of the costs of the 2022 Project, which 2022B Bonds are on parity with the $10,320,000 Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds"), secured by lease payments under a separate lease; WHEREAS, in order to provide for the authentication and delivery of the 2022A Bonds, to establish and declare the terms and conditions upon which the 2022A Bonds are to be issued and secured and to secure the payment of the principal thereof, premium, if any, and interest thereon, the Authority has authorized the execution and delivery of this First Supplemental Indenture; and WHEREAS, the Authority has determined that all acts and proceedings required by law necessary to make the 2022A Bonds, when executed by the Authority, authenticated and delivered by the Trustee and duly issued, the valid, binding and legal special obligations of the Authority, and to constitute this First Supplemental Indenture a valid and binding agreement for the uses and purposes herein set forth in accordance with its terms, have been done and taken, and the execution and delivery of this First Supplemental Indenture has been in all respects duly authorized; NOW, THEREFORE, that in order to secure the payment of the principal of, premium, if any, and the interest on all 2022A Bonds at any time issued and outstanding under this First Supplemental Indenture, according to their tenor, and to secure the performance and observance of all the covenants and conditions therein and herein set forth, and to declare the terms and conditions upon and subject to which the 2022A Bonds are to be issued and received, and in consideration of the premises and of the mutual covenants herein contained and of the purchase and acceptance of the 2022A Bonds by the holders thereof, and for other valuable consideration, the receipt of which is hereby acknowledged, the Authority does hereby covenant and agree with the Trustee, for the benefit of the respective holders from time to time of the 2022A Bonds, as follows: PART 1 ADDITION OF ARTICLE X Part I.I. - Addition of Article X. The Original Indenture, as amended, is hereby amended by adding thereto an additional Article X as follows. ARTICLE X 2022A BONDS Section 10.01. Definitions. Unless the context otherwise requires, the terms defined and/or modified in this Section shall for all purposes of this Indenture and of any certificate, opinion or other document herein or therein mentioned, have the meanings herein specified. "Additional Bonds" mean the Bonds of an additional Series authorized by a Supplemental Indenture that are issued pursuant to this Indenture, including the 2022A Bonds. "Bond Year" means each twelve-month period extending from June 2 in one calendar year to June 1 of the succeeding calendar year, both dates inclusive, except that the first Bond Year for the Tax -Exempt Bonds and the Taxable Bonds shall begin on the Closing Date and shall end on June 1, 2021, and for the 2022A Bonds shall begin on the 2022A Closing Date and shall end on June 1, 2023. "Bonds" mean collectively, the Tax -Exempt Bonds and the Taxable Bonds, and, where the context requires, any Additional Bonds, including the 2022A Bonds. "First Lease Amendment" means that certain First Amendment to Lease Agreement, dated as of October 1, 2022, by and between the Authority and the City. "First Supplemental Indenture" means the First Supplemental Indenture, dated as of October 1, 2022, by and between the Authority and the Trustee. "Indenture" means this Indenture, dated as of October 1, 2020, as amended and supplemented by the First Supplemental Indenture, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. "Interest Payment Date" means June 1 and December 1 of each year, commencing December 1, 2020 with respect to the Tax -Exempt and Taxable Bonds, and commencing December 1, 2022 with respect to the 2022A Bonds. "Lease" means that certain Lease Agreement, dated as of October 1, 2020, as amended and supplemented by the First Lease Amendment, each by and between the Authority as lessor and the City as lessee, as it may be further amended or modified. "Original Purchaser" means, with respect to the Tax -Exempt Bonds and Taxable Bonds, Raymond James & Associates, Inc., the initial purchaser of such Bonds. 3 "Principal Payment Date" means each June 1, commencing June 1, 2021 with respect to the Tax -Exempt Bonds and Taxable Bonds, and commencing June 1, 20 with respect to the 2022A Bonds. "Project" means the acquisition of the Recreational Facility with respect to the Tax - Exempt Bonds and Taxable Bonds, and the financing of a portion of the 2022 Project with respect to the 2022A Bonds. "Rebate Fund" means the fund by that name established and held by the Trustee pursuant to Section 4.03, and the accounts therein for each separate Series of Bonds that the Authority intends interest thereon to be excludable from the gross income of the Owners thereof. "Rebate Requirement" means, in respect of the Tax -Exempt Bonds and the 2022A Bonds, obligations imposed under section 148(f) the Code in respect of such issue. "Tax Certificate" means the Tax Certificate dated the date of the original delivery of the Tax -Exempt Bonds relating to the requirements of certain provisions of the Code, as such certificate may from time to time be modified or supplemented in accordance with the terms thereof, and, where the context requires, the 2022A Tax Certificate. "Trustee" means U.S. Bank Trust Company, National Association, and its successors and assigns, and any other banking corporation or association that may at any time be substituted in its place as provided in Article VI hereof. "2022 Project" means the acquisition, installation, modification, improvement and/or construction of energy efficiency improvements for buildings and facilities owned or operated by the City, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements, as may be designated by the City from time to time. "2022A Bonds" means the Santa Clarita Public Financing Authority, Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds), authorized, executed and delivered hereunder. "2022A Closing Date" means October , 2022, being the date of delivery of the 2022A Bonds to the 2022A Original Purchaser thereof. "2022A Original Purchaser" means, with respect to the 2022A Bonds, Stifel, Nicolaus & Company, Incorporated, the initial purchaser of the 2022A Bonds. "2022A Tax Certificate" means the Tax Certificate dated the date of the original delivery of the 2022A Bonds relating to the requirements of certain provisions of the Code, as such certificate may from time to time be modified or supplemented in accordance with the terms thereof. "2022A Term Bonds" mean, collectively, the 2022A Bonds maturing on June 1 in the years and 4 Section 10.02. Terms of the 2022A Bonds. (a) The 2022A Bonds are authorized to be issued by the Authority under and subject to the Bond Law and the terms of this Indenture and shall be designated, respectively, as the "Santa Clarita Public Financing Authority, Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds)." The 2022A Bonds shall be issued in the original aggregate principal amount of $[principal amount]. (b) The 2022A Bonds shall be dated the 2022 Closing Date, shall mature on the dates and in the amounts, and shall bear interest (calculated on the basis of a 360-day year of twelve 30- day months) at the rates, set forth in the following table: 2022A Bonds, Maturity Date Principal Interest (June 1) Amount Rate The 2022A Bonds shall be delivered in fully registered form, numbered from one upwards in consecutive numerical order (with such alphabetical prefix as the Trustee shall determine). The 2022A Bonds shall be executed and delivered in their respective Authorized Denominations. Each 2022A Bond shall bear interest from the Interest Payment Date next preceding the date of authentication thereof, unless (i) it is executed during the period from the day after the Record Date for an Interest Payment Date to and including such Interest Payment Date, in which event it shall bear interest from such Interest Payment Date, or (ii) it is authenticated on or prior to November 15, 2022, in which event it shall bear interest from the 2022 Closing Date; provided, however, that if, at the time of authentication of any 2022A Bond interest with respect to such 2022A Bond is in default, such 2022A Bond shall bear interest from the Interest Payment Date to which interest has been paid or made available for payment with respect to such 2022A Bond, or if no interest has been paid, from the date of initial delivery of the 2022A Bonds. Interest with respect to any 2022A Bond shall be payable in lawful money of the United States of America on each Interest Payment Date to the Owner thereof as of the close of business on the Record Date, such interest to be paid by check of the Trustee, mailed by first class mail no later than the Interest Payment Date to the Owner at his address as it appears, on such Record Date, on the Registration Books maintained by the Trustee; provided, however, that at the written request of the Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds filed with the Trustee prior to any Record Date, interest on such 2022A Bonds shall be paid to such Owner on each succeeding Interest Payment Date (unless such request has been revoked in writing) by wire transfer of immediately available funds to an account in the United States designated in such written request. Payments of defaulted interest with respect to the 2022A Bonds shall be paid by check or draft to the registered Owners of the 2022A Bonds as of a special record date to be fixed by the Trustee, notice of which special record date shall be given to the registered Owners of the 2022A Bonds not less than ten days prior thereto. The principal of and premium, if any, on the 2022A are payable by check when due upon surrender thereof at the Trust Office in lawful money of the United States of America. (c) The 2022A Bonds shall initially be issued in book -entry form. The 2022A Bonds will be initially registered in the name of Cede & Co., as nominee of the Depository. Registered ownership of the 2022A Bonds, or any portion thereof, may not thereafter be transferred except as provided in this Indenture. (d) Upon the execution and delivery of the First Supplemental Indenture, the Authority shall execute and deliver the 2022A Bonds to the Trustee for authentication, issuance and delivery to the 2022A Original Purchaser thereof upon the Written Request of the Authority. Section 10.03. Redemption of the 2022A Bonds. (a) Extraordinary Redemption and General Provisions. The 2022A are subject to extraordinary redemption provisions of subsection (a) of Section 2.03 of this Indenture, as well as the general redemption provisions of subsections (d), (e), (f) and (g) of Section 2.03 of this Indenture. (b) Optional Redemption of 2022A Bonds from Prepayments of Base Rental Payments. The 2022A Bonds maturing on or after June 1, 20 shall be subject to redemption prior to their respective maturity dates, upon written notice from the Authority to the Trustee at least forty-five (45) days (or such lesser number of days acceptable to the Trustee, in the sole discretion of the Trustee) prior to the date fixed for redemption, as a whole or in part on any date on or after June 1, 20 , in such maturities as the Authority shall designate (and by lot within any maturity), from prepayments of Base Rental Payments made at the option of the City pursuant to Section 11(b) of the Lease, at a redemption price equal to the principal amount of the 2022A Bonds to be redeemed, plus accrued but unpaid interest to the date fixed for redemption, without premium. (c) Mandatory Sinking Account Redemption. The 2022A Bonds maturing on June 1, 20 , June 1, 20 and June 1, 20 shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedule on June 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. 3i 2022A Term Bonds Maturing June 1, 20 Redemption Date June 1 . Maturity Principal Amount To be Redeemed 2022A Term Bonds Maturing June 1, 20 Redemption Date Principal Amount June 1 To be Redeemed . Maturity 2022A Term Bonds Maturing June 1, 20 Redemption Date Principal Amount June 1 To be Redeemed . Maturity If some but not all of a 2022A Term Bond has been redeemed pursuant to extraordinary or optional redemptions, the total amount of sinking account payments to be made subsequent to such redemption shall be reduced in an amount equal to the principal amount of such 2022A Term Bond so redeemed by reducing each such future sinking account payment on a pro rata basis (as nearly as practicable) in integral multiples of $5,000, as shall be designated pursuant to written notice filed by Authority with the Trustee. In the event of any reductions in the amount of sinking account payments due as a result of some but not all of the 2022A Bonds being redeemed pursuant to extraordinary or optional redemptions, the Authority shall provide the Trustee with a revised schedule reflecting such reductions. Section 10.04. Form of the 2022A Bonds. The 2022A Bonds, the form of Trustee's certificate of authentication, and the form of assignment to appear thereon, shall be substantially in the form set forth in Exhibit E attached hereto and by this reference incorporated herein, with necessary or appropriate variations, omissions and insertions, as permitted or required by this Indenture. Section 10.05. Execution of the 2022A Bonds. The 2022A Bonds shall be signed in the name and on behalf of the Authority with the manual or facsimile signature of its Chair, and attested with the manual or facsimile signature of its Secretary or any Assistant or Deputy Secretary duly appointed by the Authority Board, and shall be delivered to the Trustee for authentication by it. In case any officer of the Authority who shall have signed any of the 2022A Bonds shall cease to be such officer before the 2022A Bonds so signed shall have been authenticated or delivered by the Trustee or issued by the Authority, such 2022A Bonds may nevertheless be authenticated, delivered and issued and, upon such authentication, delivery and issue, shall be as binding upon the Authority as though the individual who signed the same had continued to be such officer of the Authority. Also, any 2022A Bond may be signed on behalf of the Authority by any individual who on the actual date of the execution of such 2022A Bond shall be the proper officer although on the nominal date of such 2022A Bond such individual shall not have been such officer. Only such of the 2022A Bonds as shall bear thereon a certificate of authentication in substantially the form set forth in Exhibit E, manually executed on behalf of the Trustee, shall be valid or obligatory for any purpose or entitled to the benefits of this Indenture, and such certificate of the Trustee shall be conclusive evidence that the 2022A Bonds so authenticated have been duly authenticated and delivered hereunder and are entitled to the benefits of this Indenture. Section 10.06. Application of Proceeds of Sale of the 2022A Bonds. (a) Upon the receipt of payment for the 2022A Bonds on the 2022A Closing Date, the Trustee shall apply $ of the net proceeds of the 2022A Bonds (which equals the principal amount of the 2022A Bonds, less an underwriting discount of $ and plus/minus a net original issue premium/discount of $ ), as follows: (1) The Trustee shall deposit in the Costs of Issuance Fund the amount of (2) The Trustee shall deposit in the 2022A Account of the Project Fund the amount of $ The Trustee may establish such temporary funds, accounts and subaccounts as may be necessary or desirable to accomplish such deposits. Section 10.07. Reopening of Costs of Issuance Fund. The Trustee shall reopen and reestablish and maintain the Costs of Issuance Fund. On the 2022A Closing Date there shall be deposited in the Costs of Issuance Fund the amounts specified in Section 10.06. The moneys in the Costs of Issuance Fund shall be used to pay Costs of Issuance related to the 2022A Bonds from time to time and shall be disbursed by the Trustee upon delivery to the Trustee of a requisition, substantially in the form attached hereto as Exhibit F, executed by an officer of the Authority. Each requisition shall be sufficient evidence to the Trustee of the facts stated therein and the Trustee shall have no duty to confirm the accuracy of such facts. On the date that is 180 days following the 2022A Closing Date, or upon the earlier receipt by the Trustee of a Written Request of the Authority certifying that all Costs of Issuance related to the 2022A Bonds have been paid or provided for, the Trustee shall transfer any remaining amounts in the Costs of Issuance Fund to the Lease Revenue Fund and the Trustee shall then close the Costs of Issuance Fund. Section 10.08. 2022A Account of the Proiect Fund. There is hereby established within the Project Fund, a separate account to be held by the Trustee known as the "2022A Account" into which shall be deposited a portion of the proceeds of the sale of the 2022A Bonds pursuant to Section 10.06. Except as otherwise provided herein, moneys in the 2022A Account of the Project Fund shall be used solely for the payment of Project Costs relating to the 2022 Project. Before any payment from the 2022A Account of the Project Fund shall be made, the City shall file or cause to be filed with the Trustee, a requisition of the City which shall be substantially in the form attached hereto as Exhibit G. The Trustee shall be entitled to rely on the representations of the City contained in such requisition and shall not be required to independently verify the contents of such requisition. Within three (3) Business Days following receipt of each such Requisition, the Trustee shall pay the amount set forth in such requisition as directed by the terms thereof out of the 2022A Account of the Project Fund. Upon the Written Request of the City accompanied by a Certificate of the City stating that all Project Costs relating to the 2022 Project have been paid or provision made for their payment, any unexpended moneys in the 2022A Account of the Project Fund may be used to pay the costs associated with any other improvements of the City; provided, that in the opinion of Bond Counsel such use of the proceeds of the 2022A Bonds shall not adversely affect the exclusion of interest on the Tax -Exempt Bonds and the 2022A Bonds from gross income of the owners thereof. Any unexpended moneys in the 2022A Account of the Project Fund subsequent to the payment of all Project Costs relating to the 2022 Project which are not used to pay the cost of other improvements of the City shall be transferred by the Trustee and deposited in the Lease Revenue Fund upon receipt by the Trustee of a Written Request of the City accompanied by a Certificate of the City stating that all Project Costs relating to the 2022 Project have been paid or provision made for their payment. The Authority acknowledges that the City shall initially designate specific improvements of the 2022 Project to be financed from proceeds within the 2022A Account of the Project Fund. Nothing herein shall prohibit the City from removing, adding or substituting other specific improvements of the 2022 Project, or reallocating or reimbursing from other available sources specific improvements from the 2022 Project as determined by the City in its sole discretion upon advice of Bond Counsel. X Section 10.09. Tax Covenants Relating to 2022A Bonds. (a) Special Definitions. When used in this Section, the following terms have the following meanings with respect to any 2022A that the Authority intends interest thereon to be excludable from the gross income of the Owners thereof: "Computation Date" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Computation Period' means, initially, that period commencing on the date of issuance of the 2022A Bonds and concluding on the initial Computation Date and, thereafter, each period commencing on the day next following a Computation Date and concluding on the immediately succeeding Computation Date. "Gross Proceeds" means any proceeds as defined in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds), and any replacement proceeds as defined in section 1.148-1(c) of the Tax Regulations, of the 2022A Bonds. "Investment" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Nongovernmental Person" refers to any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, or an agency or instrumentality acting solely on behalf thereof. "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the 2022A Bonds are invested and that is not acquired to carry out the governmental purposes of the 2022A Bonds. "Original Facility" means any property the acquisition, construction or improvement of which was financed directly or indirectly with Gross Proceeds of an Original Issue. "Original Issue" means the 2022A Bonds. "Proceeds, " with respect to an issue of governmental obligations, has the meaning set forth in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds). "Rebate Amount" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Tax Regulations" means the United States Treasury Regulations promulgated pursuant to sections 103 and 141 through 150 of the Code, or under the provisions of any predecessor statute corresponding thereto. "Yield" of (1) any Investment has the meaning set forth in section 1.148-5 of the Tax Regulations; and 10 (2) the 2022A Bonds has the meaning set forth in section 1.148-4 of the Tax Regulations. (b) Exclusion of Interest from Gross Income. The Authority will take all actions necessary to establish and maintain the exclusion pursuant to section 103(a) of the Code of interest on the 2022A Bonds from the gross income of the owners thereof for federal income tax purposes, and will not use, permit the use of, or omit to use Gross Proceeds of the 2022A Bonds or any other amounts or any of the Original Facilities in a manner that if made or omitted, respectively, would cause the interest on any of the 2022A Bonds to fail to be excluded pursuant to section 103(a) of the Code from the gross income of the owners thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the Authority receives a written Opinion of Bond Counsel to the effect that failure to comply with such covenant will not adversely affect the exclusion pursuant to section 103(a) of the Code of interest on any 2022A Bond from the gross income of the owner thereof, the Authority shall comply with this covenant and each of the specific covenants in this Section. (c) No Private Use or Private Pam. Except as would not cause any 2022A Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority covenants that at all times prior to the payment and cancellation of the last 2022A Bond to be paid and canceled: (1) it will use its best efforts to ensure that the City (or another entity other than a Nongovernmental Entity) exclusively owns, operates and possesses all of the Original Facilities that are to be refinanced directly or indirectly with Gross Proceeds of the 2022A Bonds, and that it will not use or permit the use of such Gross Proceeds (including under any contractual arrangement with terms different than those applicable to the general public) or any of the Original Facilities in any activity carried on by any Nongovernmental Person, unless such use is solely as a member of the general public; and (2) not directly or indirectly impose or accept any charge or other payment by any person or entity in respect of the use by any Nongovernmental Person of Gross Proceeds of the 2022A Bonds, other than interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes, or of any Original Facility. Without limiting the foregoing, except as would not cause any 2022A Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority will not: (i) permit any Nongovernmental Person to hold any ownership, proprietary or possessory interest in any of the Original Facilities; or (ii) contract with any Nongovernmental Person for the provision of operating or other services with respect to any function of an Original Facility (unless either (A) such arrangement requires no payment of fees to such Nongovernmental Person other than as direct reimbursement of third party costs or reasonable administrative overhead, or (B) such arrangement conforms to administrative guidance of the Internal Revenue Service in order to assure that such arrangement does not create a private business use relationship of the Nongovernmental Person to the Gross Proceeds of the 2022A Bonds or to any Original Facility). For purposes of the preceding sentence, the 11 Authority will treat proceeds of the 2022A Bonds as used ratably for the same purposes as were the proceeds of the Original Issue. (d) No Private Loan. Except as would not cause any 2022A Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority has not used, and will not use, Gross Proceeds of any 2022A Bond to make or finance loans to any Nongovernmental Person. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if: (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction that creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take -or - pay, output or similar contract or arrangement; or (3) indirect benefits of such Gross Proceeds, or burdens and benefits of ownership of any property acquired, constructed or improved with such Gross Proceeds, are otherwise transferred in a transaction that is the economic equivalent of a loan. (e) Not to Invest at Higher Yield. Except as would not cause any 2022A Bond to become an "arbitrage bond" within the meaning of section 148 of the Code and the Tax Regulations and rulings thereunder, the Authority shall not at any time prior to the final maturity of the 2022A Bonds directly or indirectly invest Gross Proceeds in any Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, would materially exceed the Yield of such 2022A Bond within the meaning of such section 148. (f) Not Federally Guaranteed. The Authority covenants that, except to the extent permitted by section 149(b) of the Code and the Tax Regulations and rulings thereunder, it will not take or omit to take any action that would cause any 2022A Bond to be "federally guaranteed" within the meaning of section 149(b) of the Code and the Tax Regulations and rulings thereunder. (g) Information Report. The Authority covenants that it will timely Pile or cause to be filed any information required by section 149(e) of the Code with respect to the 2022A Bonds with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary of the Treasury may prescribe. (h) Rebate of Arbitrage Profits. The Authority covenants that the requirements of section 148(f) of the Code will be satisfied in order that the 2022A Bonds be not arbitrage bonds, and that, except to the extent otherwise provided in section 148(f) of the Code and the Tax Regulations and rulings thereunder: (1) it will account for all Gross Proceeds of the 2022A Bonds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last 2022A Bond is discharged. However, to the extent permitted by law, the Authority may commingle Gross Proceeds of the 2022A Bonds with its other money, provided that the 12 Authority separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith; (2) not less frequently than each Computation Date, it will calculate or cause to be calculated the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Tax Regulations and rulings thereunder. The Trustee may rely conclusively upon the Authority's determinations, calculations and certifications required by this Section. The Trustee shall have no responsibility to independently make any calculation of determination or to review the Authority's calculations hereunder. The Authority covenants that it will maintain a copy of the calculation with its official transcript of proceedings relating to the issuance of the 2022A Bonds until six years after the final Computation Date; (3) it will deposit in the Rebate Fund and cause the Trustee to pay to the United States the amount that when added to the future value of previous rebate payments made for the 2022A Bonds equals (A) in the case of a Final Computation Date as defined in section 1.148-3(e)(2) of the Tax Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (B) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such a date. In all cases such Rebate payments shall be made by the Authority (or by the Trustee at the direction of the Authority) at the times and in the amounts as are or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder, and such payments shall be accompanied by Form 8038-T prepared and executed by the Authority or such other forms and information as is or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder. (4) it will exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and (3) above, and if an error is made, to discover and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any additional Rebate Amount owed to it, interest thereon, and any penalty imposed under section 1.148-3(h) or other provision of the Tax Regulations. (i) Not to Divert Arbitrage Profits. The Authority covenants that, except to the extent permitted by section 148 of the Code and the Tax Regulations and rulings thereunder, at no time prior to the final maturity of the 2022A Bonds will it enter into any transaction that reduces the amount required to be paid to the United States pursuant to paragraph (h) of this Section because such transaction results in a smaller profit or a larger loss than would have resulted if the transaction had been at arm's length and had the Yield on the 2022A Bonds not been relevant to each party. 0) 2022A Bonds Not Hedge Bonds. (1) The Authority represents that none of the Original Issue was, and covenants that the 2022A Bonds will not be, "hedge bonds" within the meaning of section 149(g) of the Code. 13 (2) Without limitation of paragraph (1) above, the Authority warrants as to each of its Original Issue that: (I) on each date of issuance of that issue, the Authority reasonably expected that at least 85% of the spendable proceeds of that Original Issue would be expended within the three-year period commencing on such date of issuance, and (II) no more than 50% of the proceeds of that Original Issue at any time has been invested in Nonpurpose Investments having a substantially guaranteed yield for a period of four years or more. (k) Elections. The Authority hereby directs and authorizes any Responsible Officer to make elections permitted or required pursuant to the provisions of the Code or the Tax Regulations, as such Responsible Officer (after consultation with Bond Counsel) deems necessary or appropriate in connection with the 2022A Bonds, in the Tax Certificate relating to the 2022A Bonds or similar or other appropriate certificate, form or document. Section 10.10. Amendment of Exhibit D. "Exhibit D" is hereby amended as provided in new "Exhibit D — AMENDED FORM OF NET PROCEEDS REQUISITION" attached hereto and incorporated herein by this reference. PART 2 MISCELLANEOUS Part 2.1. Effect of First Supplemental Indenture. This First Supplemental Indenture and all of the terms and provisions herein contained shall form part of the Original Indenture, as amended, as fully and with the same effect as if all such terms and provisions had been set forth in the Original Indenture, as amended. The Original Indenture is hereby ratified and confirmed and shall continue in full force and effect in accordance with the terms and provisions thereof, as heretofore amended and supplemented, and as amended and supplemented hereby. If there shall be any conflict between the terms of this First Supplemental Indenture and the terms of the Original Indenture, as amended (as in effect on the day prior to the effective date of this First Supplemental Indenture), the terms of this First Supplemental Indenture shall prevail. Part 2.2. Effective Date of First Supplemental Indenture. This First Supplemental Indenture shall take effect upon the 2022A Closing Date. Part 2.3. Applicable Law. This First Supplemental Indenture shall be governed by and enforced in accordance with the laws of the State of California applicable to contracts made and performed in the State of California. Part 2.4. Counterparts. This First Supplemental Indenture may be executed in counterparts, each of which shall be deemed an original. 14 IN WITNESS WHEREOF, the Authority has caused this First Supplemental Indenture to be executed in its name and the Trustee has caused this First Supplemental Indenture to be executed in its name, all as of October 1, 2022. ATTEST: LIZ Mary Cusick, Secretary SANTA CLARITA PUBLIC FINANCING AUTHORITY UA Laurene Weste, Chair U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee By Authorized Officer 15 EXHIBIT D AMENDED FORM OF NET PROCEEDS REQUISITION REQUISITION NO. (to be numbered sequentially) with reference to Santa Clarita Public Financing Authority (Recreational Facility) $10,645,000 $3,625,000 Lease Revenue Bonds Federally Taxable Lease Revenue Bonds Series 2020A Series 2020A and $[principal amount] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) L The Santa Clarita Public Financing Authority (the "Authority") hereby requests U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association), as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of October 1, 2020, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Indenture"), each by and between the Authority and the Trustee, under the terms of which the Authority has issued the above -referenced Bonds (collectively, the "Bonds"), to pay from the moneys in the Insurance and Condemnation Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Insurance and Condemnation Fund. None of the items for which payment is requested has been reimbursed previously from the Insurance and Condemnation Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I D-1 hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: D-2 EXHIBIT E FORM OF 2022A BOND UNLESS THIS 2022A BOND IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AS DEFINED IN THE INDENTURE) TO THE TRUSTEE FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY 2022A BOND ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. No. SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BOND (ENERGY EFFICIENCY PROGRAM) SERIES 2022A (Green Bonds) RATE OF INTEREST: MATURITY DATE: DATED DATE: CUSIP: % JUNE 1, OCTOBER , 2022 REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: The SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), for value received, hereby promises to pay (but only out of the Revenues, as defined in the Indenture hereinafter referred to, and certain other moneys) to the Registered Owner identified above or registered assigns (the "Registered Owner"), on the Maturity Date identified above or any earlier redemption date, the Principal Amount identified above in lawful money of the United States of America; and to pay interest thereon at the Rate of Interest identified above in like money from the Interest Payment Date (as hereinafter defined) next preceding the date of authentication of this 2022A Bond (unless this 2022A Bond is authenticated on or before an Interest Payment Date and after the fifteenth calendar day of the month preceding such Interest Payment Date, in which event it shall bear interest from such Interest Payment Date, or unless this 2022A Bond is E-1 authenticated on or prior to November 15, 2022, in which event it shall bear interest from the Dated Date identified above; provided, however, that if, at the time of authentication of this 2022A Bond, interest is in default on this 2022A Bond, this 2022A Bond shall bear interest from the Interest Payment Date to which interest hereon has previously been paid or made available for payment), payable semiannually on June 1 and December 1 in each year, commencing December 1, 2022 (each an "Interest Payment Date") until payment of such Principal Amount in full. The Principal Amount hereof is payable by check upon presentation hereof upon maturity or earlier redemption at the designated corporate trust office (the "Trust Office") of U.S. Bank, Trust Company, National Association, as trustee (the "Trustee"). Interest hereon is payable by check of the Trustee mailed by first class mail on each Interest Payment Date to the Registered Owner hereof at the address of the Registered Owner as it appears on the registration books of the Trustee as of the fifteenth (15t') calendar day of the month preceding such Interest Payment Date (except that in the case of a Registered Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds, such payment may, at such Registered Owner's option, be made by wire transfer of immediately available funds to an account located in the United States in accordance with written instructions provided by such Registered Owner prior to the fifteenth calendar day of the month preceding such Interest Payment Date). This Bond is one of a series of a duly authorized issue of bonds designated "Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) " (the "2022A Bonds") in the aggregate principal amount of $[principal amount]. The 2022A Bonds are issued pursuant to the Indenture, dated as of October 1, 2020, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022, each by and between the Authority and the Trustee (as so amended and supplemented, the "Indenture"). The Authority has previously issued its $10,645,000 Lease Revenue Bonds (Recreational Facility), Series 2020A and its $3,625,000 Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (collectively, the "2020 Bonds"), with which the 2022A Bonds are on parity. Pursuant to and as more particularly provided in the Indenture, additional bonds ("Additional Bonds") may be issued by the Authority secured by a lien on a parity with the lien securing the 2020 Bonds and 2022A Bonds. The 2020 Bonds, the 2022A Bonds and any Additional Bonds are collectively referred to as the "Bonds." Capitalized undefined terms used herein shall have the meanings ascribed thereto in the Indenture. Reference is hereby made to the Indenture and all indentures supplemental thereto for a description of the rights thereunder of the owners of the Bonds, of the nature and extent of the Revenues (as that term is defined in the Indenture), of the rights, duties and immunities of the Trustee and of the rights and obligations of the Authority thereunder; and all of the terms of the Indenture are hereby incorporated herein and constitute a contract between the Authority and the Registered Owner hereof, and to all of the provisions of which Indenture the Registered Owner hereof, by acceptance hereof, assents and agrees. The Bonds, including the 2022A Bonds, are authorized to be issued pursuant to the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4, Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"). The Bonds are special obligations of the Authority and, as and to the extent set forth in the Indenture, are E-2 payable solely from and secured by a first lien on and pledge of the Revenues as provided in the Indenture. All of the Bonds are equally secured by a pledge of, and charge and lien upon, all of the Revenues (other than deposits to the Rebate Funds created by the Indenture), and the Revenues (other than deposits to the Rebate Funds created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Bonds. The full faith and credit of the Authority are not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the Indenture. The Bonds may be issued for the purpose of financing certain capital improvements for the City. Or the purpose of financing a portion of the costs of certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements. The Authority and the City have entered into a Lease Agreement, dated as of October 1, 2020, as amended and supplemented by the First Amendment to Lease Agreement, dated as of October 1, 2022, each by and between the Authority and the City (as so amended and supplemented, the "Lease"), under which the City is obligated to pay amounts which are anticipated to be sufficient to enable the Authority to pay the principal of and interest on the Bonds, including the 2020 Bonds and the 2022A Bonds. The 2022A Bonds are subject to redemption prior to their maturity as provided in the Indenture. The 2022A Bonds are subject to redemption prior to their respective maturity dates, upon notice as provided in the Indenture, as a whole or in part on any date, from prepayments of Base Rental Payments made by the City pursuant to the Lease from funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of 2022A Bonds pursuant to this paragraph shall be made at a redemption price equal to the sum of the principal of the 2022A Bonds to be redeemed plus accrued interest thereon to the date fixed for redemption, without premium. The 2022A Bonds may be issued in denominations of $5,000 or any integral multiple thereof. Subject to the limitations and upon payment of the charges, if any, provided in the Indenture, this 2022A Bond may be exchanged at the Trust Office of the Trustee for a like aggregate principal amount, interest rate and maturity of fully registered 2022A Bonds of other authorized denominations. This 2022A Bond is transferable by the Registered Owner hereof, in person or by his attorney duly authorized in writing, at the Trust Office of the Trustee, but only in the manner, subject to the limitations and upon payment of the charges provided in the Indenture, and upon surrender and cancellation of this 2022A Bond. Upon such transfer a new fully registered Bond or Bonds, of Authorized Denomination or Denominations, for the same aggregate principal amount and of the same maturity and the same series designation will be issued to the transferee E-3 in exchange herefor. The Authority and the Trustee may treat the Registered Owner hereof as the absolute owner hereof for all purposes, and the Authority and the Trustee shall not be affected by any notice to the contrary. The Trustee shall not be required to register the transfer or exchange of any 2022A Bond during the period in which the Trustee is selecting 2022A Bonds for redemption or any 2022A Bond selected for redemption. The Indenture and the rights and obligations of the Authority and of the owners of the Bonds and of the Trustee may be modified or amended from time to time and at any time in the manner, to the extent, and upon the terms provided in the Indenture; provided that no such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or premiums at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the owner of such Bond, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) without its written consent thereto, modify any of the rights or obligations of the Trustee, all as more fully set forth in the Indenture. It is hereby certified that all things, conditions and acts required to exist, to have happened and to have been performed precedent to and in the issuance of this 2022A Bond do exist, have happened and have been performed in due time, form and manner as required by the Constitution and statutes of the State of California and by the Act and the amount of this 2022A Bond, together with all other indebtedness of the Authority, does not exceed any limit prescribed by the Constitution or statutes of the State of California or by the Act. This 2022A Bond shall not be entitled to any benefit under the Indenture, or become valid or obligatory for any purpose, until the certificate of authentication hereon shall have been manually signed by the Trustee. E-4 IN WITNESS WHEREOF, the Authority has caused this 2022A Bond to be executed in its name and on its behalf by the manual or facsimile signatures of its Chair and Secretary as of the Dated Date identified above. ATTEST: Secretary SANTA CLARITA PUBLIC FINANCING AUTHORITY am E-5 Chair TRUSTEE'S CERTIFICATE OF AUTHENTICATION This is one of the 2022A Bonds described in the within -mentioned Indenture and registered on the Registration Books. Dated: , 20 U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee E-6 Authorized Officer ASSIGNMENT For value received the undersigned do(es) hereby sell, assign and transfer unto mentioned registered 2022A , whose tax identification number is , the within - Bond and hereby irrevocably constitute(s) and appoint(s) attorney to transfer the same on the books of the Trustee with full power of substitution in the premises. Dated: Signature guaranteed: NOTICE: Signature must be guaranteed by a member of an institution which is a participant in the Securities Transfer Agent Medallion Program (STAMP) or other similar program. NOTE: The signature(s) on this Assignment must correspond with the name(s) as written on the face of the within Bond in every particular without alteration or enlargement or any change whatsoever. E-7 EXHIBIT F FORM OF COSTS OF ISSUANCE REQUISITION COSTS OF ISSUANCE REQUISITION NO. with reference to $[PRINCIPAL AMOUNT] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) I. The Santa Clarita Public Financing Authority (the "Authority") hereby requests U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association), as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of October 1, 2020, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Indenture"), each by and between the Authority and the Trustee, under the terms of which the Authority has issued the above -referenced bonds (the "2022A Bonds"), to pay from the moneys in the Costs of Issuance Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Costs of Issuance Fund. None of the items for which payment is requested has been reimbursed previously from the Costs of Issuance Fund. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: 131735222.3 F-I EXHIBIT G FORM OF 2022A ACCOUNT OF THE PROJECT FUND REQUISITION REQUISITION OF THE CITY 2022A ACCOUNT OF THE PROJECT FUND REQUISITION NO. (to be numbered sequentially) with reference to $[PRINCIPAL AMOUNT] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) I. The City of Santa Clarita (the "City") hereby requests U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association), as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of October 1, 2020, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Indenture"), each by and between the Santa Clarita Public Financing Authority (the "Authority") and the Trustee, under the terms of which the Authority has issued the above -referenced bonds (the "2022A Bonds"), to pay from the moneys in the 2022A Account of the Project Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. It The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto is a Project Cost (as defined in the Indenture) and has been properly incurred and is a proper charge against the 2022A Account of the Project Fund. None of the items for which payment is requested has been reimbursed previously from the 2022A Account of the Project Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. 131735222.3 G- I Dated: , 20 CITY OF SANTA CLARITA By_ Title: 131735222.3 C7-2 SCHEDULEI Amount of Project Component This Draw (Continue on Additional Sheet if Necessary) Name and Address of party to whom payment is to be made: Purpose for which the obligation was incurred: Aggregate Amount Draws Including This Draw 131735222.3 C7-3 11►113001I1111A by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and U.S. BANK NATIONAL ASSOCIATION, as Trustee Dated as of October 1, 2020 Relating to $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility) Series 2020A and $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T TABLE OF CONTENTS Page ARTICLE I DEFINITIONS; AUTHORIZATION AND PURPOSE OF BONDS; EQUAL SECURITY........................................................................ 2 SECTION 1.01. Definitions...................................................................................... 2 SECTION 1.02. Rules of Construction.................................................................. 12 SECTION 1.03. Authorization and Purpose of Bonds ........................................... 12 SECTION 1.04. Equal Security.............................................................................. 12 ARTICLE II ISSUANCE OF BONDS............................................................................... 13 SECTION 2.01. Designation.................................................................................. 13 SECTION 2.02. Terms of Bonds............................................................................ 13 SECTION 2.03. Redemption of Bonds.................................................................. 15 SECTION 2.04. Form of Bonds............................................................................. 18 SECTION 2.05. Execution of Bonds...................................................................... 18 SECTION 2.06. Transfer of Bonds........................................................................ 18 SECTION 2.07. Exchange of Bonds...................................................................... 19 SECTION 2.08. Temporary Bonds......................................................................... 19 SECTION 2.09. Registration Books....................................................................... 19 SECTION 2.10. Bonds Mutilated, Lost, Destroyed or Stolen ................................ 19 SECTION 2.11. Use of Depository........................................................................ 20 ARTICLE III DEPOSIT AND APPLICATION OF PROCEEDS ....................................... 21 SECTION 3.01. Issuance of Bonds........................................................................ 21 SECTION 3.02. Application of Proceeds of Sale of Bonds ................................... 21 SECTION 3.03. Costs of Issuance Fund................................................................ 22 SECTION3.04. Project Fund.................................................................................22 SECTION 3.05. Insurance and Condemnation Fund ............................................. 23 SECTION 3.06. Validity of Bonds......................................................................... 23 SECTION 3.07. Additional Bonds......................................................................... 23 ARTICLE IV REVENUES; FLOW OF FUNDS................................................................. 24 SECTION 4.01. Pledge of Revenues; Assignment of Rights ................................. 24 SECTION 4.02. Lease Revenue Fund; Receipt, Deposit and Application of Revenues...................................................................................... 25 SECTION 4.03. Rebate Fund................................................................................. 26 SECTION 4.04. Investments.................................................................................. 27 SECTION 4.05. Valuation and Disposition of Investments ................................... 28 ARTICLE V COVENANTS OF THE AUTHORITY........................................................ 28 SECTION 5.01. Punctual Payment......................................................................... 28 SECTION 5.02. Extension of Payment of Bonds ................................................... 28 SECTION 5.03. Against Encumbrances................................................................. 28 100802390.7 i TABLE OF CONTENTS (continued) Page SECTION 5.04. Power to Issue Bonds and Make Pledge and Assignment........... 28 SECTION 5.05. Accounting Records and Financial Statements ............................ 29 SECTION 5.06. Additional Obligations................................................................. 29 SECTION5.07. Lease............................................................................................ 29 SECTION 5.08. Tax Covenants............................................................................. 29 SECTION 5.09. Further Assurances....................................................................... 34 ARTICLE VI THE TRUSTEE............................................................................................. 34 SECTION 6.01. Appointment of Trustee............................................................... 34 SECTION 6.02. Acceptance of Trusts.................................................................... 34 SECTION 6.03. Fees, Charges and Expenses of Trustee ....................................... 38 SECTION 6.04. Notice to Owners of Default........................................................ 38 SECTION 6.05. Intervention by Trustee................................................................ 38 SECTION 6.06. Removal of Trustee...................................................................... 38 SECTION 6.07. Resignation by Trustee................................................................ 38 SECTION 6.08. Appointment of Successor Trustee .............................................. 39 SECTION 6.09. Merger or Consolidation.............................................................. 39 SECTION 6.10. Concerning any Successor Trustee .............................................. 39 SECTION 6.11. Appointment of Co-Trustee......................................................... 39 SECTION 6.12. Indemnification; Limited Liability of Trustee ............................. 40 ARTICLE VII MODIFICATION AND AMENDMENT OF THE INDENTURE ............... 40 SECTION 7.01. Amendment.................................................................................. 40 SECTION 7.02. Effect of Supplemental Indenture ................................................ 41 SECTION 7.03. Endorsement or Replacement of Bonds After Amendment ........ 42 ARTICLE VIII EVENTS OF DEFAULT AND REMEDIES OF OWNERS ........................ 42 SECTION 8.01. Events of Default......................................................................... 42 SECTION 8.02. Remedies; No Acceleration......................................................... 43 SECTION 8.03. Application of Revenues and Other Funds After Default............ 43 SECTION 8.04. Power of Trustee to Control Proceedings .................................... 44 SECTION 8.05. Appointment of Receivers........................................................... 44 SECTION 8.06. Non-Waiver.................................................................................. 44 SECTION 8.07. Rights of Owners......................................................................... 45 SECTION 8.08. Termination of Proceedings......................................................... 45 ARTICLE IX MISCELLANEOUS ...................................................................................... 45 SECTION 9.01. Limited Liability of Authority..................................................... 45 SECTION 9.02. Benefits of Indenture Limited to Parties ...................................... 46 SECTION 9.03. Defeasance; Discharge of Indenture ............................................ 46 SECTION 9.04. Successor is Deemed Included in All References to Predecessor.................................................................................. 47 SECTION 9.05. Content of Certificates and Opinions ........................................... 47 11 SECTION 9.06 SECTION 9.07 SECTION 9.08 SECTION 9.09 SECTION 9.10 SECTION 9.11 SECTION 9.12 SECTION 9.13 SECTION 9.14 SECTION 9.15 TABLE OF CONTENTS (continued) Page Execution of Documents by Owners ........................................... 47 Disqualified Bonds....................................................................... 48 Waiver of Personal Liability........................................................ 48 Partial Invalidity........................................................................... 48 Destruction of Canceled Bonds ................................................... 48 Funds and Accounts..................................................................... 49 Payment on Business Days.......................................................... 49 Notices......................................................................................... 49 UnclaimedMoneys...................................................................... 50 GoverningLaw............................................................................ 50 EXHIBIT A — FORM OF BOND EXHIBIT B — FORM OF COSTS OF ISSUANCE REQUISITION EXHIBIT C — FORM OF PROJECT FUND REQUISITION EXHIBIT D — FORM OF NET PROCEEDS REQUISITION iii INDENTURE This INDENTURE is dated as of October 1, 2020, by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), and U.S. BANK NATIONAL ASSOCIATION, a national banking association duly organized and existing under the laws of the United States with a corporate trust office in Los Angeles, California and qualified to accept and administer the trusts hereby created, as trustee (the "Trustee"). RECITALS: WHEREAS, the Authority is a joint powers authority duly organized and existing under and pursuant to that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City of Santa Clarita, California (the "City"), the City as successor agency to the Redevelopment Agency of the City of Santa Clarita (no longer a member), and the Santa Clarita Parking Authority, and under the provisions of Articles 1 through 4 (commencing with Section 6500), Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"), and is authorized pursuant to Article 4 of the Act (the "Bond Law") to borrow money for the purpose of financing and refinancing public capital improvements; and WHEREAS, the City desires to finance the acquisition of a parcel of land and the improvements thereon (the "Project") to be used for recreational facilities; and WHEREAS, the City has requested that the Authority issue its Lease Revenue Bonds (Recreational Facility) Series 2020A (the "Tax -Exempt Bonds") and its Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (the "Taxable Bonds," and together with the Tax -Exempt Bonds, the "Bonds"), for the purpose of financing the acquisition of an approximately 93,000 square foot recreation facility (the "Facility") located on an approximately 4.4 acre parcel located at 27745 Smyth Drive within the City (the "Site" and together with the Facility, the "Recreational Facility"); and WHEREAS, the Authority intends to issue the Bonds for such purpose to assist the City; and WHEREAS, in connection with the issuance of the Bonds, the City and the Authority have entered into a Site and Facility Lease, dated as of October 1, 2020 (the "Site Lease"), between the City and the Authority, whereby the Authority has agreed to lease the Recreational Facility from the City; and WHEREAS, the Authority and the City have entered into a Lease Agreement, dated as of October 1, 2020 (the "Lease"), between the Authority and the City, whereby the Authority has agreed to lease the Recreational Facility (the "Leased Property") to the City; and WHEREAS, under and pursuant to the Lease, the City is obligated to make Base Rental Payments (as defined herein) to the Authority for the sublease of the Leased Property; and WHEREAS, as security for its obligations hereunder, the Authority has assigned to the Trustee all its rights to receive the Base Rental Payments scheduled to be paid by the City under and pursuant to the Lease and certain other rights to the Trustee pursuant to the Indenture; and WHEREAS, the City has determined that the issuance of the Bonds will result in significant public benefits including demonstrable financing cost savings and more efficient delivery of services to the community; and WHEREAS, to provide for the authentication and delivery of the Bonds, to establish and declare the terms and conditions upon which the Bonds are to be issued and to secure the payment of the principal thereof, premium, if any, and interest thereon, the Authority has authorized the execution and delivery of this Indenture; and WHEREAS, the Authority has determined that all acts and proceedings required by law necessary to make the Bonds, when executed by the Authority, authenticated and delivered by the Trustee and duly issued, the valid, binding and legal special obligations of the Authority, and to constitute this Indenture a valid and binding agreement for the uses and purposes herein set forth in accordance with its terms, have been done and taken, and the execution and delivery of the Indenture have been in all respects duly authorized; NOW, THEREFORE, THIS INDENTURE WITNESSETH, that to secure the payment of the principal of and the interest and premium (if any) on all Bonds at any time issued and Outstanding under this Indenture, according to their tenor, and to secure the performance and observance of all the covenants and conditions therein and herein set forth, and to declare the terms and conditions upon and subject to which the Bonds are to be issued and received, and in consideration of the premises and of the mutual covenants herein contained and of the purchase and acceptance of the Bonds by the Owners thereof, and for other valuable considerations, the receipt whereof is hereby acknowledged, the Authority does hereby covenant and agree with the Trustee, for the benefit of the respective Owners from time to time of the Bonds, as follows: ARTICLE I DEFINITIONS; AUTHORIZATION AND PURPOSE OF BONDS; EQUAL SECURITY SECTION 1.01. Definitions. Unless the context otherwise requires, the terms defined in this Section shall for all purposes of this Indenture and of any Supplemental Indenture and of the Bonds and of any certificate, opinion, request or other document herein mentioned have the meanings herein specified. "Act" means Articles 1 through 4 (commencing with Section 6500), Chapter 5, Division 7, Title 1 of the Government Code of the State, as in existence on the Closing Date or as thereafter amended from time to time. "Additional Bonds" mean the Bonds of an additional Series authorized by a Supplemental Indenture that are issued pursuant to this Indenture. 2 "Additional Rental Payments" means the additional rental payable by the City under and pursuant to Section 3(b) of the Lease. "Annual Debt Service" means, for each Bond Year with respect to the Bonds, the sum of (a) the interest payable on the Outstanding Bonds in such Bond Year, and (b) the principal amount of the Outstanding Bonds scheduled to mature or required to be redeemed by mandatory sinking account redemption in such Bond Year. "Assignment Agreement" means that certain Assignment Agreement, dated as of October 1, 2020, by and between the Authority and the Trustee. "Authority" means the Santa Clarita Public Financing Authority, a joint powers authority duly organized and existing under the Joint Exercise of Powers Agreement, as amended, and the laws of the State. "Authority Board" means the governing body of the Authority. "Authorized Denominations" means $5,000 or any integral multiple thereof. "Base Rental Payments" means all Base Rental Payments under the Lease with respect to the Bonds, as the context requires, and any additional base rental payments made under the Lease with respect to any Additional Bonds issued in accordance with this Indenture. "Bond Counsel" means (a) Norton Rose Fulbright US LLP, or (b) any other attorney or firm of attorneys appointed by or acceptable to the Authority of nationally recognized experience in the area of municipal finance. "Bond Law" means the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4 of the Act, as in existence on the Closing Date or as thereafter amended from time to time. "Bond Year" means each twelve-month period extending from June 2 in one calendar year to June 1 of the succeeding calendar year, both dates inclusive, except that the first Bond Year shall begin on the Closing Date and shall end on June 1, 2021. "Bonds" mean collectively, the Tax -Exempt Bonds and the Taxable Bonds, and, where the context requires, any Additional Bonds. "Business Day" means a day other than (i) a Saturday or Sunday, (ii) a day on which banking institutions in the city in which the Trustee maintains its Trust Office are authorized or required by law or executive order to close or (iii) a day on which the New York Stock Exchange is closed. "Certificate of the Authority" means a certificate in writing signed by a Responsible Officer of the Authority. "Certificate of the City" means a certificate in writing signed by a Responsible Officer of the City. 3 "City" means the City of Santa Clarita, California. "Closing Date" means October 22, 2020, being the date of delivery of the Bonds to the Original Purchaser thereof. "Code" means the Internal Revenue Code of 1986. "Costs of Issuance" means all expenses incurred in connection with the authorization, issuance, sale and delivery of the Bonds, including but not limited to all compensation, fees and expenses (including but not limited to fees and expenses for legal counsel) of the Authority and the Trustee, compensation to any financial consultants or underwriters, legal fees and expenses (including fees and expenses of Bond and Disclosure Counsel), filing and recording costs, rating agency fees, costs of preparation and reproduction of documents, costs of printing and fees and costs for any guaranty, surety bond, letter of credit or other credit facility. "Costs of Issuance Fund" means the fund by that name established and held by the Trustee pursuant to Section 3.03. "Defeasance Securities" means (1) cash, (2) non -callable direct obligations of the United States of America ("Treasuries"), (3) evidences of ownership of proportionate interests in future interest and principal payments on Treasuries held by a bank or trust company as custodian, under which the owner of the investment is the real party in interest and has the right to proceed directly and individually against the obligor and the underlying Treasuries are not available to any person claiming through the custodian or to whom the custodian may be obligated, (4) pre -refunded municipal obligations rated "AAA" and "Aaa" by S&P and Moody's, respectively. "Depository" means DTC and its successors and assigns or if (a) the then Depository resigns from its functions as securities depository of the Bonds, or (b) the Authority discontinues use of the Depository pursuant to Section 2.13 hereof, any other securities depository which agrees to follow the procedures requested to be followed by a securities depository in connection with the Bonds and which is selected by the Authority. "Depository Participant" means a member of, or participant in, the Depository. "Designated Investment Banker" means one of the Reference Treasury Dealers appointed by the City. "DTC" means The Depository Trust Company, New York, New York, and its successors and assigns. "Event of Default" means any of the events described in Section 8.01. "Facility" means the approximately 93,000 square foot building on the Site as it may be improved, repaired, rehabilitated, and modified for recreational facilities, as more fully described on Exhibit A to the Lease. M "Fair Market Value" means the price at which a willing buyer would purchase the investment from a willing seller in a bona fide, arm's length transaction (determined as of the date the contract to purchase or sell the investment becomes binding) if the investment is traded on an established securities market (within the meaning of section 1273 of the Code) and, otherwise, the term "fair market value" means the acquisition price in a bona fide arm's length transaction (as referenced above) if (i) the investment is a certificate of deposit the value of which is determined in accordance with applicable regulations under the Code, (ii) the investment is an agreement with specifically negotiated withdrawal or reinvestment provisions and a specifically negotiated interest rate (for example, a guaranteed investment contract, a forward supply contract or other investment agreement) the value of which is determined in accordance with applicable regulations under the Code, (iii) the investment is a United States Treasury Security -State and Local Government Series that is acquired in accordance with applicable regulations of the United States Bureau of Public Debt, or (iv) the investment is the Local Agency Investment Fund of the State of California, but only if at all times during which the investment is held its yield is reasonably expected to be equal to or greater than the yield on a reasonably comparable direct obligation of the United States. "Fiscal Year" means any twelve-month period extending from July 1 in one calendar year to June 30 of the succeeding calendar year, both dates inclusive, or any other twelve-month period selected and designated by the Authority as its official fiscal year period. "Indenture" means this Indenture, dated as of October 1, 2020, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. "Independent Certified Public Accountant" means any certified public accountant or firm of certified public accountants appointed and paid by the Authority, and who, or each of whom: (a) is in fact independent and not under domination of the Authority or the City; (b) does not have any substantial interest, direct or indirect, in the Authority or the City; and (c) is not connected with the Authority or the City as an officer or employee of the Authority or the City but who may be regularly retained to make annual or other audits of the books of or reports to the Authority or the City. "Information Services" means the Electronic Municipal Market Access System (referred to as "EMMA"), a facility of the Municipal Securities Rulemaking Board, at hilp:Ilemma.msrb.org; provided, however, in accordance with then current guidelines of the Securities and Exchange Commission, Information Services shall mean such other organizations providing information with respect to called Bonds as the Authority may designate in writing to the Trustee. "Insurance and Condemnation Fund" means the fund by that name established and held by the Trustee pursuant to Section 3.05. E "Interest Account" means the account by that name established and held by the Trustee pursuant to Section 4.02(a). "Interest Payment Date" means June 1 and December 1 of each year, commencing December 1, 2020. "Joint Exercise of Powers Agreement" means that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City, the Successor Agency to the Redevelopment Agency of the City of Santa Clarita, and the Santa Clarita Parking Authority, together with any amendments thereof and supplements thereto. Currently, the Successor Agency is no longer a member of the Authority. "Lease" means that certain Lease Agreement, dated as of October 1, 2020, by and between the Authority as lessor and the City as lessee, as it may be further amended or modified. "Lease Revenue Fund" means the fund by that name established and held by the Trustee pursuant to Section 4.02. "Leased Property" or "Recreational Facility" means, collectively, the Site and the Facility, leased by the Authority to the City pursuant to the Lease, as more fully described in Exhibit A to the Lease, as such Exhibit A may be revised and amended from time to time pursuant to the terms hereof and of the Lease. "Maximum Annual Debt Service" in respect of any Bond Year means the largest of the sums obtained for that or any succeeding Bond Year after totaling the following for each such Bond Year: (a) The principal amount of all Outstanding Bonds maturing or required to be redeemed by mandatory sinking account redemption in such Bond Year; and (b) The interest that would be due during such Bond Year on the aggregate principal amount of Bonds which would be Outstanding in such Bond Year if the Bonds Outstanding on the date of such computation were to mature or be redeemed in accordance with the applicable maturity or mandatory sinking account redemption schedule. At the time and for the purpose of making such computation, the amount of Bonds already retired in advance of the above mentioned schedule or schedules shall be deducted pro rata from the remaining amounts thereon. "Moody's" means Moody's Investors Service, Inc., a corporation organized and existing under the laws of the State of Delaware, its successors and their assigns, or, if such corporation shall be dissolved or liquidated or shall no longer perform the functions of a securities rating agency, any other nationally recognized securities rating agency designated by the Authority with notice to the Trustee. "Nominee" means the nominee of the Depository, which may be the Depository, as determined from time to time pursuant hereto. "Original Purchaser" means, with respect to the Bonds, Raymond James & Associates, Inc., the initial purchaser of the Bonds. 0 "Outstanding," when used as of any particular time with reference to Bonds and Additional Bonds, means (subject to the provisions of Section 9.07) all Bonds and Additional Bonds theretofore executed, issued and delivered by the Authority under this Indenture except: (a) Bonds theretofore canceled by the Trustee or surrendered to the Trustee for cancellation; (b) Bonds paid or deemed to have been paid within the meaning of Section 9.03; and (c) Bonds in lieu of which or in substitution for which other Bonds shall have been executed, issued and delivered pursuant to this Indenture or any Supplemental Indenture. "Owner" when used with respect to any Bond, means the person in whose name the ownership of such Bond shall be registered on the Registration Books. "Permitted Investments" means any of the following which at the time of investment are legal investments under the laws of the State for the moneys proposed to be invested therein (the Trustee is entitled to conclusively rely on a Written Request of the Authority directing investment in such Permitted Investment as a certification by the Authority to the Trustee that such Permitted Investment is a legal investment under the laws of the State), but only to the extent that the same are acquired at Fair Market Value: (a) Direct obligations of the United States of America (including obligations issued or held in book -entry form on the books of the Department of the Treasury of the United States of America) or obligations the timely payment of the principal of and interest on which are fully guaranteed by the United States of America, including instruments evidencing a direct ownership interest in securities described in this clause such as Stripped Treasury Coupons at the time of purchase rated or assessed in the highest rating category by S&P and Moody's and held by a custodian for safekeeping on behalf of holders of such securities. (b) Bonds or notes which are exempt from federal income taxes and for the payment of which cash or obligations described in clause (a) of this definition in an amount sufficient to pay the principal of, premium, if any, and interest on when due have been irrevocably deposited with a trustee or other fiscal depositary and which at the time of purchase are rated the same rating as direct obligations of the United States of America by S&P and Moody's. (c) Obligations, debentures, notes or other evidence of indebtedness issued or guaranteed by any of the following: Federal Home Loan Bank System, Government National Mortgage Association, Farmer's Home Administration, Federal Home Loan Mortgage Corporation or Federal Housing Administration; provided that with respect to the funds and accounts established under this Indenture, such obligations shall at no time exceed an amount equal to ten percent (10%) of the aggregate principal amount of the Bonds Outstanding. (d) Deposit accounts certificates of deposit or savings accounts (i) fully insured by the Federal Deposit Insurance Corporation or (ii) with banks whose short term obligations are at the time of purchase rated no lower than A-1 by S&P and P-1 by Moody's including those of the Trustee and its affiliates. 7 (e) Federal funds or banker's acceptances with a maximum term of one year of any bank that at the time of purchase has an unsecured, uninsured and unguaranteed obligation rating of "Prime -I" or "AY' by Moody's and "A-1" or "A" or better by S&P (including the Trustee and its affiliates). (f) Repurchase or reverse repurchase obligations (including those of the Trustee or any of its affiliates) with a term not exceeding 30 days pursuant to a written agreement between the Trustee and either a primary dealer on the Federal Reserve reporting dealer list which falls under the jurisdiction of the SIPC or a federally chartered commercial bank whose long-term debt obligations at the time of purchase are rated A or better by S&P and Moody's, with respect to any security described in clause (1); provided that the securities which are the subject of such repurchase obligation (i) must be free and clear of all liens, (ii) in the case of a SIPC dealer, were not acquired pursuant to a repurchase or reverse repurchase agreement, (iii) must be deposited with the Trustee and maintained through weekly market valuations in an amount equal to 104% of the invested funds plus accrued interest; and further provided that the Trustee must have a valid first perfected security interest in such securities. (g) Taxable government money market portfolios that at the time of purchase have a rating by S&P of Am-G or Am or better and rated in one of the three highest rating categories of Moody's, subject to a maximum permissible limit equal to six months of principal and interest on the Bonds including such portfolios for which the Trustee, its affiliates or subsidiaries receive and retains a fee for services provided to the portfolio, whether as a custodian, transfer agent, investment advisor or otherwise. (h) Tax-exempt government money market portfolios that at the time of purchase have a rating by S&P of Am-G or Am or better and rated in one of the three highest rating categories of Moody's consisting of securities which are rated in the highest Rating Categories of S&P and Moody's subject to a maximum permissible limit equal to six months of principal and interest on the Bonds, including such portfolios for which the Trustee, its affiliates or subsidiaries receive and retains a fee for services provided to the portfolio, whether as a custodian, transfer agent, investment advisor or otherwise. (i) Money market funds registered under the Investment Company Act of 1940, the shares in which are registered under the Securities Act of 1933 and that at the time of purchase have a rating by S&P of AAAm-G or AAAm and rated in one of the two highest Rating Categories of Moody's, including such funds for which the Trustee, its affiliates or subsidiaries receive and retains a fee for services provided to the fund, whether as a custodian, transfer agent, investment advisor or otherwise. 0) United States of America dollar denominated commercial paper issued or guaranteed by a United States or foreign corporation, company, financial institution, trust or other entity, including both unsecured debt and asset -backed programs with a minimum rating of A-1 (or the equivalent) by any one Nationally Recognized Statistical Rating Organization (NRSRO). (k) The Local Agency Investment Fund of the State, created pursuant to Section 16429.1 of the California Government Code, to the extent the Trustee is authorized to register such investment in its name. (1) Shares of beneficial interest issued by a local agency investment pool joint powers authority organized pursuant to Section 6509.7 of the California Government Code, that invests in the securities and obligations authorized in Section 53601 of the California Government Code, as it may be amended. At the time of purchase, the pool shall have a minimum rating of AAAm or the equivalent by any one NRSRO. (m) Investment agreements, including guaranteed investment contracts ("GICs") forward purchase agreements and reserve fund put agreements with banks or other financial institutions rated, or guaranteed by institutions rated, or with senior unsecured debt rated, at the time of entrance into such agreement by S&P or Moody's, in one of the three highest rating categories assigned by such agencies. (n) Any other investments which meet the criteria established by applicable published investment guidelines issued by each rating agency then rating the Bonds. "Principal Account" means the account by that name established and held by the Trustee pursuant to Section 4.02(b). "Principal Payment Date" means each June 1, commencing June 1, 2021. "Project" means the acquisition of the Recreational Facility. "Project Costs" means all costs which are paid from moneys on deposit in the Project Fund, including but not limited to: (a) all costs required to be paid to any person under the terms of any agreement for or relating to the Project; (b) obligations incurred for labor and materials in connection with the Project; (c) the cost of performance or other bonds and any and all types of insurance that may be necessary or appropriate to have in effect in connection with the Project; (d) all costs of engineering and architectural services, including the actual out- of-pocket costs for test borings, surveys, estimates, plans and specifications and preliminary investigations therefor, development fees, and for supervising construction, as well as for the performance of all other duties required by or consequent to the Project; (e) any sums required to reimburse the Authority or the City for advances made for any of the above items or for any other costs incurred and for work done which are properly chargeable to the Project, including the purchase price for the Site and the improvements thereon; and 0 (f) all financing costs incurred in connection with the Project, including but not limited to Costs of Issuance and other costs incurred in connection herewith and the financing of the Project. "Project Fund" means the fund by that name established and held by the Trustee pursuant to Section 3.04. "Rebate Fund" means the fund by that name established and held by the Trustee pursuant to Section 4.03. "Rebate Requirement" means, in respect of an issue of Tax -Exempt Bonds, obligations imposed under section 148(f) the Code in respect of such issue. "Record Date" means, with respect to any Interest Payment Date, the fifteenth (15tn) calendar day of the month immediately preceding such Interest Payment Date, whether or not such day is a Business Day. "Reference Treasury Dealer" means each of five firms, specified by the City from time to time, that are primary U.S. Government securities dealers in the City of New York (each, a "Primary Treasury Dealer"); provided, however, that if any of them ceases to be a Primary Treasury Dealer, the City will substitute another Primary Treasury Dealer. "Registration Books" means the records maintained by the Trustee pursuant to Section 2.09 for the registration and transfer of ownership of the Bonds. "Rental Payments" means, collectively, the Base Rental Payments, any additional base rental payments made in connection with Additional Bonds and any Additional Rental Payments. "Responsible Officer" means, with respect to the Authority, any member of the Authority Board, the Executive Director or the Treasurer of the Authority, or any other person authorized by resolution of the Authority Board to act on behalf of the Authority under or with respect to the Lease or this Indenture, and means, with respect to the City, the Mayor, the City Manager, the Assistant City Manager, the Deputy City Manager, the City Treasurer or any other officer of the City duly authorized for that purpose by the Mayor, the City Manager or by the City Council, as evidenced in writing to the Trustee. "Revenues" means (i) all Base Rental Payments payable by the City pursuant to the Lease (including prepayments), (ii) any proceeds of Bonds deposited with the Trustee and all moneys on deposit in the funds and accounts (other than the Rebate Fund) established hereunder, (iii) investment income with respect to such moneys held by the Trustee and (iv) any insurance proceeds or condemnation awards received by or payable to the Trustee relating to the Base Rental Payments. "S&P" means S&P Global Ratings, its successors and assigns or, if such corporation shall be dissolved or liquidated or shall no longer perform the functions of a securities rating agency, any other nationally recognized securities rating agency designated by the Authority with notice to the Trustee. 10 "Securities Depositories" means The Depository Trust Company, New York, New York and its successors and assigns or if (i) the then Securities Depository resigns from its functions as depository of the Bonds or (ii) the Authority discontinues use of the then Securities Depository pursuant to Section 2.11, any other securities depository which agrees to follow the procedures required to be followed by a securities depository in connection with the Bonds and which is selected by the Authority. "Series" whenever used in this Indenture with respect to the Bonds or Additional Bonds, means all of the Bonds designated as being of the same series, authenticated and delivered in a simultaneous transaction, regardless of variations in maturity, interest rate, redemption and other provisions, and any Bonds thereafter authenticated and delivered upon transfer or exchange of or in lieu of or in substitution for (but not to refund) such Bonds as provided herein. "Site" means the approximately 4.4 acre parcel located at 27745 Smyth Drive, Santa Clarita. "Site Lease" means that certain Site and Facility Lease, dated as of October 1, 2020, by and between the City and the Authority, pursuant to which the Authority leases the Site and improvements thereon from the City. "State" means the State of California. "Supplemental Indenture" means any agreement supplemental to or amendatory of this Indenture entered into in accordance with the provisions of Article VII. "Tax Certificate" means the Tax Certificate dated the date of the original delivery of the Tax -Exempt Bonds relating to the requirements of certain provisions of the Code, as such certificate may from time to time be modified or supplemented in accordance with the terms thereof. "Tax -Exempt Bonds" means the Santa Clarita Public Financing Authority, Lease Revenue Bonds (Recreational Facility), Series 2020A, authorized, executed and delivered hereunder. "Taxable Bonds" means the Santa Clarita Public Financing Authority, Federally Taxable Lease Revenue Bonds (Recreational Facility), Series 2020A-T, authorized, executed and delivered hereunder. "Term Bonds" mean, collectively, the Tax -Exempt Bonds maturing on June 1 in the years 2041, 2046 and 2050. "Treasury Rate" means, with respect to any redemption date for a particular Taxable Bond, the yield to maturity as of the redemption date of the United State Treasury securities with a constant maturity (as compiled and published in the most recent Federal Reserve Statistical Release H.15 (510 that has become publicly available at least two (2) Business Days prior to the redemption date (excluding inflation indexed securities) (or, if such Statistical Release is no longer published, any publicly available source of similar market data)) most nearly equal to the period from the redemption date to the maturity date of the Taxable Bond to be redeemed, 11 provided, however, that if the period from the redemption date to such maturity date is less than one year, the weekly average yield on actually traded United States Treasury securities adjusted to a constant maturity of one year will be used. "Trust Office" means the corporate trust office of the Trustee in Los Angeles, California or such other offices as may be specified to the Authority by the Trustee in writing or, solely for purposes of the surrender of the Bonds for payment, transfer or exchange, the corporate trust operations or agency office designated by the Trustee. "Trustee" means U.S. Bank National Association, and its successors and assigns, and any other banking corporation or association that may at any time be substituted in its place as provided in Article VI hereof. "Written Request of the Authority" means a request in writing signed by a Responsible Officer of the Authority. "Written Request of the City" means a request in writing signed by a Responsible Officer of the City. SECTION 1.02. Rules of Construction. All references in this Indenture to "Articles," "Sections," and other subdivisions are to the corresponding Articles, Sections or subdivisions of this Indenture; and the words "herein," "hereof," "hereunder," and other words of similar import refer to this Indenture as a whole and not to any particular Article, Section or subdivision hereof. SECTION 1.03. Authorization and Purpose of Bonds. The Authority has reviewed all proceedings heretofore taken relative to the authorization of the Bonds and has found, as a result of such review, and hereby finds and determines that all things, conditions, and acts required by law to exist, to happen and to be performed precedent to and in the issuance of the Bonds do exist, have happened and have been performed in due time, form and manner as required by law, and the Authority is now authorized under the Joint Exercise of Powers Agreement and the Bond Law and each and every requirement of law, to issue the Bonds in the manner and form provided in this Indenture. Accordingly, the Authority hereby authorizes the issuance of the Bonds pursuant to the Bond Law and this Indenture for the purpose described in the recitals hereof. SECTION 1.04. Equal Security. In consideration of the acceptance of the Bonds by the Owners thereof, this Indenture shall be deemed to be and shall constitute a contract between the Authority and the Owners from time to time of the Bonds; and the covenants and agreements herein set forth to be performed on behalf of the Authority shall be for the equal and proportionate benefit, security and protection of all Owners without preference, priority or distinction as to security or otherwise of any of the Bonds over any of the others by reason of the number or date thereof or the time of sale, execution or delivery thereof, or otherwise for any cause whatsoever, except as expressly provided therein or herein. 12 ARTICLE II ISSUANCE OF BONDS SECTION 2.01. Designation. The Tax -Exempt Bonds are authorized to be issued by the Authority under and subject to the Bond Law and the terms of this Indenture and shall be designated, respectively, as the "Santa Clarita Public Financing Authority, Lease Revenue Bonds (Recreational Facility), Series 2020A." The Tax -Exempt Bonds shall be issued in the original aggregate principal amount of $10,645,000. The Taxable Bonds are authorized to be issued by the Authority under and subject to the Bond Law and the terms of this Indenture and shall be designated, respectively, as the "Santa Clarita Public Financing Authority, Federally Taxable Lease Revenue Bonds (Recreational Facility), Series 2020A-T." The Taxable Bonds shall be issued in the original aggregate principal amount of $3,625,000. SECTION 2.02. Terms of the Bonds. The Bonds shall be dated the Closing Date, shall mature on the dates and in the amounts, and shall bear interest (calculated on the basis of a 360-day year of twelve 30-day months) at the rates, set forth in the following table: Tax -Exempt Bonds Maturity Date Principal Interest (June 1 Amount Rate 2030 $ 165,000 4.000% 2031 400,000 3.000 2032 415,000 3.000 2033 425,000 2.000 2034 435,000 2.000 2035 445,000 2.125 2036 455,000 2.250 2037 465,000 2.250 2038 475,000 2.375 2039 485,000 2.375 2041 1,005,000 2.500 2046 2,825,000 4.000 2050 2,650,000 2.750 $10,645,000 13 Taxable Bonds Maturity Date Principal Interest (June 1) Amount Rate 2021 $ 485,000 0.447% 2022 350,000 0.597 2023 355,000 0.790 2024 355,000 0.976 2025 360,000 1.176 2026 365,000 1.487 2027 370,000 1.687 2028 375,000 1.967 2029 385,000 2.067 2030 225,000 2.167 $3,625,000 The Bonds shall be delivered in fully registered form, numbered from one upwards in consecutive numerical order (with such alphabetical prefix as the Trustee shall determine). The Bonds shall be executed and delivered in their respective Authorized Denominations. Each Bond shall bear interest from the Interest Payment Date next preceding the date of authentication thereof, unless (i) it is executed during the period from the day after the Record Date for an Interest Payment Date to and including such Interest Payment Date, in which event it shall bear interest from such Interest Payment Date, or (ii) it is authenticated on or prior to the Record Date for the first Interest Payment Date, in which event it shall bear interest from the Closing Date; provided, however, that if, at the time of authentication of any Bond interest with respect to such Bond is in default, such Bond shall bear interest from the Interest Payment Date to which interest has been paid or made available for payment with respect to such Bond, or if no interest has been paid, from the date of initial delivery of the Bonds. Interest with respect to any Bond shall be payable in lawful money of the United States of America on each Interest Payment Date to the Owner thereof as of the close of business on the Record Date, such interest to be paid by check of the Trustee, mailed by first class mail no later than the Interest Payment Date to the Owner at his address as it appears, on such Record Date, on the Registration Books maintained by the Trustee; provided, however, that at the written request of the Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds filed with the Trustee prior to any Record Date, interest on such Bonds shall be paid to such Owner on each succeeding Interest Payment Date (unless such request has been revoked in writing) by wire transfer of immediately available funds to an account in the United States designated in such written request. Payments of defaulted interest with respect to the Bonds shall be paid by check or draft to the registered Owners of the Bonds as of a special record date to be fixed by the Trustee, notice of which special record date shall be given to the registered Owners of the Bonds not less than ten days prior thereto. The principal of and premium, if any, on the Bonds are payable by check when due upon surrender thereof at the Trust Office in lawful money of the United States of America. 14 SECTION 2.03. Redemption of Bonds. (a) Extraordinary Redemption. The Bonds shall be subject to redemption prior to their respective maturity dates, upon written notice from the Authority to the Trustee at least forty-five (45) days (or such lesser number of days acceptable to the Trustee, in the sole discretion of the Trustee), from the date fixed for redemption, as a whole or in part on a pro rata basis, on any date from prepayments of the applicable Base Rental Payments made by the City pursuant to the Lease from funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed herein and in the Lease. Redemption of Bonds pursuant to this subparagraph (a) shall be made at a redemption price equal to the sum of the principal of the Bonds to be redeemed plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. (b) Bonds Optional Redemption from Prepayments of Base Rental Payments. (1) Optional Redemption of Tax -Exempt Bonds. The Tax -Exempt Bonds maturing on or after June 1, 2030 shall be subject to redemption prior to their respective maturity dates, upon written notice from the Authority to the Trustee at least forty-five (45) days (or such lesser number of days acceptable to the Trustee, in the sole discretion of the Trustee) prior to the date fixed for redemption, as a whole or in part on any date on or after June 1, 2028, in such maturities as the Authority shall designate (and by lot within any maturity), from prepayments of Base Rental Payments made at the option of the City pursuant to Section 11(b) of the Lease, at a redemption price equal to the principal amount of the Tax -Exempt Bonds to be redeemed, plus accrued but unpaid interest to the date fixed for redemption, without premium. (2) Optional Redemption of Taxable Bonds at Make Whole Redemption Price Make and Hold. The Taxable Bonds may be redeemed, at the written direction of the Authority, in whole or in part in integral multiples of $5,000, on any Business Day prior to June 1, 2030, from prepayments of Base Rental Payments made at the option of the City pursuant to Section 11(b) of the Lease, at the "Make -Whole Redemption Price" for such Taxable Bonds to be redeemed determined by the Designated Investment Banker equal to the greater of (i) the issue price as shown on the inside cover page of the Official Statement (but not less than 100% of the principal amount of the Taxable Bonds to be redeemed), or (ii) an amount equal to the sum of the present values of the remaining scheduled payments of principal and interest on the Taxable Bonds to be redeemed, not including any portion of those payments of interest accrued and unpaid as of the date on which the Taxable Bonds are to be redeemed, discounted to the date on which such Taxable Bonds are to be redeemed on a semi- annual basis, assuming a 360-day year consisting of twelve 30-day months, at the "Treasury Rate" plus 20 basis points, plus accrued and unpaid interest on the Taxable Bonds to be redeemed on the redemption date. 15 (c) Mandatory Sinking Account Redemption. The Tax -Exempt Term Bonds maturing on June 1, 2041, June 1, 2046 and June 1, 2050 shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedule on June 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. Tax -Exempt Term Bonds Maturing June 1, 2041 Redemption Date Principal Amount (June 1 To be Redeemed 2040 $495,000 2041* 510,000 * Maturity Tax -Exempt Term Bonds Maturing June 1, 2046 Redemption Date Principal Amount (June 1 To be Redeemed 2042 $520,000 2043 545,000 2044 565,000 2045 585,000 2046* 610,000 . Maturity Tax -Exempt Term Bonds Maturing June 1, 2050 Redemption Date Principal Amount (June 1 To be Redeemed 2047 $635,000 2048 655,000 2049 670,000 2050* 690,000 Maturity If some but not all of a Term Bond has been redeemed pursuant to extraordinary or optional redemptions, the total amount of sinking account payments to be made subsequent to such redemption shall be reduced in an amount equal to the principal amount of such Term Bond so redeemed by reducing each such future sinking account payment on a pro rata basis (as nearly as practicable) in integral multiples of $5,000, as shall be designated pursuant to written notice filed by Authority with the Trustee. In the event of any reductions in the amount of sinking account payments due as a result of some but not all of the Bonds being redeemed pursuant to extraordinary or optional redemptions, the Authority shall provide the Trustee with a revised schedule reflecting such reductions. 16 (d) Notice of Redemption. The Trustee on behalf and at the expense of the Authority shall mail (by first class mail or other means acceptable to the recipient thereof) notice of any redemption to the respective Owners designated for redemption at their respective addresses appearing on the Registration Books, to the Securities Depositories and to one or more Information Services, at least twenty (20) but not more than sixty (60) days prior to the date fixed for redemption; provided, however, that neither failure to receive any such notice so mailed nor any defect therein shall affect the validity of the proceedings for the redemption of such Bonds or the cessation of the accrual of interest thereon. Such notice shall state the date of the notice, the redemption date, the redemption place and the redemption price and shall designate the CUSIP numbers, the Bond numbers and the maturity or maturities (in the event of redemption of all of the Bonds of such maturity or maturities in whole) of the Bonds to be redeemed, and shall require that such Bonds be then surrendered at the Trust Office of the Trustee for redemption at the redemption price, giving notice also that further interest on such Bonds will not accrue from and after the redemption date. Such notice shall further state, if so determined by the Authority, that such notice may be rescinded at any time prior to the redemption date. Neither the Authority nor the Trustee shall have any responsibility for any defect in the CUSIP number that appears on any Bond or in any redemption notice with respect thereto, and any such redemption notice may contain a statement to the effect that CUSIP numbers have been assigned by an independent service for convenience of reference and that neither the Authority nor the Trustee shall be liable for any inaccuracy in such numbers. Any notice given pursuant to the preceding paragraph may be conditional and/or rescinded by written notice given to the Trustee by the Authority and the Trustee shall provide notice of such rescission as soon thereafter as practicable in the same manner, and to the same recipients, as notice of such redemption was given pursuant to this Section. The Authority and the Trustee shall have no liability to the Owners or any other party related to or arising from such rescission of redemption. (e) Selection of Bonds for Redemption. Whenever provision is made in this Indenture for the optional or extraordinary mandatory redemption of less than all of the Bonds of a Series (other than mandatory sinking account redemption), the Trustee shall select the Bonds to be redeemed from all Bonds of such Series not previously called for redemption, in such maturities as the Authority shall designate (and by lot within any maturity). For purposes of such selection, all Bonds shall be deemed to be comprised of separate $5,000 portions and such portions shall be treated as separate Bonds, which may be separately redeemed. (f) Partial Redemption of Bonds. In the event only a portion of any Bond of a Series is called for redemption, then upon surrender of such Bond the Authority shall execute and the Trustee shall authenticate and deliver to the Owner thereof, at the expense of the Authority, a new Bond or Bonds of the same Series, interest rate and maturity date, in aggregate principal amount equal to the unredeemed portion of the Bond being redeemed. (g) Effect of Redemption. From and after the date fixed for redemption, if funds available for the payment of the principal of, premium, if any, and interest on the Bonds of a Series so called for redemption shall have been duly provided, such Bonds so called shall cease 17 to be entitled to any benefit under this Indenture other than the right to receive payment of the redemption price, and no interest shall accrue thereon from and after the redemption date. All Bonds redeemed pursuant to this Section 2.03 shall be canceled by the Trustee. All moneys held by or on behalf of the Trustee for the payment of principal of or interest or premium on Bonds, whether at redemption or maturity, shall be held in trust for the account of the Owners thereof and the Trustee shall not be required to pay Owners any interest on, or be liable to Owners for any interest earned on, moneys so held. SECTION 2.04. Form of Bonds. The Bonds, the form of Trustee's certificate of authentication, and the form of assignment to appear thereon, shall be substantially in the form set forth in Exhibit A-1 and Exhibit A-2 attached hereto and by this reference incorporated herein, with necessary or appropriate variations, omissions and insertions, as permitted or required by this Indenture. SECTION 2.05. Execution of Bonds. The Bonds shall be signed in the name and on behalf of the Authority with the manual or facsimile signature of its Chair, and attested with the manual or facsimile signature of its Secretary or any Assistant or Deputy Secretary duly appointed by the Authority Board, and shall be delivered to the Trustee for authentication by it. In case any officer of the Authority who shall have signed any of the Bonds shall cease to be such officer before the Bonds so signed shall have been authenticated or delivered by the Trustee or issued by the Authority, such Bonds may nevertheless be authenticated, delivered and issued and, upon such authentication, delivery and issue, shall be as binding upon the Authority as though the individual who signed the same had continued to be such officer of the Authority. Also, any Bond may be signed on behalf of the Authority by any individual who on the actual date of the execution of such Bond shall be the proper officer although on the nominal date of such Bond such individual shall not have been such officer. Only such of the Bonds as shall bear thereon a certificate of authentication in substantially the form set forth in Exhibit A, manually executed on behalf of the Trustee, shall be valid or obligatory for any purpose or entitled to the benefits of this Indenture, and such certificate of the Trustee shall be conclusive evidence that the Bonds so authenticated have been duly authenticated and delivered hereunder and are entitled to the benefits of this Indenture. SECTION 2.06. Transfer of Bonds. Any Bond may, in accordance with its terms, be transferred, upon the Registration Books, by the person in whose name it is registered, in person or by his duly authorized attorney, upon presentation and surrender of such Bond for cancellation, accompanied by delivery of a written instrument of transfer in a form approved by the Trustee, duly executed. Whenever any Bond shall be surrendered for transfer, the Authority shall execute and the Trustee shall thereupon authenticate and deliver to the transferee a new Bond or Bonds of like tenor, interest rate, series designation, maturity and aggregate principal amount in Authorized Denominations. The cost of printing any Bonds and any services rendered or expenses incurred by the Trustee in connection with any such transfer shall be paid by the Authority, except that the Trustee shall require the payment by the Owner requesting such transfer of any tax or other governmental charge required to be paid with respect to such transfer. The Trustee shall not be required to transfer, pursuant to this Section, (a) any Bond during the period established by the Trustee for the selection of Bonds for redemption or (b) any Bond selected for redemption pursuant to Section 2.03(e). Prior to any transfer of the Bonds outside IN the book -entry system (including, but not limited to, the initial transfer outside the book -entry system) the transferor shall provide or cause to be provided to the Trustee all information necessary to allow the Trustee to comply with any applicable tax reporting obligations, including without limitation any cost basis reporting obligations under Internal Revenue Code Section 6045, as amended. The Trustee shall conclusively rely on the information provided to it and shall have no responsibility to verify or ensure the accuracy of such information. SECTION 2.07. Exchange of Bonds. Bonds may be exchanged at the Trust Office of the Trustee for the same aggregate principal amount of Bonds of the same tenor, interest rate, series designation, and maturity and of other Authorized Denominations. The cost of printing any Bonds and any services rendered or expenses incurred by the Trustee in connection with any such exchange shall be paid by the Authority, except that the Trustee shall require the payment by the Owner requesting such exchange of any tax or other governmental charge required to be paid with respect to such exchange. The Trustee shall not be required to exchange, pursuant to this Section, (a) any Bond during the period established by the Trustee for the selection of Bonds for redemption or (b) any Bond selected for redemption pursuant to Section 2.03(e). SECTION 2.08. Temporary Bonds. The Bonds may be issued initially in temporary form exchangeable for definitive Bonds when ready for delivery. The temporary Bonds may be printed, lithographed or typewritten, shall be of such denominations as may be determined by the Authority and may contain such reference to any of the provisions of this Indenture as may be appropriate. Every temporary Bond shall be executed by the Authority and be registered and authenticated by the Trustee upon the same conditions and in substantially the same manner as the definitive Bonds. If the Authority issues temporary Bonds, it will execute and furnish definitive Bonds without delay, and thereupon the temporary Bonds shall be surrendered, for cancellation, in exchange therefor at the Trust Office of the Trustee, and the Trustee shall authenticate and deliver in exchange for such temporary Bonds definitive Bonds of like tenor, series designation, maturity and aggregate principal amount in Authorized Denominations. Until so exchanged, the temporary Bonds shall be entitled to the same benefits under this Indenture as definitive Bonds authenticated and delivered hereunder. SECTION 2.09. Registration Books. The Trustee will keep or cause to be kept at its Trust Office sufficient records for the registration and transfer of the Bonds, which shall at all times during regular business hours be open to inspection by the Authority with reasonable prior notice; and, upon presentation for such purpose, the Trustee shall, under such reasonable regulations as it may prescribe, register or transfer, or cause to be registered or transferred, on such records, Bonds as herein provided. SECTION 2.10. Bonds Mutilated, Lost, Destroyed or Stolen. If any Bond shall become mutilated, the Authority, at the expense of the Owner of such Bond, shall execute, and the Trustee shall thereupon authenticate and deliver, a new Bond of like tenor, series designation, maturity and aggregate principal amount in an Authorized Denomination in exchange and substitution for the Bond so mutilated, but only upon surrender to the Trustee of the Bond so mutilated. Every mutilated Bond so surrendered to the Trustee shall be canceled by it. If any Bond issued hereunder shall be lost, destroyed or stolen, evidence of such loss, destruction or theft may be submitted to the Trustee and, if such evidence shall be satisfactory to it and indemnity satisfactory to it shall be given, the Authority, at the expense of the Owner, shall 19 execute, and the Trustee shall thereupon authenticate and deliver, a new Bond of like series and tenor in lieu of and in substitution for the Bond so lost, destroyed or stolen (or if any such Bond shall have matured or shall have been called for redemption, instead of issuing a substitute Bond the Trustee may pay the same without surrender thereof upon receipt of indemnity satisfactory to the Trustee). The Authority may require payment of a reasonable fee for each new Bond issued under this Section and of the expenses that may be incurred by the Authority and the Trustee. Any Bond issued under the provisions of this Section in lieu of any Bond alleged to be lost, destroyed or stolen shall constitute an original contractual obligation on the part of the Authority whether or not the Bond alleged to be lost, destroyed or stolen shall be at any time enforceable by anyone, and shall be equally and proportionately entitled to the benefits of this Indenture with all other Bonds secured by this Indenture. SECTION 2.11. Use of Depository. Notwithstanding any provision of the Indenture to the contrary: (a) The Bonds shall be initially issued in book -entry form as provided in Section 2.02. The Bonds will be initially registered in the name of Cede & Co., as nominee of the Depository. Registered ownership of the Bonds, or any portion thereof, may not thereafter be transferred except: (i) To any successor of the Depository or its nominee, or to any substitute depository designated pursuant to clause (ii) of this subsection (a) (a "substitute depository"); provided that any successor of the Depository or substitute depository shall be qualified under any applicable laws to provide the service proposed to be provided by it; (ii) To any substitute depository designated by the Authority and not objected to by the Trustee, upon (1) the resignation of the Depository or its successor (or any substitute depository or its successor) from its functions as depository or (2) a determination by the Authority that the Depository or its successor (or any substitute depository or its successor) is no longer able to carry out its functions as depository; provided that any such substitute depository shall be qualified under any applicable laws to provide the services proposed to be provided by it; or (iii) To any Person as provided below, upon (1) the resignation of the Depository or its successor (or any substitute depository or its successor) from its functions as depository; provided that no substitute depository which is not objected to by the Trustee can be obtained or (2) a determination by the Authority that it is in the best interests of the Authority to remove the Depository or its successor (or any substitute depository or its successor) from its functions as depository. (b) In the case of any transfer pursuant to clause (i) or clause (ii) of subsection (a) hereof, upon receipt of the Outstanding Bonds by the Trustee, together with a Certificate of the Authority to the Trustee, a single new Bond for each maturity of Bonds then Outstanding shall be executed and delivered in the aggregate principal amount of the Bonds of each such respective maturity then Outstanding, registered in the name of such successor or such substitute depository, or their nominees, as the case may be, all as specified in such Certificate of the 20 Authority. In the case of any transfer pursuant to clause (iii) of subsection (a) hereof, upon receipt of the Outstanding Bonds by the Trustee together with a Certificate of the Authority to the Trustee, new Bonds shall be executed and delivered in such denominations numbered in consecutive order and registered in the names of such persons as are requested in such a Certificate of the Authority, subject to the limitations of Section 2.02 hereof, provided the Trustee shall not be required to deliver such new Bonds within a period less than sixty (60) days from the date of receipt of such a Certificate of the Authority. (c) The Authority and the Trustee shall be entitled to treat the person in whose name any Bond is registered as the Owner thereof for all purposes of the Indenture and any applicable laws, notwithstanding any notice to the contrary received by the Trustee or the Authority; and the Authority and the Trustee shall have no responsibility for transmitting payments to, communication with, notifying, or otherwise dealing with any Beneficial Owners of the Bonds. Neither the Authority nor the Trustee will have any responsibility or obligations, legal or otherwise, to the Beneficial Owners or to any other party including the Depository or its successor (or any substitute depository or its successor), except for the Holder of any Bond. (d) So long as the Outstanding Bonds are registered in the name of Cede & Co. or its registered assigns, the Authority and the Trustee shall cooperate with Cede & Co., as sole registered Owner, and its registered assigns in effecting payment of the principal of and interest on the Bonds by arranging for payment in such manner that funds for such payments are properly identified and are made immediately available on the date they are due. ARTICLE III DEPOSIT AND APPLICATION OF PROCEEDS SECTION 3.01. Issuance of Bonds. Upon the execution and delivery of this Indenture, the Authority shall execute and deliver the Bonds to the Trustee for authentication, issuance and delivery to the Original Purchaser thereof upon the Written Request of the Authority. SECTION 3.02. Application of Proceeds of Sale of Bonds. (a) Upon the receipt of payment for the Tax -Exempt Bonds on the Closing Date, the Trustee shall apply $10,825,167.75 of the net proceeds of the Tax -Exempt Bonds (which equals the principal amount of the Tax -Exempt Bonds, less an underwriting discount of $45,241.25, and plus a net original issue premium of $225,409.00), as follows: (1) The Trustee shall deposit in the Costs of Issuance Fund the amount of $175,167.75. (2) The Trustee shall deposit in the Project Fund the amount of $10,650,000.00. (b) Upon the receipt of payment for the Taxable Bonds on the Closing Date, the Trustee shall apply $3,609,593.75 of the net proceeds of the Taxable Bonds (which equals the principal amount of the Taxable Bonds, less an underwriting discount of $15,406.25), as follows: 21 (1) The Trustee shall deposit in the Costs of Issuance Fund the amount of $59,593.75, which together with the proceeds from the Tax -Exempt Bonds, equals $234,761.50. (2) The Trustee shall deposit in the Project Fund the amount of $3,550,000.00, which together with the proceeds from the Tax -Exempt Bonds, equals $14,200,000.00. (c) The Trustee may establish such temporary funds, accounts and subaccounts as may be necessary or desirable to accomplish such deposits. SECTION 3.03. Costs of Issuance Fund. There is hereby established a fund to be held by the Trustee known as the "Costs of Issuance Fund," into which shall be deposited a portion of the proceeds of the sale of the Bonds pursuant to Section 3.02. The moneys in the Costs of Issuance Fund shall be used to pay Costs of Issuance related to the Bonds from time to time and shall be disbursed by the Trustee upon delivery to the Trustee of a requisition, substantially in the form attached hereto as Exhibit B, executed by an officer of the Authority. Each requisition shall be sufficient evidence to the Trustee of the facts stated therein and the Trustee shall have no duty to confirm the accuracy of such facts. On the date that is 180 days following the Closing Date, or upon the earlier receipt by the Trustee of a Written Request of the Authority certifying that all Costs of Issuance related to the Bonds have been paid or provided for, the Trustee shall transfer any remaining amounts in the Costs of Issuance Fund to the Lease Revenue Fund and the Trustee shall then close the Costs of Issuance Fund. SECTION 3.04. Project Fund. There is hereby established a fund to be held by the Trustee known as the "Project Fund" into which shall be deposited a portion of the proceeds of the sale of the Bonds pursuant to Section 3.02. Except as otherwise provided herein, moneys in the Project Fund shall be used solely for the payment of Project Costs. Before any payment from the Project Fund shall be made, the City shall file or cause to be filed with the Trustee, a requisition of the City which shall be substantially in the form attached hereto as Exhibit C. The Trustee shall be entitled to rely on the representations of the City contained in such requisition and shall not be required to independently verify the contents of such requisition. Within three (3) Business Days following receipt of each such Requisition, the Trustee shall pay the amount set forth in such requisition as directed by the terms thereof out of the Project Fund. Upon the Written Request of the City accompanied by a Certificate of the City stating that all Project Costs have been paid or provision made for their payment, any unexpended moneys in the Project Fund may be used to pay the costs associated with any other improvements of the City; provided, that in the opinion of Bond Counsel such use of the proceeds of the Bonds shall not adversely affect the exclusion of interest on the Bonds from gross income of the owners thereof. Any unexpended moneys in the Project Fund subsequent to the payment of all Project Costs which are not used to pay the cost of other improvements of the City shall be transferred by the Trustee and deposited in the Lease Revenue Fund upon receipt by the Trustee of a Written Request of the City accompanied by a Certificate of the City stating that all Project Costs have been paid or provision made for their payment. 22 SECTION 3.05. Insurance and Condemnation Fund. The Trustee shall establish and maintain a separate fund to be known as the "Insurance and Condemnation Fund," into which shall be deposited Net Proceeds required to be deposited therein pursuant to Section 9 of the Lease. The Trustee shall disburse or transfer all amounts in the Insurance and Condemnation Fund, as stated in a Written Request of the City (as described below) for the payment of the cost of the reconstruction of the Leased Property (including reimbursement to the City for any such costs paid by it). Before any payment of money is made from the Insurance and Condemnation Fund, the Authority shall file or shall cause the City to file with the Trustee a requisition in substantially the form set forth as Exhibit D hereto. SECTION 3.06. Validity of Bonds. The validity of the authorization and issuance of the Bonds shall not be affected in any way by any proceedings taken with respect to the application of the proceeds of the Bonds, and the recital contained in the Bonds that the same are issued pursuant to the Bond Law shall be conclusive evidence of their validity and of the regularity of their issuance. SECTION 3.07. Additional Bonds. In addition to the Bonds, the Authority and the Trustee may by execution of a Supplemental Indenture, without the consent of the Owners, provide for the issuance and delivery of Additional Bonds in one or more series. Upon the Written Request of the Authority, the Trustee may authenticate and deliver Additional Bonds in an aggregate principal amount authorized by such Supplemental Indenture. The proceeds of such Additional Bonds may be used for any purpose, including for the purpose of refunding Outstanding Bonds. Such Additional Bonds may only be issued upon compliance by the Authority with the provisions of the Indenture, and subject to the following specific conditions, which are made conditions precedent to the issuance of any such Additional Bonds: (a) The Authority shall not be in default under the Indenture or any Supplemental Indenture, as evidenced by a Certificate of the Authority, and the City shall not be in default under the Lease, as evidenced by a Certificate of the City; (b) A Supplemental Indenture may provide for the funding of a debt service reserve for such Additional Bonds; (c) The Additional Bonds shall be payable as to principal on June 1 of each year in which principal is due and shall be payable as to interest on each Interest Payment Date; (d) The aggregate principal amount of Bonds issued and at any time Outstanding under the Indenture or under any Supplemental Indenture shall not exceed any limit imposed by law, by the Indenture or by any Supplemental Indenture, as evidenced by a Certificate of the Authority and the City; (e) The Lease shall have been amended, if necessary, so as to increase the Base Rental Payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds, payable at such times and in such manner as may be necessary to provide for the payment of the principal and interest on such Additional Bonds, as evidenced by a Certificate of the City; 23 (f) Such Supplemental Indenture shall provide redemption dates and/or mandatory redemption of Additional Bonds in amounts sufficient to provide for payment of the Additional Bonds when the applicable Base Rental Payments are due; (g) Any Additional Bonds shall be on a parity with, and each Owner thereof shall have the same rights upon an Event of Default as the Owner of, any other Bonds issued and delivered under the Indenture, except as otherwise provided in the Supplemental Indenture under which Additional Bonds are issued; and (h) The Supplemental Indenture shall prescribe the form or forms of such Additional Bonds, and subject to the provisions hereof, shall provide for the distinctive designation, denominations, dates, principal payment dates, interest payment dates, interest rates, provisions for redemption, and places of payment for principal and interest. ARTICLE IV REVENUES; FLOW OF FUNDS SECTION 4.01. Pledge of Revenues; Assignment of Rights. Subject to the provisions of Sections 3.07 and 6.03, the Bonds shall be secured by a first lien on and pledge (which shall be effected in the manner and to the extent hereinafter provided) of all of the Revenues, including all of the moneys in the Lease Revenue Fund, including the Interest Account, the Principal Account, and the Redemption Account therein, and the Insurance and Condemnation Fund, and all amounts derived from the investment of such moneys. The Bonds and Additional Bonds shall be equally secured by a pledge, charge and lien upon the Revenues and such moneys without priority for Series, number, date of the Bonds, date of execution or date of delivery; and the payment of the interest on and principal of the Bonds and Additional Bonds and any premiums upon the redemption of any portion thereof shall be and are secured by an exclusive pledge, charge and lien upon the Revenues and such moneys. So long as any of the Bonds or Additional Bonds are Outstanding, the Revenues and such moneys shall not be used for any other purpose; except that out of the Revenues there may be apportioned such sums, for such purposes, as are expressly permitted by Section 4.02. The Authority hereby transfers in trust and assigns to the Trustee, for the benefit of the Owners from time to time of the Bonds and Additional Bonds, all of the Revenues, and subject to the Assignment Agreement, all of the right, title and interest (but none of the obligations) of the Authority in the Lease with respect to the Revenues, including its rights to receive the Base Rental Payments scheduled to be paid by the City under and pursuant to the Lease and any and all of the other rights of the Authority under the Lease as may be necessary to enforce payment of such Base Rental Payments when due or otherwise to protect the interest of the Owners of the Bonds and Additional Bonds, including its leasehold title to the Leased Property leased to the City pursuant to the Lease with respect to the Base Rental Payments. The Trustee accepts such assignments. The Trustee shall be entitled to and shall receive all of the Revenues, and any Revenues collected or received by the Authority shall be deemed to be held, and to have been collected or received, by the Authority as the agent of the Trustee and shall forthwith be paid by the Authority to the Trustee. 24 Each of the Authority and the City covenant and agree to take such action as is necessary from time to time to preserve the priority of the pledge set forth in this Section 4.01 under applicable law, and at the expense of the Authority or the City and the Trustee shall cooperate with the Authority and/or the City in taking such action. This Indenture shall be supplemented pursuant to a Supplemental Indenture to pledge revenues from additional base rental payments under the Lease for any series of Additional Bonds. SECTION 4.02. Lease Revenue Fund; Receipt, Deposit and Application of Revenues. All Revenues shall be deposited by the Trustee in a special fund designated as the "Lease Revenue Fund," which the Trustee shall establish, maintain and hold in trust hereunder. If the City pays more than 100% of the Base Rental Payments coming due fifteen (15) days prior to any Interest Payment Date, the Trustee shall deposit into the Lease Revenue Fund only that portion of the Base Rental Payments which the City is required to make under Section 3(a) of the Lease, and shall remit any excess to the City. On or before each Interest Payment Date or Principal Payment Date, as applicable, the Trustee shall transfer from the Lease Revenue Fund and deposit into the following respective accounts (each of which the Trustee shall establish and maintain within the Lease Revenue Fund), the following amounts in the following order of priority, the requirements of each such account (including the making up of any deficiencies in any such account resulting from lack of Revenues sufficient to make any earlier required deposit) at the time of deposit to be satisfied before any transfer is made to any account subsequent in priority: (a) Interest Account. The Trustee shall establish and maintain a separate account to be known as the "Interest Account." On or before each Interest Payment Date, the Trustee shall deposit in the Interest Account an amount required to cause the aggregate amount on deposit in the Interest Account to equal the amount of interest becoming due and payable on such Interest Payment Date on all respective Outstanding Bonds. No deposit shall be made into the Interest Account if the amount contained therein is at least equal to the interest becoming due and payable on all respective Outstanding Bonds on each succeeding Interest Payment Date within the then current Bond Year. All moneys in the Interest Account shall be used and withdrawn by the Trustee solely for the purpose of paying interest on the Bonds as it shall become due and payable (including accrued interest on any Bonds redeemed prior to maturity). (b) Principal Account. The Trustee shall establish and maintain a separate account to be known as the "Principal Account." On or before each Principal Payment Date, the Trustee shall deposit in the Principal Account an amount required to cause the aggregate amount on deposit in the Principal Account to equal the principal or mandatory sinking account amount of the Bonds maturing on such Principal Payment Date pursuant to Section 2.02 or Section 2.03 or pursuant to a Supplemental Indenture, as the case may be. No deposit shall be made into the Principal Account if the amount contained therein is at least equal to the principal becoming due and payable on all respective Outstanding Bonds on each succeeding Interest Payment Date, as applicable, within the then current Bond Year. All moneys in the Principal Account shall be used and withdrawn by the Trustee solely for the purpose of paying the principal of the Bonds, including mandatory sinking account amounts. 25 (c) Redemption Account. On or before the Business Day on which Bonds are subject to redemption (other than mandatory sinking fund redemption of term Bonds), the Authority will transfer or cause there to be transferred to the Trustee for deposit in the Redemption Account an amount required to pay the principal of and premium, if any, on the Bonds to be so redeemed on such date. The Trustee will apply amounts in the Redemption Account solely for the purpose of paying the principal of and premium, if any, on the Bonds upon the redemption thereof, other than mandatory sinking fund redemption of term Bonds which will be made from amounts in the Principal Account, on the date set for such redemption. (d) Surplus. On or before June 1 of each year, commencing June 1, 2021, the Trustee shall determine the amount, if any, remaining in the Lease Revenue Fund after making the deposits required by paragraphs (a) through (c) above and the transfers of investment earnings pursuant to Section 4.03, and shall apply such amount as a credit against the next following Base Rental Payment. Notwithstanding the foregoing, if directed in a Written Request of the City, the Trustee shall, with respect to all or any portion of such amount, pay, or set aside an amount for the payment of, any Rebate Requirement (as defined in the Tax Certificate) in accordance with a computation made by the City. SECTION 4.03. Rebate Fund. (a) In addition to the other funds and accounts created pursuant hereto, the Trustee shall establish and maintain a fund separate from any other fund or account established and maintained hereunder designated the "Rebate Fund" (the "Rebate Fund") in connection with the Tax -Exempt Bonds. Within the Rebate Fund, the Trustee shall maintain such accounts or subaccounts as are specified in a Written Request of the Authority to the Trustee pursuant to the Tax Certificate. The Trustee shall deposit moneys in the Rebate Fund pursuant to a Written Request of the Authority. Subject to the transfer provisions provided in subparagraph (5) below, all money at any time deposited in the Rebate Fund shall be held by the Trustee in trust, to the extent required to satisfy the Rebate Requirement, for payment to the federal government of the United States of America, and none of the Authority, the Trustee or the Owner of any Tax - Exempt Bond shall have any right in or claim to such money. All amounts deposited into or on deposit in the Rebate Fund shall be governed by this Section and by the Tax Certificate (which is incorporated herein by reference). The Trustee shall be deemed conclusively to have complied with the provisions of this Section 4.03 and the Tax Certificate if it follows the Written Request of the Authority, including supplying all necessary information in the manner requested by the Authority, and except as otherwise expressly provided herein, shall not be required to take any actions hereunder in the absence of written directions by the Authority, and shall have no liability or responsibility to enforce compliance by the Authority with the terms of the Tax Certificate or this Section. The Trustee agrees to comply with all Written Requests of the Authority given pursuant to the Tax Certificate. (1) Upon a Written Request of the Authority, an amount shall be deposited into the Rebate Fund by the Trustee from deposits by the Authority, if and to the extent required, so that the balance of the amount on deposit thereto shall be equal to the Rebate Requirement. Computations of the Rebate Requirement shall be furnished by or on behalf of the Authority in accordance with the Tax Certificate. The Authority shall 26 provide the Trustee with a Certificate of the Authority evidencing that the computation of the Rebate Requirement has been made. (2) The Trustee shall have no obligation to rebate any amounts required to be rebated pursuant to this Section, other than from moneys held in the funds and accounts created hereunder or from other moneys provided to it by the Authority. (3) The Trustee shall invest all amounts held in the Rebate Fund in Permitted Investments as directed by a Written Request of the Authority. Money, including investment earnings, shall not be transferred from the Rebate Fund except as provided in subparagraph (4) below. (4) Upon receipt of a Written Request of the Authority, the Trustee shall remit part or all of the amounts in the Rebate Fund to the United States of America, as so directed. In addition, if the Authority so directs, the Trustee will deposit moneys into or transfer moneys out of the Rebate Fund from or into such accounts or fund as directed by the Written Request of the Authority. Any funds remaining in the Rebate Fund in excess of the Rebate Requirement as of the end of any Bond Year shall be transferred to the Interest Account. Notwithstanding any other provision hereof, including, in particular, Section 9.03, the obligation to remit the Rebate Requirement to the United States and to comply with all other requirements of this Section and the Tax Certificate shall survive the defeasance or payment in full of the Tax -Exempt Bonds. SECTION 4.04. Investments. All moneys in any of the funds or accounts established with the Trustee pursuant to this Indenture shall be invested by the Trustee solely in Permitted Investments pursuant to the written direction of the Authority given to the Trustee not less than two (2) Business Days in advance of the making of such investments. In the absence of any such direction from the Authority, the Trustee shall invest any such moneys in money market funds described in subsection (i) of the definition of Permitted Investments; provided, however, that any such investment shall be made by the Trustee only if, prior to the date on which such investment is to be made, the Trustee shall have received a written direction of the Authority specifying a specific money market fund that satisfies the requirements of such subsection in which such investment is to be made and, if no such written direction is so received, the Trustee shall hold such moneys uninvested. Obligations purchased as an investment of moneys in any fund or account shall be deemed to be part of such fund or account. The Trustee shall transfer all investment earnings on amounts in a Principal Account and an Interest Account to the Lease Revenue Fund. All investment earnings on amounts in the Insurance and Condemnation Fund shall be retained therein. For purposes of acquiring any investments hereunder, the Trustee may commingle funds held by it hereunder. The Trustee, or any of its affiliates, may act as principal or agent in the acquisition of any investment and may impose its customary charges therefor. The Trustee may act as manager, sponsor, advisor or depository with respect to any Permitted Investment. The Trustee shall incur no liability for the selection (other than as provided herein) of investments or losses arising from any investments made pursuant to this Section. The Authority acknowledges that regulations of the Comptroller 27 of the Currency grant the Authority the right to receive brokerage confirmations of security transactions to be effected by the Trustee hereunder as they occur, at no additional cost. The Authority specifically waives the right to receive such confirmation to the extent permitted by applicable law and agrees that it will instead receive periodic cash transaction statements which shall include detail for the investment transactions effected by the Trustee hereunder; provided, however, that the Authority retains its right to receive brokerage confirmation on any investment transaction requested by the Authority. SECTION 4.05. Valuation and Disposition of Investments. For the purpose of determining the amount in any fund or account, Permitted Investments credited to such fund or account shall be valued at least semiannually on or before each Interest Payment Date at cost (excluding any brokerage commissions and excluding any accrued interest) by the Trustee. ARTICLE V COVENANTS OF THE AUTHORITY SECTION 5.01. Punctual Payment. The Authority shall punctually pay or cause to be paid the principal, interest and premium (if any) to become due in respect of all the Bonds, in strict conformity with the terms of the Bonds and of this Indenture, according to the true intent and meaning thereof, but only out of applicable Revenues and other assets pledged for such payment as provided in this Indenture. SECTION 5.02. Extension of Payment of Bonds. The Authority shall not directly or indirectly extend or assent to the extension of the maturity of any of the Bonds or the time of payment of any claims for interest by the purchase of such Bonds or by any other arrangement, and in case the maturity of any of the Bonds or the time of payment of any such claims for interest shall be extended, such Bonds or claims for interest shall not be entitled, in case of any default hereunder, to the benefits of this Indenture, except subject to the prior payment in full of the principal of all of the Bonds then Outstanding and of all claims for interest thereon which shall not have been so extended. Nothing in this Section shall be deemed to limit the right of the Authority to issue Additional Bonds, or issue Bonds for the purpose of refunding any Outstanding Bonds, and such issuance shall not be deemed to constitute an extension of maturity of the Bonds. SECTION 5.03. Against Encumbrances. The Authority shall not create, or permit the creation of, any pledge, lien, charge or other encumbrance upon the applicable Revenues and other assets pledged or assigned under this Indenture while any of the Bonds and Additional Bonds are Outstanding, except the pledge and assignment created by this Indenture and Supplemental Indenture. Subject to this limitation, the Authority expressly reserves the right to enter into one or more other indentures for any of its corporate purposes, including other programs under the Bond Law, and reserves the right to issue other obligations for such purposes. SECTION 5.04. Power to Issue Bonds and Make Pledge and Assignment. The Authority is duly authorized pursuant to law to issue the Bonds and to enter into this Indenture and to pledge and assign the Revenues, the Lease and other assets purported to be pledged and assigned, respectively, under this Indenture in the manner and to the extent provided in this Indenture. The Bonds and the provisions of this Indenture are and will be the legal, valid and binding special obligations of the Authority in accordance with their terms, and the Authority and the Trustee (subject to the provisions of Section 6.02 hereof) shall at all times, to the extent permitted by law, defend, preserve and protect such pledge and assignment of Revenues and other assets and all the rights of the Owners under this Indenture against all claims and demands of all persons whomsoever. SECTION 5.05. Accounting Records and Financial Statements. The Trustee shall at all times keep, or cause to be kept, proper books of record and account, prepared in accordance with corporate trust industry standards, in which complete and accurate entries shall be made of all transactions by the Trustee relating to the proceeds of Bonds, the Revenues, the Lease and all funds and accounts established pursuant to this Indenture. Such books of record and account shall be available for inspection by the Authority and the City during regular business hours with reasonable prior notice. SECTION 5.06. Additional Obligations. The Authority covenants that no additional bonds, notes or indebtedness shall be issued or incurred that are payable out of the Revenues in whole or in part, other than the Additional Bonds. SECTION 5.07. Lease. The Trustee, as assignee of the Authority's rights under the Lease with respect to the Revenues pursuant to Section 4.01 hereof and the Assignment Agreement(s), shall receive amounts due from the City pursuant to the Lease with respect to the Revenues. The Authority will faithfully comply with, keep, observe and perform all the agreements, conditions, covenants and terms contained in the Lease required to be complied with, kept, observed and performed by it and, together with the Trustee, will enforce the Lease against the City in accordance with its terms. So long as any Bond remains Outstanding, the Authority will not alter, amend or modify the Lease, except pursuant to Section 21 thereof. SECTION 5.08. Tax Covenants. (a) Special Definitions. When used in this Section, the following terms have the following meanings with respect to any Tax -Exempt Bonds or Additional Bonds that the Authority intends interest thereon to be excludable from the gross income of the Owners thereof: "Computation Date" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Computation Period' means, initially, that period commencing on the date of issuance of the Tax -Exempt Bonds and concluding on the initial Computation Date and, thereafter, each period commencing on the day next following a Computation Date and concluding on the immediately succeeding Computation Date. 29 "Gross Proceeds" means any proceeds as defined in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds), and any replacement proceeds as defined in section 1.148-1(c) of the Tax Regulations, of the Tax -Exempt Bonds. "Investment" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Nongovernmental Person" refers to any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, or an agency or instrumentality acting solely on behalf thereof. "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the Tax -Exempt Bonds are invested and that is not acquired to carry out the governmental purposes of the Tax -Exempt Bonds. "Original Facility" means any property the acquisition, construction or improvement of which was financed directly or indirectly with Gross Proceeds of an Original Issue. "Original Issue" means the Tax -Exempt Bonds. "Proceeds, " with respect to an issue of governmental obligations, has the meaning set forth in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds). "Rebate Amount" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Tax Regulations" means the United States Treasury Regulations promulgated pursuant to sections 103 and 141 through 150 of the Code, or under the provisions of any predecessor statute corresponding thereto. "Yield" of (1) any Investment has the meaning set forth in section 1.148-5 of the Tax Regulations; and (2) the Tax -Exempt Bonds has the meaning set forth in section 1.148-4 of the Tax Regulations. (b) Exclusion of Interest from Gross Income. The Authority will take all actions necessary to establish and maintain the exclusion pursuant to section 103(a) of the Code of interest on the Tax -Exempt Bonds from the gross income of the owners thereof for federal income tax purposes, and will not use, permit the use of, or omit to use Gross Proceeds of the Tax -Exempt Bonds or any other amounts or any of the Original Facilities in a manner that if made or omitted, respectively, would cause the interest on any of the Tax -Exempt Bonds to fail to be excluded pursuant to section 103(a) of the Code from the gross income of the owners thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the Authority receives a written Opinion of Bond Counsel to the effect that failure to comply with such covenant will not adversely affect the exclusion pursuant to section 103(a) of 30 the Code of interest on any Tax -Exempt Bond from the gross income of the owner thereof, the Authority shall comply with this covenant and each of the specific covenants in this Section. (c) No Private Use or Private Payments. Except as would not cause any Tax -Exempt Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority covenants that at all times prior to the payment and cancellation of the last Tax -Exempt Bond to be paid and canceled: (1) it will use its best efforts to ensure that the City (or another entity other than a Nongovernmental Entity) exclusively owns, operates and possesses all of the Original Facilities that are to be refinanced directly or indirectly with Gross Proceeds of the Tax -Exempt Bonds, and that it will not use or permit the use of such Gross Proceeds (including under any contractual arrangement with terms different than those applicable to the general public) or any of the Original Facilities in any activity carried on by any Nongovernmental Person, unless such use is solely as a member of the general public; and (2) not directly or indirectly impose or accept any charge or other payment by any person or entity in respect of the use by any Nongovernmental Person of Gross Proceeds of the Tax -Exempt Bonds, other than interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes, or of any Original Facility. Without limiting the foregoing, except as would not cause any Tax -Exempt Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority will not: (i) permit any Nongovernmental Person to hold any ownership, proprietary or possessory interest in any of the Original Facilities; or (ii) contract with any Nongovernmental Person for the provision of operating or other services with respect to any function of an Original Facility (unless either (A) such arrangement requires no payment of fees to such Nongovernmental Person other than as direct reimbursement of third party costs or reasonable administrative overhead, or (B) such arrangement conforms to administrative guidance of the Internal Revenue Service in order to assure that such arrangement does not create a private business use relationship of the Nongovernmental Person to the Gross Proceeds of the Tax -Exempt Bonds or to any Original Facility). For purposes of the preceding sentence, the Authority will treat proceeds of the Tax -Exempt Bonds as used ratably for the same purposes as were the proceeds of the Original Issue. (d) No Private Loan. Except as would not cause any Tax -Exempt Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority has not used, and will not use, Gross Proceeds of any Tax - Exempt Bond to make or finance loans to any Nongovernmental Person. