Loading...
HomeMy WebLinkAbout09/02/2025 - Work Session - Meeting MaterialsSALT LAKE CITY COUNCIL REVISED AGENDA WORK SESSION   September 2, 2025 Tuesday 2:00 PM Council meetings are held in a hybrid meeting format. Hybrid meetings allow people to join online or in person at the City & County Building. Learn more at www.slc.gov/council/agendas. Council Work Room 451 South State Street, Room 326 Salt Lake City, UT 84111 SLCCouncil.com 7:00 pm Formal Meeting Room 315 (See separate agenda) Welcome and public meeting rules In accordance with State Statute and City Ordinance, the meeting may be held electronically. After 5:00 p.m., please enter the City & County Building through the main east entrance. The Work Session is a discussion among Council Members and select presenters. The public is welcome to listen. Items scheduled on the Work Session or Formal Meeting may be moved and / or discussed during a different portion of the Meeting based on circumstance or availability of speakers. The Website addresses listed on the agenda may not be available after the Council votes on the item. Not all agenda items will have a webpage for additional information read associated agenda paperwork. Generated: 08:49:03 Note: Dates not identified in the project timeline are either not applicable or not yet determined. Item start times and durations are approximate and are subject to change. Work Session Items   1.Informational: Updates from the Administration ~ 2:00 p.m.  30 min. The Council will receive information from the Administration on major items or projects in progress. Topics may relate to major events or emergencies (if needed), services and resources related to people experiencing homelessness, active public engagement efforts, wildfire mitigation, and projects or staffing updates from City Departments, or other items as appropriate. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Recurring Briefing Set Public Hearing Date - n/a Hold hearing to accept public comment - n/a TENTATIVE Council Action - n/a      2.Ordinance: Zoning Map Amendment for the Delta Center Parking Garage at Approximately 301 West South Temple ~ 2:30 p.m.  30 min. The Council will receive a briefing about a proposal that would approve a Master Development Agreement for the construction of the Delta Center parking garage at approximately 301 West South Temple. The proposal includes the construction of a seven-story parking garage with approximately 452 parking stalls at the southwest corner of the site, which is intended to provide parking for patrons of the Delta Center Arena and improve the site's functionality. The applicant is requesting approval of the development agreement associated with the project, which establishes specific rules for constructing the parking garage at the Delta Center Arena. If approved, the proposed development agreement could supersede several of the City's rules and regulations. Located within Council District 4. Petitioner: Jazz Arena Investors LLC. For more information visit https://tinyurl.com/DeltaCenterParking. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - Tuesday, August 19, 2025 Hold hearing to accept public comment - Tuesday, September 2, 2025 at 7 p.m. TENTATIVE Council Action - Tuesday, September 9, 2025      3.Ordinance: Partial Street Vacation at Approximately 1101 West 400 South ~ 3:00 p.m.  20 min. The Council will receive a briefing about an ordinance that would close a portion of the public right-of-way on both 1100 West and 400 South adjacent to the property located at 1101 West 400 South. The closure would facilitate the future construction of a new single- family residence on the property. The petitioner is requesting to purchase this portion of the right-of-way and include it in their property boundary. The area is approximately five feet between the property boundary and the public sidewalk. The sidewalk would not be impacted by this request. Located within Council District 2. Petitioner: Erik Sansom, property owner. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - Tuesday, September 9, 2025 Hold hearing to accept public comment - Tuesday, October 7, 2025 at 7 p.m. TENTATIVE Council Action - Tuesday, October 21, 2025      4.Ordinance: Modify Residential Buffer Prohibitions Text Amendment ~ 3:20 p.m.  20 min. The Council will receive a briefing about a proposal that would amend various sections of Title 21A of the Salt Lake City Code relating to residential buffer prohibitions. The proposal would review the land uses that are subject to, or should be subject to, the 1,000-foot prohibition from residential zoning districts. The proposal also included reviewing whether other land uses should be subject to the provision and clarifying how the distance is measured. Other sections of Title 21A may also be amended as part of this petition. