CenterPoint Energy Restoration Bond Company II, LLC
Monthly Remittances
Series 2025-A Senior Secured System Restoration Bonds
Remittances of System Restoration Charges to the Trustee
| 2026 | |
|---|---|
| January | $4,098,482.78 |
| February | $4,326,910.55 |
| March | $4,843,048.56 |
| April | $4,715,510.60 |
| May | $4,636,123.87 |
| 2025 | |
|---|---|
| January | $ - |
| February | $ - |
| March | $ - |
| April | $ - |
| May | $ - |
| June | $ - |
| July | $ - |
| August | $ - |
| September | $ - |
| October | $425,595.26 |
| November | $4,225,530.19 |
| December | $5,789,671.85 |