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if: (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction that creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take -or - pay, output or similar contract or arrangement; or (3) indirect benefits of such Gross Proceeds, or burdens and benefits of ownership of any property acquired, constructed or improved with such 31 Gross Proceeds, are otherwise transferred in a transaction that is the economic equivalent of a loan. (e) Not to Invest at Higher Yield. Except as would not cause any Tax -Exempt Bond to become an "arbitrage bond" within the meaning of section 148 of the Code and the Tax Regulations and rulings thereunder, the Authority shall not at any time prior to the final maturity of the Tax -Exempt Bonds directly or indirectly invest Gross Proceeds in any Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, would materially exceed the Yield of such Tax -Exempt Bond within the meaning of such section 148. (f) Not Federally Guaranteed. The Authority covenants that, except to the extent permitted by section 149(b) of the Code and the Tax Regulations and rulings thereunder, it will not take or omit to take any action that would cause any Tax -Exempt Bond to be "federally guaranteed" within the meaning of section 149(b) of the Code and the Tax Regulations and rulings thereunder. (g) Information Report. The Authority covenants that it will timely file or cause to be filed any information required by section 149(e) of the Code with respect to the Tax -Exempt Bonds with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary of the Treasury may prescribe. (h) Rebate of Arbitrage Profits. The Authority covenants that the requirements of section 148(f) of the Code will be satisfied in order that the Tax -Exempt Bonds be not arbitrage bonds, and that, except to the extent otherwise provided in section 148(f) of the Code and the Tax Regulations and rulings thereunder: (1) it will account for all Gross Proceeds of the Tax -Exempt Bonds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last Tax -Exempt Bond is discharged. However, to the extent permitted by law, the Authority may commingle Gross Proceeds of the Tax -Exempt Bonds with its other money, provided that the Authority separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith; (2) not less frequently than each Computation Date, it will calculate or cause to be calculated the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Tax Regulations and rulings thereunder. The Trustee may rely conclusively upon the Authority's determinations, calculations and certifications required by this Section. The Trustee shall have no responsibility to independently make any calculation of determination or to review the Authority's calculations hereunder. The Authority covenants that it will maintain a copy of the calculation with its official transcript of proceedings relating to the issuance of the Tax -Exempt Bonds until six years after the final Computation Date; 32 (3) it will deposit in the Rebate Fund and cause the Trustee to pay to the United States the amount that when added to the future value of previous rebate payments made for the Tax -Exempt Bonds equals (A) in the case of a Final Computation Date as defined in section 1.148-3(e)(2) of the Tax Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (B) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such a date. In all cases such Rebate payments shall be made by the Authority (or by the Trustee at the direction of the Authority) at the times and in the amounts as are or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder, and such payments shall be accompanied by Form 8038-T prepared and executed by the Authority or such other forms and information as is or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder. (4) it will exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and (3) above, and if an error is made, to discover and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any additional Rebate Amount owed to it, interest thereon, and any penalty imposed under section 1.148-3(h) or other provision of the Tax Regulations. (i) Not to Divert Arbitrage Profits. The Authority covenants that, except to the extent permitted by section 148 of the Code and the Tax Regulations and rulings thereunder, at no time prior to the final maturity of the Tax -Exempt Bonds will it enter into any transaction that reduces the amount required to be paid to the United States pursuant to paragraph (h) of this Section because such transaction results in a smaller profit or a larger loss than would have resulted if the transaction had been at arm's length and had the Yield on the Tax -Exempt Bonds not been relevant to each party. 0) Tax -Exempt Bonds Not Hedge Bonds. (1) The Authority represents that none of the Original Issue was, and covenants that the Tax -Exempt Bonds will not be, "hedge bonds" within the meaning of section 149(g) of the Code. (2) Without limitation of paragraph (1) above, the Authority warrants as to each of its Original Issue that: (I) on each date of issuance of that issue, the Authority reasonably expected that at least 85% of the spendable proceeds of that Original Issue would be expended within the three-year period commencing on such date of issuance, and (II) no more than 50% of the proceeds of that Original Issue at any time has been invested in Nonpurpose Investments having a substantially guaranteed yield for a period of four years or more. (k) Elections. The Authority hereby directs and authorizes any Responsible Officer to make elections permitted or required pursuant to the provisions of the Code or the Tax Regulations, as such Responsible Officer (after consultation with Bond Counsel) deems 33 necessary or appropriate in connection with the Tax -Exempt Bonds, in the Tax Certificate relating to the Tax -Exempt Bonds or similar or other appropriate certificate, form or document. SECTION 5.09. Further Assurances. The Authority will adopt, make, execute and deliver any and all such further resolutions, instruments and assurances as may be reasonably necessary or proper to carry out the intention or to facilitate the performance of this Indenture, and for the better assuring and confirming unto the Owners of the Bonds the rights and benefits provided in this Indenture. ARTICLE VI THE TRUSTEE SECTION 6.01. Appointment of Trustee. U.S. Bank National Association, a national banking association duly organized and existing under and by virtue of the laws of the United States of America, is hereby appointed Trustee by the Authority for the purpose of receiving all moneys required to be deposited with the Trustee hereunder and to allocate, use and apply the same as provided in this Indenture. The Authority agrees that it will maintain a Trustee which has (or which is a wholly -owned subsidiary of a corporation which has) a combined capital and surplus of at least $75,000,000, and which is subject to supervision or examination by Federal or State authority, so long as any Bonds are Outstanding. If such bank, national banking association or trust company or such parent corporation publishes a report of condition at least annually pursuant to law or to the requirements of any supervising or examining authority above referred to, then for the purpose of this Section 6.01 the combined capital and surplus of such bank, national banking association or trust company or such parent corporation shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published. The Trustee is hereby authorized to pay the principal of and interest and redemption premium (if any) on the Bonds when duly presented for payment at maturity, or on redemption prior to maturity, and to cancel all Bonds upon payment thereof. The Trustee shall keep accurate records of all funds and accounts administered by it and of all Bonds paid and discharged. SECTION 6.02. Acceptance of Trusts. The Trustee hereby accepts the trusts imposed upon it by this Indenture, and agrees to perform such trusts, but only upon and subject to the following express terms and conditions: (a) The Trustee shall not be liable for any error of judgment made in good faith by a responsible officer of the Trustee, unless it shall be proved that the Trustee was negligent in ascertaining the pertinent facts. (b) Whenever in the administration of this Indenture the Trustee shall deem it desirable that a matter be proved or established prior to taking, suffering or omitting any action hereunder, the Trustee (unless other evidence is herein specifically prescribed) may, in the absence of bad faith on its part, rely upon a Certificate of the Authority. (c) The Trustee shall be under no obligation to exercise any of the rights or powers vested in it by this Indenture at the request or direction of any of the Owners pursuant to this 34 Indenture, unless such Owners shall have offered to the Trustee security or indemnity satisfactory to it against the costs, expenses and liabilities which might be incurred by it in compliance with such request or direction. (d) The Trustee shall not be bound to make any investigation into the facts or matters stated in any resolution, certificate, statement, instrument, opinion, report, notice, request, direction, consent, order, bond or other paper or document. (e) The Trustee, prior to the occurrence of an Event of Default and after the curing or waiving of all Events of Default that may have occurred, undertakes to perform such duties and only such duties as are specifically set forth in this Indenture and no covenants of or against the Trustee shall be implied in this Indenture. In case an Event of Default hereunder or under the Lease has occurred (which has not been cured or waived), the Trustee may exercise such of the rights and powers vested in it by this Indenture and by the Lease, and shall use the same degree of care and skill in the exercise of such rights and powers as a prudent person would exercise or use under the circumstances in the conduct of such person's own affairs. (f) The Trustee may execute any of the trusts or powers hereunder and perform the duties required of it hereunder either directly or by or through attorneys, receivers or agents, shall not be liable for the acts or omissions of such attorneys, receivers or agents appointed with due care, and shall be entitled to advice of counsel concerning all matters of trust and its duties hereunder. The Trustee may conclusively rely on an opinion of counsel as full and complete authorization and protection for any action taken, suffered or omitted by it hereunder. (g) The Trustee shall not be responsible for any recital herein, in the Lease, or in the Bonds, or for any of the supplements thereto or instruments of further assurance, or for the sufficiency of the security for the Bonds issued hereunder or intended to be secured hereby and makes no representation as to the validity or sufficiency of the Bonds, this Indenture or the Lease. The Trustee shall not be bound to ascertain or inquire as to the observance or performance of any covenants, conditions or agreements on the part of the Authority hereunder or on the part of the Authority or the City under the Lease. The Trustee shall not be responsible for the application of the proceeds of the Bonds paid over by it to the Authority in accordance with Section 9.03 hereof. (h) The Trustee may become the Owner or pledgee of Bonds secured hereby with the same rights it would have if not the Trustee; may acquire and dispose of other bonds or evidences of indebtedness of the Authority with the same rights it would have if it were not the Trustee; and may act as a depositary for and permit any of its officers or directors to act as a member of, or in any other capacity with respect to, any committee formed to protect the rights of Owners of Bonds, whether or not such committee shall represent the Owners of the majority in aggregate principal amount of the Bonds then Outstanding. (i) The Trustee may rely and shall be protected in acting or refraining from acting, in good faith and without negligence, upon any notice, resolution, opinion, report, direction, request, requisition, consent, certificate, order, affidavit, letter, telegram or other paper or document believed by it to be genuine and to have been signed or presented by the proper person or persons. Any action taken or omitted to be taken by the Trustee in good faith and without 35 negligence pursuant to this Indenture or the Lease upon the request or authority or consent of any person who at the time of making such request or giving such authority or consent is the Owner of any Bond, shall be conclusive and binding upon all future Owners of the same Bond and upon Bonds issued in exchange therefor or in place thereof. The Trustee shall not be bound to recognize any person as an Owner of any Bond or to take any action at his request unless the ownership of such Bond by such person shall be reflected on the Registration Books. 0) The permissive right of the Trustee to do things enumerated in this Indenture or in the Lease shall not be construed as a duty and it shall not be answerable for other than its negligence or willful misconduct. The immunities and exceptions from liability of the Trustee shall extend to its officers, directors, employees and agents. (k) The Trustee shall not be required to take notice or be deemed to have notice of any Event of Default hereunder or under the Lease except failure by the Authority or the City to make any of the payments to the Trustee required to be made by the Authority pursuant hereto or thereto or failure by the Authority or the City to file with the Trustee any document required by this Indenture or the Lease to be so filed subsequent to the issuance of the Bonds, unless the Trustee shall be specifically notified in writing of such default by the Authority or by the Owners of at least 50% in aggregate principal amount of the Bonds then Outstanding and all notices or other instruments required by this Indenture to be delivered to the Trustee must, to be effective, be delivered at the Trust Office of the Trustee, and in the absence of such notice so delivered the Trustee may conclusively assume there is no Event of Default hereunder except as aforesaid. (1) At any and all reasonable times the Trustee and its duly authorized agents, attorneys, experts, accountants and representatives, shall have the right but shall not be required to inspect all books, papers and records of the Authority pertaining to the Bonds, and to make copies of any of such books, papers and records which are not privileged by statute or by law. (m) The Trustee shall not be required to give any bond or surety in respect of the execution of the trusts and powers or otherwise in respect of the premises hereof. (n) Notwithstanding anything elsewhere in this Indenture with respect to the execution of any Bonds, the withdrawal of any cash, the release of any property, or any action whatsoever within the purview of this Indenture, the Trustee shall have the right, but shall not be required, to demand any showings, certificates, opinions, appraisals or other information, or corporate action or evidence thereof, as may be deemed desirable for the purpose of establishing the right of the Authority to the execution of any Bonds, the withdrawal of any cash or the taking of any other action by the Trustee. (o) All moneys received by the Trustee shall, until used or applied or invested as herein provided, be held in trust for the purposes for which they were received but need not be segregated from other funds except to the extent required by law. (p) Whether or not expressly provided therein, every provision of this Indenture, the Site Lease and the Lease relating to the conduct or affecting the liability of the Trustee shall be subject to the provisions of this Section. 36 (q) The Trustee shall have no responsibility with respect to any information, statement, or recital in any official statement, offering memorandum or any other disclosure material prepared or distributed with respect to the Bonds. (r) The Trustee is authorized and directed to enter into the Assignment Agreement in its capacity as Trustee. (s) The Trustee shall have the right to accept and act upon instructions, including funds transfer instructions ("Instructions") given pursuant to this Indenture and delivered using Electronic Means ("Electronic Means" shall mean the following communications methods: e- mail, facsimile transmission, secure electronic transmission containing applicable authorization codes, passwords and/or authentication keys issued by the Trustee, or another method or system specified by the Trustee as available for use in connection with its services hereunder); provided, however, that the Authority and City shall provide to the Trustee an incumbency certificate listing officers with the authority to provide such Instructions ("Authorized Officers") and containing specimen signatures of such Authorized Officers, which incumbency certificate shall be amended by the Authority and City whenever a person is to be added or deleted from the listing. If the Authority and City elect to give the Trustee Instructions using Electronic Means and the Trustee in its discretion elects to act upon such Instructions, the Trustee's understanding of such Instructions shall be deemed controlling in the absence of manifest error. The Authority and City understand and agrees that the Trustee cannot determine the identity of the actual sender of such Instructions and that the Trustee shall conclusively presume that directions that purport to have been sent by an Authorized Officer listed on the incumbency certificate provided to the Trustee have been sent by such Authorized Officer. The Authority and City shall be responsible for ensuring that only Authorized Officers transmit such Instructions to the Trustee and that the Authority and City and all Authorized Officers are solely responsible to safeguard the use and confidentiality of applicable user and authorization codes, passwords and/or authentication keys upon receipt by the Authority and City. The Trustee shall not be liable for any losses, costs or expenses arising directly or indirectly from the Trustee's reliance upon and compliance with such Instructions notwithstanding such directions conflict or are inconsistent with a subsequent written instruction. The Authority and City agree: (i) to assume all risks arising out of the use of Electronic Means to submit Instructions to the Trustee, including without limitation the risk of the Trustee acting on unauthorized Instructions, and the risk of interception and misuse by third parties; (ii) that it is fully informed of the protections and risks associated with the various methods of transmitting Instructions to the Trustee and that there may be more secure methods of transmitting Instructions than the method(s) selected by the Authority and City; (iii) that the security procedures (if any) to be followed in connection with its transmission of Instructions provide to it a commercially reasonable degree of protection in light of its particular needs and circumstances; and (iv) to notify the Trustee immediately upon learning of any compromise or unauthorized use of the security procedures. (t) The Trustee shall not be liable to the parties hereto or deemed in breach or default hereunder if and to the extent its performance hereunder is prevented by reason of force majeure. The term "force majeure" means an occurrence that is beyond the control of the Trustee and could not have been avoided by exercising due care. Force majeure shall include, but not be limited to, acts of God, terrorism, war, riots, strikes, fire, floods, earthquakes, epidemics or other similar occurrences. 37 (u) The Trustee shall not be liable in connection with the performance of its duties hereunder, except for its own negligence or willful misconduct. SECTION 6.03. Fees, Charges and Expenses of Trustee. The Trustee shall be paid and reimbursed by the Authority for reasonable fees for its services rendered hereunder and all advances (with interest on such advances at the maximum rate allowed by law), counsel fees (including expenses) and other expenses reasonably and necessarily made or incurred by the Trustee in connection with such services. Upon the occurrence of an Event of Default hereunder, but only upon an Event of Default, the Trustee shall have a first lien with right of payment prior to payment of any Bond upon the amounts held hereunder for the foregoing fees, charges and expenses incurred by it. When the Trustee incurs expenses or renders services after the occurrence of an Event of Default, such expenses and the compensation for such services are intended to constitute expenses of administration under any federal or state bankruptcy, insolvency, arrangement, moratorium, reorganization or other debtor relief law. SECTION 6.04. Notice to Owners of Default. If an Event of Default hereunder or under the Lease occurs with respect to any Bonds of which the Trustee has been given or is deemed to have notice, as provided in Section 6.02(k) hereof, then the Trustee shall, within 30 days of the receipt of such notice, give written notice thereof by first class mail to the Owner of each such Bond, unless such Event of Default shall have been cured before the giving of such notice; provided, however, that unless such Event of Default consists of the failure by the Authority to make any payment when due, the Trustee may elect not to give such notice if and so long as the Trustee in good faith determines that it is in the best interests of the Owners not to give such notice. SECTION 6.05. Intervention by Trustee. In any judicial proceeding to which the Authority or the City is a party that, in the opinion of the Trustee and its counsel, has a substantial bearing on the interests of Owners of any of the Bonds, the Trustee may intervene on behalf of such Owners, and subject to Section 6.02(c), shall do so if requested in writing by the Owners of at least 25% in aggregate principal amount of such Bonds then Outstanding. SECTION 6.06. Removal of Trustee. The Trustee may be removed at any time by an instrument or concurrent instruments in writing, filed with the Trustee and signed by the Owners of a majority in aggregate principal amount of the Outstanding Bonds. The Authority may also remove the Trustee at any time upon 30 days' notice, except during the existence of an Event of Default. The Trustee may be removed at any time for any breach of the Trustee's duties set forth herein. SECTION 6.07. Resignation by Trustee. The Trustee and any successor Trustee may at any time give written notice of its intention to resign as Trustee hereunder, such notice to be given to the Authority and the City by registered or certified mail. Upon receiving such notice of resignation, the Authority shall promptly appoint a successor Trustee. Any resignation or removal of the Trustee and appointment of a successor Trustee shall become effective upon acceptance of appointment by the successor Trustee. Upon such acceptance, the Authority shall cause notice thereof to be given by first class mail, postage prepaid, to the Owners at their respective addresses set forth on the Registration Books. SECTION 6.08. Appointment of Successor Trustee. In the event of the removal or resignation of the Trustee pursuant to Sections 6.06 or 6.07, respectively, the Authority shall promptly appoint a successor Trustee. In the event the Authority shall for any reason whatsoever fail to appoint a successor Trustee within 60 days following the delivery to the Trustee of the instrument described in Section 6.06 or within 60 days following the receipt of notice by the Authority pursuant to Section 6.07, the Trustee may, at the expense of the Authority, apply to a court of competent jurisdiction for the appointment of a successor Trustee meeting the requirements of Section 6.01. Any such successor Trustee appointed by such court shall become the successor Trustee hereunder notwithstanding any action by the Authority purporting to appoint a successor Trustee following the expiration of such 60-day period. SECTION 6.09. Merger or Consolidation. Any company into which the Trustee may be merged or converted or with which it may be consolidated or any company resulting from any merger, conversion or consolidation to which it shall be a party or any company to which the Trustee may sell or transfer all or substantially all of its corporate trust business, provided that such company shall meet the requirements set forth in Section 6.01, shall be the successor to the Trustee and vested with all of the title to the trust estate and all of the trusts, powers, discretions, immunities, privileges and all other matters as was its predecessor, without the execution or filing of any paper or further act, anything herein to the contrary notwithstanding. SECTION 6.10. Concerning any Successor Trustee. Every successor Trustee appointed hereunder shall execute, acknowledge and deliver to its predecessor and also to the Authority an instrument in writing accepting such appointment hereunder and thereupon such successor, without any further act, deed or conveyance, shall become fully vested with all the estates, properties, rights, powers, trusts, duties and obligations of its predecessors; but such predecessor shall, nevertheless, on the Written Request of the Authority, or of the Trustee's successor, execute and deliver an instrument transferring to such successor all the estates, properties, rights, powers and trusts of such predecessor hereunder; and every predecessor Trustee shall deliver all securities and moneys held by it as the Trustee hereunder to its successor. Should any instrument in writing from the Authority be required by any successor Trustee for more fully and certainly vesting in such successor the estate, rights, powers and duties hereby vested or intended to be vested in the predecessor Trustee, any and all such instruments in writing shall, on request, be executed, acknowledged and delivered by the Authority. SECTION 6.11. Appointment of Co -Trustee. It is the purpose of this Indenture that there shall be no violation of any law of any jurisdiction (including particularly the law of the State) denying or restricting the right of banking corporations or associations to transact business as Trustee in such jurisdiction. It is recognized that in the case of litigation under this Indenture, and in particular in case of the enforcement of the rights of the Trustee on default, or in the case the Trustee deems that by reason of any present or future law of any jurisdiction it may not exercise any of the powers, rights or remedies herein granted to the Trustee or hold title to the properties, in trust, as herein granted, or take any other action that may be desirable or necessary in connection therewith, it may be necessary that the Trustee or the Authority appoint an additional individual or institution as a separate trustee or co -trustee. The following provisions of this Section are adopted to these ends. 39 If the Trustee or the Authority appoints an additional individual or institution as a separate trustee or co -trustee, each and every remedy, power, right, claim, demand, cause of action, immunity, estate, title, interest and lien expressed or intended by this Indenture to be exercised by or vested in or conveyed to the Trustee with respect thereto shall be exercisable by and vest in such separate trustee or co -trustee but only to the extent necessary to enable such separate trustee or co -trustee to exercise such powers, rights and remedies, and every covenant and obligation necessary to the exercise thereof by such separate trustee or co -trustee shall run to and be enforceable by either of them. Should any instrument in writing from the Authority be required by the separate trustee or co -trustee so appointed by the Trustee for more fully and certainly vesting in and confirming to it such properties, rights, powers, trusts, duties and obligations, any and all such instruments in writing shall, on request, be executed, acknowledged and delivered by the Authority. In case any separate trustee or co -trustee, or a successor to either, shall become incapable of acting, shall resign or shall be removed, all the estates, properties, rights, powers, trusts, duties and obligations of such separate trustee or co -trustee, so far as permitted by law, shall vest in and be exercised by the Trustee until the appointment of a new trustee or successor to such separate trustee or co -trustee. SECTION 6.12. Indemnification; Limited Liability of Trustee. The Authority further covenants and agrees, to the extent permitted by law, to indemnify and save the Trustee and its officers, directors, agents and employees, harmless against any loss, expense, action, suit, claim, judgment and liabilities arising out of or in the exercise and performance of its powers and duties hereunder and under the Site Lease and the Lease, including the costs and expenses of defending against any claim of liability and fees and expenses of its attorneys, but excluding any and all losses, expenses and liabilities that are due to the negligence or willful misconduct of the Trustee, its officers, directors or employees. No provision in this Indenture shall require the Trustee to risk or expend its own funds or otherwise incur any financial liability hereunder. The Trustee shall not be liable for any action taken or omitted to be taken by it in accordance with the direction of the Owners of at least 25% in aggregate principal amount of Bonds Outstanding relating to the time, method and place of conducting any proceeding or remedy available to the Trustee under this Indenture or exercising any power conferred upon the Trustee under this Indenture. The obligations of the Authority under this Section shall survive the termination of this Indenture and the resignation or removal of the Trustee under this Indenture. ARTICLE VII MODIFICATION AND AMENDMENT OF THE INDENTURE SECTION 7.01. Amendment. This Indenture and the rights and obligations of the Authority, and of the Owners of Bonds of a Series may be modified or amended at any time by a Supplemental Indenture, which shall become binding to the extent permitted by law upon adoption, without consent of any Owner, but only for any one or more of the following purposes: (a) to issue Additional Bonds in accordance with Section 3.07 hereof; M (b) to add to the covenants and agreements of the Authority in this Indenture contained other covenants and agreements thereafter to be observed, to pledge or assign additional security for the Bonds (or any portion thereof), or to surrender any right or power herein reserved to or conferred upon the Authority, provided that no such covenant, agreement, pledge, assignment or surrender shall materially adversely affect the interests of the applicable Owners; (c) to make such provisions for the purpose of curing any ambiguity, inconsistency or omission, or of curing or correcting any defective provision, contained in this Indenture, or in regard to matters or questions arising under this Indenture, as the Authority may deem necessary or desirable and not inconsistent with this Indenture, and which shall not materially adversely affect the interests of the applicable Owners in the reasonable judgment of the Authority; (d) to modify, amend or supplement this Indenture in such manner as to permit the qualification hereof under the Trust Indenture Act of 1939, as amended, or any similar federal statute hereafter in effect, and to add such other terms, conditions and provisions as may be permitted by said act or similar federal statute, and which shall not materially adversely affect the interests of the applicable Owners; (e) to maintain the exclusion of interest on the Tax -Exempt Bonds from gross income for federal income tax purposes under the Code, if applicable; or (f) for any other purpose that does not materially adversely affect the interests of the Owners. Except as set forth in the preceding paragraph of this Section, this Indenture and the rights and obligations of the Authority and of the Owners may only be modified or amended at any time by a Supplemental Indenture, which shall become binding when the written consent of the Owners of a majority in aggregate principal amount of the affected Bonds then Outstanding are filed with the Trustee. No such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or redemption premiums (if any) at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the Owner, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) modify any of the rights or obligations of the Trustee without its written consent thereto. SECTION 7.02. Effect of Supplemental Indenture. From and after the time any Supplemental Indenture becomes effective pursuant to this Article VII, this Indenture shall be deemed to be modified and amended in accordance therewith, the respective rights, duties and obligations of the parties hereto or thereto and all Owners of Outstanding Bonds, as the case may be, shall thereafter be determined, exercised and enforced hereunder subject in all respects to such modification and amendment, and all the terms and conditions of any Supplemental Indenture shall be deemed to be part of the terms and conditions of this Indenture for any and all purposes. 41 Prior to entering into any Supplemental Indenture pursuant to this Section, the Authority shall deliver to the Trustee an opinion of Bond Counsel to the effect that such Supplemental Indenture has been adopted in accordance with the requirements of this Indenture and does not, in and of itself, cause the interest on the Bonds, as applicable, to be included in the gross income of the Owners of such Bonds. SECTION 7.03. Endorsement or Replacement of Bonds After Amendment. After the effective date of any action taken as hereinabove provided, the Authority may determine that the Bonds shall bear a notation, by endorsement in form approved by the Authority, as to such action, and in that case upon demand of the Owner at such effective date and presentation of such Bond for that purpose at the Trust Office of the Trustee, a suitable notation as to such action shall be made on such Bond. If the Authority shall so determine, new Bonds so modified as, in the opinion of the Authority, shall be necessary to conform to such Owners' action shall be prepared and executed, and in that case upon demand of the Owner at such effective date such new Bonds shall be exchanged at the Trust Office of the Trustee, without cost to each Owner, for Bonds then Outstanding, upon surrender of such Outstanding Bonds. ARTICLE VIII EVENTS OF DEFAULT AND REMEDIES OF OWNERS SECTION 8.01. Events of Default. The following events shall be Events of Default hereunder: (a) Default in the due and punctual payment of the principal of or premium on any Bond when and as the same shall become due and payable, whether at maturity as therein expressed, or by proceedings for redemption. (b) Default in the due and punctual payment of any installment of interest on any Bond when and as such interest installment shall become due and payable. (c) Any Event of Default (as defined in the Lease) shall have occurred and be continuing. (d) Failure by the Authority to observe and perform any of the covenants, agreements or conditions on its part in this Indenture or in the Bonds contained, other than as referred to in the preceding clauses (a) and (b), for a period of thirty (30) days after written notice, specifying such failure and requesting that it be remedied has been given to the Authority by the Trustee, or to the Authority and the Trustee by the Owners of not less than 50% in aggregate principal amount of the Outstanding Bonds; provided, however, that if in the reasonable opinion of the Authority the failure stated in such notice can be corrected, but not within such 60-day period, the Trustee and such Owners shall not unreasonably withhold their consent to an extension of such time if corrective action is instituted by the Authority within such 60-day period and diligently pursued until such failure is corrected. (e) The filing by the Authority of a petition or answer seeking reorganization or arrangement under the Federal bankruptcy laws or any other applicable law of the United States of America, or if a court of competent jurisdiction shall approve a petition, filed with or without 42 the consent of the Authority, seeking reorganization under the Federal bankruptcy laws or any other applicable law of the United States of America, or if, under the provisions of any other law for the relief or aid of debtors, any court of competent jurisdiction shall assume custody or control of the Authority or of the whole or any substantial part of its property. SECTION 8.02. Remedies; No Acceleration. Upon the occurrence of an Event of Default the Trustee shall have the right: (a) by mandamus or other action or proceeding or suit at law or in equity to enforce its rights against the Authority or any member, officer or employee thereof, to compel the Authority or any such member, officer or employee to perform and carry out its or his or her duties under law and the agreements and covenants required to be performed by it or him contained herein or in the Lease; (b) by suit in equity to enjoin any acts or things which are unlawful or violate the rights of the Trustee; or (c) by suit in equity upon the happening of an Event of Default to require the Authority and its members, officers and employees to account as the trustee of an express trust. If an Event of Default shall have occurred and be continuing and if requested so to do by the Owners of a majority in aggregate principal amount of Outstanding Bonds and indemnified as provided in Section 6.02(c), the Trustee shall be obligated to exercise such one or more of the rights and powers conferred by this Article VIII, as the Trustee, being advised by counsel, shall deem most expedient in the interests of the Owners. No remedy by the terms of this Indenture conferred upon or reserved to the Trustee (or to the Owners) is intended to be exclusive of any other remedy, but each and every such remedy shall be cumulative and shall be in addition to any other remedy given to the Trustee or the Owners hereunder or now or hereafter existing at law or in equity. No delay or omission to exercise any right or power accruing upon any Event of Default shall impair any such right or power or shall be construed to be a waiver or any such Event of Default or acquiescence therein; such right or power may be exercised from time to time as often as may be deemed expedient. The Trustee shall have no right to declare the principal of or interest on the Bonds to be due and payable immediately. Nothing herein shall be deemed to authorize the Trustee to authorize or consent to or accept or adopt on behalf of any Owner any plan of reorganization, arrangement, adjustment, or composition affecting the Bonds or the rights of any Owner thereof, or to authorize the Trustee to vote in respect of the claim of any Owner in any such proceeding without the approval of the Owners so affected. SECTION 8.03. Application of Revenues and Other Funds After Default. All amounts received by the Trustee pursuant to any right given or action taken by the Trustee under the provisions of this Indenture shall be applied by the Trustee in the following order of priority: 43 First, to the payment of the fees, costs and expenses of the Trustee, including reasonable compensation to its agents, attorneys and counsel; Second, to the payment of the whole amount of interest on and principal of the Bonds of the applicable Series then due and unpaid; provided, however, that in the event such amounts shall be insufficient to pay in full the full amount of such interest and principal, then such amounts shall be applied to the payment of such principal and interest without preference or priority of principal over interest, or interest over principal, or of any installment of interest over any other installment of interest, ratably to the aggregate of such principal and interest. SECTION 8.04. Power of Trustee to Control Proceedings. If the Trustee, upon the happening of an Event of Default, shall have taken any action, by judicial proceedings or otherwise, pursuant to its duties hereunder, whether upon its own discretion or upon the request of the Owners of at least a majority in aggregate principal amount of the Bonds then Outstanding, it shall have full power, in the exercise of its discretion for the best interests of the Owners of the Bonds, with respect to the continuance, discontinuance, withdrawal, compromise, settlement or other disposal of such action; provided, however, that the Trustee shall not, unless there no longer continues an Event of Default, discontinue, withdraw, compromise or settle, or otherwise dispose of any litigation pending at law or in equity, if at the time there has been filed with it a written request signed by the Owners of a majority in aggregate principal amount of the Outstanding Bonds opposing such discontinuance, withdrawal, compromise, settlement or other disposal of such litigation and if the Trustee is indemnified as provided in Section 6.02(c). Any suit, action or proceeding which any Owner shall have the right to bring to enforce any right or remedy hereunder may be brought by the Trustee for the equal benefit and protection of all Owners similarly situated and the Trustee is hereby appointed (and the successive respective Owners issued hereunder by taking and holding the same, shall be conclusively deemed so to have appointed it) the true and lawful attorney -in -fact of the respective Owners for the purpose of bringing any such suit, action or proceeding and to do and perform any and all acts and things for and on behalf of the respective Owners as a class or classes, as may be necessary or advisable in the opinion of the Trustee as such attorney -in -fact. SECTION 8.05. Appointment of Receivers. Upon the occurrence of an Event of Default hereunder, and upon the filing of a suit or other commencement of judicial proceedings to enforce the rights of the Trustee and of the Owners under this Indenture, the Trustee shall be entitled, as a matter of right, to the appointment of a receiver or receivers of the Revenues and other amounts pledged hereunder, pending such proceedings, with such powers as the court making such appointment shall confer. SECTION 8.06. Non -Waiver. A waiver of any default or breach of duty or contract by the Trustee or any Owners shall not affect any subsequent default or breach of duty or contract, or impair any rights or remedies on any such subsequent default or breach. No delay or omission of the Trustee or any Owner to exercise any right or power accruing upon any default shall impair any such right or power or shall be construed to be a waiver of any such default or an acquiescence therein; and every power and remedy conferred upon the Trustee or Owners by the Bond Law or by this Article VIII may be enforced and exercised from time to time and as often as shall be deemed expedient by the Trustee or the Owners, as the case may be. SECTION 8.07. Rights of Owners. No Owner shall have the right to institute any suit, action or proceeding at law or in equity, for any remedy under or upon this Indenture, unless (a) such Owner shall have previously given to the Trustee written notice of the occurrence of an Event of Default; (b) the Owners of a majority in aggregate principal amount of all the Bonds then Outstanding shall have made written request upon the Trustee to exercise the powers hereinbefore granted or to institute such action, suit or proceeding in its own name; (c) such Owners shall have tendered to the Trustee indemnity acceptable to the Trustee against the costs, expenses and liabilities to be incurred in compliance with such request; and (d) the Trustee shall have refused or omitted to comply with such request for a period of 60 days after such written request shall have been received by, and such tender of indemnity shall have been made to, the Trustee. Such notification, request, tender of indemnity and refusal or omission are hereby declared, in every case, to be conditions precedent to the exercise by any Owner of any remedy hereunder; it being understood and intended that no one or more Owners shall have any right in any manner whatever by his or their action to enforce any right under this Indenture, except in the manner herein provided, and that all proceedings at law or in equity to enforce any provision of this Indenture shall be instituted, had and maintained in the manner herein provided and for the equal benefit of all Owners. The right of any Owner to receive payment of the principal of and interest and premium (if any) on such Bond as herein provided or to institute suit for the enforcement of any such payment, shall not be impaired or affected without the written consent of such Owner, notwithstanding the foregoing provisions of this Section or any other provision of this Indenture. SECTION 8.08. Termination of Proceedings. In case the Trustee shall have proceeded to enforce any right under this Indenture by the appointment of a receiver or otherwise, and such proceedings shall have been discontinued or abandoned for any reason, or shall have been determined adversely, then and in every such case, the Authority, the Trustee and the Owners shall be restored to their former positions and rights hereunder, respectively, with regard to the property subject to this Indenture, and all rights, remedies and powers of the Trustee shall continue as if no such proceedings had been taken. ARTICLE IX MISCELLANEOUS SECTION 9.01. Limited Liability of Authority. Notwithstanding anything in this Indenture contained, the Authority shall not be required to advance any moneys derived from any source of income other than the Revenues for the payment of the principal of or interest on the Bonds, or any premiums upon the redemption thereof, or for the performance of any covenants herein contained (except to the extent any such covenants are expressly payable hereunder from the Revenues or otherwise from amounts payable under the Lease). The Authority may, however advance funds for any such purpose, provided that such funds are derived from a source legally available for such purpose and may be used by the Authority for such purpose without incurring indebtedness. 'k, The Bonds shall be revenue bonds, payable exclusively from the Revenues and other funds as in this Indenture provided. The general fund of the Authority is not liable, and the full faith and credit of the Authority is not pledged, for the payment of the interest and premiums (if any) on or principal of the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in this Indenture. The Owners shall never have the right to compel the forfeiture of any property of the Authority except the Revenues and other funds pledged to the payment of the Bonds as provided in this Indenture. The principal of and interest on the Bonds, and any premiums upon the redemption of any thereof, shall not be a legal or equitable pledge, charge, lien or encumbrance upon any property of the Authority or upon any of its income, receipts or revenues except the Revenues and other funds (other than amounts on deposit in the Rebate Fund) pledged to the payment thereof as provided in this Indenture. SECTION 9.02. Benefits of Indenture Limited to Parties. Nothing in this Indenture, expressed or implied, is intended to give to any person other than the Authority, the Trustee, the City and the Owners, any right, remedy or claim under or by reason of this Indenture. Any covenants, stipulations, promises or agreements in this Indenture contained by and on behalf of the Authority shall be for the sole and exclusive benefit of the Trustee, the City and the Owners. SECTION 9.03. Defeasance; Discharge of Indenture. If the Authority shall pay and discharge any or all of the Outstanding Bonds in any one or more of the following ways: (a) by well and truly paying or causing to be paid the principal of and interest and premiums (if any) on such Bonds, as and when the same become due and payable; (b) by irrevocably depositing with the Trustee, in trust, at or before maturity, money which, together with the available amounts then on deposit in the funds and accounts established with the Trustee pursuant to this Indenture, is fully sufficient to pay such Bonds, including all principal, interest and redemption premiums (if any); or (c) by irrevocably depositing with the Trustee or an escrow agent, in trust pursuant to an escrow deposit agreement, Defeasance Securities in such amount as an Independent Certified Public Accountant shall determine in a written report acceptable to the Authority in form and substance, and addressed, to the Authority and the Trustee, filed with the Trustee (upon which report the Trustee may conclusively rely) will, together with the interest to accrue thereon and available moneys then on deposit in the funds and accounts established with the Trustee pursuant to this Indenture, be fully sufficient to pay and discharge the indebtedness on such Bonds (including all principal, interest and redemption premiums) at or before their respective maturity dates; and delivering an opinion of Bond Counsel acceptable to the Authority in form and substance, and addressed, to the Authority and the Trustee to the effect that the Bonds are no longer Outstanding under the Indenture, and if such Bonds are to be redeemed prior to the maturity thereof notice of such redemption shall have been mailed pursuant to Section 2.03(d) or provision satisfactory to the Trustee shall have been made for the mailing of such notice, then, at the Written Request of the Authority, and notwithstanding that any of such Bonds shall not have M been surrendered for payment, the pledge of the Revenues and other funds provided for in this Indenture with respect to such Bonds, and all other pecuniary obligations of the Authority under this Indenture with respect to all such Bonds, shall cease and terminate, except only the obligation of the Authority to pay or cause to be paid to the Owners not so surrendered and paid all sums due thereon from amounts set aside for such purpose as aforesaid, and all amounts due the Trustee. Any funds held by the Trustee following any payment or discharge of the Outstanding Bonds pursuant to this Section, which are not required for such purposes, shall after payment of amounts due the Trustee hereunder be paid over to the Authority for use by the Authority for any lawful purpose. SECTION 9.04. Successor is Deemed Included in All References to Predecessor. Whenever in this Indenture or any Supplemental Indenture the Authority is named or referred to, such reference shall be deemed to include the successor to the powers, duties and functions, with respect to the management, administration and control of the affairs of the Authority, that are presently vested in the Authority, and all the covenants, agreements and provisions contained in this Indenture by or on behalf of the Authority shall bind and inure to the benefit of its successors whether so expressed or not. SECTION 9.05. Content of Certificates and Opinions. Every certificate or opinion with respect to compliance with a condition or covenant provided for in this Indenture except the certificate of destruction pursuant to Section 9.10 shall include (a) a statement that the person or persons making or giving such certificate or opinion have read such covenant or conditions and the definitions herein relating thereto; (b) a brief statement as to the nature and scope of the examination or investigation upon which the statements or opinions contained in such certificate or opinion are based; (c) a statement that, in the opinion of the signers, they have made or caused to be made such examination or investigation as is necessary to enable them to express an informed opinion as to whether or not such covenant or condition has been complied with; and (d) a statement as to whether, in the opinion of the signers, such condition or covenant has been complied with. Any such certificate made or given by an officer of the Authority may be based, insofar as it relates to legal matters, upon a certificate or opinion of or representations by counsel, unless such officer knows that the certificate or opinion or representations with respect to the matters upon which his certificate may be based, as aforesaid, are erroneous, or in the exercise of reasonable care should have known that the same were erroneous. Any such certificate or opinion or representation made or given by counsel may be based, insofar as it relates to factual matters, on information with respect to which is in the possession of the Authority, or upon the certificate or opinion of or representations by an officer or officers of the Authority, unless such counsel knows that the certificate or opinion or representations with respect to the matters upon which his certificate, opinion or representation may be based, as aforesaid, are erroneous, or in the exercise of reasonable care should have known that the same were erroneous. SECTION 9.06. Execution of Documents by Owners. Any request, consent or other instrument required by this Indenture to be signed and executed by Owners may be in any number of concurrent writings of substantially similar tenor and may be signed or executed by such Owners in person or by their agent or agents duly appointed in writing. Proof of the execution of any such request, consent or other instrument or of a writing appointing any such 47 agent, shall be sufficient for any purpose of this Indenture and shall be conclusive in favor of the Trustee and of the Authority if made in the manner provided in this Section. The fact and date of the execution by any person of any such request, consent or other instrument or writing may be proved by the affidavit of a witness of such execution or by the certificate of any notary public or other officer of any jurisdiction, authorized by the laws thereof to take acknowledgments of deeds, certifying that the person signing such request, consent or other instrument or writing acknowledged to him the execution thereof. The ownership of Bonds shall be proved by the Registration Books. Any request, consent or vote of the Owner shall bind every future Owner with respect to the same Bond and the Owner with respect to any Bond issued in exchange therefor or in lieu thereof, in respect of anything done or suffered to be done by the Trustee or the Authority in pursuance of such request, consent or vote. In lieu of obtaining any demand, request, direction, consent or waiver in writing, the Trustee may call and hold a meeting of the Owners upon such notice and in accordance with such rules and obligations as the Trustee considers fair and reasonable for the purpose of obtaining any such action. SECTION 9.07. Disqualified Bonds. In determining whether the Owners of the requisite aggregate principal amount of Bonds have concurred in any demand, request, direction, consent or waiver under this Indenture, unless all Bonds are then so owned, Bonds that are owned or held by or for the account of the City or the Authority (but excluding Bonds held in any employees' retirement fund) shall be disregarded and deemed not to be Outstanding for the purpose of any such determination; provided, however, that for the purpose of determining whether the Trustee shall be protected in relying on any such demand, request, direction, consent or waiver, only Bonds which the Trustee knows to be so owned or held shall be disregarded. Upon request of the Trustee, the Authority and the City shall specify in a certificate to the Trustee those Bonds disqualified pursuant to this Section and the Trustee may conclusively rely on such certificate. SECTION 9.08. Waiver of Personal Liability. No official, officer, agent or employee of the Authority shall be individually or personally liable for the payment of the interest on or principal of the Bonds; but nothing herein contained shall relieve any such official, officer, agent or employee from the performance of any official duty provided by law. SECTION 9.09. Partial Invalidity. If any one or more of the covenants or agreements, or portions thereof, provided in this Indenture on the part of the Authority (or of the Trustee) to be performed should be contrary to law, then such covenant or covenants, such agreement or agreements, or such portions thereof, shall be null and void and shall be deemed separable from the remaining covenants and agreements or portions thereof and shall in no way affect the validity of this Indenture or of the Bonds; but the Owners shall retain all rights and benefits accorded to them under the Bond Law or any other applicable provisions of law. SECTION 9.10. Destruction of Canceled Bonds. Whenever in this Indenture provision is made for the surrender of any Bonds which have been paid or canceled pursuant to the provisions of this Indenture, the Trustee shall cancel and destroy such Bonds and upon Written Request of the Authority furnish to the Authority a certificate of such destruction. SECTION 9.11. Funds and Accounts. Any fund or account required by this Indenture to be established and maintained by the Authority or the Trustee may be established and maintained in the accounting records of the Authority or the Trustee, as the case may be, either as a fund or an account, and may, for the purpose of such records, any audits thereof and any reports or statements with respect thereto, be treated either as a fund or as an account. All such records with respect to all such funds and accounts held by the Authority shall at all times be maintained in accordance with generally accepted accounting principles and all such records with respect to all such funds and accounts held by the Trustee shall be at all times maintained in accordance with corporate trust industry practices; in each case with due regard for the protection of the security of the Bonds and the rights of every Owner thereof. SECTION 9.12. Payment on Business Days. Whenever in this Indenture any amount is required to be paid on a day that is not a Business Day, such payment shall be required to be made, without accruing additional interest thereby, on the Business Day immediately following such day. SECTION 9.13. Notices. All notices, requests and other communications provided for hereunder shall be in electronic, telephonic or written form and shall be given to the party to whom sent, addressed to it, at its address or other address or telephone, number telecopier as such party may hereafter specify for the purpose by notice to the other parties set forth below. Each such notice, request or communication shall be effective (i) if given by telephone, telecopier or other electronic means, when such communication is transmitted to the address specified below and any appropriate answerback or confirmation is received, (ii) if given by certified or registered mail, return receipt requested, on the date of receipt appearing on the return postal receipt for notices given by certified or registered mail, (iii) if given by hand delivery, when delivered at the address specified below: If to the Authority: Santa Clarita Public Financing Authority c/o City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: Treasurer 661-255-4997 If to the City: City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: City Treasurer 661-255-4997 If to the Trustee: U.S. Bank National Association Global Corporate Trust 633 W. Fifth Street, 24th Floor LM-CA-T24T Los Angeles, CA 90071 (213) 615-6062 Email: fonda. hall gusb ank. com The Authority and the Trustee may designate any further or different addresses to which subsequent notices, certificates or other communications shall be sent. SECTION 9.14. Unclaimed Moneys. Anything in this Indenture to the contrary notwithstanding, any moneys held by the Trustee in trust for the payment and discharge of any of the Bonds that remain unclaimed for two years after the date when such Bonds have become due and payable, either at their stated maturity dates or by call for earlier redemption, if such moneys were held by the Trustee at such date, or for two years after the date of deposit of such moneys if deposited with the Trustee after such date when such Bonds become due and payable, shall be repaid by the Trustee to the Authority, as its absolute property and free from trust, and the Trustee shall thereupon be released and discharged with respect thereto and the Owners shall look only to the Authority for the payment of such Bonds; provided, however, that before being required to make any such payment to the Authority, the Trustee shall, at the written request and expense of the Authority, cause to be mailed to the Owners, at their respective addresses appearing on the Registration Books, a notice that such moneys remain unclaimed and that, after a date named in such notice, which date shall not be less than 30 days after the date of mailing of such notice, the balance of such moneys then unclaimed will be returned to the Authority. SECTION 9.15. Governing Law. This Indenture shall be construed and governed in accordance with the laws of the State of California. 50 IN WITNESS WHEREOF, the parties hereto have caused this Indenture to be signed by their respective officers, all as of the day and year first above written. SANTA CLARITA PUBLIC FINANCING AUTHORITY ATTEST; By Cameron Sm , Chair By A-�U� &n�� Amanda Santos, eputy Secretary U.S. BANK NATIONAL ASSOCIATION, as Trustee By Authorized Officer 62 IN WITNESS WHEREOF, the parties hereto have caused this Indenture to be signed by their respective officers, all as of the day and year first above written. ATTEST: Mary Cusick, Secretary 51 SANTA CLARITA PUBLIC FINANCING AUTHORITY MA Cameron Smyth, Chair U.S. BANK NATIONAL ASSOCIATION, as Trustee By Authorized Officer EXHIBIT A-1 [FORM OF TAX-EXEMPT BOND] UNLESS THIS TAX-EXEMPT BOND IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AS DEFINED IN THE INDENTURE) TO THE TRUSTEE FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY TAX-EXEMPT BOND ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BOND (RECREATIONAL FACILITY) SERIES 2020A RATE OF INTEREST: MATURITY DATE: DATED DATE: CUSIP: % J UNE 1, REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: The SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), for value received, hereby promises to pay (but only out of the Revenues, as defined in the Indenture hereinafter referred to, and certain other moneys) to the Registered Owner identified above or registered assigns (the "Registered Owner"), on the Maturity Date identified above or any earlier redemption date, the Principal Amount identified above in lawful money of the United States of America; and to pay interest thereon at the Rate of Interest identified above in like money from the Interest Payment Date (as hereinafter defined) next preceding the date of authentication of this Tax -Exempt Bond (unless this Tax -Exempt Bond is authenticated on or before an Interest Payment Date and after the fifteenth calendar day of the month preceding such Interest Payment Date, in which event it shall bear interest from such Interest Payment Date, or unless this Tax - Exempt Bond is authenticated on or prior to November 15, 2020, in which event it shall bear interest from the Dated Date identified above; provided, however, that if, at the time of authentication of this Tax -Exempt Bond, interest is in default on this Tax -Exempt Bond, this A-1-1 Tax -Exempt Bond shall bear interest from the Interest Payment Date to which interest hereon has previously been paid or made available for payment), payable semiannually on June 1 and December 1 in each year, commencing December 1, 2020 (each an "Interest Payment Date") until payment of such Principal Amount in full. The Principal Amount hereof is payable by check upon presentation hereof upon maturity or earlier redemption at the designated corporate trust office (the "Trust Office") of U.S. Bank National Association, as trustee (the "Trustee"). Interest hereon is payable by check of the Trustee mailed by first class mail on each Interest Payment Date to the Registered Owner hereof at the address of the Registered Owner as it appears on the registration books of the Trustee as of the fifteenth (15th) calendar day of the month preceding such Interest Payment Date (except that in the case of a Registered Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds, such payment may, at such Registered Owner's option, be made by wire transfer of immediately available funds to an account located in the United States in accordance with written instructions provided by such Registered Owner prior to the fifteenth calendar day of the month preceding such Interest Payment Date). This Tax -Exempt Bond is one of a duly authorized issue of bonds of the Authority designated the "Santa Clarita Public Financing Authority, Lease Revenue Bonds (Recreational Facility), Series 2020A" (herein, the "Tax -Exempt Bonds"), in an aggregate principal amount of $10,645,000 issued under an Indenture, dated as of October 1, 2020 (the "Indenture"), by and between the Authority and the Trustee. Concurrently with the issuance of the Tax -Exempt Bonds, the Authority is also issuing the $3,625,000 Santa Clarita Public Financing Authority, Federally Taxable Lease Revenue Bonds (Recreational Facility), Series 2020A-T (the "Taxable Bonds," and together with the Tax -Exempt Bonds, the "Bonds"), issued pursuant to the Indenture. Reference is hereby made to the Indenture and all indentures supplemental thereto for a description of the rights thereunder of the owners of the Bonds, of the nature and extent of the Revenues (as that term is defined in the Indenture), of the rights, duties and immunities of the Trustee and of the rights and obligations of the Authority thereunder; and all of the terms of the Indenture are hereby incorporated herein and constitute a contract between the Authority and the Registered Owner hereof, and to all of the provisions of which Indenture the Registered Owner hereof, by acceptance hereof, assents and agrees. The Bonds are authorized to be issued pursuant to the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4, Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"). The Bonds are special obligations of the Authority and, as and to the extent set forth in the Indenture, are payable solely from and secured by a first lien on and pledge of the Revenues as provided in the Indenture. All of the Bonds are equally secured by a pledge of, and charge and lien upon, all of the Revenues (other than deposits to the Rebate Fund created by the Indenture), and the Revenues (other than deposits to the Rebate Fund created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Bonds. The full faith and credit of the Authority are not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the Indenture. A-1-2 The Bonds have been issued for the purpose of financing certain capital improvements for the City. The Authority and the City have entered into a Lease Agreement, dated as of October 1, 2020 (the "Lease"), under which the City is obligated to pay amounts which are anticipated to be sufficient to enable the Authority to pay the principal of and interest on the Bonds. The Bonds are subject to redemption prior to their maturity as provided in the Indenture. The Bonds are subject to redemption prior to their respective maturity dates, upon notice as provided in the Indenture, as a whole or in part on any date, from prepayments of Base Rental Payments made by the City pursuant to the Lease from funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of Bonds pursuant to this paragraph shall be made at a redemption price equal to the sum of the principal of the Bonds to be redeemed plus accrued interest thereon to the date fixed for redemption, without premium. The Bonds may be issued in denominations of $5,000 or any integral multiple thereof. Subject to the limitations and upon payment of the charges, if any, provided in the Indenture, this Tax -Exempt Bond may be exchanged at the Trust Office of the Trustee for a like aggregate principal amount, interest rate and maturity of fully registered Tax -Exempt Bonds of other authorized denominations. This Tax -Exempt Bond is transferable by the Registered Owner hereof, in person or by his attorney duly authorized in writing, at the Trust Office of the Trustee, but only in the manner, subject to the limitations and upon payment of the charges provided in the Indenture, and upon surrender and cancellation of this Tax -Exempt Bond. Upon such transfer a new fully registered Bond or Bonds, of Authorized Denomination or Denominations, for the same aggregate principal amount and of the same maturity and the same series designation will be issued to the transferee in exchange herefor. The Authority and the Trustee may treat the Registered Owner hereof as the absolute owner hereof for all purposes, and the Authority and the Trustee shall not be affected by any notice to the contrary. The Trustee shall not be required to register the transfer or exchange of any Tax -Exempt Bond during the period in which the Trustee is selecting Tax -Exempt Bonds for redemption or any Tax -Exempt Bond selected for redemption. The Indenture and the rights and obligations of the Authority and of the owners of the Bonds and of the Trustee may be modified or amended from time to time and at any time in the manner, to the extent, and upon the terms provided in the Indenture; provided that no such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or premiums at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the owner of such Bond, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) without its written consent thereto, modify any of the rights or obligations of the Trustee, all as more fully set forth in the Indenture. A-1-3 It is hereby certified that all things, conditions and acts required to exist, to have happened and to have been performed precedent to and in the issuance of this Tax -Exempt Bond do exist, have happened and have been performed in due time, form and manner as required by the Constitution and statutes of the State of California and by the Act (as such term is defined on the reverse side hereof) and the amount of this Tax -Exempt Bond, together with all other indebtedness of the Authority, does not exceed any limit prescribed by the Constitution or statutes of the State of California or by the Act. This Tax -Exempt Bond shall not be entitled to any benefit under the Indenture, or become valid or obligatory for any purpose, until the certificate of authentication hereon shall have been manually signed by the Trustee. IN WITNESS WHEREOF, the Authority has caused this Tax -Exempt Bond to be executed in its name and on its behalf by the manual or facsimile signatures of its Chair and Secretary as of the Dated Date identified above. ATTEST: Secretary SANTA CLARITA PUBLIC FINANCING AUTHORITY I3 Chair A-1-5 TRUSTEE'S CERTIFICATE OF AUTHENTICATION This is one of the Tax -Exempt Bonds described in the within -mentioned Indenture and registered on the Bond Registration Books. Dated: , 20 U.S. BANK NATIONAL ASSOCIATION, as Trustee I:A Authorized Officer ASSIGNMENT For value received the undersigned do(es) hereby sell, assign and transfer unto whose tax identification number is , mentioned registered Bond and hereby irrevocably constitute(s) and appoint(s) attorney to transfer the same on the books of the Trustee with full power of substitution in the premises. Dated: Signature guaranteed: NOTICE: Signature must be guaranteed by a member of an institution which is a participant in the Securities Transfer Agent Medallion Program (STAMP) or other similar program. the within- NOTE: The signature(s) on this Assignment must correspond with the name(s) as written on the face of the within Bond in every particular without alteration or enlargement or any change whatsoever. A-1-7 EXHIBIT A-2 [FORM OF TAX-EXEMPT BOND] UNLESS THIS TAXABLE BOND IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AS DEFINED IN THE INDENTURE) TO THE TRUSTEE FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY TAXABLE BOND ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. SANTA CLARITA PUBLIC FINANCING AUTHORITY FEDERALLY TAXABLE LEASE REVENUE BOND (RECREATIONAL FACILITY) SERIES 202OA-T RATE OF INTEREST: MATURITY DATE: DATED DATE: CUSIP: % J UNE 1, REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: The SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), for value received, hereby promises to pay (but only out of the Revenues, as defined in the Indenture hereinafter referred to, and certain other moneys) to the Registered Owner identified above or registered assigns (the "Registered Owner"), on the Maturity Date identified above or any earlier redemption date, the Principal Amount identified above in lawful money of the United States of America; and to pay interest thereon at the Rate of Interest identified above in like money from the Interest Payment Date (as hereinafter defined) next preceding the date of authentication of this Taxable Bond (unless this Taxable Bond is authenticated on or before an Interest Payment Date and after the fifteenth calendar day of the month preceding such Interest Payment Date, in which event it shall bear interest from such Interest Payment Date, or unless this Taxable Bond is authenticated on or prior to November 15, 2020, in which event it shall bear interest from the Dated Date identified above; provided, however, that if, at the time of authentication of this Taxable Bond, interest is in default on this Taxable Bond, this Taxable Bond shall bear interest 100802390.7 A-2-1 from the Interest Payment Date to which interest hereon has previously been paid or made available for payment), payable semiannually on June 1 and December 1 in each year, commencing December 1, 2020 (each an "Interest Payment Date") until payment of such Principal Amount in full. The Principal Amount hereof is payable by check upon presentation hereof upon maturity or earlier redemption at the designated corporate trust office (the "Trust Office") of U. S. Bank National Association, as trustee (the "Trustee"). Interest hereon is payable by check of the Trustee mailed by first class mail on each Interest Payment Date to the Registered Owner hereof at the address of the Registered Owner as it appears on the registration books of the Trustee as of the fifteenth (15th) calendar day of the month preceding such Interest Payment Date (except that in the case of a Registered Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds, such payment may, at such Registered Owner's option, be made by wire transfer of immediately available funds to an account located in the United States in accordance with written instructions provided by such Registered Owner prior to the fifteenth calendar day of the month preceding such Interest Payment Date). This Taxable Bond is one of a duly authorized issue of bonds of the Authority designated the "Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility), Series 2020A-T" (herein, the "Taxable Bonds"), in an aggregate principal amount of $3,625,000 issued under an Indenture, dated as of October 1, 2020 (the "Indenture"), by and between the Authority and the Trustee. Concurrently with the issuance of the Taxable Bonds, the Authority is also issuing the $10,645,000 Santa Clarita Public Financing Authority, Lease Revenue Bonds (Recreational Facility), Series 2020A (the "Tax -Exempt Bonds," and together with the Taxable Bonds, the "Bonds"), issued pursuant to the Indenture. Reference is hereby made to the Indenture and all indentures supplemental thereto for a description of the rights thereunder of the owners of the Bonds, of the nature and extent of the Revenues (as that term is defined in the Indenture), of the rights, duties and immunities of the Trustee and of the rights and obligations of the Authority thereunder; and all of the terms of the Indenture are hereby incorporated herein and constitute a contract between the Authority and the Registered Owner hereof, and to all of the provisions of which Indenture the Registered Owner hereof, by acceptance hereof, assents and agrees. The Bonds are authorized to be issued pursuant to the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4, Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"). The Bonds are special obligations of the Authority and, as and to the extent set forth in the Indenture, are payable solely from and secured by a first lien on and pledge of the Revenues as provided in the Indenture. All of the Bonds are equally secured by a pledge of, and charge and lien upon, all of the Revenues (other than deposits to the Rebate Fund created by the Indenture), and the Revenues (other than deposits to the Rebate Fund created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Bonds. The full faith and credit of the Authority are not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the Indenture. The Bonds have been issued for the purpose of financing certain capital improvements for the City. The Authority and the City have entered into a Lease Agreement, dated as of 100802390.7 A-2-2 October 1, 2020 (the "Lease"), under which the City is obligated to pay amounts which are anticipated to be sufficient to enable the Authority to pay the principal of and interest on the Bonds. The Bonds are subject to redemption prior to their maturity as provided in the Indenture. The Bonds are subject to redemption prior to their respective maturity dates, upon notice as provided in the Indenture, as a whole or in part on any date, from prepayments of Base Rental Payments made by the City pursuant to the Lease from funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of Bonds pursuant to this paragraph shall be made at a redemption price equal to the sum of the principal of the Bonds to be redeemed plus accrued interest thereon to the date fixed for redemption, without premium. The Bonds may be issued in denominations of $5,000 or any integral multiple thereof. Subject to the limitations and upon payment of the charges, if any, provided in the Indenture, this Taxable Bond may be exchanged at the Trust Office of the Trustee for a like aggregate principal amount, interest rate and maturity of fully registered Taxable Bonds of other authorized denominations. This Taxable Bond is transferable by the Registered Owner hereof, in person or by his attorney duly authorized in writing, at the Trust Office of the Trustee, but only in the manner, subject to the limitations and upon payment of the charges provided in the Indenture, and upon surrender and cancellation of this Taxable Bond. Upon such transfer a new fully registered Bond or Bonds, of Authorized Denomination or Denominations, for the same aggregate principal amount and of the same maturity and the same series designation will be issued to the transferee in exchange herefor. The Authority and the Trustee may treat the Registered Owner hereof as the absolute owner hereof for all purposes, and the Authority and the Trustee shall not be affected by any notice to the contrary. The Trustee shall not be required to register the transfer or exchange of any Taxable Bond during the period in which the Trustee is selecting Taxable Bonds for redemption or any Taxable Bond selected for redemption. The Indenture and the rights and obligations of the Authority and of the owners of the Bonds and of the Trustee may be modified or amended from time to time and at any time in the manner, to the extent, and upon the terms provided in the Indenture; provided that no such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or premiums at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the owner of such Bond, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) without its written consent thereto, modify any of the rights or obligations of the Trustee, all as more fully set forth in the Indenture. It is hereby certified that all things, conditions and acts required to exist, to have happened and to have been performed precedent to and in the issuance of this Taxable Bond do 100802390.7 A-2-3 exist, have happened and have been performed in due time, form and manner as required by the Constitution and statutes of the State of California and by the Act (as such term is defined on the reverse side hereof) and the amount of this Taxable Bond, together with all other indebtedness of the Authority, does not exceed any limit prescribed by the Constitution or statutes of the State of California or by the Act. This Taxable Bond shall not be entitled to any benefit under the Indenture, or become valid or obligatory for any purpose, until the certificate of authentication hereon shall have been manually signed by the Trustee. 100802390.7 A-2-4 IN WITNESS WHEREOF, the Authority has caused this Taxable Bond to be executed in its name and on its behalf by the manual or facsimile signatures of its Chair and Secretary as of the Dated Date identified above. SANTA CLARITA PUBLIC FINANCING AUTHORITY I3 Chair ATTEST: Secretary 100802390.7 A-2-5 TRUSTEE'S CERTIFICATE OF AUTHENTICATION This is one of the Taxable Bonds described in the within -mentioned Indenture and registered on the Bond Registration Books. Dated: , 20 U.S. BANK NATIONAL ASSOCIATION, as Trustee MA Authorized Officer 100802390.7 A-2-6 ASSIGNMENT For value received the undersigned do(es) hereby sell, assign and transfer unto whose tax identification number is , mentioned registered Bond and hereby irrevocably constitute(s) and appoint(s) attorney to transfer the same on the books of the Trustee with full power of substitution in the premises. Dated: Signature guaranteed: NOTICE: Signature must be guaranteed by a member of an institution which is a participant in the Securities Transfer Agent Medallion Program (STAMP) or other similar program. the within- NOTE: The signature(s) on this Assignment must correspond with the name(s) as written on the face of the within Bond in every particular without alteration or enlargement or any change whatsoever. A-2-7 EXHIBIT B FORM OF COSTS OF ISSUANCE REQUISITION COSTS OF ISSUANCE REQUISITION NO. with reference to Santa Clarita Public Financing Authority (Recreational Facility) $10,645,000 $3,625,000 Lease Revenue Bonds Federally Taxable Lease Revenue Bonds Series 2020A Series 2020A I. The Santa Clarita Public Financing Authority (the "Authority") hereby requests U.S. Bank National Association, as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of October 1, 2020 (the "Indenture"), by and between the Authority and the Trustee, under the terms of which the Authority has issued its Lease Revenue Bonds (Recreational Facility), Series 2020A and its Federally Taxable Lease Revenue Bonds (Recreational Facility), Series 2020A-T, to pay from the moneys in the Costs of Issuance Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Costs of Issuance Fund. None of the items for which payment is requested has been reimbursed previously from the Costs of Issuance Fund. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: 100802390.7 B-1 EXHIBIT C FORM OF PROJECT FUND REQUISITION REQUISITION OF THE CITY PROJECT FUND REQUISITION NO. (to be numbered sequentially) with reference to Santa Clarita Public Financing Authority (Recreational Facility) $10,645,000 $3,625,000 Lease Revenue Bonds Federally Taxable Lease Revenue Bonds Series 2020A Series 2020A I. The City of Santa Clarita (the "City") hereby requests U.S. Bank National Association, as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of October 1, 2020 (the "Indenture"), by and between the Santa Clarita Public Financing Authority (the "Authority") and the Trustee, under the terms of which the Authority has issued its Lease Revenue Bonds (Recreational Facility), Series 2020A and its Federally Taxable Lease Revenue Bonds (Recreational Facility), Series 2020A-T, to pay from the moneys in the Project Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto is a Project Cost (as defined in the Indenture) and has been properly incurred and is a proper charge against the Project Fund. None of the items for which payment is requested has been reimbursed previously from the Project Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. Dated: , 20 CITY OF SANTA CLARITA By_ Title: C-1 SCHEDULEI Project Component Amount of This Draw (Continue on Additional Sheet if Necessary) Name and Address of party to whom payment is to be made: Purpose for which the obligation was incurred: Aggregate Amount Draws Including This Draw C-2 EXHIBIT D FORM OF NET PROCEEDS REQUISITION REQUISITION NO. (to be numbered sequentially) with reference to Santa Clarita Public Financing Authority (Recreational Facility) $10,645,000 $3,625,000 Lease Revenue Bonds Federally Taxable Lease Revenue Bonds Series 2020A Series 2020A I. The Santa Clarita Public Financing Authority (the "Authority") hereby requests U.S. Bank National Association, as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of October 1, 2020 (the "Indenture"), by and between the Authority and the Trustee, under the terms of which the Authority has issued its Lease Revenue Bonds (Recreational Facility), Series 2020A and its Federally Taxable Lease Revenue Bonds (Recreational Facility), Series 2020A-T, to pay from the moneys in the Insurance and Condemnation Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Insurance and Condemnation Fund. None of the items for which payment is requested has been reimbursed previously from the Insurance and Condemnation Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: D-1 9/15//22 FIRST SUPPLEMENTAL INDENTURE by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION as Trustee Dated as of October 1, 2022 Relating to: $[principal amount] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) TABLE OF CONTENTS Page PART 1 ADDITION OF ARTICLE X PART 1.1 ADDITION OF ARTICLE X...................................................................................... 2 ARTICLE X-2022B BONDS ....................................................... 3 Section10.01 Definitions.................................................................................................. 3 Section 10.02 Terms of the 2022B Bonds........................................................................ 4 Section 10.03 Redemption of the 2022B Bonds............................................................... 5 Section 10.04 Form of the 2022B Bonds............................................................................ Section 10.05 Execution of the 2022B Bonds.................................................................... Section 10.06 Application of Proceeds of the 2022B Bonds ............................................ 5 Section 10.07 Reopening of Costs of Issuance Fund ........................................................ 5 Section 10.08 2022B Account of the Project Fund........................................................... 6 Section 10.09 Tax Covenants Relating to the 2022B Bonds ............................................ 6 Section 10.09 Amendment of Exhibit D........................................................................... 9 PART 2 MISCELLANEOUS PART 2.1 EFFECT OF FIRST SUPPLEMENTAL INDENTURE ........................................... 10 PART 2.2 EFFECTIVE DATE OF FIRST SUPPLEMENTAL INDENTURE ......................... 10 PART 2.3 APPLICABLE LAW................................................................................................. 10 PART 2.4 COUNTERPARTS.................................................................................................... 10 EXHIBIT C — AMENDED FORM OF NET PROCEEDS REQUISITION EXHIBIT D — FORM OF 2022B BOND EXHIBIT E — FORM OF 2022B COSTS OF ISSUANCE REQUISITION EXHIBIT F — FORM OF 2022B ACCOUNT OF THE PROJECT FUND REQUISITION -1- FIRST SUPPLEMENTAL INDENTURE THIS FIRST SUPPLEMENTAL INDENTURE (this "First Supplemental Indenture") is made, entered into and dated as of October 1, 2022, by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY (the "Authority"), a joint exercise of powers authority organized and existing under the laws of the State of California, and U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION (formerly known as U.S. Bank National Association), a national banking association organized and existing under the laws of the United States of America, as Trustee (the "Trustee"). WITNESSETH: WHEREAS, the Authority is authorized pursuant to the Marks -Roos Local Bond Pooling Act of 1985 to purchase, with the proceeds of bonds of the Authority, bonds of local agencies within the State of California in order to assist such local agencies in financing or refinancing public capital improvements; WHEREAS, pursuant to the Indenture, dated as of June 1, 2016 (the "Original Indenture") by and between the Authority and the Trustee, the Authority issued the $10,320,000 Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds"), for the purpose of refinancing the costs of acquiring right-of-way for a portion of Golden Valley Road in connection with the payment of a judicial order by the City; WHEREAS, the Original Indenture provides that, for any purpose the Authority may at any time issue one or more Series of Additional Bonds (in addition to the 2016 Bonds) payable from Revenues as provided therein on a parity with all other Bonds theretofore issued thereunder, but only subject to the conditions precedent to the issuance of such Additional Bonds specified in the Original Indenture, including amendment of that certain Lease Agreement, dated as of June 1, 2016 (the "Original Lease"), between the Authority and the City, whereby the Authority has agreed to lease certain real property and the improvements thereon, more commonly known as the Santa Clarita City Hall, located at 23920 Valencia Boulevard, Santa Clarita (the "Leased Property") to the City, and the City is obligated to make Base Rental Payments (as defined therein) to the Authority for the sublease of the Leased Property; and WHEREAS, the Authority and the City have entered into a First Amendment to Lease Agreement, dated as of October 1, 2022 (the "First Amendment to Lease," and together with the Original Lease, as amended, the "Lease") which amendment shall increase the Base Rental Payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds; WHEREAS, the Original Indenture provides that the Original Indenture and the rights and obligations of the Authority, the Trustee and the Owners of the Bonds may be modified or amended from time to time and at any time by a Supplemental Indenture, which the Authority and the Trustee may enter into without the consent of any Bond Owners to provide for the issuance of one or more Series of Additional Bonds, and to provide the terms and conditions under which such Series of Additional Bonds may be issued, subject to and in accordance with the provisions of the Original Indenture; 132287550.1 WHEREAS, the City desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "2022 Project"); and WHEREAS, the City has requested that the Authority issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "2022B Bonds") as Additional Bonds on parity with the 2016 Bonds for the purpose of financing a portion of the costs of the 2022 Project and to pay for the costs of issuing the 2022B Bonds; WHEREAS, concurrently with the issuance of the 2022B Bonds, the City has requested that the Authority also issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "2022A Bonds") for the purpose of financing a portion of the costs of the 2022 Project, which 2022A Bonds are on parity with the $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility) Series 2020A and the $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 202OA-T (collectively, the "2020 Bonds"), secured by lease payments under a separate lease; WHEREAS, in order to provide for the authentication and delivery of the 2022B Bonds, to establish and declare the terms and conditions upon which the 2022B Bonds are to be issued and secured and to secure the payment of the principal thereof, premium, if any, and interest thereon, the Authority has authorized the execution and delivery of this First Supplemental Indenture; and WHEREAS, the Authority has determined that all acts and proceedings required by law necessary to make the 2022B Bonds, when executed by the Authority, authenticated and delivered by the Trustee and duly issued, the valid, binding and legal special obligations of the Authority, and to constitute this First Supplemental Indenture a valid and binding agreement for the uses and purposes herein set forth in accordance with its terms, have been done and taken, and the execution and delivery of this First Supplemental Indenture has been in all respects duly authorized; NOW, THEREFORE, that in order to secure the payment of the principal of, premium, if any, and the interest on all 2022B Bonds at any time issued and outstanding under this First Supplemental Indenture, according to their tenor, and to secure the performance and observance of all the covenants and conditions therein and herein set forth, and to declare the terms and conditions upon and subject to which the 2022B Bonds are to be issued and received, and in consideration of the premises and of the mutual covenants herein contained and of the purchase and acceptance of the 2022B Bonds by the holders thereof, and for other valuable consideration, the receipt of which is hereby acknowledged, the Authority does hereby covenant and agree with the Trustee, for the benefit of the respective holders from time to time of the 2022B Bonds, as follows: PART 1 ADDITION OF ARTICLE X 2 Part I.I. -Addition of Article X. The Original Indenture, as amended, is hereby amended by adding thereto an additional Article X as follows. ARTICLE X 2022B BONDS Section 10.01. Definitions. Unless the context otherwise requires, the terms defined and/or modified in this Section shall for all purposes of this Indenture and of any certificate, opinion or other document herein or therein mentioned, have the meanings herein specified. "Additional Bonds" mean the Bonds of an additional Series authorized by a Supplemental Indenture that are issued pursuant to this Indenture, including the 2022B Bonds. "Bond Year" means each twelve-month period extending from December 2 in one calendar year to December 1 of the succeeding calendar year, both dates inclusive, except that the first Bond Year for the 2016 Bonds shall begin on the Closing Date and shall end on December 1, 2016, and for the 2022B Bonds shall begin on the 2022B Closing Date and shall end on December 1, 2022. "Bonds" mean collectively, the 2016 Bonds, and, where the context requires, any Additional Bonds, including the 2022B Bonds. "First Lease Amendment" means that certain First Amendment to Lease Agreement, dated as of October 1, 2022, by and between the Authority and the City. "First Supplemental Indenture" means the First Supplemental Indenture, dated as of October 1, 2022, by and between the Authority and the Trustee. "Indenture" means this Indenture, dated as of June 1, 2016, as amended and supplemented by the First Supplemental Indenture, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. "Interest Payment Date" means June 1 and December 1 of each year, commencing December 1, 2016 with respect to the 2016 Bonds, and commencing December 1, 2022 with respect to the 2022B Bonds. "Lease" means that certain Lease Agreement, dated as of June 1, 2016, as amended and supplemented by the First Lease Amendment, each by and between the Authority as lessor and the City as lessee, as it may be further amended or modified. "Original Purchaser" means, with respect to the 2016 Bonds, Fidelity Capital Markets, the initial purchaser of such 2016 Bonds. "Principal Payment Date" means each December 1, commencing December 1, 2016 with respect to the 2016 Bonds, and commencing December 1, 20 with respect to the 2022B Bonds. 3 "Project" means the refinancing of the acquisition of right-of-way for a portion of Golden Valley Road in connection with the payment of a judicial order by the City with respect to the 2016 Bonds, and the financing of a portion of 2022 Project with respect to the 2022B Bonds. "Project Costs" means all costs which are paid from moneys on deposit in the Project Fund, including but not limited to: — all costs required to be paid to any person under the terms of any agreement for or relating to the Project; — obligations incurred for labor and materials in connection with the Project; — the cost of performance or other bonds and any and all types of insurance that may be necessary or appropriate to have in effect in connection with the Project; — all costs of engineering and architectural services, including the actual out-of- pocket costs for test borings, surveys, estimates, plans and specifications and preliminary investigations therefor, development fees, and for supervising construction, as well as for the performance of all other duties required by or consequent to the Project; — any sums required to reimburse the Authority or the City for advances made for any of the above items or for any other costs incurred and for work done which are properly chargeable to the Project, including the purchase price for the Site and the improvements thereon; and — all financing costs incurred in connection with the Project, including but not limited to Costs of Issuance and other costs incurred in connection herewith and the financing of the Project. "Project Fund" means the fund by that name established and held by the Trustee pursuant to Section 10.08. "Rebate Fund" means the fund by that name established and held by the Trustee pursuant to Section 4.03, and the accounts therein for each separate Series of Bonds that the Authority intends interest thereon to be excludable from the gross income of the Owners thereof. "Rebate Requirement" means, in respect of the 2016 Bonds and the 2022B Bonds, obligations imposed under section 148(f) the Code in respect of such issue. "Tax Certificate" means the Tax Certificate dated the date of the original delivery of the 2016 Bonds relating to the requirements of certain provisions of the Code, as such certificate may from time to time be modified or supplemented in accordance with the terms thereof, and, where the context requires, the 2022B Tax Certificate. "Trustee" means U.S. Bank Trust Company, National Association, and its successors and assigns, and any other banking corporation or association that may at any time be substituted 4 in its place as provided in Article VI hereof. 112016 Bonds" means the Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A, issued in the initial principal amount of $10,320,000. 112022B Bonds" means the Santa Clarita Public Financing Authority, Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds), authorized, executed and delivered hereunder. 112022B Closing Date" means October , 2022, being the date of delivery of the 2022B Bonds to the 2022B Original Purchaser thereof. "2022B Original Purchaser" means, with respect to the 2022B Bonds, Stifel, Nicolaus & Company, Incorporated, the initial purchaser of the 2022B Bonds. "2022 Project" means the acquisition, installation, modification, improvement and/or construction of energy efficiency improvements for buildings and facilities owned or operated by the City, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements, as may be designated by the City from time to time. "2022B Tax Certificate" means the Tax Certificate dated the date of the original delivery of the 2022B Bonds relating to the requirements of certain provisions of the Code, as such certificate may from time to time be modified or supplemented in accordance with the terms thereof. 112022B Term Bonds" mean, collectively, the 2022B Bonds maturing on December 1 in the years and Section 10.02. Terms of the 2022B Bonds. (a) The 2022B Bonds are authorized to be issued by the Authority under and subject to the Bond Law and the terms of this Indenture and shall be designated, respectively, as the "Santa Clarita Public Financing Authority, Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds)." The 2022B Bonds shall be issued in the original aggregate principal amount of $[principal amount]. (b) The 2022B Bonds shall be dated the 2022 Closing Date, shall mature on the dates and in the amounts, and shall bear interest (calculated on the basis of a 360-day year of twelve 30- day months) at the rates, set forth in the following table: 5 ?0??R Rnn&z Maturity Date Principal Interest (December 11 Amount Rate The 2022B Bonds shall be delivered in fully registered form, numbered from one upwards in consecutive numerical order (with such alphabetical prefix as the Trustee shall determine). The 2022B Bonds shall be executed and delivered in their respective Authorized Denominations. Each 2022B Bond shall bear interest from the Interest Payment Date next preceding the date of authentication thereof, unless (i) it is executed during the period from the day after the Record Date for an Interest Payment Date to and including such Interest Payment Date, in which event it shall bear interest from such Interest Payment Date, or (ii) it is authenticated on or prior to November 15, 2022, in which event it shall bear interest from the 2022 Closing Date; provided, however, that if, at the time of authentication of any 2022B Bond interest with respect to such 2022B Bond is in default, such 2022B Bond shall bear interest from the Interest Payment Date to which interest has been paid or made available for payment with respect to such 2022B Bond, or if no interest has been paid, from the date of initial delivery of the 2022B Bonds. Interest with respect to any 2022B Bond shall be payable in lawful money of the United States of America on each Interest Payment Date to the Owner thereof as of the close of business on the Record Date, such interest to be paid by check of the Trustee, mailed by first class mail no later than the Interest Payment Date to the Owner at his address as it appears, on such Record Date, on the Registration Books maintained by the Trustee; provided, however, that at the written request of the Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds filed with the Trustee prior to any Record Date, interest on such 2022B Bonds shall be paid to such Owner on each succeeding Interest Payment Date (unless such request has been revoked in writing) by wire transfer of immediately available funds to an account in the United States designated in such written request. Payments of defaulted interest with respect to the 2022B Bonds shall be paid by check or draft to the registered Owners of the 2022B Bonds as of a special record date to be fixed by the Trustee, notice of which special record date shall be given 3i to the registered Owners of the 2022B Bonds not less than ten days prior thereto. The principal of and premium, if any, on the 2022B are payable by check when due upon surrender thereof at the Trust Office in lawful money of the United States of America. (c) The 2022B Bonds shall initially be issued in book -entry form. The 2022B Bonds will be initially registered in the name of Cede & Co., as nominee of the Depository. Registered ownership of the 2022B Bonds, or any portion thereof, may not thereafter be transferred except as provided in this Indenture. (d) Upon the execution and delivery of the First Supplemental Indenture, the Authority shall execute and deliver the 2022B Bonds to the Trustee for authentication, issuance and delivery to the 2022B Original Purchaser thereof upon the Written Request of the Authority. Section 10.03. Redemption of the 2022B Bonds. (a) Extraordinary Redemption and General Provisions. The 2022B are subject to extraordinary redemption provisions of subsection (a) of Section 2.03 of this Indenture, as well as the general redemption provisions of subsections (c), (d), (e) and (f) of Section 2.03 of this Indenture. (b) Optional Redemption of 2022E Bonds from Prepayments of Base Rental Payments. The 2022B Bonds maturing on or after December 1, 20 shall be subject to redemption prior to their respective maturity dates, upon written notice from the Authority to the Trustee at least forty-five (45) days (or such lesser number of days acceptable to the Trustee, in the sole discretion of the Trustee) prior to the date fixed for redemption, as a whole or in part on any date on or after December 1, 20, in such maturities as the Authority shall designate (and by lot within any maturity), from prepayments of Base Rental Payments made at the option of the City pursuant to Section 11(b) of the Lease, at a redemption price equal to the principal amount of the 2022B Bonds to be redeemed, plus accrued but unpaid interest to the date fixed for redemption, without premium. (c) Mandatory Sinking Account Redemption. The 2022B Bonds maturing on December 1, 20 , December 1, 20 and December 1, 20 shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedule on December 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. 2022B Term Bonds Maturing December 1, 20 Redemption Date Principal Amount (December 1) To be Redeemed . Maturity %I 2022B Tenn Bonds Maturing December 1, 20 Redemption Date Principal Amount (December 1) To be Redeemed . Maturity 2022B Term Bonds Maturing December 1, 20 Redemption Date Principal Amount (December 1) To be Redeemed . Maturity If some but not all of a 2022B Term Bond has been redeemed pursuant to extraordinary or optional redemptions, the total amount of sinking account payments to be made subsequent to such redemption shall be reduced in an amount equal to the principal amount of such 2022B Term Bond so redeemed by reducing each such future sinking account payment on a pro rata basis (as nearly as practicable) in integral multiples of $5,000, as shall be designated pursuant to written notice filed by Authority with the Trustee. In the event of any reductions in the amount of sinking account payments due as a result of some but not all of the 2022B Bonds being redeemed pursuant to extraordinary or optional redemptions, the Authority shall provide the Trustee with a revised schedule reflecting such reductions. Section 10.04. Form of the 2022B Bonds. The 2022B Bonds, the form of Trustee's certificate of authentication, and the form of assignment to appear thereon, shall be substantially in the form set forth in Exhibit D attached hereto and by this reference incorporated herein, with necessary or appropriate variations, omissions and insertions, as permitted or required by this Indenture. Section 10.05. Execution of the 2022B Bonds. The 2022B Bonds shall be signed in the name and on behalf of the Authority with the manual or facsimile signature of its Chair, and attested with the manual or facsimile signature of its Secretary or any Assistant or Deputy Secretary duly appointed by the Authority Board, and shall be delivered to the Trustee for authentication by it. In case any officer of the Authority who shall have signed any of the 2022B Bonds shall cease to be such officer before the 2022B Bonds so signed shall have been authenticated or delivered by the Trustee or issued by the Authority, such 2022B Bonds may nevertheless be authenticated, delivered and issued and, upon such authentication, delivery and issue, shall be as binding upon the Authority as though the individual who signed the same had continued to be such officer of the Authority. Also, any 2022B Bond may be signed on behalf of the Authority by any individual who on the actual date of the execution of such 2022B Bond shall be the proper officer although on the nominal date of such 2022B Bond such individual shall not have been such officer. Only such of the 2022B Bonds as shall bear thereon a certificate of authentication in substantially the form set forth in Exhibit D, manually executed on behalf of the Trustee, shall be valid or obligatory for any purpose or entitled to the benefits of this Indenture, and such certificate of the Trustee shall be conclusive evidence that the 2022B Bonds so authenticated have been duly authenticated and delivered hereunder and are entitled to the benefits of this Indenture. Section 10.06. Application of Proceeds of Sale of the 2022B Bonds. (a) Upon the receipt of payment for the 2022B Bonds on the 2022B Closing Date, the Trustee shall apply $ of the net proceeds of the 2022B Bonds (which equals the principal amount of the 2022B Bonds, less an underwriting discount of $ , and plus/minus a net original issue premium/discount of $ ), as follows: (1) The Trustee shall deposit in the Costs of Issuance Fund the amount of (2) The Trustee shall deposit in the 2022B Account of the Project Fund the amount of $ The Trustee may establish such temporary funds, accounts and subaccounts as may be necessary or desirable to accomplish such deposits. Section 10.07. Reopening of Costs of Issuance Fund. The Trustee shall reopen and reestablish and maintain the Costs of Issuance Fund. On the 2022B Closing Date there shall be deposited in the Costs of Issuance Fund the amounts specified in Section 10.06. The moneys in the Costs of Issuance Fund shall be used to pay Costs of Issuance related to the 2022B Bonds from time to time and shall be disbursed by the Trustee upon delivery to the Trustee of a requisition, substantially in the form attached hereto as Exhibit E, executed by an officer of the Authority. Each requisition shall be sufficient evidence to the Trustee of the facts stated therein and the Trustee shall have no duty to confirm the accuracy of such facts. On the date that is 180 days following the 2022B Closing Date, or upon the earlier receipt by the Trustee E of a Written Request of the Authority certifying that all Costs of Issuance related to the 2022B Bonds have been paid or provided for, the Trustee shall transfer any remaining amounts in the Costs of Issuance Fund to the Lease Revenue Fund and the Trustee shall then close the Costs of Issuance Fund. Section 10.08. Establishment of Proiect Fund and 2022B Account Therein. There is hereby established a fund to be held by the Trustee known as the "Project Fund," and within the Project Fund, a separate account to be held by the Trustee known as the "2022B Account" into which shall be deposited a portion of the proceeds of the sale of the 2022B Bonds pursuant to Section 10.06. Except as otherwise provided herein, moneys in the 2022B Account of the Project Fund shall be used solely for the payment of Project Costs relating to the 2022 Project. Before any payment from the 2022B Account of the Project Fund shall be made, the City shall file or cause to be filed with the Trustee, a requisition of the City which shall be substantially in the form attached hereto as Exhibit F. The Trustee shall be entitled to rely on the representations of the City contained in such requisition and shall not be required to independently verify the contents of such requisition. Within three (3) Business Days following receipt of each such Requisition, the Trustee shall pay the amount set forth in such requisition as directed by the terms thereof out of the 2022B Account of the Project Fund. Upon the Written Request of the City accompanied by a Certificate of the City stating that all Project Costs relating to the 2022 Project have been paid or provision made for their payment, any unexpended moneys in the 2022B Account of the Project Fund may be used to pay the costs associated with any other improvements of the City; provided, that in the opinion of Bond Counsel such use of the proceeds of the 2022B Bonds shall not adversely affect the exclusion of interest on the 2016 Bonds and the 2022B Bonds from gross income of the owners thereof. Any unexpended moneys in the 2022B Account of the Project Fund subsequent to the payment of all Project Costs relating to the 2022 Project which are not used to pay the cost of other improvements of the City shall be transferred by the Trustee and deposited in the Lease Revenue Fund upon receipt by the Trustee of a Written Request of the City accompanied by a Certificate of the City stating that all Project Costs relating to the 2022 Project have been paid or provision made for their payment. The Authority acknowledges that the City shall initially designate specific improvements of the 2022 Project to be financed from proceeds within the 2022B Account of the Project Fund. Nothing herein shall prohibit the City from removing, adding or substituting other specific improvements of the 2022 Project, or reallocating or reimbursing from other available sources specific improvements from the 2022 Project as determined by the City in its sole discretion upon advice of Bond Counsel. 10 Section 10.09. Tax Covenants Relating to 2022B Bonds. (a) Special Definitions. When used in this Section, the following terms have the following meanings with respect to any 2022B that the Authority intends interest thereon to be excludable from the gross income of the Owners thereof: "Computation Date" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Computation Period' means, initially, that period commencing on the date of issuance of the 2022B Bonds and concluding on the initial Computation Date and, thereafter, each period commencing on the day next following a Computation Date and concluding on the immediately succeeding Computation Date. "Gross Proceeds" means any proceeds as defined in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds), and any replacement proceeds as defined in section 1.148-1(c) of the Tax Regulations, of the 2022B Bonds. "Investment" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Nongovernmental Person" refers to any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, or an agency or instrumentality acting solely on behalf thereof. "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the 2022B Bonds are invested and that is not acquired to carry out the governmental purposes of the 2022B Bonds. "Original Facility" means any property the acquisition, construction or improvement of which was financed directly or indirectly with Gross Proceeds of an Original Issue. "Original Issue " means the 2022B Bonds. "Proceeds, " with respect to an issue of governmental obligations, has the meaning set forth in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds). "Rebate Amount" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Tax Regulations" means the United States Treasury Regulations promulgated pursuant to sections 103 and 141 through 150 of the Code, or under the provisions of any predecessor statute corresponding thereto. "Yield" of (1) any Investment has the meaning set forth in section 1.148-5 of the Tax Regulations; and 11 (2) the 2022B Bonds has the meaning set forth in section 1.148-4 of the Tax Regulations. (b) Exclusion of Interest from Gross Income. The Authority will take all actions necessary to establish and maintain the exclusion pursuant to section 103(a) of the Code of interest on the 2022B Bonds from the gross income of the owners thereof for federal income tax purposes, and will not use, permit the use of, or omit to use Gross Proceeds of the 2022B Bonds or any other amounts or any of the Original Facilities in a manner that if made or omitted, respectively, would cause the interest on any of the 2022B Bonds to fail to be excluded pursuant to section 103(a) of the Code from the gross income of the owners thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the Authority receives a written Opinion of Bond Counsel to the effect that failure to comply with such covenant will not adversely affect the exclusion pursuant to section 103(a) of the Code of interest on any 2022B Bond from the gross income of the owner thereof, the Authority shall comply with this covenant and each of the specific covenants in this Section. (c) No Private Use or Private Pam. Except as would not cause any 2022B Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority covenants that at all times prior to the payment and cancellation of the last 2022B Bond to be paid and canceled: (1) it will use its best efforts to ensure that the City (or another entity other than a Nongovernmental Entity) exclusively owns, operates and possesses all of the Original Facilities that are to be refinanced directly or indirectly with Gross Proceeds of the 2022B Bonds, and that it will not use or permit the use of such Gross Proceeds (including under any contractual arrangement with terms different than those applicable to the general public) or any of the Original Facilities in any activity carried on by any Nongovernmental Person, unless such use is solely as a member of the general public; and (2) not directly or indirectly impose or accept any charge or other payment by any person or entity in respect of the use by any Nongovernmental Person of Gross Proceeds of the 2022B Bonds, other than interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes, or of any Original Facility. Without limiting the foregoing, except as would not cause any 2022B Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority will not: (i) permit any Nongovernmental Person to hold any ownership, proprietary or possessory interest in any of the Original Facilities; or (ii) contract with any Nongovernmental Person for the provision of operating or other services with respect to any function of an Original Facility (unless either (A) such arrangement requires no payment of fees to such Nongovernmental Person other than as direct reimbursement of third party costs or reasonable administrative overhead, or (B) such arrangement conforms to administrative guidance of the Internal Revenue Service in order to assure that such arrangement does not create a private business use relationship of the Nongovernmental Person to the Gross Proceeds of the 2022B Bonds or to any Original Facility). For purposes of the preceding sentence, the 12 Authority will treat proceeds of the 2022B Bonds as used ratably for the same purposes as were the proceeds of the Original Issue. (d) No Private Loan. Except as would not cause any 2022B Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority has not used, and will not use, Gross Proceeds of any 2022B Bond to make or finance loans to any Nongovernmental Person. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if: (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction that creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take -or - pay, output or similar contract or arrangement; or (3) indirect benefits of such Gross Proceeds, or burdens and benefits of ownership of any property acquired, constructed or improved with such Gross Proceeds, are otherwise transferred in a transaction that is the economic equivalent of a loan. (e) Not to Invest at Higher Yield. Except as would not cause any 2022B Bond to become an "arbitrage bond" within the meaning of section 148 of the Code and the Tax Regulations and rulings thereunder, the Authority shall not at any time prior to the final maturity of the 2022B Bonds directly or indirectly invest Gross Proceeds in any Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, would materially exceed the Yield of such 2022B Bond within the meaning of such section 148. (f) Not Federally Guaranteed. The Authority covenants that, except to the extent permitted by section 149(b) of the Code and the Tax Regulations and rulings thereunder, it will not take or omit to take any action that would cause any 2022B Bond to be "federally guaranteed" within the meaning of section 149(b) of the Code and the Tax Regulations and rulings thereunder. (g) Information Report. The Authority covenants that it will timely file or cause to be filed any information required by section 149(e) of the Code with respect to the 2022B Bonds with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary of the Treasury may prescribe. (h) Rebate of Arbitrage Profits. The Authority covenants that the requirements of section 148(f) of the Code will be satisfied in order that the 2022B Bonds be not arbitrage bonds, and that, except to the extent otherwise provided in section 148(f) of the Code and the Tax Regulations and rulings thereunder: (1) it will account for all Gross Proceeds of the 2022B Bonds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last 2022B Bond is discharged. However, to the extent permitted by law, the Authority may commingle Gross Proceeds of the 2022B Bonds with its other money, provided that the 13 Authority separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith; (2) not less frequently than each Computation Date, it will calculate or cause to be calculated the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Tax Regulations and rulings thereunder. The Trustee may rely conclusively upon the Authority's determinations, calculations and certifications required by this Section. The Trustee shall have no responsibility to independently make any calculation of determination or to review the Authority's calculations hereunder. The Authority covenants that it will maintain a copy of the calculation with its official transcript of proceedings relating to the issuance of the 2022B Bonds until six years after the final Computation Date; (3) it will deposit in the Rebate Fund and cause the Trustee to pay to the United States the amount that when added to the future value of previous rebate payments made for the 2022B Bonds equals (A) in the case of a Final Computation Date as defined in section 1.148-3(e)(2) of the Tax Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (B) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such a date. In all cases such Rebate payments shall be made by the Authority (or by the Trustee at the direction of the Authority) at the times and in the amounts as are or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder, and such payments shall be accompanied by Form 8038-T prepared and executed by the Authority or such other forms and information as is or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder. (4) it will exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and (3) above, and if an error is made, to discover and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any additional Rebate Amount owed to it, interest thereon, and any penalty imposed under section 1.148-3(h) or other provision of the Tax Regulations. (i) Not to Divert Arbitrage Profits. The Authority covenants that, except to the extent permitted by section 148 of the Code and the Tax Regulations and rulings thereunder, at no time prior to the final maturity of the 2022B Bonds will it enter into any transaction that reduces the amount required to be paid to the United States pursuant to paragraph (h) of this Section because such transaction results in a smaller profit or a larger loss than would have resulted if the transaction had been at arm's length and had the Yield on the 2022B Bonds not been relevant to each party. 0) 2022B Bonds Not Hedge Bonds. (1) The Authority represents that none of the Original Issue was, and covenants that the 2022B Bonds will not be, "hedge bonds" within the meaning of section 149(g) of the Code. 14 (2) Without limitation of paragraph (1) above, the Authority warrants as to each of its Original Issue that: (I) on each date of issuance of that issue, the Authority reasonably expected that at least 85% of the spendable proceeds of that Original Issue would be expended within the three-year period commencing on such date of issuance, and (II) no more than 50% of the proceeds of that Original Issue at any time has been invested in Nonpurpose Investments having a substantially guaranteed yield for a period of four years or more. (k) Elections. The Authority hereby directs and authorizes any Responsible Officer to make elections permitted or required pursuant to the provisions of the Code or the Tax Regulations, as such Responsible Officer (after consultation with Bond Counsel) deems necessary or appropriate in connection with the 2022B Bonds, in the Tax Certificate relating to the 2022B Bonds or similar or other appropriate certificate, form or document. Section 10.10. Amendment of Exhibit C. "Exhibit C" is hereby amended as provided in new "Exhibit C — AMENDED FORM OF NET PROCEEDS REQUISITION" attached hereto and incorporated herein by this reference. PART 2 MISCELLANEOUS Part 2.1. Effect of First Supplemental Indenture. This First Supplemental Indenture and all of the terms and provisions herein contained shall form part of the Original Indenture, as amended, as fully and with the same effect as if all such terms and provisions had been set forth in the Original Indenture, as amended. The Original Indenture is hereby ratified and confirmed and shall continue in full force and effect in accordance with the terms and provisions thereof, as heretofore amended and supplemented, and as amended and supplemented hereby. If there shall be any conflict between the terms of this First Supplemental Indenture and the terms of the Original Indenture, as amended (as in effect on the day prior to the effective date of this First Supplemental Indenture), the terms of this First Supplemental Indenture shall prevail. Part 2.2. Effective Date of First Supplemental Indenture. This First Supplemental Indenture shall take effect upon the 2022B Closing Date. Part 2.3. Applicable Law. This First Supplemental Indenture shall be governed by and enforced in accordance with the laws of the State of California applicable to contracts made and performed in the State of California. Part 2.4. Counterparts. This First Supplemental Indenture may be executed in counterparts, each of which shall be deemed an original. 15 IN WITNESS WHEREOF, the Authority has caused this First Supplemental Indenture to be executed in its name and the Trustee has caused this First Supplemental Indenture to be executed in its name, all as of October 1, 2022. ATTEST: LIZ Mary Cusick, Secretary SANTA CLARITA PUBLIC FINANCING AUTHORITY UA Laurene Weste, Chair U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee By Authorized Officer EXHIBIT C AMENDED FORM OF NET PROCEEDS REQUISITION REQUISITION NO. (to be numbered sequentially) with reference to $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A and $[principal amount] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) L The Santa Clarita Public Financing Authority (the "Authority") hereby requests U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association), as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of June 1, 2016, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Indenture"), each by and between the Authority and the Trustee, under the terms of which the Authority has issued the above -referenced Bonds (collectively, the "Bonds"), to pay from the moneys in the Insurance and Condemnation Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Insurance and Condemnation Fund. None of the items for which payment is requested has been reimbursed previously from the Insurance and Condemnation Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. C-1 Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: C-2 EXHIBIT D FORM OF 2022B BOND UNLESS THIS 2022B BOND IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AS DEFINED IN THE INDENTURE) TO THE TRUSTEE FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY 2022B BOND ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. No. SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BOND (ENERGY EFFICIENCY PROGRAM) SERIES 2022B (Green Bonds) RATE OF INTEREST: MATURITY DATE: DECEMBER 1, REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: DATED DATE: OCTOBER , 2022 CUSIP: The SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), for value received, hereby promises to pay (but only out of the Revenues, as defined in the Indenture hereinafter referred to, and certain other moneys) to the Registered Owner identified above or registered assigns (the "Registered Owner"), on the Maturity Date identified above or any earlier redemption date, the Principal Amount identified above in lawful money of the United States of America; and to pay interest thereon at the Rate of Interest identified above in like money from the Interest Payment Date (as hereinafter defined) next preceding the date of authentication of this 2022B Bond (unless this 2022B Bond is authenticated on or before an Interest Payment Date and after the fifteenth calendar day of the month preceding such Interest Payment Date, in which D-1 event it shall bear interest from such Interest Payment Date, or unless this 2022B Bond is authenticated on or prior to November 15, 2022, in which event it shall bear interest from the Dated Date identified above; provided, however, that if, at the time of authentication of this 2022B Bond, interest is in default on this 2022B Bond, this 2022B Bond shall bear interest from the Interest Payment Date to which interest hereon has previously been paid or made available for payment), payable semiannually on June 1 and December 1 in each year, commencing December 1, 2022 (each an "Interest Payment Date") until payment of such Principal Amount in full. The Principal Amount hereof is payable by check upon presentation hereof upon maturity or earlier redemption at the designated corporate trust office (the "Trust Office") of U.S. Bank, Trust Company, National Association, as trustee (the "Trustee"). Interest hereon is payable by check of the Trustee mailed by first class mail on each Interest Payment Date to the Registered Owner hereof at the address of the Registered Owner as it appears on the registration books of the Trustee as of the fifteenth (15t') calendar day of the month preceding such Interest Payment Date (except that in the case of a Registered Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds, such payment may, at such Registered Owner's option, be made by wire transfer of immediately available funds to an account located in the United States in accordance with written instructions provided by such Registered Owner prior to the fifteenth calendar day of the month preceding such Interest Payment Date). This Bond is one of a series of a duly authorized issue of bonds designated "Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds) " (the "2022B Bonds") in the aggregate principal amount of $[principal amount]. The 2022B Bonds are issued pursuant to the Indenture, dated as of June 1, 2016, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022, each by and between the Authority and the Trustee (as so amended and supplemented, the "Indenture"). The Authority has previously issued its $10,320,000 Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds"), with which the 2022B Bonds are on parity. Pursuant to and as more particularly provided in the Indenture, additional bonds ("Additional Bonds") may be issued by the Authority secured by a lien on a parity with the lien securing the 2016 Bonds and 2022B Bonds. The 2016 Bonds, the 2022B Bonds and any Additional Bonds are collectively referred to as the "Bonds." Capitalized undefined terms used herein shall have the meanings ascribed thereto in the Indenture. Reference is hereby made to the Indenture and all indentures supplemental thereto for a description of the rights thereunder of the owners of the Bonds, of the nature and extent of the Revenues (as that term is defined in the Indenture), of the rights, duties and immunities of the Trustee and of the rights and obligations of the Authority thereunder; and all of the terms of the Indenture are hereby incorporated herein and constitute a contract between the Authority and the Registered Owner hereof, and to all of the provisions of which Indenture the Registered Owner hereof, by acceptance hereof, assents and agrees. The Bonds, including the 2022B Bonds, are authorized to be issued pursuant to the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4, Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"). The Bonds are special obligations of the Authority and, as and to the extent set forth in the Indenture, are D-2 payable solely from and secured by a first lien on and pledge of the Revenues as provided in the Indenture. All of the Bonds are equally secured by a pledge of, and charge and lien upon, all of the Revenues (other than deposits to the Rebate Funds created by the Indenture), and the Revenues (other than deposits to the Rebate Funds created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Bonds. The full faith and credit of the Authority are not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the Indenture. The Bonds may be issued for the purpose of financing certain capital improvements for the City. The 2022B Bonds are being issued for the purpose of financing a portion of the costs of certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements. The Authority and the City have entered into a Lease Agreement, dated as of June 1, 2016, as amended and supplemented by the First Amendment to Lease Agreement, dated as of October 1, 2022, by and between the Authority and the City (as so amended and supplemented, the "Lease"), under which the City is obligated to pay amounts which are anticipated to be sufficient to enable the Authority to pay the principal of and interest on the Bonds, including the 2016 Bonds and the 2022B Bonds. The 2022B Bonds are subject to redemption prior to their maturity as provided in the Indenture. The 2022B Bonds are subject to redemption prior to their respective maturity dates, upon notice as provided in the Indenture, as a whole or in part on any date, from prepayments of Base Rental Payments made by the City pursuant to the Lease from funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of 2022B Bonds pursuant to this paragraph shall be made at a redemption price equal to the sum of the principal of the 2022B Bonds to be redeemed plus accrued interest thereon to the date fixed for redemption, without premium. The 2022B Bonds may be issued in denominations of $5,000 or any integral multiple thereof. Subject to the limitations and upon payment of the charges, if any, provided in the Indenture, this 2022B Bond may be exchanged at the Trust Office of the Trustee for a like aggregate principal amount, interest rate and maturity of fully registered 2022B Bonds of other authorized denominations. This 2022B Bond is transferable by the Registered Owner hereof, in person or by his attorney duly authorized in writing, at the Trust Office of the Trustee, but only in the manner, subject to the limitations and upon payment of the charges provided in the Indenture, and upon surrender and cancellation of this 2022B Bond. Upon such transfer a new fully registered Bond or Bonds, of Authorized Denomination or Denominations, for the same aggregate principal D-3 amount and of the same maturity and the same series designation will be issued to the transferee in exchange herefor. The Authority and the Trustee may treat the Registered Owner hereof as the absolute owner hereof for all purposes, and the Authority and the Trustee shall not be affected by any notice to the contrary. The Trustee shall not be required to register the transfer or exchange of any 2022B Bond during the period in which the Trustee is selecting 2022B Bonds for redemption or any 2022B Bond selected for redemption. The Indenture and the rights and obligations of the Authority and of the owners of the Bonds and of the Trustee may be modified or amended from time to time and at any time in the manner, to the extent, and upon the terms provided in the Indenture; provided that no such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or premiums at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the owner of such Bond, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) without its written consent thereto, modify any of the rights or obligations of the Trustee, all as more fully set forth in the Indenture. It is hereby certified that all things, conditions and acts required to exist, to have happened and to have been performed precedent to and in the issuance of this 2022B Bond do exist, have happened and have been performed in due time, form and manner as required by the Constitution and statutes of the State of California and by the Act and the amount of this 2022B Bond, together with all other indebtedness of the Authority, does not exceed any limit prescribed by the Constitution or statutes of the State of California or by the Act. This 2022B Bond shall not be entitled to any benefit under the Indenture, or become valid or obligatory for any purpose, until the certificate of authentication hereon shall have been manually signed by the Trustee. D-4 IN WITNESS WHEREOF, the Authority has caused this 2022B Bond to be executed in its name and on its behalf by the manual or facsimile signatures of its Chair and Secretary as of the Dated Date identified above. ATTEST: Secretary SANTA CLARITA PUBLIC FINANCING AUTHORITY am D-5 Chair TRUSTEE'S CERTIFICATE OF AUTHENTICATION This is one of the 2022B Bonds described in the within -mentioned Indenture and registered on the Registration Books. Dated: , 20 U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee Authorized Officer ASSIGNMENT For value received the undersigned do(es) hereby sell, assign and transfer unto mentioned registered 2022B , whose tax identification number is , the within - Bond and hereby irrevocably constitute(s) and appoint(s) attorney to transfer the same on the books of the Trustee with full power of substitution in the premises. Dated: Signature guaranteed: NOTICE: Signature must be guaranteed by a member of an institution which is a participant in the Securities Transfer Agent Medallion Program (STAMP) or other similar program. NOTE: The signature(s) on this Assignment must correspond with the name(s) as written on the face of the within Bond in every particular without alteration or enlargement or any change whatsoever. D-7 EXHIBIT E FORM OF COSTS OF ISSUANCE REQUISITION COSTS OF ISSUANCE REQUISITION NO. with reference to $[PRINCIPAL AMOUNT] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) I. The Santa Clarita Public Financing Authority (the "Authority") hereby requests U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association), as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of June 1, 2016, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Indenture"), each by and between the Authority and the Trustee, under the terms of which the Authority has issued the above -referenced bonds (the "2022B Bonds"), to pay from the moneys in the Costs of Issuance Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Costs of Issuance Fund. None of the items for which payment is requested has been reimbursed previously from the Costs of Issuance Fund. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: 132287550.1 E- I EXHIBIT F FORM OF 2022B ACCOUNT OF THE PROJECT FUND REQUISITION REQUISITION OF THE CITY 2022B ACCOUNT OF THE PROJECT FUND REQUISITION NO. (to be numbered sequentially) with reference to $[PRINCIPAL AMOUNT] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) I. The City of Santa Clarita (the "City") hereby requests U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association), as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of June 1, 2016, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Indenture"), each by and between the Santa Clarita Public Financing Authority (the "Authority") and the Trustee, under the terms of which the Authority has issued the above -referenced bonds (the "2022B Bonds"), to pay from the moneys in the 2022B Account of the Project Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. It The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto is a Project Cost (as defined in the Indenture) and has been properly incurred and is a proper charge against the 2022B Account of the Project Fund. None of the items for which payment is requested has been reimbursed previously from the 2022B Account of the Project Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. 132287550.1 F-1 Dated: , 20 CITY OF SANTA CLARITA By_ Title: 132287550.1 F-2 SCHEDULEI Amount of Project Component This Draw (Continue on Additional Sheet if Necessary) Name and Address of party to whom payment is to be made: Purpose for which the obligation was incurred: Aggregate Amount Draws Including This Draw 132287550.1 F-3 INDENTURE by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee Dated as of June 1, 2016 Relating to $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A TABLE OF CONTENTS Page ARTICLE I DEFINITIONS; AUTHORIZATION AND PURPOSE OF BONDS; EQUAL SECURITY........................................................................ 2 SECTION 1.01. Definitions...................................................................................... 2 SECTION 1.02. Rules of Construction.................................................................. 10 SECTION 1.03. Authorization and Purpose of Bonds ........................................... 11 SECTION 1.04. Equal Security.............................................................................. 11 ARTICLE II ISSUANCE OF BONDS............................................................................... 11 SECTION 2.01. Designation.................................................................................. 11 SECTION 2.02. Terms of Bonds............................................................................ 11 SECTION 2.03. Redemption of Bonds.................................................................. 12 SECTION 2.04. Form of Bonds............................................................................. 14 SECTION 2.05. Execution of Bonds...................................................................... 14 SECTION 2.06. Transfer of Bonds........................................................................ 15 SECTION 2.07. Exchange of Bonds...................................................................... 15 SECTION 2.08. Temporary Bonds......................................................................... 15 SECTION 2.09. Registration Books....................................................................... 15 SECTION 2.10. Bonds Mutilated, Lost, Destroyed or Stolen ................................ 16 SECTION 2.11. Book -Entry System; Limited Obligation ..................................... 16 SECTION 2.12. Representation Letter................................................................... 17 SECTION 2.13. Transfers Outside Book -Entry System ........................................ 18 SECTION 2.14. Payments and Notices to the Nominee ........................................ 18 SECTION 2.15. Initial Depository and Nominee ................................................... 18 ARTICLE III DEPOSIT AND APPLICATION OF PROCEEDS ....................................... 19 SECTION 3.01. Issuance of Bonds........................................................................ 19 SECTION 3.02. Application of Proceeds of Sale of Bonds ................................... 19 SECTION 3.03. Costs of Issuance Fund................................................................ 19 SECTION3.04. Reserved....................................................................................... 19 SECTION 3.05. Insurance and Condemnation Fund ............................................. 20 SECTION 3.06. Validity of Bonds......................................................................... 20 SECTION 3.07. Additional Bonds......................................................................... 20 ARTICLE IV REVENUES; FLOW OF FUNDS................................................................. 21 SECTION 4.01. Pledge of Revenues; Assignment of Rights ................................. 21 SECTION 4.02. Lease Revenue Fund; Receipt, Deposit and Application of Revenues...................................................................................... 22 SECTION 4.03. Rebate Fund................................................................................. 23 SECTION 4.04. Investments.................................................................................. 24 SECTION 4.05. Valuation and Disposition of Investments ................................... 24 42249543.3 i TABLE OF CONTENTS (continued) Page ARTICLE V COVENANTS OF THE AUTHORITY........................................................ 25 SECTION 5.01. Punctual Payment......................................................................... 25 SECTION 5.02. Extension of Payment of Bonds ................................................... 25 SECTION 5.03. Against Encumbrances................................................................. 25 SECTION 5.04. Power to Issue Bonds and Make Pledge and Assignment ........... 25 SECTION 5.05. Accounting Records and Financial Statements ............................ 25 SECTION 5.06. Additional Obligations................................................................. 26 SECTION5.07. Lease............................................................................................ 26 SECTION 5.08. Tax Covenants............................................................................. 26 SECTION 5.09. Further Assurances....................................................................... 30 ARTICLE VI THE TRUSTEE............................................................................................. 31 SECTION 6.01. Appointment of Trustee............................................................... 31 SECTION 6.02. Acceptance of Trusts.................................................................... 31 SECTION 6.03. Fees, Charges and Expenses of Trustee ....................................... 34 SECTION 6.04. Notice to Owners of Default........................................................ 35 SECTION 6.05. Intervention by Trustee................................................................ 35 SECTION 6.06. Removal of Trustee...................................................................... 35 SECTION 6.07. Resignation by Trustee................................................................ 35 SECTION 6.08. Appointment of Successor Trustee .............................................. 35 SECTION 6.09. Merger or Consolidation.............................................................. 36 SECTION 6.10. Concerning any Successor Trustee .............................................. 36 SECTION 6.11. Appointment of Co-Trustee......................................................... 36 SECTION 6.12. Indemnification; Limited Liability of Trustee ............................. 37 ARTICLE VII MODIFICATION AND AMENDMENT OF THE INDENTURE ............... 37 SECTION 7.01. Amendment.................................................................................. 37 SECTION 7.02. Effect of Supplemental Indenture ................................................ 38 SECTION 7.03. Endorsement or Replacement of Bonds After Amendment ........ 38 ARTICLE VIII EVENTS OF DEFAULT AND REMEDIES OF OWNERS ........................ 38 SECTION 8.01. Events of Default......................................................................... 38 SECTION 8.02. Remedies; No Acceleration......................................................... 39 SECTION 8.03. Application of Revenues and Other Funds After Default............ 40 SECTION 8.04. Power of Trustee to Control Proceedings .................................... 40 SECTION 8.05. Appointment of Receivers........................................................... 41 SECTION 8.06. Non-Waiver.................................................................................. 41 SECTION 8.07. Rights of Owners......................................................................... 41 SECTION 8.08. Termination of Proceedings......................................................... 42 11 TABLE OF CONTENTS (continued) Page ARTICLE IX MISCELLANEOUS...................................................................................... 42 SECTION 9.01. Limited Liability of Authority..................................................... 42 SECTION 9.02. Benefits of Indenture Limited to Parties ...................................... 42 SECTION 9.03. Defeasance; Discharge of Indenture ............................................ 43 SECTION 9.04. Successor is Deemed Included in All References to Predecessor.................................................................................. 43 SECTION 9.05. Content of Certificates and Opinions ........................................... 44 SECTION 9.06 Execution of Documents by Owners ........................................... 44 SECTION 9.07. Disqualified Bonds....................................................................... 45 SECTION 9.08. Waiver of Personal Liability........................................................ 45 SECTION 9.09. Partial Invalidity........................................................................... 45 SECTION 9.10. Destruction of Canceled Bonds ................................................... 45 SECTION 9.11. Funds and Accounts..................................................................... 45 SECTION 9.12. Payment on Business Days.......................................................... 45 SECTION9.13. Notices......................................................................................... 