| SURETY DETAIL INFORMATION | |
| Surety ID: | 2019-0021 | | Status: | RELEASED | | Operator Number: | 10515 | Bond Amount: | $95,000.00 | | Instrument: | SURETY BOND | | Instrument Number: | 1164894 | | Coverage: | INDIVIDUAL | | Bond Type: | PLUGGING | | Limitation: | 1 | | Deposit Number: | | | PDPA Number: | INTERIM REC #324483 | | Received Date: | 2/25/2019 | | Approved Date: | 2/28/2019 | | Maturity Expire Date: | N/A | | FA Provider Number: | 100845 | | FA Provider Name: | LEXON INSURANCE COMPANY | | Deposit Date: | N/A | | Release Request Date: | N/A | | Release Date: | 10/25/2022 |
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