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - Tuesday, September 9, 2025 Hold hearing to accept public comment - Tuesday, October 7, 2025 at 7 p.m. TENTATIVE Council Action - Tuesday, October 21, 2025      5.Ordinance: Utility Installation Exemptions Text Amendment ~ 3:40 p.m.  20 min. The Council will receive a briefing about a proposal that would amend various sections of Title 21A of the Salt Lake City Code relating to utility installation exemptions. The    proposal would clarify the application of utility exemptions and standardize the footnotes in related land use tables. Other sections of Title 21A may also be amended as part of this petition. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - Tuesday, September 9, 2025 Hold hearing to accept public comment - Tuesday, October 7, 2025 at 7 p.m. TENTATIVE Council Action - Tuesday, October 21, 2025   6.Tentative Break ~ 4:00 p.m.  20 min. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Set Public Hearing Date - Hold hearing to accept public comment - TENTATIVE Council Action -      7.Resolution: Public Utilities Bond Anticipation Notes, Series 2025B and Revenue Refunding Bonds, Series 2025C ~ 4:20 p.m.  20 min. The Council will receive a briefing about a parameters resolution authorizing the issuance and sale of up to $50,000,000 aggregate principal amount of Public Utilities revenue bond anticipation notes, Series 2025B, and up $50,000,000 aggregate principal amount of Public Utilities revenue refunding bond, Series 2025C. The notes will finance the acquisition, construction, remodeling, and improvement of a campus for Public Utilities. The Bonds will be issued for the purpose of refunding in advance of their maturity all or a portion of the currently outstanding Public Utilities Revenue and Refunding Bonds, Series 2017. The Council's action includes authorizing the execution of a supplemental indenture, a bond purchase agreement, and other documents as required. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - Tuesday, September 2, 2025 Hold hearing to accept public comment - Tuesday, October 7, 2025 at 7 p.m. TENTATIVE Council Action - Tuesday, September 2, 2025      8.Informational: Initial Discussion of Legislative Intents for Fiscal Year 2025-26 ~ 4:40 p.m.  30 min. The Council will hold the first planned briefing on its Legislative Intent statements for Fiscal Year 2025-26. Legislative Intents are formal requests the Council makes of the Administration that are adopted along with the annual budget. This briefing will consist of conversations with the Administration designed to exchange any preliminary information and feedback needed to clarify each Intent. In addition, the Council will review and consider any staff recommendations for closing some previous years’ intents. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - n/a Hold hearing to accept public comment - n/a TENTATIVE Council Action - n/a      9.Ordinance: Budget Amendment No.1 for Fiscal Year 2025- 26 ~ 5:10 p.m.  30 min. The Council will receive a briefing about Budget Amendment No.1 for the Fiscal Year 2025-26 Budget. Budget amendments happen several times each year to reflect    adjustments to the City’s budgets, including proposed project additions and modifications. The proposed amendment includes items which relate to the Main Street fire on August 11, 2025, including funding for an emergency loan fund program, rental assistance, and funding for barriers to allow safe pedestrian passage in front of the buildings burned in the recent fire. For more information visit tinyurl.com/SLCFY26. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - Tuesday, September 2, 2025 Hold hearing to accept public comment - Tuesday, September 9, 2025 at 7 p.m. TENTATIVE Council Action - Tuesday, September 9, 2025 or Tuesday, October 7, 2025   10.Board Appointment: Public Utilities Advisory Committee – Sean McKelvie ~ 5:40 p.m.  5 min. The Council will interview Sean McKelvie, resident of Salt Lake County, prior to considering appointment to the Public Utilities Advisory Committee for a term ending January 15, 2029. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - n/a Hold hearing to accept public comment - n/a TENTATIVE Council Action - Tuesday, September 2, 2025      11.Board Appointment: Public Utilities Advisory Committee – Kamiron Anderson ~ 5:45 p.m.  5 min. The Council will interview Kamiron Anderson, resident of District 1, prior to considering appointment to the Public Utilities Advisory Committee for a term ending January 15, 2029. FYI – Project Timeline: (subject to change per Chair direction or Council discussion) Briefing - Tuesday, September 2, 2025 Set Public Hearing Date - n/a Hold hearing to accept public comment - n/a TENTATIVE Council Action - Tuesday, September 2, 2025      Standing Items   12.Report of the Chair and Vice Chair -  - Report of Chair and Vice Chair.     13.Report and Announcements from the Executive Director -  - Report of the Executive Director, including a review of Council information items and announcements. The Council may give feedback or staff direction on any item related to City Council business, including but not limited to scheduling items.     