46 SECTION 9.14 Unclaimed Moneys...................................................................... 46 SECTION 9.15. Governing Law............................................................................ 47 EXHIBIT A — FORM OF BOND EXHIBIT B — FORM OF COSTS OF ISSUANCE REQUISITION EXHIBIT C — FORM OF NET PROCEEDS REQUISITION iii INDENTURE This INDENTURE is dated as of June 1, 2016, by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., a national banking association duly organized and existing under the laws of the United States with a corporate trust office in Los Angeles, California and qualified to accept and administer the trusts hereby created, as trustee (the "Trustee"). RECITALS: WHEREAS, the Authority is a joint powers authority duly organized and existing under and pursuant to that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City of Santa Clarita, California (the "City"), the City as successor agency to the Redevelopment Agency of the City of Santa Clarita, and the Santa Clarita Parking Authority, and under the provisions of Articles 1 through 4 (commencing with Section 6500), Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"), and is authorized pursuant to Article 4 of the Act (the "Bond Law") to borrow money for the purpose of financing and refinancing public capital improvements; and WHEREAS, the City and the Authority have previously entered into a Lease Agreement, dated as of January 1, 2007 (the "2007 Lease"), whereby the City leased certain real property and the improvements thereon, more commonly known as the Santa Clarita City Hall, located at 23920 Valencia Boulevard, Santa Clarita (the "Leased Property") from the Authority for lease payments (the "2007 Lease Payments"); and WHEREAS, the Authority previously issued its Lease Revenue Bonds, Series 2007 (Golden Valley Road) (the "2007 Bonds"), payable from revenues consisting primarily of the 2007 Lease Payments, to finance the costs of acquiring right-of-way for a portion of Golden Valley Road in connection with the payment of a judicial order by the City (the "Project"); and WHEREAS, City has determined to refinance the Project by prepaying its 2007 Lease Payments pursuant to Section 5.05 of the 2007 Lease and thereby advance refunding and defeasing the 2007 Bonds; and WHEREAS, the Authority has determined to issue its Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A, in the aggregate principal amount of $10,320,000 (the "Bonds"), for the purpose of assisting the City with the prepayment of the 2007 Lease Payments and the advance refunding and defeasance of the outstanding 2007 Bonds; and WHEREAS, in connection with such prepayment of the 2007 Lease Payments and defeasance of the 2007 Bonds, and the issuance of the Bonds and any Additional Bonds, the City and the Authority have entered into a Site and Facility Lease, dated as of June 1, 2016 (the "Site Lease"), whereby the Authority has agreed to lease the Leased Property from the City; and WHEREAS, the Authority and the City have entered into a Lease Agreement, dated as of June 1, 2016 (the "Lease"), whereby the Authority has agreed to lease the Leased Property to the City; and WHEREAS, under and pursuant to the Lease, the City is obligated to make Base Rental Payments (as defined herein) to the Authority for the sublease of the Leased Property; and WHEREAS, as security for its obligations hereunder, the Authority has assigned to the Trustee all its rights to receive the Base Rental Payments scheduled to be paid by the City under and pursuant to the Lease and certain other rights to the Trustee pursuant to this Indenture; and WHEREAS, the City has determined that the issuance of the Bonds will result in significant public benefits including demonstrable financing cost savings and more efficient delivery of services to the community; and WHEREAS, to provide for the authentication and delivery of the Bonds, to establish and declare the terms and conditions upon which the Bonds are to be issued and to secure the payment of the principal thereof, premium, if any, and interest thereon, the Authority has authorized the execution and delivery of this Indenture; and WHEREAS, the Authority has determined that all acts and proceedings required by law necessary to make the Bonds, when executed by the Authority, authenticated and delivered by the Trustee and duly issued, the valid, binding and legal special obligations of the Authority, and to constitute this Indenture a valid and binding agreement for the uses and purposes herein set forth in accordance with its terms, have been done and taken, and the execution and delivery of the Indenture have been in all respects duly authorized; NOW, THEREFORE, THIS INDENTURE WITNESSETH, that to secure the payment of the principal of and the interest and premium (if any) on all Bonds at any time issued and Outstanding under this Indenture, according to their tenor, and to secure the performance and observance of all the covenants and conditions therein and herein set forth, and to declare the terms and conditions upon and subject to which the Bonds are to be issued and received, and in consideration of the premises and of the mutual covenants herein contained and of the purchase and acceptance of the Bonds by the Owners thereof, and for other valuable considerations, the receipt whereof is hereby acknowledged, the Authority does hereby covenant and agree with the Trustee, for the benefit of the respective Owners from time to time of the Bonds, as follows: ARTICLE I DEFINITIONS; AUTHORIZATION AND PURPOSE OF BONDS; EQUAL SECURITY SECTION 1.01. Definitions. Unless the context otherwise requires, the terms defined in this Section shall for all purposes of this Indenture and of any Supplemental Indenture and of the Bonds and of any certificate, opinion, request or other document herein mentioned have the meanings herein specified. 2 "Act" means Articles 1 through 4 (commencing with Section 6500), Chapter 5, Division 7, Title 1 of the Government Code of the State, as in existence on the Closing Date or as thereafter amended from time to time. "Additional Bonds" mean the Bonds of an additional Series authorized by a Supplemental Indenture that are issued pursuant to this Indenture. "Additional Rental Payments" means the additional rental payable by the City under and pursuant to Section 3(b) of the Lease. "Annual Debt Service" means, for each Bond Year with respect to the Bonds, the sum of (a) the interest payable on the Outstanding Bonds in such Bond Year, and (b) the principal amount of the Outstanding Bonds scheduled to be paid in such Bond Year. "Assignment Agreement" means that certain Assignment Agreement, dated as of June 1, 2016, by and between the Authority and the Trustee. "Authority" means the Santa Clarita Public Financing Authority, a joint powers authority duly organized and existing under the Joint Exercise of Powers Agreement, as amended, and the laws of the State. "Authority Board" means the governing body of the Authority. "Authorized Denominations" means $5,000 or any integral multiple thereof. "Base Rental Payments" means all Base Rental Payments under the Lease. "Bond Counsel" means (a) Norton Rose Fulbright US LLP, or (b) any other attorney or firm of attorneys appointed by or acceptable to the Authority of nationally recognized experience in the area of municipal finance. "Bond Law" means the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4 of the Act, as in existence on the Closing Date or as thereafter amended from time to time. "Bond Year" means each twelve-month period extending from December 2 in one calendar year to December 1 of the succeeding calendar year, both dates inclusive, except that the first Bond Year shall begin on the Closing Date and shall end on December 1, 2016. "Bonds" means the Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A, and, where the context requires, any Additional Bonds. "Business Day" means a day other than (i) a Saturday or Sunday, (ii) a day on which the commercial banks in the city in which the Trustee maintains its Trust Office are authorized or required by law or executive order to close or (iii) a day on which the New York Stock Exchange is closed. 3 "Certificate of the Authority" means a certificate in writing signed by the Chairperson of the Authority, the Executive Director, the Treasurer or by any other officer of the Authority duly authorized by the Chairperson or any other officer of the Authority duly authorized for that purpose, as evidenced in writing to the Trustee. "Certificate of the City" means a certificate in writing signed by the City Manager or the Deputy City Manager/Director of Administrative Services of the City or by any other officer of the City duly authorized for that purpose, as evidenced in writing to the Trustee. "City" means the City of Santa Clarita, California. "Closing Date" means June 22, 2016, being the date of delivery of the Bonds to the Original Purchaser thereof. "Code" means the Internal Revenue Code of 1986. "Costs of Issuance" means all expenses incurred in connection with the authorization, issuance, sale and delivery of the Bonds, including but not limited to all compensation, fees and expenses (including but not limited to fees and expenses for legal counsel) of the Authority and the Trustee, compensation to any financial consultants or underwriters, legal fees and expenses (including fees and expenses of Bond and Disclosure Counsel), filing and recording costs, rating agency fees, costs of preparation and reproduction of documents, costs of printing and fees and costs for any guaranty, surety bond, letter of credit or other credit facility. "Costs of Issuance Fund" means the fund by that name established and held by the Trustee pursuant to Section 3.03. "Defeasance Securities" means (1) cash, (2) non -callable direct obligations of the United States of America ("Treasuries"), (3) evidences of ownership of proportionate interests in future interest and principal payments on Treasuries held by a bank or trust company as custodian, under which the owner of the investment is the real party in interest and has the right to proceed directly and individually against the obligor and the underlying Treasuries are not available to any person claiming through the custodian or to whom the custodian may be obligated, (4) pre -refunded municipal obligations rated "AAA" and "Aaa" by S&P and Moody's, respectively. "Depository" means DTC and its successors and assigns or if (a) the then Depository resigns from its functions as securities depository of the Bonds, or (b) the Authority discontinues use of the Depository pursuant to Section 2.13 hereof, any other securities depository which agrees to follow the procedures requested to be followed by a securities depository in connection with the Bonds and which is selected by the Authority. "Depository Participant" means a member of, or participant in, the Depository. "DTC" means The Depository Trust Company, New York, New York, and its successors and assigns. "Event of Default" means any of the events described in Section 8.01. M "Fair Market Value" means the price at which a willing buyer would purchase the investment from a willing seller in a bona fide, arm's length transaction (determined as of the date the contract to purchase or sell the investment becomes binding) if the investment is traded on an established securities market (within the meaning of section 1273 of the Code) and, otherwise, the term "fair market value" means the acquisition price in a bona fide arm's length transaction (as referenced above) if (i) the investment is a certificate of deposit the value of which is determined in accordance with applicable regulations under the Code, (ii) the investment is an agreement with specifically negotiated withdrawal or reinvestment provisions and a specifically negotiated interest rate (for example, a guaranteed investment contract, a forward supply contract or other investment agreement) the value of which is determined in accordance with applicable regulations under the Code, (iii) the investment is a United States Treasury Security -State and Local Government Series that is acquired in accordance with applicable regulations of the United States Bureau of Public Debt, or (iv) the investment is the Local Agency Investment Fund of the State of California, but only if at all times during which the investment is held its yield is reasonably expected to be equal to or greater than the yield on a reasonably comparable direct obligation of the United States. "Fiscal Year" means any twelve-month period extending from July 1 in one calendar year to June 30 of the succeeding calendar year, both dates inclusive, or any other twelve-month period selected and designated by the Authority as its official fiscal year period. "Indenture" means this Indenture, dated as of June 1, 2016, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. "Independent Certified Public Accountant" means any certified public accountant or firm of certified public accountants appointed and paid by the Authority, and who, or each of whom: (a) is in fact independent and not under domination of the Authority or the City; (b) does not have any substantial interest, direct or indirect, in the Authority or the City; and (c) is not connected with the Authority or the City as an officer or employee of the Authority or the City but who may be regularly retained to make annual or other audits of the books of or reports to the Authority or the City. "Information Services" means the Electronic Municipal Market Access System (referred to as "EMMA"), a facility of the Municipal Securities Rulemaking Board, at hilp:Ilemma.msrb.org; provided, however, in accordance with then current guidelines of the Securities and Exchange Commission, Information Services shall mean such other organizations providing information with respect to called Bonds as the Authority may designate in writing to the Trustee. "Insurance and Condemnation Fund" means the fund by that name established and held by the Trustee pursuant to Section 3.05. 5 "Interest Account" means the account by that name established and held by the Trustee pursuant to Section 4.02(a). "Interest Payment Date" means June 1 and December 1 of each year, commencing December 1, 2016. "Joint Exercise of Powers Agreement" means that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City, the Successor Agency to the Redevelopment Agency of the City of Santa Clarita, and the Santa Clarita Parking Authority, together with any amendments thereof and supplements thereto. Upon execution of the Amendment to the Joint Exercise of Powers Agreement, the Successor Agency is no longer a member of the Authority. "Lease" means that certain Lease Agreement, dated as of June 1, 2016, by and between the Authority as lessor and the City as lessee, as it may be further amended or modified. "Lease Revenue Fund" means the fund by that name established and held by the Trustee pursuant to Section 4.02. "Leased Property" means, collectively, those certain parcels of real property, together with the improvements thereon, leased by the Authority to the City pursuant to the Lease, as more fully described in Exhibit A to the Lease, as such Exhibit A may be revised and amended from time to time pursuant to the terms hereof and of the Lease. "Maximum Annual Debt Service" in respect of any Bond Year means the largest of the sums obtained for that or any succeeding Bond Year after totaling the following for each such Bond Year: (a) The principal amount of all Outstanding Bonds maturing or required to be redeemed by mandatory sinking account redemption in such Bond Year; and (b) The interest that would be due during such Bond Year on the aggregate principal amount of Bonds which would be Outstanding in such Bond Year if the Bonds Outstanding on the date of such computation were to mature or be redeemed in accordance with the applicable maturity or mandatory sinking account redemption schedule. At the time and for the purpose of making such computation, the amount of Bonds already retired in advance of the above mentioned schedule or schedules shall be deducted pro rata from the remaining amounts thereon. "Moody's" means Moody's Investors Service, and its successors and assigns. "Nominee" means the nominee of the Depository, which may be the Depository, as determined from time to time pursuant hereto. Bonds. "Original Purchaser" means, with respect to the Bonds, the initial purchaser of the 0 "Outstanding," when used as of any particular time with reference to Bonds and Additional Bonds, means (subject to the provisions of Section 9.08) all Bonds and Additional Bonds theretofore executed, issued and delivered by the Authority under this Indenture except: (a) Bonds theretofore canceled by the Trustee or surrendered to the Trustee for cancellation; (b) Bonds paid or deemed to have been paid within the meaning of Section 9.03; and (c) Bonds in lieu of which or in substitution for which other Bonds shall have been executed, issued and delivered pursuant to this Indenture or any Supplemental Indenture. "Owner" when used with respect to any Bond, means the person in whose name the ownership of such Bond shall be registered on the Registration Books. "Permitted Investments" means any of the following which at the time of investment are legal investments under the laws of the State for the moneys proposed to be invested therein (the Trustee is entitled to conclusively rely on a Request of the Authority directing investment in such Permitted Investment as a certification by the Authority to the Trustee that such Permitted Investment is a legal investment under the laws of the State), but only to the extent that the same are acquired at Fair Market Value: (a) Direct obligations of the United States of America (including obligations issued or held in book -entry form on the books of the Department of the Treasury of the United States of America) or obligations the timely payment of the principal of and interest on which are fully and unconditionally guaranteed by the United States of America, including instruments evidencing a direct ownership interest in securities described in this clause such as Stripped Treasury Coupons at the time of purchase rated or assessed in the highest rating category by S&P and Moody's and held by a custodian for safekeeping on behalf of holders of such securities. (b) Bonds or notes which are exempt from federal income taxes and for the payment of which cash or obligations described in clause (a) of this definition in an amount sufficient to pay the principal of, premium, if any, and interest on when due have been irrevocably deposited with a trustee or other fiscal depositary and which at the time of purchase are rated the same rating as direct obligations of the United States of America by S&P and Moody's. (c) Obligations, debentures, notes or other evidence of indebtedness issued or guaranteed by any of the following: Federal Home Loan Bank System, Government National Mortgage Association, Farmer's Home Administration, Federal Home Loan Mortgage Corporation or Federal Housing Administration; provided that with respect to the funds and accounts established under this Indenture, such obligations shall at no time exceed an amount equal to ten percent (10%) of the aggregate principal amount of the Bonds Outstanding. (d) Deposit accounts certificates of deposit or savings accounts (i) fully insured by the Federal Deposit Insurance Corporation or (ii) with banks whose short term obligations are at the time of purchase rated no lower than A-1 by S&P and P-1 by Moody's including those of the Trustee and its affiliates. 7 (e) Federal funds or banker's acceptances with a maximum term of one year of any bank that at the time of purchase has an unsecured, uninsured and unguaranteed obligation rating of "Prime-1" or "A3" by Moody's and "A-1" or "A" or better by S&P (including the Trustee and its affiliates). (f) Repurchase or reverse repurchase obligations (including those of the Trustee or any of its affiliates) with a term not exceeding 30 days pursuant to a written agreement between the Trustee and either a primary dealer on the Federal Reserve reporting dealer list which falls under the jurisdiction of the SIPC or a federally chartered commercial bank whose long-term debt obligations at the time of purchase are rated A or better by S&P and Moody's, with respect to any security described in clause (1); provided that the securities which are the subject of such repurchase obligation (i) must be free and clear of all liens, (ii) in the case of a SIPC dealer, were not acquired pursuant to a repurchase or reverse repurchase agreement, (iii) must be deposited with the Trustee and maintained through weekly market valuations in an amount equal to 104% of the invested funds plus accrued interest; and further provided that the Trustee must have a valid first perfected security interest in such securities. (g) Taxable government money market portfolios that at the time of purchase have a rating by S&P of Am-G or Am or better and rated in one of the three highest rating categories of Moody's, subject to a maximum permissible limit equal to six months of principal and interest on the Bonds including such portfolios for which the Trustee, its affiliates or subsidiaries receive and retains a fee for services provided to the portfolio, whether as a custodian, transfer agent, investment advisor or otherwise. (h) Tax-exempt government money market portfolios that at the time of purchase have a rating by S&P of Am-G or Am or better and rated in one of the three highest rating categories of Moody's consisting of securities which are rated in the highest Rating Categories of S&P and Moody's subject to a maximum permissible limit equal to six months of principal and interest on the Bonds, including such portfolios for which the Trustee, its affiliates or subsidiaries receive and retains a fee for services provided to the portfolio, whether as a custodian, transfer agent, investment advisor or otherwise. (i) Money market funds registered under the Investment Company Act of 1940, the shares in which are registered under the Securities Act of 1933 and that at the time of purchase have a rating by S&P of AAAm-G or AAAm and rated in one of the two highest Rating Categories of Moody's, including such funds for which the Trustee, its affiliates or subsidiaries receive and retains a fee for services provided to the fund, whether as a custodian, transfer agent, investment advisor or otherwise. 0) The Local Agency Investment Fund of the State, created pursuant to Section 16429.1 of the California Government Code, to the extent the Trustee is authorized to register such investment in its name. (k) Investment agreements, including guaranteed investment contracts ("GICs") forward purchase agreements and reserve fund put agreements with banks or other financial institutions rated, or guaranteed by institutions rated, or with senior unsecured debt rated, at the time of entrance into such agreement by S&P or Moody's, in one of the three highest rating categories assigned by such agencies. (1) Any other investments which meet the criteria established by applicable published investment guidelines issued by each rating agency then rating the Bonds. "Principal Account" means the account by that name established and held by the Trustee pursuant to Section 4.02(b). "Principal Payment Date" means each December 1, commencing December 1, 2016 "Rebate Fund" means the fund by that name established and held by the Trustee pursuant to Section 4.03. "Rebate Requirement" means, in respect of an issue of Bonds, obligations imposed under section 148(f) the Code in respect of such issue. "Record Date" means, with respect to any Interest Payment Date, the fifteenth (15t') calendar day of the month immediately preceding such Interest Payment Date, whether or not such day is a Business Day. "Registration Books" means the records maintained by the Trustee pursuant to Section 2.09 for the registration and transfer of ownership of the Bonds. "Rental Payments" means, collectively, the Base Rental Payments, any additional base rental payments made in connection with Additional Bonds and any Additional Rental Payments. "Request of the Authority" means a request in writing signed by the Chairperson, the Executive Director or the Treasurer of the Authority or by any other officer of the Authority duly authorized by the Chairperson, Executive Director, Treasurer or by the Authority Board for that purpose, as evidenced in writing to the Trustee. "Request of the City" means a request in writing signed by the Mayor, the City Manager, the Deputy City Manager/Director of Administrative Services or by any other officer of the City duly authorized for that purpose by the Mayor, the City Manager or by the City Council, as evidenced in writing to the Trustee. "Responsible Officer" means any member of the Authority Board or any other person authorized by resolution of the Authority Board to act on behalf of the Authority under or with respect to the Lease or this Indenture. "Revenues" means (i) all Base Rental Payments payable by the City pursuant to the Lease (including prepayments), (ii) any proceeds of Bonds deposited with the Trustee and all moneys on deposit in the funds and accounts (other than the Rebate Fund) established hereunder, (iii) investment income with respect to such moneys held by the Trustee and (iv) any insurance proceeds or condemnation awards received by or payable to the Trustee relating to the Base Rental Payments. 9 "S&P" means Standard & Poor's Financial Services LLC, and its successors and assigns. "Securities Depositories" means The Depository Trust Company, New York, New York and its successors and assigns or if (i) the then Securities Depository resigns from its functions as depository of the Bonds or (ii) the Authority discontinues use of the then Securities Depository pursuant to Section 2.13, any other securities depository which agrees to follow the procedures required to be followed by a securities depository in connection with the Bonds and which is selected by the Authority. "Series" whenever used in this Indenture with respect to the Bonds or Additional Bonds, means all of the Bonds designated as being of the same series, authenticated and delivered in a simultaneous transaction, regardless of variations in maturity, interest rate, redemption and other provisions, and any Bonds thereafter authenticated and delivered upon transfer or exchange of or in lieu of or in substitution for (but not to refund) such Bonds as provided herein. "Site Lease" means that certain Site and Facility Lease, dated as of June 1, 2016, by and between the City and the Authority, pursuant to which the Authority leases the Leased Property from the City. "State" means the State of California. "Supplemental Indenture" means any agreement supplemental to or amendatory of this Indenture entered into in accordance with the provisions of Article VII. "Tax Certificate" means the Tax Certificate dated the date of the original delivery of the Bonds relating to the requirements of certain provisions of the Code, as such certificate may from time to time be modified or supplemented in accordance with the terms thereof. "Trust Office" means the corporate trust office of the Trustee in Los Angeles, California or such other offices as may be specified to the Authority by the Trustee in writing or, solely for purposes of the surrender of the Bonds for payment, transfer or exchange, the corporate trust operations or agency office designated by the Trustee. "Trustee" means The Bank of New York Mellon Trust Company, N.A., and its successors and assigns, and any other banking corporation or association that may at any time be substituted in its place as provided in Article VI hereof. "Written Request of the Authority" means a request in writing signed by a Responsible Officer. "2007 Prior Indenture" means the Indenture, dated as of January 1, 2007, by and between the Authority and The Bank of New York Mellon Trust Company, N.A., as successor to The Bank of New York Trust Company, N.A. SECTION 1.02. Rules of Construction. All references in this Indenture to "Articles," "Sections," and other subdivisions are to the corresponding Articles, Sections or subdivisions of this Indenture; and the words "herein," "hereof," "hereunder," and other words of similar import refer to this Indenture as a whole and not to any particular Article, Section or subdivision hereof. 10 SECTION 1.03. Authorization and Purpose of Bonds. The Authority has reviewed all proceedings heretofore taken relative to the authorization of the Bonds and has found, as a result of such review, and hereby finds and determines that all things, conditions, and acts required by law to exist, to happen and to be performed precedent to and in the issuance of the Bonds do exist, have happened and have been performed in due time, form and manner as required by law, and the Authority is now authorized under the Joint Exercise of Powers Agreement and the Bond Law and each and every requirement of law, to issue the Bonds in the manner and form provided in this Indenture. Accordingly, the Authority hereby authorizes the issuance of the Bonds pursuant to the Bond Law and this Indenture for the purpose described in the recitals hereof. SECTION 1.04. Equal Security. In consideration of the acceptance of the Bonds by the Owners thereof, this Indenture shall be deemed to be and shall constitute a contract between the Authority and the Owners from time to time of the Bonds; and the covenants and agreements herein set forth to be performed on behalf of the Authority shall be for the equal and proportionate benefit, security and protection of all Owners without preference, priority or distinction as to security or otherwise of any of the Bonds over any of the others by reason of the number or date thereof or the time of sale, execution or delivery thereof, or otherwise for any cause whatsoever, except as expressly provided therein or herein. ARTICLE II ISSUANCE OF BONDS SECTION 2.01. Designation. The Bonds are authorized to be issued by the Authority under and subject to the Bond Law and the terms of this Indenture and shall be designated, respectively, as the "Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A." The Bonds shall be issued in the original aggregate principal amount of $10,320,000. SECTION 2.02. Terms of Bonds. The Bonds shall be dated the Closing Date, shall mature on the dates and in the amounts, and shall bear interest (computed on the basis of a 360- day year of twelve 30-day months) at the rates, set forth in the following table: Maturity Date Principal Interest (December 1) Amount Rate 2016 $375,000 4.000 2017 375,000 4.000 2018 385,000 4.000 2019 400,000 4.000 2020 420,000 4.000 2021 435,000 4.000 2022 450,000 4.000 2023 470,000 4.000 2024 490,000 4.000 2025 510,000 4.000 2026 530,000 4.000 2027 550,000 2.000 11 Maturity Date Principal Interest (December 1) Amount Rate 2028 555,000 2.000 2029 570,000 2.000 2030 580,000 2.250 2031 595,000 4.000 2032 625,000 4.000 2033 650,000 3.000 2034 670,000 3.000 2035 685,000 3.000 $10,320,000 The Bonds shall be delivered in fully registered form, numbered from one upwards in consecutive numerical order (with such alphabetical prefix as the Trustee shall determine). The Bonds shall be executed and delivered in their respective Authorized Denominations. Each Bond shall bear interest from the Interest Payment Date next preceding the date of authentication thereof, unless (i) it is authenticated during the period from the day after the Record Date for an Interest Payment Date to and including such Interest Payment Date, in which event it shall accrue interest from such Interest Payment Date, or (ii) it is authenticated on or prior to the Record Date for the first Interest Payment Date, in which event it shall bear interest from the Closing Date; provided, however, that if, at the time of authentication of any Bond interest with respect to such Bond is in default, such Bond shall bear interest from the Interest Payment Date to which interest has been paid or made available for payment with respect to such Bond, or if no interest has been paid, from the date of initial delivery of the Bonds. Interest with respect to any Bond shall be payable in lawful money of the United States of America on each Interest Payment Date to the Owner thereof as of the close of business on the Record Date, such interest to be paid by check of the Trustee, mailed by first class mail no later than the Interest Payment Date to the Owner at his address as it appears, on such Record Date, on the Registration Books maintained by the Trustee; provided, however, that at the written request of the Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds filed with the Trustee prior to any Record Date, interest on such Bonds shall be paid to such Owner on each succeeding Interest Payment Date (unless such request has been revoked in writing) by wire transfer of immediately available funds to an account in the United States designated in such written request. Payments of defaulted interest with respect to the Bonds shall be paid by check or draft to the registered Owners of the Bonds as of a special record date to be fixed by the Trustee, notice of which special record date shall be given to the registered Owners of the Bonds not less than ten days prior thereto. The principal of and premium, if any, on the Bonds are payable by check when due upon surrender thereof at the Trust Office in lawful money of the United States of America. SECTION 2.03. Redemption of Bonds. (a) Extraordinary Redemption. The Bonds are subject to redemption prior to their respective maturity dates, upon written notice from the Authority to the Trustee at least forty-five (45) days (or such lesser number of days acceptable to the Trustee, in the sole discretion of the 12 Trustee), as a whole or in part on a pro rata basis, on any date from prepayments of the applicable Base Rental Payments made by the City pursuant to the Lease out of funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed herein and in the Lease. Redemption of Bonds pursuant to this subparagraph (a) shall be made at a redemption price equal to the sum of the principal of the Bonds to be redeemed plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. (b) Bonds Optional Redemption from Prepayments of Base Rental Pam. The Bonds maturing on or after December 1, 2027 are subject to redemption prior to their respective maturity dates as a whole or in part on any date on or after December 1, 2026, in any order deemed reasonable by the Authority, and by lot within a maturity, from prepayments of Base Rental Payments made at the option of the City pursuant to Section 11(b) of the Lease, at a redemption price equal to the principal amount of the Bonds to be redeemed, plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. (c) Notice of Redemption. The Trustee on behalf and at the expense of the Authority shall mail (by first class mail or other means acceptable to the recipient thereof) notice of any redemption to the respective Owners designated for redemption at their respective addresses appearing on the Registration Books, to the Securities Depositories and to one or more Information Services, at least twenty (20) but not more than sixty (60) days prior to the date fixed for redemption; provided, however, that neither failure to receive any such notice so mailed nor any defect therein shall affect the validity of the proceedings for the redemption of such Bonds or the cessation of the accrual of interest thereon. Such notice shall state the date of the notice, the redemption date, the redemption place and the redemption price and shall designate the CUSIP numbers, the Bond numbers and the maturity or maturities (in the event of redemption of all of the Bonds of such maturity or maturities in whole) of the Bonds to be redeemed, and shall require that such Bonds be then surrendered at the Trust Office of the Trustee for redemption at the redemption price, giving notice also that further interest on such Bonds will not accrue from and after the redemption date. Such notice shall further state, if so determined by the Authority, that such notice may be rescinded at any time prior to the redemption date. Neither the Authority nor the Trustee shall have any responsibility for any defect in the CUSIP number that appears on any Bond or in any redemption notice with respect thereto, and any such redemption notice may contain a statement to the effect that CUSIP numbers have been assigned by an independent service for convenience of reference and that neither the Authority nor the Trustee shall be liable for any inaccuracy in such numbers. Any notice given pursuant to the preceding paragraph may be conditional and/or rescinded by written notice given to the Trustee by the Authority and the Trustee shall provide notice of such rescission as soon thereafter as practicable in the same manner, and to the same recipients, as notice of such redemption was given pursuant to this Section. 13 (d) Selection of Bonds for Redemption. Whenever provision is made in this Indenture for the optional redemption of less than all of the Bonds of a series (other than mandatory sinking account redemption), the Trustee shall select the Bonds to be redeemed from all Bonds of such series not previously called for redemption, in such maturities as the Authority shall designate (and by lot within any maturity). For purposes of such selection, all Bonds shall be deemed to be comprised of separate $5,000 portions and such portions shall be treated as separate Bonds, which may be separately redeemed. (e) Partial Redemption of Bonds. If only a portion of any Bond is called for redemption, then upon surrender of such Bond the Authority shall execute and the Trustee shall authenticate and deliver to the Owner thereof, at the expense of the Authority, a new Bond or Bonds of the same Series, interest rate and maturity date, in aggregate principal amount equal to the unredeemed portion of the Bond being redeemed. (f) Effect of Redemption. From and after the date fixed for redemption, if funds available for the payment of the principal of, premium, if any, and interest on the Bonds so called for redemption shall have been duly provided, such Bonds so called shall cease to be entitled to any benefit under this Indenture other than the right to receive payment of the redemption price, and no interest shall accrue thereon from and after the redemption date. All Bonds redeemed pursuant to this Section 2.03 shall be canceled by the Trustee. All moneys held by or on behalf of the Trustee for the payment of principal of or interest or premium on Bonds, whether at redemption or maturity, shall be held in trust for the account of the Owners thereof and the Trustee shall not be required to pay Owners any interest on, or be liable to Owners for any interest earned on, moneys so held. SECTION 2.04. Form of Bonds. The Bonds, the form of Trustee's certificate of authentication, and the form of assignment to appear thereon, shall be substantially in the form set forth in Exhibit A attached hereto and by this reference incorporated herein, with necessary or appropriate variations, omissions and insertions, as permitted or required by this Indenture. SECTION 2.05. Execution of Bonds. The Bonds shall be signed in the name and on behalf of the Authority with the manual signature of its President, and attested with the manual signature of its Secretary or any Deputy Secretary duly appointed by the Authority Board, and shall be delivered to the Trustee for authentication by it. In case any officer of the Authority who shall have signed any of the Bonds shall cease to be such officer before the Bonds so signed shall have been authenticated or delivered by the Trustee or issued by the Authority, such Bonds may nevertheless be authenticated, delivered and issued and, upon such authentication, delivery and issue, shall be as binding upon the Authority as though the individual who signed the same had continued to be such officer of the Authority. Also, any Bond may be signed on behalf of the Authority by any individual who on the actual date of the execution of such Bond shall be the proper officer although on the nominal date of such Bond such individual shall not have been such officer. Only such of the Bonds as shall bear thereon a certificate of authentication, manually executed on behalf of the Trustee, shall be valid or obligatory for any purpose or entitled to the benefits of this Indenture, and such certificate of the Trustee shall be conclusive evidence that the 14 Bonds so authenticated have been duly authenticated and delivered hereunder and are entitled to the benefits of this Indenture. SECTION 2.06. Transfer of Bonds. Any Bond may, in accordance with its terms, be transferred, upon the Registration Books, by the person in whose name it is registered, in person or by his duly authorized attorney, upon presentation and surrender of such Bond for cancellation, accompanied by delivery of a written instrument of transfer in a form approved by the Trustee, duly executed. Whenever any Bond shall be surrendered for transfer, the Authority shall execute and the Trustee shall thereupon authenticate and deliver to the transferee a new Bond or Bonds of like tenor, interest rate, series designation, maturity and aggregate principal amount in Authorized Denominations. The cost of printing any Bonds and any services rendered or expenses incurred by the Trustee in connection with any such transfer shall be paid by the Authority, except that the Trustee shall require the payment by the Owner requesting such transfer of any tax or other governmental charge required to be paid with respect to such transfer. The Trustee shall not be required to transfer, pursuant to this Section, (a) any Bond during the period established by the Trustee for the selection of Bonds for redemption or (b) any Bond selected for redemption pursuant to Section 2.03(e). SECTION 2.07. Exchange of Bonds. Bonds may be exchanged at the Trust Office of the Trustee for the same aggregate principal amount of Bonds of the same tenor, interest rate, series designation, and maturity and of other Authorized Denominations. The cost of printing any Bonds and any services rendered or expenses incurred by the Trustee in connection with any such exchange shall be paid by the Authority, except that the Trustee shall require the payment by the Owner requesting such exchange of any tax or other governmental charge required to be paid with respect to such exchange. The Trustee shall not be required to exchange, pursuant to this Section, (a) any Bond during the period established by the Trustee for the selection of Bonds for redemption or (b) any Bond selected for redemption pursuant to Section 2.03(e). SECTION 2.08. Temporary Bonds. The Bonds may be issued initially in temporary form exchangeable for definitive Bonds when ready for delivery. The temporary Bonds may be printed, lithographed or typewritten, shall be of such denominations as may be determined by the Authority and may contain such reference to any of the provisions of this Indenture as may be appropriate. Every temporary Bond shall be executed by the Authority and be registered and authenticated by the Trustee upon the same conditions and in substantially the same manner as the definitive Bonds. If the Authority issues temporary Bonds, it will execute and furnish definitive Bonds without delay, and thereupon the temporary Bonds shall be surrendered, for cancellation, in exchange therefor at the Trust Office of the Trustee, and the Trustee shall authenticate and deliver in exchange for such temporary Bonds definitive Bonds of like tenor, series designation, maturity and aggregate principal amount in Authorized Denominations. Until so exchanged, the temporary Bonds shall be entitled to the same benefits under this Indenture as definitive Bonds authenticated and delivered hereunder. SECTION 2.09. Registration Books. The Trustee will keep or cause to be kept at its Trust Office sufficient records for the registration and transfer of the Bonds, which shall at all times during regular business hours be open to inspection by the Authority with reasonable prior notice; and, upon presentation for such purpose, the Trustee shall, under such reasonable 15 regulations as it may prescribe, register or transfer, or cause to be registered or transferred, on such records, Bonds as herein provided. SECTION 2.10. Bonds Mutilated, Lost, Destroyed or Stolen. If any Bond shall become mutilated, the Authority, at the expense of the Owner of such Bond, shall execute, and the Trustee shall thereupon authenticate and deliver, a new Bond of like tenor, series designation, maturity and aggregate principal amount in an Authorized Denomination in exchange and substitution for the Bond so mutilated, but only upon surrender to the Trustee of the Bond so mutilated. Every mutilated Bond so surrendered to the Trustee shall be canceled by it. If any Bond issued hereunder shall be lost, destroyed or stolen, evidence of such loss, destruction or theft may be submitted to the Trustee and, if such evidence shall be satisfactory to it and indemnity satisfactory to it shall be given, the Authority, at the expense of the Owner, shall execute, and the Trustee shall thereupon authenticate and deliver, a new Bond of like series and tenor in lieu of and in substitution for the Bond so lost, destroyed or stolen (or if any such Bond shall have matured or shall have been called for redemption, instead of issuing a substitute Bond the Trustee may pay the same without surrender thereof upon receipt of indemnity satisfactory to the Trustee). The Authority may require payment of a reasonable fee for each new Bond issued under this Section and of the expenses that may be incurred by the Authority and the Trustee. Any Bond issued under the provisions of this Section in lieu of any Bond alleged to be lost, destroyed or stolen shall constitute an original contractual obligation on the part of the Authority whether or not the Bond alleged to be lost, destroyed or stolen shall be at any time enforceable by anyone, and shall be equally and proportionately entitled to the benefits of this Indenture with all other Bonds secured by this Indenture. SECTION 2.11. Book -Entry System; Limited Obligation. The Bonds shall be initially executed, authenticated and delivered in the form of a separate single fully registered Bond (which may be typewritten) for each of the maturities of each series of Bonds. Upon initial execution, authentication and delivery, the ownership of each such Bond shall be registered in the Registration Books in the name of the Nominee as nominee of the Depository. Except as provided in Section 2.13 hereof, all of the Outstanding Bonds shall be registered in the Registration Books kept by the Trustee in the name of the Nominee and the Bonds may be transferred, in whole but not in part, only to the Depository, to a successor Depository or to another nominee of the Depository or of a successor Depository. Each Bond shall bear a legend substantially to the following effect: "UNLESS THIS BOND IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AS DEFINED IN THE INDENTURE) TO THE TRUSTEE FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY BOND ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN." 16 With respect to Bonds registered in the Registration Books in the name of the Nominee, the Authority and the Trustee shall have no responsibility or obligation to any Depository Participant or to any person on behalf of which such a Depository Participant holds a beneficial interest in the Bonds. Without limiting the immediately preceding sentence, the Authority and the Trustee shall have no responsibility or obligation with respect to (a) the accuracy of the records of the Depository, the Nominee or any Depository Participant with respect to any beneficial ownership interest in the Bonds, (b) the delivery to any Depository Participant, beneficial owner or any other person, other than the Depository, of any notice with respect to the Bonds, including any Redemption Notice, (c) the selection by the Depository and the Depository Participants of the beneficial interests in the Bonds to be redeemed in part, or (d) the payment to any Depository Participant, beneficial owner or any other person, other than the Depository, of any amount with respect to principal of, interest on, or premium, if any, of the Bonds. The Authority and the Trustee may treat and consider the person in whose name each Bond is registered in the Registration Books as the holder and absolute Owner of such Bond for the purpose of payment of principal of, premium, if any, and interest on, the Bond, for the purpose of giving Redemption Notices with respect to the Bonds and other notices with respect to the Bonds, and for all other purposes whatsoever, including, without limitation, registering transfers with respect to the Bonds. The Trustee shall pay all principal of, premium, if any, and interest on, the Bonds only to or upon the order of the respective Owners, as shown in the Registration Books kept by the Trustee, or their respective attorneys duly authorized in writing, and all such payments shall be valid hereunder with respect to payment of principal of, premium, if any, and interest on, the Bonds to the extent of the sum or sums so paid. No person other than an Owner, as shown in the Registration Books, shall receive a Bond evidencing the obligation to make payments of principal of, premium, if any, and interest on, such Bond pursuant to this Indenture. Upon delivery by the Depository to the Trustee and the Authority of written notice to the effect that the Depository has determined to substitute a new nominee in place of the Nominee, and subject to the provisions herein with respect to Record Dates, the word Nominee in this Indenture shall refer to such new nominee of the Depository. The Bonds are special obligations of the Authority and, as and to the extent set forth in the Indenture, are payable solely from and secured by a first lien on and pledge of the Revenues as provided in the Indenture. All of the Bonds are equally secured by a pledge of, and charge and lien upon, all of the Revenues (other than deposits to the Rebate Fund created by the Indenture), and the Revenues (other than deposits to the Rebate Fund created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Bonds. The full faith and credit of the Authority are not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the Indenture. SECTION 2.12. Representation Letter. To qualify the Bonds for the Depository's book -entry system, the Authority has previously authorized executed, countersigned and delivered to such Depository a letter from the Authority representing such matters as shall be necessary to so qualify the Bonds (the "Representation Letter"). The execution and delivery of 17 the Representation Letter shall not in any way limit the provisions of Section 2.11 hereof or in any other way impose upon the Authority or the City any obligation whatsoever with respect to persons having beneficial interests in the Bonds other than the Owners, as shown in the Registration Books kept by the Trustee. In the written acceptance by the Trustee of the Representation Letter, the Trustee shall agree, and hereby agrees, to take all actions necessary for all representations of the Trustee in the Representation Letter with respect to the Trustee to at all times be complied with. In addition to the execution and delivery of the Representation Letter, the Authority Representative and all other officers of the Authority, and their respective deputies and designees, each is hereby authorized to take any other actions, not inconsistent with this Indenture, to qualify the Bonds for the Depository's book -entry program. SECTION 2.13. Transfers Outside Book -Entry System. If at any time the Depository notifies the Authority that it is unwilling or unable to continue as Depository with respect to the Bonds or if at any time the Depository shall no longer be registered or in good standing under the Securities Exchange Act or other applicable statute or regulation and a successor Depository is not appointed by the Authority within 90 days after the Authority receives notice or becomes aware of such condition, as the case may be, Section 2.11 hereof shall no longer be applicable and the Authority shall execute and the Trustee shall authenticate and deliver Bonds as provided below. In addition, the Authority may determine at any time that the Bonds shall no longer be represented by global bonds and that the provisions of Section 2.11 hereof shall no longer apply to the Bonds. In any such event the Authority shall execute and the Trustee shall authenticate and deliver bonds representing the Bonds as provided below. Bonds executed, authenticated and delivered in exchange for global bonds pursuant to this Section 2.13 shall be registered in such names and delivered in such Authorized Denominations as the Depository, pursuant to instructions from the Depository Participants or otherwise, shall instruct the Authority and the Trustee. The Trustee shall deliver such bonds representing the Bonds to the persons in whose names such Bonds are so registered. If the Authority determines to replace the Depository with another qualified securities depository, the Authority shall prepare or cause to be prepared a new fully -registered global bond for each of the maturities of the Bonds, registered in the name of such successor or substitute securities depository or its nominee, or make such other arrangements as are acceptable to the Authority, the Trustee and such securities depository and not inconsistent with the terms of this Indenture. SECTION 2.14. Payments and Notices to the Nominee. Notwithstanding any other provision of this Indenture to the contrary, so long as any Bond is registered in the name of the Nominee, all payments of principal of, premium, if any, and interest on such Bond and all notices with respect to such Bond shall be made and given, respectively, as provided in the Representation Letter or as otherwise instructed by the Depository. SECTION 2.15. Initial Depository and Nominee. The initial Depository under this Indenture shall be DTC. The initial Nominee shall be Cede & Co., as nominee of DTC. ARTICLE III DEPOSIT AND APPLICATION OF PROCEEDS SECTION 3.01. Issuance of Bonds. Upon the execution and delivery of this Indenture, the Authority shall execute and deliver the Bonds to the Trustee for authentication, issuance and delivery to the Original Purchaser thereof upon the Request of the Authority. SECTION 3.02. Application of Proceeds of Sale of Bonds. Upon the receipt of payment for the Bonds on the Closing Date, the Trustee shall apply $11,082,174.44 of the net proceeds of the Bonds (which equals the principal amount of the Bonds, less an underwriting discount of $91,481.26, plus a net original issue premium of $853,655.70, and which amount includes the good faith deposit of $200,000 received by the Trustee from Fidelity Capital Markets, as initial purchaser of the Bonds), as follows: (1) The Trustee shall deposit in the Costs of Issuance Fund the amount of $206,467.06. (2) The Trustee shall transfer to The Bank of New York Mellon Trust Company, N.A., as escrow agent under Escrow Agreement, dated as of June 1, 2016, for deposit into the Escrow Fund established under the Escrow Agreement the amount of $10,875,707.38, which together with other funds, for the redemption and defeasance of the 2007 Bonds. In accordance with the terms of the Escrow Agreement, the 2007 Trustee shall transfer the amount of $826,134.00, representing amounts on deposit in the debt service reserve fund for the 2007 Bonds, to the Escrow Bank for deposit in the Escrow Fund for the redemption and defeasance of the 2007 Bonds. The Trustee may establish such temporary funds, accounts and subaccounts as may be necessary or desirable to accomplish such deposits. SECTION 3.03. Costs of Issuance Fund. There is hereby established a fund to be held by the Trustee known as the "Costs of Issuance Fund," into which shall be deposited a portion of the proceeds of the sale of the Bonds pursuant to Section 3.02. The moneys in the Costs of Issuance Fund shall be used to pay Costs of Issuance related to the Bonds from time to time and shall be disbursed by the Trustee upon delivery to the Trustee of a requisition, substantially in the form attached hereto as Exhibit B, executed by an officer of the Authority. Each requisition shall be sufficient evidence to the Trustee of the facts stated therein and the Trustee shall have no duty to confirm the accuracy of such facts. On the date that is 180 days following the Closing Date, or upon the earlier receipt by the Trustee of a Request of the Authority certifying that all Costs of Issuance related to the Bonds have been paid or provided for, the Trustee shall transfer any remaining amounts in the Costs of Issuance Fund to the Lease Revenue Fund and the Trustee shall then close the Costs of Issuance Fund. SECTION 3.04. Reserved. 19 SECTION 3.05. Insurance and Condemnation Fund. The Trustee shall establish and maintain a separate fund to be known as the "Insurance and Condemnation Fund," into which shall be deposited Net Proceeds required to be deposited therein pursuant to Section 9 of the Lease. The Trustee shall disburse or transfer all amounts in the Insurance and Condemnation Fund, as stated in a Request of the City (as described below) for the payment of the cost of the reconstruction of the Leased Property (including reimbursement to the City for any such costs paid by it). Before any payment of money is made from the Insurance and Condemnation Fund, the Authority shall file or shall cause the City to file with the Trustee a requisition in substantially the form set forth as Exhibit C hereto. SECTION 3.06. Validity of Bonds. The validity of the authorization and issuance of the Bonds shall not be affected in any way by any proceedings taken with respect to the application of the proceeds of the Bonds, and the recital contained in the Bonds that the same are issued pursuant to the Bond Law shall be conclusive evidence of their validity and of the regularity of their issuance. SECTION 3.07. Additional Bonds. In addition to the Bonds, the Authority and the Trustee may by execution of a Supplemental Indenture, without the consent of the Owners, provide for the issuance and delivery of Additional Bonds in one or more series. Upon the Request of the Authority, the Trustee may authenticate and deliver Additional Bonds in an aggregate principal amount authorized by such Supplemental Indenture. The proceeds of such Additional Bonds may be used for any purpose, including for the purpose of refunding Outstanding Bonds. Such Additional Bonds may only be issued upon compliance by the Authority with the provisions of the Indenture, and subject to the following specific conditions, which are made conditions precedent to the issuance of any such Additional Bonds: (a) The Authority shall not be in default under the Indenture or any Supplemental Indenture, as evidenced by a Certificate of the Authority, and the City shall not be in default under the Lease, as evidenced by a Certificate of the City; (b) A Supplemental Indenture may provide for the funding of a debt service reserve for such Additional Bonds; (c) The Additional Bonds shall be payable as to principal on December 1 of each year in which principal is due and shall be payable as to interest on each Interest Payment Date; (d) The aggregate principal amount of Bonds issued and at any time Outstanding under the Indenture or under any Supplemental Indenture shall not exceed any limit imposed by law, by the Indenture or by any Supplemental Indenture, as evidenced by a Certificate of the Authority and the City; and (e) The Lease shall have been amended so as to increase the base rental payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds, payable at such times and in such manner as may be necessary to provide for the payment of the principal and interest on such Additional Bonds, as evidenced by a Certificate of the City; and 20 (f) The Supplemental Indenture shall prescribe the form or forms of such Additional Bonds, and subject to the provisions hereof, shall provide for the distinctive designation, denominations, dates, principal payment dates, interest payment dates, interest rates, provisions for redemption, and places of payment for principal and interest. Any Additional Bonds shall be on a parity with, and each Owner thereof shall have the same rights upon an Event of Default as the Owner of, any other Bonds issued and delivered under the Indenture, except as otherwise provided in the Supplemental Indenture under which Additional Bonds are issued. ARTICLE IV REVENUES; FLOW OF FUNDS SECTION 4.01. Pledge of Revenues; Assignment of Rights. Subject to the provisions of Section 6.03, the Bonds shall be secured by a first lien on and pledge (which shall be effected in the manner and to the extent hereinafter provided) of all of the Revenues, including all of the moneys in the respective Interest Accounts, the Principal Accounts and the Reserve Accounts for a Series of Bonds, including all amounts derived from the investment of such moneys. The Bonds shall be equally secured by a pledge, charge and lien upon the Revenues and such moneys without priority for number, date of the Bonds, date of execution or date of delivery; and the payment of the interest on and principal of the Bonds and any premiums upon the redemption of any portion thereof shall be and are secured by an exclusive pledge, charge and lien upon the Revenues and such moneys. So long as any of the Bonds are Outstanding, the Revenues and such moneys shall not be used for any other purpose; except that out of the Revenues there may be apportioned such sums, for such purposes, as are expressly permitted by Section 4.02. The Authority hereby transfers in trust and assigns to the Trustee, for the benefit of the Owners from time to time of the Bonds, all of the Revenues and all of the right, title and interest (but none of the obligations) of the Authority in the Lease with respect to the Revenues, including its rights to receive the Base Rental Payments scheduled to be paid by the City under and pursuant to the Lease and any and all of the other rights of the Authority under the Lease as may be necessary to enforce payment of such Base Rental Payments when due or otherwise to protect the interest of the Owners of the Bonds, including its leasehold title to the Leased Property leased to the City pursuant to the Lease with respect to the Base Rental Payments. The Trustee accepts such assignments. The Trustee shall be entitled to and shall receive all of the Revenues, and any Revenues collected or received by the Authority shall be deemed to be held, and to have been collected or received, by the Authority as the agent of the Trustee and shall forthwith be paid by the Authority to the Trustee. Each of the Authority and the City covenant and agree to take such action as is necessary from time to time to preserve the priority of the pledge set forth in this Section 4.01 under applicable law, and at the expense of the Authority or the City and the Trustee shall cooperate with the Authority and/or the City in taking such action. 21 This Indenture shall be supplemented pursuant to a Supplemental Indenture to pledge revenues from additional base rental payments under the Lease for any series of Additional Bonds. SECTION 4.02. Lease Revenue Fund; Receipt, Deposit and Application of Revenues. All Revenues shall be deposited by the Trustee in a special fund designated as the "Lease Revenue Fund," which the Trustee shall establish, maintain and hold in trust hereunder. If the City pays more than 100% of the Base Rental Payments coming due fifteen (15) days prior to any Interest Payment Date, the Trustee shall deposit into the Lease Revenue Fund only that portion of the Base Rental Payments which the City is required to make under Section 3(a) of the Lease, and shall remit any excess to the City. On or before each Interest Payment Date or Principal Payment Date, as applicable, the Trustee shall transfer from the Lease Revenue Fund and deposit into the following respective accounts (each of which the Trustee shall establish and maintain within the Lease Revenue Fund), the following amounts in the following order of priority, the requirements of each such account (including the making up of any deficiencies in any such account resulting from lack of Revenues sufficient to make any earlier required deposit) at the time of deposit to be satisfied before any transfer is made to any account subsequent in priority: (a) Interest Account. The Trustee shall establish and maintain a separate account to be known as the "Interest Account." On or before each Interest Payment Date, the Trustee shall deposit in the Interest Account an amount required to cause the aggregate amount on deposit in the Interest Account to equal the amount of interest becoming due and payable on such Interest Payment Date on all respective Outstanding Bonds. No deposit shall be made into the Interest Account if the amount contained therein is at least equal to the interest becoming due and payable upon all respective Outstanding Bonds on each succeeding Interest Payment Date within the then current Bond Year. All moneys in the Interest Account shall be used and withdrawn by the Trustee solely for the purpose of paying the interest on the Bonds as it shall become due and payable (including accrued interest on any Bonds redeemed prior to maturity). (b) Principal Account. The Trustee shall establish and maintain a separate account to be known as the "Principal Account." On or before each Principal Payment Date, the Trustee shall deposit in the Principal Account an amount required to cause the aggregate amount on deposit in the Principal Account to equal the principal of the Bonds maturing on such Principal Payment Date pursuant to Section 2.02 or Section 2.03 or pursuant to a Supplemental Indenture, as the case may be. All moneys in the Principal Account shall be used and withdrawn by the Trustee solely for the purpose of paying the principal of the Bonds. (c) Redemption Account. On or before the Business Day on which Bonds are subject to redemption (other than mandatory sinking fund redemption of term Bonds), the Authority will transfer or cause there to be transferred to the Trustee for deposit in the Redemption Account an amount required to pay the principal of and premium, if any, on the Bonds to be so redeemed on such date. The Trustee will apply amounts in the Redemption Account solely for the purpose of paying the principal of and premium, if any, on the Bonds upon the redemption thereof, other than mandatory sinking fund redemption of term Bonds which will be made from amounts in the Principal Account, on the date set for such redemption. 22 (d) Surplus. On or before December 1 of each year, the Trustee shall determine the Revenues, if any, remaining in the Lease Revenue Fund after making the deposits required by paragraphs (a) through (c) above and the transfers of investment earnings pursuant to Section 4.03, and shall apply such amount as a credit against the next following Base Rental Payment. Notwithstanding the foregoing, if directed in a Request of the City, the Trustee shall, with respect to all or any portion of such amount, pay, or set aside an amount for the payment of, any Rebate Requirement in accordance with a computation made by the City to the Trustee. SECTION 4.03. Rebate Fund. (a) In addition to the other funds and accounts created pursuant hereto, the Trustee shall establish and maintain a fund separate from any other fund or account established and maintained hereunder designated the "Rebate Fund" (the "Rebate Fund") in connection with the Bonds. Within the Rebate Fund, the Trustee shall maintain such accounts or subaccounts as are specified in a Written Request of the Authority to the Trustee pursuant to the Tax Certificate. The Trustee shall deposit moneys in the Rebate Fund pursuant to a Written Request of the Authority. Subject to the transfer provisions provided in subparagraph (5) below, all money at any time deposited in the Rebate Fund shall be held by the Trustee in trust, to the extent required to satisfy the Rebate Requirement, for payment to the federal government of the United States of America, and none of the Authority, the Trustee or the Owner of any Bond shall have any right in or claim to such money. All amounts deposited into or on deposit in the Rebate Fund shall be governed by this Section and by the Tax Certificate (which is incorporated herein by reference). The Trustee shall be deemed conclusively to have complied with the provisions of this Section 4.03 and the Tax Certificate if it follows the Written Request of the Authority, including supplying all necessary information in the manner requested by the Authority, and except as otherwise expressly provided herein, shall not be required to take any actions hereunder in the absence of written directions by the Authority, and shall have no liability or responsibility to enforce compliance by the Authority with the terms of the Tax Certificate or this Section. The Trustee agrees to comply with all Written Requests of the Authority given pursuant to the Tax Certificate. (1) Upon a Written Request of the Authority, an amount shall be deposited into the Rebate Fund by the Trustee from deposits by the Authority, if and to the extent required, so that the balance of the amount on deposit thereto shall be equal to the Rebate Requirement. Computations of the Rebate Requirement shall be furnished by or on behalf of the Authority in accordance with the Tax Certificate. The Authority shall provide the Trustee with a Certificate of the Authority evidencing that the computation of the Rebate Requirement has been made. (2) The Trustee shall have no obligation to rebate any amounts required to be rebated pursuant to this Section, other than from moneys held in the funds and accounts created hereunder or from other moneys provided to it by the Authority. (3) The Trustee shall invest all amounts held in the Rebate Fund in Permitted Investments as directed by a Written Request of the Authority. Money, including investment earnings, shall not be transferred from the Rebate Fund except as provided in subparagraph (4) below. 23 (4) Upon receipt of a Written Request of the Authority, the Trustee shall remit part or all of the amounts in the Rebate Fund to the United States of America, as so directed. In addition, if the Authority so directs, the Trustee will deposit moneys into or transfer moneys out of the Rebate Fund from or into such accounts or fund as directed by the Written Request of the Authority. Any funds remaining in the Rebate Fund in excess of the Rebate Requirement as of the end of any Bond Year shall be transferred to the Interest Account. Notwithstanding any other provision hereof, including, in particular, Section 9.03, the obligation to remit the Rebate Requirement to the United States and to comply with all other requirements of this Section and the Tax Certificate shall survive the defeasance or payment in full of the Bonds. SECTION 4.04. Investments. All moneys in any of the funds or accounts established with the Trustee pursuant to this Indenture shall be invested by the Trustee solely in Permitted Investments pursuant to the written direction of the Authority given to the Trustee two (2) Business Days in advance of the making of such investments. In the absence of any such direction from the Authority, the Trustee shall invest any such moneys in money market funds described in subsection (i) of the definition of Permitted Investments; provided, however, that any such investment shall be made by the Trustee only if, prior to the date on which such investment is to be made, the Trustee shall have received a written direction of the Authority specifying a specific money market fund that satisfies the requirements of such subsection in which such investment is to be made and, if no such written direction is so received, the Trustee shall hold such moneys uninvested. Obligations purchased as an investment of moneys in any fund or account shall be deemed to be part of such fund or account. The Trustee shall transfer all investment earnings on amounts in a Principal Account and an Interest Account to the Lease Revenue Fund. All investment earnings on amounts in the Insurance and Condemnation Fund shall be retained therein. For purposes of acquiring any investments hereunder, the Trustee may commingle funds held by it hereunder. The Trustee, or any of its affiliates, may act as principal or agent in the acquisition of any investment and may impose its customary charges therefor. The Trustee may act as manager, sponsor, advisor or depository with respect to any Permitted Investment. The Trustee shall incur no liability for the selection (other than as provided herein) of investments or losses arising from any investments made pursuant to this Section. The Authority acknowledges that regulations of the Comptroller of the Currency grant the Authority the right to receive brokerage confirmations of security transactions to be effected by the Trustee hereunder as they occur, at no additional cost. The Authority specifically waives the right to receive such confirmation to the extent permitted by applicable law and agrees that it will instead receive periodic cash transaction statements which shall include detail for the investment transactions effected by the Trustee hereunder; provided, however, that the Authority retains its right to receive brokerage confirmation on any investment transaction requested by the Authority. SECTION 4.05. Valuation and Disposition of Investments. For the purpose of determining the amount in any fund or account, Permitted Investments credited to such fund or account shall be valued at least semiannually on or before each Interest Payment Date at cost (excluding any brokerage commissions and excluding any accrued interest) by the Authority. 24 ARTICLE V COVENANTS OF THE AUTHORITY SECTION 5.01. Punctual Payment. The Authority shall punctually pay or cause to be paid the principal, interest and premium (if any) to become due in respect of all the Bonds, in strict conformity with the terms of the Bonds and of this Indenture, according to the true intent and meaning thereof, but only out of applicable Revenues and other assets pledged for such payment as provided in this Indenture. SECTION 5.02. Extension of Payment of Bonds. The Authority shall not directly or indirectly extend or assent to the extension of the maturity of any of the Bonds or the time of payment of any claims for interest by the purchase of such Bonds or by any other arrangement, and in case the maturity of any of the Bonds or the time of payment of any such claims for interest shall be extended, such Bonds or claims for interest shall not be entitled, in case of any default hereunder, to the benefits of this Indenture, except subject to the prior payment in full of the principal of all of the Bonds then Outstanding and of all claims for interest thereon which shall not have been so extended. Nothing in this Section shall be deemed to limit the right of the Authority to issue Additional Bonds, or issue Bonds for the purpose of refunding any Outstanding Bonds, and such issuance shall not be deemed to constitute an extension of maturity of the Bonds. SECTION 5.03. Against Encumbrances. The Authority shall not create, or permit the creation of, any pledge, lien, charge or other encumbrance upon the applicable Revenues and other assets pledged or assigned under this Indenture while any of the Bonds and Additional Bonds are Outstanding, except the pledge and assignment created by this Indenture and Supplemental Indenture. Subject to this limitation, the Authority expressly reserves the right to enter into one or more other indentures for any of its corporate purposes, including other programs under the Bond Law, and reserves the right to issue other obligations for such purposes. SECTION 5.04. Power to Issue Bonds and Make Pledge and Assignment. The Authority is duly authorized pursuant to law to issue the Bonds and to enter into this Indenture and to pledge and assign the Revenues, the Lease and other assets purported to be pledged and assigned, respectively, under this Indenture in the manner and to the extent provided in this Indenture. The Bonds and the provisions of this Indenture are and will be the legal, valid and binding special obligations of the Authority in accordance with their terms, and the Authority and the Trustee (subject to the provisions of Section 6.02 hereof) shall at all times, to the extent permitted by law, defend, preserve and protect such pledge and assignment of Revenues and other assets and all the rights of the Owners under this Indenture against all claims and demands of all persons whomsoever. SECTION 5.05. Accounting Records and Financial Statements. The Trustee shall at all times keep, or cause to be kept, proper books of record and account, prepared in accordance with corporate trust industry standards, in which complete and accurate entries shall be made of all transactions by the Trustee relating to the proceeds of Bonds, the Revenues, the Lease and all funds and accounts established pursuant to this Indenture. Such books of record and account 25 shall be available for inspection by the Authority and the City during regular business hours with reasonable prior notice. SECTION 5.06. Additional Obligations. The Authority covenants that no additional bonds, notes or indebtedness shall be issued or incurred that are payable out of the Revenues in whole or in part, other than the Additional Bonds. SECTION 5.07. Lease. The Trustee, as assignee of the Authority's rights under the Lease with respect to the Revenues pursuant to Section 4.01 hereof and the Assignment Agreement(s), shall receive amounts due from the City pursuant to the Lease with respect to the Revenues. The Authority will faithfully comply with, keep, observe and perform all the agreements, conditions, covenants and terms contained in the Lease required to be complied with, kept, observed and performed by it and, together with the Trustee, will enforce the Lease against the City in accordance with its terms. So long as any Bond remain Outstanding, the Authority will not alter, amend or modify the Lease, except pursuant to Section 21 thereof. SECTION 5.08. Tax Covenants. (a) Special Definitions. When used in this Section, the following terms have the following meanings with respect to any Bonds or Additional Bonds that the Authority intends interest thereon to be excludable from the gross income of the Owners thereof: "Computation Date" means, initially, the first day following the conclusion of the fifth Bond Year (unless on or before such date the Authority has designated a different date as the Computation Date), and each subsequent Computation Date shall be the fifth anniversary of the immediately preceding Computation Date (unless, as to any Computation Date, the Authority has designated an earlier date following such immediately preceding Computation Date as a Computation Date. "Gross Proceeds" means any proceeds as defined in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds), and any replacement proceeds as defined in section 1.148-1(c) of the Tax Regulations, of the Bonds. "Investment" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Nongovernmental Output Property" means any property (or interest therein) that prior to its acquisition by the City was used by (or manufactured for or to the order of or held for the use by) any Nongovernmental Person (whether actually so used or not) in connection with any electric and gas generation, transmission, distribution, or related facilities. "Nongovernmental Person" refers to any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, or an agency or instrumentality acting solely on behalf thereof. 26 "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the Bonds are invested and that is not acquired to carry out the governmental purposes of the Bonds. "Original Issue " refers to the 2007 Bonds. "Original Facilities" means any property the acquisition, construction or improvement of which was financed directly or indirectly with Gross Proceeds of the Original Issue. "Rebate Amount" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Tax Regulations" means the United States Treasury Regulations promulgated pursuant to sections 103 and 141 through 150 of the Code, or under the provisions of any predecessor statute corresponding thereto. "Yield" of (1) any Investment has the meaning set forth in section 1.148-5 of the Tax Regulations; and (2) the Bonds has the meaning set forth in section 1.148-4 of the Tax Regulations. (b) Not to Cause Interest to Fail to Be Excluded from Gross Income. The Authority covenants that it will not use, permit the use of, or omit to use Gross Proceeds or any other amounts (or any property the acquisition, construction or improvement of which is to be financed directly or indirectly with Gross Proceeds) in a manner that if made or omitted, respectively, would cause the interest on any of the Bonds to fail to be excluded pursuant to section 103(a) of the Code from the gross income, of the owner thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the Authority receives a written opinion of Bond Counsel to the effect that failure to comply with such covenant will not adversely affect the exemption from federal income tax of the interest on any Bond, the Authority will comply with each of the specific covenants in this Section. (c) No Private Use or Private Pam. Except as would not cause any Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority covenants that at all times prior to the payment and cancellation of the last Bond to be paid and canceled: (1) it will use its best efforts to ensure that the City (or another entity other than a Nongovernmental Entity) exclusively owns, operates and possesses all of the Original Facilities that are to be refinanced directly or indirectly with Gross Proceeds of the Bonds, and that it will not use or permit the use of such Gross Proceeds (including under any contractual arrangement with terms different than those applicable to the general public) or any of the Original Facilities in any activity carried on by any Nongovernmental Person, unless such use is solely as a member of the general public; and 27 (2) not directly or indirectly impose or accept any charge or other payment by any person or entity in respect of the use by any Nongovernmental Person of Gross Proceeds of the Bonds, other than interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes, or of any Original Facility. Without limiting the foregoing, except as would not cause any Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority will not: (i) permit any Nongovernmental Person to hold any ownership, proprietary or possessory interest in any of the Original Facilities; (ii) contract with any Nongovernmental Person for the provision of operating or other services with respect to any function of an Original Facility (unless either (A) such arrangement requires no payment of fees to such Nongovernmental Person other than as direct reimbursement of third party costs or reasonable administrative overhead, or (B) such arrangement conforms to administrative guidance of the Internal Revenue Service in order to assure that such arrangement does not create a private business use relationship of the Nongovernmental Person to the Gross Proceeds of the Bonds or to any Original Facility); or (iii) contract with any Nongovernmental Person for the sale of output or capacity of an Original Facility that is an output facility, unless such contract is described either in section 1.141-7(c) of the Treasury Regulations (describing certain types of output contracts that do not have the effect of transferring the benefits of owning the property and the burdens of paying debt service on the financing of the property) or in section 1.141-7(f) of the Treasury Regulations (describing certain types of output contracts that while having the effect of transferring such benefits and burdens but nevertheless may be disregarded in evaluating private business use). For purposes of the preceding sentence, the Authority will treat proceeds of the Bonds as used ratably for the same purposes as were the proceeds of the Original Issue. (d) No Private Loan. Except as would not cause any Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the Authority has not used, and will not use, Gross Proceeds of any Bond to make or finance loans to any Nongovernmental Person. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if. (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction that creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take -or -pay, output or similar contract or arrangement; or (3) indirect benefits of such Gross Proceeds, or burdens and benefits of ownership of any property acquired, constructed or improved with such Gross Proceeds, are otherwise transferred in a transaction that is the economic equivalent of a loan. (e) Not to Invest at Higher Yield. Except as would not cause any Bond to become an "arbitrage bond" within the meaning of section 148 of the Code and the Tax Regulations and rulings thereunder, the Authority shall not at any time prior to the final maturity of the Bonds directly or indirectly invest Gross Proceeds in any Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, would materially exceed the Yield of such Bond within the meaning of such section 148. (f) Not Federally Guaranteed. The Authority covenants that, except to the extent permitted by section 149(b) of the Code and the Tax Regulations and rulings thereunder, it will not take or omit to take any action that would cause any Bond to be "federally guaranteed" within the meaning of section 149(b) of the Code and the Tax Regulations and rulings thereunder. (g) Information Report. The Authority covenants that it will timely file or cause to be filed any information required by section 149(e) of the Code with respect to the Bonds with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary of the Treasury may prescribe. (h) Rebate of Arbitrage Profits. Except to the extent otherwise provided in section 148(f) of the Code and the Tax Regulations and rulings thereunder: (1) it will account for all Gross Proceeds of the Bonds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last Bond is discharged. However, to the extent permitted by law, the Authority may commingle Gross Proceeds of the Bonds with its other money, provided that the Authority separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith. (2) not less frequently than each Computation Date, it will calculate or cause to be calculated the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Tax Regulations and rulings thereunder. The Trustee may rely conclusively upon the Authority's determinations, calculations and certifications required by this Section. The Trustee shall have no responsibility to independently make any calculation of determination or to review the Authority's calculations hereunder. The Authority covenants that it will maintain a copy of the calculation with its official transcript of proceedings relating to the issuance of the Bonds until six years after the final Computation Date; (3) it will deposit in the Rebate Fund and cause the Trustee to pay to the United States the amount that when added to the future value of previous rebate payments made for the Bonds equals (A) in the case of a Final Computation Date as defined in section 1.148-3(e)(2) of the Tax Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (B) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such a date. In all cases such Rebate payments shall be made by the Authority (or by the Trustee at the direction of the Authority) at the times and in the amounts as are or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder, and such payments shall be accompanied by Form 8038-T executed by the Authority or such other forms and information as is or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder. 29 (4) it will exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and (3) above, and if an error is made, to discover and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any additional Rebate Amount owed to it, interest thereon, and any penalty imposed under section 1.148-3(h) or other provision of the Tax Regulations. (i) Not to Divert Arbitrage Profits. The Authority covenants that, except to the extent permitted by section 148 of the Code and the Tax Regulations and rulings thereunder, at no time prior to the final maturity of the Bonds will it enter into any transaction that reduces the amount required to be paid to the United States pursuant to paragraph (h) of this Section because such transaction results in a smaller profit or a larger loss than would have resulted if the transaction had been at arm's length and had the Yield on the Bonds not been relevant to each party. 0) Bonds Not Hedge Bonds. (1) The Authority represents that none of the Original Issue was, and covenants that the Bonds will not be, "hedge bonds" within the meaning of section 149(g) of the Code. (2) Without limitation of paragraph (1) above, the Authority warrants as to each of its Original Issue that: (I) on each date of issuance of that issue, the Authority reasonably expected that at least 85% of the spendable proceeds of that Original Issue would be expended within the three-year period commencing on such date of issuance, and (II) no more than 50% of the proceeds of that Original Issue at any time has been invested in Nonpurpose Investments having a substantially guaranteed yield for a period of four years or more. (k) Elections. The Authority hereby directs and authorizes any Responsible Officer to make elections permitted or required pursuant to the provisions of the Code or the Tax Regulations, as such Responsible Officer (after consultation with Bond Counsel) deems necessary or appropriate in connection with the Bonds, in the Tax Certificate relating to the Bonds or similar or other appropriate certificate, form or document. SECTION 5.09. Further Assurances. The Authority will adopt, make, execute and deliver any and all such further resolutions, instruments and assurances as may be reasonably necessary or proper to carry out the intention or to facilitate the performance of this Indenture, and for the better assuring and confirming unto the Owners of the Bonds the rights and benefits provided in this Indenture. 30 ARTICLE VI THE TRUSTEE SECTION 6.01. Appointment of Trustee. The Bank of New York Mellon Trust Company, N.A., a national banking association duly organized and existing under and by virtue of the laws of the United States of America, is hereby appointed Trustee by the Authority for the purpose of receiving all moneys required to be deposited with the Trustee hereunder and to allocate, use and apply the same as provided in this Indenture. The Authority agrees that it will maintain a Trustee which has (or which is a wholly -owned subsidiary of a corporation which has) a combined capital and surplus of at least $75,000,000, and which is subject to supervision or examination by Federal or State authority, so long as any Bonds are Outstanding. If such bank, national banking association or trust company or such parent corporation publishes a report of condition at least annually pursuant to law or to the requirements of any supervising or examining authority above referred to, then for the purpose of this Section 6.01 the combined capital and surplus of such bank, national banking association or trust company or such parent corporation shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published. The Trustee is hereby authorized to pay the principal of and interest and redemption premium (if any) on the Bonds when duly presented for payment at maturity, or on redemption prior to maturity, and to cancel all Bonds upon payment thereof. The Trustee shall keep accurate records of all funds and accounts administered by it and of all Bonds paid and discharged. SECTION 6.02. Acceptance of Trusts. The Trustee hereby accepts the trusts imposed upon it by this Indenture, and agrees to perform such trusts, but only upon and subject to the following express terms and conditions: (a) The Trustee shall not be liable for any error of judgment made in good faith by a responsible officer of the Trustee, unless it shall be proved that the Trustee was negligent in ascertaining the pertinent facts. (b) Whenever in the administration of this Indenture the Trustee shall deem it desirable that a matter be proved or established prior to taking, suffering or omitting any action hereunder, the Trustee (unless other evidence is herein specifically prescribed) may, in the absence of bad faith on its part, rely upon a Certificate of the Authority. (c) The Trustee shall be under no obligation to exercise any of the rights or powers vested in it by this Indenture at the request or direction of any of the Owners pursuant to this Indenture, unless such Owners shall have offered to the Trustee security or indemnity satisfactory to it against the costs, expenses and liabilities which might be incurred by it in compliance with such request or direction. (d) The Trustee shall not be bound to make any investigation into the facts or matters stated in any resolution, certificate, statement, instrument, opinion, report, notice, request, direction, consent, order, bond or other paper or document. (e) The Trustee, prior to the occurrence of an Event of Default and after the curing or waiving of all Events of Default that may have occurred, undertakes to perform such duties and 31 only such duties as are specifically set forth in this Indenture and no covenants of or against the Trustee shall be implied in this Indenture. In case an Event of Default hereunder or under the Lease has occurred (which has not been cured or waived), the Trustee may exercise such of the rights and powers vested in it by this Indenture and by the Lease, and shall use the same degree of care and skill in the exercise of such rights and powers as a prudent person would exercise or use under the circumstances in the conduct of such person's own affairs. (f) The Trustee may execute any of the trusts or powers hereunder and perform the duties required of it hereunder either directly or by or through attorneys, receivers or agents, shall not be liable for the acts or omissions of such attorneys, receivers or agents appointed with due care, and shall be entitled to advice of counsel concerning all matters of trust and its duties hereunder. The Trustee may conclusively rely on an opinion of counsel as full and complete authorization and protection for any action taken, suffered or omitted by it hereunder. (g) The Trustee shall not be responsible for any recital herein, in the Lease, or in the Bonds, or for any of the supplements thereto or instruments of further assurance, or for the sufficiency of the security for the Bonds issued hereunder or intended to be secured hereby and makes no representation as to the validity or sufficiency of the Bonds, this Indenture or the Lease. The Trustee shall not be bound to ascertain or inquire as to the observance or performance of any covenants, conditions or agreements on the part of the Authority hereunder or on the part of the Authority or the City under the Lease. The Trustee shall not be responsible for the application of the proceeds of the Bonds paid over by it to the Authority in accordance with Section 9.03 hereof. (h) The Trustee may become the Owner or pledgee of Bonds secured hereby with the same rights it would have if not the Trustee; may acquire and dispose of other bonds or evidences of indebtedness of the Authority with the same rights it would have if it were not the Trustee; and may act as a depositary for and permit any of its officers or directors to act as a member of, or in any other capacity with respect to, any committee formed to protect the rights of Owners of Bonds, whether or not such committee shall represent the Owners of the majority in aggregate principal amount of the Bonds then Outstanding. (i) The Trustee may rely and shall be protected in acting or refraining from acting, in good faith and without negligence, upon any notice, resolution, opinion, report, direction, request, requisition, consent, certificate, order, affidavit, letter, telegram or other paper or document believed by it to be genuine and to have been signed or presented by the proper person or persons. Any action taken or omitted to be taken by the Trustee in good faith and without negligence pursuant to this Indenture or the Lease upon the request or authority or consent of any person who at the time of making such request or giving such authority or consent is the Owner of any Bond, shall be conclusive and binding upon all future Owners of the same Bond and upon Bonds issued in exchange therefor or in place thereof. The Trustee shall not be bound to recognize any person as an Owner of any Bond or to take any action at his request unless the ownership of such Bond by such person shall be reflected on the Registration Books. 0) The permissive right of the Trustee to do things enumerated in this Indenture or in the Lease shall not be construed as a duty and it shall not be answerable for other than its 32 negligence or willful misconduct. The immunities and exceptions from liability of the Trustee shall extend to its officers, directors, employees and agents. (k) The Trustee shall not be required to take notice or be deemed to have notice of any Event of Default hereunder or under the Lease except failure by the Authority or the City to make any of the payments to the Trustee required to be made by the Authority pursuant hereto or thereto or failure by the Authority or the City to file with the Trustee any document required by this Indenture or the Lease to be so filed subsequent to the issuance of the Bonds, unless the Trustee shall be specifically notified in writing of such default by the Authority or by the Owners of at least 25% in aggregate principal amount of the Bonds then Outstanding and all notices or other instruments required by this Indenture to be delivered to the Trustee must, to be effective, be delivered at the Trust Office of the Trustee, and in the absence of such notice so delivered the Trustee may conclusively assume there is no Event of Default hereunder except as aforesaid. (1) At any and all reasonable times the Trustee and its duly authorized agents, attorneys, experts, accountants and representatives, shall have the right but shall not be required to inspect all books, papers and records of the Authority pertaining to the Bonds, and to make copies of any of such books, papers and records which are not privileged by statute or by law. (m) The Trustee shall not be required to give any bond or surety in respect of the execution of the trusts and powers or otherwise in respect of the premises hereof. (n) Notwithstanding anything elsewhere in this Indenture with respect to the execution of any Bonds, the withdrawal of any cash, the release of any property, or any action whatsoever within the purview of this Indenture, the Trustee shall have the right, but shall not be required, to demand any showings, certificates, opinions, appraisals or other information, or corporate action or evidence thereof, as may be deemed desirable for the purpose of establishing the right of the Authority to the execution of any Bonds, the withdrawal of any cash or the taking of any other action by the Trustee. (o) All moneys received by the Trustee shall, until used or applied or invested as herein provided, be held in trust for the purposes for which they were received but need not be segregated from other funds except to the extent required by law. (p) Whether or not expressly provided therein, every provision of this Indenture, the Site Lease and the Lease relating to the conduct or affecting the liability of the Trustee shall be subject to the provisions of this Section. (q) The Trustee shall have no responsibility with respect to any information, statement, or recital in any official statement, offering memorandum or any other disclosure material prepared or distributed with respect to the Bonds. (r) The Trustee is authorized and directed to enter into the Assignment Agreement in its capacity as Trustee. (s) The Trustee shall have the right to accept and act upon instructions, including funds transfer instructions ("Instructions") given pursuant to this Indenture and delivered using Electronic Means ("Electronic Means" shall mean the following communications methods: e- 33 mail, facsimile transmission, secure electronic transmission containing applicable authorization codes, passwords and/or authentication keys issued by the Trustee, or another method or system specified by the Trustee as available for use in connection with its services hereunder); provided, however, that the Authority and City shall provide to the Trustee an incumbency certificate listing officers with the authority to provide such Instructions ("Authorized Officers") and containing specimen signatures of such Authorized Officers, which incumbency certificate shall be amended by the Authority and City whenever a person is to be added or deleted from the listing. If the Authority and City elect to give the Trustee Instructions using Electronic Means and the Trustee in its discretion elects to act upon such Instructions, the Trustee's understanding of such Instructions shall be deemed controlling. The Authority and City understand and agrees that the Trustee cannot determine the identity of the actual sender of such Instructions and that the Trustee shall conclusively presume that directions that purport to have been sent by an Authorized Officer listed on the incumbency certificate provided to the Trustee have been sent by such Authorized Officer. The Authority and City shall be responsible for ensuring that only Authorized Officers transmit such Instructions to the Trustee and that the Authority and City and all Authorized Officers are solely responsible to safeguard the use and confidentiality of applicable user and authorization codes, passwords and/or authentication keys upon receipt by the Authority and City. The Trustee shall not be liable for any losses, costs or expenses arising directly or indirectly from the Trustee's reliance upon and compliance with such Instructions notwithstanding such directions conflict or are inconsistent with a subsequent written instruction. The Authority and City agree: (i) to assume all risks arising out of the use of Electronic Means to submit Instructions to the Trustee, including without limitation the risk of the Trustee acting on unauthorized Instructions, and the risk of interception and misuse by third parties; (ii) that it is fully informed of the protections and risks associated with the various methods of transmitting Instructions to the Trustee and that there may be more secure methods of transmitting Instructions than the method(s) selected by the Authority and City; (iii) that the security procedures (if any) to be followed in connection with its transmission of Instructions provide to it a commercially reasonable degree of protection in light of its particular needs and circumstances; and (iv) to notify the Trustee immediately upon learning of any compromise or unauthorized use of the security procedures. (t) The Trustee shall not be liable to the parties hereto or deemed in breach or default hereunder if and to the extent its performance hereunder is prevented by reason of force majeure. The term "force majeure" means an occurrence that is beyond the control of the Trustee and could not have been avoided by exercising due care. Force majeure shall include, but not be limited to, acts of God, terrorism, war, riots, strikes, fire, floods, earthquakes, epidemics or other similar occurrences. (u) The Trustee shall not be liable in connection with the performance of its duties hereunder, except for its own negligence or willful misconduct. SECTION 6.03. Fees, Charges and Expenses of Trustee. The Trustee shall be paid and reimbursed by the Authority for reasonable fees for its services rendered hereunder and all advances (with interest on such advances at the maximum rate allowed by law), counsel fees (including expenses) and other expenses reasonably and necessarily made or incurred by the Trustee in connection with such services. Upon the occurrence of an Event of Default hereunder, but only upon an Event of Default, the Trustee shall have a first lien with right of payment prior 34 to payment of any Bond upon the amounts held hereunder for the foregoing fees, charges and expenses incurred by it. When the Trustee incurs expenses or renders services after the occurrence of an Event of Default, such expenses and the compensation for such services are intended to constitute expenses of administration under any federal or state bankruptcy, insolvency, arrangement, moratorium, reorganization or other debtor relief law. SECTION 6.04. Notice to Owners of Default. If an Event of Default hereunder or under the Lease occurs with respect to any Bonds of which the Trustee has been given or is deemed to have notice, as provided in Section 6.02(k) hereof, then the Trustee shall, within 30 days of the receipt of such notice, give written notice thereof by first class mail to the Owner of each such Bond, unless such Event of Default shall have been cured before the giving of such notice; provided, however, that unless such Event of Default consists of the failure by the Authority to make any payment when due, the Trustee may elect not to give such notice if and so long as the Trustee in good faith determines that it is in the best interests of the Owners not to give such notice. SECTION 6.05. Intervention by Trustee. In any judicial proceeding to which the Authority or the City is a parry that, in the opinion of the Trustee and its counsel, has a substantial bearing on the interests of Owners of any of the Bonds, the Trustee may intervene on behalf of such Owners, and subject to Section 6.02(c), shall do so if requested in writing by the Owners of at least 25% in aggregate principal amount of such Bonds then Outstanding. SECTION 6.06. Removal of Trustee. The Trustee may be removed at any time by an instrument or concurrent instruments in writing, filed with the Trustee and signed by the Owners of a majority in aggregate principal amount of the Outstanding Bonds. The Authority may also remove the Trustee at any time upon 30 days' notice, except during the existence of an Event of Default. The Trustee may be removed at any time for any breach of the Trustee's duties set forth herein. SECTION 6.07. Resignation by Trustee. The Trustee and any successor Trustee may at any time give written notice of its intention to resign as Trustee hereunder, such notice to be given to the Authority and the City by registered or certified mail. Upon receiving such notice of resignation, the Authority shall promptly appoint a successor Trustee. Any resignation or removal of the Trustee and appointment of a successor Trustee shall become effective upon acceptance of appointment by the successor Trustee. Upon such acceptance, the Authority shall cause notice thereof to be given by first class mail, postage prepaid, to the Owners at their respective addresses set forth on the Registration Books. SECTION 6.08. Appointment of Successor Trustee. In the event of the removal or resignation of the Trustee pursuant to Sections 6.06 or 6.07, respectively, the Authority shall promptly appoint a successor Trustee. In the event the Authority shall for any reason whatsoever fail to appoint a successor Trustee within 60 days following the delivery to the Trustee of the instrument described in Section 6.06 or within 60 days following the receipt of notice by the Authority pursuant to Section 6.07, the Trustee may, at the expense of the Authority, apply to a court of competent jurisdiction for the appointment of a successor Trustee meeting the requirements of Section 6.01. Any such successor Trustee appointed by such court shall become 35 the successor Trustee hereunder notwithstanding any action by the Authority purporting to appoint a successor Trustee following the expiration of such 60-day period. SECTION 6.09. Merger or Consolidation. Any company into which the Trustee may be merged or converted or with which it may be consolidated or any company resulting from any merger, conversion or consolidation to which it shall be a parry or any company to which the Trustee may sell or transfer all or substantially all of its corporate trust business, provided that such company shall meet the requirements set forth in Section 6.01, shall be the successor to the Trustee and vested with all of the title to the trust estate and all of the trusts, powers, discretions, immunities, privileges and all other matters as was its predecessor, without the execution or filing of any paper or further act, anything herein to the contrary notwithstanding. SECTION 6.10. Concerning any Successor Trustee. Every successor Trustee appointed hereunder shall execute, acknowledge and deliver to its predecessor and also to the Authority an instrument in writing accepting such appointment hereunder and thereupon such successor, without any further act, deed or conveyance, shall become fully vested with all the estates, properties, rights, powers, trusts, duties and obligations of its predecessors; but such predecessor shall, nevertheless, on the Request of the Authority, or of the Trustee's successor, execute and deliver an instrument transferring to such successor all the estates, properties, rights, powers and trusts of such predecessor hereunder; and every predecessor Trustee shall deliver all securities and moneys held by it as the Trustee hereunder to its successor. Should any instrument in writing from the Authority be required by any successor Trustee for more fully and certainly vesting in such successor the estate, rights, powers and duties hereby vested or intended to be vested in the predecessor Trustee, any and all such instruments in writing shall, on request, be executed, acknowledged and delivered by the Authority. SECTION 6.11. Appointment of Co -Trustee. It is the purpose of this Indenture that there shall be no violation of any law of any jurisdiction (including particularly the law of the State) denying or restricting the right of banking corporations or associations to transact business as Trustee in such jurisdiction. It is recognized that in the case of litigation under this Indenture, and in particular in case of the enforcement of the rights of the Trustee on default, or in the case the Trustee deems that by reason of any present or future law of any jurisdiction it may not exercise any of the powers, rights or remedies herein granted to the Trustee or hold title to the properties, in trust, as herein granted, or take any other action that may be desirable or necessary in connection therewith, it may be necessary that the Trustee or the Authority appoint an additional individual or institution as a separate trustee or co -trustee. The following provisions of this Section are adopted to these ends. If the Trustee or the Authority appoints an additional individual or institution as a separate trustee or co -trustee, each and every remedy, power, right, claim, demand, cause of action, immunity, estate, title, interest and lien expressed or intended by this Indenture to be exercised by or vested in or conveyed to the Trustee with respect thereto shall be exercisable by and vest in such separate trustee or co -trustee but only to the extent necessary to enable such separate trustee or co -trustee to exercise such powers, rights and remedies, and every covenant and obligation necessary to the exercise thereof by such separate trustee or co -trustee shall run to and be enforceable by either of them. 36 Should any instrument in writing from the Authority be required by the separate trustee or co -trustee so appointed by the Trustee for more fully and certainly vesting in and confirming to it such properties, rights, powers, trusts, duties and obligations, any and all such instruments in writing shall, on request, be executed, acknowledged and delivered by the Authority. In case any separate trustee or co -trustee, or a successor to either, shall become incapable of acting, shall resign or shall be removed, all the estates, properties, rights, powers, trusts, duties and obligations of such separate trustee or co -trustee, so far as permitted by law, shall vest in and be exercised by the Trustee until the appointment of a new trustee or successor to such separate trustee or co -trustee. SECTION 6.12. Indemnification; Limited Liability of Trustee. The Authority further covenants and agrees, to the extent permitted by law, to indemnify and save the Trustee and its officers, directors, agents and employees, harmless against any loss, expense, action, suit, claim, judgment and liabilities arising out of or in the exercise and performance of its powers and duties hereunder and under the Site Lease and the Lease, including the costs and expenses of defending against any claim of liability and fees and expenses of its attorneys, but excluding any and all losses, expenses and liabilities that are due to the negligence or willful misconduct of the Trustee, its officers, directors or employees. No provision in this Indenture shall require the Trustee to risk or expend its own funds or otherwise incur any financial liability hereunder. The Trustee shall not be liable for any action taken or omitted to be taken by it in accordance with the direction of the Owners of at least 25% in aggregate principal amount of Bonds Outstanding relating to the time, method and place of conducting any proceeding or remedy available to the Trustee under this Indenture or exercising any power conferred upon the Trustee under this Indenture. The obligations of the Authority under this Section shall survive the termination of this Indenture and the resignation or removal of the Trustee under this Indenture. ARTICLE VII MODIFICATION AND AMENDMENT OF THE INDENTURE SECTION 7.01. Amendment. This Indenture and the rights and obligations of the Authority, the Owners of Bonds of a Series may be modified or amended at any time by a Supplemental Indenture, which shall become binding to the extent permitted by law upon adoption, without consent of any Owner, but only for any one or more of the following purposes: (a) to issue Additional Bonds in accordance with Section 3.07 hereof, (b) to add to the covenants and agreements of the Authority in this Indenture contained, other covenants and agreements thereafter to be observed, or to limit or surrender any rights or powers herein reserved to or conferred upon the Authority so long as such limitation or surrender of such rights or powers shall not materially adversely affect the applicable Owners; (c) to make such provisions for the purpose of curing any ambiguity, or of curing, correcting or supplementing any defective provision contained in this Indenture, or in any other respect whatsoever as the Authority may deem necessary or desirable, provided under any circumstances that such modifications or amendments shall not materially adversely affect the interests of the applicable Owners in the reasonable judgment of the Authority; 37 (d) to maintain the exclusion of interest on the Bonds from gross income for federal income tax purposes under the Code, if applicable; or (e) for any other purpose that does not materially adversely affect the interests of the Owners. Except as set forth in the preceding paragraph of this Section, this Indenture and the rights and obligations of the Authority and of the Owners may only be modified or amended at any time by a Supplemental Indenture, which shall become binding when the written consent of the Owners of a majority in aggregate principal amount of the affected Bonds then Outstanding are filed with the Trustee. No such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or redemption premiums (if any) at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the Owner, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) modify any of the rights or obligations of the Trustee without its written consent thereto. SECTION 7.02. Effect of Supplemental Indenture. From and after the time any Supplemental Indenture becomes effective pursuant to this Article VII, this Indenture shall be deemed to be modified and amended in accordance therewith, the respective rights, duties and obligations of the parties hereto or thereto and all Owners of Outstanding Bonds, as the case may be, shall thereafter be determined, exercised and enforced hereunder subject in all respects to such modification and amendment, and all the terms and conditions of any Supplemental Indenture shall be deemed to be part of the terms and conditions of this Indenture for any and all purposes. Prior to entering into any Supplemental Indenture pursuant to this Section, the Authority shall deliver to the Trustee an opinion of Bond Counsel to the effect that such Supplemental Indenture has been adopted in accordance with the requirements of this Indenture. SECTION 7.03. Endorsement or Replacement of Bonds After Amendment. After the effective date of any action taken as hereinabove provided, the Authority may determine that the Bonds shall bear a notation, by endorsement in form approved by the Authority, as to such action, and in that case upon demand of the Owner at such effective date and presentation of such Bond for that purpose at the Trust Office of the Trustee, a suitable notation as to such action shall be made on such Bond. If the Authority shall so determine, new Bonds so modified as, in the opinion of the Authority, shall be necessary to conform to such Owners' action shall be prepared and executed, and in that case upon demand of the Owner at such effective date such new Bonds shall be exchanged at the Trust Office of the Trustee, without cost to each Owner, for Bonds then Outstanding, upon surrender of such Outstanding Bonds. ARTICLE VIII EVENTS OF DEFAULT AND REMEDIES OF OWNERS SECTION 8.01. Events of Default. The following events shall be Events of Default hereunder: (a) Default in the due and punctual payment of the principal of or premium on any Bond when and as the same shall become due and payable, whether at maturity as therein expressed, or by proceedings for redemption. (b) Default in the due and punctual payment of any installment of interest on any Bond when and as such interest installment shall become due and payable. (c) Any Event of Default (as defined in the Lease) shall have occurred and be continuing. (d) Failure by the Authority to observe and perform any of the covenants, agreements or conditions on its part in this Indenture or in the Bonds contained, other than as referred to in the preceding clauses (a) and (b), for a period of thirty (30) days after written notice, specifying such failure and requesting that it be remedied has been given to the Authority by the Trustee, or to the Authority and the Trustee by the Owners of not less than 50% in aggregate principal amount of the Outstanding Bonds; provided, that if such default is such that it cannot be corrected within the applicable period, it shall not constitute an Event of Default if corrective action is instituted by the Authority within the applicable period and diligently pursued until the default is corrected, which period shall not be longer than sixty (60) days from the date of written notice specifying the failure. (e) The filing by the Authority of a petition or answer seeking reorganization or arrangement under the Federal bankruptcy laws or any other applicable law of the United States of America, or if a court of competent jurisdiction shall approve a petition, filed with or without the consent of the Authority, seeking reorganization under the Federal bankruptcy laws or any other applicable law of the United States of America, or if, under the provisions of any other law for the relief or aid of debtors, any court of competent jurisdiction shall assume custody or control of the Authority or of the whole or any substantial part of its property. SECTION 8.02. Remedies; No Acceleration. Upon the occurrence of an Event of Default the Trustee shall have the right: (a) by mandamus or other action or proceeding or suit at law or in equity to enforce its rights against the Authority or any member, officer or employee thereof, to compel the Authority or any such member, officer or employee to perform and carry out its or his or her duties under law and the agreements and covenants required to be performed by it or him contained herein or in the Lease; (b) by suit in equity to enjoin any acts or things which are unlawful or violate the rights of the Trustee; or (c) by suit in equity upon the happening of an Event of Default to require the Authority and its members, officers and employees to account as the trustee of an express trust. If an Event of Default shall have occurred and be continuing and if requested so to do by the Owners of a majority in aggregate principal amount of Outstanding Bonds and indemnified as provided in Section 6.02(c), the Trustee shall be obligated to exercise such one or more of the 39 rights and powers conferred by this Article VIII, as the Trustee, being advised by counsel, shall deem most expedient in the interests of the Owners. No remedy by the terms of this Indenture conferred upon or reserved to the Trustee (or to the Owners) is intended to be exclusive of any other remedy, but each and every such remedy shall be cumulative and shall be in addition to any other remedy given to the Trustee or the Owners hereunder or now or hereafter existing at law or in equity. No delay or omission to exercise any right or power accruing upon any Event of Default shall impair any such right or power or shall be construed to be a waiver or any such Event of Default or acquiescence therein; such right or power may be exercised from time to time as often as may be deemed expedient. The Trustee shall have no right to declare the principal of or interest on the Bonds to be due and payable immediately. Nothing herein shall be deemed to authorize the Trustee to authorize or consent to or accept or adopt on behalf of any Owner any plan of reorganization, arrangement, adjustment, or composition affecting the Bonds or the rights of any Owner thereof, or to authorize the Trustee to vote in respect of the claim of any Owner in any such proceeding without the approval of the Owners so affected. SECTION 8.03. Application of Revenues and Other Funds After Default. All amounts received by the Trustee pursuant to any right given or action taken by the Trustee under the provisions of this Indenture shall be applied by the Trustee in the following order of priority: First, to the payment of the fees, costs and expenses of the Trustee, including reasonable compensation to its agents, attorneys and counsel; Second, to the payment of the whole amount of interest on and principal of the Bonds of the applicable Series then due and unpaid, with interest on overdue installments of principal and interest to the extent permitted by law at the lesser of 12% per annum or the maximum rate permitted by law; provided, however, that in the event such amounts shall be insufficient to pay in full the full amount of such interest and principal, then such amounts shall be applied to the payment of such principal and interest without preference or priority of principal over interest, or interest over principal, or of any installment of interest over any other installment of interest, ratably to the aggregate of such principal and interest. SECTION 8.04. Power of Trustee to Control Proceedings. If the Trustee, upon the happening of an Event of Default, shall have taken any action, by judicial proceedings or otherwise, pursuant to its duties hereunder, whether upon its own discretion or upon the request of the Owners of at least a majority in aggregate principal amount of the Bonds then Outstanding, it shall have full power, in the exercise of its discretion for the best interests of the Owners of the Bonds, with respect to the continuance, discontinuance, withdrawal, compromise, settlement or other disposal of such action; provided, however, that the Trustee shall not, unless there no longer continues an Event of Default, discontinue, withdraw, compromise or settle, or otherwise dispose of any litigation pending at law or in equity, if at the time there has been filed M with it a written request signed by the Owners of a majority in aggregate principal amount of the Outstanding Bonds opposing such discontinuance, withdrawal, compromise, settlement or other disposal of such litigation and if the Trustee is indemnified as provided in Section 6.02(c). Any suit, action or proceeding which any Owner shall have the right to bring to enforce any right or remedy hereunder may be brought by the Trustee for the equal benefit and protection of all Owners similarly situated and the Trustee is hereby appointed (and the successive respective Owners issued hereunder by taking and holding the same, shall be conclusively deemed so to have appointed it) the true and lawful attorney -in -fact of the respective Owners for the purpose of bringing any such suit, action or proceeding and to do and perform any and all acts and things for and on behalf of the respective Owners as a class or classes, as may be necessary or advisable in the opinion of the Trustee as such attorney -in -fact. SECTION 8.05. Appointment of Receivers. Upon the occurrence of an Event of Default hereunder, and upon the filing of a suit or other commencement of judicial proceedings to enforce the rights of the Trustee and of the Owners under this Indenture, the Trustee shall be entitled, as a matter of right, to the appointment of a receiver or receivers of the Revenues and other amounts pledged hereunder, pending such proceedings, with such powers as the court making such appointment shall confer. SECTION 8.06. Non -Waiver. A waiver of any default or breach of duty or contract by the Trustee or any Owners shall not affect any subsequent default or breach of duty or contract, or impair any rights or remedies on any such subsequent default or breach. No delay or omission of the Trustee or any Owner to exercise any right or power accruing upon any default shall impair any such right or power or shall be construed to be a waiver of any such default or an acquiescence therein; and every power and remedy conferred upon the Trustee or Owners by the Bond Law or by this Article VIII may be enforced and exercised from time to time and as often as shall be deemed expedient by the Trustee or the Owners, as the case may be. SECTION 8.07. Rights of Owners. No Owner shall have the right to institute any suit, action or proceeding at law or in equity, for any remedy under or upon this Indenture, unless (a) such Owner shall have previously given to the Trustee written notice of the occurrence of an Event of Default; (b) the Owners of a majority in aggregate principal amount of all the Bonds then Outstanding shall have made written request upon the Trustee to exercise the powers hereinbefore granted or to institute such action, suit or proceeding in its own name; (c) such Owners shall have tendered to the Trustee indemnity acceptable to the Trustee against the costs, expenses and liabilities to be incurred in compliance with such request; and (d) the Trustee shall have refused or omitted to comply with such request for a period of 60 days after such written request shall have been received by, and such tender of indemnity shall have been made to, the Trustee. Such notification, request, tender of indemnity and refusal or omission are hereby declared, in every case, to be conditions precedent to the exercise by any Owner of any remedy hereunder; it being understood and intended that no one or more Owners shall have any right in any manner whatever by his or their action to enforce any right under this Indenture, except in the manner herein provided, and that all proceedings at law or in equity to enforce any provision of this Indenture shall be instituted, had and maintained in the manner herein provided and for the equal benefit of all Owners. 41 The right of any Owner to receive payment of the principal of and interest and premium (if any) on such Bond as herein provided or to institute suit for the enforcement of any such payment, shall not be impaired or affected without the written consent of such Owner, notwithstanding the foregoing provisions of this Section or any other provision of this Indenture. SECTION 8.08. Termination of Proceedings. In case the Trustee shall have proceeded to enforce any right under this Indenture by the appointment of a receiver or otherwise, and such proceedings shall have been discontinued or abandoned for any reason, or shall have been determined adversely, then and in every such case, the Authority, the Trustee and the Owners shall be restored to their former positions and rights hereunder, respectively, with regard to the property subject to this Indenture, and all rights, remedies and powers of the Trustee shall continue as if no such proceedings had been taken. ARTICLE IX MISCELLANEOUS SECTION 9.01. Limited Liability of Authority. Notwithstanding anything in this Indenture contained, the Authority shall not be required to advance any moneys derived from any source of income other than the Revenues for the payment of the principal of or interest on the Bonds, or any premiums upon the redemption thereof, or for the performance of any covenants herein contained (except to the extent any such covenants are expressly payable hereunder from the Revenues or otherwise from amounts payable under the Lease). The Authority may, however advance funds for any such purpose, provided that such funds are derived from a source legally available for such purpose and may be used by the Authority for such purpose without incurring indebtedness. The Bonds shall be revenue bonds, payable exclusively from the Revenues and other funds as in this Indenture provided. The general fund of the Authority is not liable, and the full faith and credit of the Authority is not pledged, for the payment of the interest and premiums (if any) on or principal of the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in this Indenture. The Owners shall never have the right to compel the forfeiture of any property of the Authority except the Revenues and other funds pledged to the payment of the Bonds as provided in this Indenture. The principal of and interest on the Bonds, and any premiums upon the redemption of any thereof, shall not be a legal or equitable pledge, charge, lien or encumbrance upon any property of the Authority or upon any of its income, receipts or revenues except the Revenues and other funds (other than amounts on deposit in the Rebate Fund) pledged to the payment thereof as provided in this Indenture. SECTION 9.02. Benefits of Indenture Limited to Parties. Nothing in this Indenture, expressed or implied, is intended to give to any person other than the Authority, the Trustee, the City and the Owners, any right, remedy or claim under or by reason of this Indenture. Any covenants, stipulations, promises or agreements in this Indenture contained by and on behalf of the Authority shall be for the sole and exclusive benefit of the Trustee, the City and the Owners. 42 SECTION 9.03. Defeasance; Discharge of Indenture. If the Authority shall pay and discharge any or all of the Outstanding Bonds in any one or more of the following ways: (a) by well and truly paying or causing to be paid the principal of and interest and premiums (if any) on such Bonds, as and when the same become due and payable; (b) by irrevocably depositing with the Trustee, in trust, at or before maturity, money which, together with the available amounts then on deposit in the funds and accounts established with the Trustee pursuant to this Indenture, is fully sufficient to pay such Bonds, including all principal, interest and redemption premiums (if any); or (c) by irrevocably depositing with the Trustee or an escrow agent, in trust pursuant to an escrow deposit agreement, Defeasance Securities in such amount as an Independent Certified Public Accountant shall determine in a written report acceptable to the Authority in form and substance, and addressed, to the Authority and the Trustee, filed with the Trustee (upon which report the Trustee may conclusively rely) will, together with the interest to accrue thereon and available moneys then on deposit in the funds and accounts established with the Trustee pursuant to this Indenture, be fully sufficient to pay and discharge the indebtedness on such Bonds (including all principal, interest and redemption premiums) at or before their respective maturity dates; and delivering an opinion of Bond Counsel acceptable to the Authority in form and substance, and addressed, to the Authority and the Trustee to the effect that the Bonds are no longer Outstanding under the Indenture, and if such Bonds are to be redeemed prior to the maturity thereof notice of such redemption shall have been mailed pursuant to Section 2.03(d) or provision satisfactory to the Trustee shall have been made for the mailing of such notice, then, at the Request of the Authority, and notwithstanding that any of such Bonds shall not have been surrendered for payment, the pledge of the Revenues and other funds provided for in this Indenture with respect to such Bonds, and all other pecuniary obligations of the Authority under this Indenture with respect to all such Bonds, shall cease and terminate, except only the obligation of the Authority to pay or cause to be paid to the Owners not so surrendered and paid all sums due thereon from amounts set aside for such purpose as aforesaid, and all amounts due the Trustee. Any funds held by the Trustee following any payment or discharge of the Outstanding Bonds pursuant to this Section, which are not required for such purposes, shall after payment of amounts due the Trustee hereunder be paid over to the Authority for use by the Authority for any lawful purpose. SECTION 9.04. Successor is Deemed Included in All References to Predecessor. Whenever in this Indenture or any Supplemental Indenture the Authority is named or referred to, such reference shall be deemed to include the successor to the powers, duties and functions, with respect to the management, administration and control of the affairs of the Authority, that are presently vested in the Authority, and all the covenants, agreements and provisions contained in this Indenture by or on behalf of the Authority shall bind and inure to the benefit of its successors whether so expressed or not. 43 SECTION 9.05. Content of Certificates and Opinions. Every certificate or opinion with respect to compliance with a condition or covenant provided for in this Indenture except the certificate of destruction pursuant to Section 9.10 shall include (a) a statement that the person or persons making or giving such certificate or opinion have read such covenant or conditions and the definitions herein relating thereto; (b) a brief statement as to the nature and scope of the examination or investigation upon which the statements or opinions contained in such certificate or opinion are based; (c) a statement that, in the opinion of the signers, they have made or caused to be made such examination or investigation as is necessary to enable them to express an informed opinion as to whether or not such covenant or condition has been complied with; and (d) a statement as to whether, in the opinion of the signers, such condition or covenant has been complied with. Any such certificate made or given by an officer of the Authority may be based, insofar as it relates to legal matters, upon a certificate or opinion of or representations by counsel, unless such officer knows that the certificate or opinion or representations with respect to the matters upon which his certificate may be based, as aforesaid, are erroneous, or in the exercise of reasonable care should have known that the same were erroneous. Any such certificate or opinion or representation made or given by counsel may be based, insofar as it relates to factual matters, on information with respect to which is in the possession of the Authority, or upon the certificate or opinion of or representations by an officer or officers of the Authority, unless such counsel knows that the certificate or opinion or representations with respect to the matters upon which his certificate, opinion or representation may be based, as aforesaid, are erroneous, or in the exercise of reasonable care should have known that the same were erroneous. SECTION 9.06. Execution of Documents by Owners. Any request, consent or other instrument required by this Indenture to be signed and executed by Owners may be in any number of concurrent writings of substantially similar tenor and may be signed or executed by such Owners in person or by their agent or agents duly appointed in writing. Proof of the execution of any such request, consent or other instrument or of a writing appointing any such agent, shall be sufficient for any purpose of this Indenture and shall be conclusive in favor of the Trustee and of the Authority if made in the manner provided in this Section. The fact and date of the execution by any person of any such request, consent or other instrument or writing may be proved by the affidavit of a witness of such execution or by the certificate of any notary public or other officer of any jurisdiction, authorized by the laws thereof to take acknowledgments of deeds, certifying that the person signing such request, consent or other instrument or writing acknowledged to him the execution thereof. The ownership of Bonds shall be proved by the Registration Books. Any request, consent or vote of the Owner shall bind every future Owner with respect to the same Bond and the Owner with respect to any Bond issued in exchange therefor or in lieu thereof, in respect of anything done or suffered to be done by the Trustee or the Authority in pursuance of such request, consent or vote. In lieu of obtaining any demand, request, direction, consent or waiver in writing, the Trustee may call and hold a meeting of the Owners upon such notice and in accordance with such rules and obligations as the Trustee considers fair and reasonable for the purpose of obtaining any such action. SECTION 9.07. Disqualified Bonds. In determining whether the Owners of the requisite aggregate principal amount of Bonds have concurred in any demand, request, direction, consent or waiver under this Indenture, unless all Bonds are then so owned, Bonds that are owned or held by or for the account of the City or the Authority (but excluding Bonds held in any employees' retirement fund) shall be disregarded and deemed not to be Outstanding for the purpose of any such determination; provided, however, that for the purpose of determining whether the Trustee shall be protected in relying on any such demand, request, direction, consent or waiver, only Bonds which the Trustee knows to be so owned or held shall be disregarded. Upon request of the Trustee, the Authority and the City shall specify in a certificate to the Trustee those Bonds disqualified pursuant to this Section and the Trustee may conclusively rely on such certificate. SECTION 9.08. Waiver of Personal Liability. No official, officer, agent or employee of the Authority shall be individually or personally liable for the payment of the interest on or principal of the Bonds; but nothing herein contained shall relieve any such official, officer, agent or employee from the performance of any official duty provided by law. SECTION 9.09. Partial Invalidity. If any one or more of the covenants or agreements, or portions thereof, provided in this Indenture on the part of the Authority (or of the Trustee) to be performed should be contrary to law, then such covenant or covenants, such agreement or agreements, or such portions thereof, shall be null and void and shall be deemed separable from the remaining covenants and agreements or portions thereof and shall in no way affect the validity of this Indenture or of the Bonds; but the Owners shall retain all rights and benefits accorded to them under the Bond Law or any other applicable provisions of law. SECTION 9.10. Destruction of Canceled Bonds. Whenever in this Indenture provision is made for the surrender of any Bonds which have been paid or canceled pursuant to the provisions of this Indenture, the Trustee shall cancel and destroy such Bonds and upon Request of the Authority furnish to the Authority a certificate of such destruction. SECTION 9.11. Funds and Accounts. Any fund or account required by this Indenture to be established and maintained by the Authority or the Trustee may be established and maintained in the accounting records of the Authority or the Trustee, as the case may be, either as a fund or an account, and may, for the purpose of such records, any audits thereof and any reports or statements with respect thereto, be treated either as a fund or as an account. All such records with respect to all such funds and accounts held by the Authority shall at all times be maintained in accordance with generally accepted accounting principles and all such records with respect to all such funds and accounts held by the Trustee shall be at all times maintained in accordance with corporate trust industry practices; in each case with due regard for the protection of the security of the Bonds and the rights of every Owner thereof. SECTION 9.12. Payment on Business Days. Whenever in this Indenture any amount is required to be paid on a day that is not a Business Day, such payment shall be required to be made, without accruing additional interest thereby, on the Business Day immediately following such day. 45 SECTION 9.13. Notices. All notices, requests and other communications provided for hereunder shall be in electronic, telephonic or written form and shall be given to the party to whom sent, addressed to it, at its address or other address or telephone, number telecopier as such party may hereafter specify for the purpose by notice to the other parties set forth below. Each such notice, request or communication shall be effective (i) if given by telephone, telecopier or other electronic means, when such communication is transmitted to the address specified below and any appropriate answerback or confirmation is received, (ii) if given by certified or registered mail, return receipt requested, on the date of receipt appearing on the return postal receipt for notices given by certified or registered mail, (iii) if given by hand delivery, when delivered at the address specified below: If to the Authority: Santa Clarita Public Financing Authority c/o City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: Deputy City Manager/Director of Administrative Services 661-255-4925 If to the City: City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: Deputy City Manager/Director of Administrative Services 661-255-4925 If to the Trustee: The Bank of New York Mellon Trust Company, N.A. 400 S. Hope Street, Suite 500 Los Angeles, California 90071 Attention: Corporate Trust Department Reference: City of Santa Clarita 2016A LRB 213-630-6465 The Authority and the Trustee may designate any further or different addresses to which subsequent notices, certificates or other communications shall be sent. SECTION 9.14. Unclaimed Moneys. Anything in this Indenture to the contrary notwithstanding, any moneys held by the Trustee in trust for the payment and discharge of any of the Bonds that remain unclaimed for two years after the date when such Bonds have become due and payable, either at their stated maturity dates or by call for earlier redemption, if such moneys were held by the Trustee at such date, or for two years after the date of deposit of such moneys if deposited with the Trustee after such date when such Bonds become due and payable, shall be repaid by the Trustee to the Authority, as its absolute property and free from trust, and the Trustee shall thereupon be released and discharged with respect thereto and the Owners shall look only to the Authority for the payment of such Bonds; provided, however, that before being required to make any such payment to the Authority, the Trustee shall, at the written request and expense of the Authority, cause to be mailed to the Owners, at their respective addresses 19 appearing on the Registration Books, a notice that such moneys remain unclaimed and that, after a date named in such notice, which date shall not be less than 30 days after the date of mailing of such notice, the balance of such moneys then unclaimed will be returned to the Authority. SECTION 9.15. Governing Law. This Indenture shall be construed and governed in accordance with the laws of the State of California. 47 IN WITNESS WHEREOF, the parties hereto have caused this Indenture to be signed by their respective officers, all as of the day and year first above written. AT SANTA CLARITA PUBLIC FINANCING AUTHORITY By7 Robert . Kellar, Chair THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee By A orized O icer EXHIBIT A [FORM OF BOND] UNLESS THIS BOND IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AS DEFINED IN THE INDENTURE) TO THE TRUSTEE FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY BOND ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN. SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE REFUNDING BOND (GOLDEN VALLEY ROAD) SERIES 2016A RATE OF INTEREST: MATURITY DATE: DATED DATE: CUSIP: REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: The SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority organized and existing under the laws of the State of California (the "Authority"), for value received, hereby promises to pay (but only out of the Revenues, as defined in the Indenture hereinafter referred to, and certain other moneys) to the Registered Owner identified above or registered assigns (the "Registered Owner"), on the Maturity Date identified above or any earlier redemption date, the Principal Amount identified above in lawful money of the United States of America; and to pay interest thereon at the Rate of Interest identified above in like money from the Interest Payment Date (as hereinafter defined) next preceding the date of authentication of this Bond (unless this Bond is authenticated on or before an Interest Payment Date and after the fifteenth calendar day of the month preceding such Interest Payment Date, in which case it shall bear interest from such Interest Payment Date, or unless this Bond is authenticated on or prior to November 15, 2016, in which event it shall bear interest from the Dated Date identified above; provided, however, that if, at the time of authentication of this Bond, interest is in default on this Bond, this Bond shall bear interest from the Interest Payment Date to which interest hereon has EN previously been paid or made available for payment), payable semiannually on June 1 and December 1 in each year, commencing December 1, 2016 (the "Interest Payment Dates") until payment of such Principal Amount in full. The Principal Amount hereof is payable by check or wire upon presentation hereof upon maturity or earlier redemption at the designated corporate trust office (the "Trust Office") of The Bank of New York Mellon Trust Company, N.A., as trustee (the "Trustee"). Interest hereon is payable by check of the Trustee mailed by first class mail on each Interest Payment Date to the Registered Owner hereof at the address of the Registered Owner as it appears on the registration books of the Trustee as of the fifteenth (15t') calendar day of the month preceding such Interest Payment Date (except that in the case of a Registered Owner of at least $1,000,000 in aggregate principal amount of Outstanding Bonds, such payment may, at such Registered Owner's option, be made by wire transfer of immediately available funds to an account located in the United States in accordance with written instructions provided by such Registered Owner prior to the fifteenth calendar day of the month preceding such Interest Payment Date). This Bond is one of a duly authorized issue of bonds of the Authority designated the "Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A" (herein, the "Bonds"), in an aggregate principal amount of $10,320,000 issued under an Indenture, dated as of June 1, 2016 (the "Indenture"), by and between the Authority and the Trustee. Reference is hereby made to the Indenture and all indentures supplemental thereto for a description of the rights thereunder of the owners of the Bonds, of the nature and extent of the Revenues (as that term is defined in the Indenture), of the rights, duties and immunities of the Trustee and of the rights and obligations of the Authority thereunder; and all of the terms of the Indenture are hereby incorporated herein and constitute a contract between the Authority and the Registered Owner hereof, and to all of the provisions of which Indenture the Registered Owner hereof, by acceptance hereof, assents and agrees. The Bonds are authorized to be issued pursuant to the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4, Chapter 5, Division 7, Title 1 of the Government Code of the State of California (the "Act"). The Bonds are special obligations of the Authority and, as and to the extent set forth in the Indenture, are payable solely from and secured by a first lien on and pledge of the Revenues as provided in the Indenture. All of the Bonds are equally secured by a pledge of, and charge and lien upon, all of the Revenues (other than deposits to the Rebate Fund created by the Indenture), and the Revenues (other than deposits to the Rebate Fund created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Bonds. The full faith and credit of the Authority are not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the Indenture. The Bonds have been issued for the purpose of refinancing certain capital improvements for the City. The Authority and the City have entered into a Lease Agreement, dated as of June 1, 2016 (the "Lease"), under which the City is obligated to pay amounts which are anticipated to be sufficient to enable the Authority to pay the principal of and interest on the Bonds. 01% The Bonds are subject to redemption prior to their maturity as provided in the Indenture. The Bonds are subject to redemption prior to their respective maturity dates, upon notice as provided in the Indenture, as a whole or in part on any date, from prepayments of Base Rental Payments made by the City pursuant to the Lease from funds received by the City due to a taking of the Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of Bonds pursuant to this paragraph shall be made at a redemption price equal to the sum of the principal of the Bonds to be redeemed plus accrued interest thereon to the date fixed for redemption, without premium. The Bonds may be issued in denominations of $5,000 or any integral multiple thereof. Subject to the limitations and upon payment of the charges, if any, provided in the Indenture, this Bond may be exchanged at the Trust Office of the Trustee for a like aggregate principal amount, interest rate and maturity of fully registered Bonds of other authorized denominations. This Bond is transferable by the Registered Owner hereof, in person or by his attorney duly authorized in writing, at the Trust Office of the Trustee, but only in the manner, subject to the limitations and upon payment of the charges provided in the Indenture, and upon surrender and cancellation of this Bond. Upon such transfer a new fully registered Bond or Bonds, of Authorized Denomination or Denominations, for the same aggregate principal amount and of the same maturity will be issued to the transferee in exchange herefor. The Authority and the Trustee may treat the Registered Owner hereof as the absolute owner hereof for all purposes, and the Authority and the Trustee shall not be affected by any notice to the contrary. The Trustee shall not be required to register the transfer or exchange of any Bond during the period in which the Trustee is selecting Bonds for redemption or any Bond selected for redemption. The Indenture and the rights and obligations of the Authority and of the owners of the Bonds and of the Trustee may be modified or amended from time to time and at any time in the manner, to the extent, and upon the terms provided in the Indenture; provided that no such modification or amendment shall (a) extend the maturity of or reduce the interest rate on any Bond or otherwise alter or impair the obligation of the Authority to pay the principal, interest or premiums at the time and place and at the rate and in the currency provided therein of any Bond without the express written consent of the owner of such Bond, (b) reduce the percentage of Bonds required for the written consent to any such amendment or modification, or (c) without its written consent thereto, modify any of the rights or obligations of the Trustee, all as more fully set forth in the Indenture. It is hereby certified that all things, conditions and acts required to exist, to have happened and to have been performed precedent to and in the issuance of this Bond do exist, have happened and have been performed in due time, form and manner as required by the Constitution and statutes of the State of California and by the Act (as such term is defined on the reverse side hereof) and the amount of this Bond, together with all other indebtedness of the Authority, does not exceed any limit prescribed by the Constitution or statutes of the State of California or by the Act. :c This Bond shall not be entitled to any benefit under the Indenture, or become valid or obligatory for any purpose, until the certificate of authentication hereon shall have been manually signed by the Trustee. IN WITNESS WHEREOF, the Authority has caused this Bond to be executed in its name and on its behalf by the manual signatures of its Chair and Secretary as of the Dated Date identified above. ATTEST: Secretary SANTA CLARITA PUBLIC FINANCING AUTHORITY Chair M TRUSTEE'S CERTIFICATE OF AUTHENTICATION This is one of the Bonds described in the within -mentioned Indenture and registered on the Bond Registration Books. Dated: , 20 THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee C1 Authorized Officer ASSIGNMENT For value received the undersigned do(es) hereby sell, assign and transfer unto , whose tax identification number is , the within - mentioned registered Bond and hereby irrevocably constitute(s) and appoint(s) attorney to transfer the same on the books of the Trustee with full power of substitution in the premises. Dated: Signature guaranteed: NOTE: The signature(s) on this Assignment must correspond with the name(s) as written on the face of the within Bond in every particular without alteration or enlargement or any change whatsoever. NOTICE: Signature must be guaranteed by a member of an institution which is a participant in the Securities Transfer Agent Medallion Program (STAMP) or other similar program. EXHIBIT B FORM OF COSTS OF ISSUANCE REQUISITION REQUISITION NO. with reference to $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A L The Santa Clarita Public Financing Authority (the "Authority") hereby requests The Bank of New York Mellon Trust Company, N.A., as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of June 1, 2016 (the "Indenture"), by and between the Authority and the Trustee, under the terms of which the Authority has issued its Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A, to pay from the moneys in the Costs of Issuance Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. It The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Costs of Issuance Fund. None of the items for which payment is requested has been reimbursed previously from the Costs of Issuance Fund. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: 42249543.3 B-1 EXHIBIT C FORM OF NET PROCEEDS REQUISITION REQUISITION NO. (to be numbered sequentially) with reference to $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A L The Santa Clarita Public Financing Authority (the "Authority") hereby requests The Bank of New York Mellon Trust Company, N.A., as trustee (the "Trustee"), pursuant to that certain Indenture, dated as of June 1, 2016 (the "Indenture"), by and between the Authority and the Trustee, under the terms of which the Authority has issued its Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A, to pay from the moneys in the Insurance and Condemnation Fund established pursuant to the Indenture, the amounts shown on Schedule I attached hereto to the parties indicated in Schedule I. II. The payees, the purposes for which the costs have been incurred, and the amount of the disbursements requested are itemized on Schedule I hereto. III. Each obligation mentioned in Schedule I hereto has been properly incurred and is a proper charge against the Insurance and Condemnation Fund. None of the items for which payment is requested has been reimbursed previously from the Insurance and Condemnation Fund. IV. There has not been filed with or served upon the City or the Authority a stop notice or any other notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the money payable to the person[s] named on Schedule I hereto which has not been released or will not be released simultaneously with the payment of such obligation, other than liens accruing by mere operation of law. Dated: , 20 SANTA CLARITA PUBLIC FINANCING AUTHORITY By_ Title: C-1 9/15//22 AFTER RECORDATION PLEASE RETURN TO: Norton Rose Fulbright US LLP 555 South Flower Street, Suite 4100 Los Angeles, California 90071 Attention: Maryann L. Goodkind, Esq. FIRST AMENDMENT TO LEASE AGREEMENT Dated as of October 1, 2022 by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and CITY OF SANTA CLARITA Relating to $10,645,000 $3,625,000 Santa Clarita Public Financing Authority Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility) Federally Taxable Lease Revenue Bonds Series 2020A (Recreational Facility) Series 2020A-T $[PRINCIPAL AMOUNT] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) THIS IS A FINANCING DOCUMENT. NO DOCUMENTARY TRANSFER TAX IS DUE PURSUANT TO REVENUE AND TAXATION CODE SECTION 11922 AND THIS DOCUMENT IS EXEMPT FROM RECORDING FEES PURSUANT TO GOVERNMENT CODE SECTION 27383. FIRST AMENDMENT TO LEASE AGREEMENT This First Amendment to Lease Agreement, dated as of October 1, 2022 (this "First Lease Amendment"), is made by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority duly organized and existing under the laws of the State of California (the "Authority"), as lessor, and the CITY OF SANTA CLARITA, a city duly organized and existing under the laws of the State of California (the "City"), as lessee. RECITALS: WHEREAS, the Authority is a joint powers authority duly organized and existing under and pursuant to that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City of Santa Clarita, California (the "City"), the City as successor agency to the Redevelopment Agency of the City of Santa Clarita (no longer a member), and the Santa Clarita Parking Authority, establishing the Authority for the purpose, among other things, of issuing its bonds to be used to provide financing and refinancing for public capital improvements of the City; and WHEREAS, pursuant to the Indenture, dated as of October 1, 2020 (the "Original Indenture") by and between the Authority and the Trustee, the Authority issued the $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds Lease Revenue Bonds (Recreational Facility) Series 2020A and the $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 202OA-T (collectively, the "2020 Bonds"), for the purpose of financing the acquisition of an approximately 93,000 square foot recreation facility (the "Facility") located on an approximately 4.4 acre parcel located at 27745 Smyth Drive within the City (the "Site" and together with the Facility, the "Recreational Facility"); WHEREAS, to facilitate the issuance of the 2020 Bonds, the City and the Authority entered into a Site and Facility Lease, dated as of October 1, 2020 (the "Site Lease"), whereby the Authority has agreed to lease the Recreational Facility (the "Leased Property") and described on Exhibit "A" attached hereto, and the Authority and the City entered into that certain Lease Agreement, dated as of October 1, 2020 (the "Original Lease"), between the Authority and the City, whereby the Authority has agreed to sublease the Leased Property back to the City, and the City is obligated to make Base Rental Payments (as defined therein) to the Authority for the sublease of the Leased Property; WHEREAS, the Original Indenture provides that, for any purpose the Authority may at any time issue one or more Series of Additional Bonds (in addition to the Series 2020 Bonds) payable from Revenues as provided therein on a parity with all other Bonds theretofore issued thereunder, but only subject to the conditions precedent to the issuance of such Additional Bonds specified in the Original Indenture, including amendment of the Original Lease to increase the Base Rental Payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds; WHEREAS, the City desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "2022 Project"); and WHEREAS, the City has requested that the Authority issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "2022A Bonds") in the aggregate principal amount not to exceed $ as Additional Bonds on parity with the 2020 Bonds for the purpose of financing a portion of the costs of the 2022 Project and to pay for the costs of issuing the 2022A Bonds; WHEREAS, concurrently with the issuance of the 2022A Bonds, the City has requested that the Authority also issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "2022B Bonds") for the purpose of financing a portion of the costs of the Project, which 2022B Bonds are on parity with the $10,320,000 Lease Revenue Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds"), secured by lease payments under a separate lease; WHEREAS, the Authority and the City have entered into a First Supplemental Indenture, dated as of October 1, 2022 (the "First Supplemental Indenture," and together with the Original Indenture, as amended, the "Indenture") relating to the issuance of the 2022A Bonds, as Additional Bonds; WHEREAS, pursuant to Section 21 of the Original Lease and Sections 3.07 and 7.01(a) of the Indenture, the Authority and the City may amend or supplement the Original Lease by a written amendment thereof or supplement thereto which shall become binding upon execution by the Authority and the City without the written consents of any Owners for the purpose of increasing the amount of Base Rental Payment payable thereunder for the purpose of the issuance of Additional Bonds; WHEREAS, in consideration of the undertaking and financing of the Project, including energy efficiency enhancements to the Leased Property, the Authority and the City desire to amend the Original Lease to increase the amount of Base Rental Payments for the purpose of the issuance of the 2022A Bonds, as Additional Bonds under the Indenture; WHEREAS, capitalized undefined terms shall have the meanings ascribed thereto in the Original Lease or the Indenture. NOW, THEREFORE, the Authority and the City agree as follows: ARTICLE I AMENDMENTS TO ORIGINAL LEASE SECTION 1.0. DEFINITIONS. Unless the context otherwise requires, the terms defined and/or modified in this Section shall for all purposes of the Lease, the Indenture and of any certificate, opinion or other document herein or therein mentioned, have the meanings herein specified as follows: "Base Rental Payments" means Base Rental Payments to be made by the City hereunder in accordance with the base rental schedule attached hereto as Exhibit B-1 in connection with the 2020 Bonds, in accordance with the base rental schedule attached hereto as Exhibit B-2 in connection with the 2022A Bonds, or, cumulatively in accordance 2 with the base rental schedule attached hereto as Exhibit B-3 in connection with the 2020 Bonds and the 2022A Bonds, and any additional base rental payments made hereunder to support Additional Bonds issued in accordance with the Indenture. "Expiration Date" means June 1, 20 "First Lease Amendment" means the First Amendment to Lease Agreement, dated as of October 1, 2022, by and between the Authority and the City. "Lease" means this Lease, as amended and supplemented by the First Lease Amendment, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. ["Permitted Encumbrances" means, with respect to the Leased Property, as of any particular time, (i) the Site Lease; (ii) this Lease, (iii) the Indenture, the Assignment Agreement and the Trustee's and the Authority's interests in the Leased Property, (iv) liens for taxes and assessments not then delinquent, (v) utility, access and other easements and rights of way, restrictions and exceptions that as certified in a Certificate of the City will not interfere with or impair the use intended to be made of the Leased Property; (vi) encumbrances upon any additions and improvements to the Leased Property as permitted in this Lease and which do not materially impair the use intended to be made of the portions of the Leased Property other than such additions and improvements; (vii) any sublease or use permitted by this Lease, (viii) covenants, conditions or restrictions or liens of record relating to the Leased Property and existing on the Closing Date; (ix) such minor defects, irregularities, encumbrances and clouds on title as normally exist with respect to property similar in character to the Leased Property and as do not materially impair the use intended to be made of property affected thereby; (x) any encumbrances listed in the preliminary title report related to the Site (xi) the Site Agreement, dated June 26, 2003, between the City, as lessor and successor to Ice Station Valencia, LLC, and Sprint PCS Assets, L.L.C., or its successors, as lessee, and (xii) any management contract, license or use agreement of all or a portion of the Recreational Facility to be entered into or approved by the City.] SECTION 1.2. AMENDMENT TO SECTION 3(a). All references to "Exhibit B" in Section 3(a) shall be amended to read "Exhibit B-Y' SECTION 1.3. AMENDMENT TO SECTION 9. The reference to "Exhibit C" in Section 9 shall be amended to read "Exhibit D." SECTION 1.4. AMENDMENT TO SECTION 11(b). The first and third paragraphs of Section 11(b) shall be amended and restated as follows: "The City may at its option prepay from any source of available moneys for redemption of Bonds pursuant to Section 2.03 and Section 10.04 (b) of the Indenture, all or any part (in an integral multiple of $5,000) of the Principal Component of Base Rental Payments (and corresponding Interest Component), so that the aggregate annual amounts of Principal Component of Base Rental Payments which shall be payable after such prepayment shall each be an integral multiple of $5,000, at a prepayment price equal to the principal amount to be redeemed, plus accrued but unpaid interest to the prepayment date, without premium." "The Authority and the City hereby agree that any prepayment in part under this Section and the redemption of any Bonds by the Authority pursuant to Section 2.03(b) or Section 10.04(b) of the Indenture shall be credited towards the City's obligations hereunder to make Base Rental Payments in any manner determined in writing by the City and delivered to the Trustee. A prepayment made pursuant to this Section shall not cause a defeasance of any Bonds unless the requirements of Section 9.03 of the Indenture are satisfied." SECTION 1.5. AMENDMENT TO SECTION 17. In addition to the covenants of the City applicable to the Tax -Exempt Bonds in Section 17, the City also makes such covenants with reference to the 2022A Bonds and the 2022A Tax Certificate. SECTION 1.6. AMENDMENT TO EXHIBIT B. Exhibit B shall be replaced with Exhibits B-1, B-2 and B-3 attached hereto and incorporated herein by this reference. ARTICLE II MISCELLANEOUS SECTION 2.1. EFFECT OF FIRST LEASE AMENDMENT. This First Lease Amendment and all of the terms and provisions herein contained shall form part of the Original Lease, as amended, as fully and with the same effect as if all such terms and provisions had been set forth in the Original Lease, as amended. Except as set forth in Article I hereof, the Original Lease shall remain in full force and effect. The Original Lease is hereby ratified and confirmed and shall continue in full force and effect in accordance with the terms and provisions thereof, as amended and supplemented hereby. If there shall be any conflict between the terms of this First Lease Amendment and the terms of the Original Lease, as amended (as in effect on the day prior to the effective date of this First Lease Amendment), the terms of this First Lease Amendment shall prevail. SECTION 2.2. EFFECTIVE DATE OF FIRST LEASE AMENDMENT. This First Lease Amendment shall take effect upon the 2022A Closing Date. SECTION 2.3. APPLICABLE LAW. This First Lease Amendment shall be governed by and enforced in accordance with the laws of the State of California applicable to contracts made and performed in the State of California. SECTION 2.4. COUNTERPARTS. This First Lease Amendment may be executed in counterparts, each of which shall be deemed an original. M IN WITNESS WHEREOF, the Authority and the City have caused this First Amendment to Lease Agreement to be executed by their respective officers thereunto duly authorized, all as of the day and year first above written. ATTEST: LM ATTEST: L-02 Secretary City Clerk SANTA CLARITA PUBLIC FINANCING AUTHORITY UZ Chair CITY OF SANTA CLARITA S-1 City Manager A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On before me, (insert name of the officer), Notary Public, personally appeared , who proved to me on the basis of satisfactory evidence to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in his/her/their authorized capacity(ies), and that by his/her/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. [Seal] A-1 EXHIBIT A DESCRIPTION OF THE LEASED PROPERTY The approximately 93,000 square foot building to be repaired, improved and/or rehabilitated as a recreational facility by the City of Santa Clarita and/or Santa Clarita Public Financing Authority, on a parcel currently assessed by the County Assessor as APN 2810-043-054, and the real property in the City of Santa Clarita, County of Los Angeles, State of California, described as follows: LOT 11 OF VESTING TRACT NO. 52111, AS PER MAP RECORDED IN BOOK 1218, PAGES 1 TO 15 INCLUSIVE, OF MAPS, IN THE OFFICE OF THE COUNTY RECORDER OF SAID COUNTY AND AS AMENDED PURSUANT TO THAT CERTAIN CERTIFICATE OF CORRECTION RECORDED ON MAY 16, 2000 AS INSTRUMENT NO. 2000-0753274 OF OFFICIAL RECORDS. EXCEPT THEREFROM, ALL RIGHTS, TITLE AND INTEREST IN AND TO MINERALS, OIL, GAS, TARS, HYDROCARBONS AND METALLIFEROUS SUBSTANCES OF EVERY KIND AND TO RESERVOIRS AND WELLS OF EVERY KIND, TOGETHER WITH THE RIGHT TO DRILL, PUMP OR MINE FOR SAME, WITHOUT, HOWEVER, THE RIGHT TO DRILL OR MINE FOR SUCH SUBSTANCES THROUGH THE SURFACE OR THE UPPER FIVE HUNDRED FEET (500') OF THE SUBSURFACE OF THE REAL PROPERTY DEED ABOVE, AS RESERVED BY THE NEWHALL LAND AND FARMING COMPANY, A CALIFORNIA LIMITED PARTNERSHIP, A LIMITED PARTNERSHIP IN DEED RECORDED SEPTEMBER 2, 1999 AS INSTRUMENT NO. 99-1669007, OFFICIAL RECORDS. ALSO EXCEPT THEREFROM, ALL RIGHTS TO WATER, AQUIFERS, RESERVOIRS AND SUBSURFACE WATERS, INCLUDING, BUT NOT LIMITED TO, THE RIGHT TO TAKE, USE AND DEVELOP FOR USE ANY AND ALL WATER THAT MAY NOW EXIST OR MAY NOW OR IN THE FUTURE EXIST UPON OR UNDER SAID LAND, WITHOUT THE RIGHT TO DRILL, EXPLORE AND OPERATE TO EXTRACT SUCH SUBSTANCES THROUGH THE SURFACE OF THE UPPER FIFTY FEET (50') OF THE SUBSURFACE OF THE REAL PROPERTY DESCRIBED ABOVE. AS RESERVED BY THE NEWHALL LAND AND FARMING COMPANY, A CALIFORNIA LIMITED PARTNERSHIP, A LIMITED PARTNERSHIP IN DEED RECORDED SEPTEMBER 2, 1999 AS INSTRUMENT NO. 99- 1669007, OFFICIAL RECORDS. APN: 2810-043-054 [End of Legal Description] A-1 EXHIBIT B-1 BASE RENTAL PAYMENT SCHEDULE RELATING TO 2020 BONDS Interest Payment Date' Tax -Exempt Principal Bonds Interest Taxable Bonds Principal Interest Total Debt Service Annual Debt Service 12/01/2020 $ 33,822.34 $ 5,052.64 $ 38,874.98 06/01/2021 156,103.13 $ 485,000 23,319.88 664,423.01 $ 703,297.99 12/01/2021 156,103.13 22,235.90 178,339.03 06/01/2022 156,103.13 350,000 22,235.90 528,339.03 706,678.06 12/01/2022 156,103.13 21,191.15 177,294.28 06/01/2023 156,103.13 355,000 21,191.15 532,294.28 709,588.56 12/01/2023 156,103.13 19,788.90 175,892.03 06/01/2024 156,103.13 355,000 19,788.90 530,892.03 706,784.06 12/01/2024 156,103.13 18,056.50 174,159.63 06/01/2025 156,103.13 360,000 18,056.50 534,159.63 708,319.26 12/01/2025 156,103.13 15,939.70 172,042.83 06/01/2026 156,103.13 365,000 15,939.70 537,042.83 709,085.66 12/01/2026 156,103.13 13,225.93 169,329.06 06/01/2027 156,103.13 370,000 13,225.93 539,329.06 708,658.12 12/01/2027 156,103.13 10,104.98 166,208.11 06/01/2028 156,103.13 375,000 10,104.98 541,208.11 707,416.22 12/01/2028 156,103.13 6,416.85 162,519.98 06/01/2029 156,103.13 385,000 6,416.85 547,519.98 710,039.96 12/01/2029 156,103.13 2,437.88 158,541.01 06/01/2030 $ 165,000 156,103.13 225,000 2,437.88 548,541.01 707,082.02 12/01/2030 152,803.13 152,803.13 06/01/2031 400,000 152,803.13 552,803.13 705,606.26 12/01/2031 146,803.13 146,803.13 06/01/2032 415,000 146,803.13 561,803.13 708,606.26 12/01/2032 140,578.13 140,578.13 06/01/2033 425,000 140,578.13 565,578.13 706,156.26 12/01/2033 136,328.13 136,328.13 06/01/2034 435,000 136,328.13 571,328.13 707,656.26 12/01/2034 131,978.13 131,978.13 06/01/2035 445,000 131,978.13 576,978.13 708,956.26 12/01/2035 127,250.00 127,250.00 06/01/2036 455,000 127,250.00 582,250.00 709,500.00 12/01/2036 122,131.25 122,131.25 06/01/2037 465,000 122,131.25 587,131.25 709,262.50 12/01/2037 116,900.00 116,900.00 06/01/2038 475,000 116,900.00 591,900.00 708,800.00 12/01/2038 111,259.38 111,259.38 06/01/2039 485,000 111,259.38 596,259.38 707,518.76 12/01/2039 105,500.00 105,500.00 06/01/2040 495,000 105,500.00 600,500.00 706,000.00 1. Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. B-1-1 Interest Tax -Exempt Bonds Taxable Bonds Total Annual Payment Date' Principal Interest Principal Interest Debt Service Debt Service 12/01/2040 99,312.50 99,312.50 06/01/2041 510,000 99,312.50 609,312.50 708,625.00 12/01/2041 92,937.50 92,937.50 06/01/2042 520,000 92,937.50 612,937.50 705,875.00 12/01/2042 82,537.50 82,537.50 06/01/2043 545,000 82,537.50 627,537.50 710,075.00 12/01/2043 71,637.50 71,637.50 06/01/2044 565,000 71,637.50 636,637.50 708,275.00 12/01/2044 60,337.50 60,337.50 06/01/2045 585,000 60,337.50 645,337.50 705,675.00 12/01/2045 48,637.50 48,637.50 06/01/2046 610,000 48,637.50 658,637.50 707,275.00 12/01/2046 36,437.50 36,437.50 06/01/2047 635,000 36,437.50 671,437.50 707,875.00 12/01/2047 27,706.25 27,706.25 06/01/2048 655,000 27,706.25 682,706.25 710,412.50 12/01/2048 18,700.00 18,700.00 06/01/2049 670,000 18,700.00 688,700.00 707,400.00 12/01/2049 9,487.50 9,487.50 06/01/2050 690,000 9,487.50 699,487.50 708,975.00 Total 10.645.000 6,678,306.87 $3,625,000 $287,168.10 21,235,474.97 21,235,474.97 Payment Date. 0) Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest NUM EXHIBIT B-2 BASE RENTAL PAYMENT SCHEDULE RELATING TO 2022A BONDS Interest 2022A Bonds Total Annual Debt Pavinent Date(l) Principal Interest Debt Service Service 12/01/2022 06/01/2023 12/01/2023 06/01/2024 12/01 /2024 06/01/2025 12/01/2025 06/01/2026 12/01/2026 06/01/2027 12/01/2027 06/01/2028 12/01/2028 06/01/2029 12/01/2029 06/01/2030 12/01/2030 06/01/2031 12/01/2031 06/01/2032 12/01/2032 06/01/2033 12/01/2033 06/01/2034 12/01/2034 06/01/2035 12/01/2035 06/01/2036 12/01/2036 06/01/2037 12/01/2037 06/01/2038 Total Payment Date. 0) Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest B-2-1 EXHIBIT B-3 BASE RENTAL PAYMENT SCHEDULE CUMULATIVE Interest 2020 Bonds 2022A Bonds Total Annual Debt Payment Date Principal Interest Principal Interest Debt Service Service 12/01/2020 06/01/2021 12/01/2021 06/01/2022 12/01/2022 06/01/2023 12/01/2023 06/01/2024 12/01 /2024 06/01/2025 12/01/2025 06/01/2026 12/01/2026 06/01/2027 12/01/2027 06/01/2028 12/01/2028 06/01/2029 12/01/2029 06/01/2030 12/01/2030 06/01/2031 12/01/2031 06/01/2032 12/01/2032 06/01/2033 12/01/2033 06/01/2034 12/01/2034 06/01/2035 12/01/2035 06/01/2036 12/01/2036 06/01/2037 12/01/2037 06/01/2038 12/01/2038 06/01/2039 12/01/2039 06/01/2040 2. Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. B-3-1 Interest 2020 Bonds 2022A Bonds Total Annual Pavment Date' Principal Interest Principal Interest Debt Service Debt Service 12/01/2040 06/01/2041 12/01/2041 06/01/2042 12/01 /2042 06/01/2043 12/01/2043 06/01/2044 12/01 /2044 06/01/2045 12/01/2045 06/01/2046 12/01/2046 06/01/2047 12/01/2047 06/01/2048 12/01/2048 06/01/2049 12/01/2049 06/01/2050 Total Payment Date. 0) Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest m - This page is part of your document - DO NOT DISCARD A 20201310974 II II IIIII II II IIIII II I IIIII II I IIIII II II II II IIIII IIII II Recorded/Filed in Official Records Recorder's Office, Los Angeles County, California 10/21/20 AT 08:OOAM FEES: TAXES: OTHER: Ix 1011 111111111111111111111111111111111111111111111111111111111111111111 LEADSHEET . . . . . . . . . . . 202010210110157 00019144438 011333612 SEQ: 02 SECURE - 8:OOAM miminninmiminmiuuuumimuiuuuu THIS FORM IS NOT TO BE DUPLICATED 6200155A Pages:0036 0.00 0.00 0.00 0.00 E442318 FOR REFERENCE ONLY: 20201310974 Ker-ordii� Kequesied By.. Fjr4t Arnerican Title Co Glendale AFTER RECORDATION PLEASE RETURN TO: Norton Rose Fulbright US LLP 555 South Flower Street, Suite 4100 Los Angeles, California 90071 Attention: Maryann L. Goodkind, Esq. tZ 0a 15�A NVIF.,RIFI4DO` OAul L 1 Dated as of October 1, 2020 by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and CITY OF SANTA CLARITA Relating to $10,645,000 Santa Clarita Public F inancing .Authority Lease Revenue Bonds (Recreational Facility) Series 2020A and $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T THIS IS A FINANCING DOCUMENT. NO DOCUMENTARY TRANSFER TAX IS DUE PURSUANT TO REVENUE AND TAXATION CODE SECTION It 922 AND THIS DOCUMENT IS EXEMPT FROM RECORDING FEES PURSUANT TO GOVERNMENT CODE SECTION 27383. Kecordinri Kequesl ed By. Fir;f American T'Ole Go Glendale AFTER RECORDATION PLEASE RETURN TO: Norton Rose Fulbright US LLP 555 South Flower Street, Suite 4100 Los Angeles, California 90071 Attention: Maryann L. Goodkind, Esq. f tZOQ 15A LEASE AGREEMENT Dated as of October 1, 2020 by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and CITY OF SANTA CLARITA Relating to $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility) Series 2020A and $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T THIS IS A FINANCING DOCUMENT. NO DOCUMENTARY TRANSFER TAX IS DUE PURSUANT TO REVENUE AND TAXATION CODE SECTION 11922 AND THIS DOCUMENT IS EXEMPT FROM RECORDING FEES PURSUANT TO GOVERNMENT CODE SECTION 27383. TABLE OF CONTENTS PaLFe SECTION 1. DEFINITIONS................................................................................................. 2 SECTION2. TERM.............................................................................................................. 3 SECTION3. RENTAL ................................................................................. ------------------------ 4 SECTION 4. USE OF PROCEEDS...................................................................................... 6 SECTION 5. MAINTENANCE, UTILITIES, TAXES AND ASSESSMENTS .................. 6 SECTION 6. CHANGES TO THE LEASED PROPERTY .................................................. 7 SECTION 7. SUBSTITUTION AND RELEASE OF PROPERTY ..................................... 7 SECTION8. INSURANCE................................................................................................... 8 SECTION 9. DAMAGE, DESTRUCTION AND CONDEMNATION; APPLICATION OF NET PROCEEDS.........................................................10 SECTION 10. DEFAULT..................................................................................................... 12 SECTION 11. PREPAYMENT AND CREDITS..................................................................14 SECTION 12. MECHANICS' LIENS..................................................................................15 SECTION 13. QUIET ENJOYMENT................................................................................... 15 SECTION 14. INDEMNIFICATION ....................................................................................15 SECTION 15. ASSIGNMENT..............................................................................................16 SECTION 16. ABATEMENT OF RENTAL........................................................................17 SECTION 17. COVENANTS OF THE CITY......................................................................17 SECTION 18. CONTINUING DISCLOSURE..................................................................... 21 SECTION 19. WAIVER........................................................................................................ 22 SECTION20. NET LEASE.................................................................................................. 22 SECTION21. AMENDMENTS........................................................................................... 22 SECTION 22. ESSENTIALITY ............................................................................................ 23 SECTION23. LAW GOVERNING...................................................................................... 23 SECTION24. NOTICES....................................................................................................... 23 SECTION 25. VALIDITY AND SEVERABIL,ITY............................................................. 23 SECTION 26. SECTION ]HEADINGS................................................................................. 23 SECTION 27. NO MERGER................................................................................................ 23 SECTION 28. EXECUTION................................................................................................. 24 � 11: � i ! ! 1 i ••i• • LEASE AGREEMENT This Lease Agreement, dated as of October 1, 2020 (this "Lease"), is made by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority duly organized and existing under the laws of the State of California (the "Authority"), as lessor, and the CITY OF SANTA CLARITA, a city duly organized and existing under the laws of the State of California (the "City"), as lessee. RECITALS: WHEREAS, the Authority is a joint powers authority duly organized and existing under and pursuant to that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City of Santa Clarita, California (the "City"), the City as successor agency to the Redevelopment Agency of the City of Santa Clarita (no longer a member), and the Santa Clarita Parking Authority, establishing the Authority for the purpose, among other things, of issuing its bonds to be used to provide financing and refinancing for public capital improvements of the City; and WHEREAS, the City desires to finance the acquisition of a parcel of land and the improvements thereon located at 27745 Smyth Drive within the City (the "Project"), and to be used for recreational facilities; and WHEREAS, the City has requested that the Authority issue lease revenue bonds for the purpose of financing the Project; and WHEREAS, the Authority intends to issue its Lease Revenue Bonds (Recreational Facility) Series 2020A (the "Tax -Exempt Bonds") and its Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 202OA-T (the "Taxable Bonds," and together with the Tax -Exempt Bonds, the "Bonds"), for such purposes to assist the City; and WHEREAS, the Bonds are to be issued pursuant to an Indenture, dated as of October 1, 2020 (the "Indenture"), by and between the Authority and U.S. Bank National Association, as trustee, and pursuant to the Marks -Roos Local Bond Pooling Act of 1985 (the "Act"), constituting Article 4 (commencing with Section 6584) of Chapter 5 of Division 7 of Title 1 of the Government Code of the State of California; and WHEREAS, the City and the Authority have entered into a Site and Facility Lease, dated as of October 1, 2020 (the "Site Lease"), whereby the Authority has agreed to lease the approximate 4.4 acre site (the "Site") from the City and the improvements thereon (the "Facility," and, together with the Site, the "Recreational Facility"); and WHEREAS, the Authority, pursuant to the Lease, will sublease the Recreational Facility (the "Leased Property") described in Exhibit A hereto to the City, in consideration for base rental payments to be made by the City pursuant to the Lease, in accordance with the base rental payment schedules attached hereto as Exhibit B that correspond in amounts to the principal of and interest on the Bonds, respectively; and WHEREAS, all acts, conditions and things required by law to exist, to have happened and to have been performed precedent to and in connection with the execution and entering into of this Lease do exist, have happened and have been performed in regular and due time, form and manner as required .by law, and the parties hereto are now duly authorized to execute and enter into this Lease; NOW, THEREFORE, in consideration of the above premises and of the mutual covenants hereinafter contained and for other good and valuable consideration, the receipt and sufficiency of which is hereby acknowledged, the parties hereto agree as follows: Cie • �I�.� SECTION 1. DEFINITIONS Terms used herein and not otherwise defined herein but defined in the Indenture shall have the meanings ascribed to them in the Indenture. Unless the context otherwise requires, the terms defined in this Section shall, for all purposes of this Lease, have the meanings herein specified, the following definitions to be equally applicable to both the singular and plural forms of any of the terms herein defined: "Additional Rental Payments" means Additional Rental Payments due under Section 3(b) hereof. "Base Rental Payments" means Base Rental Payments to be made by the City hereunder in accordance with the base rental schedule attached hereto as Exhibit B in connection with the Bonds, and any additional base rental payments made hereunder to support Additional Bonds issued in accordance with the Indenture. "Event of Default" means the Events of Default set forth in Section 10. "Expiration Date" means June 1, 2050. 'Facili ' means the approximately 93,000 square foot building on the Site as it may be improved, repaired, rehabilitated, and modified for use as recreational facilities, as more fully described on Exhibit A. "Insurance Consultant" means an individual or firm retained by the City as an independent insurance consultant, experienced in the field of risk management. "Interest Component" means the interest component of any Base Rental Payments as set forth in the exhibit to this Lease relating to such Base Rental Payments. "Lease" means this Lease, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. "Leased Property' or "Recreational Facility" means the Site and the Facility. 2 "Net Proceeds" means proceeds of any casualty or title insurance or condemnation awards, paid with respect to the Leased Property remaining after payment therefrom of all expenses in the collection thereof. "Permitted Encumbrances" means, with respect to the Leased Property, as of any particular time, (i) the Site Lease; (ii) this Lease, (iii) the Indenture, the Assignment Agreement and the Trustee's and the Authority's interests in the Leased Property, (iv) liens for taxes and assessments not then delinquent, (v) utility, access and other easements - and rights of way, restrictions and exceptions that as certified in a Certificate of the City will not interfere with or impair the use intended to be made of the Leased Property; (vi) encumbrances upon any additions and improvements to the Leased Property as permitted in this Lease and which do not materially impair the use intended to be made of the portions of the Leased Property other than such additions and improvements; (vii) any sublease or use permitted by this Lease, (viii) covenants, conditions or restrictions or liens of record relating to the Leased Property and existing on the Closing Date; (ix) such minor defects, irregularities, encumbrances and clouds on title as normally exist with respect to property similar in character to the Leased Property and as do not materially impair the use intended to be made of property affected thereby; (x) any encumbrances listed in the preliminary title report related to the Site (xi) the Site Agreement, dated June 26, 2003, between the City, as lessor and successor to Ice Station Valencia, LLC, and Sprint PCS Assets, L.L.C., or its successors, as lessee, and (xii) any management contract, license or use agreement of all or a portion of the Recreational Facility to be entered into or approved by the City. "Principal Cgmpon means the principal component of any Base Rental Payments as set forth in an exhibit to this Lease relating to such Base Rental Payments. "Site" means the approximately 4.4 acre parcel of City property located at 27745 Smyth Drive within the City, as more fully described on Exhibit A to the Site Lease. SECTION 2. TERM The Authority hereby leases to the City and the City hereby leases from the Authority, on the terms and conditions hereinafter set forth, the Leased Property. The term of this Lease shall commence on October 22, 2020. The term of the leasehold interest created hereby shall expire on the later of (i) the Expiration Date; (ii) the date the last Base Rental Payment is made under the provisions hereof; or (iii) the date of discharge of all of the Bonds and Additional Bonds pursuant to Section 9.03 of the Indenture. Notwithstanding the foregoing, the term of this Lease shall automatically be extended for a period often (10) years, if, on the Expiration Date, the Bonds and any Additional Bonds have not been fully paid and discharged, and shall terminate on the date when the Bonds and any Additional Bonds have been fully paid or discharged. the City. Throughout the term of this Lease, fee title to the Leased Property shall remain in 3 SECTION 3. RENTAL Subject to the provisions of Sections 11 and 16 hereof, the City agrees to pay to the Authority, its successors or assigns, as rental for the use and possession of the Leased Property, the following amounts at the following times: (a) Base Rental Payments; Additional Base Rental Payments. The City shall pay the Base Rental Payments to the Trustee, as assignee of the Authority, as hereinafter provided, in accordance with the Base Rental Payment Schedule attached hereto as Exhibit B, less any amounts credited against the Base Rental Payments pursuant to Section 4.02(d) of the Indenture. The City shall pay to the Trustee the Base Rental Payments coming due fifteen (15) Business Days prior to the next succeeding June 1 and December 1, respectively, as set forth in Exhibit B and such payments shall constitute payment in arrears in consideration for the City's use and possession of the Leased Property for the six-month period preceding the due date of such Base Rental Payments. The obligation of the City to pay the Base Rental Payments with respect to the Bonds shall rank pari passu with the obligation of the City to pay base rental payments with respect to any Additional Bonds. Upon and after the issuance of any Additional Bonds secured by base rental payments with respect to the Leased Property, the City shall pay the Base Rental Payments with respect to such Additional Bonds as provided in the Supplemental Indenture for such Additional Bonds, in accordance with an additional Base Rental Payment schedule which shall be attached hereto as an additional exhibit prior to the delivery of such Additional Bonds, as adjusted for any prepayments. (b) Additional Rental Payments. The City shall also pay, as "Additional Rental Payments" hereunder, in addition to the Base Rental Payments and any base rental payments hereunder made with respect to Additional Bonds, to the Trustee, as assignee of the Authority, as hereinafter provided, such amounts in each year as shall be required for the payment of all costs and expenses (not otherwise paid for or provided for out of the proceeds of sale of the Bonds) incurred by the Authority or the Trustee in connection with the execution, performance or enforcement of this Lease or the assignment hereof, the Indenture, or the Authority's or the Trustee's interest in the Leased Property, including, but not limited to, all fees, costs and expenses, all administrative costs of the Authority relating to the Leased Property (including, without limiting the generality of the foregoing, salaries and wages of employees, overhead, insurance premiums, taxes and assessments (if any), expenses, compensation and indemnification of the Trustee payable by the Authority under the Indenture), fees of auditors, accountants, attorneys or engineers, all other reasonable and necessary administrative costs of the Authority or charges required to be paid by it to comply with the terms of the Bonds or of the Indenture. Such Additional Rental Payments shall be billed to the City by the Authority or the Trustee from time to time. Amounts so billed shall be paid by the City within sixty (60) days after receipt of the bill by the City. 4 (c) Fair Rental Value. Payments of Base Rental Payments and Additional Rental Payments for each rental payment period shall constitute the total rental for such rental payment period, and shall be paid by the City in each rental payment period for and in consideration of the right of the use and possession of, and the continued quiet use and enjoyment of, the Leased Property during each such period for which said rental is to be paid. The City represents and covenants that the useful life of the Leased Property is not shorter than the final maturity of the Bonds. The parties to this Lease specifically acknowledge that the annual fair rental value of the Leased Property is equal to or greater than the maximum annual Base Rental Payments. In making such determination, consideration has been given to other obligations of the parties under this Lease, the uses and purposes which may be served by the Leased Property and the benefits therefrom which will accrue to the City and the general public. The determination of fair rental value of the Leased Property pursuant to this paragraph shall not be deemed to be controlling in connection with a determination of fair value of the Leased Property by the parties hereto for any other purpose. (d) Payment of Base Rental Payments. Each installment of Base Rental Payments and Additional Rental Payments payable hereunder shall be paid from any source of legally available funds of the City in lawful money of the United States of America to the order of the Trustee at the corporate trust office of the Trustee in Los Angeles, California, or such other place as the Trustee shall designate. All Base Rental Payments shall be made on a pari passu basis with each other. Notwithstanding any dispute between the City and the Authority, the City shall make all Base Rental Payments and Additional Rental Payments when due, without deduction or offset of any kind, and shall not withhold any Base Rental Payments pending the final resolution of any such dispute. In the event of a determination that the City was not liable for such Base Rental Payments or any portion thereof, said Base Rental Payments or excess of payments, as the case may be, shall, at the option of the City, be credited against subsequent Base Rental Payments due hereunder or be refunded at the time of such determination. (e) Increases in Aggregate Base Rental Payments. The City covenants that it shall not permit an increase in the aggregate Base Rental Payments or permit additional base rental payments with respect to Additional Bonds without first obtaining an opinion of Bond Counsel to the effect that the incurring of such increased Base Rental Payments will not (i) impair the validity and enforceability of this Lease and (ii) in and of itself impair the exclusion of interest on the Bonds and, to the extent applicable, any Additional Bonds from the gross income of the owners thereof for federal income tax purposes. (f) Covenant to Budget and Appropriate. The City covenants to take such action as may be necessary to include all Base Rental Payments and Additional Rental Payments due hereunder in its annual budget and to make the necessary annual appropriations for all such Base Rental Payments and Additional Rental Payments, subject only to abatement as provided in Section 16 hereof. The City will furnish to the Authority and the Trustee annually, on or before September 1, a certificate stating that it has complied with the covenants set forth in this paragraph. The City is not obligated to make such transfer if Base Rental Payments or Additional Rental are subject to abatement or otherwise are not required under the Lease to be paid in such fiscal year. The obligation of the City to make Base Rental Payments and Additional Rental Payments is solely from the City's General Fund. The covenants on the part of the City herein contained shall be deemed to be and shall be construed to be duties imposed by law and it 5 shall be the duty of each and every public official of the City to take such action and do such things as are required by law in the performance of the official duty of such officials to enable the City to carry out and perform the covenants and agreements in this Lease agreed to be carried out and performed by the City. The obligation of the City to make Base Rental Payments or Additional Rental Payments does not constitute an obligation of the City for which the City is obligated to levy or pledge any form of taxation or for which the City has levied or pledged any form of taxation. Neither the Bonds and any Additional Bonds nor the obligation of the City to make Base Rental Payments or Additional Rental Payments constitutes an indebtedness of the City, the State or any of its political subdivisions within the meaning of any constitutional or statutory debt limitation or restriction. SECTION 4. USE OF PROCEEDS The parties hereto agree that the proceeds of the Bonds will be used to fund the Project, and pay the costs for issuance of the Bonds, as more fully set forth in the Indenture. SECTION 5. MAINTENANCE, UTILITIES, TAXES AND ASSESSMENTS Luring such time as the City or any assignee or sublessee thereof is in possession of the Leased Property, all maintenance and repair, ordinary or extraordinary, of the Leased Property shall be the responsibility of the City, and the City shall pay for or otherwise arrange for the payment of (a) all utility services supplied to the Leased Property, (b) the cost of operation of the Leased Property, and (c) the costs of maintenance of and repair to the Leased Property resulting from ordinary wear and tear or want of care on the part of the City. The City shall, at the City's sole cost and expense, keep and maintain the Leased Property clean and in a safe and good condition and repair. The Authority shall have no obligation to alter, remodel, improve, repair, decorate, or paint the Leased Property or any part thereof, and the parties hereto affirm that the Authority has made no representations or warranties to the City respecting the condition of the Leased Property. The City shall comply with all statutes, ordinances, regulations, and other requirements of all governmental entities that pertain to the occupancy or use of the Leased Property. The Authority has no responsibility or obligation whatsoever to construct any improvements, modifications or alterations to the Leased Property. The City waives the right to make repairs at the Authority's expense under Subsection 1 of Section 1932 and Section 1942 of the California Civil Code, or any other such law, statute, or ordinance now or hereafter in effect. The parties hereto contemplate that the Leased Property will be used for public purposes by the City and, therefore, that the Leased Property will be exempt from all taxes presently assessed and levied with respect to real and personal property, respectively. In the event that the use, possession or acquisition by the Authority or the City of the Leased Property is found to be subject to taxation in any form, the City will pay during the term hereof, as the same respectively become due, all taxes and governmental charges of any kind whatsoever that may at any time be lawfully assessed or levied against or with respect to the Leased Property and any other property acquired by the City in substitution for, as a renewal or replacement of, or a C1 modification, improvement or addition to the Leased Property; provided, that with respect to any governmental charges or taxes that may lawfully be paid in installments over a period of years, the City shall be obligated to pay only such installments as are accrued during such time as this Lease is in effect. SECTION 6. CHANGES TO THE LEASED PROPERTY The City shall have the right during the term of this Lease to acquire and construct improvements or to attach fixtures, structures or signs to the Leased Property if such improvements, fixtures, structures or signs are necessary or beneficial for the use of the Leased Property by the City; provided, however, that no such acquisition or construction shall result in a material reduction in the value of the Leased Property, reduce the fair rental value thereof or substantially alter the nature of the Leased Property. Upon termination of this Lease, the City may remove any fixture, structure or sign added by the City, but such removal shall be accomplished so as to leave the Leased Property, except for ordinary wear and tear and damage by casualty, in substantially the same condition as it was in before the fixture, structure or sign was attached. SECTION 7. SUBSTITUTION AND RELEASE OF PROPERTY The parties to this Lease specifically acknowledge that the annual fair rental value of the Leased Property is in excess of the maximum annual Base Rental Payments. The City shall have, so long as this Lease is in effect, and is hereby granted, the option at any time and from time to time, to substitute other real property (the "Substitute Property") for any portion of the Leased Property (the "Former Property") or release any identifiable real property and/or improvements currently constituting the Leased Property (in such case, Substitute Property shall mean the Former Property less any portion released pursuant to this Section); provided, that the City shall satisfy all of the following requirements, which are conditions precedent to such substitution: (a) No default under Section 10 hereof or Event of Default shall have occurred and be continuing; (b) The City shall file with the Authority and the Trustee, and cause to be recorded in the office of the County Recorder, sufficient memorialization of amendments to this Lease and the Site Lease which replaces Exhibit A hereto and Exhibit A to the Site Lease with a description of such Substitute Property and which deletes therefrom the description of the Former Property; (c) The City shall obtain an extended California Land Title Association ("CLTA") policy of title insurance insuring the City's fee or leasehold estate in such Substitute Property, the City's leasehold estate hereunder, and the Authority's leasehold estate under the Site Lease in such Substitute Property, subject only to Permitted Encumbrances, in an amount not less than the aggregate principal amount of the Outstanding Bonds; provided, however, that this requirement shall not apply to Substitute Property that consists only of Former Property less any released portion; 7 (d) The City shall provide a Certificate of the City to the Authority and to the Trustee stating that such Substitute Property constitutes property which the City is permitted to lease under the laws of the State of California; provided, however, that this requirement shall not apply to Substitute Property that consists only of Former Property less any released portion; (e) The substitution of the Substitute Property shall not cause the City to violate any of its covenants, representations and warranties made herein; (#) The City shall file with the Authority and the Trustee a Certificate of the City or other evidence which establishes that the annual fair rental value of the Substitute Property after substitution or release will be at least equal to 100% of the maximum amount of the Base Rental Payments becoming due in the then current fiscal year or in any subsequent fiscal year and the useful economic life of the Substitute Property shall be at least equal to the maximum remaining term of this Lease; and (g) The City shall fimrnish to the Trustee an opinion of Bond Counsel addressed to the Trustee, the City and the Authority to the effect that the substitution or release is permitted under this Lease and will not in and of itself (i) impair the validity and enforceability of this Lease or (ii) impair the exclusion of interest on the Tax -Exempt Bonds and, if applicable, any Additional Bonds from the gross income of the owners thereof for federal income tax purposes. Upon the satisfaction of all such conditions precedent, and upon the City delivering to the Authority and the Trustee a Certificate of the City certifying that the conditions set forth in subsections (a), (c) and (e) of this Section have been satisfied, the Term of this Lease shall thereupon end as to the Leased Property and shall thereupon commence as to the Substitute Property, and all references to the Leased Property shall apply with full force and effect to the Substitute Property. The City shall not be entitled to any reduction, diminution, extension or other modification of the Base Rental Payments whatsoever as a result of any substitution or removal hereunder. The parties to this Lease specifically acknowledge that the annual fair rental value of the Leased Property is in excess of the maximum annual Base Rental Payments. Without substituting or releasing any of the Leased Property, the City and the Authority may amend this Lease pursuant to Section 21(d) to increase the amount of Base Rental Payment payable hereunder for the purpose of allowing the Authority to issue Additional Bonds pursuant to Section 3.07 of the Indenture; provided the City shall provide the Trustee and the Authority (i) a Certificate of the City certifying that the value of the Leased Property shall not be less than the aggregate principal amount of the Outstanding Bonds and Additional Bonds to be issued, and (ii) a new or amended extended CLTA policy of title insurance in an amount not less than the aggregate principal amount of the Outstanding Bonds and Additional Bonds to be issued. SECTION 8. INSURANCE (a) The City shall secure and maintain or cause to be secured and maintained at all times with insurers of recognized responsibility or through a program of self-insurance to 0 the extent such self-insurance is specifically permitted in this Section 8, all coverage on the Leased Property required by this Section 8. Such insurance shall consist of: (1) Comprehensive general liability coverage against claims for damages including death, personal injury, bodily injury or property damage arising from operations involving the Leased Property. Such insurance shall afford protection with a combined single limit of not less than $1,000,000 per occurrence with respect to bodily injury, death or property damage liability, or such greater amount as may from time to time be recommended by the City's risk management officer or an independent insurance consultant retained by the City for that purpose, subject to a deductible clause of not to exceed $400,000. The City's obligations under this clause (1) may be satisfied by self- insurance; (2) Casualty insurance against loss or damage to any or all of the Leased Property by fire and lightning, with extended coverage and vandalism and malicious mischief insurance, and against loss of Leased Property by theft. Such extended coverage insurance shall, as nearly as practicable, cover loss or damage by explosion, windstorm, riot, aircraft, vehicle damage, smoke and such other hazards as are normally covered by such insurance. The insurance required by this paragraph shall be in an amount equal to the lesser of the replacement cost (subject to deductible clauses not in excess of $400,000 for any one loss) of improvements located or to be located on the Leased Property and the principal amount of the Bonds then Outstanding. The City's obligations under this clause (2) may be satisfied by self-insurance; (3) Workers' compensation insurance issued by a responsible carrier authorized under the laws of the State to insure employers against liability for compensation under the Labor Code of the State, or any act enacted as an amendment or supplement thereto or in lieu thereof, such workers' compensation insurance to cover all persons employed by the City in connection with the Leased Property and to cover full liability for compensation under any such act; provided, however, that the City's obligations under this clause (3) may be satisfied by self-insurance; and (4) Rental interruption insurance in an amount not less than the maximum remaining scheduled Base Rental Payments in any twenty-four (24) month period to insure against loss of use of the Leased Property caused by perils covered by the insurance required in Section 8(a)(2). Such insurance may be maintained as part of or in conjunction with any other rental interruption insurance carried by the City and must list the Authority and the Trustee as an additional insured party. Such insurance shall be in place as of the Closing Date. The Net Proceeds of such insurance shall be paid to the Trustee and deposited in the Lease Revenue Fund, and shall be credited toward the payment of the Base Rental Payments in the order in which such Base Rental Payments come due and payable. (5) The City shall, on or before the Closing Date, deliver a CLTA title insurance policy insuring the leasehold interest in the Leased Property of the City and the I Authority, in an amount not less than the aggregate principal amount of the Outstanding Bonds. All policies or certificates issued by the respective insurers for insurance, with the exception of workers' compensation insurance, shall provide that such policies or certificates shall not be canceled or materially changed without at least 30 days' prior written notice to the Authority and the Trustee. Certificates of comprehensive general liability and workers' compensation insurance shall be fiunished by applicable insurers to the City, and, at least ten days prior to the expiration dates of such policies, if any, evidence of renewals shall be deposited with the Trustee. If the City elects to provide self-insurance pursuant to clauses (1), (2) and/or (3) above, the City shall annually cause to be delivered to the Trustee a certificate of an Insurance Consultant certifying to the adequacy of the City's reserves for such insurance. All policies or certificates of insurance provided for herein shall name the City as a named insured and the Trustee as an additional insured. All proceeds of insurance maintained under clauses (1) and (3) shall be deposited with the City and under clause (2), (4) or (5) shall be deposited with the Trustee. Notwithstanding the generality of the foregoing, the City shall not be required to maintain or cause to be maintained more insurance than is specifically referred to above or any policies of insurance other than standard policies of insurance with standard deductibles offered by reputable insurers at a reasonable cost on the open market. (b) Form of Policies. The City shall deliver to the Trustee on or before the Closing Date and each anniversary of the Closing Date a Certificate of the City that all insurance required under this Lease is in full force and effect. In the event that the City obtains insurance through a pooled insurance program of governmental entities, an annual statement or memorandum of coverage delivered to the Authority and the Trustee will satisfy the requirements of this subsection. The Trustee and the Authority shall not be responsible for the sufficiency of any insurance herein required or payment of premium and shall be fully protected in accepting payment on account of such insurance or any adjustment, compromise or settlement of any loss agreed to by the City. (c) Advances. If the City shall fail to perform any of its obligations under this Section, then the Authority or the Trustee may, but shall not be obligated to, take such action as may be necessary to cure such failure, including the advancement of money on behalf of the City, and the City shall be obligated to repay all such advances as soon as possible. SECTION 9. DAMAGE, DESTRUCTION AND CONDEMNATION; APPLICATION OF NET PROCEEDS If prior to the termination of the term hereof (a) the Leased Property is destroyed (in whole or in part) or is damaged by fire of other casualty, or (b) title to, or the temporary use of, any portion of the Leased Property or the estate of the Authority or the City in the Leased Property or any portion shall be taken under the exercise of the power of eminent domain by any governmental body or by any person or firm or corporation acting under governmental authority, 10 then the City and the Authority shall, as expeditiously as possible, continuously and diligently prosecute or cause to be prosecuted the repair or replacement thereof, unless the City elects not to repair or replace the Leased Property or portion thereof, in accordance with the provisions of this Section 9. If Net Proceeds are insufficient to repair or replace the Leased Property or portion thereof, the City shall, to the extent permitted by law, use its best efforts to fund any deficiency from any legally available funds. If there is an abatement of rental payments pursuant to Section 16 hereof as a result of such casualty or event, and the City elects pursuant to Section 11(a) hereof to apply such insurance proceeds and such other sums as are deposited by the City pursuant to such Section to the prepayment of Base Rental Payments rather than replacing or repairing the destroyed or damaged portion of the Leased Property, then this Lease shall terminate with respect to the destroyed or damaged portion of the Leased Property as of the later of the date of such election by the City or the date the amount required by Section 11(a) hereof is received by the Trustee. The provisions of Section 1932, Subdivision 2, and Section 1933, Subdivision 4, of the California Civil Code, including any amendments thereto and any other law which may hereinafter be in force during the term of this Lease which authorizes the termination of this Lease upon the partial or complete destruction of the Leased Property, are hereby waived by the City. The City hereby covenants and agrees, to the extent it may lawfully do so, that so long as any of the Bonds and any Additional Bonds remain outstanding and unpaid, the City will not exercise the power of condemnation with respect to the Leased Property. The City further covenants and agrees, to the extent it may lawfully do so, that if for any reason the foregoing covenant is determined to be unenforceable or if the City should fail or refuse to abide by such covenant and condemns the Leased Property, the value of the Leased Property shall not be less than the greater of (i) if Outstanding Bonds are then subject to redemption, the principal and interest due on the Outstanding Bonds through the date of their redemption, or (ii) if such Outstanding Bonds are not then subject to redemption, the amount necessary to defease such Outstanding Bonds to the first available redemption date in accordance with the Indenture. The City shall deposit any proceeds received from insurance and condemnation awards with respect to the destruction or partial destruction of Leased Property with the Trustee for deposit into the: (a) Insurance and Condemnation Fund if the City elects to repair the Leased Property or (b) the Lease Revenue Fund if the City elects to redeem the Outstanding Bonds. The City shall have 45 days from the date of any such destruction or partial destruction to determine whether to repair the Leased Property or use insurance and condemnation award proceeds received to redeem such bonds. To the extent that the City determines not to repair the Leased Property and cannot use insurance and condemnation award proceeds to redeem such bonds, the City shall and hereby covenants to substitute property for such Leased Property of equivalent or greater value in accordance with the provisions of Section 7 hereof. If the City determines to repair the Leased Property, disbursements by the Trustee shall only be made upon presentation of a requisition in a form substantially similar to Exhibit C of the Indenture. Each requisition shall be sufficient evidence to the Trustee of the facts stated therein and the Trustee shall have no duty to confirm the accuracy of such facts. If the City determines to cause the redemption of less 11 than the full amount of the Outstanding Bonds, such redemption shall only be made to the extent the remaining fair rental value of the Leased Property is sufficient to support the remaining Base Rental Payments supporting debt service on the Outstanding Bonds remaining after such redemption. SECTION 10. DEFAULT (a) Each of the following events constitutes an "Event of Default" hereunder: (1) Failure by the City to pay any Base Rental Payment or other payment (including Additional Rental Payments) required to be paid hereunder at the time specified herein, provided, that any Base Rental Payments abated pursuant to Section 16 shall not constitute an event of default. (2) Failure by the City to observe and perform any covenant, condition or agreement on its part to be observed or performed hereunder, other than as referred to in the preceding subsection (1), for a period of 30 days after written notice specifying such failure and requesting that it be remedied has been given to the City by the Authority. However, if the City notifies the Authority that in its reasonable opinion the failure stated in the notice can be corrected, but not within such 30 day period, the failure will not constitute an Event of Default if the City commences to cure the failure within such 30 day period and thereafter diligently and in good faith cures such failure in a reasonable period of time; provided, that such cure period shall not extend beyond 60 days. (3) The filing by the City of a voluntary petition in bankruptcy, or failure by the City promptly to lift any execution, garnishment or attachment, or adjudication of the City as a bankrupt, or assignment by the City for the benefit of creditors, or the entry by the City into an agreement of composition with creditors, or the approval by a court of competent jurisdiction of a petition applicable to the City in any proceedings instituted under the provisions of the Federal Bankruptcy Code, as amended, or under any similar acts which may hereafter be enacted. The Authority expressly waives the right to receive any amount from the City pursuant to Section 1951.2(a)(3) of the California Civil Code. (b) Whenever any Event of Default has happened and is continuing, the Authority may exercise any and all remedies available under law or granted under this Lease. Notwithstanding anything herein to the contrary, there shall be no right under any circumstances to accelerate the Base Rental Payments or otherwise declare any Base Rental Payments not then in default to be immediately due and payable. Each and every covenant hereof to be kept and performed by the City is expressly made a condition and upon the breach thereof the Authority may exercise any and all rights granted hereunder; provided, that no termination of this Lease will be effected either by operation of law or acts of the parties hereto, except only in the manner herein expressly provided. Upon the occurrence and during the continuance of any Event of Default, the Authority may exercise each and every one of the following remedies: 12 (1) Enforcement of Payments Without Termination. If the Authority does not elect to terminate this Lease in the manner hereinafter provided for in subsection (b)(2) of this Section, the City agrees to remain liable for the payment of all Base Rental Payments and the performance of all conditions herein contained, and the Authority may take whatever action at law or in equity may appear necessary or desirable, to collect each Base Rental Payment as it becomes due hereunder. The City will reimburse the Authority for any deficiency arising out of the re -leasing of the Leased Property or portion thereof, or, if the Authority is unable to re -lease the Leased Property, then for the full amount of all Base Rental Payments to the end of the term of this Lease, but said Base Rental Payments and/or deficiency will be payable only at the same time and in the same manner as hereinabove provided for the payment of Base Rental Payments hereunder, notwithstanding such entry or re-entry by the Authority or any suit in unlawful detainer, or otherwise, brought by the Authority for the purpose of effecting such re-entry or obtaining possession of the Leased Property or portion thereof or the exercise of any other remedy by the Authority. The City hereby irrevocably appoints the Authority as the agent and attorney -in -fact of the City and shall allow the Authority to enter upon and re -lease the Leased Property upon the occurrence and continuation of an Event of Default and to remove all personal property whatsoever situated upon the Leased Property, to place such property in storage or other suitable place in the State of California for the account of and at the expense of the City, and the City hereby agrees to save harmless the Authority from any costs, loss or damage whatsoever arising or occasioned by any such entry upon and re -leasing of the Leased Property and the removal and storage of such property by the Authority or its duly authorized agents in accordance with the provisions herein contained. The City agrees that the terms of this Lease constitute full and sufficient notice of the right of the Authority to re -lease the Leased Property in the event of such re- entry without effecting a surrender of this Lease, and further agrees that no acts of the Authority in effecting such re -leasing constitute a surrender or termination of this Lease irrespective of the term for which such re -leasing is made or the terms and conditions of such re -leasing, or otherwise, but that, on the contrary, in the event of such default by the City the right to terminate this Lease will vest in the Authority to be effected in the sole and exclusive manner hereinafter provided for in subsection (2) of this Section. Any rental obtained by the Authority in excess of the unpaid Base Rental Payments will -be applied as a credit against future Base Rental Payments. (2) Termination of Lease. If an Event of Default occurs and is continuing hereunder, the Authority at its option may terminate this Lease and re -lease all or any portion of the Leased Property. If the Authority terminates this Lease at its option and in the manner hereinafter provided on account of default by the City (and notwithstanding any re-entry upon the Leased Property by the Authority in any manner whatsoever or the re -leasing of the Leased Property), the City nevertheless agrees to pay to the Authority all costs, loss or damages howsoever arising or occurring payable at the same time and in the same manner as is herein provided in the case of payment of Base Rental Payments. Any surplus received by the Authority from such re -leasing will be applied as a credit against future Base Rental Payments. Neither notice to pay rent or to deliver up possession of the Leased Property given under law nor any proceeding in 13 unlawful detainer taken by the Authority will of itself operate to terminate this Lease, and no termination of this Lease on account of default by the City will be or become effective by operation of law, or otherwise, unless and until the Authority has given written notice to the City of the election on the part of the Authority to terminate this Lease. The City agrees that no surrender of the Leased Property, or of the remainder of the term hereof or any termination of this Lease will be valid in any manner or for any purpose whatsoever unless stated or accepted by the Authority by such written notice. (3) Proceedings at Law or In Equity. If an Event of Default occurs and continues hereunder, the Authority may take whatever action at law or in equity may appear necessary or desirable to collect the amounts then due and thereafter to become due hereunder or to enforce any other of its rights hereunder. (4) Remedies under the Site Lease. If an Event of Default occurs and continues hereunder, the Authority may exercise its rights under the Site Lease. SECTION 11. PREPAYMENT AND CREDITS (a) P=g3Lment From Net Proceeds. (1) The City may prepay, from Net Proceeds of insurance or a condemnation award received by it pursuant to Section 9, the Principal Component of Base Rental Payments then unpaid (and corresponding Interest Component), in whole or in part on any date, pursuant to Section 9 hereof, at a prepayment price equal to the sum of the Principal Component prepaid plus accrued interest thereon to the date of prepayment. (2) Prepayments made pursuant to this subsection (a) shall be allocated pro rata among the Principal Components of Base Rental Payments relating to the Bonds and any Additional Bonds. (b) Optional Prepayment. The City may at its option prepay from any source of available moneys for redemption of Bonds pursuant to Section 2.03 of the Indenture, all or any part (in an integral multiple of $5,000) of the Principal Component of Base Rental Payments (and corresponding Interest Component), so that the aggregate annual amounts of Principal Component of Base Rental Payments which shall be payable after such prepayment shall each be an integral multiple of $5,000, at a prepayment price equal to the principal amount to be redeemed, plus accrued but unpaid interest to the prepayment date, without premium. Before making any prepayment pursuant to this Section, the City shall give written notice to the Trustee specifying the date on which the prepayment will be made, which date shall be not less than forty-five (45) days from the date such notice is given unless the Trustee agrees to a shorter period. The Authority and the City hereby agree that any prepayment in part under this Section and the redemption of any Bonds by the Authority pursuant to Section 2.03(b) of the 14 Indenture shall be credited towards the City's obligations hereunder to make Base Rental Payments in any manner determined in writing by the City and delivered to the Trustee. A prepayment made pursuant to this Section shall not cause a defeasance of any Bonds unless the requirements of Section 9.03 of the Indenture are satisfied. In the event of prepayment in full of the Principal Component of all Base Rental Payments, such that this Lease shall be terminated by its terms as provided in Section 2, all amounts then on deposit under the Indenture which are to be credited to the City's obligations to make Base Rental Payments shall be credited towards the amounts then required to be so prepaid. In the event of the prepayment of some but not all of the Principal Components of the Base Rental Payments, the City shall replace the applicable Base Rental Schedule with a revised Base Rental Payment Schedule reflecting such prepayment of the Principal Components of such .Base Rental Payments. SECTION 12. MECHANICS' LIENS In the event the City shall at any time during the term of this Lease cause any improvements or other work to be done or performed or materials to be supplied, in or upon the Leased Property, the City shall pay, when due, all sums of money that may become due for, or purporting to be for, any labor, services, materials, supplies or equipment furnished or alleged to have been furnished to or for the City in, upon or about the Leased Property and which may be secured by any mechanics', materialmen's or other liens against the Leased Property or the Authority's interest therein, and will cause any such lien to be fully discharged and released at the time the performance of any obligation secured by any such lien matures or becomes due, except that, if the City desires to contest any such lien it may do so. If any such lien shall be reduced to final judgment and such judgment or such process as may be issued for the enforcement thereof is not promptly stayed, or if so stayed and said stay thereafter expires, the City shall forthwith pay and discharge said judgment. SECTION 13. QUIET ENJOYMENT The parties hereto mutually covenant that the City, so long as it keeps and performs the covenants and agreements herein contained, shall at all times during the term of this Lease peaceably and quietly have, hold and enjoy the Leased Property without suit, trouble or hindrance from the Authority. SECTION 14. INDEMNIFICATION The City shall, to the full extent then permitted by law, indemnify, defend, protect and hold harmless the Authority, the Trustee and their members, officers, directors, agents and employees from and against any and all liabilities, obligations, losses, claims and damages whatsoever, regardless of the cause thereof (except for claims arising out of willful misconduct or negligence on the part of the Authority or the Trustee or their respective members, officers, directors or employees), and expenses in connection therewith, including, without limitation, reasonable counsel fees and expenses, penalties and interest arising out of or as the result of the entering into of this Lease and the Indenture, the payment of the costs of acquiring the Leased Property or any accident in connection with the operation, use, condition or possession of the 15 Leased Property or any portion thereof resulting in damage to property or injury to or death to any person. The indemnification arising under this section shall continue in full force and effect notwithstanding the full payment of all rent obligations hereunder, the removal or resignation of the Trustee or the termination hereof for any reason. The City agrees not to withhold or abate any portion of the payments required pursuant hereto by reason of any defects, malfunctions, breakdowns or infirmities of the Leased Property. The Authority and the City mutually agree to promptly give notice to each other of any claim or liability hereby indemnified against following either party's learning thereof. SECTION 15. ASSIGNMENT The parties understand that this Lease and the rights of the Authority hereunder, with certain exceptions, will be assigned to the Trustee as provided in the indenture and the Assignment Agreement, to which assignments the City hereby consents. Except for the Permitted Encumbrances, neither this Lease nor any interest of the City hereunder shall be mortgaged, pledged, assigned or transferred by the City by voluntary act or by operation of law or otherwise; provided, subject to the provisions of Section 17 hereof, that the Leased Property may be further subleased in whole or in part by the City, but only subject to the following conditions, which are hereby made conditions precedent to any such sublease; (a) This Lease and the obligation of the City to make all Base Rental Payments and Additional Rental Payments hereunder shall remain the primary obligation of the City; (b) The City shall, within 30 days after the delivery thereof, ash or cause to be furnished to the Authority and the Trustee a true and complete copy of such sublease; (c) No such sublease by the City shall cause the Leased Property to be used for a primary purpose other than a governmental or proprietary function authorized under the provisions of the Constitution and laws of the State of California, unless an opinion of Bond Counsel has been filed pursuant to (e) below, as evidenced by a Certificate of the City that is delivered to the Trustee; (d) Any sublease of the Leased Property by the City shall explicitly provide that such sublease is subject to all rights of the Authority under this Lease; and (e) The City shall have filled or caused to be filed with the Authority and the Trustee an opinion of Bond Counsel to the effect that such sublease will not, in and of itself, cause the interest on the Bonds and any Additional Bonds (that are intended to be tax-exempt) to be included in gross income for federal income tax purposes. To the extent that this Lease confers upon or gives or grants the Trustee any right, remedy or claim under or by reason of this Lease, the Trustee is hereby explicitly recognized as being a third -party beneficiary hereunder and may enforce any such right, remedy or claim conferred, given or granted hereunder. UP SECTION 16. ABATEMENT OF RENTAL The obligation of the City to pay Base Rental Payments and Additional Rental Payments shall be abated during any period in which by reason of any damage, destruction, condemnation or title defect there is substantial interference with the use by the City of the Leased Property or any portion thereof Such abatement shall be in an amount such that the resulting Base Rental Payments in any year during which such interference continues does not exceed the fair rental value of the portions of the Leased Property as to which such damage, destruction, taking or title defect does not substantially interfere with the City's use and right of possession, as evidenced by a Certificate of the City. Such abatement shall continue for the period commencing with the date of interference resulting from such damage, destruction, condemnation or title defect and, with respect to damage to or destruction of the Leased Property, and ending with the substantial completion of the work of repair or replacement of the Leased Property, or the portion thereof so damaged or destroyed, and the term of this Lease shall be extended as provided in Section 2 hereof. Notwithstanding the foregoing, to the extent that moneys are available for the payment of Base Rental Payments and Additional Payments in any of the funds and accounts established under the Indenture, such Base Rental Payments and Additional Payments shall not be abated but shall be payable by the City as a special obligation payable solely from such funds and accounts. i ! 1 (a) Special Definitions. When used in this Section, the following terms have the following meanings: "Computation .Date" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Computation Period" means, initially, that period commencing on the date of issuance of the Tax -Exempt Bonds and concluding on the initial Computation Date and, thereafter, each period commencing on the day next following a Computation Date and concluding on the immediately succeeding Computation Date. "Gross Proceeds" means any proceeds as defined in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds), and any replacement proceeds as defined in section 1.148-1(c) of the Tax Regulations, of the Tax -Exempt Bonds. "Investment" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Nongovernmental Person" refers to any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, or an agency or instrumentality acting solely on behalf thereof. "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the Tax -Exempt Bonds are invested and that is not acquired to carry out the governmental purposes of the Tax -Exempt Bonds. 17 "Original Facility" means any property the acquisition, construction or improvement of which was financed directly or indirectly with Gross Proceeds of an Original Issue. "Original Issue" refers to the Tax -Exempt Bonds. "Proceeds, " with respect to an issue of governmental obligations, has the meaning set forth in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds). "Rebate Amount" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Tax Regulations " means the United States Treasury Regulations promulgated pursuant to sections 103 and 141 through 150 of the Code, or under the provisions of any predecessor statute corresponding thereto. "Yield" of (1) any Investment has the meaning set forth in section 1.148-5 of the Tax Regulations; and (2) the Tax -Exempt Bonds has the meaning set forth in section 1.148-4 of the Tax Regulations. (b) Exclusion of Interest from Gross Income. The City will take all actions necessary to establish and maintain the exclusion pursuant to section 103(a) of the Code of interest on the Tax -Exempt Bonds from the gross income of the owners thereof for federal income tax purposes, and will not use, permit the use of, or omit to use Gross Proceeds of the Tax. -Exempt Bonds or any other amounts or any of the Original Facilities in a manner that if made or omitted, respectively, would cause the interest on any of the Tax -Exempt Bonds to fail to be excluded pursuant to section 103(a) of the Code from the gross income of the owners thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the City receives a written Opinion of Bond Counsel to the effect that failure to comply with such covenant will not adversely affect the exclusion pursuant to section 103(a) of the Code of interest on any Tax -Exempt Bond from the gross income of the owner thereof, the City shall comply with this covenant and each of the specific covenants in this Section. (c) No Private Use or Private Payments. Except as would not cause any Tax - Exempt Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the City covenants that at all times prior to the payment and cancellation of the last Tax -Exempt Bond to be paid and canceled: (1) it will use its best efforts to ensure that the City (or another entity other than a Nongovernmental Entity) exclusively owns, operates and possesses all of the Original Facilities that are to be financed directly or indirectly with Gross Proceeds of the Tax -Exempt Bonds, and that it will not use or permit the use of such Gross Proceeds (including under any contractual arrangement with terms different than those applicable to the general public) or any of the Original Facilities in any activity carried on by any m Nongovernmental Person, unless such use is solely as a member of the general public; and (2) not directly or indirectly impose or accept any charge or other payment by any person .or entity in respect of the use by any Nongovernmental Person of Gross Proceeds of the Tax -Exempt Bonds, other than interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes, or of any Original Facility. Without limiting the foregoing, except as would not cause any Tax -Exempt Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the City will not: (i) permit any Nongovernmental Person to hold any ownership, proprietary or possessory interest in any of the Original Facilities; or (ii) contract with any Nongovernmental Person for the provision of operating or other services with respect to any function of an Original Facility (unless either (A) such arrangement requires no payment of fees to such Nongovernmental Person other than as direct reimbursement of third party costs or reasonable administrative overhead, or (B) such arrangement conforms to administrative guidance of the Internal Revenue Service in order to assure that such arrangement does not create a private business use relationship of the Nongovernmental Person to the Gross Proceeds of the Tax -Exempt Bonds or to any Original Facility). (d) No Private Loan. Except as would not cause any Tax -Exempt Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the City has not used, and will not use, Gross Proceeds of any Tax -Exempt Bond to make or finance loans to any Nongovernmental Person. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if. (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction that creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take -or -pay, output or similar contract or arrangement; or (3) indirect benefits of such Gross Proceeds, or burdens and benefits of ownership of any property acquired, constructed or improved with such Gross Proceeds, are otherwise transferred in a transaction that is the economic equivalent of a loan. (e) Not to Invest at Higher Yield. Except as would not cause any Tax -Exempt Bond to become an "arbitrage, bond" within the -meaning of section 148 of the -Code and the- Tax Regulations and rulings thereunder, the City shall not at any time prior to the final maturity of the Tax -Exempt Bonds directly or indirectly invest Gross Proceeds in any Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, would materially exceed the Yield of such Tax -Exempt Bond within the meaning of said section 148. (f) Not Federally Guaranteed. The City covenants that, except to the extent permitted by section 149(b) of the Code and the Tax Regulations and rulings thereunder, it will not take or omit to take any action that would, cause any Tax -Exempt Bond to be "federally guaranteed" within the meaning of section 149(b) of the Code and the Tax Regulations and rulings thereunder. m (g) Information Report. The City covenants that it will timely file or cause to be filed any information required by section 149(e) of the Code with respect to the Tax -Exempt Bonds with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary may prescribe. (h) Rebate of Arbitrage Profits. The City covenants that the requirements of section 148(f) of the Code will be satisfied in order that the Tax -Exempt Bonds be not arbitrage bonds, and that, except to the extent otherwise provided in section 148(f) of the Code and the Tax Regulations and rulings thereunder: (1) it will account for all Gross Proceeds of the Tax -Exempt Bonds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last Tax - Exempt Bond is discharged. However, to the extent permitted by law, the City may commingle Gross Proceeds of the Tax -Exempt Bonds with its other money, provided that the City separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith. (2) not less frequently than each Computation Date, it will calculate or cause to be calculated the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Tax Regulations and rulings thereunder. The Trustee may rely conclusively upon the City's determinations, calculations and certifications required by this Section. The Trustee shall have no responsibility to independently make any calculation of determination or to review the City's calculations hereunder. The City covenants that it will maintain a copy of the calculation with its official transcript of proceedings relating to the issuance of the Tax -Exempt Bonds until six years after the final Computation Date; (3) it will deposit in the Rebate Fund and cause the Trustee to pay to the United States the amount that when added to the future value of previous rebate payments made for the Tax -Exempt Bonds equals (A) in the case of a Final Computation Date as defined in section I : 148-3 (e)(2) of the Tax Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (B) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such a date. In all cases such Rebate payments shall be -made -by the, City (or by the Trustee. at the direction of the- City) at the times and in the amounts as are or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder, and such payments shall be accompanied by Form 8038-T executed by the City or such other forms and information as is or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder. (4) it will exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and (3) above, and if an error is made, to discover and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any, additional Rebate Amount owed to KII it, interest thereon, and any penalty imposed under section 1.148-3(h) or other provision of the Tax Regulations. (i) Not to Divert Arbitrage Profits. The- City - covenants - that, except - to the extent permitted by section 148 of the -Code and the Tax Regulations and rulings thereunder, at no time prior to the final maturity of the Tax -Exempt Bonds will it -enter into any transaction that reduces -the amount required to be paid -to the United States pursuant to paragraph (h) of this Section because. such transaction results in a smaller profit or a larger loss than would have. resulted if the transaction had been at arm's length and had the Yield on the Tax -Exempt Bonds not been relevant to -each party. 0) Tax -Exempt Bonds Not Hedge Bonds. (1) The -City represents that the Tax -Exempt Bonds will not be, "hedge bonds" within the meaning of section 149(g) of the Code. (2) Withoutlimitation of paragraph (1) above, the City warrants as to the Original Issue that: (1) on each date of issuance- of that issue, the City reasonably expected that at least 85% of the spendable proceeds of that Original Issue would be expended within the three-year period commencing on such date of issuance, and (II) no more than 50°% of the proceeds of that Original Issue at any time has been invested in Nonpurpose Investments having a substantially guaranteed yield for a period of four years or more. (k) Elections. The City hereby directs and authorizes any Responsible Officer to make elections permitted or required pursuant to the provisions of the Code or the Tax Regulations, as such Responsible Officer (after consultation with Bond Counsel) deems necessary or appropriate in connection with the Tax -Exempt Bonds, in the Tax Certificate relating to the Tax -Exempt Bonds or similar or other appropriate certificate, form or document. (1) Closing Certificate. The City agrees to execute and deliver in connection with the execution and delivery of this Lease a Tax Certificate as to Arbitrage and the Provisions of Sections 103 and 141-150 of the Internal Revenue Cade of 1986, or similar document containing additional representations and covenants pertaining to the exclusion of the interest on the Tax -Exempt Bonds from the gross income of the owners thereof for federal income tax purposes, which representations and covenants are incorporated as. though expressly set forth herein. SECTION 18. CONTINUING DISCLOSURE The City will comply with the continuing disclosure requirements applicable to it promulgated under U.S. Securities and Exchange Commission Rule 15c2-12 and will also comply with its obligations under the Continuing Disclosure Certificate, dated as of October 1, 2020, delivered by the City relating to the Bonds.and.under.any continuing.disclosure-certificate or agreement related to Additional Bonds that are subject to Rule 15c2-12; provided, however, that the sole remedy hereunder in the event of any failure of the City to comply with this covenant -shall be an action to compel. performance and the City's failure to comply with any continuing disclosure requirement -shall not be deemed a default or an Event of Default. 21 SECTION 19. WAIVER Failure of the Authority to take advantage of any default on the part of the City shall not be, or be construed -as, a -waiver thereof; nor shall anycustomor practice- which- may be established between the parties in the course of administering this Lease be construed to waive or to lessen the right of the Authority to insist upon performance by the City of any term, covenant or condition hereof, or to exercise any rights given the Authority on 'account of such default. A waiver of a particular default shall not be deemed to be a waiver of the same or any subsequent default. The acceptance of rent hereunder shall not be, nor be construed to be, a waiver of any term, covenant or condition of this Lease. - SECTION 20. NET LEASE" Subject to the provisions of Section 16 ("Abatement of Rental"), this Lease shall be deemed and construed to be a."Triple-Net-Lease" and the City hereby agrees that rental provided for herein shall be an absolute net return to the Authority, free and clear of any expenses; taxes, fees, insurance- premiums, rebate payments; Leased Property costs, reserve deposits, charges or setoffs whatsoever. SECTION 21. AMENDMENTS. This Lease may be amended in writing_ as may be mutually agreed by the Authority and the City; provided, that no such amendment which materially adversely affects the rights of the Owners shall be effective unless it shall-have'been consented to by the Owners of more than a majority in aggregate principal amount of the affected Bonds and any Additional Bonds then Outstanding, and provided further, that no such amendment shall (a) extend the payment date of any Base Rental Payment, without the prior -written consent of the Owner of each Bond and any Additional Bond so affected, or (b) reduce the percentage of the Outstanding Bonds the consent of the Owners of which is required for the execution of any amendment hereof. This Lease and the rights and obligations of the Authority and the City hereunder may .also be amended or supplemented at any time by an amendment hereof or supplement hereto which shall become binding upon execution by the Authority and the City without the written consents of any Owners, but only to the extent permitted by law and only for any one or more of the following purposes: (a) to add to the agreements, conditions; covenants and terms required by the Authority or the City to be observed or performed herein and other agreements, conditions, covenants and terms thereafter to be observed or performed by the Authority or the City, or to surrender any right or power reserved herein to or conferred -herein on the Authority or the City, and which in either case shall not materially adversely affect the interests of the Owners; (b) to make such provisions for the purpose_ of curing any ambiguity or correcting, curing or supplementing any defective provision contained herein or in regard to questions arising hereunder which the Authority or the City may deem desirable or necessary and not inconsistent herewith, and which shall not materially adversely affect the interests of the Owners; 22 (c) to effect a substitution or release of the Leased Property; (d) to increase the amount of Base Rental Payment payable hereunder for the purpose of allowing the Authority to add any real property to be acquired and leased hereunder or for the issuance of Additional Bonds; or (e) for any other purpose which shall not materially adversely affect the interests of the Owners. SECTION 22. ESSENTIALITY The City covenants and agrees that the Leased Property is essential to the City's exercise of its governmental functions. SECTION 23. LAW GOVERNING This Lease shall be governed exclusively by the provisions hereof and by the laws of the State of California. EMU _1140PI All notices, statements, demands, consents, approvals, authorizations, offers, designations, requests or other communications hereunder by either party to the other shall be made as provided in the Indenture. SECTION 25. VALIDITY AND SEVERABILITY If for any reason this Lease shall be held by a court of competent jurisdiction to be void, voidable, or unenforceable by the Authority or by the City, or if for any reason it is held by such a court that any of the covenants of the City hereunder, including the covenant to pay rentals hereunder, is unenforceable for the full term hereof, then and in such event this Lease is and shall be deemed to be a lease from year to year under which the rentals are to be paid by the City semi-annually in consideration of the right of the City to possess, occupy and use the Leased Property, and all of the rental and other terms, provisions and conditions of this Lease, except to the extent that such terms, provisions and conditions are contrary to or inconsistent with such holding, shall remain in full force and effect. SECTION 26. SECTION READINGS All section headings contained are for convenience -of reference only and are -not intended to define or limit -the -scope -of-any provision of this Lease. SECTION 27. NO MERGER If both the -Authority's and the City's estate under this or any other lease relating to the Leased Property or any portion thereof shall at any time or for any reason become vested in one owner, this Lease and the estate created hereby shall not be destroyed or terminated by the doctrine of merger unless the City so elects as evidenced by recording a written declaration so 23 stating, and unless and until the City so elects, the City shall continue to have and enjoy all of its rights and privileges as to the separate estates. SECTION 28. EXECUTION It is agreed that separate counterparts of this Lease may separately be executed by the Authority and the City, all with the same force and effect as though the same counterpart had been executed by both the Authority and the City. 24 IN WITNESS WHEREOF, the Authority and the City have caused this Lease to be executed by their respective officers thereunto duly authorized, all as of the day and year first above written. ATTEST: By2k� 6-,� AMa+d,r, 54 A, Deputy Secretary By a &,,sDeputy City Clerk SANTA CLARITA PUBLIC FINANCING AUTHORITY By Chair CITY OF SANTA CLARITA P By City Manager ��n 5�'j�lm, 25 A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA �14 COUNTY OF LOS ANGELES On bonaXCIP, I L, U;ID — before me, f&C- JASUE Mk'K>EY (insert name of the officer), Notary Public, bersonally appeared QXygrp).a 5ft)tjjA _-, who proved to me on the basis of satisfactory evidence to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in his/her/their authorized capacity(ies), and that by his/her/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. MACHELLE MASSEY Notary Public -California Los Angeles County Z Z Commission 4 2287660 'Z�a [Seal] My Comm. Expires May 5, 2023 1 A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On 0=5VN-, M-ao —before me, f_WkAAr_L1_� DAA'1,55� (insert name of the officer), Notary Public, personally appeared who proved to me on the basis of satisfactory evidence to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in his/her/their authorized capacity(ies), and that by his/her/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. — — — — — MACHELLE 7EY Notary Public - California Los Angeles County 9 Commission # 2287660 [Seal] o.My Comm, Expires A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On Or,TIB1EP,. 1( , 10-?.Q before me, `RIACNWsa V14y5ei (insert name of the officer), Notary Public, personally appeared AjVO4,41; towho proved to me on the basis of satisfactory evidence to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in his/her/their authorized capacity(ies), and that by his/her/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. *4L.Ya: MACNELLEMASSEY Notary Public - California Cos Angeles County Z := Commission r 2287660 u [Seal] My Comm. Expires May 5, 2023 A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. ss: On dbefore me, l—�A MP6S" (insert name of the officer), Notary Public, personally appeared V jAmbA 5nhM s , who proved to me on the basis of satisfactory evidence to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in his/her/their authorized capacity(ies), and that by his/her/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal MACHELLEMASSEY Notary Public -California z Los Angeles County Z 1L� z Commission 4-2287660 [Seal] "°`` My Comm. Expires May 5, 2023 EXHIBIT A DESCRIPTION OF THE LEASED PROPERTY The approximately 93,000 square foot building to be repaired, improved and/or rehabilitated as a recreational facility by the City of Santa Clarita and/or Santa Clarita Public Financing Authority, on a parcel currently assessed by the County Assessor as APN 2810-043-054, and the real properly in the City of Santa Clarita, County of Los Angeles, State of California, described as follows: LOT 11 OF VESTING TRACT NO. 52111, AS PER MAP RECORDED IN BOOK 1218, PAGES 1 TO 15 INCLUSIVE, OF MAPS, IN THE OFFICE OF THE COUNTY RECORDER OF SAID COUNTY AND AS AMENDED PURSUANT TO THAT CERTAIN CERTIFICATE OF CORRECTION RECORDED ON MAY 16, 2000 AS INSTRUMENT NO. 2000-0753274 OF OFFICIAL RECORDS. • ! •• i • ! 1 i` i • •1' i • i • 1 1 • !' 1 1' •' 1 IF 1 • • 1 # i' 1 •' IN I#' i 1' # i _ #' ( • r Niue •' • # •• 1 •• •' i ` ! ! • Mill 0 APN: 2810-043-054 [End of Legal Description] A-1 BASE RENTAL PAYMENT SCHEDULE Interest Tag -Exempt Bonds Taxable Bonds Total Annual Debt Payment Date' Principal Interest Principal Interest Debt Service Service 12/01/2020 $ 33,82234 $ 5,052.64 $ 38,874.98 06/01/2021 156,103.13 $ 485,000 23,319.88 664,423.01 $ 703,297.99 12/01/2021 156,103.13 22,235.90 178,339.03 06/01/2022 156,103.13 350,000 22,235.90 528,339.03 706,678.06 12/01 /2022 156,103.13 21,191.15 177,294.28 06/01/2023 156,103.13 355,000 21,191.15 532,294.28 709,588.56 12/01/2023 156,103.13 19,788.90 175,892.03 06/01/2024 156,103.13 355,000 19,788.90 530,892.03 706,784.06 12/01/2024 156,103.13 18,056.50 174,159,63 06/01/2025 156,103.13 360,000 18,056.50 534,159.63 708,319.26 12/01/2025 156,103.13 15,939.70 172,042,83 06/01/2026 156,103.13 365,000 15,939.70 537,042.83 709,085.66 12/01/2026 156,103.13 13,225.93 169,329.06 06/01/2027 156,103.13 370,000 13,225.93 539,329.06 708,658.12 12/01/2027 156,103.13 10,104.98 166,208.11 06/01/2028 156,103.13 375,000 10,104.98 541,208.11 707,416.22 12/01/2028 156,103.13 6,416.85 162,519.98 06/01/2029 156,103.13 385,000 6,416.85 547,519.98 710,039.96 12/01/2029 156,103.13 2,437.88 158,541.01 06/01/2030 $ 165,000 156,103.13 225,000 2,437.88 548,541.01 707,082.02 12/01/2030 152,803.13 152,803.13 06/01/2031 400,000 152,803.13 552,803.13 705,606.26 12/01/2031 146,803.13 146,803.13 06/01/2032 415,000 146,803.13 561,803.13 708,606.26 12/01/2032 140,578.13 140,578.13 06/01/2033 425,000 140,578.13 565,578.13 706,156.26 12/01/2033 136,328.13 136,328.13 06/01/2034 435,000 136,328.13 571,328.13 707,656.26 12/01/2034 131,978.13 131,978.13 06/01/2035 445,000 131,978.13 576,978.13 708,956.26 12/01/2035 127,250.00 127,250.00 06/01/2036 455,000 127,250.00 582,250.00 709,500.00 12/01/2036 122,131.25 122,131.25 06/01/2037 465,000 122,131.25 587,131.25 709,262.50 12/01/2037 116,900.00 116,900.00 06/01/2038 475,000 116,900.00 591,900.00 708,800.00 12/01/2038 111,259.38 111,259.38 06/01/2039 485,000 111,259.38 596,259.38 707,518.76 12/01/2039 105,500.00 105,500.00 06/01/2040 495,000 105,500.00 600,500.00 706,000.00 12/01 /2040 99,312.50 99,312.50 06/01/2041 510,000 99,312.50 609,312.50 708,625.00 12/01/2041 92,937.50 92,937.50 06/01/2042 520,000 92,937.50 612,937.50 705,875.00 1. Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. B-1 Interest Tag -Exempt Bonds Taxable Bonds Total Annual Payment Date' Principal Interest Principal Interest Debt Service Debt Service 12/01/2042 82,537.50 82,537.50 06/01/2043 545,000 82,537.50 627,537.50 710,075.00 12/01/2043 71,637.50 71,637.50 06/01/2044 565,000 71,637.50 636,637.50 708,275.00 12/01/2044 60,337.50 60,337.50 06/01/2045 585,000 60,337.50 645,337.50 705,675.00 12/01/2045 48,637.50 48,637.50 06/01/2046 610,000 48,637.50 658,637.50 707,275.00 12/01/2046 36,437.50 36,437.50 06/01/2047 635,000 36,437.50 671,437.50 707,875.00 12/01/2047 27,706.25 27,706.25 06/01/2048 655,000 27,706.25 682,706.25 710,412.50 12/01/2048 18,700.00 18,700.00 06/01/2049 670,000 18,700.00 688,700.00 707,400.00 12/01/2049 9,487.50 9,487.50 06/01/2050 690,000 9,487.50 699,487.50 708,975.00 Total $10,645,000 $6,678,306.87 $3,625,000 �287,168. 4 $21,235.474.97 $21,235,474,27 (1) Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. -C 9/ 15/22 AFTER RECORDATION PLEASE RETURN TO: Norton Rose Fulbright US LLP 555 South Flower Street, Suite 4100 Los Angeles, California 90071 Attention: Maryann L. Goodkind, Esq. FIRST AMENDMENT TO LEASE AGREEMENT Dated as of October 1, 2022 by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and CITY OF SANTA CLARITA Relating to $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A and $[PRINCIPAL AMOUNT] Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) THIS IS A FINANCING DOCUMENT. NO DOCUMENTARY TRANSFER TAX IS DUE PURSUANT TO REVENUE AND TAXATION CODE SECTION 11922 AND THIS DOCUMENT IS EXEMPT FROM RECORDING FEES PURSUANT TO GOVERNMENT CODE SECTION 27383. FIRST AMENDMENT TO LEASE AGREEMENT This First Amendment to Lease Agreement, dated as of October 1, 2022 (this "First Lease Amendment"), is made by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority duly organized and existing under the laws of the State of California (the "Authority"), as lessor, and the CITY OF SANTA CLARITA, a city duly organized and existing under the laws of the State of California (the "City"), as lessee. RECITALS: WHEREAS, the Authority is a joint powers authority duly organized and existing under and pursuant to that certain Joint Exercise of Powers Agreement, dated as of July 9, 1991, as amended on May 10, 2016, by and among the City of Santa Clarita, California (the "City"), the City as successor agency to the Redevelopment Agency of the City of Santa Clarita (no longer a member), and the Santa Clarita Parking Authority, establishing the Authority for the purpose, among other things, of issuing its bonds to be used to provide financing and refinancing for public capital improvements of the City; and WHEREAS, pursuant to the Indenture, dated as of June 1, 2016 (the "Original Indenture") by and between the Authority and the Trustee, the Authority issued the (collectively, the "2016 Bonds"), for the purpose of refinancing the costs of acquiring right-of-way for a portion of Golden Valley Road in connection with the payment of a judicial order by the City; WHEREAS, to facilitate the issuance of the 2016 Bonds, the City and the Authority entered into a Site and Facility Lease, dated as of June 1, 2016 (the "Site Lease"), whereby the Authority has agreed to lease certain real property and the improvements thereon, more commonly known as the Santa Clarita City Hall, located at 23920 Valencia Boulevard, Santa Clarita (the "Leased Property") and described on Exhibit "A" attached hereto, and the Authority and the City entered into that certain Lease Agreement, dated as of June 1, 2016 (the "Original Lease"), between the Authority and the City, whereby the Authority has agreed to sublease the Leased Property back to the City, and the City is obligated to make Base Rental Payments (as defined therein) to the Authority for the sublease of the Leased Property; WHEREAS, the Original Indenture provides that, for any purpose the Authority may at any time issue one or more Series of Additional Bonds (in addition to the 2016 Bonds) payable from Revenues as provided therein on a parity with all other Bonds theretofore issued thereunder, but only subject to the conditions precedent to the issuance of such Additional Bonds specified in the Original Indenture, including amendment of the Original Lease to increase the Base Rental Payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds; WHEREAS, the City desires to finance certain energy efficiency improvements for City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements (the "2022 Project"); and WHEREAS, the City has requested that the Authority issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (the "2022B Bonds") in the aggregate principal amount not to exceed $ as Additional Bonds on parity with the 2016 Bonds for the purpose of financing a portion of the costs of the 2022 Project and to pay for the costs of issuing the 2022B Bonds; WHEREAS, concurrently with the issuance of the 2022B Bonds, the City has requested that the Authority also issue its Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) (the "2022A Bonds") for the purpose of financing a portion of the costs of the Project, which 2022A Bonds are on parity with the $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds Lease Revenue Bonds (Recreational Facility) Series 2020A and the $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 202OA-T (collectively, the "2020 Bonds"), secured by lease payments under a separate lease; WHEREAS, the Authority and the City have entered into a First Supplemental Indenture, dated as of October 1, 2022 (the "First Supplemental Indenture," and together with the Original Indenture, as amended, the "Indenture") relating to the issuance of the 2022B Bonds, as Additional Bonds; WHEREAS, pursuant to Section 21 of the Original Lease and Sections 3.07 and 7.01(a) of the Indenture, the Authority and the City may amend or supplement the Original Lease by a written amendment thereof or supplement thereto which shall become binding upon execution by the Authority and the City without the written consents of any Owners for the purpose of increasing the amount of Base Rental Payment payable thereunder for the purpose of the issuance of Additional Bonds; WHEREAS, in consideration of the undertaking and financing of the Project, including energy efficiency enhancements to the Leased Property, the Authority and the City desire to amend the Original Lease to increase the amount of Base Rental Payments for the purpose of the issuance of the 2022B Bonds, as Additional Bonds under the Indenture; WHEREAS, capitalized undefined terms shall have the meanings ascribed thereto in the Original Lease or the Indenture. NOW, THEREFORE, the Authority and the City agree as follows: ARTICLE I AMENDMENTS TO ORIGINAL LEASE SECTION 1.0. DEFINITIONS. Unless the context otherwise requires, the terms defined and/or modified in this Section shall for all purposes of the Lease, the Indenture and of any certificate, opinion or other document herein or therein mentioned, have the meanings herein specified as follows: "Base Rental Payments" means Base Rental Payments to be made by the City hereunder in accordance with the base rental schedule attached hereto as Exhibit B-1 in connection with the 2016 Bonds, in accordance with the base rental schedule attached hereto as Exhibit B-2 in connection with the 2022B Bonds, or, cumulatively in accordance 2 with the base rental schedule attached hereto as Exhibit B-3 in connection with the 2016 Bonds and the 2022B Bonds, and any additional base rental payments made hereunder to support Additional Bonds issued in accordance with the Indenture. "Expiration Date" means June 1, 20 "First Lease Amendment" means the First Amendment to Lease Agreement, dated as of October 1, 2022, by and between the Authority and the City. "Lease" means this Lease, as amended and supplemented by the First Lease Amendment, as originally executed or as it may from time to time be amended or supplemented in accordance herewith. ["Permitted Encumbrances" means, with respect to the Leased Property, as of any particular time, (i) the Site Lease; (ii) this Lease, (iii) the Indenture, the Assignment Agreement and the Trustee's and the Authority's interests in the Leased Property, (iv) liens for taxes and assessments not then delinquent, (v) utility, access and other easements and rights of way, restrictions and exceptions that as certified in a Certificate of the City will not interfere with or impair the use intended to be made of the Leased Property; (vi) encumbrances upon any additions and improvements to the Leased Property as permitted in this Lease and which do not materially impair the use intended to be made of the portions of the Leased Property other than such additions and improvements; (vii) any sublease or use permitted by this Lease, (viii) covenants, conditions or restrictions or liens of record relating to the Leased Property and existing on the Closing Date; (ix) such minor defects, irregularities, encumbrances and clouds on title as normally exist with respect to property similar in character to the Leased Property and as do not materially impair the use intended to be made of property affected thereby; and (x) any encumbrances listed in the Preliminary Report issued by First American Title Company, dated October , 2022.] SECTION 1.2. AMENDMENT TO SECTION 3(a). All references to "Exhibit B" in Section 3(a) shall be amended to read "Exhibit B-Y' SECTION 1.3. AMENDMENT TO SECTION 11(b). The first and third paragraphs of Section 11(b) shall be amended and restated as follows: "The City may at its option prepay from any source of available moneys for redemption of Bonds pursuant to Section 2.03 and Section 10.04 (b) of the Indenture, all or any part (in an integral multiple of $5,000) of the Principal Component of Base Rental Payments (and corresponding Interest Component), so that the aggregate annual amounts of Principal Component of Base Rental Payments which shall be payable after such prepayment shall each be an integral multiple of $5,000, at a prepayment price equal to the principal amount to be redeemed, plus accrued but unpaid interest to the prepayment date, without premium." "The Authority and the City hereby agree that any prepayment in part under this Section and the redemption of any Bonds by the Authority pursuant to Section 2.03(b) or Section 10.04(b) of the Indenture shall be credited towards the City's obligations hereunder to make Base Rental Payments in any manner determined in writing by the City and delivered to the Trustee. A prepayment made pursuant to this Section shall not cause a defeasance of any Bonds unless the requirements of Section 9.03 of the Indenture are satisfied." SECTION 1.4. AMENDMENT TO SECTION 17. In addition to the covenants of the City applicable to the 2016 Bonds in Section 17, the City also makes such covenants with reference to the 2022B Bonds and the 2022A Tax Certificate. SECTION 1.5. AMENDMENT TO EXHIBIT B. Exhibit B shall be replaced with Exhibits B-1, B-2 and B-3 attached hereto and incorporated herein by this reference. ARTICLE II MISCELLANEOUS SECTION 2.1. EFFECT OF FIRST LEASE AMENDMENT. This First Lease Amendment and all of the terms and provisions herein contained shall form part of the Original Lease, as amended, as fully and with the same effect as if all such terms and provisions had been set forth in the Original Lease, as amended. Except as set forth in Article I hereof, the Original Lease shall remain in full force and effect. The Original Lease is hereby ratified and confirmed and shall continue in full force and effect in accordance with the terms and provisions thereof, as amended and supplemented hereby. If there shall be any conflict between the terms of this First Lease Amendment and the terms of the Original Lease, as amended (as in effect on the day prior to the effective date of this First Lease Amendment), the terms of this First Lease Amendment shall prevail. SECTION 2.2. EFFECTIVE DATE OF FIRST LEASE AMENDMENT. This First Lease Amendment shall take effect upon the 2022A Closing Date. SECTION 2.3. APPLICABLE LAW. This First Lease Amendment shall be governed by and enforced in accordance with the laws of the State of California applicable to contracts made and performed in the State of California. SECTION 2.4. COUNTERPARTS. This First Lease Amendment may be executed in counterparts, each of which shall be deemed an original. M IN WITNESS WHEREOF, the Authority and the City have caused this First Amendment to Lease Agreement to be executed by their respective officers thereunto duly authorized, all as of the day and year first above written. ATTEST: LM ATTEST: L-02 Secretary City Clerk SANTA CLARITA PUBLIC FINANCING AUTHORITY UZ Chair CITY OF SANTA CLARITA S-1 City Manager A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On before me, (insert name of the officer), Notary Public, personally appeared , who proved to me on the basis of satisfactory evidence to be the person(s) whose name(s) is/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in his/her/their authorized capacity(ies), and that by his/her/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. [Seal] A-1 EXHIBIT A DESCRIPTION OF THE LEASED PROPERTY The land and City Hall structure located thereon situated on a portion of a parcel of land (Assessor Parcel No. 2861-026-900) in the County of Los Angeles, State of California, described below: PARCELI: LOTS 3,4 AND 5, OF TRACT NO. 33746, IN THE CITY OF SANTA CLARITA, COUNTY OF LOS ANGELES, STATE OF CALIFORNIA, AS PER MAP RECORDED IN BOOK 1056, PAGES 91 TO 96 INCLUSIVE OF MAPS, IN THE OFFICE OF THE COUNTY RECORDER OF SAID COUNTY. EXCEPT THEREFROM ALL RIGHTS TO MINERALS, OIL, GAS, TARS, HYDROCARBON AND METALLIFEROUS SUBSTANCES OF EVERY KIND, TOGETHER WITH THE RIGHT TO DRILL OR MINE FOR SAME, WITHOUT, HOWEVER, THE RIGHT OF SURFACE ENTRY AND WITHOUT THE RIGHT TO DRILL OR MINE THROUGH THE SURFACE OF THE UPPER 500 FEET OF THE SUBSURFACE OF SAID LAND AS RESERVED BY THE NEWHALL LAND AND FARMING COMPANY (A CALIFORNIA LIMITED PARTNERSHIP), A LIMITED PARTNERSHIP IN DEED RECORDED APRIL 2, 1986 AS INSTRUMENT NO. 86-409536, OFFICIAL RECORDS. PARCEL 2: A NON-EXCLUSIVE EASEMENT FOR PURPOSES OF INGRESS AND EGRESS OVER THE WESTERLY 15 FEET OF LOT 2 OF SAID TRACT MAP 33746, RECORDED IN BOOK 1056, PAGES 91 TO 96 INCLUSIVE OF MAPS, WHICH EASEMENT SHALL BE APPURTENANT TO AND FOR THE BENEFIT OF LOT 3 OF SAID TRACT MAP 33746. PARCEL 3: A NON-EXCLUSIVE EASEMENT FOR PURPOSES OF INGRESS AND EGRESS OVER THE EASTERLY FIFTEEN FEET OF LOT 6 OF SAID TRACT MAP 33746, RECORDED IN BOOK 1056, PAGES 91 TO 96 INCLUSIVE OF MAPS, WHICH EASEMENT SHALL BE APPURTENANT TO AND FOR THE BENEFIT OF LOT 5 OF SAID TRACT MAP 33746. [End of Legal Description] A-1 EXHIBIT B-1 BASE RENTAL PAYMENT SCHEDULE RELATING TO 2016 BONDS Interest Total Annual Payment Dates(') Principal Interest Debt Service Debt Service 12/01/2016 $ 375,000.00 $ 154,185.83 $ 529,185.83 06/01/2017 167,050.00 167,050.00 12/01/2017 375,000.00 167,050.00 542,050.00 06/01/2018 159,550.00 159,550.00 12/01/2018 385,000.00 159,550.00 544,550.00 06/01/2019 151,850.00 151,850.00 12/01/2019 400,000.00 151,850.00 551,850.00 06/01/2020 143,850.00 143,850.00 12/01/2020 420,000.00 143,850.00 563,850.00 06/01/2021 135,450.00 135,450.00 12/01/2021 435,000.00 135,450.00 570,450.00 06/01/2022 126,750.00 126,750.00 12/01/2022 450,000.00 126,750.00 576,750.00 06/01/2023 117,750.00 117,750.00 12/01/2023 470,000.00 117,750.00 587,750.00 06/01/2024 108,350.00 108,350.00 12/01/2024 490,000.00 108,350.00 598,350.00 06/01/2025 98,550.00 98,550.00 12/01/2025 510,000.00 98,550.00 608,550.00 06/01/2026 88,350.00 88,350.00 12/01/2026 530,000.00 88,350.00 618,350.00 06/01/2027 77,750.00 77,750.00 12/01/2027 550,000.00 77,750.00 627,750.00 06/01/2028 72,250.00 72,250.00 12/01/2028 555,000.00 72,250.00 627,250.00 06/01/2029 66,700.00 66,700.00 12/01/2029 570,000.00 66,700.00 636,700.00 06/01/2030 61,000.00 61,000.00 12/01/2030 580,000.00 61,000.00 641,000.00 06/01/2031 54,475.00 54,475.00 12/01/2031 595,000.00 54,475.00 649,475.00 06/01/2032 42,575.00 42,575.00 12/01/2032 625,000.00 42,575.00 667,575.00 06/01/2033 30,075.00 30,075.00 12/01/2033 650,000.00 30,075.00 680,075.00 06/01/2034 20,325.00 20,325.00 12/01/2034 670,000.00 20,325.00 690,325.00 06/01/2035 10,275.00 10,275.00 12/01/2035 685,000.00 10,275.00 695,275.00 Total $10,320,000.00 $3,620,035.83 $13,940,035.83 (') Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. B-1-1 EXHIBIT B-2 BASE RENTAL PAYMENT SCHEDULE RELATING TO 2022B BONDS Interest 2022B Bonds Total Annual Debt Pavinent Date(l) Principal Interest Debt Service Service 12/01/2022 06/01/2023 12/01/2023 06/01/2024 12/01 /2024 06/01/2025 12/01/2025 06/01/2026 12/01/2026 06/01/2027 12/01/2027 06/01/2028 12/01/2028 06/01/2029 12/01/2029 06/01/2030 12/01/2030 06/01/2031 12/01/2031 06/01/2032 12/01/2032 06/01/2033 12/01/2033 06/01/2034 12/01/2034 06/01/2035 12/01/2035 06/01/2036 12/01/2036 06/01/2037 12/01/2037 06/01/2038 Total Payment Date. 0) Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest B-2-1 EXHIBIT B-3 BASE RENTAL PAYMENT SCHEDULE CUMULATIVE Interest 2016 Bonds 2022B Bonds Total Annual Debt Pavment Date' Principal Interest Principal Interest Debt Service Service 12/01/2020 06/01/2021 12/01/2021 06/01/2022 12/01/2022 06/01/2023 12/01/2023 06/01/2024 12/01 /2024 06/01/2025 12/01/2025 06/01/2026 12/01/2026 06/01/2027 12/01/2027 06/01/2028 12/01/2028 06/01/2029 12/01/2029 06/01/2030 12/01/2030 06/01/2031 12/01/2031 06/01/2032 12/01/2032 06/01/2033 12/01/2033 06/01/2034 12/01/2034 06/01/2035 12/01/2035 06/01/2036 12/01/2036 06/01/2037 12/01/2037 06/01/2038 12/01/2038 06/01/2039 12/01/2039 06/01/2040 1. Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. B-3-1 Interest 2020 Bonds 2022B Bonds Total Annual Pavment Date' Principal Interest Principal Interest Debt Service Debt Service 12/01/2040 06/01/2041 12/01/2041 06/01/2042 12/01 /2042 06/01/2043 12/01/2043 06/01/2044 12/01 /2044 06/01/2045 12/01/2045 06/01/2046 12/01/2046 06/01/2047 12/01/2047 06/01/2048 12/01/2048 06/01/2049 12/01/2049 06/01/2050 Total Payment Date. 0) Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest m AFTER RECORDATION PLEASE RETURN TO: Norton Rose Fulbright US LLP 555 South Flower Street, Suite 4100 Los Angeles, California 90071 Attention: Maryann L. Goodkind, Esq. LEASE AGREEMENT Dated as of June 1, 2016 by and between SANTA CLARITA PUBLIC FINANCING AUTHORITY and CITY OF SANTA CLARITA Relating to $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A THIS IS A FINANCING DOCUMENT. NO DOCUMENTARY TRANSFER TAX IS DUE PURSUANT TO REVENUE AND TAXATION CODE SECTION 11922 AND THIS DOCUMENT IS EXEMPT FROM RECORDING FEES PURSUANT TO GOVERNMENT CODE SECTION 27383. TABLE OF CONTENTS Page SECTION 1. DEFINITIONS................................................................................................. 2 SECTION2. TERM.............................................................................................................. 3 SECTION3. RENTAL.......................................................................................................... 3 SECTION 4. USE OF PROCEEDS...................................................................................... 5 SECTION 5. MAINTENANCE, UTILITIES, TAXES AND ASSESSMENTS .................. 5 SECTION 6. CHANGES TO THE LEASED PROPERTY .................................................. 6 SECTION 7. SUBSTITUTION AND RELEASE OF PROPERTY ..................................... 6 SECTION8. INSURANCE................................................................................................... 8 SECTION 9. DAMAGE, DESTRUCTION AND CONDEMNATION; APPLICATION OF NET PROCEEDS......................................................... 10 SECTION 10. DEFAULT..................................................................................................... 11 SECTION 11. PREPAYMENT AND CREDITS.................................................................. 13 SECTION 12. MECHANICS' LIENS.................................................................................. 14 SECTION 13. QUIET ENJOYMENT................................................................................... 14 SECTION 14. INDEMNIFICATION.................................................................................... 14 SECTION 15. ASSIGNMENT.............................................................................................. 15 SECTION 16. ABATEMENT OF RENTAL........................................................................ 16 SECTION 17. COVENANTS OF THE CITY...................................................................... 16 SECTION 18. CONTINUING DISCLOSURE..................................................................... 21 SECTION19. WAIVER........................................................................................................ 21 SECTION 20. NET LEASE.................................................................................................. 21 SECTION 21. AMENDMENTS........................................................................................... 21 SECTION 22. ESSENTIALITY............................................................................................ 22 SECTION 23. LAW GOVERNING...................................................................................... 22 SECTION24. NOTICES....................................................................................................... 22 SECTION 25. VALIDITY AND SEVERABILITY............................................................. 22 SECTION 26. SECTION HEADINGS................................................................................. 23 SECTION 27. NO MERGER................................................................................................ 23 SECTION 28. EXECUTION................................................................................................. 23 EXHIBIT A DESCRIPTION OF THE LEASED PROPERTY EXHIBIT B BASE RENTAL PAYMENT SCHEDULE i LEASE AGREEMENT This Lease Agreement, dated as of June 1, 2016 (this "Lease"), is made by and between the SANTA CLARITA PUBLIC FINANCING AUTHORITY, a joint powers authority duly organized and existing under the laws of the State of California (the "Authority"), as lessor, and the CITY OF SANTA CLARITA, a city duly organized and existing under the laws of the State of California (the "City"), as lessee. RECITALS: WHEREAS, the City and the Authority have previously entered into a Lease Agreement, dated as of January 1, 2007 (the "2007 Lease"), whereby the City leased certain real property and the improvements thereon, more commonly known as the Santa Clarita City hall, located at 23920 Valencia Boulevard, Santa Clarita (the "Leased Property") from the Authority; and WHEREAS, the Authority previously issued its Lease Revenue Bonds Series 2007 (Golden Valley Road) (the "2007 Bonds"), payable from revenues consisting primarily of certain lease payments (the "2007 Lease Payments") to be made by the City under the 2007 Lease to finance the costs of acquiring right-of-way for a portion of Golden Valley Road in connection with the payment of a judicial order by the City (the "Project"); and WHEREAS, City has determined to refinance the Project by prepaying its 2007 Lease Payments pursuant to Section 5.05 of the 2007 Lease and thereby advance refunding and defeasing the 2007 Bonds; and WHEREAS, the Authority has determined to issue its Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A, in the aggregate principal amount of $10,320,000 (the "Bonds"), for the purpose of assisting the City with the prepayment of the 2007 Lease Payments and the advance refunding and defeasance of the outstanding 2007 Bonds; and WHEREAS, in connection with such prepayment of the 2007 Lease Payments and defeasance of the 2007 Bonds, and the issuance of the Bonds and any Additional Bonds, the City and the Authority have entered into a Site and Facility Lease, dated as of June 1, 2016 (the "Site Lease"), whereby the Authority has agreed to lease the Leased Property from the City; and WHEREAS, the Authority, pursuant to this Lease, will sublease the Leased Property described in Exhibit A to the City, in consideration for base rental payments to be made by the City pursuant to this Lease, in accordance with the base rental schedule attached hereto as Exhibit B, that corresponds in amount to the principal and interest coming due with respect to the Bonds; and WHEREAS, all acts, conditions and things required by law to exist, to have happened and to have been performed precedent to and in connection with the execution and entering into of this Lease do exist, have happened and have been performed in regular and due time, form and manner as required by law, and the parties hereto are now duly authorized to execute and enter into this Lease; NOW, THEREFORE, in consideration of the above premises and of the mutual covenants hereinafter contained and for other good and valuable consideration, the receipt and sufficiency of which is hereby acknowledged, the parties hereto agree as follows: SECTION 1. DEFINITIONS Terms used herein and not otherwise defined herein but defined in the Indenture shall have the meanings ascribed to them in the Indenture. Unless the context otherwise requires, the terms defined in this Section shall, for all purposes of this Lease, have the meanings herein specified, the following definitions to be equally applicable to both the singular and plural forms of any of the terms herein defined: "Additional Rental Pam" means Additional Rental Payments due under Section 3(b) hereof. "Base Rental Payments" means Base Rental Payments to be made by the City hereunder in accordance with the base rental schedule attached hereto as Exhibit B in connection with the Bonds, and any additional base rental payments made hereunder to support Additional Bonds issued in accordance with the Indenture. "Event of Default" means the Events of Default set forth in Section 10. "Expiration Date" means December 1, 2035. "Insurance Consultant" means an individual or firm retained by the City as an independent insurance consultant, experienced in the field of risk management. "Interest Component" means the interest component of any Base Rental Payments as set forth in the exhibit to this Lease relating to such Base Rental Payments. "Lease" means this Lease. "Leased Property" means the portion of the Santa Clarita Sports Complex, located at 20850 Centre Pointe Parkway, in the City, as more fully described on Exhibit A. "Net Proceeds" means proceeds of any casualty or title insurance or condemnation awards, paid with respect to the Leased Property remaining after payment therefrom of all expenses in the collection thereof. "Permitted Encumbrances" means, with respect to the Leased Property, as of any particular time, (i) the Site Lease; (ii) this Lease, (iii) the Indenture, the Assignment Agreement and the Trustee's and the Authority's interests in the Leased Property, (iv) liens for taxes and assessments not then delinquent, (v) utility, access and other easements and rights of way, restrictions and exceptions that as certified in a Certificate of the City will not interfere with or impair the use intended to be made of the Leased Property; (vi) encumbrances upon any additions and improvements to the Leased Property as permitted in this Lease and which do not materially impair the use intended to be made of the portions of the Leased Property other than such additions and improvements; (vii) any sublease or use permitted by this Lease, 4 (viii) covenants, conditions or restrictions or liens of record relating to the Leased Property and existing on the Closing Date; (ix) such minor defects, irregularities, encumbrances and clouds on title as normally exist with respect to property similar in character to the Leased Property and as do not materially impair the use intended to be made of property affected thereby; and (x) any encumbrances listed in the Preliminary Report issued by Chicago Title Company, dated April 4, 2016. "Principal Component" means the principal component of any Base Rental Payments as set forth in an exhibit to this Lease relating to such Base Rental Payments. SECTION 2. TERM The Authority hereby leases to the City and the City hereby leases from the Authority, on the terms and conditions hereinafter set forth, the Leased Property. The term of this Lease shall commence on June 22, 2016. The term of the leasehold interest created hereby shall expire on the later of (i) the Expiration Date; (ii) the date the last Base Rental Payment is made under the provisions hereof, or (iii) the date of discharge of all of the Bonds and Additional Bonds pursuant to Section 9.03 of the Indenture. Notwithstanding the foregoing, the term of this Lease shall automatically be extended for a period of ten (10) years, if, on the Expiration Date, the Bonds and any Additional Bonds have not been fully discharged, and shall terminate on the date when the Bonds and any Additional Bonds have been fully discharged. SECTION 3. RENTAL Subject to the provisions of Sections 11 and 16 hereof, the City agrees to pay to the Authority, its successors or assigns, as rental for the use and possession of the Leased Property, the following amounts at the following times: (a) Base Rental Payments; Additional Base Rental Pam. The City shall pay the Base Rental Payments to the Trustee, as assignee of the Authority, as hereinafter provided, in accordance with the Base Rental Payment Schedule attached hereto as Exhibit B, less any amounts credited against the Base Rental Payments pursuant to Section 4.02(d) of the Indenture. The City shall pay to the Trustee the Base Rental Payments coming due fifteen (15) Business Days prior to the next succeeding June 1 and December 1, respectively, as set forth in Exhibit B and such payments shall constitute payment in arrears in consideration for the City's use and possession of the Leased Property for the six-month period preceding the due date of such Base Rental Payments. The obligation of the City to pay the Base Rental Payments with respect to the Bonds shall rank pari passu with the obligation of the City to pay base rental payments with respect to any Additional Bonds. Upon and after the issuance of any Additional Bonds secured by base rental payments with respect to the Leased Property, the City shall pay the Base Rental Payments with respect to such Additional Bonds as provided in the Supplemental Indenture for such Additional Bonds, in accordance with the additional Base Rental Payment schedule which shall be attached hereto as an additional exhibit prior to the delivery of such Additional Bonds, as adjusted for any prepayments. 3 (b) Additional Rental Pam. The City shall also pay, as "Additional Rental Payments" hereunder, in addition to the Base Rental Payments and any base rental payments hereunder made with respect to Additional Bonds, to the Trustee, as assignee of the Authority, as hereinafter provided, such amounts in each year as shall be required for the payment of all costs and expenses (not otherwise paid for or provided for out of the proceeds of sale of the Bonds) incurred by the Authority or the Trustee in connection with the execution, performance or enforcement of this Lease or the assignment hereof, the Indenture, or the Authority's or the Trustee's interest in the Leased Property, including, but not limited to, all fees, costs and expenses, all administrative costs of the Authority relating to the Leased Property (including, without limiting the generality of the foregoing, salaries and wages of employees, overhead, insurance premiums, taxes and assessments (if any), expenses, compensation and indemnification of the Trustee payable by the Authority under the Indenture), fees of auditors, accountants, attorneys or engineers, all other reasonable and necessary administrative costs of the Authority or charges required to be paid by it to comply with the terms of the Bonds or of the Indenture. Such Additional Rental Payments shall be billed to the City by the Authority or the Trustee from time to time. Amounts so billed shall be paid by the City within sixty (60) days after receipt of the bill by the City. (c) Fair Rental Value. Payments of Base Rental Payments and Additional Rental Payments for each rental payment period shall constitute the total rental for such rental payment period, and shall be paid by the City in each rental payment period for and in consideration of the right of the use and possession of, and the continued quiet use and enjoyment of, the Leased Property during each such period for which said rental is to be paid. The City represents and covenants that the useful life of the Leased Property is not shorter than the final maturity of the Bonds. The parties to the Lease specifically acknowledge that the annual fair rental value of the Leased Property is in excess of the maximum annual Base Rental Payments. In making such determination, consideration has been given to other obligations of the parties under this Lease, the uses and purposes which may be served by the Leased Property and the benefits therefrom which will accrue to the City and the general public. The determination of fair rental value of the Leased Property pursuant to this paragraph shall not be deemed to be controlling in connection with a determination of fair value of the Leased Property by the parties hereto for any other purpose. (d) Payment of Base Rental Pam. Each installment of Base Rental Payments and Additional Rental Payments payable hereunder shall be paid from any source of legally available funds of the City in lawful money of the United States of America to the order of the Trustee at the corporate trust office of the Trustee in Los Angeles, California, or such other place as the Trustee shall designate. All Base Rental Payments shall be made on a pari passu basis with each other. Notwithstanding any dispute between the City and the Authority, the City shall make all Base Rental Payments and Additional Rental Payments when due, without deduction or offset of any kind, and shall not withhold any Base Rental Payments pending the final resolution of any such dispute. In the event of a determination that the City was not liable for such Base Rental Payments or any portion thereof, said Base Rental Payments or excess of payments, as the case may be, shall, at the option of the City, be credited against subsequent Base Rental Payments due hereunder or be refunded at the time of such determination. M (e) Increases in Aggregate Base Rental Pam. The City covenants that it shall not permit an increase in the aggregate Base Rental Payments or permit additional base rental payments with respect to Additional Bonds without first obtaining an opinion of Bond Counsel to the effect that the incurring of such increased Base Rental Payments will not (i) impair the validity and enforceability of this Lease and (ii) in and of itself impair the exclusion of interest on the Bonds and, to the extent applicable, any Additional Bonds from the gross income of the owners thereof for federal income tax purposes. (f) Covenant to Budget and Appropriate. The City covenants to take such action as may be necessary to include all Base Rental Payments and Additional Rental Payments due hereunder in its annual budget and to make the necessary annual appropriations for all such Base Rental Payments and Additional Rental Payments, subject only to abatement as provided in Section 16 hereof. The City will furnish to the Authority and the Trustee annually, on or before September 1, a certificate stating that it has complied with the covenant set forth in this paragraph. The covenants on the part of the City herein contained shall be deemed to be and shall be construed to be duties imposed by law and it shall be the duty of each and every public official of the City to take such action and do such things as are required by law in the performance of the official duty of such officials to enable the City to carry out and perform the covenants and agreements in this Lease agreed to be carried out and performed by the City. The obligation of the City to make Base Rental Payments or Additional Rental Payments does not constitute an obligation of the City for which the City is obligated to levy or pledge any form of taxation or for which the City has levied or pledged any form of taxation. Neither the Bonds and any Additional Bonds nor the obligation of the City to make Base Rental Payments or Additional Rental Payments constitutes an indebtedness of the City, the State or any of its political subdivisions within the meaning of any constitutional or statutory debt limitation or restriction. SECTION 4. USE OF PROCEEDS The parties hereto agree that the proceeds of the Bonds will be used to advance refund and defease the 2007 Bonds by prepaying the 2007 Lease Payments and for other purposes set forth in the Indenture. SECTION 5. MAINTENANCE, UTILITIES, TAXES AND ASSESSMENTS During such time as the City or any assignee or sublessee thereof is in possession of the Leased Property, all maintenance and repair, ordinary or extraordinary, of the Leased Property shall be the responsibility of the City, and the City shall pay for or otherwise arrange for the payment of (a) all utility services supplied to the Leased Property, (b) the cost of operation of the Leased Property, and (c) the costs of maintenance of and repair to the Leased Property resulting from ordinary wear and tear or want of care on the part of the City. The City shall at the City's sole cost and expense keep and maintain the Leased Property clean and in a safe and good condition and repair. The Authority shall have no obligation to alter, remodel, improve, repair, decorate, or paint the Leased Property or any part thereof, and the parties hereto affirm that the Authority has made no representations or warranties to the City respecting the condition of the Leased Property. 