14.Tentative Closed Session -  - The Council will consider a motion to enter into Closed Session. A closed meeting described under Section 52-4-205 may be held for specific purposes including, but not limited to: a. discussion of the character, professional competence, or physical or mental health of an individual; b. strategy sessions to discuss collective bargaining; c. strategy sessions to discuss pending or reasonably imminent litigation; d. strategy sessions to discuss the purchase, exchange, or lease of real property, including any form of a water right or water shares, if public discussion of the transaction would: (i) disclose the appraisal or estimated value of the property under consideration; or (ii) prevent the public body from completing the transaction on the best possible terms; e. strategy sessions to discuss the sale of real property, including any form of a water right or water shares, if: (i) public discussion of the transaction would: (A) disclose the appraisal or estimated value of the property under consideration; or (B) prevent the public body from completing the transaction on the best possible terms; (ii) the public body previously gave public notice that the property would be offered for sale; and (iii) the terms of the sale are publicly disclosed before the public body approves the sale; f. discussion regarding deployment of security personnel, devices, or systems; and g. investigative proceedings regarding allegations of criminal misconduct. A closed meeting may also be held for attorney-client matters that are privileged pursuant to Utah Code § 78B-1-137, and for other lawful purposes that satisfy the pertinent requirements of the Utah Open and Public Meetings Act.     CERTIFICATE OF POSTING On or before 5:00 p.m. on Friday, August 29, 2025, the undersigned, duly appointed City Recorder, does hereby certify that the above notice and agenda was (1) posted on the Utah Public Notice Website created under Utah Code Section 63F-1-701, and (2) a copy of the foregoing provided to The Salt Lake Tribune and/or the Deseret News and to a local media correspondent and any others who have indicated interest. KEITH REYNOLDS SALT LAKE CITY RECORDER Final action may be taken in relation to any topic listed on the agenda, including but not limited to adoption, rejection, amendment, addition of conditions and variations of options discussed. The City & County Building is an accessible facility. People with disabilities may make requests for reasonable accommodation, which may include alternate formats, interpreters, and other auxiliary aids and services. Please make requests at least two business days in advance. To make a request, please contact the City Council Office at council.comments@slc.gov, 801-535-7600, or relay service 711. Administrative Updates September 2, 2025 www.slc.gov/feedback/ and shape.slc.gov (soft launch) Community Engagement Highlights Community & Neighborhoods slc.gov/canBallpark NEXT / RDA Ballparknext.com Planning Thriving in PlaceEngineering & Transportation 2100 South Reconstruction (D7) •All lanes open and 2 -way traffic flowing •November 15 completion is on track 1300 East Reconstruction (D7) •Paving has begun through mid -September •8pm-6am 300 North Reconstruction (D2,3) •Substantially complete Kensington Neighborhood Byway (D5,6) •Complete and activated! 300 West Bikeway (D4,5) •Final stages Community & Neighborhoods slc.gov/canBallpark NEXT / RDA Ballparknext.com Planning Thriving in PlacePublic Lands Sunnyside Park improvements (D6) •Final Concept Design available online Glendale Regional Park (D2) •Phase 2 has begun Taufer Park (D4) •Temporary Closure – 90 days Liberty Park (D5) •Playground closed •Seven Canyons work update Backman Community Open Space (D1) •Playground complete Fleet Block Open Space (D5) •Survey is extended through Sept 12th Fairmont Park (D7) •Alternative Designs – September 18 4-7pm Jefferson Park (D5) •Playground under construction Community & Neighborhoods slc.gov/canBallpark NEXT / RDA Ballparknext.com Planning Thriving in PlaceSustainability & Planning Climate Forward SLC •Update to our Climate Strategy •Long and near term goals •Save money •Make neighborhoods healthier Multi-family Merger •Headed to City Council Text amendment related to Fence height •PC recommended adoption with removal of hedges from fence regulations Community & Neighborhoods slc.gov/canBallpark NEXT / RDA Ballparknext.com Planning Thriving in PlaceCommunity Events - Highlights Event Date Location Avenues Street Fair 9/13 8th Ave between D & K 9th & 9th Street Festival 9/20 900 East 900 South Groove in the Grove 9/24 Pioneer Police Precinct - 1040 West 700 South Marmalade Jam Fest 9/27 Marmalade Library Wasatch Hollow Fest 10/11 1500 East 1500 South Community & Neighborhoods slc.gov/canBallpark NEXT / RDA Ballparknext.com Planning Thriving in PlaceMeter Parking Update 4-hour max parking AFTER 6pm Monday – Saturday •2-hour limit remains 8am-6pm •Sunday still unmetered Why the change? •New