5 The City shall comply with all statutes, ordinances, regulations, and other requirements of all governmental entities that pertain to the occupancy or use of the Leased Property. The Authority has no responsibility or obligation whatsoever to construct any improvements, modifications or alterations to the Leased Property. The City waives the right to make repairs at the Authority's expense under Subsection 1 of Section 1932 and Section 1942 of the California Civil Code, or any other such law, statute, or ordinance now or hereafter in effect. The parties hereto contemplate that the Leased Property will be used for public purposes by the City and, therefore, that the Leased Property will be exempt from all taxes presently assessed and levied with respect to real and personal property, respectively. In the event that the use, possession or acquisition by the Authority or the City of the Leased Property is found to be subject to taxation in any form, the City will pay during the term hereof, as the same respectively become due, all taxes and governmental charges of any kind whatsoever that may at any time be lawfully assessed or levied against or with respect to the Leased Property and any other property acquired by the City in substitution for, as a renewal or replacement of, or a modification, improvement or addition to the Leased Property; provided, that with respect to any governmental charges or taxes that may lawfully be paid in installments over a period of years, the City shall be obligated to pay only such installments as are accrued during such time as this Lease is in effect. SECTION 6. CHANGES TO THE LEASED PROPERTY The City shall have the right during the term of this Lease to acquire and construct improvements or to attach fixtures, structures or signs to the Leased Property if such improvements, fixtures, structures or signs are necessary or beneficial for the use of the Leased Property by the City; provided, however, that no such acquisition or construction shall result in a material reduction in the value of the Leased Property, reduce the fair rental value thereof or substantially alter the nature of the Leased Property. Upon termination of this Lease, the City may remove any fixture, structure or sign added by the City, but such removal shall be accomplished so as to leave the Leased Property, except for ordinary wear and tear and damage by casualty, in substantially the same condition as it was in before the fixture, structure or sign was attached. SECTION 7. SUBSTITUTION AND RELEASE OF PROPERTY The parties to the Lease specifically acknowledge that the annual fair rental value of the Leased Property is in excess of the maximum annual Base Rental Payments. The City shall have, so long as this Lease is in effect, and is hereby granted, the option at any time and from time to time, to substitute other real property (the "Substitute Property") for any portion of the Leased Property (the "Former Property") or release any identifiable real property and/or improvements currently constituting the Leased Property (in such case, Substitute Property shall mean the Former Property less any portion released pursuant to this Section); provided, that the City shall satisfy all of the following requirements, which are conditions precedent to such substitution: M (a) No default under Section 10 hereof or Event of Default shall have occurred and be continuing; (b) The City shall file with the Authority and the Trustee, and cause to be recorded in the office of the County Recorder, sufficient memorialization of amendments to this Lease and the Site Lease which replaces Exhibit A hereto and Exhibit A to the Site Lease with a description of such Substitute Property which deletes therefrom the description of the Former Property; (c) The City shall obtain an extended California Land Title Association ("CLTA") policy of title insurance insuring the City's fee or leasehold estate in such Substitute Property, the City's leasehold estate hereunder, and the Authority's leasehold estate under the Site Lease in such Substitute Property, subject only to Permitted Encumbrances, in an amount not less than the aggregate principal amount of the Outstanding Bonds; provided, however, that this requirement shall not apply to Substitute Property that consists only of Former Property less any released portion; (d) The City shall provide a Certificate of the City to the Authority and to the Trustee that such Substitute Property constitutes property which the City is permitted to lease under the laws of the State of California; (e) The substitution of the Substitute Property shall not cause the City to violate any of its covenants, representations and warranties made herein; (f) The City shall file with the Authority and the Trustee a Certificate of the City or other evidence which establishes that the annual fair rental value of the Substitute Property after substitution or release will be at least equal to 100% of the maximum amount of the Base Rental Payments becoming due in the then current fiscal year or in any subsequent fiscal year and the useful economic life of the Substitute Property shall be at least equal to the maximum remaining term of this Lease; and (g) The City shall furnish to the Trustee an opinion of Bond Counsel addressed to the Trustee, the City and the Authority to the effect that the substitution or release is permitted under this Lease and will not in and of itself (i) impair the validity and enforceability of this Lease or (ii) impair the exclusion of interest on the Bonds and, if applicable, any Additional Bonds from the gross income of the owners thereof for federal income tax purposes. Upon the satisfaction of all such conditions precedent, and upon the City delivering to the Authority and the Trustee a Certificate of the City certifying that the conditions set forth in subsections (a), (c) and (e) of this Section have been satisfied, the Term of this Lease shall thereupon end as to the Leased Property and shall thereupon commence as to the Substitute Property, and all references to the Leased Property shall apply with full force and effect to the Substitute Property. The City shall not be entitled to any reduction, diminution, extension or other modification of the Base Rental Payments whatsoever as a result of any substitution or removal hereunder. 7 SECTION 8. INSURANCE (a) The City shall secure and maintain or cause to be secured and maintained at all times with insurers of recognized responsibility or through a program of self-insurance to the extent specifically permitted in this Section 8, all coverage on the Leased Property required by this Section 8. Such insurance shall consist of: (1) Comprehensive general liability coverage against claims for damages including death, personal injury, bodily injury or property damage arising from operations involving the Leased Property. Such insurance shall afford protection with a combined single limit of not less than $1,000,000 per occurrence with respect to bodily injury, death or property damage liability, or such greater amount as may from time to time be recommended by the City's risk management officer or an independent insurance consultant retained by the City for that purpose, subject to a deductible clause of not to exceed $400,000. The City's obligations under this clause (1) may be satisfied by self- insurance; (2) Casualty insurance against loss or damage to any or all of the Leased Property by fire and lightning, with extended coverage and vandalism and malicious mischief insurance, and against loss of Leased Property by theft. Such extended coverage insurance shall, as nearly as practicable, cover loss or damage by explosion, windstorm, riot, aircraft, vehicle damage, smoke and such other hazards as are normally covered by such insurance. The insurance required by this paragraph shall be in an amount equal to the lesser of replacement cost (subject to deductible clauses not in excess of $400,000 for any one loss) of improvements located or to be located on the Leased Property and the principal amount of the Bonds then Outstanding. The City's obligations under this clause (2) may be satisfied by self-insurance; (3) Workers' compensation insurance issued by a responsible carrier authorized under the laws of the State to insure employers against liability for compensation under the Labor Code of the State, or any act enacted as an amendment or supplement thereto or in lieu thereof, such workers' compensation insurance to cover all persons employed by the City in connection with the Leased Property and to cover full liability for compensation under any such act; provided, however, that the City's obligations under this clause (3) may be satisfied by self-insurance; and (4) Rental interruption insurance in an amount not less than the maximum remaining scheduled Base Rental Payments in any twenty-four (24) month period to insure against loss of use of the Leased Property caused by perils covered by the insurance required in Section 8(a)(1). Such insurance may be maintained as part of or in conjunction with any other rental interruption insurance carried by the City and must list the Authority and the Trustee as an additional insured party. Such insurance shall be in place as of the Closing Date. The Net Proceeds of such insurance shall be paid to the Trustee and deposited in the Lease Revenue Fund, and shall be credited toward the payment of the Base Rental Payments in the order in which such Base Rental Payments come due and payable. (5) The City shall, on or before the Closing Date, deliver a CLTA title insurance policy insuring the leasehold interest in the Leased Property of the City and the Authority, in an amount not less than the aggregate principal amount of the Outstanding Bonds. All policies or certificates issued by the respective insurers for insurance, with the exception of workers' compensation insurance, shall provide that such policies or certificates shall not be canceled or materially changed without at least 30 days' prior written notice to the Authority and the Trustee. Certificates of comprehensive general liability and workers' compensation insurance shall be furnished by applicable insurers to the City, and, at least ten days prior to the expiration dates of such policies, if any, evidence of renewals shall be deposited with the Trustee. If the City elects to provide self-insurance pursuant to clauses (1), (2) and/or (3) above, the City shall annually cause to be delivered to the Trustee a certificate of an Insurance Consultant certifying to the adequacy of the City's reserves for such insurance. All policies or certificates of insurance provided for herein shall name the City as a named insured and the Trustee as an additional insured. All proceeds of insurance maintained under clauses (1) and (3) shall be deposited with the City and under clause (2), (4) or (5) shall be deposited with the Trustee. Notwithstanding the generality of the foregoing, the City shall not be required to maintain or cause to be maintained more insurance than is specifically referred to above or any policies of insurance other than standard policies of insurance with standard deductibles offered by reputable insurers at a reasonable cost on the open market. (b) Form of Policies. The City shall deliver to the Trustee on or before the Closing Date and each anniversary of the Closing Date a Certificate of the City that all insurance required under this Lease is in full force and effect. In the event that the City obtains insurance through a pooled insurance program of governmental entities, an annual statement or memorandum of coverage delivered to the Authority and the Trustee will satisfy the requirements of this subsection. The Trustee and the Authority shall not be responsible for the sufficiency of any insurance herein required or payment of premium and shall be fully protected in accepting payment on account of such insurance or any adjustment, compromise or settlement of any loss agreed to by the City. (c) Advances. If the City shall fail to perform any of its obligations under this Section, then the Authority or the Trustee may, but shall not be obligated to, take such action as may be necessary to cure such failure, including the advancement of money on behalf of the City, and the City shall be obligated to repay all such advances as soon as possible. I SECTION 9. DAMAGE, DESTRUCTION AND CONDEMNATION; APPLICATION OF NET PROCEEDS If prior to the termination of the term hereof (a) the Leased Property is destroyed (in whole or in part) or is damaged by fire of other casualty, or (b) title to, or the temporary use of, any portion of the Leased Property or the estate of the Authority or the City in the Leased Property or any portion shall be taken under the exercise of the power of eminent domain by any governmental body or by any person or firm or corporation acting under governmental authority, then the City and the Authority shall, as expeditiously as possible, continuously and diligently prosecute or cause to be prosecuted the repair or replacement thereof, unless the City elects not to repair or replace the Leased Property or portion thereof, in accordance with the provisions of this Section 9. If Net Proceeds are insufficient to repair or replace the Leased Property or portion thereof, the City shall, to the extent permitted by law, use its best efforts to fund any deficiency from any legally available funds. If there is an abatement of rental payments pursuant to Section 16 hereof as a result of such casualty or event, and the City elects pursuant to Section 11(a) hereof to apply such insurance proceeds and such other sums as are deposited by the City pursuant to such Section to the prepayment of Base Rental Payments rather than replacing or repairing the destroyed or damaged portion of the Leased Property, then this Lease shall terminate with respect to the destroyed or damaged portion of the Leased Property as of the later of the date of such election by the City or the date the amount required by Section I l(a) hereof is received by the Trustee. The provisions of Section 1932, Subdivision 2, and Section 1933, Subdivision 4, of the California Civil Code, including any amendments thereto and any other law which may hereinafter be in force during the term of this Lease which authorizes the termination of this Lease upon the partial or complete destruction of the Leased Property, are hereby waived by the City. The City hereby covenants and agrees, to the extent it may lawfully do so, that so long as any of the Bonds and any Additional Bonds remain outstanding and unpaid, the City will not exercise the power of condemnation with respect to the Leased Property. The City further covenants and agrees, to the extent it may lawfully do so, that if for any reason the foregoing covenant is determined to be unenforceable or if the City should fail or refuse to abide by such covenant and condemns the Leased Property, the value of the Leased Property shall not be less than the greater of (i) if Outstanding Bonds are then subject to redemption, the principal and interest due on the Outstanding Bonds through the date of their redemption, or (ii) if such Outstanding Bonds are not then subject to redemption, the amount necessary to defease such Outstanding Bonds to the first available redemption date in accordance with the Indenture. The City shall deposit any proceeds received from insurance and condemnation awards with respect to the destruction or partial destruction of Leased Property with the Trustee for deposit into the: (a) Insurance and Condemnation Fund if the City elects to repair the Leased Property or (b) the Lease Revenue Fund if the City elects to redeem the Outstanding Bonds. The City shall have 45 days from the date of any such destruction or partial destruction to determine whether to repair the Leased Property or use insurance and condemnation award proceeds 10 received to redeem such bonds. To the extent that the City determines not to repair the Leased Property and cannot use insurance and condemnation award proceeds to redeem such bonds, the City shall and hereby covenants to substitute property for such Leased Property of equivalent or greater value in accordance with the provisions of Section 7 hereof. If the City determines to repair the Leased Property, disbursements by the Trustee shall only be made upon presentation of a requisition in a form substantially similar to Exhibit C of the Indenture. Each requisition shall be sufficient evidence to the Trustee of the facts stated therein and the Trustee shall have no duty to confirm the accuracy of such facts. If the City determines to cause the redemption of less than the full amount of the Outstanding Bonds, such redemption shall only be made to the extent the remaining fair rental value of the Leased Property is sufficient to support the remaining Base Rental Payments supporting debt service on the Outstanding Bonds. SECTION 10. DEFAULT (a) Each of the following events constitutes an "Event of Default" hereunder: (1) Failure by the City to pay any Base Rental Payment or other payment (including Additional Rental Payments) required to be paid hereunder at the time specified herein. (2) Failure by the City to observe and perform any covenant, condition or agreement on its part to be observed or performed hereunder, other than as referred to in the preceding subsection (1), for a period of 30 days after written notice specifying such failure and requesting that it be remedied has been given to the City by the Authority. However, if the City notifies the Authority that in its reasonable opinion the failure stated in the notice can be corrected, but not within such 30 day period, the failure will not constitute an Event of Default if the City commences to cure the failure within such 30 day period and thereafter diligently and in good faith cures such failure in a reasonable period of time; provided, that such cure period shall not extend beyond 60 days. (3) The filing by the City of a voluntary petition in bankruptcy, or failure by the City promptly to lift any execution, garnishment or attachment, or adjudication of the City as a bankrupt, or assignment by the City for the benefit of creditors, or the entry by the City into an agreement of composition with creditors, or the approval by a court of competent jurisdiction of a petition applicable to the City in any proceedings instituted under the provisions of the Federal Bankruptcy Code, as amended, or under any similar acts which may hereafter be enacted. The Authority expressly waives the right to receive any amount from the City pursuant to Section 1951.2(a)(3) of the California Civil Code. (b) Whenever any Event of Default has happened and is continuing, the Authority may exercise any and all remedies available under law or granted under this Lease. Notwithstanding anything herein to the contrary, there shall be no right under any circumstances to accelerate the Base Rental Payments or otherwise declare any Base Rental Payments not then in default to be immediately due and payable. Each and every covenant hereof to be kept and 11 performed by the City is expressly made a condition and upon the breach thereof the Authority may exercise any and all rights granted hereunder; provided, that no termination of this Lease will be effected either by operation of law or acts of the parties hereto, except only in the manner herein expressly provided. Upon the occurrence and during the continuance of any Event of Default, the Authority may exercise each and every one of the following remedies: (1) Enforcement of Payments Without Termination. If the Authority does not elect to terminate this Lease in the manner hereinafter provided for in subsection (b)(2) of this Section, the City agrees to remain liable for the payment of all Base Rental Payments and the performance of all conditions herein contained, and the Authority may take whatever action at law or in equity may appear necessary or desirable, to collect each Base Rental Payment as it becomes due hereunder. The City will reimburse the Authority for any deficiency arising out of the re -leasing or sale of the Leased Property or portion thereof, or, if the Authority is unable to re -lease or sell the Leased Property, then for the full amount of all Base Rental Payments to the end of the term of this Lease, but said Base Rental Payments and/or deficiency will be payable only at the same time and in the same manner as hereinabove provided for the payment of Base Rental Payments hereunder, notwithstanding such entry or re-entry by the Authority or any suit in unlawful detainer, or otherwise, brought by the Authority for the purpose of effecting such re-entry or obtaining possession of the Leased Property or portion thereof or the exercise of any other remedy by the Authority. The City hereby irrevocably appoints the Authority as the agent and attorney -in -fact of the City and the shall allow the Trustee to enter upon and re -lease the Leased Property upon the occurrence and continuation of an Event of Default and to remove all personal property whatsoever situated upon the Leased Property, to place such property in storage or other suitable place in the State of California for the account of and at the expense of the City, and the City hereby agrees to save harmless the Authority from any costs, loss or damage whatsoever arising or occasioned by any such entry upon and re -leasing of the Leased Property and the removal and storage of such property by the Authority or its duly authorized agents in accordance with the provisions herein contained. The City agrees that the terms of this Lease constitute full and sufficient notice of the right of the Authority to re -lease the Leased Property in the event of such re- entry without effecting a surrender of this Lease, and further agrees that no acts of the Authority in effecting such re -leasing constitute a surrender or termination of this Lease irrespective of the term for which such re -leasing is made or the terms and conditions of such re -leasing, or otherwise, but that, on the contrary, in the event of such default by the City the right to terminate this Lease will vest in the Authority to be effected in the sole and exclusive manner hereinafter provided for in subsection (2) of this Section. The City agrees to surrender and quit possession of the Leased Property upon demand of the Authority for the purpose of enabling the Leased Property to be re -let under this paragraph. Any rental obtained by the Authority in excess of the unpaid Base Rental Payments will be applied as a credit against future Base Rental Payments. (2) Termination of Lease. If an Event of Default occurs and is continuing hereunder, the Authority at its option may terminate this Lease and re -lease all or any portion of the Leased Property. If the Authority terminates this Lease at its option 12 and in the manner hereinafter provided on account of default by the City (and notwithstanding any re-entry upon the Leased Property by the Authority in any manner whatsoever or the re -leasing of the Leased Property), the City nevertheless agrees to pay to the Authority all costs, loss or damages howsoever arising or occurring payable at the same time and in the same manner as is herein provided in the case of payment of Base Rental Payments. Any surplus received by the Authority from such re -leasing will be applied as a credit against future Base Rental Payments. Neither notice to pay rent or to deliver up possession of the premises given under law nor any proceeding in unlawful detainer taken by the Authority will of itself operate to terminate this Lease, and no termination of this Lease on account of default by the City will be or become effective by operation of law, or otherwise, unless and until the Authority has given written notice to the City of the election on the part of the Authority to terminate this Lease. The City agrees that no surrender of the Leased Property, or of the remainder of the term hereof or any termination of this Lease will be valid in any manner or for any purpose whatsoever unless stated or accepted by the Authority by such written notice. (3) Proceedings at Law or In Equity. If an Event of Default occurs and continues hereunder, the Authority may take whatever action at law or in equity may appear necessary or desirable to collect the amounts then due and thereafter to become due hereunder or to enforce any other of its rights hereunder. (4) Remedies under the Site Lease. If an Event of Default occurs and continues hereunder, the Authority may exercise its rights under the Site Lease. SECTION 11. PREPAYMENT AND CREDITS (a) Prepayment From Net Proceeds. (1) The City may prepay, from Net Proceeds of insurance or a condemnation award received by it pursuant to Section 9, the Principal Component of Base Rental Payments then unpaid (and corresponding Interest Component), in whole or in part on any date, pursuant to Section 9 hereof, at a prepayment price equal to the sum of the Principal Component prepaid plus accrued interest thereon to the date of prepayment. (2) Prepayments made pursuant to this subsection (a) shall be allocated pro rata among the Principal Components of Base Rental Payments relating to the Bonds and any Additional Bonds. (b) Optional Prepayment. The City may at its option prepay from any source of available moneys for redemption of Bonds pursuant to Section 2.03 of the Indenture, all or any part (in an integral multiple of $5,000) of the Principal Component of Base Rental Payments (and corresponding Interest Component), so that the aggregate annual amounts of Principal Component of Base Rental Payments which shall be payable after such prepayment shall each be an integral multiple of $5,000, at a prepayment price equal to the principal amount to be redeemed, plus accrued but unpaid interest to the prepayment date, without premium. 13 Before making any prepayment pursuant to this Section, the City shall give written notice to the Trustee specifying the date on which the prepayment will be made, which date shall be not less than forty-five (45) days from the date such notice is given unless the Trustee agrees to a shorter period. The Authority and the City hereby agree that any prepayment in part under this Section and the redemption of any Bonds by the Authority pursuant to Section 2.03(b) of the Indenture shall be credited towards the City's obligations hereunder at the option of the City in any manner determined in writing delivered to the Trustee by the City. A prepayment made pursuant to this Section shall not cause a defeasance of any Bonds unless the requirements of Section 9.03 of the Indenture are satisfied. In the event of prepayment in full of the Principal Component of all Base Rental Payments, such that this Lease shall be terminated by its terms as provided in Section 2, all amounts then on deposit under the Indenture which are to be credited to the City's obligations to make Base Rental Payments shall be credited towards the amounts then required to be so prepaid. In the event of the prepayment of some but not all of the Principal Components of the Base Rental Payments, the City shall replace the applicable Base Rental Schedule with a revised Base Rental Payment Schedule reflecting such prepayment of the Principal Components of such Base Rental Payments. SECTION 12. MECHANICS' LIENS In the event the City shall at any time during the term of this Lease cause any improvements or other work to be done or performed or materials to be supplied, in or upon the Leased Property, the City shall pay, when due, all sums of money that may become due for, or purporting to be for, any labor, services, materials, supplies or equipment furnished or alleged to have been furnished to or for the City in, upon or about the Leased Property and which may be secured by any mechanics', materialmen's or other liens against the Leased Property or the Authority's interest therein, and will cause any such lien to be fully discharged and released at the time the performance of any obligation secured by any such lien matures or becomes due, except that, if the City desires to contest any such lien it may do so. If any such lien shall be reduced to final judgment and such judgment or such process as may be issued for the enforcement thereof is not promptly stayed, or if so stayed and said stay thereafter expires, the City shall forthwith pay and discharge said judgment. SECTION 13. QUIET ENJOYMENT The parties hereto mutually covenant that the City, so long as it keeps and performs the covenants and agreements herein contained, shall at all times during the term of this Lease peaceably and quietly have, hold and enjoy the Leased Property without suit, trouble or hindrance from the Authority. SECTION 14. INDEMNIFICATION The City shall, to the full extent then permitted by law, indemnify, defend, protect and hold harmless the Authority, the Trustee and their members, officers, directors, agents and employees from and against any and all liabilities, obligations, losses, claims and damages 14 whatsoever, regardless of the cause thereof (except for claims arising out of willful misconduct or negligence on the part of the Authority or the Trustee or their respective members, officers, directors or employees), and expenses in connection therewith, including, without limitation, reasonable counsel fees and expenses, penalties and interest arising out of or as the result of the entering into of this Lease and the Indenture, the payment of the costs of acquiring the Leased Property or any accident in connection with the operation, use, condition or possession of the Leased Property or any portion thereof resulting in damage to property or injury to or death to any person. The indemnification arising under this section shall continue in full force and effect notwithstanding the full payment of all rent obligations hereunder, the removal or resignation of the Trustee or the termination hereof for any reason. The City agrees not to withhold or abate any portion of the payments required pursuant hereto by reason of any defects, malfunctions, breakdowns or infirmities of the Leased Property. The Authority and the City mutually agree to promptly give notice to each other of any claim or liability hereby indemnified against following either parry's learning thereof. SECTION 15. ASSIGNMENT The parties understand that this Lease and the rights of the Authority hereunder, with certain exceptions, will be assigned to the Trustee as provided in the Indenture and the Assignment Agreement, to which assignments the City hereby consents. Neither this Lease nor any interest of the City hereunder shall be mortgaged, pledged, assigned or transferred by the City by voluntary act or by operation of law or otherwise; provided, subject to the provisions of Section 17 hereof, that the Leased Property may be subleased in whole or in part by the City, but only subject to the following conditions, which are hereby made conditions precedent to any such sublease: (a) This Lease and the obligation of the City to make all Base Rental Payments and Additional Rental Payments hereunder shall remain the primary obligation of the City; (b) The City shall, within 30 days after the delivery thereof, furnish or cause to be furnished to the Authority and the Trustee a true and complete copy of such sublease; (c) No such sublease by the City shall cause the Leased Property to be used for a primary purpose other than a governmental or proprietary function authorized under the provisions of the Constitution and laws of the State of California, as evidenced by a Certificate of the City that is delivered to the Trustee; (d) Any sublease of the Leased Property by the City shall explicitly provide that such sublease is subject to all rights of the Authority under this Lease; and (e) The City shall have filed or caused to be filed with the Authority and the Trustee an opinion of Bond Counsel to the effect that such sublease will not, in and of itself, cause the interest on the Bonds and any Additional Bonds (that are intended to be tax-exempt) to be included in gross income for federal income tax purposes. 15 (f) To the extent that this Lease confers upon or gives or grants the Trustee any right, remedy or claim under or by reason of this Lease, the Trustee is hereby explicitly recognized as being a third -party beneficiary hereunder and may enforce any such right, remedy or claim conferred, given or granted hereunder. SECTION 16. ABATEMENT OF RENTAL The obligation of the City to pay Base Rental Payments and Additional Rental Payments shall be abated during any period in which by reason of any damage, destruction, condemnation or title defect there is substantial interference with the use by the City of the Leased Property or any portion thereof. Such abatement shall be in an amount such that the resulting Base Rental Payments in any year during which such interference continues does not exceed the fair rental value of the portions of the Leased Property as to which such damage, destruction, taking or title defect does not substantially interfere with the City's use and right of possession, as evidenced by a Certificate of the City. Such abatement shall continue for the period commencing with the date of interference resulting from such damage, destruction, condemnation or title defect and, with respect to damage to or destruction of the Leased Property, and ending with the substantial completion of the work of repair or replacement of the Leased Property, or the portion thereof so damaged or destroyed, and the term of this Lease shall be extended as provided in Section 2 hereof. Notwithstanding the foregoing, to the extent that moneys are available for the payment of base rental payments in any of the funds and accounts established under the Indenture, such base rental payments shall not be abated but shall be payable by the City as a special obligation payable solely from such funds and accounts. SECTION 17. COVENANTS OF THE CITY (a) Special Definitions. When used in this Section, the following terms have the following meanings: "Computation Date" means, initially, the first day following the conclusion of the fifth Bond Year (unless on or before such date the Authority has designated a different date as the Computation Date), and each subsequent Computation Date shall be the fifth anniversary of the immediately preceding Computation Date (unless, as to any Computation Date, the Authority has designated an earlier date following such immediately preceding Computation Date as a Computation Date. "Gross Proceeds" means any proceeds as defined in section 1.148-1(b) of the Tax Regulations (referring to sales, investment and transferred proceeds), and any replacement proceeds as defined in section 1.148-1(c) of the Tax Regulations, of the Bonds. "Investment" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Nongovernmental Output Property" means any property (or interest therein) that prior to its acquisition by the City was used by (or manufactured for or to the order of or held for the use by) any Nongovernmental Person (whether actually so used or not) in connection with any electric and gas generation, transmission, distribution, or related facilities. 16 "Nongovernmental Person" refers to any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, or an agency or instrumentality acting solely on behalf thereof. "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the Bonds are invested and that is not acquired to carry out the governmental purposes of the Bonds. "Nonpurpose Investment" means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the Bonds are invested and that is not acquired to carry out the governmental purposes of the Bonds. "Original Issue " refers to the 2007 Bonds. "Original Facilities" means any property the acquisition, construction or improvement of which was financed directly or indirectly with Gross Proceeds of an Original Issue. "Rebate Amount" has the meaning set forth in section 1.148-1(b) of the Tax Regulations. "Tax Regulations " means the United States Treasury Regulations promulgated pursuant to sections 103 and 141 through 150 of the Code, or under the provisions of any predecessor statute corresponding thereto. "Yield" of (1) any Investment has the meaning set forth in section 1.148-5 of the Tax Regulations; and (2) the Bonds has the meaning set forth in section 1.148-4 of the Tax Regulations. (b) Not to Cause Interest to Fail to Be Excluded from Gross Income. The City covenants that it will not use, permit the use of, or omit to use Gross Proceeds or any other amounts (or any property the acquisition, construction or improvement of which is to be financed directly or indirectly with Gross Proceeds) in a manner that if made or omitted, respectively, would cause the interest on any of the Bonds to fail to be excluded pursuant to section 103(a) of the Code from the gross income, of the owner thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the City receives a written opinion of Bond Counsel to the effect that failure to comply with such covenant will not adversely affect the exemption from federal income tax of the interest on any Bond, the City will comply with each of the specific covenants in this Section. (c) No Private Use or Private Pam. Except as would not cause any Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the City covenants that at all times prior to the payment and cancellation of the last Bond to be paid and canceled: 17 (1) it will use its best efforts to ensure that the City (or another entity other than a Nongovernmental Entity) exclusively owns, operates and possesses all of the Original Facilities that are to be refinanced directly or indirectly with Gross Proceeds of the Bonds, and that it will not use or permit the use of such Gross Proceeds (including under any contractual arrangement with terms different than those applicable to the general public) or any of the Original Facilities in any activity carried on by any Nongovernmental Person, unless such use is solely as a member of the general public; and (2) not directly or indirectly impose or accept any charge or other payment by any person or entity in respect of the use by any Nongovernmental Person of Gross Proceeds of the Bonds, other than interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes, or of any Original Facility. Without limiting the foregoing, except as would not cause any Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the City will not: (i) permit any Nongovernmental Person to hold any ownership, proprietary or possessory interest in any of the Original Facilities; (ii) contract with any Nongovernmental Person for the provision of operating or other services with respect to any function of an Original Facility (unless either (A) such arrangement requires no payment of fees to such Nongovernmental Person other than as direct reimbursement of third party costs or reasonable administrative overhead, or (B) such arrangement conforms to administrative guidance of the Internal Revenue Service in order to assure that such arrangement does not create a private business use relationship of the Nongovernmental Person to the Gross Proceeds of the Bonds or to any Original Facility); or (iii) contract with any Nongovernmental Person for the sale of output or capacity of an Original Facility that is an output facility, unless such contract is described either in section 1. 141-7(c) of the Treasury Regulations (describing certain types of output contracts that do not have the effect of transferring the benefits of owning the property and the burdens of paying debt service on the financing of the property) or in section 1.141-7(f) of the Treasury Regulations (describing certain types of output contracts that while having the effect of transferring such benefits and burdens but nevertheless may be disregarded in evaluating private business use). For purposes of the preceding sentence, the City will treat proceeds of the Bonds as used ratably for the same purposes as were the proceeds of the Original Issue. (d) No Private Loan. Except as would not cause any Bond to become a "private activity bond" within the meaning of section 141 of the Code and the Tax Regulations and rulings thereunder, the City has not used, and will not use, Gross Proceeds of any Bond to make or finance loans to any Nongovernmental Person. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if: (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction that creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take -or -pay, output or similar contract or arrangement; or (3) indirect benefits of such Gross Proceeds, or burdens and benefits of ownership of any property acquired, constructed or improved with such Gross Proceeds, are otherwise transferred in a transaction that is the economic equivalent of a loan. IN (e) Not to Invest at Higher Yield. Except as would not cause any Bond to become an "arbitrage bond" within the meaning of section 148 of the Code and the Tax Regulations and rulings thereunder, the City shall not at any time prior to the final maturity of the Bonds directly or indirectly invest Gross Proceeds in any Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, would materially exceed the Yield of such Bond within the meaning of said section 148. (f) Not Federally Guaranteed. The City covenants that, except to the extent permitted by section 149(b) of the Code and the Tax Regulations and rulings thereunder, it will not take or omit to take any action that would cause any Bond to be "federally guaranteed" within the meaning of section 149(b) of the Code and the Tax Regulations and rulings thereunder. (g) Information Report. The City covenants that it will timely file or cause to be filed any information required by section 149(e) of the Code with respect to the Bonds with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary may prescribe. (h) Rebate of Arbitrage Profits. Except to the extent otherwise provided in section 148(f) of the Code and the Tax Regulations and rulings thereunder: (1) it will account for all Gross Proceeds of the Bonds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last Bond is discharged. However, to the extent permitted by law, the City may commingle Gross Proceeds of the Bonds with its other money, provided that the City separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith. (2) not less frequently than each Computation Date, it will calculate or cause to be calculated the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Tax Regulations and rulings thereunder. The Trustee may rely conclusively upon the City's determinations, calculations and certifications required by this Section. The Trustee shall have no responsibility to independently make any calculation of determination or to review the City's calculations hereunder. The City covenants that it will maintain a copy of the calculation with its official transcript of proceedings relating to the issuance of the Bonds until six years after the final Computation Date; (3) it will deposit in the Rebate Fund and cause the Trustee to pay to the United States the amount that when added to the future value of previous rebate payments made for the Bonds equals (A) in the case of a Final Computation Date as defined in section 1.148-3(e)(2) of the Tax Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (B) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such a date. In all cases such Rebate payments shall be 19 made by the City (or by the Trustee at the direction of the City) at the times and in the amounts as are or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder, and such payments shall be accompanied by Form 8038-T executed by the City or such other forms and information as is or may be required by section 148(f) of the Code and the Tax Regulations and rulings thereunder. (4) it will exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and (3) above, and if an error is made, to discover and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any additional Rebate Amount owed to it, interest thereon, and any penalty imposed under section 1.148-3(h) or other provision of the Tax Regulations. (i) Not to Divert Arbitrage Profits. The City covenants that, except to the extent permitted by section 148 of the Code and the Tax Regulations and rulings thereunder, at no time prior to the final maturity of the Bonds will it enter into any transaction that reduces the amount required to be paid to the United States pursuant to paragraph (h) of this Section because such transaction results in a smaller profit or a larger loss than would have resulted if the transaction had been at arm's length and had the Yield on the Bonds not been relevant to each party. 0) Bonds Not Hedge Bonds. (1) The City represents that the Original Issue was, and covenants that the Bonds will not be, "hedge bonds" within the meaning of section 149(g) of the Code. (2) Without limitation of paragraph (1) above, the City warrants as to the Original Issue that: (I) on each date of issuance of that issue, the City reasonably expected that at least 85% of the spendable proceeds of that Original Issue would be expended within the three-year period commencing on such date of issuance, and (11) no more than 50% of the proceeds of that Original Issue at any time has been invested in Nonpurpose Investments having a substantially guaranteed yield for a period of four years or more. (k) Use of Proceeds; Weighted Average Maturity. The City hereby represents and covenants that it will apply the proceeds of the Bonds in a manner so that the weighted average maturity of the Bonds does not exceed 120% of the average reasonably expected remaining economic life of the facilities refinanced by the Bonds (all determined in accordance with the provisions of section 147(b) of the Code). (1) Elections. The City hereby directs and authorizes any Responsible Officer to make elections permitted or required pursuant to the provisions of the Code or the Tax Regulations, as such Responsible Officer (after consultation with Bond Counsel) deems necessary or appropriate in connection with the Bonds, in the Tax Certificate relating to the Bonds or similar or other appropriate certificate, form or document. 20 (m) Closing Certificate. The City agrees to execute and deliver in connection with the execution and delivery of this Lease a Tax Certificate as to Arbitrage and the Provisions of Sections 103 and 141-150 of the Internal Revenue Code of 1986, or similar document containing additional representations and covenants pertaining to the exclusion of the interest on the Bonds from the gross income of the owners thereof for federal income tax purposes, which representations and covenants are incorporated as though expressly set forth herein. SECTION 18. CONTINUING DISCLOSURE The City will comply with the continuing disclosure requirements applicable to it promulgated under U.S. Securities and Exchange Commission Rule 15c2-12 and will also comply with its obligations under the Continuing Disclosure Certificate, dated as of June 1, 2016, delivered by the City relating to the Bonds and under any continuing disclosure certificate or agreement related to Additional Bonds that are subject to Rule 15c2-12; provided, however, that the sole remedy hereunder in the event of any failure of the City to comply with this covenant shall be an action to compel performance and the City's failure to comply with any continuing disclosure requirement shall not be deemed a default or an Event of Default. SECTION 19. WAIVER Failure of the Authority to take advantage of any default on the part of the City shall not be, or be construed as, a waiver thereof, nor shall any custom or practice which may be established between the parties in the course of administering this Lease be construed to waive or to lessen the right of the Authority to insist upon performance by the City of any term, covenant or condition hereof, or to exercise any rights given the Authority on account of such default. A waiver of a particular default shall not be deemed to be a waiver of the same or any subsequent default. The acceptance of rent hereunder shall not be, nor be construed to be, a waiver of any term, covenant or condition of this Lease. SECTION 20. NET LEASE Subject to the provisions of Section 16 ("Abatement of Rental"), this Lease shall be deemed and construed to be a "Triple -Net -Lease" and the City hereby agrees that rental provided for herein shall be an absolute net return to the Authority, free and clear of any expenses, taxes, fees, insurance premiums, rebate payments, Leased Property costs, reserve deposits, charges or setoffs whatsoever. SECTION 21. AMENDMENTS. This Lease may be amended in writing as may be mutually agreed by the Authority and the City; provided, that no such amendment which materially adversely affects the rights of the Owners shall be effective unless it shall have been consented to by the Owners of more than a majority in aggregate principal amount of the affected Bonds and any Additional Bonds then Outstanding, and provided further, that no such amendment shall (a) extend the payment date of any Base Rental Payment, without the prior written consent of the Owner of each Bond and any Additional Bond so affected, or (b) reduce the percentage of the Outstanding Bonds the consent of the Owners of which is required for the execution of any amendment hereof. 21 This Lease and the rights and obligations of the Authority and the City hereunder may also be amended or supplemented at any time by an amendment hereof or supplement hereto which shall become binding upon execution by the Authority and the City without the written consents of any Owners, but only to the extent permitted by law and only for any one or more of the following purposes: (a) to add to the agreements, conditions, covenants and terms required by the Authority or the City to be observed or performed herein and other agreements, conditions, covenants and terms thereafter to be observed or performed by the Authority or the City, or to surrender any right or power reserved herein to or conferred herein on the Authority or the City, and which in either case shall not materially adversely affect the interests of the Owners; (b) to make such provisions for the purpose of curing any ambiguity of correcting, curing or supplementing any defective provision contained herein or in regard to questions arising hereunder which the Authority or the City may deem desirable or necessary and not inconsistent herewith, and which shall not materially adversely affect the interests of the Owners; (c) to effect a Substitution or Removal; (d) to increase the amount of Base Rental Payment payable hereunder for the purpose of allowing the Authority to add any real property to be acquired and leased hereunder or for the issuance of Additional Bonds; or (e) for any other purpose which shall not materially adversely affect the interests of the Owners. SECTION 22. ESSENTIALITY The City covenants and agrees that the Leased Property is essential to the City's exercise of its governmental functions. SECTION 23. LAW GOVERNING This Lease shall be governed and construed exclusively by the provisions hereof and by the laws of the State of California. SECTION 24. NOTICES All notices, statements, demands, consents, approvals, authorizations, offers, designations, requests or other communications hereunder by either party to the other shall be made as provided in the Indenture. SECTION 25. VALIDITY AND SEVERABILITY If for any reason this Lease shall be held by a court of competent jurisdiction to be void, voidable, or unenforceable by the Authority or by the City, or if for any reason it is held by such a court that any of the covenants of the City hereunder, including the covenant to pay 22 rentals hereunder, is unenforceable for the full term hereof, then and in such event this Lease is and shall be deemed to be a lease from year to year under which the rentals are to be paid by the City semi-annually in consideration of the right of the City to possess, occupy and use the Leased Property, and all of the rental and other terms, provisions and conditions of this Lease, except to the extent that such terms, provisions and conditions are contrary to or inconsistent with such holding, shall remain in full force and effect. SECTION 26. SECTION HEADINGS All section headings contained are for convenience of reference only and are not intended to define or limit the scope of any provision of this Lease. SECTION 27. NO MERGER If both the Authority's and the City's estate under this or any other lease relating to the Leased Property or any portion thereof shall at any time or for any reason become vested in one owner, this Lease and the estate created hereby shall not be destroyed or terminated by the doctrine of merger unless the City so elects as evidenced by recording a written declaration so stating, and unless and until the City so elects, the City shall continue to have and enjoy all of its rights and privileges as to the separate estates. SECTION 28. EXECUTION It is agreed that separate counterparts of this Lease may separately be executed by the Authority and the City, all with the same force and effect as though the same counterpart had been executed by both the Authority and the City. 23 IN WITNESS WHEREOF, the Authority and the City have caused this Lease to be executed by their respective officers thereunto duly authorized, all as of the day and year first above written. I., Im AT' is SANTA CLARITA PUBLIC FINANCING AUTHORITY By RobertC. Kellar, Chair CITY OF SANTA CLARITA By Kenneth W. Striplin, Ed.D, City Manager A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On TV h-e I Li. .0 �(D before me, � • 7,1 V-,Qt4 (insert name of the officer), Notary Public, personally appeared R o b rR t C . �t-�l I a K , who proved to me on the basis of satisfactory evidence to be the person(s) whose name(* is/are-subscribed to the within instrument and acknowledged to me that he/she4hey executed the same in his/herAheir authorized capacity(4es-), and that by his/herAheir signature(} on the instrument the person(s}, or the entity upon behalf of which the personasl acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. K. HARPER Notary Public - California Los Angeles County i Z Commission # 2151282 '— [Seal] Mg Comm. Ex ires Apr 29, 2020 A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On 1 U n -c j `'11 %61 1p before me, L12 P or, �2 (insert name of the officer), Notary Public, personally appeared LrVjn TZM 01 G h , who proved to me on the basis of satisfactory evidence to be the person( - whose name(-) is/emsubscribed to the within instrument and acknowledged to me that he/skeAhey executed the same in hisAw64heir authorized capacity(ies), and that by his/her/their signature(-s) on the instrument the person(, or the entity upon behalf of which the persons} acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. K. HARPER WITNESS my hand and official seal. rA Notary Public - calitornia Z Los Angeles county Commission # 21512 M Comm. Ex ices A r 29, 2 024u [Seal] A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On Rn -rl l y "ZD) to before me, V - 11j- >2 0 C'a (insert name of the officer), Notary Public, personally appeared �C�}� P,t�h 16) S )-R i p 1, n , who proved to me on the basis of satisfactory evidence to be the person(s) whose name() is/aR-. subscribed to the within instrument and acknowledged to me that he/shetthey executed the same in his/hoE/4heir authorized capacity(ies-), and that by his/ham signature(s) on the instrument the person(s), or the entity upon behalf of which the persons} acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal. K HARPER Notary Public - California Los Angeles County i z Commission * 2151282 [Seal] M Comm. Ex ires A r 29, 2020 A NOTARY PUBLIC OR OTHER OFFICER COMPLETING THIS CERTIFICATE VERIFIES ONLY THE IDENTITY OF THE INDIVIDUAL WHO SIGNED THE DOCUMENT TO WHICH THIS CERTIFICATE IS ATTACHED, AND NOT THE TRUTHFULNESS, ACCURACY, OR VALIDITY OF THAT DOCUMENT. STATE OF CALIFORNIA ss: COUNTY OF LOS ANGELES On 1 U n -c j `'11 %61 1p before me, L12 P or, �2 (insert name of the officer), Notary Public, personally appeared LrVjn TZM 01 G h , who proved to me on the basis of satisfactory evidence to be the person( - whose name(-) is/emsubscribed to the within instrument and acknowledged to me that he/skeAhey executed the same in hisAw64heir authorized capacity(ies), and that by his/her/their signature(-s) on the instrument the person(, or the entity upon behalf of which the persons} acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. K. HARPER WITNESS my hand and official seal. rA Notary Public - calitornia Z Los Angeles county Commission # 21512 M Comm. Ex ices A r 29, 2 024u [Seal] EXHIBIT A DESCRIPTION OF THE LEASED PROPERTY The land and City Hall structure located thereon situated on a portion of a parcel of land (Assessor Parcel No. 2861-026-900) in the County of Los Angeles, State of California, described below: PARCELI: LOTS 3,4 AND 5, OF TRACT NO. 33746, IN THE CITY OF SANTA CLARITA, COUNTY OF LOS ANGELES, STATE OF CALIFORNIA, AS PER MAP RECORDED IN BOOK 1056, PAGES 91 TO 96 INCLUSIVE OF MAPS, IN THE OFFICE OF THE COUNTY RECORDER OF SAID COUNTY. EXCEPT THEREFROM ALL RIGHTS TO MINERALS, OIL, GAS, TARS, HYDROCARBON AND METALLIFEROUS SUBSTANCES OF EVERY KIND, TOGETHER WITH THE RIGHT TO DRILL OR MINE FOR SAME, WITHOUT, HOWEVER, THE RIGHT OF SURFACE ENTRY AND WITHOUT THE RIGHT TO DRILL OR MINE THROUGH THE SURFACE OF THE UPPER 500 FEET OF THE SUBSURFACE OF SAID LAND AS RESERVED BY THE NEWHALL LAND AND FARMING COMPANY (A CALIFORNIA LIMITED PARTNERSHIP), A LIMITED PARTNERSHIP IN DEED RECORDED APRIL 2, 1986 AS INSTRUMENT NO. 86-409536, OFFICIAL RECORDS. PARCEL 2: A NON-EXCLUSIVE EASEMENT FOR PURPOSES OF INGRESS AND EGRESS OVER THE WESTERLY 15 FEET OF LOT 2 OF SAID TRACT MAP 33746, RECORDED IN BOOK 1056, PAGES 91 TO 96 INCLUSIVE OF MAPS, WHICH EASEMENT SHALL BE APPURTENANT TO AND FOR THE BENEFIT OF LOT 3 OF SAID TRACT MAP 33746. PARCEL 3: A NON-EXCLUSIVE EASEMENT FOR PURPOSES OF INGRESS AND EGRESS OVER THE EASTERLY FIFTEEN FEET OF LOT 6 OF SAID TRACT MAP 33746, RECORDED IN BOOK 1056, PAGES 91 TO 96 INCLUSIVE OF MAPS, WHICH EASEMENT SHALL BE APPURTENANT TO AND FOR THE BENEFIT OF LOT 5 OF SAID TRACT MAP 33746. EXHIBIT B BASE RENTAL PAYMENT SCHEDULE Interest Total Payment Dates(') Principal Interest Debt Service 12/01/2016 $ 375,000.00 $ 154,185.83 $ 529,185.83 06/01/2017 167,050.00 167,050.00 12/01/2017 375,000.00 167,050.00 542,050.00 06/01/2018 159,550.00 159,550.00 12/01/2018 385,000.00 159,550.00 544,550.00 06/01/2019 151,850.00 151,850.00 12/01/2019 400,000.00 151,850.00 551,850.00 06/01/2020 143,850.00 143,850.00 12/01/2020 420,000.00 143,850.00 563,850.00 06/01/2021 135,450.00 135,450.00 12/01/2021 435,000.00 135,450.00 570,450.00 06/01/2022 126,750.00 126,750.00 12/01/2022 450,000.00 126,750.00 576,750.00 06/01/2023 117,750.00 117,750.00 12/01/2023 470,000.00 117,750.00 587,750.00 06/01/2024 108,350.00 108,350.00 12/01/2024 490,000.00 108,350.00 598,350.00 06/01/2025 98,550.00 98,550.00 12/01/2025 510,000.00 98,550.00 608,550.00 06/01/2026 88,350.00 88,350.00 12/01/2026 530,000.00 88,350.00 618,350.00 06/01/2027 77,750.00 77,750.00 12/01/2027 550,000.00 77,750.00 627,750.00 06/01/2028 72,250.00 72,250.00 12/01/2028 555,000.00 72,250.00 627,250.00 06/01/2029 66,700.00 66,700.00 12/01/2029 570,000.00 66,700.00 636,700.00 06/01/2030 61,000.00 61,000.00 12/01/2030 580,000.00 61,000.00 641,000.00 06/01/2031 54,475.00 54,475.00 12/01/2031 595,000.00 54,475.00 649,475.00 06/01/2032 42,575.00 42,575.00 12/01/2032 625,000.00 42,575.00 667,575.00 06/01/2033 30,075.00 30,075.00 12/01/2033 650,000.00 30,075.00 680,075.00 06/01/2034 20,325.00 20,325.00 12/01/2034 670,000.00 20,325.00 690,325.00 06/01/2035 10,275.00 10,275.00 12/01/2035 685,000.00 10,275.00 695,275.00 Total $10,320,000.00 $3,620,035.83 $13,940,035.83 (') Base Rental Payments are made not less than fifteen (15) Business Days prior to each Interest Payment Date. i Stradling Yocca Carlson & Rauth Draft dated 9112122 (with MLG Comments) SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM) SERIES 2022A BOND PURCHASE AGREEMENT October , 2022 Santa Clarita Public Financing Authority c/of City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: Executive Director City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: City Manager Ladies and Gentlemen: The undersigned, Stifel, Nicolaus & Company, Incorporated (the "Underwriter"), acting not as a fiduciary or agent for you, but on behalf of itself, offers to enter into this Bond Purchase Agreement (which, together with Exhibit A and Exhibit B, is referred to as the "Purchase Agreement") with the Santa Clarita Public Financing Authority (the "Authori ") and the City of Santa Clarita, California (the "Lily"), which, upon the acceptance of the Authority and the City, will be binding upon the Authority, the City and the Underwriter. This offer is made subject to acceptance by the Authority and by the City by the execution of this Purchase Agreement and delivery of the same to the Underwriter prior to 5:00 P.M., California Time, on the date hereof, and, if not so accepted, will be subject to withdrawal by the Underwriter upon notice delivered to the Authority and the City at any time prior to the acceptance hereof by the Authority and the City. Capitalized terms used herein and not otherwise defined shall have the meanings set forth in the Indenture, dated as of October 1, 2020 (the "Original Indenture"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (the "First Supplemental Indenture," and together with the Original Indenture, the "Indenture"), each by and between the Authority and U.S. Bank Trust Company, National Association, as trustee (the "Trustee"). Section 1. Purchase and Sale. Upon the terms and conditions and upon the basis of the representations, warranties and agreements herein set forth, the Underwriter hereby agrees to purchase from the Authority, and the Authority hereby agrees to issue, sell and deliver to the 1 4881-3955-1794/200356-0552 Underwriter all (but not less than all) of the Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A in the aggregate principal amount of $ (the "Series A Bonds"). The Series A Bonds will be dated as of their date of delivery. Interest on the Series A Bonds shall be payable semiannually on June 1 and December I in each year, commencing December 1, 2022 and will mature, bear interest and be subject to redemption prior to maturity as set forth in Exhibit A hereto. The purchase price for the Series A Bonds shall be equal to $ (being the aggregate principal amount thereof [plus] [less] [net] original issue [premium] [discount] of $ , less an underwriter's discount of $ ). Section 2. The Series A Bonds. The Series A Bonds shall be secured by a pledge of [CUBE Lease Revenues] consisting primarily of Base Rental Payments (the "Base Rental Payments') to be paid by the City pursuant to the Lease Agreement, dated as of October 1, 2020 (the "Original Lease"), as amended by the First Amendment to Lease Agreement, dated as of October 1, 2022 (the "First Amendment to Lease" and together, the "Lease"), each by and between the City and the Authority, relating to the approximately 4.4 acre parcel located at 27745 Smyth Drive in the City, at which the 93,000 square foot The CUBE Ice and Entertainment Center is located (the "CUBE Leased Property"). The Authority's right to receive the Base Rental Payments due under the Lease and to exercise remedies upon default under such Lease shall be assigned to the Trustee for the benefit of the owners of the Series A Bonds pursuant to the Assignment Agreement, dated as of October 1, 2020 (the "Assignment Agreement"), by and between the Authority and the Trustee. The Series A Bonds shall be as described in, and shall be secured under and pursuant to the Indenture substantially in the form previously submitted to the Underwriter with only such changes therein as shall be mutually agreed upon by the Authority, the City and the Underwriter. The proceeds of the Series A Bonds shall be used to: (1) provide funds to pay for a portion of the costs of financing certain energy efficiency improvements for City (the "Project"); and (ii) to pay the costs of issuance of the Series A Bonds. The Series A Bonds, this Purchase Agreement, the Indenture, the Lease, the Site and Facility Lease, dated as of October 1, 2020 (the "Site Lease"), by and between the Authority and the City, and the Assignment Agreement are collectively referred to herein as the "Authority Documents." This Purchase Agreement, the Continuing Disclosure Certificate, dated October , 2022 (the "Continuing Disclosure Certificate"), executed and delivered by the City, the Lease, and the Site Lease are collectively referred to herein as the "City Documents." Concurrently with the issuance of the Series A Bonds, the City and the Authority expect that the Authority will issue its Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (the "Series B Bonds"), the proceeds of which will be used to (i) provide funds to pay for a portion of the costs of the Project and (ii) to pay the costs of issuance of the Series B Bonds. The Series B Bonds will be issued under a separate indenture and will be secured by lease payments made pursuant to a lease agreement relating to the City's City Hall property as described in the Official Statement (defined below). The [City Hall Lease Revenues] are not pledged to or available to pay debt service on the Series A Bonds and the [CUBE Lease Revenues] are not pledged to or available to pay debt service on the Series B Bonds. 2 4881-3955-1794/200356-0552 Section 3. Public Offering and Establishment of Issue Price. (a) The Underwriter agrees to make an initial public offering of all of the Series A Bonds at the public offering prices (or yields) set forth on Exhibit A attached hereto and incorporated herein by reference. Subsequent to the initial public offering, the Underwriter reserves the right to change the public offering prices (or yields) as the Underwriter deems necessary in connection with the marketing of the Series A Bonds, provided that the Underwriter shall not change the interest rates set forth on Exhibit A. The Series A Bonds may be offered and sold to certain dealers at prices lower than such initial public offering prices. The City and the Authority acknowledge and agree that: (i) the purchase and sale of the Series A Bonds pursuant to this Purchase Agreement is an arm's-length commercial transaction between the City and the Authority, on one hand, and the Underwriter, on the other; (ii) in connection therewith and with the discussions, undertakings and procedures leading up to the consummation of such transaction, the Underwriter is and has been acting solely as principal and is not acting as a Municipal Advisor (as defined in Section 15B of the Securities Exchange Act of 1934, as amended); (iii) the Underwriter has not assumed an advisory or fiduciary responsibility in favor of the City or Authority with respect to the offering contemplated hereby or the discussions, undertakings and procedures leading thereto (irrespective of whether the Underwriter has provided other services or is currently providing other services to the City or Authority on other matters); (iv) the Underwriter has financial and other interests that differ from those of the City and the Authority; and (v) the City and Authority have consulted their own legal, financial and other advisors to the extent they have deemed appropriate. (b) The Underwriter agrees to assist the Authority in establishing the issue price of the Series A Bonds and shall execute and deliver to the Authority at Closing (as defined below) an "issue price" or similar certificate, together with the supporting pricing wires or equivalent communications, substantially in the form attached hereto as Exhibit B, with such modifications as may be appropriate or necessary, in the reasonable judgment of the Underwriter, the Authority and Bond Counsel (as defined below), to accurately reflect, as applicable, the sales price or prices or the initial offering price or prices to the public of the Series A Bonds. (c) Except as set forth in Exhibit A, the Authority will treat the first price at which 10% of each maturity of the Series A Bonds (the "10% test"), identified under the column "10% Test Used" in Exhibit A, is sold to the public as the issue price of that maturity. At or promptly after the execution of this Purchase Agreement, the Underwriter shall report to the Authority the price or prices at which it has sold to the public each maturity of Bonds. If at that time the 10% test has not been satisfied as to any maturity of the Series A Bonds, the Underwriter agrees to promptly report to the Authority the prices at which it sells the unsold Bonds of that maturity to the public. That reporting obligation shall continue, whether or not the Closing Date (as defined below) has occurred, until either (1) the Underwriter has sold all Bonds of that maturity or (ii) the 10% test has been satisfied as to the Series A Bonds of that maturity, provided that, the Underwriter's reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the Authority or Bond Counsel. For purposes of this section, if Bonds mature on the same date but have different interest rates, each separate CUSIP number within that maturity will be treated as a separate maturity of the Series A Bonds. (d) The Underwriter confirms that it has offered the Series A Bonds to the public on or before the date of this Purchase Agreement at the offering price or prices (the "initial offering price"), or at the corresponding price, set forth in Exhibit A attached hereto, except as otherwise set forth therein. Exhibit A also sets forth, identified under the column "Hold the Offering Price Rule 4881-3955-1794/200356-0552 Used," as of the date of this Purchase Agreement, the maturities, if any, of the Series A Bonds for which the 10% test has not been satisfied and for which the Authority and the Underwriter agree that the restrictions set forth in the next sentence shall apply, which will allow the Authority to treat the initial offering price to the public of each such maturity as of the sale date as the issue price of that maturity (the "hold -the -offering -price rule"). So long as the hold -the -offering -price rule remains applicable to any maturity of the Series A Bonds, the Underwriter will neither offer nor sell unsold Bonds of that maturity to any person at a price that is higher than the initial offering price to the public during the period starting on the sale date and ending on the earlier of the following: (1) the close of the fifth (5th) business day after the sale date; or (2) the date on which the Underwriter has sold at least 10% of that maturity of the Series A Bonds to the public at a price that is no higher than the initial offering price to the public. The Underwriter will advise the Authority promptly after the close of the fifth (5th) business day after the sale date whether it has sold 10% of that maturity of the Series A Bonds to the public at a price that is no higher than the initial offering price to the public. (e) The Underwriter confirms that: (1) any selling group agreement and any third -party distribution agreement relating to the initial sale of the Series A Bonds to the public, together with the related pricing wires, contains or will contain language obligating each dealer who is a member of the selling group and each broker -dealer that is a parry to such third -party distribution agreement, as applicable: (A)(i) to report the prices at which it sells to the public the unsold Bonds of each maturity allocated to it, whether or not the Closing Date has occurred, until either all Bonds of that maturity allocated to it have been sold or it is notified by the Underwriter that the 10% test has been satisfied as to the Series A Bonds of that maturity, provided that, the reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the Underwriter, and (ii) to comply with the hold -the -offering -price rule, if applicable, if and for so long as directed by the Underwriter, (B) to promptly notify the Underwriter of any sales of Bonds that, to its knowledge, are made to a purchaser who is a related party to an underwriter participating in the initial sale of the Series A Bonds to the public (each such term being used as defined below), and (C) to acknowledge that, unless otherwise advised by the dealer or broker -dealer, the Underwriter shall assume that each order submitted by the dealer or broker -dealer is a sale to the public. (ii) any selling group agreement relating to the initial sale of the Series A Bonds to the public, together with the related pricing wires, contains or will contain language obligating each dealer that is a party to a third -party distribution agreement to be employed in connection with the initial sale of the Series A Bonds to the public to require each broker -dealer that is a party to such third -parry distribution agreement to (A) report the prices at which it sells to the public the unsold Bonds of each maturity allocated to it, whether or not the Closing Date has 4 4881-3955-1794/200356-0552 occurred, until either all Bonds of that maturity allocated to it have been sold or it is notified by the Underwriter or the dealer that the 10% test has been satisfied as to the Series A Bonds of that maturity, provided that, the reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the Underwriter or the dealer, and (B) comply with the hold - the -offering -price rule, if applicable, if and for so long as directed by the Underwriter or the dealer and as set forth in the related pricing wires. (f) The Authority and the City acknowledge that, in making the representations set forth in this section, the Underwriter will rely on (i) in the event a selling group has been created in connection with the initial sale of the Series A Bonds to the public, the agreement of each dealer who is a member of the selling group to comply with the requirements for establishing issue price of the Series A Bonds, including, but not limited to, its agreement to comply with the hold -the -offering - price rule, if applicable to the Series A Bonds, as set forth in a selling group agreement and the related pricing wires, and (ii) in the event that a third -party distribution agreement was employed in connection with the initial sale of the Series A Bonds to the public, the agreement of each broker - dealer that is a parry to such agreement to comply with the requirements for establishing issue price of the Series A Bonds, including, but not limited to, its agreement to comply with the hold -the - offering -price rule, if applicable to the Series A Bonds, as set forth in the third -parry distribution agreement and the related pricing wires. The Authority and the City further acknowledge that the Underwriter shall not be liable for the failure of any dealer who is a member of a selling group, or of any broker -dealer that is a parry to a third -party distribution agreement, to comply with its corresponding agreement to comply with the requirements for establishing issue price of the Series A Bonds, including, but not limited to, its agreement to comply with the hold -the -offering -price rule, if applicable to the Series A Bonds. (g) The Underwriter acknowledges that sales of any Bonds to any person that is a related parry to an underwriter participating in the initial sale of the Series A Bonds to the public (each such term being used as defined below) shall not constitute sales to the public for purposes of this section. Further, for purposes of this section: (i) "public" means any person other than an underwriter or a related party; (ii) "underwriter" means (A) any person that agrees pursuant to a written contract with the Authority (or with the lead underwriter to form an underwriting syndicate) to participate in the initial sale of the Series A Bonds to the public and (B) any person that agrees pursuant to a written contract directly or indirectly with a person described in clause (A) to participate in the initial sale of the Series A Bonds to the public (including a member of a selling group or a party to a third -parry distribution agreement participating in the initial sale of the Series A Bonds to the public); (iii) a purchaser of any of the Series A Bonds is a "related party" to an underwriter if the underwriter and the purchaser are subject, directly or indirectly, to (A) more than 50% common ownership of the voting power or the total value of their stock, if both entities are corporations (including direct ownership by one corporation of another), (B) more than 50% common ownership of their capital interests or profits interests, if both entities are partnerships (including direct ownership by one partnership of another), or (C) more than 50% common ownership of the value of the outstanding stock of the corporation or the capital interests or profit interests of the partnership, as applicable, if one entity is a corporation and the other entity is a 4881-3955-1794/200356-0552 partnership (including direct ownership of the applicable stock or interests by one entity of the other); and (iv) "sale date" means the date of execution of this Purchase Agreement by the City and the Underwriter. Section 4. The Official Statement. By its acceptance of this proposal, the Authority and the City ratify, confirm and approve of the use and distribution by the Underwriter prior to the date hereof of the preliminary official statement relating to the Series A Bonds and the Series B Bonds dated October , 2022 (including the cover page, all appendices and all information incorporated therein and any supplements or amendments thereto and as disseminated in its printed physical form or in electronic form in all respects materially consistent with such physical form, the "Preliminary Official Statement") that authorized officers of the Authority and the City deemed "final" as of its date, for purposes of Rule 15c2-12 promulgated under the Securities Exchange Act of 1934, as amended ("Rule 15c2-12"), except for certain information permitted to be omitted therefrom by Rule 15c2-12. The Authority and the City hereby agree to deliver or cause to be delivered to the Underwriter, within seven business days of the date hereof, copies of the final official statement, dated the date hereof, relating to the Series A Bonds (including all information previously permitted to have been omitted by Rule 15c2-12), including the cover page, all appendices, all information incorporated therein and any amendments or supplements as have been approved by the Authority, the City and the Underwriter (the "Official Statement") in such quantity as the Underwriter shall reasonably request to comply with Section (b)(4) of Rule 15c2-12 and the rules of the Municipal Securities Rulemaking Board (the "MSRB"). The Underwriter hereby agrees that it will not request that payment be made by any purchaser of the Series A Bonds prior to delivery by the Underwriter to the purchaser of a copy of the Official Statement. The Underwriter agrees: (i) to provide the Authority and the City with final pricing information on the Series A Bonds on a timely basis; and (ii) to file a copy of the Official Statement, including any supplements prepared by the Authority or the City with the MSRB in accordance with MSRB rules at http://emma.msrb.org. The Authority and the City hereby approve of the use and distribution by the Underwriter of the Preliminary Official Statement in connection with the offer and sale of the Series A Bonds. The Authority and the City will cooperate with the Underwriter in the filing by the Underwriter of the Official Statement with the MSRB. Section 5. Closing. At 8:30 a.m., California Time, on October , 2022, or at such other time or date as the Authority and the Underwriter agree upon (the "Closing Date"), the Authority shall deliver or cause to be delivered to the Trustee, the Series A Bonds, in definitive form, registered in the name of Cede & Co., as the nominee of The Depository Trust Company ("DTC"), so that the Series A Bonds may be authenticated by the Trustee and credited to the account specified by the Underwriter under DTC's FAST procedures. Concurrently with the delivery of the Series A Bonds, the Authority and the City will deliver the documents hereinafter mentioned at the offices of Norton Rose Fulbright US LLP, Los Angeles, California ("Bond Counsel"), or another place to be mutually agreed upon by the Authority, the City and the Underwriter. The Underwriter will accept such delivery and pay the purchase price of the Series A Bonds as set forth in Section 1 hereof by wire transfer in immediately available funds. This payment for and delivery of the Series A Bonds, together with the delivery of the aforementioned documents, is herein called the "Closing." The Series A Bonds shall be registered in the name of Cede & Co., as nominee of DTC in denominations of five thousand dollars ($5,000) or any integral multiple thereof. The Authority and 6 4881-3955-1794/200356-0552 the City acknowledge that the services of DTC will be used initially by the Underwriter in order to permit the issuance of the Series A Bonds in book -entry form, and agree to cooperate fully with the Underwriter in employing such services. Section 6. Representations, Warranties and Covenants of the Authority. The Authority represents, warrants and covenants to the Underwriter and the City that: (a) The Authority is a public body, duly organized and existing under the laws of the State of California (the "State"), including Article 1 of Chapter 5 of Division 7 of Title 1 of the Government Code of the State (the "JPA Act") and the Joint Exercise of Powers Agreement, dated as of July 9, 1991, and as amended on May 10, 2016 (the "JPA Agreement"), by and among the City, the City as successor agency to the Santa Clarita Redevelopment Agency, and the Santa Clarita Parking Authority. (b) The Authority has full legal right, power and authority to adopt or enter into, as the case may be, and to carry out and consummate the transactions on its part contemplated by the Authority Documents and the resolution adopted by the Board of Directors of the Authority on September , 2022 (the "Authority Resolution") authorizing the issuance of the Series A Bonds and the execution and delivery of the Authority Documents. (c) By all necessary official action, the Authority has duly authorized and approved the Authority Documents, has duly authorized and approved the Preliminary Official Statement and the Official Statement, and has duly authorized and approved the execution and delivery of, and the performance by the Authority of the obligations on its part contained in, the Authority Documents and the consummation by it of all other transactions contemplated by the Authority Documents in connection with the issuance of the Series A Bonds. As of the date hereof, such authorizations and approvals are in full force and effect and have not been amended, modified or rescinded. When executed and delivered, and assuming due execution and delivery by the other parties thereto, if applicable, the Authority Documents will constitute the legally valid and binding obligations of the Authority enforceable in accordance with their respective terms, except as enforcement may be limited by bankruptcy, insolvency, reorganization, moratorium or similar laws or equitable principles relating to or affecting creditors' rights generally, or by the exercise of judicial discretion and the limitations on legal remedies against joint powers authorities in the State. The Authority has complied, and will at the Closing be in compliance in all material respects, with the terms of the Authority Documents. (d) The Authority is not in any material respect in breach of or default under any applicable constitutional provision, law or administrative regulation of any state or of the United States, or any agency or instrumentality of either, or any applicable judgment or decree, or any loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the Authority is a party which breach or default has or may have a materially adverse effect on the ability of the Authority to perform its obligations under the Authority Documents, and no event has occurred and is continuing which with the passage of time or the giving of notice, or both, would constitute such a default or event of default under any such instrument; and the adoption, execution and delivery of the Authority Documents, if applicable, and compliance with the provisions on the Authority's part contained therein, will not conflict in any material way with or constitute a material breach of or a material default under any constitutional provision, law, administrative regulation, judgment, decree, loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the Authority is a party, nor will any such execution, delivery, adoption or compliance result in the VA 4881-3955-1794/200356-0552 creation or imposition of any lien, charge or other security interest or encumbrance of any nature whatsoever upon any of the property or assets of the Authority or under the terms of any such law, regulation or instrument, except as may be provided by the Authority Documents. (e) All material authorizations, approvals, licenses, permits, consents and orders of any governmental authority, legislative body, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by the Authority of its obligations in connection with the Authority Documents have been duly obtained or, when required for future performance, are expected to be obtained, other than such approvals, consents and orders as may be required under the Blue Sky or securities laws of any state in connection with the offering and sale of the Series A Bonds; except as described in or contemplated by the Preliminary Official Statement and the Official Statement, all authorizations, approvals, licenses, permits, consents and orders of any governmental authority, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by, the Authority of its obligations under the Authority Documents have been duly obtained. (f) The Authority hereby agrees that it will notify the other parties hereto if, within the period from the date of this Purchase Agreement to and including the date twenty-five (25) days following the end of the underwriting period (as defined herein), the Authority discovers any pre-existing or subsequent fact or becomes aware of the occurrence of any event, in any such case, which might cause the Official Statement (as the same may have then been supplemented or amended) to contain any untrue statement of a material fact or to omit to state a material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. (g) As of the time of acceptance hereof and the Closing, except as disclosed in the Official Statement, there is no action, suit, proceeding, inquiry or investigation, at law or in equity, before or by any court, governmental authority, public board or body, pending, with service of process upon the Authority having been accomplished, or threatened in writing to the Authority: (i) in any way questioning the corporate existence of the Authority or the titles of the officers of the Authority to their respective offices; (ii) affecting, contesting or seeking to prohibit, restrain or enjoin the issuance or delivery of any of the Series A Bonds, or the payment or collection of Base Rental Payments with respect to the Lease or any amounts pledged or to be pledged to pay the principal of and interest on the Series A Bonds, or in any way contesting or affecting the validity of the Series A Bonds or the other Authority Documents or the consummation of the transactions contemplated thereby or hereby, or contesting the exclusion of the interest on the Series A Bonds from taxation or contesting the powers of the Authority or its authority to issue the Series A Bonds; (iii) which would be likely to result in any material adverse change relating to the business, operations or financial condition of the Authority; or (iv) contesting the completeness or accuracy of the Preliminary Official Statement or the Official Statement or any supplement or amendment thereto or asserting that the Preliminary Official Statement or the Official Statement contained any untrue statement of a material fact or omitted to state any material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. 8 4881-3955-1794/200356-0552 (h) To the Authority's knowledge, there is no basis for any action, suit, proceeding, inquiry or investigation of the nature described in clauses (1) through (iv) of paragraph 6(g)- (i) As of its date, the information in the Preliminary Official Statement set forth under the caption "THE AUTHORITY' did not, and as of the date hereof does not, contain any untrue statement of a material fact, and as of its date did not, and as of the date hereof does not, omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. 0) As of the date hereof, the information in the Official Statement set forth under the caption "THE AUTHORITY' does not, and at all times thereafter up to and including the Closing will not, contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. (k) The Authority will refrain from taking any action, or permitting any action to be taken, with regard to which the Authority may exercise control, that results in the loss of the tax-exempt status of the interest on the Series A Bonds. (1) The Authority will refrain from taking any action, or permitting any action to be taken, to reduce the amount of the Base Rental Payments while the Series A Bonds are Outstanding, and the Authority will collect the Base Rental Payments in accordance with the Lease. (m) Any certificate signed by any officer of the Authority authorized to execute such certificate in connection with the execution, sale and delivery of the Series A Bonds and delivered to the Underwriter shall be deemed a representation and warranty of the Authority to the Underwriter and the City as to the statements made therein but not of the person signing such certificate. Section 7. Representations, Warranties and Covenants of the City. The City represents, warrants and covenants to the Underwriter and the Authority that: (a) The City is a general law city duly organized and existing under and by virtue of the Constitution and laws of the State. (b) The City has full legal right, power and authority to adopt or enter into, as the case may be, and to carry out and consummate the transactions on its part contemplated by the City Documents and the resolution adopted by the City Council of the City on September 2022 (the "City Resolution") authorizing the execution and delivery of the City Documents. (c) By all necessary official action, the City has duly authorized and approved the City Documents, has duly authorized and approved the Preliminary Official Statement and the Official Statement, and has duly authorized and approved the execution and delivery of, and the performance by the City of the obligations on its part contained in, the City Documents and the consummation by it of all other transactions contemplated by the City Documents in connection with the issuance of the Series A Bonds. As of the date hereof, such authorizations and approvals are in full force and effect and have not been amended, modified or rescinded. When executed and delivered, and assuming due execution and delivery by the other parties thereto, if applicable, the 9 4881-3955-1794/200356-0552 City Documents will constitute the legally valid and binding obligations of the City enforceable in accordance with their respective terms, except as enforcement may be limited by bankruptcy, insolvency, reorganization, moratorium or similar laws or equitable principles relating to or affecting creditors' rights generally, or by the exercise of judicial discretion and the limitations on legal remedies against municipal corporations in the State. The City has complied, and will at the Closing be in compliance in all material respects, with the terms of the City Documents. (d) The City is not in any material respect in breach of or default under any applicable constitutional provision, law or administrative regulation of any state or of the United States, or any agency or instrumentality of either, or any applicable judgment or decree, or any loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the City is a party which breach or default has or may have a materially adverse effect on the ability of the City to perform its obligations under the City Documents, and no event has occurred and is continuing which with the passage of time or the giving of notice, or both, would constitute such a default or event of default under any such instrument; and the adoption, execution and delivery of the City Documents, if applicable, and compliance with the provisions on the City's part contained therein, will not conflict in any material way with or constitute a material breach of or a material default under any constitutional provision, law, administrative regulation, judgment, decree, loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the City is a party nor will any such execution, delivery, adoption or compliance result in the creation or imposition of any lien, charge or other security interest or encumbrance of any nature whatsoever upon any of the property or assets of the City or under the terms of any such law, regulation or instrument, except as may be provided by the City Documents. (e) All material authorizations, approvals, licenses, permits, consents and orders of any governmental authority, legislative body, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by the City of its obligations in connection with the City Documents have been duly obtained or, when required for future performance, are expected to be obtained, other than such approvals, consents and orders as may be required under the Blue Sky or securities laws of any state in connection with the offering and sale of the Series A Bonds; except as described in or contemplated by the Preliminary Official Statement, all authorizations, approvals, licenses, permits, consents and orders of any governmental authority, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by, the City of its obligations under the City Documents have been duly obtained. (f) As of its date, the Preliminary Official Statement did not, and as of the date hereof, does not, contain any untrue statement of a material fact, and as of its date did not, and as of the date hereof, does not, omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading (except that this representation does not include statements in the Preliminary Official Statement under the captions "THE AUTHORITY" and "UNDERWRITING" and information regarding DTC and its book -entry only system, the Insurer or the Policy, as to which no view is expressed). (g) As of the date hereof, the Official Statement does not, and at all times thereafter up to and including the Closing will not, contain any untrue statement of a material fact or IN 4881-3955-1794/200356-0552 omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading (except that this representation does not include statements in the Official Statement under the captions "THE AUTHORITY" and "UNDERWRITING' and information regarding DTC and its book -entry only system, the Insurer or the Policy, as to which no view is expressed). (h) The City will advise the Underwriter promptly of any proposal to amend or supplement the Official Statement. The City will advise the Underwriter promptly of the institution of any proceedings known to it by any governmental authority prohibiting or otherwise affecting the use of the Official Statement in connection with the offering, sale or distribution of the Series A Bonds. (i) As of the time of acceptance hereof and the Closing, except as disclosed in the Official Statement, there is no action, suit, proceeding, inquiry or investigation, at law or in equity, before or by any court, governmental authority, public board or body, pending, with service of process upon the City having been accomplished, or threatened in writing to the City: (i) in any way questioning the corporate existence of the City or the titles of the officers of the City to their respective offices; (ii) affecting, contesting or seeking to prohibit, restrain or enjoin the issuance or delivery of any of the Series A Bonds, or the payment or collection of Base Rental Payments with respect to the Lease or of any amounts pledged or to be pledged to pay the principal of and interest on the Series A Bonds, or in any way contesting or affecting the validity of the Series A Bonds, or the City Documents or the consummation of the transactions contemplated thereby or hereby, or contesting the exclusion of the interest on the Series A Bonds from taxation, or contesting the powers of the Authority to issue the Series A Bonds; (iii) which would be likely to result in any material adverse change relating to the business, operations or financial condition of the City; and (iv) contesting the completeness or accuracy of the Preliminary Official Statement or the Official Statement or any supplement or amendment thereto or asserting that the Preliminary Official Statement or the Official Statement contained any untrue statement of a material fact or omitted to state any material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. (j) To the City's knowledge, there is no basis for any action, suit, proceeding, inquiry or investigation of the nature described in clauses (i) through (iv) of paragraph 7(1). (k) Until the date which is twenty-five (25) days after the "end of the underwriting period" (as hereinafter defined), if any event shall occur of which the City is aware that would cause the Official Statement to contain any untrue statement of a material fact or omit to state a material fact necessary in order to make the statements in the Official Statement, in light of the circumstances under which they were made, not misleading (except that this representation does not include information regarding DTC and its book entry only system, as to which no view is expressed), the City shall forthwith notify the Underwriter of any such event of which it has knowledge and shall cooperate fully in furnishing any information available to it for any supplement to the Official Statement necessary, in the Underwriter's reasonable opinion, so that the statements therein as so supplemented will not be misleading in light of the circumstances existing at such time and the City shall promptly furnish to the Underwriter a reasonable number of copies of such supplement. As used herein, the term "end of the underwriting period" means the later of such time as: (1) the Authority delivers the Series A Bonds to the Underwriter; or (ii) the Underwriter does not retain, directly or as a member of an underwriting syndicate, an unsold balance of the Series A Bonds for sale to the public. Unless the Underwriter gives notice to the contrary, the "end of the 11 4881-3955-1794/200356-0552 underwriting period" shall be deemed to be the Closing Date. Any notice delivered pursuant to this provision shall be written notice delivered to the Underwriter at or prior to the Closing Date of the Series A Bonds and shall specify a date (other than the Closing Date) to be deemed the "end of the underwriting period." (1) Except as disclosed in the Preliminary Official Statement and the Official Statement, the City has not within the last rive years failed to comply in any material respect with any continuing disclosure undertakings with regard to Rule 15c2-12, to provide annual reports or notices of material events specified in such rule. (m) The City will refrain from taking any action, or permitting any action to be taken, with regard to which the City may exercise control, that results in the loss of the tax-exempt status of the interest on the Series A Bonds. (n) The financial statements relating to the receipts, expenditures and cash balances of the City as of June 30, 2021 attached as Appendix B to the Official Statement fairly represent the receipts, expenditures and cash balances of the City. Except as disclosed in the Official Statement, there has not been any materially adverse change in the financial condition of the City or in its operations since June 30, 2021 and there has been no occurrence, circumstance or combination thereof which is reasonably expected to result in any such materially adverse change. (o) To the extent required by law, the City will undertake, pursuant to the Continuing Disclosure Certificate and the other City Documents, to provide annual reports and notices of certain events, if material. A description of this undertaking is set forth in Appendix D to the Preliminary Official Statement and will also be set forth in the Official Statement. (p) Except in connection with the issuance of refunding bonds pursuant to the terms of the Indenture or as permitted under the Lease due to damage, destruction, or substantial interference with the use and occupancy by the City of the CUBE Leased Property or any portion thereof, the City will refrain from taking any action, or permitting any action to be taken, to reduce the amount of the Base Rental Payments while the Series A Bonds are Outstanding, and the City will pay the Base Rental Payments in accordance with the Lease. (q) Any certificate signed by any officer of the City authorized to execute such certificate in connection with the execution, sale and delivery of the Series A Bonds and delivered to the Underwriter shall be deemed a representation and warranty of the City to the Underwriter and the Authority as to the statements made therein but not of the person signing such certificate. Section 8. Conditions to the Obligations of the Underwriter. The Underwriter has entered into this Purchase Agreement in reliance upon the representations and warranties of the Authority and the City contained herein. The obligations of the Underwriter to accept delivery of and pay for the Series A Bonds on the Closing Date shall be subject, at the option of the Underwriter, to the accuracy in all material respects of the statements of the officers and other officials of the Authority and of the City, as well as authorized representatives of Bond Counsel and the Trustee made in any Bonds or other documents furnished pursuant to the provisions hereof, to the performance by the Authority and the City of their obligations to be performed hereunder at or prior to the Closing Date; and to the following additional conditions: 12 4881-3955-1794/200356-0552 (a) The representations, warranties and covenants of the City and the Authority contained herein shall be true and correct at the date hereof and at the time of the Closing, as if made on the Closing Date. (b) At the time of Closing, the City Documents and the Authority Documents shall be in full force and effect as valid and binding agreements between or among the various parties thereto, and the City Documents, the Authority Documents, the City Resolution, the Authority Resolution, and the Official Statement shall not have been amended, modified or supplemented except as may have been agreed to in writing by the Underwriter. (c) At the time of the Closing, no material default shall have occurred or be existing under the City Documents, Authority Documents, or any other agreement or document pursuant to which any of the City's financial obligations were executed and delivered, and the City shall not be in default in the payment of principal or interest with respect to any of its financial obligations, which default would materially adversely impact the ability of the City to pay the Base Rental Payments. (d) In recognition of the desire of the Authority, the City and the Underwriter to effect a successful public offering of the Series A Bonds, and in view of the potential adverse impact of any of the following events on such a public offering, this Purchase Agreement shall be subject to termination in the discretion of the Underwriter by notification, in writing, to the Authority and the City prior to delivery of and payment for the Series A Bonds, if at any time prior to such time, regardless of whether any of the following statements of fact were in existence or known of on the date of this Purchase Agreement: (1) any event shall occur which makes untrue any material statement or results in an omission to state a material fact necessary to make the statements in the Official Statement, in the light of the circumstances under which they were made, not misleading, which event, in the reasonable opinion of the Underwriter would materially or adversely affect the ability of the Underwriter to market the Series A Bonds; or (ii) the marketability of the Series A Bonds or the market price thereof, in the opinion of the Underwriter, has been materially adversely affected by an amendment to the Constitution of the United States or by any legislation in or by the Congress of the United States or by the State, or the amendment of legislation pending as of the date of this Purchase Agreement in the Congress of the United States, or the recommendation to Congress or endorsement for passage (by press release, other form of notice or otherwise) of legislation by the President of the United States, the Treasury Department of the United States, the Internal Revenue Service or the Chairman or ranking minority member of the Committee on Finance of the United States Senate or the Committee on Ways and Means of the United States House of Representatives, or the proposal for consideration of legislation by either such Committee or by any member thereof, or the presentment of legislation for consideration as an option by either such Committee, or by the staff of the Joint Committee on Taxation of the Congress of the United States, or the favorable reporting for passage of legislation to either House of the Congress of the United States by a Committee of such House to which such legislation has been referred for consideration, or any decision of any federal or state court or any ruling or regulation (final, temporary or proposed) or official statement on behalf of the United States Treasury Department, the Internal Revenue Service or other federal or State authority affecting the federal or State tax status of the Authority or the City, or the interest on or with respect to bonds or notes (including the Series A Bonds); or 13 4881-3955-1794/200356-0552 (iii) any legislation, ordinance, rule or regulation shall be enacted by any governmental body, department or authority of the State, or a decision by any court of competent jurisdiction within the State shall be rendered which materially adversely affects the market price of the Series A Bonds; or (iv) an order, decree or injunction issued by any court of competent jurisdiction, or order, ruling, regulation (final, temporary or proposed), official statement or other form of notice or communication issued or made by or on behalf of the Securities and Exchange Commission, or any other governmental authority having jurisdiction of the subject matter, to the effect that: (i) obligations of the general character of the Series A Bonds, or the Series A Bonds, including any or all underlying arrangements, are not exempt from registration under the Securities Act of 1933, as amended, or that the Indenture is not exempt from qualification under the Trust Indenture Act of 1939, as amended; or (ii) the issuance, offering or sale of obligations of the general character of the Series A Bonds, or the issuance, offering or sale of the Series A Bonds, including any or all underlying obligations, as contemplated hereby or by the Official Statement, is or would be in violation of the federal securities laws as amended and then in effect; or (v) legislation shall be enacted by the Congress of the United States, or a decision by a court of the United States shall be rendered, to the effect that obligations of the general character of the Series A Bonds, or the Series A Bonds are not exempt from registration under or other requirements of the Securities Act of 1933, as amended and as then in effect, or the Securities Exchange Act of 1934, as amended and as then in effect, or that the Indenture is not exempt from qualification under or other requirements of the Trust Indenture Act of 1939, as amended and as then in effect; or (vi) additional material restrictions not in force as of the date hereof shall have been imposed upon trading in securities generally by any domestic governmental authority or by any domestic national securities exchange, which are material to the marketability of the Series A Bonds; or (vii) a general banking moratorium shall have been declared by federal, State or New York authorities, or the general suspension of trading on any national securities exchange; or (viii) in the reasonable judgment of the Underwriter, the market price or marketability of the Series A Bonds, or the ability of the Underwriter to enforce contracts for the sale of the Series A Bonds is materially adversely affected by (1) an outbreak or escalation of hostilities or the declaration by the United States of a national emergency or war or (2) any other calamity or crisis in the financial markets of the United States or elsewhere or the escalation of such calamity or crisis; or (ix) any rating of the Series A Bonds or the rating of any obligations of the City secured by or payable from the City's general fund shall have been downgraded or withdrawn by a national rating service, which, in the opinion of the Underwriter, materially adversely affects the market price of the Series A Bonds; or (x) the commencement of any action, suit or proceeding described in Section 6(g) or Section 7(1). 14 4881-3955-1794/200356-0552 (e) at or prior to the Closing, the Underwriter shall receive the following documents, in each case to the reasonable satisfaction in form and substance of the Underwriter: (i) The Authority Resolution relating to the Series A Bonds and authorizing the execution and delivery of the Series A Bonds and the Authority Documents and the Official Statement signed by an authorized official of the Authority; (ii) The City Resolution relating to the Series A Bonds and authorizing the execution and delivery of the City Documents and the delivery of the Series A Bonds and the Official Statement signed by an authorized official of the City; (iii) The City Documents and the Authority Documents duly executed and delivered by the respective parties thereto, with only such amendments, modifications or supplements as may have been agreed to in writing by the Underwriter; (iv) The approving opinion of Bond Counsel dated the Closing Date and addressed to the Authority and the City, in substantially the form attached as [Appendix E-1] to the Official Statement, and a reliance letter thereon addressed to the Underwriter; (v) A supplemental opinion of Bond Counsel dated the Closing Date and addressed to the Underwriter, to the effect that: (A) the statements on the cover of the Official Statement and in the Official Statement under the captions "INTRODUCTION," "DESCRIPTION OF THE BONDS," ["SECURITY AND SOURCES OF PAYMENT FOR THE BONDS,"] and "TAX MATTERS," and in [Appendix C"SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS"] and [Appendix E-1"SERIES A BONDS - FORM OF OPINION OF BOND COUNSEL,"] excluding any material that may be treated as included under such captions and appendices by any cross-reference, insofar as such statements expressly summarize provisions of the City Documents, the Authority Documents, and Bond Counsel's final opinion concerning certain federal tax matters relating to the Series A Bonds, are accurate in all material respects as of the Closing Date, provided that Bond Counsel need not express any opinion with respect to any financial or statistical data contained therein or with respect to the book -entry system in which the Series A Bonds are initially delivered; (B) The Purchase Agreement and the Continuing Disclosure Certificate have been duly authorized, executed and delivered by the City and the Authority, as applicable, and are the valid, legal and binding agreements of the City and the Authority, as applicable, enforceable in accordance with their respective terms, except that the rights and obligations under the Purchase Agreement and the Continuing Disclosure Certificate are subject to bankruptcy, insolvency, reorganization, moratorium, fraudulent conveyance and other similar laws affecting creditors' rights, to the application of equitable principles if equitable remedies are sought, to the exercise of judicial discretion in appropriate cases and to limitations on legal remedies against public agencies in the State, and provided that no opinion need be expressed with respect to any indemnification or contribution provisions contained therein; (C) The Series A Bonds are not subject to the registration requirements of the Securities Act of 1933, as amended, and the Indenture is exempt from qualification under the Trust Indenture Act of 1939, as amended; and 15 4881-3955-1794/200356-0552 (vi) The Official Statement, executed on behalf of the Authority and the City, and the Preliminary Official Statement; (vii) Evidence that the rating or ratings on the Series A Bonds are in effect as described in the Official Statement; (viii) A certificate, dated the Closing Date, signed by a duly authorized officer of the Authority satisfactory in form and substance to the Underwriter to the effect that: (i) the representations, warranties and covenants of the Authority contained in this Purchase Agreement are true and correct in all material respects on and as of the Closing Date with the same effect as if made on the Closing Date by the Authority, and the Authority has complied with, in all material respects, all of the terms and conditions of this Purchase Agreement required to be complied with by the Authority at or prior to the Closing Date; and (ii) no event affecting the Authority has occurred since the date of the Official Statement which should be disclosed in the Official Statement for the purposes for which it is to be used or which is necessary to disclose therein in order to make the statements and information therein not misleading in any material respect; (ix) A certificate, dated the Closing Date, signed by a duly authorized officer of the City satisfactory in form and substance to the Underwriter to the effect that: (1) the representations, warranties and covenants of the City contained in this Purchase Agreement are true and correct in all material respects on and as of the Closing Date with the same effect as if made on the Closing Date by the City, and the City has complied with, in all material respects, all of the terms and conditions of the Purchase Agreement required to be complied with by the City at or prior to the Closing Date; and (ii) no event affecting the City has occurred since the date of the Official Statement which should be disclosed in the Official Statement for the purposes for which it is to be used or which is necessary to disclose therein in order to make the statements and information therein not misleading in any material respect; (x) An opinion dated the Closing Date and addressed to the Underwriter, of the City Attorney, as general counsel to the Authority, to the effect that: (A) The Authority is a public body, organized and existing under the laws of the State, including the JPA Act and the JPA Agreement; (B) The Authority Resolution has been duly adopted by the Authority, is in full force and effect and has not been modified, amended, rescinded or repealed since its date of adoption; (C) Except as otherwise disclosed in the Official Statement, there is no litigation, proceeding, action, suit, or investigation at law or in equity before or by any court, governmental authority or body, pending, with service of process upon the Authority having been accomplished, or threatened in writing against the Authority, challenging the creation, organization or existence of the Authority, or the validity of the Authority Documents or seeking to restrain or enjoin the issuance of the Series A Bonds, the collection of Base Rental Payments with respect to the Lease or the repayment of the Series A Bonds or in any way contesting or affecting the validity of the Authority Documents or contesting the authority of the Authority to enter into or perform its obligations under any of the Authority Documents; I[7 4881-3955-1794/200356-0552 (D) The execution and delivery of the Authority Documents and the issuance of the Series A Bonds and compliance with the provisions thereof, do not and will not in any material respect conflict with or constitute on the part of the Authority a breach of or default under any agreement or other instrument to which the Authority is a party or by which it is bound or any existing law, regulation, court order or consent decree to which the Authority is subject, which breach or default has or may have a material adverse effect on the ability of the Authority to perform its obligations under the Authority Documents; and (E) No authorization, approval, consent, or other order of the State or any other governmental body within the State is required for the valid authorization, execution and delivery of the Authority Documents or the Official Statement by the Authority or the consummation by the Authority of the transactions on its part contemplated therein, except such as have been obtained and except such as may be required under state securities or Blue Sky laws in connection with the purchase and distribution of the Series A Bonds by the Underwriter; (xi) an opinion dated the Closing Date and addressed to the Underwriter, of the City Attorney, to the effect that: (A) The City is a general law city, duly organized and existing under and by virtue of the Constitution and laws of the State; (B) The City Resolution has been duly adopted by the City Council, is in full force and effect and has not been modified, amended, rescinded or repealed since its date of adoption; (C) Except as otherwise disclosed in the Official Statement, there is no litigation, proceeding, action, suit, or investigation at law or in equity before or by any court, governmental authority or body, pending, with service of process upon the City having been accomplished, or threatened in writing against the City, challenging the creation, organization or existence of the City, or the validity of the City Documents or seeking to restrain or enjoin the issuance of the Series A Bonds, the payment of the Base Rental Payments or the repayment of the Series A Bonds or in any way contesting or affecting the validity of the City Documents or contesting the authority of the City to enter into or perform its obligations under any of the City Documents, or which, in any manner, questions the right of the City to pay the Base Rental Payments under the Lease; (D) The execution and delivery of the City Documents and compliance with the provisions thereof, do not and will not in any material respect conflict with or constitute on the part of the City a breach of or default under any agreement or other instrument to which the City is a party or by which it is bound or any existing law, regulation, court order or consent decree to which the City is subject, which breach or default has or may have a material adverse effect on the ability of the City to perform its obligations under the City Documents; and (E) No authorization, approval, consent, or other order of the State or any other governmental body within the State is required for the valid authorization, execution and delivery of the City Documents or the consummation by the City of the transactions on its part contemplated therein, except such as have been obtained and except such as may be required under state securities or Blue Sky laws in connection with the purchase and distribution of the Series A Bonds by the Underwriter; 17 4881-3955-1794/200356-0552 NO An opinion of Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel, in its capacity as Disclosure Counsel, dated the Closing Date and addressed to the Authority, the City and the Underwriter, to the effect that, based upon the information made available to them in the course of their participation in the preparation of the Preliminary Official Statement and the Official Statement and without passing on and without assuming any responsibility for the accuracy, completeness and fairness of the statements in the Preliminary Official Statement and the Official Statement, and having made no independent investigation or verification thereof, and stated as a matter of fact and not opinion that, during the course of its representation of the Authority and the City on this matter, no facts came to the attention of the attorneys in its firm rendering legal services in connection with the Preliminary Official Statement and the Official Statement which caused them to believe that the Preliminary Official Statement as of its date and as of the date hereof, or the Official Statement as of its date and as of the Closing Date (except any CUSIP numbers, financial, accounting, statistical or economic, engineering or demographic data or forecasts, numbers, charts, tables, graphs, estimates, projections, assumptions or expressions of opinion, environmental litigation, environmental matters, information relating to The Depository Trust Company and its book -entry system, and the Appendices thereto, included or referred to therein, which shall be expressly excluded from the scope of this paragraph and as to which such firm need not express any opinion or view) contained or contains any untrue statement of a material fact or omitted or omits to state any material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading; (xiii) An opinion of Stradling Yocca Carlson & Rauth, a Professional Corporation, counsel to the Underwriter, in form and substance satisfactory to the Underwriter; (xiv) An opinion of counsel to the Trustee, addressed to the Underwriter and dated the Closing Date, in form and substance satisfactory to the Underwriter and to Bond Counsel; (xv) A certificate, dated the Closing Date, signed by a duly authorized official of the Trustee in form and substance satisfactory to the Underwriter; (xvi) The preliminary and final Statement of Sale required to be delivered to the California Debt and Investment Advisory Commission pursuant to Section 53583 of the Government Code and Section 8855(g) of the Government Code; (xvii) A copy of the executed Blanket Issuer Letter of Representations by the Authority relating to DTC's book -entry system; (xviii) Tax and nonarbitrage certifications of the Authority and the City in form and substance to the reasonable satisfaction of Bond Counsel and the Underwriter; (xix) A certificate, dated the date of the Preliminary Official Statement, of the City, as required under Rule 15c2-12; (xx) A certificate, dated the date of the Preliminary Official Statement, of the Authority, as required under Rule 15c2-12; (xxi) Certified copies of the JPA Agreement and all amendments thereto and related certificates issued by the Secretary of State of the State; III 4881-3955-1794/200356-0552 (xxii) A certified copy of the general resolution of the Trustee authorizing the execution and delivery of certain documents by certain officers of the Trustee, which resolution authorizes the execution and delivery of the Indenture and the authentication and delivery of the Series A Bonds by the Trustee; (xxiii) A copy of a CLTA or ALTA title insurance policy in an amount equal to the principal amount of the Series A Bonds, insuring the City's leasehold interest in the CUBE Leased Property, subject only to permitted encumbrances or such other encumbrances approved in writing by the Underwriter; (xxiv) Certificates, dated the Closing Date, regarding compliance with the insurance requirements of the Lease; (xxv) Such additional legal opinions, certificates, proceedings, instruments or other documents as Bond Counsel or the Underwriter may reasonably request. Section 9. Changes in Official Statement. After the Closing, neither the Authority nor the City will adopt any amendment of or supplement to the Official Statement to which the Underwriter shall reasonably object in writing. Within 90 days after the Closing or within 25 days following the end of the underwriting period, whichever occurs first, if any event relating to or affecting the Series A Bonds, the Trustee, the City or the Authority shall occur as a result of which it is necessary, in the opinion of the Underwriter, to amend or supplement the Official Statement in order to make the Official Statement not misleading in any material respect in the light of the circumstances existing at the time it is delivered to a purchaser, the Authority will forthwith prepare and furnish to the Underwriter an amendment or supplement that will amend or supplement the Official Statement so that it will not contain an untrue statement of a material fact or omit to state a material fact necessary in order to make the statements therein, in the light of the circumstances existing at the time the Official Statement is delivered to purchaser, not misleading. The City and the Authority shall cooperate with the Underwriter in the filing by the Underwriter of such amendment or supplement to the Official Statement with the MSRB. Section 10. Expenses. Whether or not the transactions contemplated by this Purchase Agreement are consummated, the Underwriter shall be under no obligation to pay, and the Authority shall pay only from the proceeds of the Series A Bonds, or cause the City to pay out of the proceeds of the Series A Bonds or any other legally available funds of the City or the Authority, but only as the Authority and such other parry providing such services may agree, all expenses and costs of the Authority and the City incident to the performance of their obligations in connection with the authorization, execution, sale and delivery of the Series A Bonds to the Underwriter, including, without limitation, printing costs, rating agency fees and charges, initial fees of the Trustee, including fees and disbursements of their counsel, if any, fees and disbursements of Bond Counsel, Disclosure Counsel, the Municipal Advisor, and other professional advisors employed by the Authority or the City, costs of preparation, printing, signing, transportation, delivery and safekeeping of the Series A Bonds and for expenses (included in the expense component of the spread) incurred by the Underwriter on behalf of the City's employees which are incidental to implementing this Purchase Agreement, including, but not limited to, meals, transportation, lodging, and entertainment of those employees. The Underwriter shall pay all out-of-pocket expenses of the Underwriter, including, without limitation, the fees and expenses of its counsel, advertising expenses, the California Debt and Investment Advisory Commission fee, CUSIP Services Bureau charges, regulatory fees imposed on new securities issuers and any and all other expenses incurred by the Underwriter in connection with IN 4881-3955-1794/200356-0552 the public offering and distribution of the Series A Bonds. Certain payments may be in the form of inclusion of such expenses in the expense component of the Underwriter's discount. Section 11. Notices. Any notice or other communication to be given to the Underwriter under this Purchase Agreement may be given by delivering the same in writing to Stifel, Nicolaus & Company, Incorporated, 2121 Avenue of the Stars, Suite 2100, Los Angeles, California 90067, Attention: Sara Brown. All notices or communications hereunder by any parry shall be given and served upon each other party. Any notice or communication to be given the Authority under this Purchase Agreement may be given by delivering the same in writing to the Santa Clarita Public Financing Authority, c/o City of Santa Clarita, 23920 Valencia Boulevard, Santa Clarita, California 91355, Attention: Executive Director. Any notice or communication to be given the City under this Purchase Agreement may be given by delivering the same in writing to the City of Santa Clarita, 23920 Valencia Boulevard, Santa Clarita, California 91355, Attention: City Manager. Section 12. Parties in Interest. This Purchase Agreement is made solely for the benefit of the Authority, the City and the Underwriter (including the successors or assigns thereof) and no other person shall acquire or have any right hereunder or by virtue hereof. All representations, warranties and agreements of the Authority and the City in this Purchase Agreement shall remain operative and in full force and effect regardless of any investigation made by or on behalf of the Underwriter and shall survive the delivery of and payment for the Series A Bonds. Section 13. Severability. In case any one or more of the provisions contained herein shall for any reason be held to be invalid, illegal or unenforceable in any respect, such invalidity, illegality or unenforceability shall not affect any other provision hereof. Section 14. Counterparts. This Purchase Agreement may be executed by the parties hereto in separate counterparts, each of which when so executed and delivered shall be an original, but all such counterparts shall together constitute but one and the same instrument. [REMAINDER OF PAGE INTENTIONALLY LEFT BLANK] 20 4881-3955-1794/200356-0552 Section 15. Governing Law. This Purchase Agreement shall be governed by and construed in accordance with the laws of the State. STIFEL, NICOLAUS & COMPANY, INCORPORATED By: Title: Authorized Officer Accepted as of the date first stated above: CITY OF SANTA CLARITA By: Its: Kenneth W. Striplin, City Manager Time of Execution: a.m./p.m. California Time SANTA CLARITA PUBLIC FINANCING AUTHORITY By: Its: Kenneth W. Striplin, Executive Director Time of Execution: a.m./p.m. California Time S-1 4881-3955-1794/200356-0552 EXHIBIT A SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM) SERIES 2022A MATURITY SCHEDULE Maturity Initial Date Principal Offering (June 1) Amount Interest Rate Price ' Term Bonds. C Priced to the first optional redemption date of June 1, , at par. REDEMPTION 10% Test Used Hold the Offering Price Rule Used Optional Redemption. The Series A Bonds maturing on or after June 1, 20 are subject to redemption prior to their respective maturity dates as a whole or in part on any date on or after June 1, 20, in any order deemed reasonable by the Authority, and by lot within a maturity, from prepayments of CUBE Base Rental Payments made at the option of the City pursuant to the Lease, at a redemption price equal to the principal amount of the Series A Bonds to be redeemed, plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. Mandatory Sinking Fund Redemption of Term Bonds. The CUBE Term Bonds maturing on June 1, 20 and June 1, 20 shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedules on June 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. A-1 4881-3955-1794/200356-0552 CUBE Term Bonds Maturing June 1, Sinking Fund Redemption Date June 1 Principal Amount To Be Redeemed CUBE Term Bonds Maturing June 1, Sinking Fund Redemption Date June 1 Principal Amount To Be Redeemed CUBE Term Bonds Maturing June 1, Sinking Fund Redemption Date June 1 Principal Amount To Be Redeemed Extraordinary Redemption. The Series A Bonds are subject to redemption prior to their maturity dates, as a whole or in part on a pro rata basis, on any date from prepayments of the Base Rental Payments made by the City pursuant to the Lease out of funds received by the City due to a taking of the CUBE Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the CUBE Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of the Series A Bonds pursuant to this paragraph will be made at a redemption price equal to the sum of the principal of the Series A Bonds to be redeemed plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. A-2 4881-3955-1794/200356-0552 EXHIBIT B SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM) SERIES 2022A FORM OF ISSUE PRICE CERTIFICATE The undersigned, on behalf of Stifel, Nicolaus & Company, Incorporated ("Stifel") hereby certifies as set forth below with respect to the sale and issuance of the above -captioned bonds (the "Bonds"). 1. Sale of the General Rule Maturities. As of the date of this certificate, for each Maturity of the General Rule Maturities, the first price at which at least 10% of such Maturity was sold to the Public is the respective price listed in Schedule A. 2. Initial Offering Price of the Hold -the -Offering -Price Maturities. (a) Stifel offered the Hold -the -Offering -Price Maturities to the Public for purchase at the respective initial offering prices listed in Schedule A (the "Initial Offering Prices") on or before the Sale Date. A copy of the pricing wire or equivalent communication for the Series A Bonds is attached to this certificate as Schedule B. (b) As set forth in the Bond Purchase Agreement, dated October , 2022, by and among Stifel, the Issuer (as defined below) and the City of Santa Clarita, Stifel has agreed in writing that, (i) for each Maturity of the Hold -the -Offering -Price Maturities, it would neither offer nor sell any of the Series A Bonds of such Maturity to any person at a price that is higher than the Initial Offering Price for such Maturity during the Holding Period for such Maturity (the "hold -the -offering - price rule"), and (ii) any selling group agreement shall contain the agreement of each dealer who is a member of the selling group, and any retail distribution agreement shall contain the agreement of each broker -dealer who is a parry to the retail distribution agreement, to comply with the hold -the - offering -price rule. Pursuant to such agreement, no Underwriter (as defined below) has offered or sold any Maturity of the Hold -the -Offering -Price Maturities at a price that is higher than the respective Initial Offering Price for that Maturity of the Series A Bonds during the Holding Period. Defined Terms. (a) General Rule Maturities means those Maturities of the Series A Bonds listed in Schedule A hereto as the "General Rule Maturities." (b) Hold -the -Offering -Price Maturities means those Maturities of the Series A Bonds listed in Schedule A hereto as the "Hold -the -Offering -Price Maturities." (c) Holding Period means, with respect to a Hold -the -Offering -Price Maturity, the period starting on the Sale Date and ending on the earlier of (1) the close of the fifth business day after the Sale Date, or (ii) the date on which Stifel has sold at least 10% of such Hold -the -Offering - Price Maturity to the Public at prices that are no higher than the Initial Offering Price for such Hold - the -Offering -Price Maturity. B-1 4881-3955-1794/200356-0552 (d) Issuer means the Santa Clarita Public Financing Authority. (e) Maturity means Bonds with the same credit and payment terms. Bonds with different maturity dates, or Bonds with the same maturity date but different stated interest rates, are treated as separate maturities. (f) Public means any person (including an individual, trust, estate, partnership, association, company, or corporation) other than an Underwriter or a related party to an Underwriter. The term "related parry" for purposes of this certificate generally means any two or more persons who have greater than 50 percent common ownership, directly or indirectly. (g) Sale Date means the first day on which there is a binding contract in writing for the sale of a Maturity of the Series A Bonds. The Sale Date of the Series A Bonds is , 2022. (h) Underwriter means (i) any person that agrees pursuant to a written contract with the Issuer (or with the lead underwriter to form an underwriting syndicate) to participate in the initial sale of the Series A Bonds to the Public, and (ii) any person that agrees pursuant to a written contract directly or indirectly with a person described in clause (1) of this paragraph to participate in the initial sale of the Series A Bonds to the Public (including a member of a selling group or a parry to a retail distribution agreement participating in the initial sale of the Series A Bonds to the Public). The representations set forth in this certificate are limited to factual matters only. Nothing in this certificate represents Stifel's interpretation of any laws, including specifically Sections 103 and 148 of the Internal Revenue Code of 1986, as amended, and the Treasury Regulations thereunder. The undersigned understands that the foregoing information will be relied upon by the Issuer with respect to certain of the representations set forth in the Tax Certificate and with respect to compliance with the federal income tax rules affecting the Series A Bonds, and by Norton Rose Fulbright US LLP in connection with rendering its opinion that the interest on the Series A Bonds is excluded from gross income for federal income tax purposes, the preparation of the Internal Revenue Service Form 8038-G, and other federal income tax advice that it may give to the Issuer from time to time relating to the Series A Bonds. STIFEL, NICOLAUS & COMPANY, INCORPORATED By: Name: M. Name: Dated: , 2022 B-2 4881-3955-1794/200356-0552 SCHEDULE A SALE PRICES OF THE GENERAL RULE MATURITIES AND INITIAL OFFERING PRICES OF THE HOLD -THE -OFFERING -PRICE MATURITIES (Attached) B-3 4881-3955-1794/200356-0552 SCHEDULE B PRICING WIRE OR EQUIVALENT COMMUNICATION (Attached) B-4 4881-3955-1794/200356-0552 Stradling Yocca Carlson & Rauth Draft dated 9112122 (with MLG Comments) SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM) SERIES 2022B BOND PURCHASE AGREEMENT October , 2022 Santa Clarita Public Financing Authority c/of City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: Executive Director City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 Attention: City Manager Ladies and Gentlemen: The undersigned, Stifel, Nicolaus & Company, Incorporated (the "Underwriter"), acting not as a fiduciary or agent for you, but on behalf of itself, offers to enter into this Bond Purchase Agreement (which, together with Exhibit A and Exhibit B, is referred to as the "Purchase Agreement") with the Santa Clarita Public Financing Authority (the "Authori ") and the City of Santa Clarita, California (the "Lily"), which, upon the acceptance of the Authority and the City, will be binding upon the Authority, the City and the Underwriter. This offer is made subject to acceptance by the Authority and by the City by the execution of this Purchase Agreement and delivery of the same to the Underwriter prior to 5:00 P.M., California Time, on the date hereof, and, if not so accepted, will be subject to withdrawal by the Underwriter upon notice delivered to the Authority and the City at any time prior to the acceptance hereof by the Authority and the City. Capitalized terms used herein and not otherwise defined shall have the meanings set forth in the Indenture, dated as of June 1, 2016 (the "Original Indenture"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (the "First Supplemental Indenture," and together with the Original Indenture, the "Indenture"), each by and between the Authority and U.S. Bank Trust Company, National Association, as trustee (the "Trustee"). Section 1. Purchase and Sale. Upon the terms and conditions and upon the basis of the representations, warranties and agreements herein set forth, the Underwriter hereby agrees to purchase from the Authority, and the Authority hereby agrees to issue, sell and deliver to the 1 4865-6627-1027/200356-0552 Underwriter all (but not less than all) of the Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B in the aggregate principal amount of $ (the "Series B Bonds"). The Series B Bonds will be dated as of their date of delivery. Interest on the Series B Bonds shall be payable semiannually on June I and December 1 in each year, commencing December 1, 2022 and will mature, bear interest and be subject to redemption prior to maturity as set forth in Exhibit A hereto. The purchase price for the Series B Bonds shall be equal to $ (being the aggregate principal amount thereof [plus] [less] [net] original issue [premium] [discount] of $ , less an underwriter's discount of $ ). Section 2. The Series B Bonds. The Series B Bonds shall be secured by a pledge of [City Hall Lease Revenues] consisting primarily of Base Rental Payments (the "Base Rental Payments") to be paid by the City pursuant to the Lease Agreement, dated as of June 1, 2016 (the "Original Lease"), as amended by the First Amendment to Lease Agreement, dated as of October 1, 2022 (the "First Amendment to Lease" and together, the "Lease"), each by and between the City and the Authority, relating to the City Hall building and City Hall site located at 23920 Valencia Boulevard in the City, at which the three story, 74,325-square foot City Hall building is located (the "City Hall Leased Property"). The Authority's right to receive the Base Rental Payments due under the Lease and to exercise remedies upon default under such Lease shall be assigned to the Trustee for the benefit of the owners of the Series B Bonds pursuant to the Assignment Agreement, dated as of June 1, 2016 (the "Assignment Agreement"), by and between the Authority and the Trustee. The Series B Bonds shall be as described in, and shall be secured under and pursuant to the Indenture substantially in the form previously submitted to the Underwriter with only such changes therein as shall be mutually agreed upon by the Authority, the City and the Underwriter. The proceeds of the Series B Bonds shall be used to: (i) provide funds to pay for a portion of the costs of financing certain energy efficiency improvements for City (the "Project"); and (ii) to pay the costs of issuance of the Series B Bonds. The Series B Bonds, this Purchase Agreement, the Indenture, the Lease, the Site and Facility Lease, dated as of June 1, 2016 (the "Site Lease"), by and between the Authority and the City, and the Assignment Agreement are collectively referred to herein as the "Authority Documents." This Purchase Agreement, the Continuing Disclosure Certificate, dated October , 2022 (the "Continuing Disclosure Certificate"), executed and delivered by the City, the Lease, and the Site Lease are collectively referred to herein as the "City Documents." Concurrently with the issuance of the Series B Bonds, the City and the Authority expect that the Authority will issue its Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (the "Series A Bonds"), the proceeds of which will be used to (i) provide funds to pay for a portion of the costs of the Project and (ii) to pay the costs of issuance of the Series A Bonds. The Series A Bonds will be issued under a separate indenture and will be secured by lease payments made pursuant to a lease agreement relating to certain property located in the Cit on which The CUBE Ice and Entertainment Center is located, as described in the Official Statement (defined below). The [CUBE Lease Revenues] are not pledged to or available to pay debt service on the Series B Bonds and the [City Hall Lease Revenues] are not pledged to or available to pay debt service on the Series A Bonds. 2 4865-6627-1027/200356-0552 Section 3. Public Offering and Establishment of Issue Price. (a) The Underwriter agrees to make an initial public offering of all of the Series B Bonds at the public offering prices (or yields) set forth on Exhibit A attached hereto and incorporated herein by reference. Subsequent to the initial public offering, the Underwriter reserves the right to change the public offering prices (or yields) as the Underwriter deems necessary in connection with the marketing of the Series B Bonds, provided that the Underwriter shall not change the interest rates set forth on Exhibit A. The Series B Bonds may be offered and sold to certain dealers at prices lower than such initial public offering prices. The City and the Authority acknowledge and agree that: (i) the purchase and sale of the Series B Bonds pursuant to this Purchase Agreement is an arm's-length commercial transaction between the City and the Authority, on one hand, and the Underwriter, on the other; (ii) in connection therewith and with the discussions, undertakings and procedures leading up to the consummation of such transaction, the Underwriter is and has been acting solely as principal and is not acting as a Municipal Advisor (as defined in Section 15B of the Securities Exchange Act of 1934, as amended); (iii) the Underwriter has not assumed an advisory or fiduciary responsibility in favor of the City or Authority with respect to the offering contemplated hereby or the discussions, undertakings and procedures leading thereto (irrespective of whether the Underwriter has provided other services or is currently providing other services to the City or Authority on other matters); (iv) the Underwriter has financial and other interests that differ from those of the City and the Authority; and (v) the City and Authority have consulted their own legal, financial and other advisors to the extent they have deemed appropriate. (b) The Underwriter agrees to assist the Authority in establishing the issue price of the Series B Bonds and shall execute and deliver to the Authority at Closing (as defined below) an "issue price" or similar certificate, together with the supporting pricing wires or equivalent communications, substantially in the form attached hereto as Exhibit B, with such modifications as may be appropriate or necessary, in the reasonable judgment of the Underwriter, the Authority and Bond Counsel (as defined below), to accurately reflect, as applicable, the sales price or prices or the initial offering price or prices to the public of the Series B Bonds. (c) Except as set forth in Exhibit A, the Authority will treat the first price at which 10% of each maturity of the Series B Bonds (the "10% test"), identified under the column "10% Test Used" in Exhibit A, is sold to the public as the issue price of that maturity. At or promptly after the execution of this Purchase Agreement, the Underwriter shall report to the Authority the price or prices at which it has sold to the public each maturity of Bonds. If at that time the 10% test has not been satisfied as to any maturity of the Series B Bonds, the Underwriter agrees to promptly report to the Authority the prices at which it sells the unsold Bonds of that maturity to the public. That reporting obligation shall continue, whether or not the Closing Date (as defined below) has occurred, until either (1) the Underwriter has sold all Bonds of that maturity or (ii) the 10% test has been satisfied as to the Series B Bonds of that maturity, provided that, the Underwriter's reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the Authority or Bond Counsel. For purposes of this section, if Bonds mature on the same date but have different interest rates, each separate CUSIP number within that maturity will be treated as a separate maturity of the Series B Bonds. (d) The Underwriter confirms that it has offered the Series B Bonds to the public on or before the date of this Purchase Agreement at the offering price or prices (the "initial offering price"), or at the corresponding price, set forth in Exhibit A attached hereto, except as otherwise set forth therein. Exhibit A also sets forth, identified under the column "Hold the Offering Price Rule 4865-6627-1027/200356-0552 Used," as of the date of this Purchase Agreement, the maturities, if any, of the Series B Bonds for which the 10% test has not been satisfied and for which the Authority and the Underwriter agree that the restrictions set forth in the next sentence shall apply, which will allow the Authority to treat the initial offering price to the public of each such maturity as of the sale date as the issue price of that maturity (the "hold -the -offering -price rule"). So long as the hold -the -offering -price rule remains applicable to any maturity of the Series B Bonds, the Underwriter will neither offer nor sell unsold Bonds of that maturity to any person at a price that is higher than the initial offering price to the public during the period starting on the sale date and ending on the earlier of the following: (1) the close of the fifth (5th) business day after the sale date; or (2) the date on which the Underwriter has sold at least 10% of that maturity of the Series B Bonds to the public at a price that is no higher than the initial offering price to the public. The Underwriter will advise the Authority promptly after the close of the fifth (5th) business day after the sale date whether it has sold 10% of that maturity of the Series B Bonds to the public at a price that is no higher than the initial offering price to the public. (e) The Underwriter confirms that: (1) any selling group agreement and any third -party distribution agreement relating to the initial sale of the Series B Bonds to the public, together with the related pricing wires, contains or will contain language obligating each dealer who is a member of the selling group and each broker -dealer that is a parry to such third -party distribution agreement, as applicable: (A)(i) to report the prices at which it sells to the public the unsold Bonds of each maturity allocated to it, whether or not the Closing Date has occurred, until either all Bonds of that maturity allocated to it have been sold or it is notified by the Underwriter that the 10% test has been satisfied as to the Series B Bonds of that maturity, provided that, the reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the Underwriter, and (ii) to comply with the hold -the -offering -price rule, if applicable, if and for so long as directed by the Underwriter, (B) to promptly notify the Underwriter of any sales of Bonds that, to its knowledge, are made to a purchaser who is a related parry to an underwriter participating in the initial sale of the Series B Bonds to the public (each such term being used as defined below), and (C) to acknowledge that, unless otherwise advised by the dealer or broker -dealer, the Underwriter shall assume that each order submitted by the dealer or broker -dealer is a sale to the public. (ii) any selling group agreement relating to the initial sale of the Series B Bonds to the public, together with the related pricing wires, contains or will contain language obligating each dealer that is a party to a third -party distribution agreement to be employed in connection with the initial sale of the Series B Bonds to the public to require each broker -dealer that is a party to such third -parry distribution agreement to (A) report the prices at which it sells to the public the unsold Bonds of each maturity allocated to it, whether or not the Closing Date has 4 4865-6627-1027/200356-0552 occurred, until either all Bonds of that maturity allocated to it have been sold or it is notified by the Underwriter or the dealer that the 10% test has been satisfied as to the Series B Bonds of that maturity, provided that, the reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the Underwriter or the dealer, and (B) comply with the hold - the -offering -price rule, if applicable, if and for so long as directed by the Underwriter or the dealer and as set forth in the related pricing wires. (f) The Authority and the City acknowledge that, in making the representations set forth in this section, the Underwriter will rely on (i) in the event a selling group has been created in connection with the initial sale of the Series B Bonds to the public, the agreement of each dealer who is a member of the selling group to comply with the requirements for establishing issue price of the Series B Bonds, including, but not limited to, its agreement to comply with the hold -the -offering - price rule, if applicable to the Series B Bonds, as set forth in a selling group agreement and the related pricing wires, and (ii) in the event that a third -parry distribution agreement was employed in connection with the initial sale of the Series B Bonds to the public, the agreement of each broker - dealer that is a parry to such agreement to comply with the requirements for establishing issue price of the Series B Bonds, including, but not limited to, its agreement to comply with the hold -the - offering -price rule, if applicable to the Series B Bonds, as set forth in the third -parry distribution agreement and the related pricing wires. The Authority and the City further acknowledge that the Underwriter shall not be liable for the failure of any dealer who is a member of a selling group, or of any broker -dealer that is a parry to a third -party distribution agreement, to comply with its corresponding agreement to comply with the requirements for establishing issue price of the Series B Bonds, including, but not limited to, its agreement to comply with the hold -the -offering -price rule, if applicable to the Series B Bonds. (g) The Underwriter acknowledges that sales of any Bonds to any person that is a related party to an underwriter participating in the initial sale of the Series B Bonds to the public (each such term being used as defined below) shall not constitute sales to the public for purposes of this section. Further, for purposes of this section: (i) "public" means any person other than an underwriter or a related party; (ii) "underwriter" means (A) any person that agrees pursuant to a written contract with the Authority (or with the lead underwriter to form an underwriting syndicate) to participate in the initial sale of the Series B Bonds to the public and (B) any person that agrees pursuant to a written contract directly or indirectly with a person described in clause (A) to participate in the initial sale of the Series B Bonds to the public (including a member of a selling group or a party to a third -party distribution agreement participating in the initial sale of the Series B Bonds to the public); (iii) a purchaser of any of the Series B Bonds is a "related party" to an underwriter if the underwriter and the purchaser are subject, directly or indirectly, to (A) more than 50% common ownership of the voting power or the total value of their stock, if both entities are corporations (including direct ownership by one corporation of another), (B) more than 50% common ownership of their capital interests or profits interests, if both entities are partnerships (including direct ownership by one partnership of another), or (C) more than 50% common ownership of the value of the outstanding stock of the corporation or the capital interests or profit interests of the partnership, as applicable, if one entity is a corporation and the other entity is a 4865-6627-1027/200356-0552 partnership (including direct ownership of the applicable stock or interests by one entity of the other); and (iv) "sale date" means the date of execution of this Purchase Agreement by the City and the Underwriter. Section 4. The Official Statement. By its acceptance of this proposal, the Authority and the City ratify, confirm and approve of the use and distribution by the Underwriter prior to the date hereof of the preliminary official statement relating to the Series B Bonds and the Series B Bonds dated October , 2022 (including the cover page, all appendices and all information incorporated therein and any supplements or amendments thereto and as disseminated in its printed physical form or in electronic form in all respects materially consistent with such physical form, the "Preliminary Official Statement") that authorized officers of the Authority and the City deemed "final" as of its date, for purposes of Rule 15c2-12 promulgated under the Securities Exchange Act of 1934, as amended ("Rule 15c2-12"), except for certain information permitted to be omitted therefrom by Rule 15c2-12. The Authority and the City hereby agree to deliver or cause to be delivered to the Underwriter, within seven business days of the date hereof, copies of the final official statement, dated the date hereof, relating to the Series B Bonds (including all information previously permitted to have been omitted by Rule 15c2-12), including the cover page, all appendices, all information incorporated therein and any amendments or supplements as have been approved by the Authority, the City and the Underwriter (the "Official Statement") in such quantity as the Underwriter shall reasonably request to comply with Section (b)(4) of Rule 15c2-12 and the rules of the Municipal Securities Rulemaking Board (the "MSRB"). The Underwriter hereby agrees that it will not request that payment be made by any purchaser of the Series B Bonds prior to delivery by the Underwriter to the purchaser of a copy of the Official Statement. The Underwriter agrees: (i) to provide the Authority and the City with final pricing information on the Series B Bonds on a timely basis; and (ii) to file a copy of the Official Statement, including any supplements prepared by the Authority or the City with the MSRB in accordance with MSRB rules at http://emma.msrb.org. The Authority and the City hereby approve of the use and distribution by the Underwriter of the Preliminary Official Statement in connection with the offer and sale of the Series B Bonds. The Authority and the City will cooperate with the Underwriter in the filing by the Underwriter of the Official Statement with the MSRB. Section 5. Closing. At 8:30 a.m., California Time, on October , 2022, or at such other time or date as the Authority and the Underwriter agree upon (the "Closing Date"), the Authority shall deliver or cause to be delivered to the Trustee, the Series B Bonds, in definitive form, registered in the name of Cede & Co., as the nominee of The Depository Trust Company ("DTC"), so that the Series B Bonds may be authenticated by the Trustee and credited to the account specified by the Underwriter under DTC's FAST procedures. Concurrently with the delivery of the Series B Bonds, the Authority and the City will deliver the documents hereinafter mentioned at the offices of Norton Rose Fulbright US LLP, Los Angeles, California ("Bond Counsel"), or another place to be mutually agreed upon by the Authority, the City and the Underwriter. The Underwriter will accept such delivery and pay the purchase price of the Series B Bonds as set forth in Section 1 hereof by wire transfer in immediately available funds. This payment for and delivery of the Series B Bonds, together with the delivery of the aforementioned documents, is herein called the "Closing." The Series B Bonds shall be registered in the name of Cede & Co., as nominee of DTC in denominations of five thousand dollars ($5,000) or any integral multiple thereof. The Authority and 6 4865-6627-1027/200356-0552 the City acknowledge that the services of DTC will be used initially by the Underwriter in order to permit the issuance of the Series B Bonds in book -entry form, and agree to cooperate fully with the Underwriter in employing such services. Section 6. Representations, Warranties and Covenants of the Authority. The Authority represents, warrants and covenants to the Underwriter and the City that: (a) The Authority is a public body, duly organized and existing under the laws of the State of California (the "State"), including Article 1 of Chapter 5 of Division 7 of Title 1 of the Government Code of the State (the "JPA Act") and the Joint Exercise of Powers Agreement, dated as of July 9, 1991, and as amended on May 10, 2016 (the "JPA Agreement"), by and among the City, the City as successor agency to the Santa Clarita Redevelopment Agency, and the Santa Clarita Parking Authority. (b) The Authority has full legal right, power and authority to adopt or enter into, as the case may be, and to carry out and consummate the transactions on its part contemplated by the Authority Documents and the resolution adopted by the Board of Directors of the Authority on September , 2022 (the "Authority Resolution") authorizing the issuance of the Series B Bonds and the execution and delivery of the Authority Documents. (c) By all necessary official action, the Authority has duly authorized and approved the Authority Documents, has duly authorized and approved the Preliminary Official Statement and the Official Statement, and has duly authorized and approved the execution and delivery of, and the performance by the Authority of the obligations on its part contained in, the Authority Documents and the consummation by it of all other transactions contemplated by the Authority Documents in connection with the issuance of the Series B Bonds. As of the date hereof, such authorizations and approvals are in full force and effect and have not been amended, modified or rescinded. When executed and delivered, and assuming due execution and delivery by the other parties thereto, if applicable, the Authority Documents will constitute the legally valid and binding obligations of the Authority enforceable in accordance with their respective terms, except as enforcement may be limited by bankruptcy, insolvency, reorganization, moratorium or similar laws or equitable principles relating to or affecting creditors' rights generally, or by the exercise of judicial discretion and the limitations on legal remedies against joint powers authorities in the State. The Authority has complied, and will at the Closing be in compliance in all material respects, with the terms of the Authority Documents. (d) The Authority is not in any material respect in breach of or default under any applicable constitutional provision, law or administrative regulation of any state or of the United States, or any agency or instrumentality of either, or any applicable judgment or decree, or any loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the Authority is a party which breach or default has or may have a materially adverse effect on the ability of the Authority to perform its obligations under the Authority Documents, and no event has occurred and is continuing which with the passage of time or the giving of notice, or both, would constitute such a default or event of default under any such instrument; and the adoption, execution and delivery of the Authority Documents, if applicable, and compliance with the provisions on the Authority's part contained therein, will not conflict in any material way with or constitute a material breach of or a material default under any constitutional provision, law, administrative regulation, judgment, decree, loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the Authority is a party, nor will any such execution, delivery, adoption or compliance result in the VA 4865-6627-1027/200356-0552 creation or imposition of any lien, charge or other security interest or encumbrance of any nature whatsoever upon any of the property or assets of the Authority or under the terms of any such law, regulation or instrument, except as may be provided by the Authority Documents. (e) All material authorizations, approvals, licenses, permits, consents and orders of any governmental authority, legislative body, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by the Authority of its obligations in connection with the Authority Documents have been duly obtained or, when required for future performance, are expected to be obtained, other than such approvals, consents and orders as may be required under the Blue Sky or securities laws of any state in connection with the offering and sale of the Series B Bonds; except as described in or contemplated by the Preliminary Official Statement and the Official Statement, all authorizations, approvals, licenses, permits, consents and orders of any governmental authority, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by, the Authority of its obligations under the Authority Documents have been duly obtained. (f) The Authority hereby agrees that it will notify the other parties hereto if, within the period from the date of this Purchase Agreement to and including the date twenty-five (25) days following the end of the underwriting period (as defined herein), the Authority discovers any pre-existing or subsequent fact or becomes aware of the occurrence of any event, in any such case, which might cause the Official Statement (as the same may have then been supplemented or amended) to contain any untrue statement of a material fact or to omit to state a material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. (g) As of the time of acceptance hereof and the Closing, except as disclosed in the Official Statement, there is no action, suit, proceeding, inquiry or investigation, at law or in equity, before or by any court, governmental authority, public board or body, pending, with service of process upon the Authority having been accomplished, or threatened in writing to the Authority: (i) in any way questioning the corporate existence of the Authority or the titles of the officers of the Authority to their respective offices; (ii) affecting, contesting or seeking to prohibit, restrain or enjoin the issuance or delivery of any of the Series B Bonds, or the payment or collection of Base Rental Payments with respect to the Lease or any amounts pledged or to be pledged to pay the principal of and interest on the Series B Bonds, or in any way contesting or affecting the validity of the Series B Bonds or the other Authority Documents or the consummation of the transactions contemplated thereby or hereby, or contesting the exclusion of the interest on the Series B Bonds from taxation or contesting the powers of the Authority or its authority to issue the Series B Bonds; (iii) which would be likely to result in any material adverse change relating to the business, operations or financial condition of the Authority; or (iv) contesting the completeness or accuracy of the Preliminary Official Statement or the Official Statement or any supplement or amendment thereto or asserting that the Preliminary Official Statement or the Official Statement contained any untrue statement of a material fact or omitted to state any material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. 8 4865-6627-1027/200356-0552 (h) To the Authority's knowledge, there is no basis for any action, suit, proceeding, inquiry or investigation of the nature described in clauses (1) through (iv) of paragraph 6(g)- (i) As of its date, the information in the Preliminary Official Statement set forth under the caption "THE AUTHORITY' did not, and as of the date hereof does not, contain any untrue statement of a material fact, and as of its date did not, and as of the date hereof does not, omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. 0) As of the date hereof, the information in the Official Statement set forth under the caption "THE AUTHORITY' does not, and at all times thereafter up to and including the Closing will not, contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. (k) The Authority will refrain from taking any action, or permitting any action to be taken, with regard to which the Authority may exercise control, that results in the loss of the tax-exempt status of the interest on the Series B Bonds. (1) The Authority will refrain from taking any action, or permitting any action to be taken, to reduce the amount of the Base Rental Payments while the Series B Bonds are Outstanding, and the Authority will collect the Base Rental Payments in accordance with the Lease. (m) Any certificate signed by any officer of the Authority authorized to execute such certificate in connection with the execution, sale and delivery of the Series B Bonds and delivered to the Underwriter shall be deemed a representation and warranty of the Authority to the Underwriter and the City as to the statements made therein but not of the person signing such certificate. Section 7. Representations, Warranties and Covenants of the City. The City represents, warrants and covenants to the Underwriter and the Authority that: (a) The City is a general law city duly organized and existing under and by virtue of the Constitution and laws of the State. (b) The City has full legal right, power and authority to adopt or enter into, as the case may be, and to carry out and consummate the transactions on its part contemplated by the City Documents and the resolution adopted by the City Council of the City on September 2022 (the "City Resolution") authorizing the execution and delivery of the City Documents. (c) By all necessary official action, the City has duly authorized and approved the City Documents, has duly authorized and approved the Preliminary Official Statement and the Official Statement, and has duly authorized and approved the execution and delivery of, and the performance by the City of the obligations on its part contained in, the City Documents and the consummation by it of all other transactions contemplated by the City Documents in connection with the issuance of the Series B Bonds. As of the date hereof, such authorizations and approvals are in full force and effect and have not been amended, modified or rescinded. When executed and delivered, and assuming due execution and delivery by the other parties thereto, if applicable, the 9 4865-6627-1027/200356-0552 City Documents will constitute the legally valid and binding obligations of the City enforceable in accordance with their respective terms, except as enforcement may be limited by bankruptcy, insolvency, reorganization, moratorium or similar laws or equitable principles relating to or affecting creditors' rights generally, or by the exercise of judicial discretion and the limitations on legal remedies against municipal corporations in the State. The City has complied, and will at the Closing be in compliance in all material respects, with the terms of the City Documents. (d) The City is not in any material respect in breach of or default under any applicable constitutional provision, law or administrative regulation of any state or of the United States, or any agency or instrumentality of either, or any applicable judgment or decree, or any loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the City is a party which breach or default has or may have a materially adverse effect on the ability of the City to perform its obligations under the City Documents, and no event has occurred and is continuing which with the passage of time or the giving of notice, or both, would constitute such a default or event of default under any such instrument; and the adoption, execution and delivery of the City Documents, if applicable, and compliance with the provisions on the City's part contained therein, will not conflict in any material way with or constitute a material breach of or a material default under any constitutional provision, law, administrative regulation, judgment, decree, loan agreement, indenture, bond, note, resolution, agreement or other instrument to which the City is a party nor will any such execution, delivery, adoption or compliance result in the creation or imposition of any lien, charge or other security interest or encumbrance of any nature whatsoever upon any of the property or assets of the City or under the terms of any such law, regulation or instrument, except as may be provided by the City Documents. (e) All material authorizations, approvals, licenses, permits, consents and orders of any governmental authority, legislative body, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by the City of its obligations in connection with the City Documents have been duly obtained or, when required for future performance, are expected to be obtained, other than such approvals, consents and orders as may be required under the Blue Sky or securities laws of any state in connection with the offering and sale of the Series B Bonds; except as described in or contemplated by the Preliminary Official Statement, all authorizations, approvals, licenses, permits, consents and orders of any governmental authority, board, agency or commission having jurisdiction of the matter which are required for the due authorization by, or which would constitute a condition precedent to or the absence of which would materially adversely affect the due performance by, the City of its obligations under the City Documents have been duly obtained. (f) As of its date, the Preliminary Official Statement did not, and as of the date hereof, does not, contain any untrue statement of a material fact, and as of its date did not, and as of the date hereof, does not, omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading (except that this representation does not include statements in the Preliminary Official Statement under the captions "THE AUTHORITY" and "UNDERWRITING" and information regarding DTC and its book -entry only system, the Insurer or the Policy, as to which no view is expressed). (g) As of the date hereof, the Official Statement does not, and at all times thereafter up to and including the Closing will not, contain any untrue statement of a material fact or IN 4865-6627-1027/200356-0552 omit to state a material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading (except that this representation does not include statements in the Official Statement under the captions "THE AUTHORITY" and "UNDERWRITING' and information regarding DTC and its book -entry only system, the Insurer or the Policy, as to which no view is expressed). (h) The City will advise the Underwriter promptly of any proposal to amend or supplement the Official Statement. The City will advise the Underwriter promptly of the institution of any proceedings known to it by any governmental authority prohibiting or otherwise affecting the use of the Official Statement in connection with the offering, sale or distribution of the Series B Bonds. (i) As of the time of acceptance hereof and the Closing, except as disclosed in the Official Statement, there is no action, suit, proceeding, inquiry or investigation, at law or in equity, before or by any court, governmental authority, public board or body, pending, with service of process upon the City having been accomplished, or threatened in writing to the City: (i) in any way questioning the corporate existence of the City or the titles of the officers of the City to their respective offices; (ii) affecting, contesting or seeking to prohibit, restrain or enjoin the issuance or delivery of any of the Series B Bonds, or the payment or collection of Base Rental Payments with respect to the Lease or of any amounts pledged or to be pledged to pay the principal of and interest on the Series B Bonds, or in any way contesting or affecting the validity of the Series B Bonds, or the City Documents or the consummation of the transactions contemplated thereby or hereby, or contesting the exclusion of the interest on the Series B Bonds from taxation, or contesting the powers of the Authority to issue the Series B Bonds; (iii) which would be likely to result in any material adverse change relating to the business, operations or financial condition of the City; and (iv) contesting the completeness or accuracy of the Preliminary Official Statement or the Official Statement or any supplement or amendment thereto or asserting that the Preliminary Official Statement or the Official Statement contained any untrue statement of a material fact or omitted to state any material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading. (j) To the City's knowledge, there is no basis for any action, suit, proceeding, inquiry or investigation of the nature described in clauses (i) through (iv) of paragraph 7(1). (k) Until the date which is twenty-five (25) days after the "end of the underwriting period" (as hereinafter defined), if any event shall occur of which the City is aware that would cause the Official Statement to contain any untrue statement of a material fact or omit to state a material fact necessary in order to make the statements in the Official Statement, in light of the circumstances under which they were made, not misleading (except that this representation does not include information regarding DTC and its book entry only system, as to which no view is expressed), the City shall forthwith notify the Underwriter of any such event of which it has knowledge and shall cooperate fully in furnishing any information available to it for any supplement to the Official Statement necessary, in the Underwriter's reasonable opinion, so that the statements therein as so supplemented will not be misleading in light of the circumstances existing at such time and the City shall promptly furnish to the Underwriter a reasonable number of copies of such supplement. As used herein, the term "end of the underwriting period" means the later of such time as: (1) the Authority delivers the Series B Bonds to the Underwriter; or (ii) the Underwriter does not retain, directly or as a member of an underwriting syndicate, an unsold balance of the Series B Bonds for sale to the public. Unless the Underwriter gives notice to the contrary, the "end of the 11 4865-6627-1027/200356-0552 underwriting period" shall be deemed to be the Closing Date. Any notice delivered pursuant to this provision shall be written notice delivered to the Underwriter at or prior to the Closing Date of the Series B Bonds and shall specify a date (other than the Closing Date) to be deemed the "end of the underwriting period." (1) Except as disclosed in the Preliminary Official Statement and the Official Statement, the City has not within the last rive years failed to comply in any material respect with any continuing disclosure undertakings with regard to Rule 15c2-12, to provide annual reports or notices of material events specified in such rule. (m) The City will refrain from taking any action, or permitting any action to be taken, with regard to which the City may exercise control, that results in the loss of the tax-exempt status of the interest on the Series B Bonds. (n) The financial statements relating to the receipts, expenditures and cash balances of the City as of June 30, 2021 attached as Appendix B to the Official Statement fairly represent the receipts, expenditures and cash balances of the City. Except as disclosed in the Official Statement, there has not been any materially adverse change in the financial condition of the City or in its operations since June 30, 2021 and there has been no occurrence, circumstance or combination thereof which is reasonably expected to result in any such materially adverse change. (o) To the extent required by law, the City will undertake, pursuant to the Continuing Disclosure Certificate and the other City Documents, to provide annual reports and notices of certain events, if material. A description of this undertaking is set forth in Appendix D to the Preliminary Official Statement and will also be set forth in the Official Statement. (p) Except in connection with the issuance of refunding bonds pursuant to the terms of the Indenture or as permitted under the Lease due to damage, destruction, or substantial interference with the use and occupancy by the City of the City Hall Leased Property or any portion thereof, the City will refrain from taking any action, or permitting any action to be taken, to reduce the amount of the Base Rental Payments while the Series B Bonds are Outstanding, and the City will pay the Base Rental Payments in accordance with the Lease. (q) Any certificate signed by any officer of the City authorized to execute such certificate in connection with the execution, sale and delivery of the Series B Bonds and delivered to the Underwriter shall be deemed a representation and warranty of the City to the Underwriter and the Authority as to the statements made therein but not of the person signing such certificate. Section 8. Conditions to the Obligations of the Underwriter. The Underwriter has entered into this Purchase Agreement in reliance upon the representations and warranties of the Authority and the City contained herein. The obligations of the Underwriter to accept delivery of and pay for the Series B Bonds on the Closing Date shall be subject, at the option of the Underwriter, to the accuracy in all material respects of the statements of the officers and other officials of the Authority and of the City, as well as authorized representatives of Bond Counsel and the Trustee made in any Bonds or other documents furnished pursuant to the provisions hereof, to the performance by the Authority and the City of their obligations to be performed hereunder at or prior to the Closing Date; and to the following additional conditions: 12 4865-6627-1027/200356-0552 (a) The representations, warranties and covenants of the City and the Authority contained herein shall be true and correct at the date hereof and at the time of the Closing, as if made on the Closing Date. (b) At the time of Closing, the City Documents and the Authority Documents shall be in full force and effect as valid and binding agreements between or among the various parties thereto, and the City Documents, the Authority Documents, the City Resolution, the Authority Resolution, and the Official Statement shall not have been amended, modified or supplemented except as may have been agreed to in writing by the Underwriter. (c) At the time of the Closing, no material default shall have occurred or be existing under the City Documents, Authority Documents, or any other agreement or document pursuant to which any of the City's financial obligations were executed and delivered, and the City shall not be in default in the payment of principal or interest with respect to any of its financial obligations, which default would materially adversely impact the ability of the City to pay the Base Rental Payments. (d) In recognition of the desire of the Authority, the City and the Underwriter to effect a successful public offering of the Series B Bonds, and in view of the potential adverse impact of any of the following events on such a public offering, this Purchase Agreement shall be subject to termination in the discretion of the Underwriter by notification, in writing, to the Authority and the City prior to delivery of and payment for the Series B Bonds, if at any time prior to such time, regardless of whether any of the following statements of fact were in existence or known of on the date of this Purchase Agreement: (1) any event shall occur which makes untrue any material statement or results in an omission to state a material fact necessary to make the statements in the Official Statement, in the light of the circumstances under which they were made, not misleading, which event, in the reasonable opinion of the Underwriter would materially or adversely affect the ability of the Underwriter to market the Series B Bonds; or (ii) the marketability of the Series B Bonds or the market price thereof, in the opinion of the Underwriter, has been materially adversely affected by an amendment to the Constitution of the United States or by any legislation in or by the Congress of the United States or by the State, or the amendment of legislation pending as of the date of this Purchase Agreement in the Congress of the United States, or the recommendation to Congress or endorsement for passage (by press release, other form of notice or otherwise) of legislation by the President of the United States, the Treasury Department of the United States, the Internal Revenue Service or the Chairman or ranking minority member of the Committee on Finance of the United States Senate or the Committee on Ways and Means of the United States House of Representatives, or the proposal for consideration of legislation by either such Committee or by any member thereof, or the presentment of legislation for consideration as an option by either such Committee, or by the staff of the Joint Committee on Taxation of the Congress of the United States, or the favorable reporting for passage of legislation to either House of the Congress of the United States by a Committee of such House to which such legislation has been referred for consideration, or any decision of any federal or state court or any ruling or regulation (final, temporary or proposed) or official statement on behalf of the United States Treasury Department, the Internal Revenue Service or other federal or State authority affecting the federal or State tax status of the Authority or the City, or the interest on or with respect to bonds or notes (including the Series B Bonds); or 13 4865-6627-1027/200356-0552 (iii) any legislation, ordinance, rule or regulation shall be enacted by any governmental body, department or authority of the State, or a decision by any court of competent jurisdiction within the State shall be rendered which materially adversely affects the market price of the Series B Bonds; or (iv) an order, decree or injunction issued by any court of competent jurisdiction, or order, ruling, regulation (final, temporary or proposed), official statement or other form of notice or communication issued or made by or on behalf of the Securities and Exchange Commission, or any other governmental authority having jurisdiction of the subject matter, to the effect that: (i) obligations of the general character of the Series B Bonds, or the Series B Bonds, including any or all underlying arrangements, are not exempt from registration under the Securities Act of 1933, as amended, or that the Indenture is not exempt from qualification under the Trust Indenture Act of 1939, as amended; or (ii) the issuance, offering or sale of obligations of the general character of the Series B Bonds, or the issuance, offering or sale of the Series B Bonds, including any or all underlying obligations, as contemplated hereby or by the Official Statement, is or would be in violation of the federal securities laws as amended and then in effect; or (v) legislation shall be enacted by the Congress of the United States, or a decision by a court of the United States shall be rendered, to the effect that obligations of the general character of the Series B Bonds, or the Series B Bonds are not exempt from registration under or other requirements of the Securities Act of 1933, as amended and as then in effect, or the Securities Exchange Act of 1934, as amended and as then in effect, or that the Indenture is not exempt from qualification under or other requirements of the Trust Indenture Act of 1939, as amended and as then in effect; or (vi) additional material restrictions not in force as of the date hereof shall have been imposed upon trading in securities generally by any domestic governmental authority or by any domestic national securities exchange, which are material to the marketability of the Series B Bonds; or (vii) a general banking moratorium shall have been declared by federal, State or New York authorities, or the general suspension of trading on any national securities exchange; or (viii) in the reasonable judgment of the Underwriter, the market price or marketability of the Series B Bonds, or the ability of the Underwriter to enforce contracts for the sale of the Series B Bonds is materially adversely affected by (1) an outbreak or escalation of hostilities or the declaration by the United States of a national emergency or war or (2) any other calamity or crisis in the financial markets of the United States or elsewhere or the escalation of such calamity or crisis; or (ix) any rating of the Series B Bonds or the rating of any obligations of the City secured by or payable from the City's general fund shall have been downgraded or withdrawn by a national rating service, which, in the opinion of the Underwriter, materially adversely affects the market price of the Series B Bonds; or (x) the commencement of any action, suit or proceeding described in Section 6(g) or Section 7(1). 14 4865-6627-1027/200356-0552 (e) at or prior to the Closing, the Underwriter shall receive the following documents, in each case to the reasonable satisfaction in form and substance of the Underwriter: (i) The Authority Resolution relating to the Series B Bonds and authorizing the execution and delivery of the Series B Bonds and the Authority Documents and the Official Statement signed by an authorized official of the Authority; (ii) The City Resolution relating to the Series B Bonds and authorizing the execution and delivery of the City Documents and the delivery of the Series B Bonds and the Official Statement signed by an authorized official of the City; (iii) The City Documents and the Authority Documents duly executed and delivered by the respective parties thereto, with only such amendments, modifications or supplements as may have been agreed to in writing by the Underwriter; (iv) The approving opinion of Bond Counsel dated the Closing Date and addressed to the Authority and the City, in substantially the form attached as [Appendix E-1] to the Official Statement, and a reliance letter thereon addressed to the Underwriter; (v) A supplemental opinion of Bond Counsel dated the Closing Date and addressed to the Underwriter, to the effect that: (A) the statements on the cover of the Official Statement and in the Official Statement under the captions "INTRODUCTION," "DESCRIPTION OF THE BONDS," ["SECURITY AND SOURCES OF PAYMENT FOR THE BONDS,"] and "TAX MATTERS," and in [Appendix C"SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS"] and [Appendix E-1"SERIES B BONDS - FORM OF OPINION OF BOND COUNSEL,"] excluding any material that may be treated as included under such captions and appendices by any cross-reference, insofar as such statements expressly summarize provisions of the City Documents, the Authority Documents, and Bond Counsel's final opinion concerning certain federal tax matters relating to the Series B Bonds, are accurate in all material respects as of the Closing Date, provided that Bond Counsel need not express any opinion with respect to any financial or statistical data contained therein or with respect to the book -entry system in which the Series B Bonds are initially delivered; (B) The Purchase Agreement and the Continuing Disclosure Certificate have been duly authorized, executed and delivered by the City and the Authority, as applicable, and are the valid, legal and binding agreements of the City and the Authority, as applicable, enforceable in accordance with their respective terms, except that the rights and obligations under the Purchase Agreement and the Continuing Disclosure Certificate are subject to bankruptcy, insolvency, reorganization, moratorium, fraudulent conveyance and other similar laws affecting creditors' rights, to the application of equitable principles if equitable remedies are sought, to the exercise of judicial discretion in appropriate cases and to limitations on legal remedies against public agencies in the State, and provided that no opinion need be expressed with respect to any indemnification or contribution provisions contained therein; (C) The Series B Bonds are not subject to the registration requirements of the Securities Act of 1933, as amended, and the Indenture is exempt from qualification under the Trust Indenture Act of 1939, as amended; and 15 4865-6627-1027/200356-0552 (vi) The Official Statement, executed on behalf of the Authority and the City, and the Preliminary Official Statement; (vii) Evidence that the rating or ratings on the Series B Bonds are in effect as described in the Official Statement; (viii) A certificate, dated the Closing Date, signed by a duly authorized officer of the Authority satisfactory in form and substance to the Underwriter to the effect that: (i) the representations, warranties and covenants of the Authority contained in this Purchase Agreement are true and correct in all material respects on and as of the Closing Date with the same effect as if made on the Closing Date by the Authority, and the Authority has complied with, in all material respects, all of the terms and conditions of this Purchase Agreement required to be complied with by the Authority at or prior to the Closing Date; and (ii) no event affecting the Authority has occurred since the date of the Official Statement which should be disclosed in the Official Statement for the purposes for which it is to be used or which is necessary to disclose therein in order to make the statements and information therein not misleading in any material respect; (ix) A certificate, dated the Closing Date, signed by a duly authorized officer of the City satisfactory in form and substance to the Underwriter to the effect that: (1) the representations, warranties and covenants of the City contained in this Purchase Agreement are true and correct in all material respects on and as of the Closing Date with the same effect as if made on the Closing Date by the City, and the City has complied with, in all material respects, all of the terms and conditions of the Purchase Agreement required to be complied with by the City at or prior to the Closing Date; and (ii) no event affecting the City has occurred since the date of the Official Statement which should be disclosed in the Official Statement for the purposes for which it is to be used or which is necessary to disclose therein in order to make the statements and information therein not misleading in any material respect; (x) An opinion dated the Closing Date and addressed to the Underwriter, of the City Attorney, as general counsel to the Authority, to the effect that: (A) The Authority is a public body, organized and existing under the laws of the State, including the JPA Act and the JPA Agreement; (B) The Authority Resolution has been duly adopted by the Authority, is in full force and effect and has not been modified, amended, rescinded or repealed since its date of adoption; (C) Except as otherwise disclosed in the Official Statement, there is no litigation, proceeding, action, suit, or investigation at law or in equity before or by any court, governmental authority or body, pending, with service of process upon the Authority having been accomplished, or threatened in writing against the Authority, challenging the creation, organization or existence of the Authority, or the validity of the Authority Documents or seeking to restrain or enjoin the issuance of the Series B Bonds, the collection of Base Rental Payments with respect to the Lease or the repayment of the Series B Bonds or in any way contesting or affecting the validity of the Authority Documents or contesting the authority of the Authority to enter into or perform its obligations under any of the Authority Documents; I[7 4865-6627-1027/200356-0552 (D) The execution and delivery of the Authority Documents and the issuance of the Series B Bonds and compliance with the provisions thereof, do not and will not in any material respect conflict with or constitute on the part of the Authority a breach of or default under any agreement or other instrument to which the Authority is a party or by which it is bound or any existing law, regulation, court order or consent decree to which the Authority is subject, which breach or default has or may have a material adverse effect on the ability of the Authority to perform its obligations under the Authority Documents; and (E) No authorization, approval, consent, or other order of the State or any other governmental body within the State is required for the valid authorization, execution and delivery of the Authority Documents or the Official Statement by the Authority or the consummation by the Authority of the transactions on its part contemplated therein, except such as have been obtained and except such as may be required under state securities or Blue Sky laws in connection with the purchase and distribution of the Series B Bonds by the Underwriter; (xi) an opinion dated the Closing Date and addressed to the Underwriter, of the City Attorney, to the effect that: (A) The City is a general law city, duly organized and existing under and by virtue of the Constitution and laws of the State; (B) The City Resolution has been duly adopted by the City Council, is in full force and effect and has not been modified, amended, rescinded or repealed since its date of adoption; (C) Except as otherwise disclosed in the Official Statement, there is no litigation, proceeding, action, suit, or investigation at law or in equity before or by any court, governmental authority or body, pending, with service of process upon the City having been accomplished, or threatened in writing against the City, challenging the creation, organization or existence of the City, or the validity of the City Documents or seeking to restrain or enjoin the issuance of the Series B Bonds, the payment of the Base Rental Payments or the repayment of the Series B Bonds or in any way contesting or affecting the validity of the City Documents or contesting the authority of the City to enter into or perform its obligations under any of the City Documents, or which, in any manner, questions the right of the City to pay the Base Rental Payments under the Lease; (D) The execution and delivery of the City Documents and compliance with the provisions thereof, do not and will not in any material respect conflict with or constitute on the part of the City a breach of or default under any agreement or other instrument to which the City is a party or by which it is bound or any existing law, regulation, court order or consent decree to which the City is subject, which breach or default has or may have a material adverse effect on the ability of the City to perform its obligations under the City Documents; and (E) No authorization, approval, consent, or other order of the State or any other governmental body within the State is required for the valid authorization, execution and delivery of the City Documents or the consummation by the City of the transactions on its part contemplated therein, except such as have been obtained and except such as may be required under state securities or Blue Sky laws in connection with the purchase and distribution of the Series B Bonds by the Underwriter; 17 4865-6627-1027/200356-0552 NO An opinion of Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel, in its capacity as Disclosure Counsel, dated the Closing Date and addressed to the Authority, the City and the Underwriter, to the effect that, based upon the information made available to them in the course of their participation in the preparation of the Preliminary Official Statement and the Official Statement and without passing on and without assuming any responsibility for the accuracy, completeness and fairness of the statements in the Preliminary Official Statement and the Official Statement, and having made no independent investigation or verification thereof, and stated as a matter of fact and not opinion that, during the course of its representation of the Authority and the City on this matter, no facts came to the attention of the attorneys in its firm rendering legal services in connection with the Preliminary Official Statement and the Official Statement which caused them to believe that the Preliminary Official Statement as of its date and as of the date hereof, or the Official Statement as of its date and as of the Closing Date (except any CUSIP numbers, financial, accounting, statistical or economic, engineering or demographic data or forecasts, numbers, charts, tables, graphs, estimates, projections, assumptions or expressions of opinion, environmental litigation, environmental matters, information relating to The Depository Trust Company and its book -entry system, and the Appendices thereto, included or referred to therein, which shall be expressly excluded from the scope of this paragraph and as to which such firm need not express any opinion or view) contained or contains any untrue statement of a material fact or omitted or omits to state any material fact necessary to make the statements therein, in the light of the circumstances under which they were made, not misleading; (xiii) An opinion of Stradling Yocca Carlson & Rauth, a Professional Corporation, counsel to the Underwriter, in form and substance satisfactory to the Underwriter; (xiv) An opinion of counsel to the Trustee, addressed to the Underwriter and dated the Closing Date, in form and substance satisfactory to the Underwriter and to Bond Counsel; (xv) A certificate, dated the Closing Date, signed by a duly authorized official of the Trustee in form and substance satisfactory to the Underwriter; (xvi) The preliminary and final Statement of Sale required to be delivered to the California Debt and Investment Advisory Commission pursuant to Section 53583 of the Government Code and Section 8855(g) of the Government Code; (xvii) A copy of the executed Blanket Issuer Letter of Representations by the Authority relating to DTC's book -entry system; (xviii) Tax and nonarbitrage certifications of the Authority and the City in form and substance to the reasonable satisfaction of Bond Counsel and the Underwriter; (xix) A certificate, dated the date of the Preliminary Official Statement, of the City, as required under Rule 15c2-12; (xx) A certificate, dated the date of the Preliminary Official Statement, of the Authority, as required under Rule 15c2-12; (xxi) Certified copies of the JPA Agreement and all amendments thereto and related certificates issued by the Secretary of State of the State; III 4865-6627-1027/200356-0552 (xxii) A certified copy of the general resolution of the Trustee authorizing the execution and delivery of certain documents by certain officers of the Trustee, which resolution authorizes the execution and delivery of the Indenture and the authentication and delivery of the Series B Bonds by the Trustee; (xxiii) A copy of a CLTA or ALTA title insurance policy in an amount equal to the principal amount of the Series B Bonds, insuring the City's leasehold interest in the City Hall Leased Property, subject only to permitted encumbrances or such other encumbrances approved in writing by the Underwriter; (xxiv) Certificates, dated the Closing Date, regarding compliance with the insurance requirements of the Lease; (xxv) Such additional legal opinions, certificates, proceedings, instruments or other documents as Bond Counsel or the Underwriter may reasonably request. Section 9. Changes in Official Statement. After the Closing, neither the Authority nor the City will adopt any amendment of or supplement to the Official Statement to which the Underwriter shall reasonably object in writing. Within 90 days after the Closing or within 25 days following the end of the underwriting period, whichever occurs first, if any event relating to or affecting the Series B Bonds, the Trustee, the City or the Authority shall occur as a result of which it is necessary, in the opinion of the Underwriter, to amend or supplement the Official Statement in order to make the Official Statement not misleading in any material respect in the light of the circumstances existing at the time it is delivered to a purchaser, the Authority will forthwith prepare and furnish to the Underwriter an amendment or supplement that will amend or supplement the Official Statement so that it will not contain an untrue statement of a material fact or omit to state a material fact necessary in order to make the statements therein, in the light of the circumstances existing at the time the Official Statement is delivered to purchaser, not misleading. The City and the Authority shall cooperate with the Underwriter in the filing by the Underwriter of such amendment or supplement to the Official Statement with the MSRB. Section 10. Expenses. Whether or not the transactions contemplated by this Purchase Agreement are consummated, the Underwriter shall be under no obligation to pay, and the Authority shall pay only from the proceeds of the Series B Bonds, or cause the City to pay out of the proceeds of the Series B Bonds or any other legally available funds of the City or the Authority, but only as the Authority and such other parry providing such services may agree, all expenses and costs of the Authority and the City incident to the performance of their obligations in connection with the authorization, execution, sale and delivery of the Series B Bonds to the Underwriter, including, without limitation, printing costs, rating agency fees and charges, initial fees of the Trustee, including fees and disbursements of their counsel, if any, fees and disbursements of Bond Counsel, Disclosure Counsel, the Municipal Advisor, and other professional advisors employed by the Authority or the City, costs of preparation, printing, signing, transportation, delivery and safekeeping of the Series B Bonds and for expenses (included in the expense component of the spread) incurred by the Underwriter on behalf of the City's employees which are incidental to implementing this Purchase Agreement, including, but not limited to, meals, transportation, lodging, and entertainment of those employees. The Underwriter shall pay all out-of-pocket expenses of the Underwriter, including, without limitation, the fees and expenses of its counsel, advertising expenses, the California Debt and Investment Advisory Commission fee, CUSIP Services Bureau charges, regulatory fees imposed on new securities issuers and any and all other expenses incurred by the Underwriter in connection with IN 4865-6627-1027/200356-0552 the public offering and distribution of the Series B Bonds. Certain payments may be in the form of inclusion of such expenses in the expense component of the Underwriter's discount. Section 11. Notices. Any notice or other communication to be given to the Underwriter under this Purchase Agreement may be given by delivering the same in writing to Stifel, Nicolaus & Company, Incorporated, 2121 Avenue of the Stars, Suite 2100, Los Angeles, California 90067, Attention: Sara Brown. All notices or communications hereunder by any parry shall be given and served upon each other party. Any notice or communication to be given the Authority under this Purchase Agreement may be given by delivering the same in writing to the Santa Clarita Public Financing Authority, c/o City of Santa Clarita, 23920 Valencia Boulevard, Santa Clarita, California 91355, Attention: Executive Director. Any notice or communication to be given the City under this Purchase Agreement may be given by delivering the same in writing to the City of Santa Clarita, 23920 Valencia Boulevard, Santa Clarita, California 91355, Attention: City Manager. Section 12. Parties in Interest. This Purchase Agreement is made solely for the benefit of the Authority, the City and the Underwriter (including the successors or assigns thereof) and no other person shall acquire or have any right hereunder or by virtue hereof. All representations, warranties and agreements of the Authority and the City in this Purchase Agreement shall remain operative and in full force and effect regardless of any investigation made by or on behalf of the Underwriter and shall survive the delivery of and payment for the Series B Bonds. Section 13. Severability. In case any one or more of the provisions contained herein shall for any reason be held to be invalid, illegal or unenforceable in any respect, such invalidity, illegality or unenforceability shall not affect any other provision hereof. Section 14. Counterparts. This Purchase Agreement may be executed by the parties hereto in separate counterparts, each of which when so executed and delivered shall be an original, but all such counterparts shall together constitute but one and the same instrument. [REMAINDER OF PAGE INTENTIONALLY LEFT BLANK] 20 4865-6627-1027/200356-0552 Section 15. Governing Law. This Purchase Agreement shall be governed by and construed in accordance with the laws of the State. STIFEL, NICOLAUS & COMPANY, INCORPORATED By: Title: Authorized Officer Accepted as of the date first stated above: CITY OF SANTA CLARITA By: Its: Kenneth W. Striplin, City Manager Time of Execution: a.m./p.m. California Time SANTA CLARITA PUBLIC FINANCING AUTHORITY By: Its: Kenneth W. Striplin, Executive Director Time of Execution: a.m./p.m. California Time S-1 4865-6627-1027/200356-0552 EXHIBIT A SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM) SERIES 2022B MATURITY SCHEDULE Maturity Initial Date Principal Offering (December 1) Amount Interest Rate Price ' Term Bonds. C Priced to the first optional redemption date of June 1, , at par. REDEMPTION 10% Test Used Hold the Offering Price Rule Used Optional Redemption. The Series B Bonds maturing on or after December 1, 20 are subject to redemption prior to their respective maturity dates as a whole or in part on any date on or after December 1, 20, in any order deemed reasonable by the Authority, and by lot within a maturity, from prepayments of City Hall Base Rental Payments made at the option of the City pursuant to the City Hall Lease, at a redemption price equal to the principal amount of the Series B Bonds to be redeemed, plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. Mandatory Sinking Fund Redemption of Term Bonds. The City Hall Term Bonds maturing on December 1, 20 and December 1, 20 , shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedules on December 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. A-1 4865-6627-1027/200356-0552 City Hall Term Bonds Maturing December 1, Sinking Fund Redemption Date (December 1) Principal Amount To Be Redeemed City Hall Term Bonds Maturing December 1, Sinking Fund Redemption Date (December 1) Principal Amount To Be Redeemed City Hall Term Bonds Maturing December 1, Sinking Fund Redemption Date (December 1) Principal Amount To Be Redeemed Extraordinary Redemption. The Series B Bonds are subject to redemption prior to their respective maturity dates, as a whole or in part on a pro rata basis, on any date from prepayments of the Base Rental Payments made by the City pursuant to the Lease out of funds received by the City due to a taking of the City Hall Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the City Hall Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Indenture and in the Lease. Redemption of the Series B Bonds pursuant to this paragraph will be made at a redemption price equal to the sum of the principal of the Series B Bonds to be redeemed plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. A-2 4865-6627-1027/200356-0552 EXHIBIT B SANTA CLARITA PUBLIC FINANCING AUTHORITY LEASE REVENUE BONDS (ENERGY EFFICIENCY PROGRAM) SERIES 2022B FORM OF ISSUE PRICE CERTIFICATE The undersigned, on behalf of Stifel, Nicolaus & Company, Incorporated ("Stifel") hereby certifies as set forth below with respect to the sale and issuance of the above -captioned bonds (the "Bonds"). 1. Sale of the General Rule Maturities. As of the date of this certificate, for each Maturity of the General Rule Maturities, the first price at which at least 10% of such Maturity was sold to the Public is the respective price listed in Schedule A. 2. Initial Offering Price of the Hold -the -Offering -Price Maturities. (a) Stifel offered the Hold -the -Offering -Price Maturities to the Public for purchase at the respective initial offering prices listed in Schedule A (the "Initial Offering Prices") on or before the Sale Date. A copy of the pricing wire or equivalent communication for the Series A Bonds is attached to this certificate as Schedule B. (b) As set forth in the Bond Purchase Agreement, dated October , 2022, by and among Stifel, the Issuer (as defined below) and the City of Santa Clarita, Stifel has agreed in writing that, (i) for each Maturity of the Hold -the -Offering -Price Maturities, it would neither offer nor sell any of the Series A Bonds of such Maturity to any person at a price that is higher than the Initial Offering Price for such Maturity during the Holding Period for such Maturity (the "hold -the -offering - price rule"), and (ii) any selling group agreement shall contain the agreement of each dealer who is a member of the selling group, and any retail distribution agreement shall contain the agreement of each broker -dealer who is a parry to the retail distribution agreement, to comply with the hold -the - offering -price rule. Pursuant to such agreement, no Underwriter (as defined below) has offered or sold any Maturity of the Hold -the -Offering -Price Maturities at a price that is higher than the respective Initial Offering Price for that Maturity of the Series A Bonds during the Holding Period. Defined Terms. (a) General Rule Maturities means those Maturities of the Series A Bonds listed in Schedule A hereto as the "General Rule Maturities." (b) Hold -the -Offering -Price Maturities means those Maturities of the Series A Bonds listed in Schedule A hereto as the "Hold -the -Offering -Price Maturities." (c) Holding Period means, with respect to a Hold -the -Offering -Price Maturity, the period starting on the Sale Date and ending on the earlier of (1) the close of the fifth business day after the Sale Date, or (ii) the date on which Stifel has sold at least 10% of such Hold -the -Offering - Price Maturity to the Public at prices that are no higher than the Initial Offering Price for such Hold - the -Offering -Price Maturity. B-1 4865-6627-1027/200356-0552 (d) Issuer means the Santa Clarita Public Financing Authority. (e) Maturity means Bonds with the same credit and payment terms. Bonds with different maturity dates, or Bonds with the same maturity date but different stated interest rates, are treated as separate maturities. (f) Public means any person (including an individual, trust, estate, partnership, association, company, or corporation) other than an Underwriter or a related party to an Underwriter. The term "related parry" for purposes of this certificate generally means any two or more persons who have greater than 50 percent common ownership, directly or indirectly. (g) Sale Date means the first day on which there is a binding contract in writing for the sale of a Maturity of the Series A Bonds. The Sale Date of the Series A Bonds is , 2022. (h) Underwriter means (i) any person that agrees pursuant to a written contract with the Issuer (or with the lead underwriter to form an underwriting syndicate) to participate in the initial sale of the Series A Bonds to the Public, and (ii) any person that agrees pursuant to a written contract directly or indirectly with a person described in clause (1) of this paragraph to participate in the initial sale of the Series A Bonds to the Public (including a member of a selling group or a parry to a retail distribution agreement participating in the initial sale of the Series A Bonds to the Public). The representations set forth in this certificate are limited to factual matters only. Nothing in this certificate represents Stifel's interpretation of any laws, including specifically Sections 103 and 148 of the Internal Revenue Code of 1986, as amended, and the Treasury Regulations thereunder. The undersigned understands that the foregoing information will be relied upon by the Issuer with respect to certain of the representations set forth in the Tax Certificate and with respect to compliance with the federal income tax rules affecting the Series A Bonds, and by Norton Rose Fulbright US LLP in connection with rendering its opinion that the interest on the Series A Bonds is excluded from gross income for federal income tax purposes, the preparation of the Internal Revenue Service Form 8038-G, and other federal income tax advice that it may give to the Issuer from time to time relating to the Series A Bonds. STIFEL, NICOLAUS & COMPANY, INCORPORATED By: Name: M. Name: Dated: , 2022 B-2 4865-6627-1027/200356-0552 SCHEDULE A SALE PRICES OF THE GENERAL RULE MATURITIES AND INITIAL OFFERING PRICES OF THE HOLD -THE -OFFERING -PRICE MATURITIES (Attached) B-3 4865-6627-1027/200356-0552 SCHEDULE B PRICING WIRE OR EQUIVALENT COMMUNICATION (Attached) B-4 4865-6627-1027/200356-0552 9/4/22 CONTINUING DISCLOSURE CERTIFICATE This Continuing Disclosure Certificate (this "Disclosure Certificate"), dated October , 2022, is executed and delivered by the City of Santa Clarita, California (the "City"), for the benefit of the Holders (hereinafter defined) of the Bonds (hereinafter defined) in order to provide certain continuing disclosure with respect to the Bonds in accordance with Rule 15c2-12 of the United States Securities and Exchange Commission under the Securities Exchange Act of 1934, as the same may be amended from time to time (the "Rule"). SECTION 1. Definitions. Capitalized terms not otherwise defined in this Disclosure Certificate shall have the meaning assigned in the Rule or, to the extent not in conflict with the Rule, in the Official Statement (hereinafter defined). The capitalized terms shall have the following meanings: "Annual Report" means an Annual Report described in and consistent with Section 3 of this Disclosure Certificate. "Annual Filing Date" means the date, set in Section 2(a) and Section 2(f), by which the Annual Report is to be filed with the MSRB. "Annual Financial Information" means annual financial information as such term is used in paragraph (b)(5)(1) of the Rule and specified in Section 3(a) of this Disclosure Certificate. "Audited Financial Statements" means the financial statements (if any) of the City for the prior fiscal year, certified by an independent auditor as prepared in accordance with generally accepted accounting principles or otherwise, as such term is used in paragraph (b)(5)(1) of the Rule and specified in Section 3(b) of this Disclosure Certificate. "Bonds" mean, collectively, the $ Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) (the "Series A Bonds") and the $ Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds) (the "Series B Bonds"). "Certification" means a written certification of compliance signed by the Disclosure Representative stating that the Annual Report, Audited Financial Statements, Notice Event notice, or Failure to File Event notice delivered to the Disclosure Dissemination Agent is the Annual Report, Audited Financial Statements, Notice Event notice, or Failure to File Event notice, required to be submitted to the MSRB under this Disclosure Certificate. A Certification shall accompany each such document submitted to the Disclosure Dissemination Agent by the City and include the full name of the Bonds and the 9-digit CUSIP numbers for all Bonds to which the document applies. "Disclosure Representative" means the Treasurer of the City or his or her designee, or such other person as the City shall designate in writing to the Disclosure Dissemination Agent from time to time as the person responsible for providing Information to the Disclosure Dissemination Agent. "Disclosure Dissemination Agent" shall mean Digital Assurance Certification LLC, or any successor Dissemination Agent designated in writing by the District and which has filed with the District a written acceptance of such designation. "Failure to File Event" means the City's failure to file an Annual Report on or before the Annual Filing Date. "Financial Obligation" means a (a) debt obligation; (b) derivative instrument entered into in connection with, or pledged as security or a source of payment for, an existing or planned debt obligation; or (c) guarantee of a debt obligation or any such derivative instrument; provided that "financial obligation" shall not include municipal securities as to which a final official statement has been provided to the MSRB consistent with the Rule. "Force Majeure Event" means: (i) acts of God, war, or terrorist action; (ii) failure or shut -down of the Electronic Municipal Market Access system maintained by the MSRB; or (iii) to the extent beyond the Disclosure Dissemination Agent's reasonable control, interruptions in telecommunications or utilities services, failure, malfunction or error of any telecommunications, computer or other electrical, mechanical or technological application, service or system, computer virus, interruptions in Internet service or telephone service (including due to a virus, electrical delivery problem or similar occurrence) that affect Internet users generally, or in the local area in which the Disclosure Dissemination Agent or the MSRB is located, or acts of any government, regulatory or any other competent authority the effect of which is to prohibit the Disclosure Dissemination Agent from performance of its obligations under this Disclosure Certificate. "Holder" means any person (i) having the power, directly or indirectly, to vote or consent with respect to, or to dispose of ownership of, any Bonds (including persons holding Bonds through nominees, depositories or other intermediaries) or (ii) treated as the owner of any Bonds for federal income tax purposes. "Information" means, collectively, the Annual Reports, the Audited Financial Statements (if any), the Notice Event notices, and the Failure to File Event notices. "Issuer" means the Santa Clarita Public Financing Authority. "MSRB" means the Municipal Securities Rulemaking Board established pursuant to Section 1513(b)(1) of the Securities Exchange Act of 1934 or any other entity designated or authorized by the Securities and Exchange Commission to receive reports pursuant to the Rule. Until otherwise designated by the MSRB or the Securities and Exchange Commission, filings with the MSRB are to be made through the Electronic Municipal Marketplace Access (EMMA) website of the MSRB, currently located at http://emma.msrb.org. "Notice Event" means any of the events enumerated in paragraph (b)(5)(1)(C) of the Rule and listed in Section 4(a) of this Disclosure Certificate. "Obligated Person" means any person, including the City, who is either generally or through an enterprise, fund, or account of such person committed by contract or other arrangement to support payment of all, or part of the obligations on the Bonds (other than providers of municipal bond insurance, letters of credit, or other liquidity facilities). With respect to the Bonds, only the City constitutes the Obligated Person. "Official Statement" means that Official Statement, dated October , 2022, prepared by the Issuer and the City in connection with the Bonds. "SEC" means the United States Securities and Exchange Commission. "Trustee" means U.S. Bank Trust Company, National Association (formerly U.S. Bank National Association, as trustee under (a) the Indenture, dated as of October 1, 2020, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the D2 "Series A Indenture"), each by and between the Issuer and the Trustee, providing for the issuance of the Series A Bonds; and (b) the Indenture, dated as of June 1, 2016, as amended and supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (as amended, the "Series B Indenture"), each by and between the Issuer and the Trustee, providing for the issuance of the Series B Bonds. The Series A Indenture and the Series B Indenture are collectively referred to herein as the "Indentures." SECTION 2. Provision of Annual Reports and Other Disclosures. (a) The City shall provide, annually, an electronic copy of the Annual Report and Certification to the Disclosure Dissemination Agent not later than the Annual Filing Date. Promptly upon receipt of an electronic copy of the Annual Report and the Certification, the Disclosure Dissemination Agent shall provide an Annual Report to the MSRB no later than March 31 following the end of each fiscal year, commencing with the report for Fiscal Year 2022-23. Such date and each anniversary thereof is the Annual Filing Date. The Annual Report may be submitted as a single document or as separate documents comprising a package, and may cross-reference other information as provided in Section 3 of this Disclosure Certificate. (b) If on the fifteenth (15th) day prior to the Annual Filing Date, the Disclosure Dissemination Agent has not received a copy of the Annual Report and Certification, the Disclosure Dissemination Agent shall contact the Disclosure Representative by telephone and in writing (which may be by e-mail) to remind the City of its undertaking to provide the Annual Report pursuant to Section 2(a). Upon such reminder, the Disclosure Representative shall either (i) provide the Disclosure Dissemination Agent with an electronic copy of the Annual Report and the Certification no later than two (2) business days prior to the Annual Filing Date, or (n) instruct the Disclosure Dissemination Agent in writing that the City will not be able to file the Annual Report within the time required under this Disclosure Certificate, state the date by which the Annual Report for such year will be provided and instruct the Disclosure Dissemination Agent that a Failure to File Event has occurred and to immediately send a notice to the MSRB in substantially the form attached as Exhibit A. (c) If the Disclosure Dissemination Agent has not received an Annual Report and Certification by 6:00 p.m. Eastern time on the Annual Filing Date (or, if such Annual Filing Date falls on a Saturday, Sunday or holiday, then the first business day thereafter) for the Annual Report, a Failure to File Event shall have occurred and the City irrevocably directs the Disclosure Dissemination Agent to immediately send a notice to the MSRB in substantially the form attached as Exhibit A without reference to the anticipated filing date for the Annual Report. (d) If Audited Financial Statements of the City are prepared but not available prior to the Annual Filing Date, the City shall, when the Audited Financial Statements are available, provide in a timely manner an electronic copy to the Disclosure Dissemination Agent, accompanied by a Certification, for filing with the MSRB. (e) The Disclosure Dissemination Agent shall: (i) verify the filing specifications of the MSRB each year prior to the Annual Filing Date; (ii) upon receipt, promptly file each Annual Report received under Sections 2(a) and 2(b) with the MSRB; D3 (iii) upon receipt, promptly file each Audited Financial Statement received under Section 2(d) with the MSRB; (iv) upon receipt, promptly file the text of each Notice Event received under Sections 4(a) and 4(b)(11) with the MSRB, identifying the Notice Event as instructed by the City pursuant to Section 4(a) or 4(b)(11) when filing pursuant to Section 4(c) of this Disclosure Certificate. (v) upon receipt (or irrevocable direction pursuant to Section 2(c) of this Disclosure Certificate, as applicable), promptly file a completed copy of Exhibit A to this Disclosure Certificate with the MSRB, identifying the filing as "Failure to provide annual financial information as required" when filing pursuant to Section 2(b)(10 or Section 2(c) of this Disclosure Certificate; (f) The City may adjust the Annual Filing Date upon change of its fiscal year by providing written notice of such change and the new Annual Filing Date to the Disclosure Dissemination Agent, and the MSRB, provided that the period between the existing Annual Filing Date and new Annual Filing Date shall not exceed one year. (g) Any Information received by the Disclosure Dissemination Agent before 6:00 p.m. Eastern time on any business day that it is required to file with the MSRB pursuant to the terms of this Disclosure Certificate and that is accompanied by a Certification and all other information required by the terms of this Disclosure Certificate will be filed by the Disclosure Dissemination Agent with the MSRB no later than 11:59 p.m. Eastern time on the same business day; provided, however, the Disclosure Dissemination Agent shall have no liability for any delay in filing with the MSRB if such delay is caused by a Force Majeure Event provided that the Disclosure Dissemination Agent uses reasonable efforts to make any such filing as soon as possible. SECTION 3. Content of Annual Reports. (a) Each Annual Report shall contain an update of the following information with respect to the City's preceding Fiscal Year (to the extent not included in the audited financial statements described in paragraph (b) below): (1) [Outstanding indebtedness and lease obligations similar to information found in Table 9; (ii) General fund balance sheet, statement of revenues, expenditures and changes in fund balance budget and actual results for preceding Fiscal Year similar to information found in Tables 1, 2 and 3; (iii) Assessed valuations similar to information found in Table 4; (iv) Largest local secured taxpayers similar to information found in Table 7; and (v) Tax revenue by sources similar to information found in Table 8.] (b) Audited Financial Statements prepared in accordance with generally accepted accounting principles ("GAAP") as described in the Official Statement will also be included in the Annual Report. If audited financial statements are not available, then, unaudited financial statements, prepared in accordance WA with GAAP as described in the Official Statement will be included in the Annual Report. Audited Financial Statements (if any) will be provided pursuant to Section 2(d). Any or all of the items listed above may be included by specific reference to other documents, including official statements of debt issues with respect to which the City is an Obligated Person, which have been previously filed with the Securities and Exchange Commission or available to the public on the MSRB Internet website. If the document incorporated by reference is a final official statement, it must be available from the MSRB. The City will clearly identify each such document so incorporated by reference. Any Annual Financial Information containing modified operating data or financial information is required to explain, in narrative form, the reasons for the modification and the impact of the change in the type of operating data or financial information being provided. SECTION 4. Reporting of Notice Events. (a) The occurrence of any of the following events with respect to the Bonds constitutes a Notice Event: 1. Principal and interest payment delinquencies; 2. Non-payment related defaults, if material; 3. Unscheduled draws on debt service reserves reflecting financial difficulties; 4. Unscheduled draws on credit enhancements reflecting financial difficulties; 5. Substitution of credit or liquidity providers, or their failure to perform; 6. Adverse tax opinions, the issuance by the Internal Revenue Service of proposed or final determinations of taxability, Notices of Proposed Issue (IRS Form 5701- TEB) or other material notices or determinations with respect to the tax status of the Bonds, or other material events affecting the tax status of the Bonds; 7. Modifications to rights of Bond holders, if material; 8. Bond calls, if material, and tender offers; 9. Defeasances; 10. Release, substitution, or sale of property securing repayment of the Bonds, if material; 11. Rating changes; 12. Bankruptcy, insolvency, receivership or similar event of the Obligated Person;' ' For the purposes of the event described in subsection (12), the event is considered to occur when any of the following occur: the appointment of a receiver, fiscal agent or similar officer for an Obligated Person in a proceeding under the U.S. Bankruptcy Code or in any other proceeding under state or federal law in which a court or governmental authority has assumed jurisdiction over substantially all of the assets or business of the Obligated Person, or if such jurisdiction has been assumed by leaving the existing governing body and officials or officers in possession but subject to the D5 13. The consummation of a merger, consolidation, or acquisition involving an Obligated Person or the sale of all or substantially all of the assets of the Obligated Person, other than in the ordinary course of business, the entry into a definitive Certificate to undertake such an action or the termination of a definitive Certificate relating to any such actions, other than pursuant to its terms, if material; 14. Appointment of a successor or additional trustee or the change of name of a trustee, if material; 15. Incurrence of a Financial Obligation of an Obligated Person, if material, or agreement to covenants, events of default, remedies, priority rights, or other similar terms of a Financial Obligation of an Obligated Person, any of which affect security holders, if material; and 16. Default, event of acceleration, termination event, modification of terms, or other similar events under the terms of a Financial Obligation of an Obligated Person, any of which reflect financial difficulties. The City shall, in a timely manner not in excess of ten (10) business days after its occurrence, notify the Disclosure Dissemination Agent in writing of the occurrence of a Notice Event. Such notice shall instruct the Disclosure Dissemination Agent to report the occurrence pursuant to subsection (c) and shall be accompanied by a Certification. Such notice or Certification shall identify the Notice Event that has occurred (which shall be any of the categories set forth in Section 2(e)(iv) of this Disclosure Certificate), include the text of the disclosure that the City desires to make, contain the written authorization of the City for the Disclosure Dissemination Agent to disseminate such information, and identify the date the City desires for the Disclosure Dissemination Agent to disseminate the information (provided that such date is not later than the tenth business day after the occurrence of the Notice Event). (b) The Disclosure Dissemination Agent is under no obligation to notify the City or the Disclosure Representative of an event that may constitute a Notice Event. In the event the Disclosure Dissemination Agent so notifies the Disclosure Representative, the Disclosure Representative will within two business days of receipt of such notice (but in any event not later than the tenth business day after the occurrence of the Notice Event, if the City determines that a Notice Event has occurred), instruct the Disclosure Dissemination Agent that (i) a Notice Event has not occurred and no filing is to be made or (ii) a Notice Event has occurred and the Disclosure Dissemination Agent is to report the occurrence pursuant to subsection (c) of this Section 4, together with a Certification. Such Certification shall identify the Notice Event that has occurred (which shall be any of the categories set forth in Section 2(e)(1v) of this Disclosure Certificate), include the text of the disclosure that the City desires to make, contain the written authorization of the City for the Disclosure Dissemination Agent to disseminate such information, and identify the date the City desires for the Disclosure Dissemination Agent to disseminate the information (provided that such date is not later than the tenth business day after the occurrence of the Notice Event). (c) If the Disclosure Dissemination Agent has been instructed by the City as prescribed in subsection (a) or (b)(ii) of this Section 4 to report the occurrence of a Notice Event, the Disclosure Dissemination Agent shall promptly file a notice of such occurrence with the MSRB in accordance with Section 2(e)(1v) hereof. supervision and orders of a court or governmental authority, or the entry of an order confirming a plan of reorganization, arrangement or liquidation by a court or governmental authority having supervision or jurisdiction over substantially all of the assets or business of the Obligated Person. • SECTION 5. CUSIP Numbers. Whenever providing information to the Disclosure Dissemination Agent, including but not limited to Annual Reports, documents incorporated by reference to the Annual Reports, Audited Financial Statements, Notice Event notices, and Failure to File Event notices, the City shall indicate the full name of the Bonds and the 9-digit CUSIP numbers for the Bonds as to which the provided information relates. SECTION 6. Additional Disclosure Obligations. The City acknowledges and understands that other state and federal laws, including but not limited to the Securities Act of 1933 and Rule lOb-5 promulgated under the Securities Exchange Act of 1934, may apply to the City, and that the failure of the Disclosure Dissemination Agent to so advise the City shall not constitute a breach by the Disclosure Dissemination Agent of any of its duties and responsibilities under this Disclosure Certificate. The City acknowledges and understands that the duties of the Disclosure Dissemination Agent relate exclusively to execution of the mechanical tasks of disseminating information as described in this Disclosure Certificate. SECTION 7. VoluntarFilings. Nothing in this Disclosure Certificate shall be deemed to prevent the City from disseminating any other information through the Disclosure Dissemination Agent using the means of dissemination set forth in this Disclosure Certificate or including any other information in any Annual Report, Audited Financial Statements, Notice Event notice, or Failure to File Event notice, in addition to that required by this Disclosure Certificate. If the City chooses to include any information in any Annual Report, Audited Financial Statements, Notice Event notice, or Failure to File Event notice in addition to that which is specifically required by this Disclosure Certificate, the City shall have no obligation under this Disclosure Certificate to update such information or include it in any future Annual Report, Audited Financial Statements, Notice Event notice, or Failure to File Event notice. SECTION 8. Termination of Reporting Obligation. The obligations of the City and the Disclosure Dissemination Agent under this Disclosure Certificate shall terminate with respect to the Bonds upon the legal defeasance, prior redemption or payment in full of all of the Bonds, when the City is no longer an Obligated Person with respect to such Bonds, or upon delivery by the Disclosure Representative to the Disclosure Dissemination Agent of an opinion of nationally recognized bond counsel to the effect that continuing disclosure is no longer required with respect to such Bonds. SECTION 9. Disclosure Dissemination Agent. Digital Assurance Certification LLC will serve as the initial Disclosure Dissemination Agent under this Disclosure Certificate. The City may, upon thirty days written notice to the Disclosure Dissemination Agent and the Trustee, replace or appoint a successor Disclosure Dissemination Agent. Upon termination of the Disclosure Dissemination Agent, whether by notice of the City or the Disclosure Dissemination Agent, the City agrees to appoint a successor Disclosure Dissemination Agent or, alternately, agrees to assume all responsibilities of Disclosure Dissemination Agent under this Disclosure Certificate for the benefit of the Holders of the Bonds. Notwithstanding any replacement or appointment of a successor, the City shall remain liable, until payment in full, for any and all sums owed and payable to the Disclosure Dissemination Agent. The Disclosure Dissemination Agent may resign at any time by providing thirty days' prior written notice to the City. SECTION 10. Remedies in Event of Default. In the event of a failure of the City or the Disclosure Dissemination Agent to comply with any provision of this Disclosure Certificate, the Holders' rights to enforce the provisions of this Disclosure Certificate shall be limited solely to a right, by action in mandamus or for specific performance, to compel performance of the parties' obligation under this Disclosure Certificate. Any failure by a party to perform in accordance with this Disclosure Certificate shall not constitute a default on the Bonds or under any other document relating to the Bonds, and all rights and remedies shall be limited to those expressly stated herein. SECTION 11. Duties. Immunities and Liabilities of Disclosure Dissemination Agent. D7 (a) Article VI of each of the Indentures is hereby made applicable to this Disclosure Certificate as if this Disclosure Certificate were (solely for this purpose) contained in the Indentures. The Disclosure Dissemination Agent shall be entitled to the protections and limitations from liability afforded to the Trustee thereunder. The Disclosure Dissemination Agent shall have only such duties as are specifically set forth in this Disclosure Certificate. and the City agrees to indemnify and save the Disclosure Dissemination Agent, the Trustee, their officers, directors, employees and agents, harmless against any loss, expense and liabilities which it may incur arising out of the disclosure of information pursuant to this Disclosure Certificate or arising out of or in the exercise or performance of its powers and duties hereunder, including the costs and expenses (including attorneys' fees) of defending against any claim of liability, but excluding liabilities due to the Disclosure Dissemination Agent's negligence or willful misconduct. The Disclosure Dissemination Agent's obligation to deliver the information at the times and with the contents described herein shall be limited to the extent the City has provided such information to the Disclosure Dissemination Agent as required by this Disclosure Certificate. The Disclosure Dissemination Agent shall have no duty with respect to the content of any disclosures or notice made pursuant to the terms hereof. The Disclosure Dissemination Agent shall have no duty or obligation to review or verify any Information or any other information, disclosures or notices provided to it by the City and shall not be deemed to be acting in any fiduciary capacity for the City, the Holders of the Bonds or any other party. The Disclosure Dissemination Agent shall have no responsibility for the City's failure to report to the Disclosure Dissemination Agent a Notice Event or a duty to determine the materiality thereof. The Disclosure Dissemination Agent shall have no duty to determine, or liability for failing to determine, whether the City has complied with this Disclosure Certificate. The Disclosure Dissemination Agent may conclusively rely upon certifications of the City at all times. The obligations of the City under this Section shall survive resignation or removal of the Disclosure Dissemination Agent and defeasance, redemption or payment of the Bonds. (b) The Disclosure Dissemination Agent may, from time to time, consult with legal counsel (either in-house or external) of its own choosing in the event of any disagreement or controversy, or question or doubt as to the construction of any of the provisions hereof or its respective duties hereunder, and shall not incur any liability and shall be fully protected in acting in good faith upon the advice of such legal counsel. The reasonable fees and expenses of such counsel shall be payable by the City. (c) All documents, reports, notices, statements, information and other materials provided to the MSRB under this Disclosure Certificate shall be provided in an electronic format and accompanied by identifying information as prescribed by the MSRB. SECTION 12. Amendment, Waiver. Notwithstanding any other provision of this Disclosure Certificate, the City and the Disclosure Dissemination Agent may amend this Disclosure Certificate and any provision of this Disclosure Certificate may be waived, if such amendment or waiver is supported by an opinion of counsel expert in federal securities laws acceptable to both the City and the Disclosure Dissemination Agent to the effect that such amendment or waiver does not materially impair the interests of Holders of the Bonds and would not, in and of itself, cause the undertakings herein to violate the Rule if such amendment or waiver had been effective on the date hereof but taking into account any subsequent change in or official interpretation of the Rule; provided neither the City nor the Disclosure Dissemination Agent shall be obligated to agree to any amendment modifying their respective duties or obligations without their consent thereto. Notwithstanding the preceding paragraph, the Disclosure Dissemination Agent shall have the right but not the duty to adopt amendments to this Disclosure Certificate necessary to comply with modifications to and interpretations of the provisions of the Rule as announced by the Securities and Exchange Commission from time to time by giving not less than 20 days prior written notice of the intent to do so together with a M copy of the proposed amendment to the City. No such amendment shall become effective if the City shall, within 10 days following the giving of such notice, send a notice to the Disclosure Dissemination Agent in writing that it objects to such amendment. SECTION 13. Beneficiaries. This Disclosure Certificate shall inure solely to the benefit of the City, the Trustee of the Bonds, the Disclosure Dissemination Agent, the participating underwriter (as defined in the Rule), and the Holders from time to time of the Bonds, and shall create no rights in any other person or entity. SECTION 14. Governing Law. This Disclosure Certificate shall be governed by the laws of the State of California (other than with respect to conflicts of laws). The City has caused this Disclosure Certificate to be executed, on the date first written above. CITY OF SANTA CLARITA, as Obligated Person ACCEPTED AND AGREED TO: DIGITAL ASSURANCE CERTIFICATION LLC, as Disclosure Dissemination Agent By: Name: Title: D9 Kenneth W. Striplin, Ed.D, City Manager EXHIBIT A NOTICE TO MSRB OF FAILURE TO FILE ANNUAL REPORT Issuer: Santa Clarita Public Financing Authority Obligated Person: City of Santa Clarita, California Name of Bond Issue: $ Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) and $ Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds) Date of Issuance: October , 2022 NOTICE IS HEREBY GIVEN that the City of Santa Clarita (the "City") has not provided an Annual Report with respect to the above -named Bonds as required by the Disclosure Certificate of the City. The City anticipates that the Annual Report will be filed by Dated: , 20 Digital Assurance Certification LLC, as Disclosure Dissemination Agent A-1 PRELIMINARY OFFICIAL STATEMENT DATED OCTOBER _, 2022 Draft of 9/21/22 o U NEW ISSUE - FULL BOOK ENTRY RATING: S&P: " " (See "RATING" herein.) In the opinion of Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel, under existing statutes, regulations, rulings and judicial decisions, and assuming compliance with certain covenants in the documents pertaining to the Bonds and requirements of the Internal Revenue Code of 1986, as amended, as described herein, interest on the Bonds is not included in the gross income of the owners thereof for federal income tax purposes. In the further opinion of Bond Counsel, interest on the Bonds is not treated as an item of tax preference for purposes of the alternative minimum tax. Bond Counsel is also of the opinion that, under existing law, interest on the Bonds is exempt from personal income taxes of the State of California. See "TAX MATTERS" herein. SANTA CLARITA PUBLIC FINANCING AUTHORITY $[Series A principal amount] Lease Revenue Bonds (Energy Efficiency Program) Series 2022A $[Series B principal amount] Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) (Green Bonds) Dated: Date of Delivery Due: As shown on the inside cover For the purpose of providing funds to pay for a portion of the costs of financing certain energy efficiency improvements associated with City of Santa Clarita (the "City") buildings and facilities, and to pay the costs of issuing bonds, the Santa Clarita Public Financing Authority (the "Authority") is issuing (i) its Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) (the "Series A Bonds"), pursuant to an Indenture, dated as of October 1, 2020, by and between the Authority and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the "Trustee"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022, by and between the Authority and the Trustee (collectively, the "Series A Indenture"), and (ii) its Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds) (the "Series B Bonds," and, together with the Series A Bonds, the "Bonds"), pursuant to an Indenture, dated as of June 1, 2016, by and between the Authority and the Trustee, as supplemented by the First Supplemental Indenture, dated as of October 1, 2022, by and between the Authority and the Trustee (collectively, the "Series B Indenture"). See "PLAN OF FINANCE" herein. The Bonds are being issued as fully registered bonds and, when executed and delivered, will be registered in the name of Cede & Co., as nominee of The Depository Trust Company, New York, New York ("DTC). The Bonds will be issued in denominations of $5,000 or any integral multiple thereof. DTC will act as securities depository of the Bonds. Individual purchases of Bonds will be made in book -entry form only. Payments of principal of and interest on the Bonds are to be made to purchasers by DTC through DTC Participants. Purchasers will not receive physical delivery of the Bonds purchased by them. See APPENDIX F — "BOOK -ENTRY SYSTEM." Interest on the Bonds is payable on June 1 and December 1 of each year, commencing December 1, 2022. The Bonds are subject to optional, mandatory and extraordinary redemption prior to their stated maturities, as described herein. See "DESCRIPTION OF THE BONDS — Redemption" herein. The Series A Bonds are payable from and secured by Series A Revenues pledged under the Series A Indenture. "Series A Revenues" means primarily all Base Rental Payments (including prepayments) payable by the City pursuant to that certain Lease Agreement, dated as of October 1, 2020, by and between the Authority and the City, as amended and supplemented by the First Supplement to Lease Agreement, dated as of October 1, 2022 (as amended, the "CUBE Lease"). Pursuant to the CUBE Lease, the City will lease certain real property described herein (the "CUBE Site") and the recreational facility building and improvements located thereon (collectively, the "CUBE Leased Property") from the Authority. The Series B Bonds will be issued by the Authority on a parity with the 2020 Bonds (as defined herein). The City is required under the CUBE Lease to make Base Rental Payments in each year in consideration for the use of the CUBE Leased Property from any source of legally available funds, in an amount sufficient to pay the annual principal of and interest on the 2020 Bonds, the Series A Bonds and any additional bonds under the Series A Indenture. The 2020 Bonds and the Series A Bonds and any additional bonds are collectively referred to herein as the "CUBE Bonds." The Series B Bonds are payable from and secured by Series B Revenues pledged under the Series B Indenture. "Series B Revenues" means primarily all Base Rental Payments (including prepayments) payable by the City pursuant to that certain Lease Agreement, dated as of June 1, 2016, by and between the Authority and the City, as amended and supplemented by the First Supplement to Lease Agreement, dated as of October 1, 2022 (as amended, the "City Hall Lease"). Pursuant to the City Hall Lease, the City will lease certain real property described herein (the "City Hall Site") and the City Hall building and improvements located thereon (collectively, the "City Hall Leased Property") from the Authority. The Series B Bonds will be issued by the Authority on a parity with the 2016 Bonds (as defined herein). The City is required under the City Hall Lease to make Base Rental Payments in each year in consideration for the use of the City Hall Leased Property from any source of legally available funds, in an amount sufficient to pay the annual principal of and interest on the 2016 Bonds, the Series B Bonds and any additional bonds under the Series B Indenture. The 2016 Bonds and the Series B Bonds and any additional bonds are collectively referred to herein as the "City Hall Bonds." The Revenues, including Base Rental Payments, collected under one Indenture are not available to pay debt service on the Bonds of the other Indenture. The City's obligation to make applicable Base Rental Payments under the City Hall Lease or the CUBE Lease is subject to abatement in the event of substantial interference with the use and possession of all or a part of the City Hall Leased Property or . Preliminary, subject to change. CUBE Leased Property, as applicable. See "RISK FACTORS — Abatement" herein. The City has covenanted in each Lease to take such action as may be necessary to include and maintain all applicable Base Rental Payments in its annual budget and to make the necessary appropriations therefor, subject to such abatement. The Bonds are special obligations of the Authority and, as and to the extent set forth in the applicable Indenture, are payable solely from and secured by a first lien on and pledge of the applicable Revenues, as provided in each Indenture. All of the Series A Bonds are equally secured by a pledge of, and charge and lien upon, all of the Series A Revenues (other than deposits to the Rebate Fund) (as defined by the Series A Indenture), and such Series A Revenues (other than deposits to such Rebate Fund) constitute a trust fund for the security and payment of the principal of and interest on the 2020 Bonds and the Series A Bonds. All of the Series B Bonds are equally secured by a pledge of, and charge and lien upon, all of the Series B Revenues (other than deposits to the Rebate Fund) (as defined by the Series B Indenture), and such Series B Revenues (other than deposits to such Rebate Fund) constitute a trust fund for the security and payment of the principal of and interest on the 2016 Bonds and the Series B Bonds. The full faith and credit of the Authority is not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except such Revenues, as applicable, and such other moneys and securities as provided in each related Indenture. This cover page contains certain information for general reference only. It is not intended to be a summary of the security or terms of this issue. Investors must read the entire Official Statement to obtain information essential to the making of an informed investment decision. Capitalized terms used and not otherwise defined herein shall have the meanings given in the Indentures or the Leases (each as hereinafter defined) or in APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS." The Bonds are offered when, as and if issued and accepted by the Underwriter, subject to the approving opinion of Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel to the Authority. Certain legal matters will be passed on for the Authority by Norton Rose Fulbright US LLP, Los Angeles, California, Disclosure Counsel and for the City and the Authority by Burke, Williams and Sorensen, LLP, Los Angeles, California, as City Attorney and Authority Counsel. It is anticipated that the Bonds will be available for delivery through the book -entry facilities of DTC on or about October , 2022. [UNDERWRITER LOGO] Dated: October , 2022 MATURITY SCHEDULE SANTA CLARITA PUBLIC FINANCING AUTHORITY (Base CUSIPt 80169P) $[Series A principal amount] Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) Maturity Maturity Date Principal Interest Date Principal Interest (June 1) Amount Rate Yield CUSIPt (June 1) Amount Rate Yield CUSIPt % Series A Term Bond due June 1, 20 Priced to Yield % CUSIPt: $[Series B principal amount] Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) Maturity Maturity Date Principal Interest Date Principal Interest lecember 1) Amount Rate Yield CUSIPt (December 1) Amount Rate Yield CUSIPt % Series B Bond due December 1, 20 , Priced to Yield % CUSIPt: C: Priced to call at par on the optional redemption date of December 1, 20_. t CUSIP® is a registered trademark of the American Bankers Association. CUSIP data herein are provided by CUSIP Global Services, managed by FactSet Research Systems Inc. on behalf of the American Bankers Association. CUSIP numbers have been assigned by an independent company not affiliated with the Authority and are included solely for the convenience of the holders of the Bonds. None of the Authority, its Municipal Advisor or the Underwriter is responsible for the selection or use of these CUSIP numbers and no representation is made as to their correctness on the Bonds or as indicated above. The CUSIP number for a specific bond is subject to being changed after the issuance of the bonds as a result of various subsequent actions including, but not limited to, a refunding in whole or in part of such maturity or as a result of the procurement of secondary market portfolio insurance or other similar enhancement by investors that is applicable to all or a portion of such bonds. Preliminary, subject to change. SANTA CLARITA PUBLIC FINANCING AUTHORITY CITY COUNCILBOARD OF DIRECTORS Lauren F. Weste, Mayor/Chairperson Jason Gibbs, Mayor Pro Tem/Vice-Chairperson Cameron Smyth, Councilmember/Board Member Marsha McLean, Councilmember/Board Member William Miranda, Councilmember/Board Member CITY OFFICIALS Kenneth W. Striplin, Ed.D., City Manager/Executive Director Frank Oviedo, Assistant City Manager Carmen Magana, City Treasurer/Treasurer Mary Cusick, City Clerk/Secretary Joseph M. Montes, City Attorney/Authority Counsel SPECIAL SERVICES Municipal Advisor Columbia Capital Management, LLC Carlsbad, California Bond Counsel and Disclosure Counsel Norton Rose Fulbright US LLP Los Angeles, California Trustee U.S. Bank Trust Company, National Association Los Angeles, California GENERAL INFORMATION ABOUT THIS OFFICIAL STATEMENT Use of Official Statement. This Official Statement is submitted in connection with the sale of the Bonds referred to herein and may not be reproduced or used, in whole or for any other purpose. Estimates and Forecasts. When used in this Official Statement and in any continuing disclosure by the Authority or City in any press release and in any oral statement made with the approval of an authorized officer of the Authority or City, the words or phrases "will likely result", "are expected to", "will continue", "is anticipated", "estimate", "project", "forecast", "expect", "intend" and similar expressions identify "forward looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995. Such statements are subject to risks and uncertainties that could cause actual results to differ materially from those contemplated in such forward -looking statements. Any forecast is subject to such uncertainties. Inevitably, some assumptions used to develop the forecasts will not be realized and unanticipated events and circumstances may occur. Therefore, there are likely to be differences between forecasts and actual results, and those differences may be material. The information and expressions of opinion herein are subject to change without notice, and neither the delivery of this Official Statement nor any sale made hereunder shall, under any circumstances, give rise to any implication that there has been no change in the affairs of the Authority or City since the date hereof. Particularly because of the evolving nature of the current COVID-19 public health crisis described herein, no assurance can be given that any estimates of future impact described herein will be achieved, and actual results may differ materially from the potential impact described herein. All projections, forecasts, estimates, assumptions and other forward -looking statements herein are expressly qualified in their entirety by this cautionary statement. Limit of Offering. No dealer, broker, salesperson or other person has been authorized by the Authority or the Underwriter to give any information or to make any representations other than those contained herein and, if given or made, such other information or representation must not be relied upon as having been authorized by any of the foregoing. This Official Statement does not constitute an offer to sell or the solicitation of an offer to buy nor shall there be any sale of the Bonds by a person in any jurisdiction in which it is unlawful for such person to make such an offer, solicitation or sale. This Official Statement is not to be construed as a contract with the purchasers of the Bonds. Preparation of this Official Statement. The information contained in this Official Statement has been obtained from sources that are believed to be reliable, but this information is not guaranteed as to accuracy or completeness. The Underwriter has provided the following sentence for inclusion in this Official Statement: The Underwriter has reviewed the information in this Official Statement in accordance with, and as part of, its responsibilities to investors under the federal securities laws as applied to the facts and circumstances of this transaction, but the Underwriter does not guarantee the accuracy or completeness of such information. The information and expressions of opinions herein are subject to change without notice and neither delivery of this Official Statement nor any sale made hereunder shall, under any circumstances, create any implication that there has been no change in the affairs of the City or the Authority since the date hereof. All summaries of the Indentures, the Site Leases, the Leases, the Assignment Agreements (as such terms are defined herein), or other documents referred to in this Official Statement, are made subject to the provisions of such documents, respectively, and do not purport to be complete statements of any or all of such provisions. THE BONDS HAVE NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED, IN RELIANCE UPON AN EXCEPTION FROM THE REGISTRATION REQUIREMENTS CONTAINED IN SUCH ACT. THE BONDS HAVE NOT BEEN REGISTERED OR QUALIFIED UNDER THE SECURITIES LAWS OF ANY STATE. Public Offering Prices. The Underwriter may offer and sell the Bonds to certain dealers and dealer banks and banks acting as agent at prices lower than the public offering prices stated on the inside cover page of this Official Statement, and the Underwriter may change those public offering prices from time to time. Website. The City of Santa Clarita maintains a website. However, the information maintained on the website is not a part of this Official Statement and should not be relied upon in making an investment decision with respect to the Bonds. TABLE OF CONTENTS Page INTRODUCTION....................................................................................................................................... I Purposeof the Bonds...................................................................................................................... I TheCity of Santa Clarita................................................................................................................ 3 Securityfor the Bonds....................................................................................................................3 LeasedProperty..............................................................................................................................5 NoDebt Service Reserve................................................................................................................ 5 Existing General Fund Debt and Additional Bonds........................................................................5 COVID-19...................................................................................................................................... 6 ContinuingDisclosure....................................................................................................................6 FurtherInformation.........................................................................................................................6 DESCRIPTION OF THE BONDS..............................................................................................................6 General............................................................................................................................................ 7 Redemption..................................................................................................................................... 7 Selection of Bonds for Redemption..............................................................................................10 Noticeof Redemption...................................................................................................................10 Partial Redemption of Bonds........................................................................................................10 Effectof Redemption....................................................................................................................10 SECURITY AND SOURCES OF PAYMENT FOR THE SERIES A BONDS ....................................... I I General..........................................................................................................................................1 I LimitedObligation........................................................................................................................12 NoDebt Service Reserve..............................................................................................................12 Abatement of CUBE Base Rental Payments................................................................................12 InsuranceCoverages.....................................................................................................................12 AdditionalBonds..........................................................................................................................12 ParityDebt....................................................................................................................................14 Maintenance, Utilities, Taxes and Assessments...........................................................................14 Substitution and Release of Property............................................................................................14 SECURITY AND SOURCES OF PAYMENT FOR THE SERIES B BONDS.......................................16 General..........................................................................................................................................16 LimitedObligation........................................................................................................................16 NoDebt Service Reserve..............................................................................................................17 Abatement of City Hall Base Rental Payments............................................................................17 InsuranceCoverages.....................................................................................................................17 AdditionalBonds..........................................................................................................................17 ParityDebt....................................................................................................................................19 Maintenance, Utilities, Taxes and Assessments...........................................................................19 Substitution and Release of Property............................................................................................19 EXISTING GENERAL FUND INDEBTEDNESS...................................................................................20 PLANOF FINANCE.................................................................................................................................21 General.......................................................................................................................................... 21 Bonds Designation as Green Bonds..............................................................................................22 2022 Project..................................................................................................................................23 2022 Project for Leased Property.................................................................................................25 CUBELeased Property.................................................................................................................25 CityHall Leased Property.............................................................................................................29 i TABLE OF CONTENTS (continued) Page ESTIMATED SOURCES AND USES OF FUNDS.................................................................................31 DEBT SERVICE REQUIREMENTS........................................................................................................32 THEAUTHORITY...................................................................................................................................35 THECITY.................................................................................................................................................35 General.......................................................................................................................................... 35 Budgetary Process and Administration.........................................................................................35 GeneralFund.................................................................................................................................36 COVID-19 Pandemic....................................................................................................................39 Budgeted Revenues and Expenditures..........................................................................................40 Management Discussion of Financial Performance......................................................................43 Capital Improvement Program......................................................................................................43 AppropriationsLimit....................................................................................................................43 FinancialStatements.....................................................................................................................43 FiscalPolicies...............................................................................................................................44 Taxable Property and Assessed Valuation....................................................................................44 LargestTaxpayers.........................................................................................................................48 OtherLocal Taxes.........................................................................................................................48 OtherRevenue Sources.................................................................................................................50 Employee Relations and Collective Bargaining...........................................................................50 RiskManagement.........................................................................................................................50 City Investment Policy and Portfolio............................................................................................51 Outstanding Indebtedness of the City...........................................................................................52 Directand Overlapping Debt........................................................................................................ 52 EmployeeRetirement Plan...........................................................................................................54 Post -Retirement Medical Benefits (OPEB)..................................................................................61 Deferred Compensation Plan/Defined Contribution Plan .............................................................63 RedevelopmentAgencies..............................................................................................................63 Impact of State of California Budget............................................................................................64 Information Regarding Federal Budget........................................................................................65 RISKFACTORS.......................................................................................................................................66 Substitutionof Property................................................................................................................ 66 Base Rental Payments Are Not Debt; Bonds are Limited Obligations.........................................66 Abatement..................................................................................................................................... 67 Economic Condition in Local, State and National Economies..................................................... 67 Impacts and Potential Impacts of COVID-19 on the City............................................................68 City Pension and OPEB Obligations............................................................................................68 Riskof Uninsured Loss.................................................................................................................68 Self-Insurance...............................................................................................................................69 EminentDomain........................................................................................................................... 69 Bankruptcy.................................................................................................................................... 69 No Liability of Authority to the Owners....................................................................................... 70 No Limitation on Incurring Additional Obligations..................................................................... 70 SeismicFactors.............................................................................................................................70 Risk of Structural and Wildland Fire............................................................................................71 Riskof Floods...............................................................................................................................72 Drought......................................................................................................................................... 72 ii TABLE OF CONTENTS (continued) Page HazardousSubstances...................................................................................................................74 GreenBonds................................................................................................................................ 74 ClimateChange.............................................................................................................................74 Risks Related to Taxation in California........................................................................................75 FutureInitiatives........................................................................................................................... 78 Limitationson Remedies..............................................................................................................78 Remedieson Default.....................................................................................................................79 EarlyRedemption Risk.................................................................................................................79 InvestmentRisk............................................................................................................................79 NoDebt Service Reserve..............................................................................................................79 Lossof Tax Exemption.................................................................................................................79 IRS Examination of Tax -Exempt Bonds......................................................................................80 SecondaryMarket Risk.................................................................................................................80 OtherFactors................................................................................................................................. 80 RATING.................................................................................................................................................... 81 UNDERWRITING....................................................................................................................................81 CONTINUINGDISCLOSURE.................................................................................................................81 TAXMATTERS........................................................................................................................................82 TaxExemption.............................................................................................................................. 82 Tax Accounting Treatment of Original Premium and Original Issue Discount ........................... 83 Information Reporting and Backup Withholding......................................................................... 84 StateTax Exemption..................................................................................................................... 84 FutureDevelopments....................................................................................................................84 LITIGATION............................................................................................................................................. 85 LEGALOPINION..................................................................................................................................... 85 MUNICIPALADVISOR........................................................................................................................... 85 FINANCIAL STATEMENTS................................................................................................................... 85 MISCELLANEOUS..................................................................................................................................86 EXECUTION AND DELIVERY..............................................................................................................86 APPENDIX A — GENERAL INFORMATION ABOUT THE CITY OF SANTA CLARITA .........A-1 APPENDIX B — AUDITED FINANCIAL STATEMENTS OF THE CITY OF SANTA CLARITA FOR THE FISCAL YEAR ENDED DUNE 30, 2021.............. B-1 APPENDIX C — SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGALDOCUMENTS........................................................................................... C-1 APPENDIX D — FORM OF CONTINUING DISCLOSURE CERTIFICATE..................................D-1 APPENDIX E-1— SERIES A BONDS - FORM OF OPINION OF BOND COUNSEL ................... E-1-1 APPENDIX E-2— SERIES B BONDS - FORM OF OPINION OF BOND COUNSEL ....................E-2-1 APPENDIX F — BOOK -ENTRY SYSTEM........................................................................................F-1 In VICINITY MAP OFFICIAL STATEMENT SANTA CLARITA PUBLIC FINANCING AUTHORITY $[Series A principal amount] Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) $[Series B principal amount] Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) This Official Statement, including the cover page and the appendices hereto, is provided to furnish information in connection with the sale and delivery of the $[Series A principal amount]* Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) (the "Series A Bonds'), and the $[Series B principal amount]* Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program), Series 2022E (Green Bonds) (the "Series B Bonds, " and together with the Series A Bonds, the `Bonds'). Capitalized terms used and not otherwise defined herein shall have the meanings given in the respective Indenture or Lease (each as hereinafter defined) or in APPENDIX C "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS. " INTRODUCTION This introduction is not a summary of this Official Statement, and is qualified by the more complete and detailed information contained in the entire Official Statement and the documents described or summarized herein. The sale of the Bonds to potential investors is made only by means of the entire Official Statement. Purpose of the Bonds The Bonds are being issued under the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4 of Chapter 5 of Division 7 of Title 1 (commencing with Section 6584) of the California Government Code (the "Bond Law"). The Series A Bonds are being issued pursuant to an Indenture, dated as of October 1, 2020 (the "Original Series A Indenture"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (the "Series A Supplemental Indenture," and together with the Original Series A Indenture, the "Series A Indenture"), each by and between the Authority and the Trustee. Proceeds of the Series A Bonds will be used for certain energy efficiency improvements associated with buildings and facilities owned by the City of Santa Clarita, California (the "City"), including but not limited to, heating, ventilation, and air conditioning ("HVAC"), lighting, water conservation, solar, and refrigeration improvements (the "2022 Project"), and pay the costs of issuing the Series A Bonds. The Series B Bonds are being issued pursuant to an Indenture, dated as of June 1, 2016 (the "Original Series B Indenture"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (the "Series B Supplemental Indenture," and together with the Original Series B Indenture, the "Series B Indenture"), each by and between the Santa Clarita Public Financing Authority (the "Authority") and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as . Preliminary, subject to change. trustee (the "Trustee"). Proceeds of the Series B Bonds will also be used to finance a portion of the costs of the 2022 Project, consisting of certain energy efficiency improvements associated with buildings and facilities owned by the City, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements, and to pay the costs of issuing the Series B Bonds. See "ESTIMATED SOURCES AND USES OF FUNDS" and "PLAN OF FINANCE" herein. The City of Santa Clarita The City is a general law city, incorporated in 1987. The City is located in the Santa Clarita Valley, which is comprised of the communities of Canyon Country, Newhall, Saugus, and Valencia, within Los Angeles County (the "County"), 35 miles northwest of Los Angeles and 40 miles east of the Pacific Ocean. The City encompasses an area of approximately 70.87 square miles and, as of January 1, 2022, had an estimated population of approximately 228,835 as reported by the California Department of Finance. The City operates under a Council Manager form of municipal government. The City Council is comprised of five council members, elected biannually at large to four-year staggered terms. The City provides general government services either with its own employees or through contracts. See Appendix A for further information with respect to the City. Security for the Bonds Security for the Series A Bonds. Pursuant to a Site and Facility Lease, dated as of October 1, 2020 (the "CUBE Site Lease"), by and between the City and the Authority, the Authority leases from the City certain real property consisting of a recreational facility located on at 27745 Smyth Drive within the City and the improvements located thereon (the "CUBE Leased Property"). See "— CUBE Leased Property" below. Pursuant to a Lease Agreement, dated as of October 1, 2020 (the "2020 Lease"), by and between the Authority as lessor, and the City as lessee, the Authority leases the CUBE Leased Property to the City. On October 22, 2020, the Authority issued its $10,645,000 Lease Revenue Bonds (Recreational Facility) Series 2020A (the "2020A Bonds"), currently outstanding in the principal amount of $10,645,000, and its $3,625,000 Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (the " 2020A- T Bonds," and together with the 2020A Bonds, the "2020 Bonds"), currently outstanding in the principal amount of $2,790,000, secured by base rental payments made by the City under the 2020 Lease. The Original Series A Indenture provides for the issuance of one or more series of additional bonds, subject to amendment to the 2020 Lease to increase the base rental payments made by the City under the 2020 Lease. The Series A Bonds constitute additional bonds under the Series A Indenture and are issued on a parity with the 2020 Bonds. Pursuant to the 2020 Lease, as amended by the First Amendment to Lease Agreement, dated as of October 1, 2022 (as amended, the "CUBE Lease"), the City will pay to the Authority base rental payments (the "CUBE Base Rental Payments") in amounts equal to scheduled debt service on the 2020 Bonds and the Series A Bonds. Pursuant to an Assignment Agreement, dated as of October 1, 2020 (the "CUBE Assignment Agreement"), by and between the Authority and the Trustee, the Authority has assigned, as further security for its obligations to make timely payment of principal of and interest on the 2020 Bonds and the Series A Bonds, to the Trustee for the benefit of the Owners thereof certain of the Authority's rights under the CUBE Lease, including the right to receive CUBE Base Rental Payments. Under the CUBE Lease, in addition to CUBE Base Rental Payments, the City has agreed to pay annual incidental costs and expenses incurred by the Authority or the Trustee relating to the CUBE Lease. All of the 2020 Bonds and the Series A Bonds are equally secured by a pledge of, and charge and lien upon, all of the Series A Revenues (other than deposits to the Rebate Fund created by the Series A Indenture), and such Series A Revenues (other than deposits to such Rebate Fund) constitute a trust fund for the security and payment of the principal of and interest on the 2020 Bonds and the Series A Bonds. Security for the Series B Bonds. Pursuant to a Site and Facility Lease, dated as of June 1, 2016 (the "City Hall Site Lease"), by and between the City and the Authority, the Authority leases from the City certain real property consisting of the City Hall of the City located at 23920 Valencia Boulevard within the City and the improvements located thereon (the "City Hall Leased Property"). See "— City Hall Leased Property" below. Pursuant to a Lease Agreement, dated as of June 1, 2016 (the "2016 Lease"), by and between the Authority as lessor, and the City as lessee, the Authority leases the City Hall Leased Property to the City. On June 22, 2016, the Authority issued its $10,320,000 Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A (the "2016 Bonds"), currently outstanding in the principal amount of $7,930,000, secured by base rental payments made by the City under the 2016 Lease. The Original Series B Indenture provides for the issuance of one or more series of additional bonds, subject to amendment to the 2016 Lease to increase the base rental payments made by the City under the 2016 Lease. The Series B Bonds constitute additional bonds under the Series B Indenture and are issued on a parity with the 2016 Bonds. Pursuant to the 2016 Lease, as amended by the First Amendment to Lease Agreement, dated as of October 1, 2022 (as amended, the "City Hall Lease"), the City will pay to the Authority base rental payments (the "City Hall Base Rental Payments") in amounts equal to scheduled debt service on the 2016 Bonds and the Series B Bonds. Pursuant to an Assignment Agreement, dated as of June 1, 2016 (the "City Hall Assignment Agreement"), by and between the Authority and the Trustee, the Authority has assigned, as further security for its obligations to make timely payment of principal of and interest on the 2016 Bonds and the Series B Bonds, to the Trustee for the benefit of the Owners thereof certain of the Authority's rights under the City Hall Lease, including the right to receive City Hall Base Rental Payments. Under the City Hall Lease, in addition to City Hall Base Rental Payments, the City has agreed to pay annual incidental costs and expenses incurred by the Authority or the Trustee relating to the City Hall Lease. All of the 2016 Bonds and the Series B Bonds are equally secured by a pledge of, and charge and lien upon, all of the Series B Revenues (other than deposits to the Rebate Fund created by the Series B Indenture), and such Series B Revenues (other than deposits to such Rebate Fund) constitute a trust fund for the security and payment of the principal of and interest on the 2016 Bonds and the Series B Bonds. General Security. The Series A Bonds are payable solely from and secured by Series A Revenues pledged under the Series A Indenture. The Series B Bonds are payable solely from and secured by Series B Revenues pledged under the Series B Indenture. The provisions of the Series A Indenture and the Series B Indenture are substantially similar, and references to "an Indenture" or "each Indenture" herein shall refer to each of the Series A Indenture and the Series B Indenture, individually, but not both cumulatively. The Series A Indenture and the Series B Indenture are referred to cumulatively herein as the "Indentures." "Revenues" under each Indenture mean (i) all Base Rental Payments payable by the City pursuant to the applicable Lease (including prepayments), (ii) any proceeds of the applicable Bonds issued under such Indenture deposited with the Trustee and all moneys on deposit in the funds and accounts (other than the Rebate Fund) established under such Indenture, (iii) investment income with respect to such moneys held by the Trustee and (iv) any insurance proceeds or condemnation awards received by or payable to the Trustee relating to the Base Rental Payments relating to such Bonds. See "SECURITY AND SOURCES OF PAYMENT FOR THE BONDS" herein. The obligation of the City to make Base Rental Payments under each Lease is an unsecured obligation of the City, payable from any legally available funds. Pursuant to each Lease, the City has covenanted to take such action as may be necessary to annually budget and appropriate sufficient funds to make all rental payments required to be made under such Lease, subject only to abatement as provided therein. 