flexible and adaptive ordinance •Community feedback brought new consideration •Responsive to City nightlife needs •Aligns with recommendations in 2022 parking study •Requires turnover during retail hours •Still encourages turnover in the evening through metering •Supports local arts venues and businesses Homeless Resource Center Utilization: Aug 18th- 22nd: FULL https://endutahhomelessness.org/daily-bed-availability/ Encampment Impact Mitigation/ Rapid Intervention: •EIM- None •RIT- Jordan River Trail/ Canal. Fife Wetlands, Sugarhouse, Victory Road Resource Fair: Sept. 12 @ Library Square Homelessness Update Shelters: 801-990-9999 Additional System Information: Salt Lake Valley Coalition to End Homelessness (SLVCEH) endutahhomelessness.org/ salt-lake-valley Utah Office of Homeless Services (OHS) jobs.utah.gov/homelessness/ index.html Homeless Winter Emergency Services: •Rejected by OHS due to lack of beds/ funding •OHS/ County/Task Force working on improvements to winter shelter plans Transformative Campus: •State OHS evaluating land •OHS still needs additional capitol and operations funding Mobile Hygiene Pilot: •Awarded to local non-profit •More info ASAP Community Corner: •Homeless Services lot: 200 s. 700 w. •Mon-Wed 1pm-4:30pm Aug- Oct •HEART administers program Item B11 CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 MOTION SHEET CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM: Nick Tarbet Policy Analyst DATE:September 2, 2025 RE:MOTION SHEET – Zoning Map Amendment / Development Agreement for the Delta Center Parking Garage at Approximately 301 West South Temple MOTION 1 I move the Council close the public hearing and defer action to a future Council meeting MOTION 2 I move the Council continue to a future council meeting. MOTION 3 I move the Council close the public hearing and adopt the ordinance. COUNCIL STAFF REPORT CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM: Nick Tarbet, Policy Analyst DATE: September 2, 2025 RE:Development Agreement for the Delta Center Parking Garage PROJECT TIMELINE: Briefing: September 2, 2025 Set Date: August 19, 2025 Public Hearing: Sept 2, 2025 Potential Action: Sept 9, 2025 ISSUE AT-A-GLANCE The Council will receive a briefing about a proposal that would approve a Development Agreement for the construction of the Delta Center parking garage at approximately 301 West South Temple. The proposal includes the construction of a seven-story (~95 feet) parking garage with approximately 450 parking stalls at the southwest corner of the site, which is intended to provide parking for patrons of the Delta Center Arena and improve the site's functionality. The applicant is requesting approval of the development agreement associated with the project, which establishes specific rules for constructing the parking garage at the Delta Center Arena. If approved, the proposed development agreement could supersede several of the City's rules and regulations. The public hearing has been set for September 2, 2025. The work session briefing and public hearing will both be held that day. The location has long been used as loading/receiving dock and parking access for the building. The proposed parking garage will include a below-grade loading dock for larger vehicles and secured access for authorized personnel. Access into the garage will be from both 100 South and 400 west. The Planning Commission voted 5:2 to forward a recommendation of approval with the conditions 1-4 as listed below, with a modification to condition 3 and the addition of condition 5. 1. Additional visual interest be incorporated along the retaining walls at the base of the structure’s street facing facades and identified in the plan set prior to adoption of the development agreement. 2. The applicant replaces the proposed woven wire mesh screening material on the street facing facades of the loading area with screening materials similar to or consistent with the perforated aluminum panels proposed for the upper levels of the structure prior to adoption of the development agreement. Page | 2 3. The applicant includes substantial bicycle parking on the property in close proximity to the primary entrances of the arena as determined by staff. 4. Final details regarding site plan requirements be provided in the plan set prior to adoption of the Development Agreement. 