4 The Bonds are special obligations of the Authority and, as and to the extent set forth in the applicable Indenture, are payable solely from and secured by a first lien on and pledge of the Revenues as provided in such Indenture. The full faith and credit of the Authority is not pledged for the payment of the principal of or interest or premium (if any) on the Bonds. The Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Revenues and such other moneys and securities as provided in the applicable Indenture. The City provides a broad range of services, including highway, street, drainage, sewer, and infrastructure construction and maintenance; planning and zoning; and parks, recreation and cultural activities. Sheriff and animal control services are provided under contract with the County, whereas fire protection, water, sanitation, and schools are funded by special districts not under City control. Other regularly contracted services include refuse and recycling collection, landscaping and public transit services. Leased Property CUBE Leased Property. The CUBE Leased Property, also referred to herein as the Recreational Facility, consists of an approximately 4.4 acre parcel and an approximately 93,000 square foot recreational facility located at 27745 Smyth Drive within the City. The City purchased the CUBE Leased Property on October 2, 2020 from Arena Development Group, LLC, a California limited liability company, for the purchase price of $14,200,000. The facility was originally constructed in 2000 and included three ice rinks, a lobby, arcade, kitchen, food/concession area, locker rooms, offices, training center and pro shop and was known as the Ice Station Valencia ice rink. Following the acquisition of the facility, and during closure due to the COVID -19 Pandemic, the City renovated the facility and reopened it as "The CUBE - Ice and Entertainment Center, Powered by FivePoint Valencia" on April 12, 2021. See "THE PLAN OF FINANCE" herein. City Hall Leased Property. The City Hall Leased Property consists of the City Hall building and approximate 3-acre site located at 23920 Valencia Boulevard in the City. The three story, 74,325-square foot City Hall building was constructed in 1986. See "THE PLAN OF FINANCE" herein. No Debt Service Reserve The Authority has not undertaken to fund any debt service reserve to secure the payment of debt service on the Bonds. Existing General Fund Debt and Additional Bonds Not including the Bonds, the Authority currently has five (5) lease revenue bond issuances outstanding which are secured by lease payments payable by the City from the City's General Fund, including the 2016 Bonds and the 2020 Bonds, and the City may in the future issue or incur other obligations payable from the City's General Fund. See "SECURITY AND SOURCES OF PAYMENT FOR BONDS — Existing General Fund Indebtedness" herein. In addition, pursuant to the Series A Indenture and the CUBE Lease, the Authority may issue additional bonds payable on a parity with the 2020 Bonds and the Series A Bonds so long as certain conditions precedent are satisfied. Likewise, pursuant to the Series B Indenture and the City Hall Lease, the Authority may issue additional bonds payable on a parity with the 2016 Bonds and the Series B Bonds so long as certain conditions precedent are satisfied. See "SECURITY AND SOURCES OF PAYMENT FOR BONDS — Additional Bonds" herein. COVID-19 The global outbreak of the novel coronavirus COVID-19 ("COVID-19"), a respiratory disease declared to be a pandemic (the "Pandemic") by the World Health Organization, significantly affected the national capital markets and national, state and local economies. The actual impact of COVID-19 on the City, its economy and its finances have been dependent on events, including events outside of the control of the City, and actions by the federal government, the State and the County. The City has experienced a strong recovery from the economic disruption created by the COVID-19 Pandemic notwithstanding significant labor shortages, supply chain issues, and increases in material and operational costs. For further information concerning the potential effects of the Pandemic on the City, see "THE CITY." Continuing Disclosure The Authority has determined that no financial or operating data concerning the Authority is material to any decision to purchase, hold or sell the Bonds and the Authority will not provide any such information. The City has agreed to provide, with respect to the Bonds, or cause to be provided, to the Municipal Securities Rulemaking Board's Electronic Municipal Market Access system (the "EMMA System"), certain annual financial information and operating data relating to the City and, in a timely manner, notice of certain enumerated events. These covenants have been made in order to assist the Underwriter in complying with Rule 15c2-12, as amended (the "Rule") adopted by the U.S. Securities and Exchange Commission (the "SEC") under the Securities Exchange Act of 1934, as amended. See "CONTINUING DISCLOSURE" herein and APPENDIX D —'FORM OF CONTINUING DISCLOSURE CERTIFICATE" for a description of the annual reports and notices of enumerated events to be provided by the City. Further Information For important information regarding the budget and financial operations of the City, see the section captioned "THE CITY - Budgeted Revenues and Expenditures." For important information regarding the current and potential impact of the COVID-19 Pandemic on the finances and operations of the City, see "RISK FACTORS -Impacts and Potential Impacts of COVID-19 on the City." Certain other demographic, financial and other information with respect to or affecting the City is contained elsewhere in APPENDIX B and in the City's Annual Comprehensive Financial Report for the year ended June 30, 2021 and Independent Auditor's Report, which are incorporated by reference therein. Brief descriptions of the Bonds, the Indentures, the Leases, the Site Leases, the Assignment Agreements and other documents and information are included in this Official Statement. Such descriptions and information do not purport to be comprehensive or definitive, and are qualified in their entirety by reference to the forms thereof. See APPENDIX C - "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS" for further information regarding the City's obligations under the Leases. See "RISK FACTORS" herein for certain factors that may affect the payment of and security for the Bonds. DESCRIPTION OF THE BONDS Each Indenture is applicable solely to the related Series of Bonds. Each Indenture, each Lease, and each Series of Bonds is substantially similar to the other Indenture, other Lease and the other Series of Bonds, and, as such, the description of the Series A Indenture, the CUBE Lease and the Series A Bonds is representative of the Series B Indenture, the City Hall Lease and the Series B Bonds. References to the "Indenture, " the "Lease" and the `Bonds" below should be read accordingly. For example, the "Indenture, " should be read to mean either the Series A Indenture or the Series B Indenture, but not both Indentures collectively. Similarly, references to the "Lease " or "Leased Property " should be read to mean either the CUBE Lease and CUBE Leased Property or the City Hall Lease and City Hall Leased Property, but not both Leases and Leased Properties. Likewise, references to the "Bonds " should be read to mean either the Series A Bonds or the Series B Bonds, but not both the Series A Bonds and the Series B Bonds collectively. Additionally, references to "Base Rental Payments " should be read to mean Base Rental Payments under either the CUBE Lease or the City Hall Lease, but not the Leases collectively. Differences between each Indenture, Lease, and the Series A Bonds and the Series B Bonds are expressly noted below. General The Bonds will be dated their date of delivery and issued in the aggregate principal amount and bear interest at the rates per annum and mature on the dates set forth on the inside cover page of this Official Statement. Interest on the Bonds will be payable semiannually on June 1 and December 1 of each year (each an "Interest Payment Date"), commencing December 1, 2022. Each Bond will bear interest from the Interest Payment Date next preceding the date of authentication thereof unless (i) it is executed after the fifteenth calendar day of the month immediately preceding an Interest Payment Date, in which case interest will accrue from such Interest Payment Date, or (ii) it is authenticated on or before November 15, 2022, in which event interest will accrue from the date of initial delivery of the Bonds. If, at the date of authentication of any Bond, interest thereon is in default, such Bond will bear interest from the Interest Payment Date to which interest has previously been paid or made available for payment on such outstanding Bond, or if no interest has been paid, from the date of initial delivery of the Bonds. Interest on the Bonds will be computed on the basis of a 360-day year of twelve 30-day months. The Bonds are being issued as fully registered bonds and, when executed and delivered, will be registered in the name of Cede & Co., as nominee of The Depository Trust Company, New York, New York ("DTC). The Bonds will be issued in denominations of $5,000 or any integral multiple thereof. Individual purchases of Bonds will be made in book -entry form only. Payments of principal of and interest on the Bonds are to be made to purchasers by DTC through DTC Participants. Purchasers will not receive physical delivery of the Bonds purchased by them. See APPENDIX F — "BOOK -ENTRY SYSTEM." Redemption Extraordinary Redemption. Extraordinary Redemption of the Series A Bonds. The Series A Bonds and the 2020 Bonds are subject to redemption prior to their respective maturity dates, as a whole or in part on a pro rata basis, on any date from prepayments of the Base Rental Payments made by the City pursuant to the CUBE Lease out of funds received by the City due to a taking of the CUBE Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the CUBE Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Series A Indenture and in the CUBE Lease. Redemption of the Series A Bonds pursuant to this paragraph will be made at a redemption price equal to the sum of the principal of the Series A Bonds to be redeemed plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. See "SECURITY AND SOURCES OF PAYMENT FOR THE BONDS — Insurance Coverages" herein. Extraordinary Redemption of the Series B Bonds. The Series B Bonds and the 2016 Bonds are subject to redemption prior to their respective maturity dates, as a whole or in part on a pro rata basis, on any date from prepayments of the Base Rental Payments made by the City pursuant to the City Hall Lease out of funds received by the City due to a taking of the City Hall Leased Property or any portion thereof under the power of eminent domain or from insurance proceeds received by the City due to damage to or destruction of the City Hall Leased Property or any portion thereof, under the circumstances and upon the conditions and terms prescribed in the Series B Indenture and in the City Hall Lease. Redemption of the Series B Bonds pursuant to this paragraph will be made at a redemption price equal to the sum of the principal of the Series B Bonds to be redeemed plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. See "SECURITY AND SOURCES OF PAYMENT FOR THE BONDS — Insurance Coverages" herein. Optional Redemption. Optional Redemption of the Series A Bonds. The Series A Bonds maturing on or after June 1, 20_ are subject to redemption prior to their respective maturity dates as a whole or in part on any date on or after June 1, 20 , in any order deemed reasonable by the Authority, and by lot within a maturity, from prepayments of CUBE Base Rental Payments made at the option of the City pursuant to the CUBE Lease, at a redemption price equal to the principal amount of the Series A Bonds to be redeemed, plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. The 2020A Bonds, which are parity to the Series A Bonds, are subject to optional redemption on or after June 1, 2028 as provided in the Series A Indenture. The Series 202OA-T Bonds, which are parity to the Series A Bonds, are subject to optional make -whole redemption prior to June 1, 2030 as provided in the Series A Indenture. Optional Redemption of the Series B Bonds. The Series B Bonds maturing on or after December 1, 20_ are subject to redemption prior to their respective maturity dates as a whole or in part on any date on or after December 1, 20 , in any order deemed reasonable by the Authority, and by lot within a maturity, from prepayments of City Hall Base Rental Payments made at the option of the City pursuant to the City Hall Lease, at a redemption price equal to the principal amount of the Series B Bonds to be redeemed, plus accrued but unpaid interest thereon to the date fixed for redemption, without premium. The 2016 Bonds maturing on or after December 1, 2027, which are parity to the Series B Bonds, are subject to optional redemption on or after December 1, 2026 as provided in the Series B Indenture Mandatory Sinking Account Redemption. Mandatory Sinking Account Redemption of the Series A Bonds. The Series A Term Bonds maturing on June 1, 20 and June 1, 20 shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedules on June 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. Series A Term Bonds Maturing June 1, 20 Redemption Date Principal Amount June 1 To be Redeemed Maturity Series A Term Bonds Maturing June 1, 20 Redemption Date Principal Amount (June 1) To be Redeemed Maturity Mandatory Sinking Account Redemption of the Series B Bonds. The Series B Term Bond maturing on December 1, 20 and December 1, 20 , shall be subject to mandatory redemption, in part by lot, from sinking account payments set forth in the following schedules on December 1, in each year shown below until maturity, at a redemption price equal to the principal amount thereof to be redeemed (without premium), together with interest accrued thereon to the date fixed for redemption. Series B Bonds Maturing December 1, 20 Redemption Date Principal Amount (December 1) To be Redeemed Maturity Series B Term Bonds Maturing December 1, 20 Redemption Date Principal Amount (December 1) To be Redeemed Maturity Adjustment of Sinking Account Pam. If some but not all of the Term Bonds of a Series have been redeemed pursuant to mandatory or optional redemptions, the total amount of sinking account payments to be made subsequent to such redemption will be reduced in an amount equal to the principal amount of the Term Bonds of such Series so redeemed by reducing each such future sinking account payment on a pro rata basis (as nearly as practicable) in integral multiples of $5,000, as will be designated pursuant to written notice filed by Authority with the Trustee. In the event of any reductions in the amount of sinking account payments due as a result of some but not all of the Bonds of a Series being redeemed pursuant to extraordinary or optional redemptions, the Authority will provide the Trustee with a revised schedule reflecting such reductions. Selection of Bonds for Redemption Whenever provision is made in the Indenture for the optional redemption of less than all of the Bonds of a Series, the Trustee shall select the Bonds of such Series to be redeemed from all Bonds of that series not previously called for redemption, in such maturities as the Authority shall designate (and by lot within any maturity). For purposes of such selection, all Bonds of a Series will be deemed to be comprised of separate $5,000 portions and such portions shall be treated as separate Bonds, which may be separately redeemed. Notice of Redemption The Trustee on behalf and at the expense of the Authority will mail (by first class mail or other means acceptable to the recipient thereof) notice of any redemption to the respective Owners designated for redemption at their respective addresses appearing on the Registration Books, to the Securities Depositories and to one or more Information Services, at least twenty (20) but not more than sixty (60) days prior to the date fixed for redemption; provided, however, that neither failure to receive any such notice so mailed nor any defect therein shall affect the validity of the proceedings for the redemption of such Bonds or the cessation of the accrual of interest thereon. Such notice shall state the date of the notice, the redemption date, the redemption place and the redemption price and shall designate the CUSIP numbers, the Bond numbers and the maturity or maturities (in the event of redemption of all of the Bonds of such maturity or maturities in whole) of the Bonds to be redeemed, and shall require that such Bonds be then surrendered at the Trust Office of the Trustee for redemption at the redemption price, giving notice also that further interest on such Bonds will not accrue from and after the redemption date. Such notice shall further state, if so determined by the Authority, that such notice may be rescinded at any time prior to the redemption date. Neither the Authority nor the Trustee shall have any responsibility for any defect in the CUSIP number that appears on any Bond or in any redemption notice with respect thereto, and any such redemption notice may contain a statement to the effect that CUSIP numbers have been assigned by an independent service for convenience of reference and that neither the Authority nor the Trustee shall be liable for any inaccuracy in such numbers. Any notice given pursuant to the preceding paragraph may be conditional and/or rescinded by written notice given to the Trustee by the Authority and the Trustee shall provide notice of such rescission as soon thereafter as practicable in the same manner, and to the same recipients, as notice of such redemption was given pursuant to the Indenture. Partial Redemption of Bonds If only a portion of any Bond is called for redemption, then upon surrender of such Bond the Authority shall execute and the Trustee shall authenticate and deliver to the Owner thereof, at the expense of the Authority, a new Bond or Bonds of the same Series, interest rate and maturity date, in aggregate principal amount equal to the unredeemed portion of the Bond being redeemed. Effect of Redemption From and after the date fixed for redemption, if funds available for the payment of the principal of, premium, if any, and interest on the Bonds so called for redemption shall have been duly provided, such Bonds so called shall cease to be entitled to any benefit under the Indenture other than the right to receive payment of the redemption price, and no interest shall accrue thereon from and after the redemption date. All moneys held by or on behalf of the Trustee for the payment of principal of or interest or premium on 10 Bonds, whether at redemption or maturity, shall be held in trust for the account of the Owners thereof and the Trustee shall not be required to pay Owners any interest on, or be liable to Owners for any interest earned on, moneys so held. SECURITY AND SOURCES OF PAYMENT FOR THE SERIES A BONDS General Pursuant to the Series A Indenture, the Series A Bonds will be secured by a first lien on and pledge of all of the Series A Revenues, including all of the moneys in the Lease Revenue Fund, including the Interest Account, the Principal Account and the Redemption Account, and the Insurance and Condemnation Fund established thereunder. The Base Rental Payments relating to the CUBE Lease (the "CUBE Base Rental Payments") will be paid by the City in an amount sufficient to pay the principal of and interest on the 2020 Bonds, the Series A Bonds and any additional bonds issued under the Series A Indenture on each Interest Payment Date. Under the CUBE Lease, in addition to CUBE Base Rental Payments, the City has agreed to pay Additional Rental Payments in such amounts in each year as shall be required for the payment of all costs and expenses (not otherwise paid for or provided for out of the proceeds of sale of the Series A Bonds) incurred by the Authority or the Trustee in connection with the execution, performance or enforcement of the CUBE Lease or the assignment thereof, the Series A Indenture, or the Authority's or the Trustee's interest in the CUBE Leased Property, including, but not limited to, all fees, costs and expenses, all administrative costs of the Authority relating to the CUBE Leased Property (including, without limiting the generality of the foregoing, salaries and wages of employees, overhead, insurance premiums, taxes and assessments (if any), expenses, compensation and indemnification of the Trustee payable by the Authority under the Series A Indenture), fees of auditors, accountants, attorneys or engineers, and all other reasonable and necessary administrative costs of the Authority or charges required to be paid by it to comply with the terms of the Series A Bonds or of the Series A Indenture. The City has agreed in the CUBE Lease to take such action as may be necessary to include all CUBE Base Rental Payments and Additional Rental Payments due under the CUBE Lease in its annual budget and to make the necessary annual appropriations for all such CUBE Base Rental Payments and Additional Rental Payments, subject only to abatement as provided in the CUBE Lease. The covenants on the part of the City contained in the CUBE Lease are duties imposed by law and it will be the duty of each and every public official of the City to take such action and do such things as are required by law in the performance of the official duty of such officials to enable the City to carry out and perform the covenants and agreements in the CUBE Lease agreed to be carried out and performed by the City. Pursuant to the Assignment Agreement relating to the Series A Indenture, the Authority will assign, as further security for its obligations to make timely payment of principal of and interest on the Series A Bonds to the Trustee for the benefit of the Series A Bond Owners certain of the Authority's rights under the CUBE Lease, including the right to receive CUBE Base Rental Payments. Not less than fifteen (15) Business Days preceding each June 1 and December 1, the City is required to pay to the Trustee the CUBE Base Rental Payments coming due on the next succeeding June 1 and December 1, respectively, from any legally available sources. 11 Limited Obligation The Series A Bonds are special obligations of the Authority and, as and to the extent set forth in the Series A Indenture, are payable solely from and secured by a first lien on and pledge of the Series A Revenues as provided in the Series A Indenture. All of the Series A Bonds and the 2020 Bonds are equally secured by a pledge of, and charge and lien upon, all of the Series A Revenues (other than deposits to the Rebate Fund created by the Series A Indenture), and the Series A Revenues (other than deposits to the Rebate Fund created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Series A Bonds and the 2020 Bonds. The full faith and credit of the Authority is not pledged for the payment of the principal of or interest or premium (if any) on the Series A Bonds. The Series A Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Series A Revenues and such other moneys and securities as provided in the Series A Indenture. No Debt Service Reserve The Authority has not undertaken to fund any debt service reserve to secure the payment of debt service on the Series A Bonds. Abatement of CUBE Base Rental Payments The City's obligation to pay CUBE Base Rental Payments is subject to abatement during any period in which by reason of any damage, destruction or condemnation there is substantial interference with the beneficial use by the City of the CUBE Leased Property or any portion thereof. Such abatement may be in an amount such that the resulting CUBE Base Rental Payments in any year during which such interference occurs or continues do not exceed the fair rental value of the portions of the CUBE Leased Property as to which such damage, destruction or taking do not substantially interfere with the City's use and right of possession, as evidenced by a Certificate of the City. Such abatement shall continue for the period commencing with the date of such interference and ending with the restoration of the CUBE Leased Property to tenantable condition. See "RISK FACTORS — Abatement" herein. Insurance Coverages Pursuant to the CUBE Lease, the City will obtain one or more California Land Title Association title policies insuring the City's and Authority's interest in the CUBE Leased Property. The CUBE Lease requires that the City maintain rental interruption insurance in an amount not less than the maximum remaining scheduled CUBE Base Rental Payments in any twenty-four (24) month period to insure against loss of use of the CUBE Leased Property caused by perils covered by required casualty insurance, casualty insurance against loss or damage to any or all of the CUBE Leased Property, workers' compensation insurance, and comprehensive general liability coverage against claims for damages including death, personal injury, bodily injury or property damage arising from operations involving the CUBE Leased Property. While the City currently maintains earthquake insurance, the CUBE Lease does not require the City to obtain or maintain earthquake insurance on the CUBE Leased Property. For additional information regarding insurance coverages required by the CUBE Lease, see APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS — The Lease — Insurance." Additional Bonds The Authority has agreed pursuant to the Series A Indenture that no additional bonds, notes or indebtedness shall be issued or incurred that are payable out of the Series A Revenues in whole or in part, other than Additional Bonds as provided in the Series A Indenture. However, the City may issue or incur 12 other obligations payable from the City's General Fund. The parties to the CUBE Lease have acknowledged that the annual fair rental value of the CUBE Leased Property is equal to or greater than the maximum annual CUBE Base Rental Payments and it is possible that the CUBE Lease will be amended to release a portion of the CUBE Leased Property or increase the CUBE Base Rental Payments for the purpose of Additional Bonds. See "RISK FACTORS — No Limitation on Incurring Additional Obligations" herein. The Authority and the Trustee may by execution of a Supplemental Indenture, without the consent of the Owners, provide for the issuance and delivery of Additional Bonds in one or more series. Upon the Request of the Authority, the Trustee may authenticate and deliver Additional Bonds in an aggregate principal amount authorized by such Supplemental Indenture. The proceeds of such Additional Bonds may be used for any purpose, including for the purpose of refunding Outstanding Bonds. Such Additional Bonds may only be issued upon compliance by the Authority with the provisions of the Series A Indenture, and subject to the following specific conditions, which are made conditions precedent to the issuance of any such Additional Bonds: (a) The Authority will not be in default under the Series A Indenture or any Supplemental Indenture, as evidenced by a Certificate of the Authority, and the City will not be in default under the CUBE Lease, as evidenced by a Certificate of the City; (b) A Supplemental Indenture may provide for the funding of a debt service reserve for such Additional Bonds; (c) The Additional Bonds will be payable as to principal on June 1 of each year in which principal is due and will be payable as to interest on each Interest Payment Date; (d) The aggregate principal amount of Series A Bonds issued and at any time Outstanding under the Series A Indenture or under any Supplemental Indenture will not exceed any limit imposed by law, by the Series A Indenture or by any Supplemental Indenture, as evidenced by a Certificate of the Authority and the City; (e) The CUBE Lease will have been amended so as to increase the base rental payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds, payable at such times and in such manner as may be necessary to provide for the payment of the principal and interest on such Additional Bonds, as evidenced by a Certificate of the City; (f) The Supplemental Indenture will provide redemption dates and/or for the mandatory redemption of Additional Bonds in amounts sufficient to provide for payment of the Additional Bonds when the applicable CUBE Base Rental Payments are due; and (g) The Supplemental Indenture will prescribe the form or forms of such Additional Bonds, and subject to the provisions hereof, will provide for the distinctive designation, denominations, dates, principal payment dates, interest payment dates, interest rates, provisions for redemption, and places of payment for principal and interest. Any Additional Bonds will be on a parity with, and each Owner thereof will have the same rights upon an Event of Default as the Owner of, any other Series A Bonds issued and delivered under the Series A Indenture, except as otherwise provided in the Supplemental Indenture under which Additional Bonds are issued. 13 Parity Debt The Series A Bonds constitute Additional Bonds under the Series A Indenture and are issued by the Authority on a parity with 2020 Bonds. Maintenance, Utilities, Taxes and Assessments During such time as the City or any assignee or sublessee thereof is in possession of the CUBE Leased Property, all maintenance and repair, ordinary or extraordinary, of the CUBE Leased Property will be the responsibility of the City, and the City will pay for, or otherwise arrange for the payment of, (a) all utility services supplied to the CUBE Leased Property, (b) the cost of operation of the CUBE Leased Property, and (c) the costs of maintenance of and repair to the CUBE Leased Property resulting from ordinary wear and tear or want of care on the part of the City. The City will, at the City's sole cost and expense, keep and maintain the CUBE Leased Property clean and in a safe and good condition and repair. The Authority has no obligation to alter, remodel, improve, repair, decorate, or paint the CUBE Leased Property or any part thereof. The City will comply with all statutes, ordinances, regulations, and other requirements of all governmental entities that pertain to the occupancy or use of the CUBE Leased Property. The Authority has no responsibility or obligation whatsoever to construct any improvements, modifications or alterations to the CUBE Leased Property. The Authority and the City contemplate that the CUBE Leased Property will be used for public purposes by the City and, therefore, that the CUBE Leased Property will continue to be exempt from all taxes presently assessed and levied with respect to real and personal property. In the event that the use, possession or acquisition by the Authority or the City of the CUBE Leased Property is found to be subject to taxation in any form, the City will pay during the term of the CUBE Lease, as the same respectively become due, all taxes and governmental charges of any kind whatsoever that may at any time be lawfully assessed or levied against or with respect to the CUBE Leased Property and any other property acquired by the City in substitution for, as a renewal or replacement of, or a modification, improvement or addition to the CUBE Leased Property; provided, that with respect to any governmental charges or taxes that may lawfully be paid in installments over a period of years, the City will be obligated to pay only such installments as are accrued during such time as the CUBE Lease is in effect. Substitution and Release of Property The City will have, so long as the CUBE Lease is in effect, the option at any time and from time to time, to substitute other real property (the "Substitute Property") for any portion of the CUBE Leased Property (the "Former Property") or release any identifiable real property and/or improvements currently constituting the Leased Property (in such case, Substitute Property will mean the Former Property less any portion released pursuant to the CUBE Lease); provided, that the City will satisfy all of the following requirements, which are conditions precedent to such substitution: (a) No default under the CUBE Lease or Event of Default under the Series A Indenture will have occurred and be continuing; (b) The City will file with the Authority and the Trustee, and cause to be recorded in the office of the County Recorder, sufficient memorialization of amendments to the CUBE Lease and the CUBE Site Lease with a description of such Substitute Property which deletes therefrom the description of the Former Property; 14 (c) The City will obtain an extended California Land Title Association ("CLTA") policy of title insurance insuring the City's fee or leasehold estate in such Substitute Property, the City's leasehold estate under the CUBE Lease, and the Authority's leasehold estate under the CUBE Site Lease in such Substitute Property, subject only to Permitted Encumbrances, in an amount not less than the aggregate principal amount of the Outstanding Series A Bonds and 2020 Bonds; provided, however, that this requirement will not apply to Substitute Property that consists only of Former Property less any released portion; (d) The City will provide a Certificate of the City to the Authority and to the Trustee that such Substitute Property constitutes property which the City is permitted to lease under the laws of the State; (e) The substitution of the Substitute Property will not cause the City to violate any of its covenants, representations and warranties made in the CUBE Lease; (f) The City will file with the Authority and the Trustee a Certificate of the City or other evidence which establishes that the annual fair rental value of the Substitute Property after substitution or release will be at least equal to 100% of the maximum amount of the CUBE Base Rental Payments becoming due in the then current fiscal year or in any subsequent fiscal year and the useful economic life of the Substitute Property will be at least equal to the maximum remaining term of the CUBE Lease; and (g) The City will furnish to the Trustee an opinion of Bond Counsel addressed to the Trustee, the City and the Authority to the effect that the substitution or release is permitted under the CUBE Lease and will not in and of itself (i) impair the validity and enforceability of the CUBE Lease or (ii) impair the exclusion of interest on the Series A Bonds, the 2020 Bonds and, if applicable, any Additional Bonds from the gross income of the owners thereof for federal income tax purposes. Upon the satisfaction of all such conditions precedent, and upon the City delivering to the Authority and the Trustee a Certificate of the City certifying that the conditions set forth in subsections (a), (c) and (e) above have been satisfied, the Term of the CUBE Lease will thereupon end as to the CUBE Leased Property and will thereupon commence as to the Substitute Property, and all references to the CUBE Leased Property will apply with full force and effect to the Substitute Property. The City will not be entitled to any reduction, diminution, extension or other modification of the CUBE Base Rental Payments whatsoever as a result of any substitution or removal under the CUBE Lease. [The parties to the CUBE Lease have acknowledged that the annual fair rental value of the CUBE Leased Property is in excess of the maximum annual CUBE Base Rental Payments and it is likely that the CUBE Lease will be amended to release a portion of the Leased Property or increase the CUBE Base Rental Payments for the purpose of Additional Bonds. Without substituting or releasing any of the CUBE Leased Property, the City and the Authority may amend the CUBE Lease to increase the amount of CUBE Base Rental Payment payable thereunder for the purpose of allowing the Authority to issue Additional Bonds pursuant to the Series A Indenture; provided the City will provide the Trustee and the Authority (1) a Certificate of the City certifying that the value of the CUBE Leased Property will not be less than the aggregate principal amount of the Outstanding Series A Bonds, 2020 Bonds and Additional Bonds to be issued, and (ii) a new or amended extended CLTA policy of title insurance in an amount not less than the aggregate principal amount of the Outstanding Series A Bonds, 2020 Bonds and Additional Bonds to be issued.] 15 SECURITY AND SOURCES OF PAYMENT FOR THE SERIES B BONDS General Pursuant to the Series B Indenture, the Series B Bonds will be secured by a first lien on and pledge of all of the Series B Revenues, including all of the moneys in the Lease Revenue Fund, including the Interest Account, the Principal Account and the Redemption Account, and the Insurance and Condemnation Fund established thereunder. The Base Rental Payments relating to the City Hall Lease (the "City Hall Base Rental Payments") will be paid by the City in an amount sufficient to pay the principal of and interest on the 2016 Bonds, the Series B Bonds and any additional bonds issued under the Series B Indenture on each Interest Payment Date. Under the City Hall Lease, in addition to City Hall Base Rental Payments, the City has agreed to pay Additional Rental Payments in such amounts in each year as shall be required for the payment of all costs and expenses (not otherwise paid for or provided for out of the proceeds of sale of the Series B Bonds) incurred by the Authority or the Trustee in connection with the execution, performance or enforcement of the City Hall Lease or the assignment thereof, the Series B Indenture, or the Authority's or the Trustee's interest in the City Hall Leased Property, including, but not limited to, all fees, costs and expenses, all administrative costs of the Authority relating to the City Hall Leased Property (including, without limiting the generality of the foregoing, salaries and wages of employees, overhead, insurance premiums, taxes and assessments (if any), expenses, compensation and indemnification of the Trustee payable by the Authority under the Series B Indenture), fees of auditors, accountants, attorneys or engineers, and all other reasonable and necessary administrative costs of the Authority or charges required to be paid by it to comply with the terms of the Series B Bonds or of the Series B Indenture. The City has agreed in the City Hall Lease to take such action as may be necessary to include all City Hall Base Rental Payments and Additional Rental Payments due under the City Hall Lease in its annual budget and to make the necessary annual appropriations for all such City Hall Base Rental Payments and Additional Rental Payments, subject only to abatement as provided in the City Hall Lease. The covenants on the part of the City contained in the City Hall Lease are duties imposed by law and it will be the duty of each and every public official of the City to take such action and do such things as are required by law in the performance of the official duty of such officials to enable the City to carry out and perform the covenants and agreements in the City Hall Lease agreed to be carried out and performed by the City. Pursuant to the Assignment Agreement relating to the Series B Indenture, the Authority will assign, as further security for its obligations to make timely payment of principal of and interest on the Series B Bonds to the Trustee for the benefit of the Series B Bond Owners certain of the Authority's rights under the City Hall Lease, including the right to receive City Hall Base Rental Payments. Not less than fifteen (15) Business Days preceding each June 1 and December 1, the City is required to pay to the Trustee the City Hall Base Rental Payments coming due on the next succeeding June I and December 1, respectively, from any legally available sources. Limited Obligation The Series B Bonds are special obligations of the Authority and, as and to the extent set forth in the Series B Indenture, are payable solely from and secured by a first lien on and pledge of the Series B Revenues as provided in the Series B Indenture. All of the Series B Bonds and the 2016 Bonds are equally secured by a pledge of, and charge and lien upon, all of the Series B Revenues (other than deposits to the Rebate Fund created by the Series B Indenture), and the Series B Revenues (other than deposits to the Rebate Fund created by the Indenture) constitute a trust fund for the security and payment of the principal of and interest on the Series B Bonds and the 2016 Bonds. The full faith and credit of the Authority is not pledged for the payment of the principal of or interest or premium (if any) on the Series B Bonds. The Series B Bonds are not secured by a legal or equitable pledge of, or charge, lien or encumbrance upon, any of the property of the Authority or any of its income or receipts, except the Series B Revenues and such other moneys and securities as provided in the Series B Indenture. No Debt Service Reserve The Authority has not undertaken to fund any debt service reserve to secure the payment of debt service on the Series B Bonds. Abatement of City Hall Base Rental Payments The City's obligation to pay City Hall Base Rental Payments is subject to abatement during any period in which by reason of any damage, destruction or condemnation there is substantial interference with the beneficial use by the City of the City Hall Leased Property or any portion thereof. Such abatement may be in an amount such that the resulting City Hall Base Rental Payments in any year during which such interference occurs or continues do not exceed the fair rental value of the portions of the City Hall Leased Property as to which such damage, destruction or taking do not substantially interfere with the City's use and right of possession, as evidenced by a Certificate of the City. Such abatement shall continue for the period commencing with the date of such interference and ending with the restoration of the City Hall Leased Property to tenantable condition. See "RISK FACTORS — Abatement" herein. Insurance Coverages Pursuant to the City Hall Lease, the City will obtain one or more California Land Title Association title policies insuring the City's and Authority's interest in the City Hall Leased Property. The City Hall Lease requires that the City maintain rental interruption insurance in an amount not less than the maximum remaining scheduled City Hall Base Rental Payments in any twenty-four (24) month period to insure against loss of use of the City Hall Leased Property caused by perils covered by required casualty insurance, casualty insurance against loss or damage to any or all of the City Hall Leased Property, workers' compensation insurance, and comprehensive general liability coverage against claims for damages including death, personal injury, bodily injury or property damage arising from operations involving the City Hall Leased Property. While the City currently maintains earthquake insurance, the City Hall Lease does not require the City to obtain or maintain earthquake insurance on the City Hall Leased Property. For additional information regarding insurance coverages required by the City Hall Lease, see APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS — The Lease — Insurance." Additional Bonds The Authority has agreed pursuant to the Series B Indenture that no additional bonds, notes or indebtedness shall be issued or incurred that are payable out of the Series B Revenues in whole or in part, other than Additional Bonds as provided in the Series B Indenture. However, the City may issue or incur other obligations payable from the City's General Fund. The parties to the City Hall Lease have acknowledged that the annual fair rental value of the City Hall Leased Property is equal to or greater than the maximum annual City Hall Base Rental Payments and it is possible that the City Hall Lease will be amended to release a portion of the City Hall Leased Property or increase the City Hall Base Rental Payments for the purpose of Additional Bonds. See "RISK FACTORS — No Limitation on Incurring Additional Obligations" herein. 17 The Authority and the Trustee may by execution of a Supplemental Indenture, without the consent of the Owners, provide for the issuance and delivery of Additional Bonds in one or more series. Upon the Request of the Authority, the Trustee may authenticate and deliver Additional Bonds in an aggregate principal amount authorized by such Supplemental Indenture. The proceeds of such Additional Bonds may be used for any purpose, including for the purpose of refunding Outstanding Bonds. Such Additional Bonds may only be issued upon compliance by the Authority with the provisions of the Series B Indenture, and subject to the following specific conditions, which are made conditions precedent to the issuance of any such Additional Bonds: (a) The Authority will not be in default under the Series B Indenture or any Supplemental Indenture, as evidenced by a Certificate of the Authority, and the City will not be in default under the City Hall Lease, as evidenced by a Certificate of the City; (b) A Supplemental Indenture may provide for the funding of a debt service reserve for such Additional Bonds; (c) The Additional Bonds will be payable as to principal on December I of each year in which principal is due and will be payable as to interest on each Interest Payment Date; (d) The aggregate principal amount of Series B Bonds issued and at any time Outstanding under the Series B Indenture or under any Supplemental Indenture will not exceed any limit imposed by law, by the Series B Indenture or by any Supplemental Indenture, as evidenced by a Certificate of the Authority and the City; (e) The City Hall Lease will have been amended so as to increase the base rental payments payable by the City thereunder by an aggregate amount equal to the principal and interest due and payable on such Additional Bonds, payable at such times and in such manner as may be necessary to provide for the payment of the principal and interest on such Additional Bonds, as evidenced by a Certificate of the City; (f) The Supplemental Indenture will provide redemption dates and/or for the mandatory redemption of Additional Bonds in amounts sufficient to provide for payment of the Additional Bonds when the applicable City Hall Base Rental Payments are due; and (g) The Supplemental Indenture will prescribe the form or forms of such Additional Bonds, and subject to the provisions hereof, will provide for the distinctive designation, denominations, dates, principal payment dates, interest payment dates, interest rates, provisions for redemption, and places of payment for principal and interest. Any Additional Bonds will be on a parity with, and each Owner thereof will have the same rights upon an Event of Default as the Owner of, any other Series B Bonds issued and delivered under the Series B Indenture, except as otherwise provided in the Supplemental Indenture under which Additional Bonds are issued. 18 Parity Debt The Series B Bonds constitute Additional Bonds under the Series B Indenture and are issued by the Authority on a parity with 2016 Bonds. Maintenance, Utilities, Taxes and Assessments During such time as the City or any assignee or sublessee thereof is in possession of the City Hall Leased Property, all maintenance and repair, ordinary or extraordinary, of the City Hall Leased Property will be the responsibility of the City, and the City will pay for, or otherwise arrange for the payment of, (a) all utility services supplied to the City Hall Leased Property, (b) the cost of operation of the City Hall Leased Property, and (c) the costs of maintenance of and repair to the City Hall Leased Property resulting from ordinary wear and tear or want of care on the part of the City. The City will, at the City's sole cost and expense, keep and maintain the City Hall Leased Property clean and in a safe and good condition and repair. The Authority has no obligation to alter, remodel, improve, repair, decorate, or paint the City Hall Leased Property or any part thereof. The City will comply with all statutes, ordinances, regulations, and other requirements of all governmental entities that pertain to the occupancy or use of the City Hall Leased Property. The Authority has no responsibility or obligation whatsoever to construct any improvements, modifications or alterations to the City Hall Leased Property. The Authority and the City contemplate that the City Hall Leased Property will be used for public purposes by the City and, therefore, that the City Hall Leased Property will continue to be exempt from all taxes presently assessed and levied with respect to real and personal property. In the event that the use, possession or acquisition by the Authority or the City of the City Hall Leased Property is found to be subject to taxation in any form, the City will pay during the term of the City Hall Lease, as the same respectively become due, all taxes and governmental charges of any kind whatsoever that may at any time be lawfully assessed or levied against or with respect to the City Hall Leased Property and any other property acquired by the City in substitution for, as a renewal or replacement of, or a modification, improvement or addition to the City Hall Leased Property; provided, that with respect to any governmental charges or taxes that may lawfully be paid in installments over a period of years, the City will be obligated to pay only such installments as are accrued during such time as the City Hall Lease is in effect. Substitution and Release of Property The City will have, so long as the City Hall Lease is in effect, the option at any time and from time to time, to substitute other real property (the "Substitute Property") for any portion of the City Hall Leased Property (the "Former Property") or release any identifiable real property and/or improvements currently constituting the Leased Property (in such case, Substitute Property will mean the Former Property less any portion released pursuant to the City Hall Lease); provided, that the City will satisfy all of the following requirements, which are conditions precedent to such substitution: (a) No default under the City Hall Lease or Event of Default under the Series B Indenture will have occurred and be continuing; (b) The City will file with the Authority and the Trustee, and cause to be recorded in the office of the County Recorder, sufficient memorialization of amendments to the City Hall Lease and the City Hall Site Lease with a description of such Substitute Property which deletes therefrom the description of the Former Property; 19 (c) The City will obtain an extended California Land Title Association ("CLTA") policy of title insurance insuring the City's fee or leasehold estate in such Substitute Property, the City's leasehold estate under the City Hall Lease, and the Authority's leasehold estate under the City Hall Site Lease in such Substitute Property, subject only to Permitted Encumbrances, in an amount not less than the aggregate principal amount of the Outstanding Series B Bonds and 2016 Bonds; provided, however, that this requirement will not apply to Substitute Property that consists only of Former Property less any released portion; (d) The City will provide a Certificate of the City to the Authority and to the Trustee that such Substitute Property constitutes property which the City is permitted to lease under the laws of the State; (e) The substitution of the Substitute Property will not cause the City to violate any of its covenants, representations and warranties made in the City Hall Lease; (f) The City will file with the Authority and the Trustee a Certificate of the City or other evidence which establishes that the annual fair rental value of the Substitute Property after substitution or release will be at least equal to 100% of the maximum amount of the City Hall Base Rental Payments becoming due in the then current fiscal year or in any subsequent fiscal year and the useful economic life of the Substitute Property will be at least equal to the maximum remaining term of the City Hall Lease; and (g) The City will furnish to the Trustee an opinion of Bond Counsel addressed to the Trustee, the City and the Authority to the effect that the substitution or release is permitted under the City Hall Lease and will not in and of itself (1) impair the validity and enforceability of the City Hall Lease or (ii) impair the exclusion of interest on the Series B Bonds, the 2016 Bonds and, if applicable, any Additional Bonds from the gross income of the owners thereof for federal income tax purposes. Upon the satisfaction of all such conditions precedent, and upon the City delivering to the Authority and the Trustee a Certificate of the City certifying that the conditions set forth in subsections (a), (c) and (e) above have been satisfied, the Term of the City Hall Lease will thereupon end as to the City Hall Leased Property and will thereupon commence as to the Substitute Property, and all references to the City Hall Leased Property will apply with full force and effect to the Substitute Property. The City will not be entitled to any reduction, diminution, extension or other modification of the City Hall Base Rental Payments whatsoever as a result of any substitution or removal under the City Hall Lease. The parties to the City Hall Lease have acknowledged that the annual fair rental value of the City Hall Leased Property is in excess of the maximum annual City Hall Base Rental Payments and it is likely that the City Hall Lease will be amended to release a portion of the Leased Property or increase the City Hall Base Rental Payments for the purpose of Additional Bonds. Without substituting or releasing any of the City Hall Leased Property, the City and the Authority may amend the City Hall Lease to increase the amount of City Hall Base Rental Payment payable thereunder for the purpose of allowing the Authority to issue Additional Bonds pursuant to the Series B Indenture; provided the City will provide the Trustee and the Authority (i) a Certificate of the City certifying that the value of the City Hall Leased Property will not be less than the aggregate principal amount of the Outstanding Series B Bonds, 2016 Bonds and Additional Bonds to be issued, and (ii) a new or amended extended CLTA policy of title insurance in an amount not less than the aggregate principal amount of the Outstanding Series B Bonds, 2016 Bonds and Additional Bonds to be issued. EXISTING GENERAL FUND INDEBTEDNESS On June 22, 2016, the Authority issued the 2016 Bonds in the principal amount of $10,320,000, secured by base rental payments made by the City under the City Hall Lease, which debt service payments 20 are payable from the City's General Fund and are due on June 1 and December 1 of each year through 2035. The unpaid balance as of June 30, 2022, was $7,930,000. Also on June 22, 2016, the Authority issued its Lease Revenue Bonds (Open Space and Parkland Acquisition Program) Series 2016B (the "Series 2016B Bonds") in the principal amount of $14,020,000, secured by base rental payments made by the City under a lease of the Aquatics Center and Sports Complex of the City located at 20870 Centre Pointe Parkway within the City, which debt service payments are payable from the City's General Fund (but are being funded from the City's assessment revenue from its Open Space Preservation District) and are due on April 1 and October 1 of each year through 2037. The unpaid balance as of June 30, 2022, was $12,020,000. On June 27, 2019, the Authority issued its Lease Revenue Bonds (Sheriff Station Project), Series 2019 (the "Series 2019 Bonds") in the principal amount of $25,850,000, secured by base rental payments made by the City under a lease of the sheriff station located at 26201 Golden Valley Road within the City, which debt service payments are payable from the City's General Fund and are due on June 1 and December 1 of each year through June 1, 2049. The unpaid principal balance as of June 30, 2022, was $25,345,000. On October 22, 2020, the Authority issued the 2020A Bonds in the principal amount of $10,645,000, secured by base rental payments made by the City under the CUBE Lease, which debt service payments are payable from the City's General Fund and are due on June 1 and December 1 of each year through June 1, 2050. The unpaid principal balance as of June 30, 2022, was $10,645,000. Also on October 22, 2020, the Authority issued the 202OA-T Bonds in the principal amount of $3,625,000, secured by base rental payments made by the City under the CUBE Lease, which debt service payments are payable from the City's General Fund and are due on June 1 and December 1 of each year through June 1, 2030. The unpaid principal balance as of June 30, 2022, was $2,790,000. See "THE CITY — Outstanding Indebtedness of the City." PLAN OF FINANCE General Proceeds of the Series A Bonds will be used to finance a portion of the costs of the 2022 Project, and pay the costs of issuing the Series A Bonds. Proceeds of the Series B Bonds will be used to finance a portion of the costs of the 2022 Project, and pay the costs of issuing the Series B Bonds. In August 2012, the City completed its Climate Action Plan (CAP) as part of the One Valley One Vision (OVOV) general plan process. OVOV serves as the new general plan document for the City. The State requires all cities that create a new general plan document to consider its impacts on greenhouse gas emissions. In order to do so, cities must complete a CAP. The CAP must achieve the emission reduction goals outlined by the Global Warming Solutions Act of 2006 (AB 32). AB 32 requires that statewide greenhouse gas emissions must be reduced to 1990 levels by the year 2020. Measures identified in the City's CAP will not only meet but exceed the State's AB 32 greenhouse gas emission reduction mandate. A large portion of the greenhouse gas emissions reductions would be achieved by the decrease in vehicle miles traveled in the City via changes in land use patterns and a greater emphasis of transit and alternative transportation programs. Other significant reductions are due to the creation or acquisition of new vegetated space in line with the goals of the City's Open Space Preservation District and water use measures. Applying estimated reductions from CAP measures shows that the resulting 2020 net emissions are 21 expected to be approximately 4% below the 2005 baseline level. The reduction represents a level that is 17% below the 2020 business -as -usual (BAU) emissions level and is consistent with the overall Statewide Goals of AB 32. The 2022 Project, also known as the "City of Santa Clarita Energy Infrastructure Modernization Program," was approved by the Council on September 27, 2022, and will help the City to make significant progress in reducing greenhouse gas emissions and meeting the Statewide Goals of AB 32. By reducing energy consumption 4,567,659 kWh per year, the City will reduce greenhouse gas emissions by 3,322 metric tons annually. Per the City's 2021 Climate Action Plan, the City's municipal operations contributed 2% of the City's total greenhouse gas emissions. The reduction of 3,322 MTCO2 annually through the 2022 Project will represent a 9.62% reduction in the City's contribution of CO2 annually and a 9.68% reduction compared to the projected 2020 BAU MTCO2levels. The energy saved through the 2022 Project efforts is enough to power 646 Santa Clarita homes every year and the equivalent of taking 716 gas -powered off the road every year. Further, the City will be converting to renewable sources of power at its highest energy using sites and parks including six sites of solar photovoltaic and three sites of solar thermal. As part of the Santa Clarita 2025 Strategic Plan, the City Council identified a goal of completing energy efficiency upgrades to all City facilities. The intent of completing these upgrades is to save money, reduce greenhouse gas emissions, and meet growing energy demand. By investing in efficient infrastructure, the City will achieve substantial long-term energy cost savings and demonstrate environmental leadership. To achieve this objective, a Request for Proposals (RFP) was posted on June 14, 2021, seeking a qualified energy services company capable of developing and implementing projects that are consistent with the City's desire to deliver the best and most cost-efficient municipal services. On November 9, 2021, Climatec, LLC., Anaheim, California ("Climatec"), was selected to develop an energy efficiency audit inclusive of a viable comprehensive energy conservation plan. Climatec conducted comprehensive site assessments identifying energy efficiency improvement measures and developed the preliminary and final scope and plan. Climatec will implement the final program with the construction of the improvements. Following acceptance of the improvements, Climatec will measure and verify savings. The 2022 Project will promote operational efficiencies by modernizing and centralizing the controls for outdated irrigation systems at City parks and outdated HVAC systems at City facilities. The 2022 Project is expected to result in utility savings. Additionally, installation of solar infrastructure at City facilities now will allow the City to be grandfathered into the Net Energy Metering (NEM) 2.0 program, which allows the City to receive bill credits for the excess electricity that the solar panels will produce. The 2022 Project also demonstrates the City's commitment to environmental stewardship. Bonds Designation as Green Bonds The Bonds are designated as "Green Bonds" to allow investors to invest directly in bonds that finance environmentally beneficial projects. Proceeds of the Bonds are being used to finance a portion of the 2022 Project. See "General" and "2022 Project" below. The terms "Green Bonds" and "green project" are neither defined in nor related to provisions in either Indenture or otherwise defined under State or federal laws. The use of such terms herein is for identification purposes only and is not intended to provide or imply that an owner of the Bonds is entitled to any additional security other than as provided in the Indentures. The purpose of labeling the Bonds as "Green Bonds" is, as noted, to allow owners of the Bonds to invest directly in bonds that are expected to finance environmentally beneficial projects. The repayment obligations of the City with respect to the Bonds are not conditioned on the satisfaction of any certification relating to the status of the Bonds as Green Bonds. Neither the Authority nor the City assumes any obligation to ensure that the projects funded with 22 the proceeds of the Bonds comply with any legal or other principles of green projects as such principles may evolve over time. No representation is made as to the suitability of the Bonds to fulfill environmental criteria required by prospective investors. Each potential purchaser of the Bonds should determine for itself the relevance of the information contained or referred to herein or in the Indentures regarding the use of proceeds and its purchase of the Bonds should be based upon such investigation as it deems necessary. See "RISK FACTORS — Green Bonds." 2022 Project The analysis of City facilities identified opportunities for Energy Conservation Measures (ECM) at 36 different sites. Most of the sites are proposed to receive high efficiency HVAC modernizations, modern building automated systems (BAS), and lighting upgrades. Some of the sites will receive solar energy generating structures in the parking lots. In addition to those improvements, the CUBE Leased Property will receive a new roof, and high efficiency improvements to the ice refrigeration system. The 2022 Project consists of financing certain energy efficiency improvements associated with City buildings and facilities, including but not limited to, HVAC, lighting, water conservation, solar, and refrigeration improvements. The total cost for the 2022 Project is $35.1 million, of which approximately $15 million will be funded with cash initially, with $3 million reimbursed from an expected California Energy Commission Loan. The remaining amount of approximately $20 million would be financed from proceeds of the Bonds. Below is a list of the estimated turnkey price for the 2022 Project to be completed by Climatec. Construction is scheduled to commence in 2023 and is estimated to take approximately 24 months to complete. [Remainder ofpage intentionally left blank.] 23 CITY OF SANTA CLARITA ENERGY EFFICIENCY MODERNIZATION PROGRAM RENEWABLE ENERGY PROJECTS Estimated Turnkey Price Solar Parking Structures $8,541,583 Energy Storage 2,004,379 Pool Solar Thermal 363,764 TOTAL RENEWABLE ENERGY PROJECTS $10,909,726 OTHER PROJECTS Estimated Turnkey Price High Efficiency HVAC Modernizations $5,527,360 Building Automation Systems (BAS) 1,112,286 Interior and Exterior Lighting 3,046,768 Sports Field Lighting 5,534,786 Building Envelope (Window Improvements) 181,118 Building Envelope (Roofing & Insulation) 2,562,040 Smart Irrigation Systems 831,300 Ice Rink Refrigeration Systems + Upsizing 4,671,218 Electrical Upgrades (Transformers) 752,865 TOTAL OTHER PROJECTS $24,219,741 ALL PROJECTS COMBINED $35,129,467 Source: City of Santa Clarita; Climatec Report. Below is a summary of the estimated detailed scope of work throughout all of the facilities: ESTIMATED SCOPE OF WORK High Efficiency HVAC at 15 sites Ventilation and filtration improvements at sites Building Automated Systems (BAS) at 24 sites Existing BAS integration at 1 site Sports field LED lighting at 7 sites Interior LED lighting at 27 sites Exterior LED lighting at 36 sites Occupancy sensors at 30 sites Roof replacement at 1 site Window film at 2 sites Solar at 6 sites Solar thermal water heating at 3 sites Battery storage systems at 2 sites Smart irrigation controllers at 24 sites Efficient water heaters at 1 site Upgraded ice rink refrigeration at 1 site New dehumidification system at 1 site Ice Purification System at 1 site Efficient transformers at 14 sites Source: City of Santa Clarita; Climatec Report. 24 2022 Projects for Leased Property The table below lists the portion of the 2022 Project and the energy efficiency improvements planned for the CUBE Leased Property and the City Hall Leased Property. The City does not anticipate interruption in occupancy for the CUBE Leased Property or the City Hall Leased Property or abatement of Base Rental Payments due to the installation of the improvements. CITY OF SANTA CLARITA ENERGY EFFICIENCY MODERNIZATION PROGRAM LEASED PROPERTY New Building Automation Systems & Integrations $ 188,770 City Hall $ 293,831 TOTALTheCUBE $ 482,601 High Efficiency HVAC Modernizations 1,749,549 1,298,293 3,047,842 High Efficiency Interior & Exterior Lighting 102,028 331,318 433,346 Solar Parking Structures 2,028,348 1,069,586 3,097,937 Energy Storage System - 845,614 845,614 Window Improvements - 113,539 113,539 New Roofing & Insulation 1,963,826 - 1,963,826 High Efficiency Refrigeration System 3,580,529 - 3,580,529 High Efficiency Transformers 79,548 164,868 244,416 En ineerin & Design 485,366 297,638 7831004 Project Management & Sip2ervision SUBTOTALSSITE 319,856 1. ; •$15,048,373 1 135,863 1 455,719 Source: City of Santa Clarita. Climatec CUBE Leased Property The CUBE Leased Property, or Recreational Facility, consists of an approximately 4.4 acre parcel at 27745 Smyth Drive within the City, along with a 92,751 square foot recreational facility located thereon owned by the City. The Recreational Facility was purchased by the City on October 2, 2020 for $14,200,000 from Arena Development Group, LLC, and renamed "The CUBE- Ice and Entertainment Center, Powered by FivePoint Valencia." The Recreational Facility was originally constructed in 2000 and included three ice rinks (Olympic, NHL, and Figure Skating), a lobby, arcade, kitchen, food/concession area, locker rooms, offices, training center and pro shop. The CUBE supports ice sports, business meetings, conferences, tradeshows and other recreational type activities and events that benefit the City. To date, the City has spent approximately $[3] million to repair, improve and rehabilitate the CUBE. As indicated previously, $10.5 million additional improvements associated with the City's Energy Efficiency Modernization Program are anticipated to be made to the CUBE. The present zoning of the CUBE Leased Property allows for retail commercial, warehouse uses, clean industrial uses, offices related to industrial use, research and development. The Recreational Facility exceeds the parking requirement with 328 parking spaces, including 7 accessible spaces and I van accessible space. The Recreational Facility is a concrete block and stucco, single -story building with a mezzanine (type II construction), and the minimum roofing classification for this building is Class B, built 25 in December 2000. The Recreational Facility includes 71,286± square feet on the ground floor with 21,465± square feet of mezzanine space. The building has 3,500± square feet of office space, including mercantile space and a meeting room, 30 feet of roof height, central air conditioning, twelve restrooms and sprinklers. The roof is composition covered with skylights. Along with hockey, ice skating, curling, special events and other recreational activities at the CUBE, recent events that have taken place at the CUBE include the United States Figure Skating 2022 National Solo Dance Final hosted by The Figure Skating Club of Southern California and a Community Day in which first responders, veterans, and up to four of their family members had admission and public skate fees waived, along with free skate lessons and meet -and -greet with Bailey and the Los Angeles Kings Crew for the public. Upcoming events include the UCLA Men's Ice Hockey Team's first home game at The Cube and the Holiday Tree Lighting Ceremony and two holiday shows. The City, based upon insurance coverage estimates, values the Recreational Facility at more than $27 million not including the land value of the site which encompasses over four (4) acres. The City estimates that the total value of the real property comprising the CUBE Leased Property is at least equivalent to the principal amount of the 2020 Bonds and the Series A Bonds. None of the CUBE Leased Property is located in a 100 year flood plain or fire hazard zone. The CUBE Leased Property is leased from the City to the Authority pursuant to the CUBE Site Lease and the Authority then leases it back to the City pursuant to the CUBE Lease. Under the CUBE Lease, the City is required to maintain the CUBE Leased Property in working order. The City covenants in the CUBE Lease to obtain and maintain certain insurance with specified minimum coverages for the CUBE Leased Property. See "SECURITY AND SOURCES OF PAYMENT OF THE BONDS — Insurance Coverages" and APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS — The Lease — Insurance." The City has a blanket insurance policy for real property issued through the California Joint Powers Insurance Authority ("CAJPIA"). See "THE CITY — Risk Management" herein. Pursuant to the CUBE Lease, the City has the right to substitute alternate real property or improvements for the CUBE Leased Property, release existing property or add additional real property or improvements to the CUBE Leased Property. See "SECURITY AND SOURCES OF PAYMENT FOR THE BONDS — Substitution and Release of Property" herein. W CUBE LEASED PROPERTY 27 am CUBE - EXTERIOR CUBE INTERIOR 28 City Hall Leased Property The City Hall Leased Property consists of the City Hall building and City Hall site located at 23920 Valencia Boulevard in the City of Santa Clarita. The three story, 74,325-square foot City Hall building was constructed in 1986 for an approximate cost of $8.65 million. The City Hall building and adjacent parking are located on an approximate 3-acre site. The City Hall houses the City Manager's Office, Administrative Services, Community Development, Human Resources & Library Services, Neighborhood Services and Public Works departments as well as the Council Chambers. The building also serves as an Emergency Operations Center. As indicated previously, $4.5 million additional improvements associated with the City's Energy Efficiency Modernization Program are anticipated to be made to City Hall. The City Hall building is made of steel frame construction on a concrete foundation, brick veneer, metal stud exterior walls and marble floors at the ground level. The building contains a sprinkler system. The City Hall building sustained damage as a result of the January 1994 Northridge Earthquake and as a result was repaired and retrofitted for approximately $4.6 million in 1994. The City did not have use of the building for approximately 100 days during that time. In 2014, City Hall was retrofitted with steel braced frames and seismic dampers after new structural research on steel moment frame systems was completed. This new design meets the more stringent code requirements for an emergency operations center (structural Risk Category IV). The City, based upon insurance coverage estimates, values the City Hall at more than $23 million not including the land value of the site which encompasses over three (3) acres. The City estimates that the total value of the real property comprising the City Hall Leased Property is at least equivalent to the principal amount of the 2016 Bonds and the Series B Bonds. None of the City Hall Leased Property is located in a 100 year flood plain. The City Hall Leased Property is leased from the City to the Authority pursuant to the City Hall Site Lease and the Authority then leases it back to the City pursuant to the City Hall Lease. Under the City Hall Lease, the City is required to maintain the City Hall Leased Property in working order. The City covenants in the City Hall Lease to obtain and maintain certain insurance with specified minimum coverages for the City Hall Leased Property. See "SECURITY AND SOURCES OF PAYMENT OF THE BONDS — Insurance Coverages" and APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS — The Lease — Insurance." The City has a blanket insurance policy for real property issued through CAJPIA. See "THE CITY — Risk Management" herein. Pursuant to the City Hall Lease, the City has the right to substitute alternate real property or improvements for the City Hall Leased Property, release existing property or add additional real property or improvements to the City Hall Leased Property. See "SECURITY AND SOURCES OF PAYMENT FOR THE BONDS — Substitution and Release of Property" herein. [Remainder ofpage intentionally left blank.] 29 �� A - • 4A � L �F 1,1 y � ram" u��LFru If rrrr ESTIMATED SOURCES AND USES OF FUNDS The estimated sources and uses of funds are as follows: Sources: Series A Bonds Series B Bonds Principal amount of Bonds Plus/less Net Premium/Discount Total Sources Uses: Deposit to Project Fund Costs of Issuance(') Total Uses 0) Costs of issuance include legal, trustee, rating agency, and municipal advisor fees, printing costs, underwriter's discount, and other costs incurred in connection with the issuance of the Bonds. [Remainder ofpage intentionally left blank.] 31 DEBT SERVICE REQUIREMENTS The following table sets forth the debt service requirements for the Series A Bonds and the Series B Bonds, assuming mandatory sinking payments. Fiscal Year Ending June 30 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 2035 2036 2037 2038 2039 2040 2041 2042 2043 2044 2045 2046 2047 2048 2049 2050 2051 2052 Totals Series A Bonds Series B Bonds Principal Interest Principal Interest Total Note: Principal is paid on June I for the Series A Bonds and on December ]for the Series B Bonds. 32 SERIES A INDENTURE CUBE BASE RENTAL PAYMENTS Fiscal Year 2020A Bonds 2020A-T Bonds Series A Bonds Ending June 30 Principal Interest Principal Interest Principal Interest 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 2035 2036 2037 2038 2039 2040 2041 2042 2043 2044 2045 2046 2047 2048 2049 2050 2051 2052 Totals 33 TOTAL Fiscal Year Ending June 30 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 2035 2036 2037 2038 2039 2040 2041 2042 2043 2044 2045 2046 2047 2048 2049 2050 2051 2052 Totals SERIES B INDENTURE CITY HALL BASE RENTAL PAYMENTS 2016 Bonds Series B Bonds Principal Interest Principal Interest Total 34 THE AUTHORITY The Santa Clarita Public Financing Authority (the "Authority") was established pursuant to a Joint Exercise of Powers Agreement dated as of July 9, 1991, as amended on May 10, 2016 (the "JPA Agreement"), by and among the City, the City as successor agency to the Redevelopment Agency of the City of Santa Clarita (the "Successor Agency"), and the Santa Clarita Parking Authority, in accordance with the provisions of Articles 1, 2 and 4 of Chapter 5 of Division 7 of Title I of the California Government Code (the "Joint Powers Law"). The Successor Agency is no longer a member of the Authority. The Authority was created for the purpose of assisting in the financing and refinancing of public capital improvements for the City and its related entities. Under the Marks -Roos Local Bond Pooling Act of 1985, Section 6854 et seq. of the State Government Code, the Authority has the power to purchase bonds issued by any local agency at public or negotiated sale and may sell such bonds to public or private purchasers at public or negotiated sale. The Authority is governed by a five -member Board of Directors which consists of the City Council of the City. The Chair of the Authority is the Mayor of the City, and the Vice Chair of the Authority is the Mayor Pro Tern of the City. The City Manager acts as its Executive Director, the City Clerk acts as its Secretary, and the Treasurer of the City acts as its Treasurer. The Authority has no taxing power. The Authority and the City are each separate and distinct legal entities, and the debts and obligations of one such entity are not debts or obligations of the other entity. THE CITY General The City is located in the County of Los Angeles (the "County"), 35 miles northwest of Los Angeles and 40 miles east of the Pacific Ocean. The City encompasses an area of approximately 70.87 square miles and, as of January 1, 2022, had an estimated population of approximately 228,835 according to the California Department of Finance. See APPENDIX A — "GENERAL INFORMATION ABOUT THE CITY OF SANTA CLARITA." A copy of the City's audited financial statements for the fiscal year ended June 30, 2021 is attached hereto as APPENDIX B. Budgetary Process and Administration The City uses the following procedures when establishing the budgetary data reflected in its financial statements: • The fiscal year of the City begins on the first day of July of each year and ends on the thirtieth day of June the following year. • At such date as the City Manager determines, each department head must furnish to the City Manager an estimate of revenues and expenditures for such department for the ensuing fiscal year, detailed in such manner as may be prescribed by the City Manager. In preparing the proposed budget, the City Manager reviews the estimates, holds conferences thereon with the respective department heads as necessary, and may revise the estimates as he may deem advisable. • In June, the City Manager submits to the City Council the proposed budget as prepared by him. After reviewing and making such revisions as it deems advisable, the City Council determines the time for the holding of a public hearing thereon and causes to be published a notice thereof not less than ten days prior to the hearing date. Copies of the proposed budget are available for inspection by the public in the office of the City Clerk at least ten days prior to the hearing. • At the conclusion of the public hearing, the City Council further considers the proposed budget and makes any revisions thereof that it deems advisable and on or before June 30 it adopts 35 the budget with revisions, if any, by the affirmative vote of at least a majority of the total members of the Council. • From the effective date of the budget, the several amounts stated as proposed expenditures become appropriated to the several departments, offices and agencies for the objects and purposes named, provided that the City Manager may transfer funds from one object or purpose to another within the same fund, department, office or agency. All appropriations lapse at the end of the budget period to the extent that they have not been expended or lawfully encumbered. At any public meeting after the adoption of the budget, the City Council may amend or supplement the budget by motion adopted by the affirmative vote of at least a majority of the total members of the City Council. The City Council employs, at the beginning of each fiscal year, an independent certified public accounting firm which, at such time or times as specified by the City Council, at least annually, at such other times as such firm shall determine, examines the books, records, inventories and reports of all officers and employees who receive, control, handle or disburse public funds and of all such other officers, employees or departments as the City Council may direct. As soon as practicable after the end of the fiscal year, a report is submitted by such firm to the City Council and a copy of the financial statements as of the close of the fiscal year is published. Budgetary control is maintained through a mid -year budget review and an adjustment process. Budgetary adjustments are considered within the framework of the adopted budget and the City Council directions, goals and policies. The budget as adopted by the City Council can be amended during the fiscal year if necessary and proper by action of the City Council. General Fund The following tables summarize the audited financial statements for the City's General Fund for the Fiscal Years ended June 30, 2017 June through 30, 2021. This information should be read in conjunction with APPENDIX B — "AUDITED FINANCIAL STATEMENTS OF THE CITY OF SANTA CLARITA FOR FISCAL YEAR ENDED JUNE 30,202 L" Table 1 sets forth the City's General Fund balance sheet based upon audited financial statements for Fiscal Years ended June 30, 2017 through June 30, 2021. Table 2 sets forth the City's General Fund revenues, expenditures and changes in fund balances based upon audited financial statements for Fiscal Years ended June 30, 2017 through June 30, 2021. [Remainder ofpage intentionally left blank.] TABLE I CITY OF SANTA CLARITA GENERAL FUND BALANCE SHEET As of June 30 2017 2018 2019 2020 2021 Assets Cash and investments $152,219,199 $153,380,261 $173,685,562 $162,888,188 $178,159,980 Accounts receivable 729,681 676,014 533,922 531,858 533,530 Interest receivable 688,378 782,857 990,697 656,656 349,271 Taxes receivable 9,163,168 9,958,518 9,995,980 9,776,995 12,431,517 Loan receivable - - - - 110,000 Notes to RDA Successor Agency 9,462,202 9,440,601 9,553,358 9,751,533 8,914,740 Prepaid costs 126,097 275,867 391,457 545,181 391,738 Due from other governments 405,775 103,765 100,000 172,619 202,153 Due from other funds 4,380,533 3,838,034 4,366,894 9,798,811 4,580,961 Advances to other funds 17,256,104 13,828,350 11,779,557 10,164,307 8,023,848 Deposits from others - - - - 60,000 Restricted Assets — cash and investments w/ fiscal agents - - 25,000,000 23,064,395 9,644,574 Total Assets $194,431,137 $192,284, 667 $236,397,427 $227,350,543 1221402,312 Liabilities and Fund Balance Liabilities: Accounts payable and accrued liabilities $7,976,998 $ 7,351,373 $ 10,630,416 $ 13,229,763 $14,116,987 Deposits payable 17,744,541 17,074,062 13,490,241 3,649,753 3,141,882 Due to other governments 7,700,000 7,700,000 7,700,000 7,837,500 7,700,000 Unearned revenues 695,630 723,600 1,064,906 157,119 519,787 Total Liabilities $ 34,117,169 $ 32,849,035 $ 32,885,563 $ 24,874,135 $ 25,478,656 Deferred inflows of resources Unavailable (deferred) revenues $ 11,298,702 $ 11,253,355 $ 11,549,625 $ 12,035,171 $ 9,929,517 Total deferred inflows of resources $ 11,298,702 $ 11,253,355 $ 11,549,625 $ 12,035,171 $ 9,929,517 Fund Balance: Nonspendable $ 15,742,945 $ 12,390,885 $ 12,050,141 $ 9,810,973 $ 7,474,892 Restricted - - - 23,063,669 9,644,574 Committed - - - - - Assigned 79,367,084 88,674,761 120,981,128 97,293,470 110,906,093 Unassigned 53,905,237 47,116,231 58,930,970 60,273,125 59,968,580 Total Fund Balance $149,015,266 $148,181,877 $191,962,239 $190,441,237 $187,994,139 Total Liabilities and Fund Balance $236,397,427 $227,350,543 223,4 22,312 Source: City of Santa Clarita Annual Comprehensive Financial Reports. 37 TABLE 2 CITY OF SANTA CLARITA GENERAL FUND STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE FOR THE YEAR ENDED JUNE 30 2017 2018 2019 2020 2021 Revenues: Taxes $81,462,981 $ 84,657,643 $ 87,434,427 $87,376,087 $ 97,704,484 Licenses and permits 7,408,357 7,688,342 9,951,586 7,538,878 11,498,980 Intergovernmental 241,992 377,151 203,119 3,182,6240) 270,827 Charges for services 8,397,274 8,756,356 8,178,848 6,816,474 6,345,677 Investment income 537,605 277,852 6,580,274 6,667,123 128,498 Fines and forfeitures 706,870 794,423 1,219,536 795,648 621,214 Other revenue 61,788 363,978 230,675 305,285 1,359,092 Total Revenues $98,816,867 $102,915,745 $113,798,465 112,682,119 $117,928,772 Expenditures: Current: General government $15,097,325 $23,789,790(3) $19,913,852 $20,951,250 $17,962,178 Public safety 23,306,998 24,793,460 26,444,456 27,938,688 28,378,605 Recreation and community services 20,283,686 21,068,481 14,997,717 13,553,813 13,567,831 Public works 21,541,973 21,141,020 20,976,185 35,630,112 51,655,008 Community development 5,989,628 6,475,435 6,750,603 6,821,630 6,553,126 Neighborhood Services 593,591 715,633 - 742,142 - Administration and personnel services - - - - 67,889 Capital Outlay 341,442 6,794,657 175,092 1,665,450 14,904,104 Debt service Principal retirement - - - - - Interest and fiscal charges - - - Total Expenditures $87,154,643 $104,778,476 $89,257,905 $107,303,085 $133,088,741 Excess (Deficiency) of Revenues Over (Under) Expenditures $11,662,224 ($1,862,731) $24,540,560 $ 5,379,034 ($15,159,969) Other Financing Sources (Uses): Contributions from property owners - - - $ 2,647,000 - Capital leases acquired - - - - $ 164,970 Transfers in $1,384,023 $4,451,281 $30,939,545(4) 2,491,902 26,626,984 Transfers out (5,175,897) (3,421,939) (11,699,743) (12,038,938) (14,079,083) Total Other Fin. Sources (Uses) (3,791,874) 1,029,342 19,239,802 (6,900,036) 12,712,871 Net change in fund balance $7,870,350 $(833,389) $43,780,362 $ (1,521,002) $ (2,447,098) Fund Balance, July 1 $141,144,916 $149,015,266 $148,181,877 $191,962,239 $190,441,237 Fund Balance, June 30 149.015.266 $148,181,877 191962.239 $190,441,237 $187,994,139 (1) Increase due to $2.7 million received from the LA County Flood Control District for the City's Mint Canyon channel improvements at the new Canyon Country Community Center. Source: City of Santa Clarita Annual Comprehensive Financial Reports (footnote added). 38 COVID-19 Pandemic The spread of the strains of coronavirus which are collectively called SARS-CoV-2, which cause the disease known as COVID-19 ("COVID-19"), and local, State and federal actions in response to COVID- 19, have impacted the City's operations and finances. In response to the increasing number of COVID-19 infections and fatalities, health officials and experts recommended, and some governments mandated, a variety of responses ranging from travel bans and social distancing practices to complete shutdowns of certain services and facilities. The World Health Organization declared the COVID-19 outbreak to be a pandemic and, on March 4, 2020, as part of the State's response to address the outbreak, the Governor declared a state of emergency. On March 13, 2020, the President declared a national emergency, freeing up funding for federal assistance to state and local governments. Many school districts across the State temporarily closed some or all school campuses (including schools within the City) in response to local and State directives or guidance. On March 19, 2020, the Governor issued Executive Order N-33-20, a mandatory Statewide shelter - in -place order applicable to all non -essential services. Certain aspects of the shelter -in -place directives were extended indefinitely until indicators for modifying the stay-at-home order were met. The County also declared a state of emergency in response to the COVID-19 outbreak. On May 4, 2020, the Governor issued an executive order informing local health jurisdictions and industry sectors that they could gradually re -open under new modifications and guidance provided by the State. A phased re -opening of various sectors was underway beginning in mid-2020 in accordance with a four -stage re -opening plan that ended with a full reopening of the economy on June 15, 2021. Although pursuant to the re -opening plan certain restrictions on activities were eased, restrictions were also re -imposed in various jurisdictions as local conditions warranted, and such restrictions may be renewed as the pandemic continues. On March 27, 2020, the President signed the $2.2 trillion Coronavirus Aid, Relief, and Economic Stabilization Act (the "CARES Act") which provided, among other measures, $150 billion in financial aid to states, tribal governments and local governments to provide emergency assistance to those most significantly impacted by COVID-19. Under the CARES Act, local governments were eligible for reimbursement of certain costs which were expended to address the impacts of the pandemic. On March 11, 2021, the President signed the American Rescue Plan Act of 2021 (the "ARP Act"), a $1.9 trillion economic stimulus package that was designed to help the United States' economy recover from the adverse impacts of the COVID-19 pandemic. The effects of the COVID-19 outbreak and governmental actions responsive to it have altered the behavior of businesses and people in a manner that has had significant negative impacts on global and local economies. In addition, financial markets in the United States and globally have experienced significant volatility attributed to COVID-19 concerns. The outbreak resulted in increased pressure on State finances as budgetary resources were directed towards containing the pandemic and tax revenues sharply declined in early 2020. Identified cases of COVID-19 and deaths attributable to the COVID-19 outbreak continue to occur throughout the United States, including the County. In response to the COVID-19 outbreak, the City employed aggressive actions to ensure business continuity and seamless service to its customers and ratepayers. The City temporarily modified its operations to implement remote work opportunities for employees, provided services online, closed the City's administrative building to the public and deferred several non -essential capital improvement projects. In order to transition City employees to working from home, the City procured additional hardware, established secure access to City computer systems and remote access to City telephone systems, and deployed tele-conferencing applications. In addition, large gatherings of City personnel at any one time were prohibited for much of 2020 and early 2021 per health officer orders. City Council meetings occurred via teleconference, and public comment and participation for City Council meetings were also conducted via teleconference and electronic means. With improvements in local case rates, the City has resumed 39 normal operations and activities while complying with public health orders and California Occupational Safety and Health Administration COVID-19 Prevention Plan mandates. The City has not experienced and does not at this time foresee a future negative impact on the execution of City services as a result of the COVID 19 pandemic. The City has worked diligently to provide its employees with personal protective equipment and voluntary access to screening and vaccinations. However, there can be no assurance that absences of employees or City leadership due to COVID-19 will not adversely impact City operations. The COVID-19 pandemic is ongoing, and the duration and severity of the outbreak and the economic and other actions that may be taken by governmental authorities to contain the outbreak or to treat its impact are uncertain. The actual impact of COVID-19 on the City, its economy, and its budget and finances will heavily depend on future events, including future events outside of the control of the City, and actions by the County, the State and federal government as well as nations across the world. The City does not currently expect that the COVID-19 pandemic will have a material adverse effect on the City's ability to pay the Base Rental Payments. Although the City's revenues have returned to pre -pandemic levels, changes in health officer orders could have future impacts to the City including increased costs and challenges to the public health system in and around the City, cancellations of public events and disruption of the regional and local economy. The City's revenues potentially most affected by changes in health officer orders are recreation and community services revenues, and transit occupancy tax revenues. The City's Operating General Fund revenues and expenses were not materially affected by the COVID-19 outbreak in any of Fiscal Years 2020 through 2022. When evaluating the City's Operating General Fund revenues before transfers in and overhead reimbursement, General Fund revenues were $110,953,725 in Fiscal Year 2018-19, decreased by $4.2 million to $106,802,248 in Fiscal Year 2019-20, increased by $10.2 million in Fiscal Year 2020-21 to $117,051,884, and in Fiscal Year 2021-22 unaudited actuals reflect an increase of $7.4 million to $124,481,847. Federal ARPA funds were utilized to cover the City's General Fund revenue losses. When evaluating the City's Operating General Fund expenditures before transfers out, General Fund expenditures were $80,916,916 in Fiscal Year 2018-19, decreased $555 thousand to $80,360,953 in Fiscal Year 2019-20, decreased $470 thousand to $79,890,312 in Fiscal Year 2020-21, and in Fiscal Year 2021-22 unaudited actuals increased by $6.3 million to $86,217,757. The fluctuations in General Fund expenditures were driven by the current health officer orders in effect, which significantly impacted the amount of recreation and community services programming that could be offered by the City. The City has received approximately $90 million in COVID-19 related funding from the federal government: $43.5 million transit -related funding ($21.6 million American Rescue Plan Act (ARPA), $18.3 million Coronavirus Aid, Relief, and Economic Security Act (CARES), $3.7 million Coronavirus Response and Relief Supplemental Appropriation Act (CRRSA)); $36.1 million ARPA, of which $15 million was allocated to revenue loss; $5.2 million Rental Assistance; $2.3 million CARES (CDBG-CV); and $78 thousand Coronavirus Emergency Supplemental Funding (CESF). The receipt of significant transit -related COVID funding has relieved other transportation funds for use on the City's various transportation projects, including the City's annual overlay and slurry projects. Budgeted Revenues and Expenditures Table 3 includes the City's General Fund adopted final budget and actual results for the Fiscal Years 2020/21 and 2021/22. Throughout the year, budget changes may be authorized by City Council and therefore variances between the budget and actual expenditures are common. 40 The City General Fund Budget includes programs which are provided on a largely city-wide basis. The programs and services are financed primarily by the City's share of sales tax, property tax, revenues from the State and/or federal government, and charges for services provided. Budgetary control is maintained through a mid -year budget review and ongoing adjustments. The City's unassigned fund balance for the General Fund has ranged between $47 million to $60 million during the last five fiscal years. The City's stated budget policy is to maintain an operating reserve of 20% of annual General Fund expenditures to be used for one-time unanticipated expenditure requirements and local disaster. At June 30, 2021, the unassigned fund balance in the General Fund was almost $60 million, exceeding the operating reserve of $18.76 million. An operating reserve of $19.8 million is maintained as a part of the fiscal year 2022/23 budget. 2021122 Budget. The 2021/22 Adopted Budgeted General Fund included a 4% increase in property tax revenues and a 22% increase in sales tax revenues. General Fund sales tax revenue continues to be one of the largest revenue source to operate general governmental functions, accounting for 33% or $39 million as projected in the 2021/22 budget. Property tax revenues account for 34% of the General Fund budget, or $41 million, in 2021/22. This increase is in proportion to the growth of assessed valuation citywide. Development revenues are projected to increase 8% to $9.7 million. 2022123 Budget. Table 3 provides information on the Current General Fund Budget for fiscal year 2022/23. The City adopted the fiscal year 2022/23 budget on June 28, 2022 (the "22/23 Budget"). The City Council conducted a Public Hearing for the budget on June 14 and June 28. Despite projected declines in certain economically -sensitive tax revenues such as transient occupancy, and sales taxes, the 22/23 Budget estimates overall increase in General Fund revenue of 10.8% over the prior year original adopted budget. The following are some of the assumptions included in the 22/23 Budget and a description of the associated risks should those assumptions not materialize: • At the time the 22/23 Budget was adopted, sales tax revenue was anticipated to increase by 18.5% over the 2021/22 original adopted budget and transient occupancy tax revenue assumed a 50% increase with new and existing hotels. • The 22/23 Budget assumes growth in property tax receipts, as assessed valuation is projected to increase. Over the longer term, this tax could be affected by any recession if it spills over into the housing market. The most acute risk is likely to be the documentary transfer tax, which assumes the recent modest growth will stop, but does not include any decline in this historically volatile revenue source. None of the fiscal year 2022/23 revenue forecasts have been updated since the 22/23 Budget was adopted. The 22/23 Budget includes adequate funding to pay for all existing labor agreements and associated salary increases, and includes only $2.6 million in new operating appropriations for critical contractual agreements. The budget includes a $10.2 million transfer to the City's Facilities Fund for use on future facility needs and maintains a $315,656 surplus. The 22/23 Budget is also exposed to risks to special fund revenues, which could be further reduced if the economic impacts of the COVID-19 response extend for longer than expected. Special funds that derive their revenues from sales tax and gas tax are at particular risk. The 22/23 Budget attempted to anticipate these risks and revenues will be evaluated and adjusted during the City's mid -year budget review as needed. 41 General Fund sales tax revenues continue to be one of the largest revenue source to operate general governmental functions, accounting for 35% or $46.2 million in the 22/23 Budget. Property tax revenues account for 33% of the 22/23 Budget, or $44.4 million. The following table presents the 22/23 Budget and the adopted budgets for the two preceding fiscal years. With respect to both the historical budgetary information and the projected budgetary information set forth below, it is not possible to predict whether the trends set forth in the tables will continue in the future. TABLE 3 CITY OF SANTA CLARITA GENERAL FUND COMPARISON FOR FISCAL YEARS ENDED JUNE 30, 2021 AND JUNE 30, 2022 AND CURRENT BUDGET FOR FISCAL YEAR ENDED JUNE 30, 2023 Final Adopted Final Budget Actual Results Budget Unaudited Current Budget 2020-21 2020-21 2021-22 2021-22 2022-23 REVENUES Taxes $ 89,479,675 $ 97,704,484 $103,658,191 $108,146,383 $106,513,746 Licenses and permits 9,771,235 11,498,980 8,491,924 9,738,087 8,318,931 Intergovernmental 1,653,944 270,827 190,533 230,507 131,309 Charges for services 5,366,528 6,345,677 10,786,747 11,654,032 9,515,618 Investment income 2,449,478 128,498 2,155,571 (4,847,743) 2,540,409 Fines and forfeitures 634,650 621,214 835,425 832,503 920,000 Other revenue 8,150,403 1,359,092 9,371,326 9,656,096 8,718,016 Total Revenues $117,505,913 $117,928,772 $135,489,717 $135,409,865 $136,658,029 EXPENDITURES Operating: Personnel 47,151,977 40,933,746 47,776,533 43,988,921 43,847,152 Operating 47,457,393 38,665,320 52,022,838 47,514,453 58,165,169 Capital Outlay 16,817 13,788 132,573 79,852 918,497 Capital Improvement Projects: Personnel 194,356 - 12,389 - Operating(l) 48,148,854 38,701,207 11,433,366 7,952,635 14,150,939 Capital Outlay 17,774,875 14,580,324 482,475 300,630 124,104 Total Expenditures $160,549,915 $133,088,741 $111,847,785 $99,848,880 $117,205,861 Excess (Deficiency) of Revenues Over (Under) Expenditures $ (43,044,002) $ (15,159,969) $ 23,641,932 $ 35,560,985 $ 19,452,168 OTHER FINANCING SOURCES (USES): Capital leases acquired 164,970 57,365,935 57,315,992 17,008,632 Transfer in 17,506,566 26,626,984 (63,948,736) (62,281,146) (37,389,409) Transfers (out) (15,582,586) (14,079,083) (6,582,801) (4,965,154) (20,380,777) Total Other financing sources (uses) $ 1,923,980 $ 12,712,871 $ 17,059,131 $ 30,595,831 (928.6091 Net Change in Fund Balance (41120.022) (2.447.098) 57,365,935 57.15 992 17.0 88.632 Fund Balance at Beginning of Year $190,441,237 $187.994.139 Fund Balance at End of Year 187.994.139 $218,589,970 (1) Reductions due to appropriated funds for projects which were not spent in such fiscal year. Source: City of Santa Clanta Annual Comprehensive Financial Report 2019-20 and City Finance Department. 42 Management Discussion of Financial Performance The City management's discussion and analysis of the financial activities of the City for the fiscal year ended June 30, 2021 is presented in the City's audited financial statements for the fiscal year ended June 30, 2021 attached hereto as APPENDIX B — "AUDITED FINANCIAL STATEMENTS OF THE CITY OF SANTA CLARITA FOR THE FISCAL YEAR ENDED JUNE 30, 2021." Capital Improvement Program The City is considering a number of future capital projects, whose financing sources may include the City's General Fund, future lease revenue debt, grants, special taxes or assessment or lease payments payable from the City's General Fund. The City prepares a five-year capital improvement program ("CIP") which includes potential capital projects that reflect the desires of the community, as well as projects that address operational and maintenance needs of the City. The City's 2022/23-2026/27 CIP consists of improvements and projects totaling $84,652,994 for fiscal year 2022/23 and lists $226,185,290 of improvements and projects for fiscal years 2024-27. Subject to the City's Fiscal Policies, some of these improvements and projects will ultimately be financed by the City's General Fund. Appropriations Limit Section 7910 of the Government Code of the State requires the City to adopt a formal appropriations limit for each fiscal year. The City's appropriations limit for fiscal year 2021/22 was $471,334,679. The City's appropriations limit for fiscal year 2022/23 is $508,593,284. The appropriations limit is not expected to have any impact on the ability of the City to budget and appropriate the Base Rental Payments and Additional Rental Payments as required by the Leases. Financial Statements All governmental funds are accounted for using the modified accrual basis of accounting. The City's revenues are recognized when they become measurable and available as net current assets. Expenditures are generally recognized under the modified accrual basis of accounting when the related fund liability is incurred. The exception to this general rule is principal and interest on general long-term debt, which is recognized when due. Some debts and obligations may be payable from self-supporting enterprises or revenue sources other than property taxation. Special assessment bonds are not included in the tabulation; lease revenue obligations payable from the General Fund or equivalent sources are included. All proprietary funds are accounted for using the accrual basis for accounting. Revenues are recognized when they are earned, and expenses are recognized when they are incurred. Receivables are recorded and determined at the time of consumption, and unbilled receivables are not recorded. See APPENDIX B — "AUDITED FINANCIAL STATEMENTS OF THE CITY OF SANTA CLARITA FOR THE FISCAL YEAR ENDED JUNE 30, 2021." The City retained the firm of Eide Bailly LLP, Certified Public Accountants, Rancho Cucamonga, California, to examine the general purpose financial statements of the City as of and for the year ended June 30, 2021. The City is the recipient of the GFOA Certificate of Achievement for Excellence in Financial Reporting for the last thirty fiscal years. The audited combined financial statements of the City are available on the City's website at https://www.santa-clarita.com/ci . -hall/departments/administrative- services/annual-financial-reports. The information presented in the City's website is not part of this Official Statement and should not be relied on in making investment decisions with respect to the Bonds. 43 Fiscal Policies The City has developed a set of fiscal policies (the "Fiscal Policies"), which are reviewed and adopted annually by the City Council as part of its budgetary approval process, that the City uses to guide its fiscal decision making. The Fiscal Policies provide guidance relating to the following: • Cash Management Policy includes an annually adopted investment policy and investment selection procedures. • Budget Policies and Procedures is a comprehensive summary of budget and capital improvement plan responsibilities, preparation, policies and adjustment procedures. In particular, the current budget policy states the City will maintain the operating reserves at 20% of annual General Fund Expenditures. • Debt Management Policy sets forth certain debt management objectives for the City, and establishes overall parameters for issuing and administering the City's debt. • Post -Issuance Compliance Policy sets forth procedures and guidelines in order to comply with certain federal tax requirements applicable to tax-exempt bonds and other debt obligations subsequent to the issuance of such debt, including the monitoring of the use of bond proceeds, arbitrage yield restrictions and rebate and record retention. • Continuing Disclosure Procedures Policy sets forth the procedures for compliance with continuing disclosure undertakings and related filings, including annual report and material events notices. • Annual Audit Policy requires an annual audit by a qualified independent accountant of the books of account, financial records, inventories and reports of all City officers and employees involved in the handling of financial matters. • Financial Structure Policy sets forth the accounting system and budgetary controls, including fund designations and classifications. • Risk Management Policy describes the risk management program which provides centralized services to all City departments for risk management, loss control, and safety. The complete Fiscal Policies can be found within the City' June 30, 2023. Information on the Budget may be found on the clan*ta.com/city-hall/departments/ci , -manager-s-office/city-budget. City's website is not part of this Official Statement and should no Taxable Property and Assessed Valuation t Property tax revenues account for 33% of the 2022/23 General Fund budget, or $44.4 million. The County Assessor's office makes changes to the City's property tax roll daily to reflect transfers in ownership, new construction, assessment appeals, parcel splits and changes. Taxes are levied for each fiscal year on taxable real and personal property which is situated in the City as of the preceding January 1. For assessment and collection purposes, property is classified either as "secured" or "unsecured," and is listed accordingly on separate parts of the assessment roll. The "secured roll" is that part of the assessment roll containing State assessed property and real property having a tax lien which is sufficient, in the opinion of the assessor, to secure payment of the taxes. Other property is assessed on the "unsecured roll." 44 Property taxes on the secured roll are due in two installments, on November 1 and February 1 of the fiscal year. If unpaid, such taxes become delinquent on December 10 and April 10, respectively, and a 10% penalty attaches to any delinquent payment. In addition, property on the secured roll with respect to which taxes are delinquent is sold to the State on or about June 30 of the fiscal year. Such property may thereafter be redeemed by payment of the delinquent taxes and the delinquency penalty, plus a redemption penalty of F/2% per month to the time of redemption. If taxes are unpaid for a period of five years or more, the property is deeded to the State and then is subject to sale by the County Tax Collector. Property taxes on the unsecured roll are due as of the January 1 lien date and become delinquent, if unpaid on August 31. A 10% penalty attaches to delinquent taxes on property on the unsecured roll, and an additional penalty of F/2% per month begins to accrue on November 1 of the fiscal year. The City has four ways of collecting unsecured personal property taxes: (1) a civil action against the taxpayer; (2) filing a certificate in the office of the County Clerk specifying certain facts in order to obtain a judgment lien on certain property of the taxpayer; (3) filing a certificate of delinquency for record in the County Recorder's Office, in order to obtain a lien on certain property of the taxpayer; and (4) seizure and sale of personal property, improvements or possessory interests belonging or assessed to the assessee. In an attempt to mitigate the effects of the COVID-19 pandemic on State property taxpayers, on May 6, 2020, the Governor signed Executive Order N-61-20 ("Order N-61-20"). Under Order N-61-20, certain provisions of the State Revenue and Taxation Code were suspended until May 6, 2021 to the extent that they required a tax collector to impose penalties, costs or interest for the failure to pay secured or unsecured property taxes, or to pay a supplemental bill, before the date that such taxes become delinquent. Such penalties, costs and interest were cancelled under the conditions provided for in Order N-61-20, including if the property is residential real property occupied by the taxpayer or the real property qualifies as a small business under certain State laws, the taxes were not delinquent prior to March 4, 2020, the taxpayer files a claim for relief with the tax collector and the taxpayer demonstrates economic hardship or other circumstances that have arisen due to the COVID-19 pandemic or due to a local, state, or federal governmental response thereto. See the caption "--COVID-19 Outbreak." The City did not receive material amounts of property tax payments for Fiscal Years 2020 or 2021 later than usual as a result of Order N-61-20. State law also provides for the supplemental assignment and taxation of property as of the occurrence of a change in ownership or completion of new construction. Collection of taxes based on supplemental assessments occurs throughout the year. Taxes due are prorated according to the amount of time remaining in the tax year. An initiative measure (the "Split Roll Initiative") to amend Article XIIIA of the State Constitution qualified for the State's November 2020 ballot. Although it was not adopted by State voters, the Split Roll Initiative would have based property taxes for commercial and industrial properties on periodic analyses of market values beginning in tax year 2020-21. Such market values would have been reassessed by the applicable county assessor's office at least once every three years. The Split Roll Initiative included exceptions for businesses with a total market value of less than $2 million (adjusted for inflation), which would have continued to be subject to property taxes based on purchase price, and exempted from property tax assessments up to $500,000 of the value of personal property, or all personal property for businesses with fewer than 50 employees. Although the Split Roll Initiative was not adopted, there can be no assurance that a similar initiative will not be brought before voters in the future. The City is unable to predict how the adoption of such a future initiative would affect the receipt of property tax revenues. City taxes are assessed and collected by Los Angeles County at the same time and on the same rolls as are County, school and special district taxes. 45 State law exempts $7,000 of the full cash value of an owner -occupied dwelling, but this exemption does not result in any loss of revenue to local agencies, since the State reimburses local agencies for the value of the exemptions. For the 2022 assessment roll, the City was the fifth largest city in assessed valuation within the County. The following table represents the most recent ten-year history of assessed valuation in the City, including State -reimbursed exemptions. Based on the County's estimate of countywide growth in assessed value and other data, the City assumed 7.7% growth in its property tax base in the fiscal year 2022/23 budget. TABLE 4 CITY OF SANTA CLARITA Assessed Valuation (000s) January 1 Valuation Date Local Secured Utility Unsecured Total 2013 23,410,799 3,696 854,976 24,269,472 2014 25,220,113 3,696 888,132 26,111,942 2015 26,473,499 3,696 853,667 27,330,863 2016 27,622,848 3,696 797,363 28,423,909 2017 29,903,220 4,576 819,549 30,727,345 2018 31,627,924 4,576 848,468 32,480,968 2019 34,319,756 4,284 850,777 35,174,818 2020 36,094,271 4,284 884,857 36,983,412 2021 37,521,627 4,429 864,658 38,390,715 2022 40,422,359 4,429 929,940 41,356,729 Source: Los Angeles County Assessor. The following table represents the breakdown for assessed valuation of the City among the types of different property for the last five fiscal years. :: Type: Residential Commercial Industrial Vacant Land All Others TABLE 5 CITY OF SANTA CLARITA ASSESSED VALUATION BY PROPERTY TYPE FOR THE YEAR ENDED JUNE 30 (000s) 2019 2020 2021 2022 2023 $25,140,365 $27,571,753 3,557,018 3,681,744 1,861,079 1,878,969 593,952 702,751 1,328,554 1,339,600 Total $32,480,968 $35,174,817 Source: City of Santa Clarita Finance Department. $29,068,019 3,866,268 1,955,686 677,706 1,415,733 $36,983,412 $30,326,102 3,980,147 2,031,709 644,262 1,408,495 $38,390,715 $32,800,203 4,083,237 2,360,064 646,601 1,466,624 $41,356,729 Beginning in 1978/79, Proposition 13 and its implementing legislation provided for each county to levy (except for levies to support prior voter -approved indebtedness) and collect all property taxes, and prescribed how levies on county -wide property values are to be shared with local taxing entities within each county. The secured property tax levies and year-end delinquencies for 2012/13 through 2020/21 are reflected on the following table. TABLE 6 CITY OF SANTA CLARITA Secured Tax Charges and Delinquencies Amount Paid Percent Delinquent Year Total Current Levv June 30 June 30 2012/13 $18,634,850 $18,297,746 1.8% 2013/14 21,446,963 21,128,332 1.5 2014/15 23,131,317 22,795,838 1.5 2015/16 24,304,887 23,957,604 1.4 2016/17 25,483,385 25,178,564 1.2 2017/18 27,299,254 26,957,834 1.3 2018/19 28,692,974 28,469,759 0.8 2019/20 30,653,870 30,235,002 1.4 2020/21 32,544,160 32,250,334 0.9 Source: County of Los Angeles, Department of Auditor -Controller. 47 Largest Taxpayers The following table lists the major taxpayers in the City in terms of their 2021/22 assessed valuation. TABLE 7 CITY OF SANTA CLARITA Principal Property Taxpayers 2021/22 % of Total No. of City Assessed Owner/Taxpayer Parcels Total Assessed Value Value Valencia Town Center Venture LP 17 $ 413,396,760 1.08% Park Sierra Properties 15 149,873,887 0.39 Bel Valencia LLC 9 142,173,982 0.37 WESCO IV LLC 2 128,369,714 0.33 Saugus Colony Limited 19 126,951,335 0.33 IVT River Oaks Valencia LLC 7 120,885,522 0.31 EQR Valencia LLC 218 112,632,436 0.29 EQR The Oaks LLC 28 110,316,781 0.29 ARC SLSTCCA001 LLC 4 106,591,121 0.28 Valencia Biomedical Park LLC 11 89,978,322 0.23 Subtotal 330 $ 1,501,169,860 3.91% All Others $33,752,327,642 96.09% TOTAL $38,440,677,490 100.00% Source: LA County Assessor 2021122 Combined Tax Rolls. Other Local Taxes In addition to ad valorem taxes on real property, the City receives the following local taxes: Sales and Use Taxes. Sales tax is collected and distributed by the State Board of Equalization. Each local jurisdiction receives an amount equal to one percent of taxable sales within their jurisdiction. Franchise Taxes. The City collects a franchise tax on its cable television, trash collection and utility franchises. Business License Fees. Business licenses are offered by the County. The County issues business licenses and remits business license fee revenues to the City. Transient Occupancy Taxes. The City levies a 10% transient occupancy tax on hotel and motel bills. See "LIMITATIONS ON TAX REVENUE — Proposition 62" herein. Property Transfer Taxes. A documentary stamp tax is assessed for recordation of real property transfers. 48 The following table shows the tax revenues of the General Fund for the past three fiscal years and the budgeted amounts for 2022/23. TABLE 8 CITY OF SANTA CLARITA Tax Revenues By Source Actual Actual Unaudited Current Budget 2019/20 2020/21 2021/22 2022/23 Sales and Use Tax $36,621,145 $43,197,889 $49,476,922 $46,200,000 Property Taxes 38,263,709 40,947,926 42,113,398 44,385,486 Franchise Taxes 8,139,163 9,099,789 9,038,242 8,953,260 Real Property Transfer Tax 1,418,026 2,010,033 2,354,997 2,500,000 Transient Occupancy Tax 2,726,113 2,275,383 4,874,977 4,200,000 Motor Vehicle Tax in Lieu 172,619 162,773 255,972 255,000 Satellite Wagering Tax 35,312 10,690 31,875 20,000 Total General Fund Tax $87,376,087 $97,704,482 $108,146,383 $106,513,746 Source: City of Santa Clarita. Sales and use taxes provide one of the major sources of revenues to the General Fund, comprising approximately 37% of the City's 2021/22 year-end General Fund revenues and approximately 46% of such General Fund taxes. A sales tax is imposed on retail sales or consumption of personal property. The statewide sales tax rate is established by the State Legislature. In Los Angeles County the sales tax rate is 9.50%. 7.25% is collected and administered by the State on taxes collected within the City as follows: State General Fund .................................... 5.00% Proposition 172 (public safety use) ................ 0.50% County Health/Welfare................................. 0.50% County Transportation ................................ 0.25% 0 The 1.00% sales tax revenue is collected by the State and deposited monthly into the City's General Fund. Of the remaining 2.25% Los Angeles County sales tax, 2.00% is authorized locally under Propositions A and C and Measures M and R for transportation including bus, rail and some streets and road projects. These funds are collected by the State but administered by the Los Angeles County Metropolitan Transportation Authority. A portion of these funds are returned to the cities for use on approved projects. 0.25% is authorized under Measure H for homeless projects. At the time the fiscal year 2022/23 Budget was adopted, sales tax revenue was anticipated to increase by 0.4% over 2021/22 estimates. Sales tax revenues for fiscal year 2021/22 at the time of the 2022/23 budget adoption were $46 million; however, unaudited actual sales tax revenues for 2021/22 exceeded estimates by approximately $3.5 million. .. For fiscal 2021/22, the top ten sales tax producers represented 26% of the total sales tax, while the top twenty-five sales tax producers represented 43% of the total sales tax. Other Revenue Sources Licenses and Permits. These City General Fund revenues consist primarily of business license taxes and building construction permit fees. Fines, Forfeitures and Penalties. These City General Fund revenues include parking citations, municipal court fines, asset seizure proceeds and other fines for municipal code violations. Use of Money and Property. These City General Fund revenues consist primarily of investment earnings. Charges for Services. The City charges recording fees, booking fees, court filing fees, plan checking, building inspection, waste collection and other municipal services. Employee Relations and Collective Bargaining The City has a collective bargaining agreement with the Service Employees International Union (SEIU) Local 721. [The contract's term is July 1, 2019 through June 30, 2022]. Risk Management The City joined the California Joint Powers Insurance Authority ("CJPIA") in July 2021. CJPIA is a joint powers authority formed under California Government Code Section 6500 that serves public agencies in California as a self-insurance risk pool. Through CJPIA, the City is self -insured up to $100,000 for all third -party, general liability claims. The City maintains a $10,000 property damage deductible for all first -party property damage claims, and a $2,500 deductible for all auto damage claims. For workers' compensation coverage, the City is self -insured up to $250,000. General liability claims over $100,000 and up to $50,000,000, property damage claims over $10,000 and up to $500,000,000, and workers' compensation claims over $250,000 and up to $10,000,000 are covered by CJPIA. The annual membership contribution is $2,018,612 for the property/liability program and the workers' compensation program (based on estimated wages). On June 30, 2022, $ was accrued by the City for general liability claims, and $ was accrued for workers' compensation claims and judgments. These accruals represent estimates of amounts to be paid for incurred and reported claims and incurred but not reported claims based on past experience and modified for current trends and information. In addition to general liability, property, and worker's compensation policies, the City maintains coverages for cyber liability, crime liability, pollution liability, underground storage tank liability, and earthquake damage - all of which have reasonable self -insured retentions. The City maintains earthquake coverage on many of its public buildings and while the City intends to insure the CUBE Leased Property and the City Hall Leased Property initially, neither Lease requires the City to obtain or maintain earthquake insurance on its related Leased Property. No assurances can be given that the City's security and operational control measures will ensure against any and all cybersecurity threats and attacks. A cybersecurity incident or breach could damage the City's Information Technology systems and cause disruption to City services and operations. The cost of any such disruption or remedying damage caused by future attacks could be substantial. The City will continue to assess cyber threats and protect its data and systems. 50 City Investment Policy and Portfolio The City has adopted policies and procedures for the management of the investment of unexpended funds for the City itself and for other entities of the City, including the Authority, for which the City provides financial management services. The three basic objectives of the policies and procedures are: safety of invested funds, maintenance of sufficient liquidity to meet cash flow needs and attainment of the maximum yield possible consistent with the first two objectives. The most recently revised Investment Policy for the City was adopted on May 11, 2021, and is effective for fiscal years 21/22 and 22/23. Under the City's Investment Policy and in accordance with the Government Code, the City may invest in the following types of investments: bankers acceptances to a maximum term of 180 days; commercial paper to a maximum maturity of 270 days; "A" rated corporate notes; certificates of deposit; obligations of the United States Treasury; repurchase agreements to a maximum term of 1 year; obligations of the State; municipal bonds; mutual funds; the Local Agency Investment Fund (LAIF) managed by the State Treasurer, the Los Angeles County Pooled Investment Fund (LACPIF) administered by the Los Angeles County Treasurer and Tax Collector and a Local Government Investment Pool (LGIP). In accordance with the Government Code, the City requires certain collateralization for public deposits in banks and savings and loans, and has long-established safekeeping and custody procedures. Currently, PFM Asset Management assists the City in managing its investment portfolio. Estimated investments as of August 31, 2022 in all funds of the City had a weighted average maturity of 545 days and were comprised of the following: Local Agency Investment Fund LA County Pool Investment Fund California Asset Management Program Money Market Funds Negotiable CD Noncallable Agencies U.S. Treasury Securities Corporate Bonds Supranationals Asset -Backed Securities TOTAL Principal % of Amount Total $ 74,782,611 20.79% 31,696,416 8.81 15,105,083 4.20 28,304 0.01 3,240,000 0.90 56,316,770 15.65 127,588,745 35.46 39,098,370 10.87 4,090,052 1.14 2,475,627 0.69 Source: City of Santa Clarita Finance Department. $359,789,816 100.00% 51 Outstanding Indebtedness of the City The City has the following outstanding General Fund indebtedness, exclusive of obligations to be paid from specifically pledged revenues, such as general obligation bonds, revenue bonds payable from other than the General Fund, tax allocation bonds, community facilities district bonds and assessment district bonds. The City has never defaulted on any of its obligations. TABLE 9 CITY OF SANTA CLARITA General Fund Outstanding Indebtedness (as of June 30, 2022) Amount Final Category of Indebtedness Original Issue Outstanding Maturity Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A $10,320,000 $ 7,930,000 2035 Lease Revenue Refunding Bonds (Open Space and Parkland Acquisition Program), Series 2016B' 14,020,000 12,020,000 2037 Lease Revenue Bonds (Sheriff Station Project) Series 2019 25,850,000 25,345,000 2049 Lease Revenue Bonds (Recreational Facility) Series 2020A 10,645,000 10,645,000 2050 Lease Revenue Bonds (Recreational Facility) Series 202OA-T 3,625,000 2,790,000 2030 2024 & 2025 Capital lease payable 586,227 419,042 & 2026 Compensated Absences 4,071,369 Indefinite Claims payable 5,729,759 1. While the lease payments for these bonds are payable from the City's General Fund, the City has paid and intends to continue to pay lease payments from assessments levied for the City's Open Space Preservation District. Source: City of Santa Clarita. The City entered into equipment leases for copiers effective June 2019 and April 2020 with estimated annual payments of $107,333 and $18,107, respectively, for a total of $125,430 annually, payable from General Fund revenues. On April 27, 2021, the City Council approved a lease -purchase agreement with Zamboni Company, USA Inc. for Zamboni Equipment at the Cube with estimated annual payments of $36,342. The final payment is due April 29, 2026. Direct and Overlapping Debt Set forth below for the City is a direct and overlapping debt report (the "Debt Report") prepared by California Municipal Statistics, Inc. The Debt Report is included for general information purposes only. The City has not reviewed the Debt Report for completeness or accuracy and makes no representations in connection therewith. The Debt Report generally includes long term obligations sold in the public credit markets by public agencies whose boundaries overlap the boundaries of the City in whole or in part. Such long-term obligations generally are not payable from revenues of the City (except as indicated) nor are they necessarily obligations secured by land within the City. In many cases long-term obligations issued by a public agency are payable from the general fund or other revenues of such public agency. 52 TABLE 10 CITY OF SANTA CLARITA Direct and Overlapping Debt Statement 2022-23 Assessed Valuation: $41,356,729,027 DIRECT AND OVERLAPPING TAX AND ASSESSMENT DEBT: % Applicable Debt 9/1/22 Santa Clarita Community College District 76.356% $237,036,845 William S. Hart Union High School District 76.348 228,741,617 William S. Hart Union High School District Community Facilities District No. 90-1 100. 70,000 William S. Hart Union High School District Community Facilities District No. 2005-1 100. 13,050,000 William S. Hart Union High School District Community Facilities District No. 2015-1 100. 24,470,000 Castaic Union School District 27.696 6,426,857 Newhall School District 60.638 2,261,797 Newhall School District School Facilities Improvement District No. 2011-1 62.343 34,447,625 Saugus Union School District 93.788 1,130,618 Saugus Union School District School Facilities Improvement District No. 2014-1 94.374 116,665,139 Saugus Union School District Community Facilities District No. 2005-1 100. 13,370,000 Saugus Union School District Community Facilities District No. 2006-1, Improvement Area Nos. 1,2,3 100. 62,820,000 Saugus Union School District Community Facilities District No. 2006-2, Improvement Area Nos. 1,2,3 100. 30,595,000 Saugus Union School District Community Facilities District No. 2019-1 100. 9,155,000 Saugus-Castaic Schools Community Facilities District No. 2006-1C 100. 14,940,000 Saugus -Hart Schools Community Facilities District No. 2000-1 100. 6,630,000 Sulphur Springs Union School District 94.306 53,913,983 Sulphur Springs Union School District Community Facilities District Nos. 2002-1, 2006-1 and 2014-1 100. 62,350,879 City of Santa Clarita Open Space and Parkland Assessment District 100. 12,020,000 City of Santa Clarita Landscaping and Lighting Streetlighting Zones A and B 100. 13,345,000 City of Santa Clarita Community Facilities District No. 2002-1 100. 12,170,000 City of Santa Clarita Community Facilities District No. 2016-1 100. 17,020,000 City of Santa Clarita 1915 Act Bonds 100. 395,000 TOTAL DIRECT AND OVERLAPPING TAX AND ASSESSMENT DEBT $973,025,360 DIRECT AND OVERLAPPING GENERAL FUND DEBT: Los Angeles County General Fund Obligations 2.183% $ 58,157,792 Los Angeles County Superintendent of Schools Certificates of Participation 2.183 74,298 Los Angeles County Sanitation District No. 32 Authority 78.563 1,180,774 Santa Clarita Community College District Certificates of Participation 76.356 4,382,834 William S. Hart Union High School District Certificates of Participation 76.348 30,923,317 Castaic Union School District Certificates of Participation 27.696 750,562 Sulphur Springs Union School District Certificates of Participation 94.306 27,235,573 City of Santa Clarita Obligations 100. 46,710,000 (1) TOTAL DIRECT AND OVERLAPPING GENERAL FUND DEBT $169,415,150 OVERLAPPING TAX INCREMENT DEBT (Successor Agency): 100. % $30,615,000 COMBINED TOTAL DEBT $1,173,055,510 (2) (1) Excludes issue to be sold. (2) Excludes tax and revenue anticipation notes, enterprise revenue, mortgage revenue and non -bonded capital lease obligations. Ratios to 2022-23 Assessed Valuation: Direct Debt ($25,365,000) 0.06% Total Overlapping Tax and Assessment Debt 2.35% Total Direct Debt ($72,075,000) 0.17% Combined Total Debt 2.84% Ratios to Redevelopment Successor Agency Incremental Valuation ($755,386,263): Total Overlapping Tax Increment Debt...................................................4.05% Source: California Municipal Statistics, Inc. 53 Employee Retirement Plan This sub -caption contains certain information relating to the California Public Employees Retirement System ("PERS'). Neither the City nor the Authority has independently verified the information provided by PERS or makes any representations or expresses any opinion as to the accuracy of the information provided by PERS. The annual comprehensive financial reports of PERS are available on its Internet website at www.calpers.ca.go. The PERS website also contains PERS' most recent actuarial valuation reports and other information concerning benefits and other matters. Such information is not incorporated by reference herein. The City cannot guarantee the accuracy ofsuch information. Actuarial assessments are `forward - looking" statements that reflect the judgment of the fiduciaries of the pension plans, and are based upon a variety of assumptions, one or more of which may not materialize or may be changed in the future. Actuarial assessments will change with the future experience of the pension plans. General. The City's defined benefit pension plan, California Public Employees' Retirement System (Ca1PERS), provides pensions for all permanent full-time general and some part-time employees of the City. Ca1PERS is an agent multiple -employer defined benefit pension plan administered by the California Public Employees' Retirement System. CAPERS acts as a common investment and administrative agent for its participating member employers and are included within Public Employees' Retirement Fund A (PERF A). Benefits provisions under the Plan are established by State statute and may be amended by City resolution. The plan provides retirement and disability benefits, annual cost -of -living adjustments and death benefits to plan members and their beneficiaries based on the employee's years of service, age and final compensation. Employees vest after five years of service and may receive statutorily reduced retirement benefits at age 50. CAPERS issues a publicly available financial report, which includes a full description of the pension plan regarding benefit provisions, and assumptions and membership information that can be obtained at https://www.calpers.ca.gov. The most recent annual report issued by CAPERS to the City was in July 2021 (the "July 2021 CAPERS Report"). The July 2021 CAPERS Report includes information based on the June 30, 2020 actuarial valuation of assets included therein (the "2020 Actuarial Valuation"). Additional information about the CAPERS Plans can also be found in Note 12 to the City's Audited Financial Statements attached as Appendix B to this Official Statement. [Remainder ofpage intentionally left blank.] 54 The Plan's provisions and benefits in effect as of June 30, 2022 are summarized as follows: Formula Benefit vesting schedule Benefit payments Retirement age Monthly benefits, as a % of annual salary Required employee contribution rates Required employer contribution rates Required UAL contribution Applies to: Tier 1 2.7% at 55 5 years of service monthly for life 50-55 2.7% 8% Tier 1 Employees hired before April 9, 2011' Miscellaneous Tier 2 2% at 60 5 years of service monthly for life 50-60 2.0% 7% 9.04% $3,552,911 Tier 2 Employees hired between April 9, 2011, and December 31, 2012, or those hired January 1, 2013, or later, who have been a Classic CalPERS member with a public agency or in a Classic reciprocal plan within the last 6 months)'* Tier 3 2% at 62 5 years of service monthly for life 52-62 2.0% 6.25% Tier 3 Employees hired January 1, 2013, or later— * Those hired as part-time seasonal (PTS) who later convert to regular full-time will qualify for Tier 1, 2 or 3 depending on their conversion date. Source: City of Santa Clarita 2020/21 Annual Comprehensive Financial Report. At June 30, 2020, 1,160 employees were covered by the benefit terms: (1) 253 inactive employees or beneficiaries currently receiving benefits; (ii) 464 employees entitled to but not yet receiving benefits, and (iii) 443 active employees. This information was obtained from the PERS Annual Valuation Report as of June 30, 2021 and is the most recent information available. Recent Actuarial Changes and Related Developments. In recent years, the Ca1PERS Board of Administration (the "Ca1PERS Board") has taken several steps, as described below, intended to reduce the amount of the unfunded accrued actuarial liability of its managed plans. Many of the assumptions and policies implemented by the Ca1PERS Board have increased and are likely to continue to increase both the required contributions and the unfunded liabilities of its member employers, including the City. On March 14, 2012, the CAPERS Board voted to lower the Ca1PERS' rate of expected price inflation and its investment rate of return (net of administrative expenses) (the "Ca1PERS Discount Rate") from 7.75% to 7.5%. On February 18, 2014, the Ca1PERS Board voted to keep the Ca1PERS Discount Rate unchanged at 7.5%. On November 17, 2015, the Ca1PERS Board approved a new funding risk mitigation policy to incrementally lower the Ca1PERS Discount Rate by establishing a mechanism whereby such rate is reduced by a minimum of 0.05% to a maximum of 0.25% in years when investment returns outperform the existing Ca1PERS Discount Rate by at least four percentage points. On December 21, 2016, the CAPERS Board voted to lower the Ca1PERS Discount Rate to 7.0% over a three year phase -in period in accordance with the following schedule: 7.375% in fiscal year 2017/18, 7.25% in fiscal year 2018/19 and 7.00% in fiscal year 2019/20. The new discount rate went into effect July 1, 2018 for the City and other member employers. Lowering the Ca1PERS Discount Rate means member employers like the City will see 55 increases in their normal costs and unfunded actuarial liabilities. Active members hired after January 1, 2013, under the PEPRA (defined below) will also see their contribution rates rise. As a result of earnings for fiscal year 2020/21, the Ca1PERS Discount Rate was reduced to 6.8% due to the risk mitigation policy. On January 1, 2013, the Public Employees' Pension Reform Act of 2013 ("PEPRA") took effect. Among other things, PEPRA created a new benefit tier for public employees hired on or after January 1, 2013. The City believes that the provisions of PEPRA will help control its pension benefit liabilities in the future. In April 2013, the Ca1PERS Board approved revised actuarial policies that aimed at returning the Ca1PERS system to fully -funded status within 30 years. These policies include a rate -smoothing method with a 30-year fixed amortization period for gains and losses (rather than the current 30-year rolling amortization method). Ca1PERS delayed the implementation of the new policy until fiscal year 2015/16, and as described below further revised these policies in subsequent years. Also, on February 20, 2014, the CAPERS Board approved new demographic assumptions reflecting (i) expected longer life spans of public agency employees and related increases in costs for the CAPERS system and (ii) trends of higher rates of retirement for certain public agency employee classes, including police officers and firefighters. The increase in liability due to the new assumptions will be amortized over 20 years with increases phased in over five years, beginning with the contribution requirement for fiscal year 2016/17. The Ca1PERS Board is required to undertake an experience study every four years under its Actuarial Assumptions Policy and State law. As a result of the most recent experience study, on December 20, 2017, the CAPERS Board approved new actuarial assumptions, including (1) lowering the inflation rate to 2.625% for the June 30, 2017 actuarial valuation and to 2.50% for the June 30, 2018 actuarial valuation, (ii) lowering the payroll growth rate to 2.875% for the June 30, 2017 actuarial valuation and 2.75% for the June 30, 2018 actuarial valuation, and (iii) certain changes to demographic assumptions relating to the salary scale for most constituent groups, and modifications to the morality, retirement, and disability retirement rates. On February 14, 2018, the Ca1PERS Board approved a new actuarial amortization policy with an effective date for actuarial valuations beginning on or after June 30, 2019, which includes (i) shortening the period over which actuarial gains and losses are amortized from 30 years to 20 years, (ii) requiring that amortization payments for all unfunded accrued liability bases established after the effective date be computed to remain a level dollar amount throughout the amortization period, (iii) removing the 5-year ramp -up and ramp -down on unfunded accrued liability bases attributable to assumptions changes and non - investment gains/losses established on or after the effective date and (iv) removing the 5-year ramp -down on investment gains/losses established after the effective date. While CAPERS expects that reducing the amortization period for certain sources of unfunded liability will increase future average funding ratios, provide faster recovery of funded status following market downturns, decrease expected cumulative contributions, and mitigate concerns over intergenerational equity, such changes may result in increases in future employer contribution rates. There can be no assurances that Ca1PERS will not make additional changes to its actuarial assumptions and policies in the future impacting upon the City's required funding contributions and its unfunded accrued liability. Funding Policy. Section 20814(c) of the California Public Employees' Retirement Law (PERL) requires that the employer contribution rates for all public employers be determined on an annual basis by Ust the actuary and shall be effective on the July I following notice of a change in the rate. The total plan contributions are determined through PERS' annual actuarial valuation process. The actuarially determined rate is the estimated amount necessary to finance the costs of benefits earned by employees during the year, with an additional amount to finance any unfunded accrued liability. The employer is required to contribute the difference between the actuarially determined rate and the contribution rate of employees. For the year ended June 30, 2021, the active employee contribution rate for Tier I is 8%, Tier 2 is 7% and Tier 3 is 6.25% of annual pay, and the employer's contribution rate is 9.398% of annual payroll. Employer contribution rates may change if plan contracts are amended. It is the responsibility of the employer to make necessary accounting adjustments to reflect the impact due to any Employer Paid Member Contributions or situations where members are paying a portion of the employer contribution. The employer contributions during the year ended June 30, 2022, were $8,462,978. Annual Payments and Contribution Rates. Under GASB 27, an employer reported an annual pension cost ("APC") equal to the annual required contribution ("ARC") plus an adjustment for the cumulative difference between the APC and the employer's actual plan contributions for the year. The cumulative difference was called the net pension obligation. In order to calculate the dollar value of the ARC for inclusion in the financial statements, the applicable contribution rate was multiplied by the payroll of the covered employees that were paid during the relevant period. Effective for financial statements beginning after July 1, 2014, GASB 68 replaces GASB 27. Hence, the annual reports issued by CAPERS for 2015 and thereafter reflect GASB 68. GASB 68 requires additional reporting that CAPERS is intending to provide upon request by its members. Set forth below is a history and projection of the City's contributions and projected payments to Ca1PERS, from fiscal year 2011/12 through fiscal year 2028/29, as determined by the annual actuarial valuation. It does not account for prepayments or benefit changes made during a fiscal year. The City contributed 100% of its APC in each completed year shown, except for 2017/18, when the City contributed a $5,000,000 excess payment, 2018/19 when the City contributed $6,862,166 excess payment, 2019/20 when the City contributed $9,652,981 excess payment, 2020/21 when the City contributed $5,029,014 excess payment, and 2021/22 when the City contributed $1,952,426. The City estimates that approximately [70]% of the payments to these plans is made from the City's General Fund. The schedule below illustrates the 10-year trend of City contributions. The actuarial methods and assumptions used to set the actuarially determined contributions for fiscal year 2020/21 were from June 30, 2019 public agency valuations. Measurement Period (ending June 30) Historical CalPERS Contribution Amounts by City Actuarially determined City Contribution City Contribution Covered- Contributions Deficiency Employee as a % of (excess) Payroll Covered Payroll 2012 $3,224,628 (3,224,628) - $24,807,314 13.00 2013 3,319,326 (3,319,326) - 25,256,659 13.14 2014 3,562,246 (3,562,246) - 26,879,556 13.25 2015 3,740,138 (3,740,145) - 27,234,699 13.73 2016 3,958,892 (3,959,503) - 27,934,377 14.17 2017 4,484,140 (4,484,140) - 29,966,168 14.96 2018 4,662,191 (9,662,191) (5,000,000) 29,655,553 32.58 2019 5,637,826 (12,499,992) (6,862,166) 33,054,867 37.82 2020 6,323,890 (15,976,871) (9,652,981) 34,882,519 45.80 2021 6,190,238 (11,219,252) (5,029,014) 35,631,558 31.49 2022 6,510,552 (8,462,978) (1,952,426) 41,385,678 20.45 Source: City of Santa Clarita 2020/21 Annual Comprehensive Financial Report. 57 The City is working toward a funded status of at least 90% within the next three years. The table below highlights the voluntary excess City contribution payments made to Ca1PERS over the last three fiscal years and expected to be made to Ca1PERS over the next three fiscal years. Also in fiscal year 2021/22, the City adopted the Public Agencies Post -Retirement Health Care Plan Document and Trust Agreement, a tax -qualified irrevocable trust, organized under IRC Section 115, established to pre -fund OPEB. The Plan Trustee is U.S. Bank and Public Agencies Retirement Services (PARS) is the Trust Administrator. The Plan and its contribution requirements are established by a memorandum of understanding with the applicable employee bargaining units and may be amended by agreements between the City and the bargaining units. CaIPERS Excess Contribution Amounts by City FISCAL YEAR 2019/20 2020/21 2021/22 2022/23 2023/24 2024/25 Actual Actual Actual Projected Projected Projected Ongoing Additional UAL Payment $1,652,981 $1,930,306 $1,846,488 0 0 0 One -Time Payment 8,000,000 3,000,000 Total Excess Payments $9,625,981 $4,930,306 Projected Funding Status 82.3% 94.2% 96.1% 115 Pension Trust Acct 2,000,000 2,000,000 2,000,000 2,000,000 Source: Trust;City of Santa Clarita, Department of Finance. The projected mandatory contribution rates for fiscal year 2022/23 through 2027/28 are provided by Ca1PERS in its July 2021 report. The Ca1PERS projections assumed that all actuarial assumptions (including among other assumptions, a 7% return) will be realized and that no future changes to assumptions, contributions, benefits or funding will occur during the projection period. A complete explanation of the Ca1PERS assumptions can be found in the 2020 Actuarial Valuation. 58 Fiscal Year Ended June 30 Annual Contribution Rates to CalPERS Retirement Plan by City Employer Normal Cost % Unfunded Rate Unfunded Liability Payments 2015 8.160 5.578 n/a 2016 8.216 5.969 n/a 2017 8.482 6.553 n/a 2018 8.258 -- $2,300,635 2019 8.560 -- 2,921,910 2020 9.211 -- 3,466,495 2021 9.398 -- 3,591,974 2022 9.04 -- 3,552,911 20230) 8.85 -- 3,754,878 2024(2) 8.7 -- 4,181,000 20250 8.6 -- 4,594,000 2026(2) 8.4 -- 4,500,000 2027(2) 8.3 -- 3,878,000 2028(2) 8.2 -- 3,958,000 (1) Projected annual payment to retirement plan based on projected contribution rates on CalPERS actuarial report dated July 2021. (2) Projected annual payment to retirement plan based on projected contribution rates on CalPERS plus Unfunded Accrued Liability (UAL) in CalPERS July 2021 Report. Source: City of Santa Clarita, Department of Finance. In June 2021, CalPERS reported a preliminary 4.7% net return on investments for the fiscal year ended June 30, 2020. In the two prior fiscal years ended June 30, 2019 and 2018, the reported return was 6.7% and 8.6%, respectively. CalPERS weighted average investment returns for the past five, ten and twenty years ending June 30, 2020 are 6.3%, 8.5% and 5.5%, respectively. As discussed above, the CalPERS Board voted in December 2016 to phase in an assumed 7% rate of return by fiscal year 2019/20. CalPERS has publicly indicated that it expects actual investment returns in the next twenty years to be less than the 7% assumed rate of return. Actual investment returns lower than the actuarially assumed level (in and of itself) will result in decreased funding status and increased required contribution by the City. Funding Status of Plan. Based on the 2020 Actuarial Valuation (which is the most recent actuarial valuation available), CalPERS reported an unfunded liability, as of June 30, 2020, of $41.2 million for the City's miscellaneous employees as compared to $45.8 million the previous year. Based upon this report, the City reported that its CalPERS obligation had a funded ratio of 82.3% based upon the market value of plan assets with respect to the City's miscellaneous employees. As noted above, CalPERS has changed is discount rate assumptions. The funding status as of June 30, 2020 was calculated using an CalPERS Discount Rate of 7.0%. Also, as noted above CAPERS has changed its amortization and smoothing policies in 2013. Beginning with the June 30, 2015 Actuarial Valuations (that set fiscal year 2015-16 CalPERS contribution rates), CAPERS no longer uses an actuarial value of assets and instead employs an amortization and rate smoothing policy that will account for all gains and losses over a fixed 30-year period with the increases and decreases in the rate phased over a 5-year period. Also as noted above, CAPERS has changed smoothing policies (shortening the period from 30 to 20-years) for valuations on and after June 30, 2019. The table below summarizes the funded status of the City's retirement plan as of the most recent actuarial valuation date (June 30, 2020). Additional information regarding the City's employee retirement Wt plan, annual pension costs, the funding status thereof and significant accounting policies related thereto is set forth in Note 12 to the City's annual comprehensive financial report, attached hereto as APPENDIX B. Actuarial Accrued Valuation Liability Date (AAL) — (June 30) Entry Age Ca1PERS Funding History (Overfunded) Market Value Unfunded Funded of Assets AAL Ratio (Overfunded) Unfunded AAL Annual as a % of Covered Covered Payroll Payroll 2011 $ 99,379,470 $ 74,744,441 $24,635,029 75.2% $25,381,221 97.06% 2012 108,651,771 78,013,291 30,638,480 71.8 24,198,291 126.61 2013 120,474,192 91,449,328 29,024,864 75.9 26,096,656 111.22 2014 138,805,002 111,331,265 27,473,737 80.2 27,201,293 100.00 2015 150,580,794 116,659,735 33,921,059 77.5 27,751,652 122.23 2016 164,514,560 119,981,401 44,533,159 72.9 28,113,472 158.40 2017 180,918,299 135,595,787 45,322,512 74.9 28,541,470 158.79 2018 202,221,979 153,364,091 48,857,888 75.8 30,719,107 159.05 2019 217,977,186 172,175,765 45,801,421 79.0 33,122,226 138.28 2020 232,844,010 191,691,905 41,152,105 82.3 34,777,169 118.33 Source: CalPERS annual valuation report dated July 2021 For the measure period ended June 30, 2021 (the measurement date), the total pension liability was determined by rolling forward the June 30, 2019 total pension liability. The June 30, 2019 and the June 30, 2020 total pension liabilities were based on the following actuarial methods and assumptions: Valuation Date: Measurement Date: Actuarial Cost Method: Amortization Method: Asset Valuation Method: Actuarial Assumptions Discount Rate: Investment Rate of Return: Projected Salary Increases: Inflation: June 30, 2020 June 30, 2021 Entry Age Normal Cost Method Level Percent of Payroll Market Value 7.15% 7.00% Varies by Entry Age and Service 2.5% The Schedule of Changes in the City's Net Pension Liability and Related Ratios during the measurement period is as follows: •l Measurement Period June 30, 2020 June 30, 2021 Total Pension Liability Service Cost $ 5,350,001 $ 5,527,979 Interest 15,203,985 16,234,316 Difference between Expected and Actual Experience 2,498,828 1,168,851 Changes of Assumptions - - Benefit Payments, Including Refunds of Employee Contributions (7,134,971) (7,668,205) Net Change in Total Pension Liability 15,917,843 15,263,941 Total Pension Liability — Beginning 211,036,792 226,954,635 Total Pension Liability - Ending (a) $226,954,635 $242,217,576 Plan Fiduciary Net Position Contributions — Employer $ 15,978,300 $ 11,219,959 Contributions — Employee 2,530,805 2,551,579 Net Investment Income 8,957,955 44,522,336 Administrative Expenses (242,657) (192,013) Benefit Payments, Including Refunds of Employee Contributions (7,134,971) (7,668,205) Other Miscellaneous Income/(Expenses) - - Plan to Plan Reserve Movement Net Change in Fiduciary Net Position 20,089,432 50,433,656 Plan Fiduciary net Position - Beginning 172,127,426 192,216,858 Plan Fiduciary net Position - Ending (b) $192,216,858 242.650.514 Plan Net Pension Liability/(Asset) - Ending (a)-(b) $ 34,737,777 $ (432,938) Plan Fiduciary Net Position as a Percentage of the Total Pension 84.69% 100.10% Liability Source: City of Santa Clarita 2020/21 Annual Comprehensive Financial Report.; City Finance Department. Post -Retirement Medical Benefits (OPEB) The City has elected through resolution to provide healthcare benefits as a single -employer defined benefit plan to retirees, spouses, and eligible dependents of the City. This plan provides postemployment medical insurance benefits through the PERS Health Plan (the Plan). Funding Policy. In December 2011, the City adopted the Public Agencies Post -Retirement Health Care Plan Document and Trust Agreement, a tax -qualified irrevocable trust, organized under IRC Section 115, established to pre -fund OPEB. The Plan Trustee is U.S. Bank and Public Agencies Retirement Services (PARS) is the Trust Administrator. The annual contribution is based on the actuarially determined contribution. For the fiscal year ended June 30, 2021, the City's cash contributions were $334,000 in payments to the trust and the estimated implied subsidy was $304,000 resulting in total contributions of $638,000. An additional $961,682 in benefits was paid directly by the Trust to recipients during the year. Eligibility. City employees who have a service retirement from the City at age 50 with five or more years of service are eligible to receive post -employment medical benefits. Employees who have a disability retirement are also eligible. The benefit for employees hired before January 1, 2008 is up to $1,017 per month. The maximum benefit will be adjusted when the lowest cost employee rate, plus one, exceeds $1,017. No minimum years of service were required for the unrepresented employees hired before January 1, 2008 and retired before January 1, 2012 and represented employees hired before January 1, 2008 and retired after January 1, 2012 and before January 1, 2014. For other employees hired before January 1, 2008, the following vesting applies: 61 Years of Service Vested Percentage 0 to 5 years 0% 5 to 9 years 50% 10 to 14 years 75% 15 years and greater 100% Employees hired after January 1, 2008 receive the PERS minimum and are not subject to a vesting schedule. As of the most recent valuation, June 30, 2021, the total participants in the Plan are 596, with 427 active employees, 128 retirees receiving benefits and 41 inactive entitled but not yet receiving benefits. Net OPEBLiability. The City's net OPEB actuarial valuations of an ongoing plan involve estimates of the value of reported amounts and assumptions about the probability of occurrence of events far into the future. Examples include assumptions about future employment, mortality, and the healthcare cost trend rate. Amounts determined regarding the funded status of the Plan and contributions are subject to continual revision, as actual results are compared with past expectations, and new estimates are made about the future. The City's net OPEB liability was measured as of June 30, 2021 and the total OPEB liability used to calculate the net OPEB liability was determined by an actuarial valuation dated June 30, 2020 and based on the following assumptions: (a) the City contributes full cash benefit of the Actuarially Determined Contribution (ADC) and implied subsidy benefit is on a pay-as-you-go basis, (b) a 6.50% investment rate of return, which is based on the expected return on funds invested by PARS, (c) an annual healthcare cost trend rate of 7.25% for Non -Medicare and 6.3% for Medicare decreasing to an ultimate rate of 4.0% in 2076, (d) inflation at 2.75% per annum, (e) aggregate payroll increase at 3.00%, (f) discount rate of 6.25% for 2021, 4.17% for 2020, (g) Municipal Bond Index of 2.16% for 2021, 2.21% for 2020, and (h) actuarial cost method is Entry Age Normal Level Percentage of Payroll. The value of assets was determined using techniques that spread the effects of short-term volatility in the market value of investments over a five- year period. The net OPEB liability is being amortized as a level percentage of projected payroll on an open basis. The remaining amortization period at June 30, 2021 was 13 years. Changes to previous assumptions include for the June 30, 2021 measurement date, the discount rate was changed from 4.17% to 6.25%; the participation rate at retirement was decreased from 100% to 95% for those hired before 1/1/08; the waived retiree reelection was decreased from 10% reelect at 65 to 5% reelect at 65; and the mortality improvement scale was updated to Scale MP-2019. As of the most recent actuarial valuation date on June 30, 2021, the Plan was 131.7% funded. The actuarial OPEB liability for benefits was $39.7 million, and the Plan Fiduciary net position of assets was $52.3 million, resulting in a net OPEB asset of $12.6 million. The Plan fiduciary net position as a percentage of the total OPEB liability was 131.67%. The covered payroll (annual payroll of active employees covered by the Plan) was $35.6 million, and the ratio of net OPEB liability to the covered payroll was negative 35.29%. Additional information regarding the City's net OPEB liability, the funding status thereof and significant accounting policies related thereto is set forth in Note 13 to the City's annual comprehensive financial report, attached hereto as APPENDIX B. 62 The Schedule of Changes in the City's Net OPEB Liability and Related Ratios during the June 30, 2021 measurement period as shown in the City's annual comprehensive financial report is as follows: Measurement Period June 30, 2021 Changes in Total OPEB Liability Service Cost $ 2,154,981 Interest 2,517,070 Actual vs. Expected Experience (5,463,407) Assumption Changes (17,074,375) Benefit Payments (1,265,682) Net Change in Total OPEB Liability (19,131,413) Total OPEB Liability — Beginning $58,839227 Total OPEB Liability - Ending (a) $39,707,814 Plan Fiduciary Net Position Contributions — Employer $ 638,000 Net Investment Income 10,837,685 Benefit Payments (1,265,682) Administrative Expenses (95,987) Net Change in Fiduciary Net Position 10,114,016 Plan Fiduciary net Position - Beginning 42,169,576 Plan Fiduciary net Position - Ending (b) $52,283,592 Plan Net OPEB Liability/(Asset) - Ending (a)-(b) $(12,575,778) Plan Fiduciary Net Position as a percentage of the Total OPEB Liability 131.67% Covered employee payroll $35,631,538 Net OPEB liability as a percentage of covered -employee payroll-35.29% Source: City of Santa. Clarita 2020/21 Annual Comprehensive Financial Report. The City received a final results report by Bartel Associates LLC, of the City's Retiree Healthcare Plan June 30, 2020 Actuarial Valuation Plan Funding for 2020/21 and 2021/22, dated June 18, 2021, which shows the City with a funded ratio of 118% for the measurement period ending June 30, 2020. Deferred Compensation Plan/Defined Contribution Plan The City has established deferred compensation/defined contribution plans for certain classifications of management under IRC Section 401(a). City participation in contributions to the plans is mandatory. The City is obligated to contribute amounts ranging from $2,000 to $19,500 per participant per year. Employee contributions to certain plans are voluntary. During the year ended June 30, 2021, there were 1,388 participants in the plans and the City's contributions totaled $214,459, while employees' contributions totaled $2,191,356. Redevelopment Agencies Until February 1, 2012, the California Redevelopment Law (Part 1 of Division 24 of the Health & Safety Code of the State) authorized the redevelopment agency of any city or county to receive an allocation of tax revenues resulting from increases in assessed values of properties within designated redevelopment project areas (the "incremental value") occurring after the year the project area was formed. In effect, local 63 taxing authorities, such as the City, realized tax revenues only on the assessed value of such property at the time the redevelopment project was created for the duration of such redevelopment project. The State Legislature approved two bills, AB XI 26 and AB XI 27, during the 2011-12 State budget process. AB XI 26 contemplated the elimination of redevelopment agencies State-wide, and AB XI 27 proposed to authorize the continued existence of redevelopment agencies that agreed to remit a percentage of their "tax increment" to the State's taxing entities. The California Redevelopment Association and the League of California Cities filed a petition with the California Supreme Court (the "Court"), requesting the Court to review the constitutionality of AB X1 26 and AB X1 27. On December 29, 2011, the Court issued its opinion and upheld AB XI 26, but invalidated AB X1 27. As a result of the decision, all California redevelopment agencies, including the Former Redevelopment Agency, were dissolved as of February 1, 2012. Certain tax revenues allocable to the Former Redevelopment Agency will continue to be allocated to the Successor Agency to the Former Redevelopment Agency, to pay certain financial obligations approved by the Successor Agency's Oversight Board and State Department of Finance ("DOF"), and some of those revenues may be redirected to other taxing agencies, such as the County, school districts and the City. Prior to the dissolution of the Former Redevelopment Agency, the General Fund advanced the Former Redevelopment Agency funding for various redevelopment activities. These advances were made in the form of promissory notes and were transferred to the Successor Agency upon dissolution. In fiscal year 2014-2015, the DOF approved final loan amounts from the General Fund to the Former Redevelopment Agency for $7,225,964 using a LAIF rate of 0.26%, which was in effect when the Oversight Board reinstated the loans on February 25, 2015. On September 22, 2015, the Committee on Budget and Fiscal Review of the California State Senate approved SB 107. A mandate of this legislation included a recalculation of the notes to the Successor Agency using a 3% simple interest from the origination of the note, instead of the LAIF rate. For fiscal year 2015-2016 and subsequent, the loan amounts will increase by the 3% interest only. As of June 30, 2022, the loan amount reported in the General Fund was $8,708,426, of which $3,470,861 represents unpaid accrued interest. Impact of State of California Budget A number of the City's revenues are collected and subvened by the State (such as sales tax and motor -vehicle license fees) or allocated in accordance with State law (most importantly, property taxes). Therefore, State budget decisions can have an impact on City finances. Approximately 68% of the City's General Fund revenues are collected by the State or otherwise allocated by State law. During prior State fiscal crises, the State has reallocated a portion of such revenues to assist in its own budget balancing. Proposition IA, adopted in 2004, amended the State Constitution to impose limits on the State's ability to reallocate local revenue. (See "RISK FACTORS — Risks Related to Taxation in California — Proposition IA.") The State's fiscal year begins on July 1 and ends on June 30. The State Constitution requires the Governor to submit a budget for each fiscal year to the Legislature by the preceding January 10 (the "Governor's Budget"). The Constitution requires the Legislature to pass a budget bill by June 15, although the Legislature has frequently failed to meet this deadline. Because more than half of the State's General Fund income is derived generally from the April 15 personal income tax, the Governor submits a "May Revision"' to his proposed budget. The Legislature typically waits for the May Revision before making budget decisions. Once the budget bill has been approved by a majority vote of each house of the Legislature, it is sent to the Governor for signature. Increases in taxes require approval of a two-thirds majority of each house. On January 10, 2022, the Governor released his proposed budget for fiscal year 2022-23. In the Governor's proposed budget, General Fund revenues and transfers for fiscal year 2022-23 were projected 64 at $195.7 billion; a decrease of $1.0 billion, or 0.5 percent, compared with a revised estimate of $196.7 billion for fiscal year 2021-22. General Fund expenditures for fiscal year 2022-23 are projected at $213.1 billion, an increase of $3.1 billion compared with a revised estimate of $210.0 billion for fiscal year 2021- 22. The State acknowledges that risks to the State's general fund include ongoing challenges related to the COVID-19 pandemic and significant unfunded liabilities of the two main retirement systems managed by state entities, the California Public Employees' Retirement System and the California State Teachers' Retirement System. The State's revenues (particularly the personal income tax) can be volatile and correlate to overall economic conditions. There can be no assurances that the State will not face fiscal stress and cash pressures again, or that other changes in the State or national economies will not materially adversely affect the financial condition of the State. The City cannot predict the extent of any budgetary problems the State will encounter in future fiscal years, and it is not clear what measures would be taken by the State to balance its budget, as required by law. In addition, the City cannot predict the impact that State budgets will have on the City's finances and operations, or what actions will be taken in the future by the State Legislature and the Governor to deal with changing State revenues and expenditures. Current and future State budgets will be affected by international, national and State economic conditions and other factors over which the City has no control. While the City is not substantially reliant on the State's finances, a number of the City's revenues are collected and dispersed by the State (such as sales tax and motor -vehicle license fees) or allocated in accordance with State law (most importantly, property taxes). Therefore, State budget decisions can have an impact on City finances. In the event of a material economic downturn in the State, there can be no assurance that any resulting revenue shortfalls to the State will not reduce revenues to local governments (including the City) or shift financial responsibility for programs to local governments as part of the State's efforts to address any such related State financial difficulties. See `"`RISK FACTORS — Risks Related to Taxation in California —Proposition IA" and "— Proposition 22" herein. The State budget provides certain funding for emergency response and for homelessness, from which the City expects to benefit. Information about the State budget is regularly available at various State -maintained websites. Text of the State budget may be found at the State Department of Finance website, www.govbud.do/ca.gov. An impartial analysis of the budget is posted by the Office of the Legislative Analyst at www.lao.ca.gov. In addition, various State of California official statements, many of which contain a summary of the current and past State budgets, may be found at the website of the State Treasurer, www.treasurer.ca.gov. The information referred to is prepared by the respective State agency maintaining each website and not by the City or the Authority, and neither the City nor the Authority take any responsibility for the continued accuracy of the Internet addresses or for the accuracy or timeliness of information posted there, and such information is not incorporated herein by these references. Information Regarding Federal Budget The Coronavirus Aid, Relief and Economic Act (the "CARES Act") provides funding to states and local governments for expenditures incurred due to COVID-19. The CARES Act provided $9.5 billion to California, of which $2.7 million in Coronavirus Relief Funds have been allocated to the City and $2.3 million in CARES CDBG-CV have been allocated to the City. 65 The American Rescue Plan Act of 2021 (ARPA) State and Local Fiscal Recovery Funds delivered $350 billion to state, local, and Tribal governments to support their response to and recovery from the COVID-19 public health emergency. The ARPA funding provided $43 billion to California, of which $35.1 million has been allocated to the City. The Emergency Rental Assistance Program authorized $25 billion in federally -funded emergency rental assistance to support low- and moderate -income households nationwide that are unable to pay rent and utilities due to the COVID-19 pandemic. The U.S. Department of Treasury (Treasury Department) provided funds to states, local governments with a population that exceeds 200,000, U.S. Territories, and Indian tribes. The City received a direct allocation from the Treasury Department in the amount of $5.2 million to provide emergency rental assistance to eligible households within the City's boundaries. Transit also received CARES specific funding in the amount of $18.3 million and ARPA specific funding in the amount of $21.6 million. In addition, the City received $3.7 million in Coronavirus Response and Relief Supplemental Appropriations Act (CRRSA). RISK FACTORS Purchase of the Bonds will constitute an investment subject to certain risks, including the risk of nonpayment ofprincipal and interest. Before purchasing any of the Bonds, prospective investors should carefully consider, among other things, the risk factors described below. However, the following is not meant to be an exhaustive listing of all the risks associated with the purchase of the Bonds. Moreover, the order of presentation of the risk factors does not necessarily reflect the order of their importance. Substitution of Property Pursuant to each Lease, the City will have, so long as such Lease is in effect, the option at any time and from time to time, to substitute other real property and/or improvements for any portion of such Leased Property or release any identifiable real property and/or improvements constituting the Leased Property, provided that the City shall satisfy all of the requirements set forth in such Lease. See APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS — The Lease — Substitution and Release of Property." Base Rental Payments Are Not Debt; Bonds are Limited Obligations The obligation of the City to make the Base Rental Payments under each Lease does not constitute an obligation of the City for which the City is obligated to levy or pledge any form of taxation or for which the City has levied or pledged any form of taxation. Neither the Bonds nor the obligation of the City to make Base Rental Payments constitutes a debt of the City, the State or any political subdivision thereof (other than the Authority) within the meaning of any constitutional or statutory debt limitation or restriction. The Bonds are not general obligations of the Authority, but are limited obligations payable solely from and secured by a pledge of Revenues and amounts held in the funds and accounts created under the each Indenture, consisting primarily of applicable Base Rental Payments. The Authority has no taxing power. The Bonds are being issued by the Authority pursuant to the Act. The Supreme Court of the State in its 1998 decision of Rider v. City of San Diego, 18 Cal. 4t' 1035, upheld the validity of a joint powers agency financing and found that bonds issued pursuant to the Act and payable from lease payments made pursuant to a lease with the City of San Diego were not subject to the State constitutional provisions that require two-thirds voter approval of indebtedness incurred by a city, county or school district. No voter approval of the Bonds or the Lease has been sought. .: Although each Lease does not create a pledge, lien or encumbrance upon the funds of the City for so long that the related Leased Property is available for its use, the City covenants to take such action as may be necessary to include the related Base Rental Payments and Additional Rental Payments due under the such Lease in its annual budget and to make the necessary annual appropriations for all such Base Rental Payments and Additional Rental Payments from any source of legally available funds. The City is currently liable and may become liable on other obligations payable from general revenues, some of which may have a priority over the Base Rental Payments, or which the City, in its discretion, may determine to pay prior to the Base Rental Payments. The City has the capacity to enter into other obligations payable from the City's General Fund, without the consent of or prior notice to the Owners of the Bonds. To the extent that additional obligations are incurred by the City, the funds available to make Base Rental Payments may be decreased. In the event the City's revenue sources are less than its total obligations, the City could choose to fund other activities before making Base Rental Payments and other payments due under either Lease. The same result could occur if state constitutional expenditure limitations were to prohibit the City from appropriating and spending all of its otherwise available revenues. Abatement hi the event of the loss of, damage to or destruction or condemnation of either Leased Property that causes the City not to have the use and possession of all or a substantial part of such Leased Property, the City's obligation to make the Base Rental Payments due under the Lease relating to such Leased Property will be abated and, notwithstanding the provisions of such Lease specifying the extent of such abatement and the provisions requiring rental interruption insurance covering loss of use of the Leased Property in an amount adequate to cover 24 months of Base Rental Payments due under such Lease, the resulting Base Rental Payments (and such other funds) may not be sufficient to pay all of the remaining principal of and interest on the related Bonds. See APPENDIX C — "SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS — The Lease — Abatement of Rental." Economic Condition in Local, State and National Economies The financial condition of the City can be significantly affected by generally prevailing conditions in the local, State and national economies. Such conditions and factors may impact the amounts available to the City to pay Base Rental Payments due under each Lease. A number of the City's sources of revenues are collected and subvened by the State (such as sales taxes and motor -vehicle license fees) or allocated in accordance with State law (most importantly, property taxes). Approximately [66]% of the City's General Fund revenues are collected by the State or allocated by State law. Sales tax revenues account for 35% or $46.2 million in the City's 2022/23 Budget. For fiscal 2021/22, the top ten sales tax producers represented 26% of the total sales tax received by the City, while the top twenty-five sales tax producers represented 43% of the total sales tax. Adverse impacts on the operations of any of such businesses may affect the amount of sales tax received by the City. The nation and the State are presently experiencing a severe economic recession resulting from the COVID-19 Pandemic. See "INTRODUCTION - COVID -19," and "THE CITY - COVID-19 Pandemic," herein, and "Impacts and Potential Impacts of COVID-19 on the City" below. There can be no assurances that the current or future recession or otherwise declining conditions in the local, State or national economies will not materially adversely affect the financial condition of the City in the future. See "THE CITY - Impact of State of California Budget." M Impacts and Potential Impacts of COVID-19 on the City The outbreak of COVID-19 has had an adverse effect on, among other things, the national economy, the global supply chain, international travel and travel -related industries. The outbreak has negatively affected the national and local economy and financial markets, and is expected to continue to negatively affect economic output worldwide and within the State and the City. Unemployment in the United States had dramatically increased as a result of the COVID-19 Pandemic. Both the State and the County have taken actions designed to mitigate the spread of COVID-19, including requiring the temporary closure of non -essential businesses. The ongoing Pandemic and the actions taken by the federal, State, and other local governments had an immediate impact on City operations and finances, increasing City expenditures and reducing revenues. See "THE CITY - COVID-19 Pandemic." Other potential impacts to the City associated with the Pandemic include, but are not limited to, challenges to the City's public health and safety infrastructure. Although various measures are being implemented to address the impacts of the Pandemic on the City's operations and finances, the City cannot predict the effectiveness and duration of these measures. The actual impact of the Pandemic on the City, its economy and its finances will depend on future events, including future events outside of the control of the City. City Pension and OPEB Obligations The City has significant pension and post -employment retirement benefits ("OPEB") payable to its employees and pensioners. These obligations, and particularly the pension obligations, are in the nature of "defined benefit plans" where the City's obligations to its employees and pensioners are fixed, without regard to the earnings on the City's or the State's (Ca1PERS') retirement system investments. If investment returns on the City's or Ca1PERS plans are not realized as expected, or if pension or other OPEB benefits increase because of demographic or other factors, the City's payments for its pension and OPEB obligations could increase, thus decreasing the revenues available to make Base Rental Payments. Further, the City's pension obligations are constitutionally protected under California law, meaning that the City has limited ability to alter its obligations outside of a municipal bankruptcy (Chapter 9) proceeding. Even in a bankruptcy proceeding, the City may have limited ability to avoid paying its pension obligations, and in particular, any obligation to make payments to CalPERS, potentially resulting in an adverse impact on the treatment in bankruptcy of other City creditors, including the Bond Owners. See "RISK FACTORS — Bankruptcy" below. Risk of Uninsured Loss The City covenants under each Lease to maintain certain insurance policies on related Leased Property. These insurance policies do not cover all types of risk. The Leased Property could be damaged or destroyed due to earthquake or other casualty for which the Leased Property is uninsured. While the City currently maintains earthquake insurance, each Lease does not require earthquake insurance on the related Leased Property. Additionally, each Leased Property could be the subject of an eminent domain proceeding. Under these circumstances an abatement of Base Rental Payments could occur and could continue indefinitely. There can be no assurances that amounts received as proceeds from insurance or from condemnation of such Leased Property will be sufficient to repair such Leased Property or to redeem the Bonds related thereto and any other obligations secured by related Base Rental Payments. Certain of the City's insurance policies provide for deductibles. Should the City be required to meet such deductible expenses, the availability of General Fund revenues to make Base Rental Payments may be correspondingly affected. Self -Insurance The City may self -insure for all insurance with the exception of rental interruption. Should the City self -insure, no assurance can be given that such self-insurance at the time of any casualty or loss will be adequate to cover any claims that may arise. For a discussion of (i) the insurance requirements for each Leased Property, and (ii) the conditions under which the City is permitted to self -insure, see "SOURCES OF PAYMENT OF THE BONDS — Insurance by the City." For a general description of the City's insurance and risk management programs, see "FINANCIAL INFORMATION RELATING TO THE CITY — Risk Management" and "APPENDIX B — AUDITED FINANCIAL STATEMENTS OF THE CITY FOR THE FISCAL YEAR ENDED JUNE 30, 2021." Eminent Domain If any Leased Property is taken permanently under the power of eminent domain or sold to a government threatening to exercise the power of eminent domain, the term of the related Lease will cease as of the day possession is taken. If less than all of such Leased Property is taken permanently, or if such Leased Property or any part thereof is taken temporarily, under the power of eminent domain, (a) the related Lease will continue in full force and effect and will not be terminated by virtue of such taking, and (b) there will be a partial abatement of related Base Rental Payments as a result of the application of net proceeds of any eminent domain award to the prepayment of such Base Rental Payments, in an amount to be agreed upon by the City and the Authority such that the resulting Base Rental Payments represent fair consideration for the use and occupancy of the remaining usable portion of such Leased Property. The City covenants in each Lease to contest any eminent domain award which is insufficient to either: (i) prepay the related Base Rental Payments in whole, if all of such Leased Property is condemned; or (ii) prepay a pro rata share of the related Base Rental Payments, in the event that less than all of such Leased Property is condemned. Bankruptcy The City is a unit of State government and therefore is not subject to the involuntary procedures of the United States Bankruptcy Code (the `Bankruptcy Code"). However, pursuant to Chapter 9 of the Bankruptcy Code, the City may seek voluntary protection from its creditors for purposes of adjusting its debts. If the City were to become a debtor under the Bankruptcy Code, the City would be entitled to all of the protective provisions of the Bankruptcy Code as applicable in a Chapter 9 proceeding. the adverse effects of such a bankruptcy might be: (1) the application of the automatic stay provisions of the Bankruptcy Code, which, until relief is granted, would prevent collection of payments from the City or the commencement of any judicial or other action for the purpose of recovering or collecting a claim against the City; (ii) the avoidance of preferential transfers occurring during the relevant period prior to the filing of a bankruptcy petition; (iii) the existence of unsecured or court -approved secured debt which may have a priority of payment superior to that of the Base Rental Payments under each Lease as they relate to Revenues due to Owners of related Bonds; and (iv) the possibility of the adoption of a plan for the adjustment of the City's debt (a "Plan") without the consent of the Trustee or all of the Owners of Bonds, which Plan may restructure, delay, compromise or reduce the amount of any claim of the Owners if the Bankruptcy Court finds that the Plan is fair and equitable. In addition, the City could either reject a Lease or assume such Lease despite any provision of such Lease which makes the bankruptcy or insolvency of the City an event of default thereunder. In the event the City rejects a Lease, the Trustee, on behalf of the Owners of the related Bonds, would have a pre -petition claim that may be limited under the Bankruptcy Code and treated in a manner under a Plan over the objections of the Trustee or Owners of the related Bonds. Moreover, such rejection would terminate such Lease and the City's obligations to make payments thereunder. The Authority is a public agency and, like the City, is not subject to the involuntary procedures of the Bankruptcy Code. The Authority may also seek voluntary protection under Chapter 9 of the Bankruptcy Code. In the event the Authority were to become a debtor under the Bankruptcy Code, the Authority would be entitled to all of the protective provisions of the Bankruptcy Code as applicable in a Chapter 9 proceeding. Such a bankruptcy could adversely affect the payments under the Indentures. Among the adverse effects might be: (i) the application of the automatic stay provisions of the Bankruptcy Code, which, until relief is granted, would prevent collection of payments from the Authority or the commencement of any judicial or other action for the purpose of recovering or collecting a claim against the Authority; (ii) the avoidance of preferential transfers occurring during the relevant period prior to the filing of a bankruptcy petition; (iii) the existence of unsecured or court -approved secured debt which may have priority of payment superior to that of the Owners of the Bonds; and (iv) the possibility of the adoption of a plan for the adjustment of the Authority's debt without the consent of the Trustee or all of the Owners of the Bonds, which plan may restructure, delay, compromise or reduce the amount of any claim of the Owners if the Bankruptcy Court finds that the Plan is fair and equitable. However, the bankruptcy of the Authority, and not the City, should not affect the Trustee's rights under the Leases. The Authority could still challenge the assignment, and the Trustee and/or the Owners of the Bonds could be required to litigate these issues to protect their interests. No Liability of Authority to the Owners Except as expressly provided in the Indentures, the Authority will not have any obligation or liability to the Owners of the related Bonds with respect to the payment when due of the applicable Base Rental Payments by the City, or with respect to the performance by the City of other agreements and covenants required to be performed by it contained in the Leases or the Indentures, or with respect to the performance by the Trustee of any right or obligation required to be performed by it contained in the Indentures. No Limitation on Incurring Additional Obligations Neither the Leases nor the Indentures contain any limitations on the ability of the City to enter into other obligations (other than Additional Bonds as defined in the Indentures) that may constitute additional claims against its General Fund revenues. To the extent that the City incurs additional obligations, the funds available to make Base Rental Payments may be decreased. The City is currently liable on other obligations payable from General Fund revenues. See "THE CITY- Outstanding Indebtedness of the City" herein. Seismic Factors The City, like most communities in California, is an area of unpredictable seismic activity, and therefore, is subject to potentially destructive earthquakes. The City is located in a seismically dynamic region featuring two active fault systems: the San Andreas System which includes the San Andreas and the San Gabriel faults; and a system of faults associated with the transverse ranges including the Sierra Madre and San Fernando faults. As a result of the January 1994 Northridge Earthquake, damage to City facilities included the City Hall which was repaired and retrofitted for approximately $4.6 million. The City did not have use of the building for approximately 100 days during that time. The CUBE Leased Property lies on or near the San Gabriel Fault and the San Cayetano Fault. The City has adopted a Seismic Safety Element to the City's General Plan and implemented the Element's recommendation by ordinance. The ordinance specifies development restrictions and requirements for engineering and geologic reports based on the type of project, intensity of use and proximity to the identified hazard zones. City development has generally avoided these areas of highest risk and General Plan policy will prevent development in high risk areas. 70 The occurrence of severe seismic activity in the City could result in substantial damage to property located in the City. In the event of damage to real property within the City, the property owner could become unwilling to pay its property tax bills or the City may be required to expend unexpected funds for repairs. In such event, revenues to or expenditures from the General Fund of the City could be negatively affected. Pursuant to the Leases, the City is not required to maintain earthquake or flood insurance. Depending on its severity, an earthquake could result in abatement of Base Rental Payments under the Leases. See "RISK FACTORS -- Abatement" above. Should an earthquake, landslide, flood or other natural hazards occur that results in substantial interference with the use of either Leased Property, under the abatement provisions of the related Lease, the City would not be obligated to make the Base Rental Payments. Either Leased Property may also be at risk from other events of force majeure, such as damaging storms, fires and explosions, strikes, sabotage, riots and spills of hazardous substances, among other events. The City cannot predict what force majeure events may occur in the future. Risk of Structural and Wildland Fire The City contracts fire protection services from the Consolidated Fire Protection District of Los Angeles County, otherwise known as the Los Angeles County Fire Department (the "Fire Department"). The City receives urban and wildland fire protection services from the Fire Department. Mutual aid agreements are maintained with several local, State, and federal agencies. According to information contained in the Safety Element of the City's General Plan, historical records kept by the U.S. Department of Forestry indicate that wildland fires occur regularly within the planning area, with large fires occurring approximately every 10 years. Fire danger rises based on the age and amount of vegetation; therefore, fire incidents tend to be cyclical in an area as vegetation intensity increases with age, and dead vegetation accumulates. The Santa Clanta Valley planning area is susceptible to wildland fires because of its hilly terrain, dry weather conditions, and native vegetation. Steep slopes allow for the quick spread of flames during fires, and pose difficulty for fire suppression due to access problems for firefighting equipment. Late summer and fall months are critical times of the year when wildland fires typically occur, when the Santa Ana winds deliver hot, dry desert air into the region. Highly flammable plant communities consisting of variable mixtures of woody shrubs and herbaceous species, such as chaparral and sage vegetation, allow fires to spread easily on hillsides and in canyons. According to the Fire Department, 80 to 90 percent of the planning area is located in a Very High Fire Hazard Severity Zone, which is the highest classification for areas subject to wildfires. Areas subject to wildland fire danger include portions of Newhall and Canyon Country, Sand Canyon, Pico Canyon, Placenta Canyon, Hasley Canyon, White's Canyon, Bouquet Canyon, and all areas along the interface between urban development and natural vegetation in hillside areas. Fire hazards increase with any drought periods, and are highest for structures at the fringe of forested or wildland areas. In addition to the damage caused directly by a foothill fire, further damage may be caused by resulting mudslides during subsequent rains. The Fire Department has adopted programs directed at wildland fire prevention, including adoption of the State Fire Code standards for new development in hazardous fire areas. Fire prevention requirements include provision of access roads, adequate road width, and clearance of brush around structures located in hillside areas. Additionally, proof of adequate water supply for fire flow is required within a designated distance for new construction in fire hazard areas. Recent Thomas and Creek fires in Ventura County and Hill and Woosley fires in Los Angeles County did not have a direct impact on the City. The Rye Canyon fire in December 2017 within the City did not result in any damage to structures. The recently reported Lake Fire near Lake Hughes in the Angeles National Forest and the Bobcat fire in Los Angeles County did not have a direct impact on the City. In the event of damage to real property within the City, the property owner could become unwilling to pay its property tax bills or the City may be required to expend unexpected funds for repairs. In such event, revenues to or expenditures from the General Fund of the City could be negatively affected. 71 Risk of Floods According to information contained in the Safety Element of the City's General Plan, the Santa Clarita Valley contains many natural streams and creeks that function as storm drain channels, conveying surface water runoff into the Santa Clara River. As described in the Conservation and Open Space Element of the City's General Plan, both the City and County have acted to protect the Santa Clara River floodplain from development in order to maintain the river's natural character and to protect future development from flood hazards. Localized flooding has been experienced intermittently in some areas of the valley due to local drainage conditions. During heavy rains some areas of Castaic, Newhall, Friendly Valley, and Bouquet Canyon have experienced mudflows or flooding. Local flooding can be exacerbated by erosion and mudslides when heavy rains occur after wildfires. Two areas of the City known to experience intermittent flooding are portions of Placenta Canyon, Sand Canyon, and Newhall Creek. The majority of the land within the City is designated within the "moderate" and "low" risk flood zones, while select areas along creeks and waterways are designated within the "high" risk flood zone. Potential damage from flooding ranges from inconvenience to property damage and loss of life. Dam failure can result from natural or man-made causes, including earthquakes, erosion, improper siting or design, rapidly -rising flood waters, or structural flaws. Dam failure may cause loss of life, damage to property, and displacement of persons residing in the inundation path. Damage to electric generating facilities and transmission lines could also impact life support systems in communities outside of the immediate inundation area. Within the Santa Clarita Valley, the two major reservoirs which could have a significant impact on the Santa Clarita Valley in the event of a dam failure are located in Bouquet Canyon and Castaic. Failure of these dams during a catastrophic event, such as a severe earthquake, is considered unlikely, due to their type of construction. However, local safety plans have considered the possibility of dam failure and have outlined a procedure for response and recovery from this type of hazard, including identification of inundation areas and evacuation routes. The occurrence of flooding in the City could result in substantial damage to property located in the City. In the event of damage to real property within the City, the property owner could become unwilling to pay its property tax bills or the City may be required to expend unexpected funds for repairs. In such event, revenues to or expenditures from the General Fund of the City could be negatively affected. Drought From 2012 through 2016, the State experienced "exceptional drought conditions" (the most severe drought classification) according to the U.S. Drought Monitor, had below average runoff, which resulted in chronic and significant shortages to municipal, industrial, agricultural, and wildlife refuge supplies, and historically low groundwater levels. As a result of those drought conditions, the Governor and the California State Water Resources Control Board (the "State Water Board") issued Executive Orders, drought emergency regulations, and conservation standards to reduce potable urban water use. Following unprecedented water conservation and record amounts of precipitation, in April 2017, the Governor lifted drought emergency Executive Orders except for the Executive Order requiring permanent monthly water use reporting and banning wasteful water use practices, such as hosing of sidewalks, driveways, and other hardscapes, and strengthening local drought resilience plans. On May 31, 2018, the Governor signed into law two bills (Assembly Bill 1668 (2018) and Senate Bill 606 (2018) (together, the "Water Conservation Legislation") requiring the establishment of Statewide efficiency standards by 2022. The Water Efficiency Legislation is designed to assist the State better prepare for droughts and climate change by requiring urban water suppliers to, among other things, create water use objectives, establish water shortage contingency plans, and increase potable water reuse. 72 After two years of low precipitation in 2020 and 2021, the U.S. Drought Monitor reported that more than 90% of the State is experiencing moderate to exceptional drought with reservoir and groundwater levels at levels significantly below average. Continued dry conditions can threaten water supplies, impair critical habitat, reduce recreational opportunities, and create uncertainty for all water users. In March 2021, the State Water Board reported that hydrologic conditions since 2020 have been very similar to the drought years of 2014 and 2015. In response to a second consecutive dry year in the State, on April 21, 2021, the Governor directed State agencies to take immediate action to bolster drought resilience and prepare for impacts on communities, businesses and ecosystems if dry conditions extend to a third year and declared a regional drought emergency for the Russian River watershed in Sonoma and Mendocino counties. On May 10, 2021, the Governor expanded the drought emergency proclamation to add 39 additional counties, including the County. This proclamation directs the State Water Board to consider modifying requirements for reservoir releases and diversion limitations to conserve water upstream later in the year to maintain water supply, improve water quality, protect cold water pools for salmon and steelhead, enables flexibilities in regulatory requirements and procurement processes to mitigate drought impacts, and directs State water officials to expedite the review and processing of voluntary transfers of water from one water right holder to another, enabling available water to flow where it is needed most. On July 8, 2021, in response to intensifying drought and record -breaking temperatures across the Western United States, the Governor added nine counties to the regional drought state of emergency and called on residents to voluntarily reduce their water use by 15% compared to 2020 and limit outdoor watering to three days per week between the hours of 6:00 p.m. and 10:00 a.m. to protect water reserves if drought conditions. On October 20, 2021, the Governor expanded the drought emergency proclamation Statewide. In an effort to conserve water, the City is conducting evening irrigation audits of its median system. From this audit, the City has provided an encompassing punch list identifying irrigation line breaks, broken/missing nozzles, excessive runtime setting, and/or areas where plant material interference is creating water run-off or sheeting. Dating back to 2015, the City has modified its operation to allow contractors to run irrigation exclusively during the evening beginning at 7 p.m. In addition to adjusting times to match Stage 2 restrictions, staff continues to reiterate these requirements to all contractors. Based on continued drought conditions, in the fall of 2021 the City elected to forgo its normal turf renovation program which conditions grass areas for the coming spring as these efforts require significant application of additional water. Moreover, the City is reducing water usage by 10% throughout the landscape maintenance districts' operation through reprogramming of the City's weather -based irrigation controller system. Residents of the City are serviced by the Santa Clarita Valley Water Agency ("SCV Water"), formed in 2018, with three water divisions: Newhall Water Division, Santa Clarita Water Division and Valencia Water Division. On April 26, 2022, the SCV Water Board of Directors approved a resolution enacting Stage 2 of the Water Shortage Contingency Plan and Water Conservation and Water Shortage Ordinance. Certain water waste activities are now restricted. Landscape watering is limited to three days per week, with no watering on Saturday, and limited watering run times. While certain water activities are now restricted, the Santa Clarita Valley Water Agency (SCVWA) has provided the City an Alternative Performance Compliance Waiver exempting it from the three-day per week watering restrictions. The issuance of this waiver by the SCVWA acknowledges the City's existing Weather -based Smart Irrigation Controller System and recognizes the ability of large users to implement alternative water saving strategies„ including recent actions taken by the City to voluntarily reduce landscape -related water usage by an additional ten percent. The City can give no assurance that persistent drought conditions will not result in the imposition of water use restrictions on residents due to drought -related orders or regulations imposed by the State. 73 Hazardous Substances The public works activities of the City may, from time to time, result in the use of hazardous substances on the facilities owned and operated by the City, including, but not limited, to either Leased Property. Accordingly, it is possible that spills, discharges or other adverse environmental consequences of such use in the future could cause an adverse effect on the fair rental value of such Leased Property and lead, in an extreme case, to abatement, in whole or in part, of related Base Rental Payments. See "RISK FACTORS — Abatement" above. In general, the owners and operators of a parcel may be required by law to remedy conditions relating to releases or threatened releases of hazardous substances. The federal Comprehensive Environmental Response, Compensation and Liability Act of 1980, sometimes referred to as "CERCLA" or the "Super Fund Act", is the most well-known and widely applicable of these laws, but California laws with regard to hazardous substances are also stringent and similar in effect. Under many of these laws, the owner (or operator) is obligated to remedy a hazardous substance condition of a parcel whether or not the owner (or operator) had anything to do with creating or handling the hazardous substance. Climate Change Climate change caused by human activities may have adverse effects on the City. Climate change can also result in more variable weather patterns, which can lead to longer and more severe droughts as well as increased risk of flooding. Projections of the impacts of global climate change on the City are complex and depend on many factors that are outside the City's control. The various scientific studies that forecast the amount and timing of adverse impacts of climate change are based on assumptions contained in such studies, but actual events may vary materially. Also, the scientific understanding of climate change and its effects continues to evolve. Accordingly, the City is unable to forecast with certainty when adverse impacts of climate change will occur or the extent of such impacts. The City expects to continue to consider the effects of climate change in its own planning and to participate in regional planning initiatives. While the impacts of climate change may be mitigated by the City's past and future investment in adaptation strategies, the City can give no assurance about the net effects of those strategies and whether the City will be required to take additional adaptive mitigation measures. Particular potential impacts of climate change on the City include worsening air quality, increased flooding, and heatwaves. Future climate change bills or measures could restrict the City's ability to raise additional funds for its General Fund. Green Bonds No representation is made as to the suitability of the Bonds to fulfill environmental criteria required by prospective investors. The designation of the Bonds as "green bonds" is not based upon the receipt by the Authority or the City of any third -party certification relating to the status of the Bonds as "green bonds." Each potential purchaser of the Bonds should determine for itself the relevance of the information contained or referred to herein or in the Indentures regarding the use of proceeds and its purchase of the Bonds should be based upon such investigation as it deems necessary. THERE CAN BE NO ASSURANCE THAT THE USE OF PROCEEDS OF THE BONDS WILL BE SUITABLE FOR THE INVESTMENT CRITERIA OF AN INVESTOR. It is the City's intention to apply the net proceeds received from the sale of the Bonds for the energy efficiency upgrades as described in "PLAN OF FINANCE." Prospective investors should review the information included in this Preliminary Official Statement pertaining to the intended use of the proceeds of the Bonds and must determine for themselves the relevance of such information for the purpose of any investment in the Bonds, together with any other investigation the investor deems necessary. In particular, no assurance is given by the City or the Underwriter that the 74 use of such proceeds will satisfy, in whole or in part, any present or future investor expectations or requirements as to any investment criteria or guidelines with such investor or its investments are required to comply, whether by any present or future applicable law or regulations, or by its own by-laws or other governing rules or investment portfolio mandates, in particular with regard to any direct or indirect environmental impact of any uses of the proceeds of the Bonds. Furthermore, it should be noted that there is currently no clearly defined definition of (legal, regulatory, or otherwise), nor market consensus as to what constitutes a "green" or an equivalently labelled project or as to what precise attributes are required for a particular project to be defined as "green" or such other equivalent label. No assurance can be given that such a clear definition will develop over time, or that, if developed, it will include the projects to be financed or refinanced with proceeds of the Bonds. Accordingly, no assurance is or can be given to investors that any uses of the Bonds will meet investor expectations regarding such "green" or other equivalently -labelled performance objectives or that any adverse environmental and/or other impacts will not occur during the construction or operation of projects to be financed with the proceeds of the Bonds. Risks Related to Taxation in California Constitutional Amendments Affecting Tax Revenues. Article XIIIA of the California Constitution limits the amounts of ad valorem tax on real property to 1% of "full cash value" as determined by the county assessor. Article XIIIA defines "full cash value" to mean "the City Assessor's valuation of real property as shown on the 1975-76 tax bill under 'full cash value', or thereafter the appraised value of real property when purchased, newly constructed, or a change in ownership has occurred after the 1975 assessment period." Furthermore, all real property valuation may be increased to reflect the inflation rate, as shown by the consumer price index, not to exceed 2% per year, or may be reduced in the event of declining property values caused by damage, destruction or other factors. Article XIIIA exempts from the 1% tax limitation any taxes to repay indebtedness approved by the voters prior to July 1, 1978, and any bonded indebtedness for the acquisition or improvement of real property approved on or after July 1, 1978 by two-thirds of the voters voting on the proposition approving such bonds, and requires a vote of two-thirds of the qualified electorate to impose special taxes, while totally precluding the imposition of any additional ad valorem, sales or transaction tax on real property. In addition, Article XIIIA requires the approval of two-thirds of all members of the State legislature to change any State tax law resulting in increased tax revenues. Article XIIIB of the California Constitution limits the annual appropriations from the proceeds of taxes of the State and any city, county, school district, authority or other political subdivision of the State to the level of appropriations for the prior fiscal year, as adjusted for changes in the cost of living, population and services rendered by the governmental entity. Article XIIIB includes a requirement that if an entity's revenues in any year exceed the amount permitted to be spent, the excess would have to be returned by revising tax or fee schedules over the subsequent two years. On November 5, 1996, California voters approved an initiative to amend the California Constitution known as the Right to Vote on Taxes Act ("Proposition 218"), which added Article XIIIC and XIIID to the California Constitution. Among other provisions, Proposition 218 requires majority voter approval for the imposition, extension or increase of general taxes and two-thirds voter approval for the imposition, extension or increase of special taxes by a local government, which is defined in Proposition 218 to include cities. Proposition 218 also provides that any general tax imposed, extended or increased without voter approval by any local government on or after January 1, 1995 and prior to November 6, 1996 will continue to be imposed only if approved by a majority vote in an election held within two years of November 6, 1996. Proposition 218 also provides that the initiative power shall not be prohibited or otherwise limited in matters of reducing or repealing any local tax, assessment, fee or charge. This 75 extension of the initiative power is not limited by the terms of Proposition 218 to impositions after November 6, 1996 and absent other legal authority, could result in retroactive reduction in any existing taxes, assessments, fees and charges. In addition, Proposition 218 limits the application of assessments, fees and charges and requires certain existing, new and increased assessments, fees and charges to be submitted to property owners for approval or rejection, after notice and public hearing. Neither the City nor the Authority expects the provisions of Proposition 218 to have any immediate material effect on the revenues from which Base Rental Payments are expected to be appropriated. Implementing Legislation. Legislation enacted by the California Legislature to implement Article XIIIA (Statutes of 1978, Chapter 292, as amended) provides that, notwithstanding any other law, local agencies may not levy any property tax, except to pay debt service on indebtedness approved by the voters prior to July 1, 1978, and that each county will levy the maximum tax permitted by Article XIIIA of $4.00 per $100 assessed valuation (based on the traditional practice of using 25% of full cash value as the assessed value for tax purposes). The legislation further provided that, for Fiscal Year 1978-79 only, the tax levied by each county was to be appropriated among all taxing agencies within the county in proportion to their average share of taxes levied in certain previous years. Future assessed valuation growth allowed under Article XIIIA (i.e., new construction, change of ownership, and 2% annual value growth) will be allocated on the basis of "situs" among the jurisdictions that serve the tax rate area within which the growth occurs. Local agencies and schools will share the growth of "base" revenue from the tax rate area. Each year's growth allocation becomes part of each agency's allocation in the following year. The Authority is unable to predict the nature or magnitude of future revenue sources that may be provided by the State to replace lost property tax revenues. Article XIIIA effectively prohibits the levying of any other ad valorem property tax above those described above, even with the approval of the affected voters. Constitutional Challenges to Property Tax System. There have been many challenges to Article XIIIA of the California Constitution. The United States Supreme Court heard the appeal in Nordlinger v. Hahn, a challenge relating to residential property. Based upon the facts presented in Nordlinger, the United States Supreme Court held that the method of property tax assessment under Article XIIIA did not violate the federal Constitution. Neither the Authority nor the City can predict whether there will be any future challenges to California's present system of property tax assessment and cannot evaluate the ultimate effect on the Agency's receipt of tax increment revenues should a future decision hold unconstitutional the method of assessing property. Statutory Revenue Limitations -- Proposition 62. Proposition 62 is a statewide statutory initiative adopted by the voters at the November 4, 1986 general election. It added Sections 53720 to 53730 to the Government Code to require that all new local taxes be approved by the voters. The statute provides that all local taxes are either general taxes or special taxes. General taxes are imposed for general governmental purposes. Special taxes are imposed for specific purposes only. General taxes may not be imposed by local government unless approved by a two-thirds vote of the entire legislative body and a majority of the voters voting on the proposed general tax. Special taxes may not be imposed by local government unless approved by a majority of the entire legislative body and by two-thirds of the voters voting on the special tax. Soon after Proposition 62 was adopted by the voters, legal challenges to taxes adopted contrary to its provisions were filed. In 1991, in the most significant case, City of Woodlake v. Logan, the California Court of Appeal held that the statutory voter approval requirement for general taxes was unconstitutional. The California Supreme Court refused to review Woodlake. On September 28, 1995, the California Supreme Court, on a 5-2 vote, in a decision entitled Santa Clara County Local Transportation Authority v. Guardino (Case No. 5036269), "disapproved" Woodlake and held that the voter approval requirements of Proposition 62 are valid. On December 14, 1995, the Supreme Court made minor nonsubstantive changes to its written opinion and denied the petition for ust rehearing. The decision provides that the voter approval requirements of Proposition 62 for both general and special taxes are valid. The Guardino case fails to say (1) whether the decision is retroactively applicable to general taxes adopted prior to the decision; (2) whether taxpayers have any remedies for refund of taxes paid under a tax ordinance that was not voter approved; (3) what statute of limitations applies to taxes adopted without voter approval prior to Guardino; (4) whether Proposition 62 applies only to new taxes or to tax increases as well. The Court of Appeals in a December 15, 1997 decision entitled McBearty v. City ofBrawley (Case No. D027877) addressed some of these issues. In Brawley, a taxpayer challenged the city's utility tax that was passed by the city council in 1991 without a vote of the electorate. The Court of Appeals held that (i) a three year statute of limitations applies to challenges to a tax ordinance subject to Proposition 62; and (ii) the statute of limitations did not begin to run until September 1995 when the Guardino case determined that Proposition 62 was constitutional. The effect of the holding in Brawley is that any tax ordinances passed between November 1986 and December 1995 that were not approved by the electorate would be subject to a challenge until December 1998. The court ordered the city to either cease collecting the tax or seek voter approval to continue levying the tax. However, in Howard Jarvis Taxpayers Association v. City of La Habra, decided on June 4, 2001, the California Supreme Court overruled part of McBearty, finding that the three year statute of limitations applicable to such taxes does not run from the date of the Guardino decision, but rather the continued imposition and collection of such tax is an ongoing violation, upon which the limitations period begins with each new collection. Several questions raised by the Guardino decision remain unresolved. Proposition 62 provides that if a jurisdiction imposes a tax in violation of Proposition 62, the portion of the one percent general ad valorem tax levy allocated to that jurisdiction is reduced by $1 for every $1 in revenue attributable to the improperly imposed tax for each year that such tax is collected. The practical applicability of this provision has not been fully determined. Potential future litigation and legislation may resolve some or all of the issues raised by the Guardino decision. Neither the Authority nor the City can predict the outcome of any pending or future litigation concerning the validity of Proposition 62, nor can either predict the scope of the Guardino or Brawley decisions discussed above. Proposition 62 could affect the ability of the City to continue the imposition of, or to retain, certain taxes, and restrict the City's ability to raise revenue. Proposition IA. Proposition IA ("Proposition IA"), proposed by the Legislature in connection with the 2004-05 Budget Act and approved by the voters in November 2004, restricts State authority to reduce major local tax revenues such as the tax shifts permitted to take place in Fiscal Years 2004/05 and 2005-06. Proposition IA provides that the State may not reduce any local sales tax rate, limit existing local government authority to levy a sales tax rate or change the allocation of local sales tax revenues, subject to certain exceptions. Proposition IA generally prohibits the State from shifting to schools or community colleges any share of property tax revenues allocated to local governments for any fiscal year, as set forth under the laws in effect as of November 3, 2004. Any change in the allocation of property tax revenues among local governments within a county must be approved by two-thirds of both houses of the Legislature. Proposition IA provides, however, that beginning in Fiscal Year 2008-09, the State may shift to schools and community colleges up to 8% of local government property tax revenues, which amount must be repaid, with interest, within three years, if the Governor proclaims that the shift is needed due to a severe state financial hardship, the shift is approved by two-thirds of both houses and certain other conditions are met. Such a shift may not occur more than twice in any ten-year period. The State may also approve voluntary exchanges of local sales tax and property tax revenues among local governments within a county. Proposition IA provides that if the State reduces the vehicle license fee ("VLF") rate below 0.65% of vehicle value, the State must provide local governments with equal replacement revenues. Further, Proposition IA requires the State to suspend State mandates affecting cities, counties and special districts, 77 excepting mandates relating to employee rights, schools or community colleges, in any year that the State does not fully reimburse local governments for their costs to comply with such mandates. Proposition 22. On November 2, 2010, voters in the State approved Proposition 22. Proposition 22, known as the "Local Taxpayer, Public Safety, and Transportation Protection Act of 2010," eliminates or reduces the State's authority to (i) temporarily shift property taxes from cities, counties and special districts to schools, (ii) use vehicle license fee revenues to reimburse local governments for state -mandated costs (the State will have to use other revenues to reimburse local governments), (iii) redirect property tax increment from redevelopment agencies to any other local government, (iv) use State fuel tax revenues to pay debt service on State transportation bonds, or (v) borrow or change the distribution of State fuel tax revenues. Proposition 26. On November 2, 2010, voters in the State also approved Proposition 26. Proposition 26 amends Article XIIIC of the State Constitution to expand the definition of "tax" to include "any levy, charge, or exaction of any kind imposed by a local government" except the following: (1) a charge imposed for a specific benefit conferred or privilege granted directly to the payor that is not provided to those not charged, and which does not exceed the reasonable costs to the local government of conferring the benefit or granting the privilege; (2) a charge imposed for a specific government service or product provided directly to the payor that is not provided to those not charged, and which does not exceed the reasonable costs to the local government of providing the service or product; (3) a charge imposed for the reasonable regulatory costs to a local government for issuing licenses and permits, performing investigations, inspections, and audits, enforcing agricultural marketing orders, and the administrative enforcement and adjudication thereof, (4) a charge imposed for entrance to or use of local government property, or the purchase, rental, or lease of local government property; (5) a fine, penalty, or other monetary charge imposed by the judicial branch of government or a local government, as a result of a violation of law; (6) a charge imposed as a condition of property development; and (7) assessments and property -related fees imposed in accordance with the provisions of Article XIIID. Proposition 26 provides that the local government bears the burden of proving by a preponderance of the evidence that a levy, charge, or other exaction is not a tax, that the amount is no more than necessary to cover the reasonable costs of the governmental activity, and that the manner in which those costs are allocated to a payor bear a fair or reasonable relationship to the payor's burdens on, or benefits received from, the governmental activity. Neither the City nor the Authority expects provisions of Proposition 26 to materially impede the City's ability to pay Base Rental Payments when due. Future Initiatives From time to time, other initiative measures may be adopted, which may affect the City's revenues and its ability to expend said revenues. The above -mentioned measures and any future measures could restrict the City's ability to raise additional funds for its General Fund. Limitations on Remedies The enforceability of the rights and remedies of the owners of the Bonds and the Trustee, and the obligations incurred by the Authority and the City, respectively, may be subject to the following, among others: the limitations on legal remedies against joint powers authorities and cities in California; the federal bankruptcy code and applicable bankruptcy, insolvency, reorganization, moratorium or similar laws relating to or affecting the enforcement of creditors' rights generally, now or hereafter in effect; principles of equity that may limit the specific enforcement under State law of certain remedies; the exercise by the United States of America of the powers delegated to it by the U.S. Constitution; and the reasonable and necessary exercise, in certain exceptional situations, of the police power inherent in the sovereignty of the State and its governmental bodies in the interest of serving a significant and legitimate public purpose. Bankruptcy proceedings, or the exercise of powers by the federal or State government, if initiated, could 78 subject the owners of the Bonds to judicial discretion and interpretation of their rights in bankruptcy or otherwise, and consequently may entail risks of delay, limitations or modification of their rights. See also, "Bankruptcy" above. Remedies on Default If the City defaults in the observance or performance of any agreement, condition, covenant or term contained in either Lease required to be observed or performed by it (including without limitation the payment of any related Base Rental Payments or Additional Rental Payments due under such Lease), subject to the provisions of such Lease, the Authority may at any time thereafter (with or without notice and demand and without limiting any other rights or remedies the Authority may have) recover rent and other monetary charges as they become due under such Lease all without terminating the City's right to possession of the related Leased Property, regardless of whether or not the City has abandoned such Leased Property, and the Authority shall have the right and the City irrevocably appoints the Authority as its agent and attorney -in -fact for such purpose to attempt to sublet or re -let such Leased Property at such rent, upon such conditions and for such term and to do all other acts to maintain or preserve such Leased Property, including the removal of persons or property therefrom or taking possession thereof, as the Authority deems desirable or necessary; and the City waives any and all claims for any damages that may result to such Leased Property thereby, provided, that no such actions will be deemed to terminate such Lease and the City shall continue to remain liable for any deficiency that may arise out of such re -letting taking into account expenses incurred by the Authority due to such re -letting, payable at the same time and manner as provided for Base Rental Payments under such Lease. IN THE EVENT OF SUCH DEFAULT, THE AUTHORITY MUST THEREAFTER MAINTAIN SUCH LEASE IN FULL FORCE AND EFFECT AND MAY ONLY RECOVER RENT AND OTHER MONETARY CHARGES AS THEY BECOME DUE. Early Redemption Risk Early prepayment of the Base Rental Payments and redemption of the related Bonds may occur in whole or in part without premium, on any date if the related Leased Property or a portion thereof is lost, destroyed or damaged beyond repair or taken by eminent domain and from the proceeds of title insurance, or on any Interest Payment Date, without a premium, if the City exercises its right to prepay Base Rental Payments in whole or in part pursuant to the provisions of the applicable Lease and the applicable Indenture. Investment Risks The City administers a pooled investment program of moneys in its funds and accounts, including moneys in the City's General Fund which will be used to make Base Rental Payments. The City has established an investment policy which it believes to be prudently conservative. Nevertheless, the City's investments will be subject to market fluctuations and other risks over which the City has no control, and which could impair the City's ability to make Base Rental Payments. No Debt Service Reserve The Authority has not undertaken to fund any debt service reserve to secure the payment of debt service on the Bonds. Loss of Tax Exemption As discussed under the caption "TAX MATTERS," interest on the Bonds could fail to be excluded from the gross income of the owners thereof for purposes of federal income taxation, in some cases retroactive to the date of issuance of the Bonds, as a result of future acts or omissions of the Authority or III: the City in violation of certain covenants contained in the applicable Indenture or Lease, respectively. Should such an event of taxability occur, the Bonds are not subject to special redemption or any increase in interest rate and will remain outstanding until maturity or until redeemed pursuant to the applicable Indenture. In addition, Congress has considered in the past and may consider in the future, legislative proposals, including some that carry retroactive effective dates that, if enacted, would alter or eliminate the exclusion from gross income for federal income tax purposes of interest on municipal bonds, such as the Bonds. Prospective purchasers of the Bonds should consult their own tax advisors regarding any pending or proposed federal tax legislation. The City can provide no assurance that federal tax law will not change while the Bonds are outstanding or that any such changes will not adversely affect the exclusion of interest on the Bonds from gross income for federal income tax purposes. If the exclusion of interest on the Bonds from gross income for federal income tax purposes were amended or eliminated, it is likely that the market price for the Bonds would be adversely impacted. IRS Examination of the Bonds The Internal Revenue Service has initiated an expanded program for examining the tax-exempt status of tax-exempt bond issues, including both random and targeted audits. It is possible that the Bonds will be selected for examination by the Internal Revenue Service. It is also possible that the market value of the Bonds would be affected as a result of such an examination of the Bonds (or by an examination of similar bonds). Secondary Market Risk There can be no assurance that there will be a secondary market for purchase or sale of the Bonds, and from time to time there may be no market for them, depending upon prevailing market conditions, the financial condition or market position of firms who may make the secondary market and the financial condition of the City. Other Factors The City in general has been, or in the future may be, affected by a number of other factors which could impact its financial condition. In addition to the factors discussed above, such factors include, among others, (a) effects of compliance with rapidly changing environmental, safety, licensing, regulatory and legislative requirements, (b) legislative changes, voter initiatives, referenda and statewide propositions, (c) acts of terrorism or cyber-terrorism, (d) natural disasters or other physical calamities, in addition to earthquakes discussed above, including, but not limited to, wildfires and floods and (e) changes to the climate. Any of these factors (as well as other factors) could have an adverse effect on the financial condition of the City. The City is unable to predict what impact such factors will have on the business operations and financial condition of the City, but the impact could be significant. This Official Statement includes a brief discussion of certain of these factors. This discussion does not purport to be comprehensive or definitive, and these matters are subject to change subsequent to the date hereof. :1 RATING S&P Global Ratings, a business unit of Standard & Poor's Financial Services LLC ("S&P"), has assigned their long-term municipal rating of " " to the Bonds. This rating reflects the view of S&P as to the credit quality of the Bonds. The ratings reflect only the view of S&P, and explanation of the significance of the ratings may be obtained from S&P Global Ratings, 55 Water Street, New York, New York 10041 (212) 483-2000. There is no assurance that the ratings will continue for any given period of time or that they will not be revised downward or withdrawn entirely by S&P, if in the judgment of S&P, circumstances so warrant. Except as otherwise required in the Continuing Disclosure Certificate, the Authority and the City undertake no responsibility either to bring to the attention of the owners of any Bonds any downward revision or withdrawal of any rating obtained or to oppose any such revision or withdrawal. Any such downward revision or withdrawal of the rating obtained may have an adverse effect on the marketability or market price of the Bonds. UNDERWRITING The Series A Bonds are being purchased by Stifel, Nicolaus & Company, Incorporated (the "Underwriter' The Underwriter has agreed to purchase the Series A Bonds at a price of $ (representing the aggregate principal amount of the Series A Bonds of $ plus/less a net original issue premium/discount of $ and less an Underwriter's discount of $ ). The Bond Purchase Agreement relating to the Series A Bonds provides that the Underwriter will purchase all of the Series A Bonds if any are purchased, the obligation to make such purchase being subject to certain terms and conditions set forth in such Bond Purchase Agreement, the approval of certain legal matters by counsel and certain other conditions. The Series B Bonds are being purchased by the Underwriter. The Underwriter has agreed to purchase the Series B Bonds at a price of $ (representing the aggregate principal amount of the Series B Bonds of $ plus/less a net original issue premium/discount of $ and less an Underwriter's discount of $ ). The Bond Purchase Agreement relating to the Series B Bonds provides that the Underwriter will purchase all of the Series B Bonds if any are purchased, the obligation to make such purchase being subject to certain terms and conditions set forth in such Bond Purchase Agreement, the approval of certain legal matters by counsel and certain other conditions. The Underwriter may offer and sell Bonds to certain dealers and others at prices lower than the offering prices stated on the cover page hereof. The offering prices may be changed from time to time by the Underwriter. CONTINUING DISCLOSURE The Authority has determined that no financial or operating data concerning the Authority is material to any decision to purchase, hold or sell the Bonds and the Authority will not provide any such information. The City has agreed in a Continuing Disclosure Certificate (the "Continuing Disclosure Certificate") entered into with Digital Assurance Corporation, as dissemination agent, for the benefit of the holders and Beneficial Owners of the Bonds to provide certain financial information and operating data relating to the City by March 31 following the end of the City's Fiscal Year (currently its Fiscal Year ends on June 30) (the "Annual Report"), commencing with the report for the Fiscal Year ending June 30, 2022, 81 and to provide notices of the occurrence of certain enumerated events. The specific nature of the information to be contained in the Annual Report or the notices of material events by the City is summarized in "APPENDIX D - FORM OF CONTINUING DISCLOSURE CERTIFICATE." The form of the Continuing Disclosure Certificate is set forth in Appendix D. The Annual Report and the notices of enumerated events will be filed by the City with the Municipal Securities Rulemaking Board's Electronic Municipal Market Access System for municipal securities disclosures, maintained on the Internet at http://emma.msrb.org/. The specific nature of the information to be contained in the Annual Report and the notices of enumerated events are set forth in Appendix D. These covenants have been made in order to assist the Underwriter in complying with Rule 15c2-12(b)(5) promulgated under the Securities Exchange Act of 1934 ("Rule 15c2-12"). The City was during the past five years responsible for providing continuing disclosure with respect to the following five bond issues: 1. $10,645,000 Santa Clarita Public Financing Authority Lease Revenue Bonds (Recreational Facility), Series 2020A and $3,625,000 Santa Clarita Public Financing Authority Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 2020A-T (collectively, the "2020 Bonds"). 2. $25,850,000 Santa Clarita Public Financing Authority Lease Revenue Bonds (Sheriff Station Project) Series 2019 (the "2019 Bonds"). 3. $11,295,000 2018 Revenue Bonds (Streetlights Acquisition and Retrofit Program) Series A (the "2018A Bonds") and its $4,005,000 2018 Taxable Revenue Bonds (Streetlights Acquisition and Retrofit Program) Series B (the "2018B Bonds" and together with the 2018A Bonds, the "2018 Bonds"). 4. $10,320,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Golden Valley Road) Series 2016A, dated June 22, 2016 (the "2016A Bonds"). 5. $14,020,000 Santa Clarita Public Financing Authority Lease Revenue Refunding Bonds (Open Space and Parkland Acquisition) Series 2016B, dated June 22, 2016 (the "2016B Bonds"). In conjunction with the delivery of the Bonds, Digital Assurance Certification LLC ("DAC") conducted a continuing disclosure compliance review with respect to the above -referenced bond issues. During the course of DAC's review, it was determined that during the past five years, there were no instances of non-compliance by the City with the requirements of its undertakings. The City's Fiscal Policies include a formal continuing disclosure policy that helps assure compliance with existing and future continuing disclosure undertakings (including those for related entities) through use of a disclosure practices working group including a City staff disclosure coordinator. The City believes that its procedures with the Dissemination Agent will be sufficient in the normal due course to assure substantial compliance with its continuing disclosure undertakings in the future, including the Continuing Disclosure Certificate with respect to the Bonds. TAX MATTERS Tax Exemption In the opinion of Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel to the Authority, under existing statutes, regulations, rulings and judicial decisions, and assuming compliance by 82 each of the Authority and the City with certain covenants in the Indentures, the Leases, the Tax Certificate and other documents pertaining to the Bonds and requirements of the Internal Revenue Code of 1986 (the "Code"), regarding the use, expenditure and investment of proceeds of the Bonds and the timely payment of certain investment earnings to the United States, interest on the Bonds is not included in the gross income of the owners of the Bonds for federal income tax purposes. Failure to comply with such covenants and requirements may cause interest on the Bonds to be included in gross income retroactive to the date of issuance of the Bonds. In the further opinion of Bond Counsel, interest on the Bonds is not treated as an item of tax preference for purposes of the federal alternative minimum tax. Ownership of, or the receipt of interest on, tax-exempt obligations may result in collateral federal income tax consequences to certain taxpayers, including, without limitation, financial institutions, property and casualty insurance companies, certain foreign corporations doing business in the United States, certain S corporations with excess passive income, individual recipients of Social Security or Railroad Retirement benefits, taxpayers that may be deemed to have incurred or continued indebtedness to purchase or carry tax-exempt obligations and taxpayers who may be eligible for the earned income tax credit. Bond Counsel expresses no opinion with respect to any collateral tax consequences and, accordingly, prospective purchasers of the Bonds should consult their tax advisors as to the applicability of any collateral tax consequences. Certain requirements and procedures contained or referred to in the Indentures, the Leases, the Tax Certificate or other documents pertaining to the Bonds may be changed, and certain actions may be taken or not taken, under the circumstances and subject to the terms and conditions set forth in such documents, upon the advice or with the approving opinion of counsel nationally recognized in the area of tax-exempt obligations. Bond Counsel expresses no opinion as to the effect of any change to any document pertaining to the Bonds or of any action taken or not taken where such change is made or action is taken or not taken without the approval of Norton Rose Fulbright US LLP or in reliance upon the advice of counsel other than Norton Rose Fulbright US LLP with respect to the exclusion from gross income of the interest on the Bonds for federal income tax purposes. Bond Counsel's opinion is not a guarantee of result, but represents its legal judgment based upon its review of existing statutes, regulations, published rulings and judicial decisions and the representations and covenants of the Issuer described above. No ruling has been sought from the Internal Revenue Service (the "IRS") with respect to the matters addressed in the opinion of Bond Counsel, and Bond Counsel's opinion is not binding on the IRS. The IRS has an ongoing program of examining the tax-exempt status of the interest on municipal obligations. If an examination of the Bonds is commenced, under current procedures the IRS is likely to treat the Authority as the "taxpayer," and the owners of the Bonds would have no right to participate in the examination process. In responding to or defending an examination of the tax-exempt status of the interest on the Bonds, the Authority may have different or conflicting interests from the owners. Additionally, public awareness of any future examination of the Bonds could adversely affect the value and liquidity of the Bonds during the pendency of the examination, regardless of its ultimate outcome. Tax Accounting Treatment of Bond Premium and Original Issue Discount Bond Premium. To the extent a purchaser acquires a Bond at a price in excess of the amount payable at its maturity, such excess will constitute "bond premium" under the Code. The Code and applicable Treasury Regulations provide generally that bond premium on a tax-exempt obligation is amortized over the remaining term of the obligation (or a shorter period in the case of certain callable obligations) based on the obligation's yield to maturity (or shorter period in the case of certain callable obligations). The amount of premium so amortized reduces the owner's basis in such obligation for federal 83 income tax purposes, though such amortized premium is not deductible for federal income tax purposes. This reduction in basis will increase the amount of any gain (or decrease the amount of any loss) to be recognized for federal income tax purposes upon a sale or other taxable disposition of the obligation. Bond Counsel is not opining on the accounting for bond premium or the consequence to a Bond purchaser of purchasing a Bond with bond premium. Persons considering the purchase of Bonds with bond premium should consult with their own tax advisors with respect to the determination of bond premium on such Bonds for federal income tax purposes and with respect to the state and local tax consequences of owning and disposing of such Bonds. Original Issue Discount. The excess, if any, of the stated redemption price at maturity of Bonds of a particular maturity over the initial offering price to the public of the Bonds of that maturity at which a substantial amount of the Bonds of that maturity is sold to the public is "original issue discount." Original issue discount accruing on a Bond is treated as interest excluded from the gross income of the owner thereof for federal income tax purposes under the same conditions and limitations as are applicable to interest payable on such Bond. Original issue discount on a Bond purchased pursuant to the initial public offering at the initial public offering price at which a substantial amount of the Bonds of that maturity is sold to the public accrues on a semiannual basis over the term of the Bond on the basis of a constant yield; and within each semiannual period accrues on a ratable daily basis. The amount of original issue discount on a Bond accruing during each period is added to the adjusted basis of such Bond, which will affect the amount of taxable gain upon disposition (including sale, redemption or payment on maturity) of such Bond. The Code includes certain provisions relating to the accrual of original issue discount in the case of purchasers that purchase Bonds other than at the initial offering price. Bond Counsel is not opining on the accounting for or consequence to a Bond purchaser of bond premium or original issue discount. Accordingly, persons considering the purchase of Bonds with bond premium or original issue discount should consult with their own tax advisors with respect to the determination of bond premium or original issue discount on such Bonds for federal income tax purposes and with respect to the state and local tax consequences of owning and disposing of such Bonds. Information Reporting and Backup Withholding Interest paid on the Bonds will be subject to information reporting in a manner similar to interest paid on taxable obligations. Although such reporting requirement does not, in and of itself, affect the excludability of such interest from gross income for federal income tax purposes, such reporting requirement causes the payment of interest on the Bonds to be subject to backup withholding if such interest is paid to beneficial owners who (a) are not "exempt recipients," and (b) either fail to provide certain identifying information (such as the beneficial owner's taxpayer identification number) in the required manner or have been identified by the IRS as having failed to report all interest and dividends required to be shown on their income tax returns. Generally, individuals are not exempt recipients, whereas corporations and certain other entities are exempt recipients. Amounts withheld under the backup withholding rules from a payment to a beneficial owner are allowed as a refund or credit against such beneficial owner's federal income tax liability so long as the required information is furnished to the IRS. State Tax Exemption In the further opinion of Bond Counsel, interest on the Bonds is exempt from personal income taxes imposed by the State. Future Developments Existing law may change to reduce or eliminate the benefit to owners of the Bonds of the exclusion of the interest on the Bonds from gross income for federal income tax purposes or of the exemption of 84 interest on the Bonds from State personal income taxation. Any proposed legislation or administrative action, whether or not taken, could also affect the value and marketability of the Bonds. Prospective purchasers of the Bonds should consult with their own tax advisors with respect to any proposed or future change in tax law. A copy of the forms of opinion of Bond Counsel relating to the Bonds are included in APPENDIX E-I and APPENDIX E-2 hereto. LITIGATION There is no controversy of any nature now pending against and notice of which has been received by the City or the Authority or, to the best knowledge of their respective officers, threatened, seeking to restrain or enjoin the issuance, sale, execution or delivery of the Bonds or in any way contesting or affecting the validity of the Bonds or any proceedings of the City or the Authority taken with respect to the issuance or sale thereof or the pledge or application of any moneys or security provided for the payment of the Bonds or the use of the Bond proceeds. There are no pending lawsuits that challenge the validity of the Bonds, the corporate existence of the City or the Authority, or the title of the officers thereof to their respective offices. LEGAL OPINION The proceedings in connection with the issuance of the Bonds are subject to the approval as to their legality by Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel for the Authority. Bond Counsel undertakes no responsibility for the accuracy, completeness or fairness of the information contained in this Official Statement. The legal opinion relates only to the legality of the Bonds and is not intended to be, nor is it to be interpreted or relied upon, as a disclosure document or an express or implied recommendation as to the investment quality of the Bonds. A copy of the proposed form of Bond Counsel's final approving opinion with respect to the Series A Bonds is attached hereto as Appendix E-1 and a copy of the proposed form of Bond Counsel's final approving opinion with respect to the Series B Bonds is attached hereto as Appendix E-2 . Certain legal matters will be passed on for the Authority and for the City by Burke Williams & Sorensen LLP, Los Angeles, California, City Attorney and Authority Counsel, and by Norton Rose Fulbright US LLP, Los Angeles, California, Disclosure Counsel. MUNICIPAL ADVISOR The City has retained Columbia Capital Management, LLC, Carlsbad, California (the "Municipal Advisor"), as municipal advisor in connection with the authorization, issuance, sale and delivery of the Bonds. The Municipal Advisor is a registered Municipal Advisor (as defined in Section 15B of the Securities Exchange Act of 1934, as amended) and has acted as municipal advisor to the City and the Authority concerning the Bonds. The Municipal Advisor is not obligated to undertake, and has not undertaken to make, an independent verification or to assume responsibility for the accuracy, completeness or fairness of the information contained in the Official Statement or any of the other legal documents. FINANCIAL STATEMENTS The City's financial statements for the Fiscal Year ended June 30, 2021, included in APPENDIX B hereto, have been audited by Eide Bailly LLP (EB). EB was not requested to consent to the inclusion of its report in APPENDIX B and it has not undertaken to update its report or to take any action intended or likely to elicit information concerning the accuracy, completeness or fairness of the statements made in the 85 Official Statement, and no opinion is expressed by EB with respect to any event subsequent to the date of its report. MISCELLANEOUS All quotations from, and summaries and explanations of the Indentures, the Site Leases, the Leases and the Assignment Agreements, the Bond Law, or other statutes and documents contained herein do not purport to be complete, and reference is made to said documents and statutes for full and complete statements of their provisions. This Official Statement is submitted only in connection with the sale of the Bonds by the Authority. All estimates, assumptions, statistical information and other statements contained herein, while taken from sources considered reliable, are not guaranteed by the Authority, the City or the Underwriter. The information contained herein should not be construed as representing all conditions affecting the Authority, the City or the Bonds. All information contained in this Official Statement pertaining to the Authority and the City has been furnished by the Authority and the City, and the execution and delivery of this Official Statement has been duly authorized by the Authority and the City. City. EXECUTION AND DELIVERY The execution and delivery of this Official Statement has been authorized by the Authority and the SANTA CLARITA PUBLIC FINANCING AUTHORITY Executive Director CITY OF SANTA CLARITA City Manager :: APPENDIX A GENERAL INFORMATION ABOUT THE CITY OF SANTA CLARITA AND THE COUNTY OF LOS ANGELES The following information concerning the City of Santa Clarita and the County of Los Angeles is presented as general background data. The Bonds are payable solely from the sources described herein (see "SECURITY FOR THE BONDS'). The taxing power of the City of Santa Clarita, the County of Los Angeles, the State of California or any political subdivision thereof is not pledged to the payment of the Bonds. See the information under the caption "THE BONDS. " The economic and demographic information below is provided as general background. Although it has been collected from sources that the City considers to be reliable, the City has made no independent verification of the information provided by non -City sources and the City takes no responsibility for the completeness or accuracy thereof. The current state of the economy of the City, the County, the State of California and the United States ofAmerica may not be reflected in the data discussed below, because more up-to-date information is not publicly available. In particular, the impact of the COVID-19 pandemic on the local economy and workforce is not reflected in all of the historical information within. General Background The City is located between the Santa Susana and San Gabriel mountain ranges approximately 35 miles northwest from the City of Los Angeles. The City encompasses 70.8 square miles and is comprised of the communities of Canyon Country, Newhall, Saugus, and Valencia, all located in Los Angeles County (the "County"). The following information specifically relates to the City and generally to the Santa Clarita Valley (the "Valley"). The first discovery of gold in 1842 was the beginning of a transformation of the area of the City, where the once -ancient Alliklik Indians, wild horses, Spanish explorers and European colonists lived. After purchasing Rancho San Francisco (later known as Newhall Ranch) in 1875, Henry Mayo sold a right-of- way to the Southern Pacific Railroad for $1 and a town site known as Newhall for another $1. Not only did it become a rail center, but the first commercially producing oil well began operation in Pico Canyon in 1875, followed by the state's first oil refinery in Railroad Canyon. The City was officially incorporated on December 15, 1987, after a ballot measure was passed by the City's residents. The City is a general law city and operates under a Council -Manager form of government and provides, either directly or under contract with the County, a full range of municipal services including public safety, public works (including the sewer system), parks and recreation, community development, public libraries and cultural events. Geography and Climate Santa Clarita Valley is located 35 miles northwest of Los Angeles and 40 miles east of the Pacific Ocean. It covers 150 square miles and forms an inverted triangle with the San Gabriel and Santa Susana mountain ranges, separating it from the San Fernando Valley and the Los Angeles Basin on the south, and the San Joaquin Valley, Mojave Desert and Angeles National Forest to the north. The Santa Clara River and its tributaries drain over 490,000 acres of mountains and canyons forming Santa Clarita Valley. The City of Santa Clarita covers approximately 70.8 square miles and is located 40 miles from Los Angeles International Airport, 25 miles from the Burbank Airport; and 50 to 60 miles from the ports of Los Angeles and Long Beach, respectively. The City is accessible via Highway 126, the Golden State and the Antelope Valley Freeways. Three Metrolink stations serve rail passengers from the San Fernando Valley and Downtown Los Angeles. FEW In general, the climate in the City is sunny, warm and dry in the summer and semi -moist and mild in the winters. The annual rainfall of 15 to 18 inches occurs primarily between November and March. Municipal Government The City provides general government services either with its own employees or through contracts. The City has a Council Manager form of municipal government. The City Council appoints the City Manager who is responsible for the day-to-day administration of City business and the coordination of all departments. The City Council is composed of five members elected biannually at large to four-year staggered terms. The Mayor is selected by the City Council from among its members. Beginning in 2016, the City's General Municipal Election was consolidated with Los Angeles County General Election held on November 8, 2016. As of July 1, 2022, the City had a staff of [450.35] funded equivalent full time positions. The current members of the City Council, term expiration and their principal occupations are as follows: City Council Term Expires Laurene F. Weste, Mayor November 2022 Jason Gibbs, Mayor Pro Tem November 2024 Cameron Smyth, Councilmember November 2024 Marsha A. McLean, Councilmember November 2022 William Miranda, Councilmember November 2022 Current City Management Staff includes the following: Occupation Community Advocate Deputy Director - Engineering Vice President — State Affairs Business Owner Business Consultant Mr. Ken Striplin has been the City Manager for the City since January 1, 2013. He has worked for the City since 1995, serving in a leadership capacity in every City department during his tenure. Previously Mr. Striplin has served the City as Assistant City Manager, Assistant to the City Manager, Technology Services Manager, Management Analyst and Administrative Analyst. In addition, Mr. Striplin has served as Interim Director of two departments: Field Services and Planning and Economic Development. He holds Bachelor of Arts and Master of Public Administration degrees from California State University, Northridge, and a Doctor of Education in Organizational Leadership from Pepperdine University. Mr. Frank Oviedo has been the Assistant City Manager since January 7, 2013. Mr. Oviedo brings over 15 years of experience in city government. Prior to joining the City, he was the Deputy City Manager for the City of Elk Grove from 2002-2009 and was the City Manager of Wildomar from 2009-2012. During Frank's career, he has worked in every city department in three cities, with a steady progression of management responsibilities in local government. Frank Oviedo earned a Bachelor's degree from California State University Fresno and a Master's degree in Public Administration from Arizona State University. Ms. Carmen Magana is the appointed Treasurer and Director of Administrative Services for the City. In this position she provides leadership to the Department of Administrative Services and serves as the Chief Financial Officer of the City and the Successor Agency. Ms. Magana began her career with the City in 1998 and prior to this position, she served as the Administrative Services Manager overseeing Finance and Technology Services. She is a member of the City's Leadership Team and serves as a member of the City's Budget Team. Ms. Magana received a Bachelor's degree from California State University, Northridge in Business Administration and Finance and a Master's degree in Public Administration, Public Sector Management and Leadership. Municipal Services The City provides park and recreation services, transit services, trash collection, street maintenance, building inspection and planning services. As a "contract city," the City purchases certain public services through contracts with other agencies and private companies. Contracting for services enables the City to accomplish the essential administrative and operational functions of a municipality with a relatively small workforce and payroll, and a minimum of facilities and equipment. The primary example of this is the contract for public safety services, whose sworn and civilian personnel are provided by the Los Angeles County Sheriff Department. Fire protection is provided by the Los Angeles County Fire Protection District. Other regularly contracted services include refuse and recycling collection, landscaping and public transit services. Population The following table shows the City's and County's population as of January 1, 2012 through January 1, 2022. CITY OF SANTA CLARITA AND LOS ANGELES COUNTY Population Year Los Angeles County City of Santa Clarita 2012 9,956,882 178,982 2013 10,025,712 207,170 2014 10,078,930 208,440 2015 10,126,423 209,391 2016 10,158,196 210,031 2017 10,193,753 215,891 2018 10,209,676 216,387 2019 10,184,378 221,703 2020 10,172,951 221,932 2021 9,931,338 228,084 2022 9,861,224 228,835 Source: State of California, Department of Finance, E-4 Population Estimates for Cities, Counties, and the State, 2012-2020, with 2010 Census Benchmark, and 2021-2022, with 2010 Census Benchmark. Sacramento, California, May 2022, as of January 1. Income The U.S. Census Bureau's American Community Survey reports that the median income of households in the City for 2021 is $109,336 compared to $84,907 for the State and $69,717 for the nation. Education The City is served by 48 elementary schools, 6 middle schools, 10 high schools and numerous private and parochial schools. Three colleges are located in the Santa Clarita Valley, California Institute of the Arts, The Master's University, and College of the Canyons. California State University — Northridge in the northern part of the San Fernando Valley is nearby and serves as an additional resource for higher - level education. FEW Assessed Valuation In Fiscal Year 2019/20, the City was the fifth largest city in assessed valuation within the County. The following table represents the most recent ten-year history of assessed valuation in the City, including State -reimbursed exemptions. CITY OF SANTA CLARITA Assessed Valuation (000s) Fiscal Year Local Secured Utilitv Unsecured Total 2011/12 $20,317,662 $3,696 $847,579 $21,168,938 2012/13 20,111,075 3,696 870,669 20,985,441 2013/14 23,410,799 3,696 854,976 24,269,472 2014/15 25,220,113 3,696 888,132 26,111,942 2015/16 26,473,499 3,696 853,667 27,330,863 2016/17 27,622,848 3,696 797,363 28,423,909 2017/18 29,903,220 4,576 819,549 30,727,345 2018/19 31,627,924 4,576 848,468 32,480,968 2019/20 34,319,756 4,284 850,777 35,174,818 2020/21 36,094,271 4,284 884,857 36,983,412 2021/22 37,521,627 4,429 864,657 38,390,714 2022/23 40,422,359 4,429 929,940 41,356,729 Source: Los Angeles County Assessor. Housing As of January 1, 2022, the California Department of Finance reported that there were 48,830 single family detached units in the City, 9,460 single family attached units, 19,319 multifamily housing units and 2,628 mobile home units. The vacancy rate is approximately 3.0%. Based on the CoreLogic, Inc.'s [2019 Home Sales Report, 1,237 units were sold in 2019 within the City with a median sales price of $619,250, a 5% increase from the 2018 median sales price of $585,000]. Construction Activity The following table shows the valuation of building permits issued in the City for the last five calendar years in which the data is available. CITY OF SANTA CLARITA Building Permits and Valuations Year Residential Permits Residential Value Non -Residential Value Total 2017 2,088 $193,928,950 $117,854,007 $311,782,957 2018 1,993 170,234,197 98,154,780 268,388,977 2019 1,865 219,555,761 139,270,994 358,826,755 2020 2,456 385,159,704 68,143,008 453,302,712 2021 2,094 134,206,852 114,343,078 248,549,930 Source: City of Santa Clarita Permit System Ev. Development Activity within the City The following projects are currently under construction within the City. These projects have received planning entitlements, and have pulled the requisite grading, building, and other applicable permits. Housing. The Skyline Ranch development was approved by the County and annexed to the City in 2018. Development continues with half of the 1,220 single-family homes completed and the remaining units anticipated for completion through 2024. Trenton Heights is beginning construction on 94 single family detached homes with a recreational facility. Models are nearing completion with the first phases under construction as well. Plum Canyon apartments are under construction including a total of 228 units with 34 deed - restricted low-income units. Tesoro del Valle is an existing residential community that is on track to annex to the City in November 2022. The development is currently grading for the construction of the next phase of 820 homes in the Tesoro Highlands development. Construction of homes is expected to begin in early 2023. Family Promise is approved to build two single -story residential buildings with 5 residential units, office space, common area, and recreational space. Bridge to Home is approved to build a new 20,000 square -foot homeless shelter with up to 60 individual beds and up to 40 family beds. Metrowalk is approved for construction of up to 498 residential units including market -rate apartments, senior market -rate apartments, deed -restricted affordable senior apartments, and for -sale townhomes. The development would also include a mixture of private recreational amenities and a nearly 1-acre public park site. Golden Triangle Apartments, located adjacent to Home Depot, is approved for construction of 164 multifamily residential units with associated private recreational facilities. Commercial. The Center at Needham Ranch is over half built with the first 7 buildings completed totaling nearly 1 million square feet of commercial industrial space and nearly 900,000 square feet under construction. Existing tenants range from distribution, film studio and support services, as well as beverage production. The Santa Clarita Commerce Center has been graded and the building pads prepared for the future construction of over 300,000 square feet of commercial industrial space. Self -storage projects are under construction in Centre Pointe and on Valley Center Drive bringing 286,000 square feet of new commercial storage space. Mixed -Use. Vista Canyon is a development approved for 1,100 residential units and up to 950,000 square feet of commercial and office space. Construction of Vista Canyon commenced in 2016, with 725 residential units, a 60,000 square -foot office/commercial building, a parking structure, and a public park completed to date. Sand Canyon Plaza is beginning construction of a mixed -use project with 580 residential units, recreational amenities, a 140-bed assisted living facility and a nearly 50,000 square foot retail center. EIR Grading of the project site and development of the retail center is expected to continue through 2023 with the assisted living and residential units to follow. Riverwalk was approved for 136 residential units and a 5,000 square -foot retail center. Civic Uses. The Vista Canyon Multi -Modal Center will provide a transit hub for the community including: a bus transfer station with seven bus bays, a new train station with a grade separated center platform, restrooms, parking, a new rail bridge, sound and retaining walls and additional 3,500 feet of track. This project is under construction and is scheduled to be completed in 2023. The Central Park Buildout project includes the addition of four full-sized multipurpose fields, the installation of sport field lighting, landscaping and irrigation, various site furnishings, a restroom building, upgrades to the adjacent dog park, including a lighted accessible walkway from the new parking lot to the dog park, and 268 additional parking spaces. The project is under construction and is scheduled to be completed in 2023. The West Creek Inclusive project will constructed approximately 15,800 square feet of play area. The play area will be comprise of all-inclusive play elements, shaded play areas, an outdoor community fitness area, and a BankShot play area with basketball hoops at varying heights and non -conventional angle boards. This project is under construction and is scheduled to be completed in December 2022. Employment The California Employment Development Department has reported preliminary unemployment figures for August 2022 of 3.7% for the U.S., 4.1% statewide, 5.2% for the County, and 4.3% for the City (seasonally adjusted for all except the City). The following table summarizes the City's employment and unemployment rates for 2017 through 2021 calendar years. CITY OF SANTA CLARITA Civilian Labor Force, Employment and Unemployment Annual Averages 2017 2018 2019 2020 2021 Civilian Labor Force Employment 112,300 113,600 113,500 98,400 102,700 Unemployment 4,600 4,900 4,700 12,600 8,800 Total 107.700 108.600 108.800 111,000 111.500 Unemployment Rate (a) 4.1% 4.3% 4.1% 11.4% 7.9% (a) The unemployment rate is calculated using unrounded data. Source: California Employment Development Department, March 25, 2022 with March 2021 Benchmark. /:w Largest Employers Major non -governmental employers within the Santa Clarita Valley are as follows: SANTA CLARITA VALLEY Major Non -Governmental Employers Company Six Flags Magic Mountain Henry Mayo Newhall Memorial Hospital Princess Cruises Boston Scientific The Master's College Advanced Bionics Logix Woodward HRT (formerly H.R. Textron) Amazon Kaiser Permanente Stay Green Inc. Contractors Wardrobe AMS Fulfillment Quest Diagnostics (formerly Specialty Labs) California Institute of the Arts Product/Service Employees Amusement Park 2,200 Hospital 1,778 Travel 1,116 Medical Device 893 Education 863 Medical Device 693 Financial Services 674 Aerospace 610 Retail 580 Hospital 528 Landscape Services 500 Home Improvement 473 Warehouse Fulfillment 470 Medical R&D 466 Education 455 Walmart Retail 450 Q2 Solutions Laboratory Services 389 Subtotal 13,138 Other 7,417 Private Subtotal within Top 50 20,555 Gov. Subtotal within Top 50 8,632 Total within Top 50 29,187 Source: 2022 Economic Outlookfor the Santa Clarita Valley, updated September 2022. [Remainder ofpage intentionally left blank.] Commercial Activity and Sales Tax The following tables show total taxable transactions and sales tax revenues within the City over the last ten calendar years in which annual data is available. CITY OF SANTA CLARTTA Taxable Transactions (Thousands of Dollars) Year Permits Taxable Transactions 2012 6,021 $2,764,693 2013 6,012 2,896,147 2014 6,232 3,004,553 2015 7,008 3,096,583 2016 7,009 3,151,492 2017 7,093 3,238,131 2018 7,484 3,250,142 2019 7,829 3,279,703 2020 8,449 2,944,704 2021 7,714 3,769,927 20220) 7,814 984,284 (1) First Quarter 2022. Source: California Board of Equalization and California Department of Tax and Fee Administration. The following table shows a breakdown of the taxable sales within the City for 2021 calendar year (the latest calendar year in which annual information is available). CITY OF SANTA CLARTTA Taxable Sales — 2021 Type of Business Permits Taxable Transactions Retail and Food Services Motor Vehicle and Parts Dealers 165 $ 829,220,052 Home Furnishings and Appliance Stores 221 116,433,437 Bldg. Material and Garden Equip. & Supplies 89 268,577,425 Food and Beverage Stores 150 161,484,223 Gasoline Stations 48 390,281,363 Clothing and Clothing Accessories Stores 859 149,605,906 General Merchandise Stores 268 500,903,909 Food Services and Drinking Places 601 515,777,106 Other Retail Stores 2,338 218,125,303 Retail and Food Total 4,739 $3,150,408,724 All Other Outlets 2,975 619,518,681 Totals All Outlets 7,714 $3,769,927,405 Source: California Department of Tax and Fee Administration. Industry The City is part of the Los Angeles -Long Beach -Glendale Metropolitan Statistical Area ("MSA"), which is comprised of parts of Los Angeles County. LOS ANGELES-LONG BEACH-GLENDALE MSA Historical Civilian Labor Force Calendar Years 2017 through 2021 Annual Averages Wage and Salary Employment:(2) 2017 2018 2019 2020 2021 Agriculture 5,800 4,600 4,500 4,400 4,600 Mining and Logging 2,200 1,900 1,900 1,700 1,600 Construction 137,700 146,300 149,300 145,500 149,800 Manufacturing 350,100 341,200 339,200 313,800 311,700 Wholesale Trade 224,500 223,200 220,500 200,100 202,000 Retail Trade 422,500 424,800 417,300 378,600 401,400 Transportation, Warehousing, Utilities 191,800 203,600 213,800 208,600 214,200 Information 214,500 216,400 217,300 185,800 213,200 Finance and Insurance 137,400 136,500 135,500 131,500 127,600 Real Estate and Rental and Leasing 83,700 86,700 88,400 80,100 83,200 Professional and Business Services 613,400 630,400 642,800 593,300 629,500 Educational and Health Services 794,300 821,300 843,600 820,900 839,600 Leisure and Hospitality 523,900 536,500 544,700 394,400 429,300 Other Services 154,100 158,800 158,400 127,000 134,100 Federal Government 48,000 47,300 47,400 50,200 47,600 State Government 92,500 91,700 92,500 85,200 89,200 Local Government 438,600 451,600 454,300 430,300 421,400 Total all Industries 0) 4,441,400 4,522,700 4,571,400 4,151,000 4,300,000 (1) Totals may not add due to rounding. Source: State of California Employment Development Department Recreational Activities There are a number of recreational and historical facilities located in the Santa Clarita Valley. Among them are Six Flags Magic Mountain Amusement Park and Gene Autry's Melody Ranch. For water enthusiasts there are Castaic Lake, Lake Hughes, Lake Elizabeth, Lake Piru and Lake Pyramid. The Angeles National Forest, Placenta Canyon Nature Center, Saugus Train Station, Vasquez Rocks County Park and the City's community parks are also available for hiking and picnicking. William S. Hart Park features a Spanish colonial mansion museum. Within the City, there are 35 park facilities, nearly 11,000 acres of City -owned open space and 150 miles trails and paseos designed for commuting and recreational use, including walking, hiking, biking and skating. Frazier Park and Mountain High are within a 40 mile drive for ski enthusiasts. Also located in the City are the Canyon Theatre Guild and The Main, multi -use arts center, as well as the Friendly Valley, Valencia Country Club, Sand Canyon Country Club and Vista Valencia golf courses. Santa Clarita residents enjoy the City's distinctive trail system. There are three libraries located in the valley. I:Q': APPENDIX B AUDITED FINANCIAL STATEMENTS OF THE CITY OF SANTA CLARITA FOR THE FISCAL YEAR ENDED JUNE 30, 2021 APPENDIX C SUMMARY OF CERTAIN PROVISIONS OF THE PRINCIPAL LEGAL DOCUMENTS C-1 APPENDIX D FORM OF CONTINUING DISCLOSURE CERTIFICATE IM APPENDIX E-1 FORM OF OPINION OF BOND COUNSEL On the delivery date of the Series A Bonds, Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel, proposes to render its final approving opinion substantially in the following form: [Closing Date] Santa Clarita Public Financing Authority 23920 Valencia Boulevard Santa Clarita, California 91355 City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 $[Series A principal amount]* Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022A (Green Bonds) Ladies and Gentlemen: We have acted as Bond Counsel to the Santa Clarita Public Financing Authority (the "Authority") in connection with the issuance by the Authority of its $[Series A principal amount]* Lease Revenue Bonds (Energy Efficiency Program), Series 2022A (Green Bonds) (the "Series A Bonds"). The Series A Bonds are being issued under the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4 of Chapter 5 of Division 7 of Title 1 (commencing with Section 6584) of the California Government Code (the "Bond Law"). The Series A Bonds shall be issued and secured pursuant to an Indenture, dated as of October 1, 2020 (the "Original Indenture"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (the "First Supplemental Indenture," and together with the Original Indenture, as supplemented, the "Indenture"), each by and between the Authority and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the "Trustee"). The Authority has previously issued its $10,645,000 Lease Revenue Bonds (Recreational Facility), Series 2020A and its $3,625,000 Federally Taxable Lease Revenue Bonds (Recreational Facility) Series 202OA-T (collectively, the "2020 Bonds," and together with the Series A Bonds, the `Bonds"), with which the Series A Bonds are on parity. The Series A Bonds are limited obligations of the Authority secured under the Indenture by a pledge of applicable Revenues and certain other moneys held under the Indenture. The Revenues consist of (1) Base Rental Payments made by the City of Santa Clarita, California (the "City") pursuant to a Lease Agreement, dated as of October 1, 2020, as amended and restated by the First Amendment to Lease Agreement, dated as of October 1, 2022 (as so amended and supplemented, the "Lease"), each by and between the Authority, . Preliminary, subject to change. E-1-1 as lessor, and the City, as lessee, (ii) any proceeds of Bonds originally deposited with the Trustee and all moneys on deposit in the funds and accounts (other than the Rebate Fund) established under the Indenture, (iii) investment income with respect to such moneys held by the Trustee and (iv) any insurance proceeds or condemnation awards received by or payable to the Trustee relating to the applicable Base Rental Payments. The City has leased certain real property and improvements (the "CUBE Leased Property") to the Authority pursuant to the Site and Facility Lease, dated as of October 1, 2020 (the "Site Lease"), by and between the City and the Authority. Pursuant to the Assignment Agreement, dated as of October 1, 2020 (the "Assignment Agreement"), by and between the Authority and the Trustee, the Authority has assigned to the Trustee, for the benefit of the Owners of the Bonds, certain of the Authority's rights under the Site Lease and the Lease, including the right to receive Base Rental Payments under the Lease. As Bond Counsel, we have reviewed the Indenture, the Site Lease, the Lease, the Assignment Agreement and certifications of the Authority, the City, the Trustee and others, opinions of counsel to the Authority, the City and the Trustee, and such other documents, opinions and instruments as we deemed necessary to render the opinions set forth herein. Capitalized terms used and not otherwise defined herein shall have the meanings ascribed thereto in the Indenture. Based upon the foregoing, we are of the opinion that, under existing law: The Series A Bonds constitute valid and binding limited obligations of the Authority as provided in the Indenture, and are entitled to the benefits of the Indenture. 2. The Indenture has been duly and validly authorized, executed and delivered by the Authority and, assuming the enforceability thereof against the Trustee, constitutes the legally valid and binding obligation of the Authority, enforceable against the Authority in accordance with its terms. The Indenture creates a valid pledge, to secure the payment of principal of and interest on the Series A Bonds, of the Revenues and certain other amounts held by the Trustee in certain funds and accounts established pursuant to the Indenture, subject to the provisions of the Indenture permitting the application thereof for other purposes and on the terms and conditions set forth therein. The Lease and Site Lease have been duly and validly authorized, executed and delivered by the Authority and the City and constitute the legally valid and binding obligations of the Authority and the City, enforceable against the Authority and the City in accordance with their terms. 4. The Assignment Agreement has been duly and validly authorized, executed and delivered by the Authority and, assuming the enforceability thereof against the Trustee, constitutes the legally valid and binding obligation of the Authority, enforceable against the Authority in accordance with its terms. Assuming compliance by the Authority and the City with certain covenants in the Indenture, the Lease, the Tax Certificate and other documents pertaining to the Series A Bonds and requirements of the Internal Revenue Code of 1986, as amended, regarding the use, expenditure and investment of proceeds of the Series A Bonds and the timely payment of certain investment earnings to the United States, interest on the Series A Bonds is not includable in the gross income of the owners of the Series A Bonds for federal income tax purposes. Failure to comply with such covenants and requirements may cause interest on the Series A Bonds to be included in gross income retroactive to the date of issuance of the Series A Bonds. E-1-2 Interest on the Series A Bonds is not treated as an item of tax preference for purposes of the federal alternative minimum tax. Interest on the Series A Bonds is exempt from personal income taxes of the State of California under present state law. The Code imposes certain requirements that must be met subsequent to the issuance and delivery of the Series A Bonds for interest thereon to be and remain excluded from the gross income of the owners thereof for federal income tax purposes. Noncompliance with such requirements could cause the interest on the Series A Bonds to fail to be excluded from the gross income of the owners thereof retroactive to the date of issuance of the Series A Bonds. Pursuant to the Indenture, the Lease and the Tax Certificate being delivered by the Authority and the City in connection with the issuance of the Series A Bonds, each of the Authority and the City is making representations relevant to the determination of, and is undertaking certain covenants regarding or affecting, the exclusion of interest on the Series A Bonds from the gross income of the owners thereof for federal income tax purposes. In reaching the conclusions supporting our opinions described in the immediately preceding paragraph, we have assumed the accuracy of such representations and the present and future compliance by each of the Authority and the City with such covenants. Further, except as stated in the preceding paragraph, we express no opinion as to any federal or state tax consequence of the receipt or accrual of interest on, or the ownership or disposition of, the Series A Bonds. Further, certain requirements and procedures contained or referred to in the Indenture, the Lease or other documents pertaining to the Series A Bonds may be changed, and certain actions may be taken, under the circumstances and subject to the terms and conditions set forth in such documents, upon the advice or with the approving opinion of counsel nationally recognized in the area of tax-exempt obligations. We express no opinion as to the effect of any change to any document pertaining to the Series A Bonds or of any action taken or not taken where such change is made or action is taken or not taken without our approval or in reliance upon the advice of counsel other than ourselves with respect to the exclusion from gross income of the interest on the Series A Bonds for federal income tax purposes. The opinions expressed in paragraphs I through 4 above are qualified to the extent the enforceability of the Series A Bonds, the Indenture, the Lease, the Site Lease and the Assignment Agreement may be limited by applicable bankruptcy, insolvency, debt adjustment, reorganization, moratorium or similar laws or equitable principles relating to or limiting creditors' rights generally or as to the availability of any particular remedy. The enforceability of the Series A Bonds, the Indenture, the Lease, the Site Lease and the Assignment Agreement is subject to the effect of general principles of equity, including, without limitation, concepts of materiality, reasonableness, good faith and fair dealing, to the possible unavailability of specific performance or injunctive relief, regardless of whether considered in a proceeding in equity or at law, and to the limitations on legal remedies against governmental entities in California. No opinion is expressed herein on the accuracy, completeness or sufficiency of the Official Statement or other offering material relating to the Series A Bonds. Our opinions are based on existing law, which is subject to change. Such opinions are further based on our knowledge of facts as of the date hereof. We assume no duty to update or supplement our opinions to reflect any fact or circumstance that may hereafter come to our attention or to reflect any change in any law that may hereafter occur or become effective. Moreover, our opinions are not a guarantee of results and are not binding on the Internal Revenue Service; rather, such opinions represent our legal judgment E-1-3 based upon our review of existing law that we deem relevant to such opinions and in reliance upon the representations and covenants referenced above. Respectfully submitted, E-1-4 APPENDIX E-2 FORM OF OPINION OF BOND COUNSEL On the delivery date of the Series B Bonds, Norton Rose Fulbright US LLP, Los Angeles, California, Bond Counsel, proposes to render its final approving opinion substantially in the following form: [Closing Date] Santa Clarita Public Financing Authority 23920 Valencia Boulevard Santa Clarita, California 91355 City of Santa Clarita 23920 Valencia Boulevard Santa Clarita, California 91355 $[Series B principal amount]* Santa Clarita Public Financing Authority Lease Revenue Bonds (Energy Efficiency Program) Series 2022B (Green Bonds) Ladies and Gentlemen: We have acted as Bond Counsel to the Santa Clarita Public Financing Authority (the "Authority") in connection with the issuance by the Authority of its $[Series B principal amount]* Lease Revenue Bonds (Energy Efficiency Program), Series 2022B (Green Bonds) (the "Series B Bonds"). The Series B Bonds are being issued under the provisions of the Marks -Roos Local Bond Pooling Act of 1985, constituting Article 4 of Chapter 5 of Division 7 of Title 1 (commencing with Section 6584) of the California Government Code (the "Bond Law"). The Series B Bonds shall be issued and secured pursuant to an Indenture, dated as of June 1, 2016 (the "Original Indenture"), as supplemented by the First Supplemental Indenture, dated as of October 1, 2022 (the "First Supplemental Indenture" and together with the Original Indenture, as supplemented, the "Indenture"), each by and between the Authority and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the "Trustee"). The Authority has previously issued its $10,320,000 Lease Revenue Refunding Bonds (Golden Valley Road), Series 2016A (the "2016 Bonds," and together with the Series B Bonds, the "Bonds"), with which the Series B Bonds are on parity. The Series B Bonds are limited obligations of the Authority secured under the Indenture by a pledge of applicable Revenues and certain other moneys held under the Indenture. The Revenues consist of (1) Base Rental Payments made by the City of Santa Clarita, California (the "City") pursuant to a Lease Agreement, dated as of June 1, 2016, as amended and restated by the First Amendment to Lease Agreement, dated as of October 1, 2022 (as so amended and supplemented, the "Lease"), each by and between the Authority, as lessor, and the City, as lessee, (ii) any proceeds of Bonds originally deposited with the Trustee and all moneys on deposit in the funds and accounts (other than the Rebate Fund) established under the Indenture, . Preliminary, subject to change. E-2-1 (iii) investment income with respect to such moneys held by the Trustee and (iv) any insurance proceeds or condemnation awards received by or payable to the Trustee relating to the applicable Base Rental Payments. The City has leased certain real property and improvements (the "City Hall Leased Property") to the Authority pursuant to the Site and Facility Lease, dated as of June 1, 2016 (the "Site Lease"), by and between the City and the Authority. Pursuant to the Assignment Agreement, dated as of June 1, 2016 (the "Assignment Agreement"), by and between the Authority and the Trustee, the Authority has assigned to the Trustee, for the benefit of the Owners of the Bonds, certain of the Authority's rights under the Site Lease and the Lease, including the right to receive Base Rental Payments under the Lease. As Bond Counsel, we have reviewed the Indenture, the Site Lease, the Lease, the Assignment Agreement and certifications of the Authority, the City, the Trustee and others, opinions of counsel to the Authority, the City and the Trustee, and such other documents, opinions and instruments as we deemed necessary to render the opinions set forth herein. Capitalized terms used and not otherwise defined herein shall have the meanings ascribed thereto in the Indenture. Based upon the foregoing, we are of the opinion that, under existing law: The Series B Bonds constitute valid and binding limited obligations of the Authority as provided in the Indenture, and are entitled to the benefits of the Indenture. 2. The Indenture has been duly and validly authorized, executed and delivered by the Authority and, assuming the enforceability thereof against the Trustee, constitutes the legally valid and binding obligation of the Authority, enforceable against the Authority in accordance with its terms. The Indenture creates a valid pledge, to secure the payment of principal of and interest on the Series B Bonds, of the Revenues and certain other amounts held by the Trustee in certain funds and accounts established pursuant to the Indenture, subject to the provisions of the Indenture permitting the application thereof for other purposes and on the terms and conditions set forth therein. The Lease and Site Lease have been duly and validly authorized, executed and delivered by the Authority and the City and constitute the legally valid and binding obligations of the Authority and the City, enforceable against the Authority and the City in accordance with their terms. 4. The Assignment Agreement has been duly and validly authorized, executed and delivered by the Authority and, assuming the enforceability thereof against the Trustee, constitutes the legally valid and binding obligation of the Authority, enforceable against the Authority in accordance with its terms. Assuming compliance by the Authority and the City with certain covenants in the Indenture, the Lease, the Tax Certificate and other documents pertaining to the Series B Bonds and requirements of the Internal Revenue Code of 1986, as amended, regarding the use, expenditure and investment of proceeds of the Series B Bonds and the timely payment of certain investment earnings to the United States, interest on the Series B Bonds is not includable in the gross income of the owners of the Series B Bonds for federal income tax purposes. Failure to comply with such covenants and requirements may cause interest on the Series B Bonds to be included in gross income retroactive to the date of issuance of the Series B Bonds. E-2-2 Interest on the Series B Bonds is not treated as an item of tax preference for purposes of the federal alternative minimum tax. Interest on the Series B Bonds is exempt from personal income taxes of the State of California under present state law. The Code imposes certain requirements that must be met subsequent to the issuance and delivery of the Series B Bonds for interest thereon to be and remain excluded from the gross income of the owners thereof for federal income tax purposes. Noncompliance with such requirements could cause the interest on the Series B Bonds to fail to be excluded from the gross income of the owners thereof retroactive to the date of issuance of the Series B Bonds. Pursuant to the Indenture, the Lease and the Tax Certificate being delivered by the Authority and the City in connection with the issuance of the Series B Bonds, each of the Authority and the City is making representations relevant to the determination of, and is undertaking certain covenants regarding or affecting, the exclusion of interest on the Series B Bonds from the gross income of the owners thereof for federal income tax purposes. In reaching the conclusions supporting our opinions described in the immediately preceding paragraph, we have assumed the accuracy of such representations and the present and future compliance by each of the Authority and the City with such covenants. Further, except as stated in the preceding paragraph, we express no opinion as to any federal or state tax consequence of the receipt or accrual of interest on, or the ownership or disposition of, the Series B Bonds. Further, certain requirements and procedures contained or referred to in the Indenture, the Lease or other documents pertaining to the Series B Bonds may be changed, and certain actions may be taken, under the circumstances and subject to the terms and conditions set forth in such documents, upon the advice or with the approving opinion of counsel nationally recognized in the area of tax-exempt obligations. We express no opinion as to the effect of any change to any document pertaining to the Series B Bonds or of any action taken or not taken where such change is made or action is taken or not taken without our approval or in reliance upon the advice of counsel other than ourselves with respect to the exclusion from gross income of the interest on the Series B Bonds for federal income tax purposes. The opinions expressed in paragraphs 1 through 4 above are qualified to the extent the enforceability of the Series B Bonds, the Indenture, the Lease, the Site Lease and the Assignment Agreement may be limited by applicable bankruptcy, insolvency, debt adjustment, reorganization, moratorium or similar laws or equitable principles relating to or limiting creditors' rights generally or as to the availability of any particular remedy. The enforceability of the Series B Bonds, the Indenture, the Lease, the Site Lease and the Assignment Agreement is subject to the effect of general principles of equity, including, without limitation, concepts of materiality, reasonableness, good faith and fair dealing, to the possible unavailability of specific performance or injunctive relief, regardless of whether considered in a proceeding in equity or at law, and to the limitations on legal remedies against governmental entities in California. No opinion is expressed herein on the accuracy, completeness or sufficiency of the Official Statement or other offering material relating to the Series B Bonds. Our opinions are based on existing law, which is subject to change. Such opinions are further based on our knowledge of facts as of the date hereof. We assume no duty to update or supplement our opinions to reflect any fact or circumstance that may hereafter come to our attention or to reflect any change in any law that may hereafter occur or become effective. Moreover, our opinions are not a guarantee of results and are not binding on the Internal Revenue Service; rather, such opinions represent our legal judgment E-2-3 based upon our review of existing law that we deem relevant to such opinions and in reliance upon the representations and covenants referenced above. Respectfully submitted, E-2-4 APPENDIX F BOOK -ENTRY SYSTEM The information in this section concerning DTC and DTC's book -entry only system has been obtained from sources that the Authority believes to be reliable, but the Authority takes no responsibility for the completeness or accuracy thereof. The following description of the procedures and record keeping with respect to beneficial ownership interests in the Bonds, payment of principal, premium, if any, and interest with respect to the Bonds to DTC Participants or Beneficial Owners, confirmation and transfers of beneficial ownership interests in the Bonds and other related transactions by and between DTC, the DTC Participants and the Beneficial Owners is based solely on information provided by DTC to the Authority which the Authority believes to be reliable, but the Authority and the Underwriter do not and cannot make any independent representations concerning these matters and do not take responsibility for the accuracy or completeness thereof. Neither the DTC, Direct Participants, Indirect Participants nor the Beneficial Owners should rely on the foregoing information with respect to such matters, but should instead confirm the same with DTC or the DTC Participants, as the case may be. The Depository Trust Company ("DTC"), New York, New York, will act as securities depository for the Bonds. The Bonds will be issued as fully -registered securities registered in the name of Cede & Co. (DTC's partnership nominee) or such other name as may be requested by an authorized representative of DTC. One fully -registered Bond will be issued for each annual maturity of the Bonds, each in the aggregate principal amount of such maturity, and will be deposited through the facilities of DTC. DTC, the world's largest securities depository, is a limited -purpose trust company organized under the New York Banking Law, a "banking organization" within the meaning of the New York Banking Law, a member of the Federal Reserve System, a "clearing corporation" within the meaning of the New York Uniform Commercial Code, and a "clearing agency" registered pursuant to the provisions of Section 17A of the Securities Exchange Act of 1934. DTC holds and provides asset servicing for over 3.5 million issues of U.S. and non-U.S. equity issues, corporate and municipal debt issues, and money market instruments (from over 100 countries) that DTC's participants ("Direct Participants") deposit with DTC. DTC also facilitates the post trade settlement among Direct Participants of sales and other securities transactions in deposited securities, through electronic computerized book- entry transfers and pledges between Direct Participants' accounts. This eliminates the need for physical movement of securities certificates. Direct Participants include both U.S. and non-U.S. securities brokers and dealers, banks, trust companies, clearing corporations, and certain other organizations. DTC is a wholly -owned subsidiary of The Depository Trust & Clearing Corporation ("DTCC"). DTCC is the holding company for DTC, National Securities Clearing Corporation and Fixed Income Clearing Corporation, all of which are registered clearing agencies. DTCC is owned by the users of its regulated subsidiaries. Access to the DTC system is also available to others such as both and non-U.S. securities brokers and dealers, banks, trust companies, and clearing corporations that clear through or maintain a custodial relationship with a Direct Participant, either directly or indirectly ("Indirect Participants"). DTC has a Standard & Poor's rating of AA+. The DTC Rules applicable to its Participants are on file with the Securities and Exchange Commission. More information about DTC can be found at www.dtcc.com. Purchases of Bonds under the DTC system must be made by or through Direct Participants, which will receive a credit for the Bonds on DTC's records. The ownership interest of each actual purchaser of each Bond (`Beneficial Owner") is in turn to be recorded on the Direct and Indirect Participants' records. Beneficial Owners will not receive written confirmation from DTC of their purchase. Beneficial Owners are, however, expected to receive written confirmations providing details of the transaction, as well as periodic statements of their holdings, from the Direct or Indirect Participant through which the Beneficial Owner entered into the transaction. Transfers of ownership interests in the Bonds are to be accomplished F-5 by entries made on the books of Direct and Indirect Participants acting on behalf of Beneficial Owners. Beneficial Owners will not receive Bonds representing their ownership interests in Bonds, except in the event that use of the book -entry system for the Bonds is discontinued. To facilitate subsequent transfers, all Bonds deposited by Direct Participants with DTC are registered in the name of DTC's partnership nominee, Cede & Co., or such other name as may be requested by an authorized representative of DTC. The deposit of Bonds with DTC and their registration in the name of Cede & Co. or such other DTC nominee do not effect any change in beneficial ownership. DTC has no knowledge of the actual Beneficial Owners of the Bonds; DTC's records reflect only the identity of the Direct Participants to whose accounts such Bonds are credited, which may or may not be the Beneficial Owners. The Direct and Indirect Participants will remain responsible for keeping account of their holdings on behalf of their customers. Conveyance of notices and other communications by DTC to Direct Participants, by Direct Participants to Indirect Participants, and by Direct Participants and Indirect Participants to Beneficial Owners will be governed by arrangements among them, subject to any statutory or regulatory requirements as may be in effect from time to time. Beneficial Owners of Bonds may wish to take certain steps to augment the transmission to them of notices of significant events with respect to the Bonds, such as prepayments, tenders, defaults, and proposed amendments to the Bond documents. For example, Beneficial Owners of Bonds may wish to ascertain that the nominee holding the Bonds for their benefit has agreed to obtain and transmit notices to Beneficial Owners. In the alternative, Beneficial Owners may wish to provide their names and addresses to the registrar and request that copies of notices be provided directly to them. Prepayment notices shall be sent to DTC. If less than all of the Bonds within a maturity are being prepaid, DTC's practice is to determine by lot the amount of the interest of each Direct Participant in such maturity to be prepaid. Neither DTC nor Cede & Co. (nor any other DTC nominee) will consent or vote with respect to Bonds unless authorized by a Direct Participant in accordance with DTC's NMI Procedures. Under its usual procedures, DTC mails an Omnibus Proxy to the Authority as soon as possible after the record date. The Omnibus Proxy assigns Cede & Co.'s consenting or voting rights to those Direct Participants to whose accounts Bonds are credited on the record date (identified in a listing attached to the Omnibus Proxy). Prepayment proceeds, distributions, and dividend payments with respect to the Bonds will be made to Cede & Co., or such other nominee as may be requested by an authorized representative of DTC. DTC's practice is to credit Direct Participants' accounts upon DTC's receipt of funds and corresponding detail information from the Authority or the Trustee, on payable date in accordance with their respective holdings shown on DTC's records. Payments by Participants to Beneficial Owners will be governed by standing instructions and customary practices, as is the case with securities held for the accounts of customers in bearer form or registered in "street name," and will be the responsibility of such Participant and not of DTC, the Trustee, or the Authority, subject to any statutory or regulatory requirements as may be in effect from time to time. Payment of redemption proceeds, distributions, and dividend payments to Cede & Co. (or such other nominee as may be requested by an authorized representative of DTC) is the responsibility of the Authority or the Trustee, disbursement of such payments to Direct Participants will be the responsibility of DTC, and disbursement of such payments to the Beneficial Owners will be the responsibility of Direct and Indirect Participants. A Bond Owner shall give notice to elect to have its Bonds purchased or tendered, through its Participant, to the Trustee, and shall effect delivery of such Bonds by causing the Direct Participant to transfer the Participant's interest in the Bonds, on DTC's records, to the Trustee. The requirement for physical delivery of Bonds in connection with an optional tender or a mandatory purchase will be deemed satisfied when the ownership rights in the Bonds are transferred by Direct Participants on DTC's records and followed by a book -entry credit of tendered Bonds to the Trustee's DTC account. DTC may discontinue providing its services as depository with respect to the Bonds at any time by giving reasonable notice to the Authority or the Trustee. Under such circumstances, in the event that a successor depository is not obtained, physical certificates are required to be printed and delivered. The Authority may decide to discontinue use of the system of book -entry only transfers through DTC (or a successor securities depository). In that event, Bonds will be printed and delivered to DTC. F-7