5. The applicant works with staff to create a larger landscape buffer as possible. Smith Entertainment Group provided responses to the Planning Commission’s recommendations. They can be found in Attachment B – Applicant Response to Planning Commission Recommendations POLICY QUESTIONS The Council may wish to discuss with planning staff and the applicant how the recommendations from the Planning Commission outlined above would be incorporated into the development. Some questions have been raised about activating the street level portion of the block where the parking garage will be located, the southwest corner. o The Council may wish to ask Planning staff how the parking garage fits into the overall development of the block and how if there are ways to improve the pedestrian experience in this corner of the block. Some Council Members have raised the question about encouraging other modes of transportation when people attend events at the Delta Cetner block, including bicycling. One of the Planning Commission’s recommendations included “substantial bicycle parking on the property” o The Council may wish to ask the planning staff and the applicant how they intend to incorporate this recommendation into the development of the block. i MASTER DEVELOPMENT AGREEMENT FOR THE JAZZ ARENA PARKING GARAGE ii TABLE OF CONTENTS 1. Incorporation of Recitals and Exhibits/ Definitions .......................................................................... 1 1.1 Incorporation ............................................................................................................................. 2 1.2 Definitions ................................................................................................................................ 2 2 Effect of MDA ................................................................................................................................... 3 3 Development of the Project ............................................................................................................... 3 3.1 Compliance with this MDA ...................................................................................................... 3 3.2 Approved Plans ......................................................................................................................... 3 4 Zoning and Vested Rights .................................................................................................................. 3 5 Term of Agreement ........................................................................................................................... 3 6 Default ............................................................................................................................................... 3 6.1 Notice ........................................................................................................................................ 3 6.2 Contents of the Notice of Default ............................................................................................. 4 6.3 Remedies ................................................................................................................................... 4 6.4 Extended Cure Period ............................................................................................................... 4 7 Dispute Resolution ............................................................................................................................ 4 7.1 Meet and Confer regarding Disputes ........................................................................................ 4 7.2 Mediation of Disputes ............................................................................................................... 4 8 Notices ............................................................................................................................................... 4 8.1 Effectiveness of Notice ............................................................................................................ 5 9 Administrative Modifications ............................................................................................................ 5 9.1 Allowable Administrative Applications ................................................................................... 5 9.2 Application to Administrator .................................................................................................... 6 9.3 Administrator’s Review of Administrative Modification ......................................................... 6 9.4 Appeal of Administrator’s Denial of Administrative Modification ......................................... 6 10 Estoppel Certificate ...................................................................................................................... 6 11 Attorney’s Fees ............................................................................................................................. 6 12 Headings ....................................................................................................................................... 6 13 No Third-Party Rights/No Joint Venture ...................................................................................... 6 14 Assignability ................................................................................................................................. 6 14.1 Assignees Bound by MDA ....................................................................................................... 6 14.2 Recorded Notice ....................................................................................................................... 6 15 No Waiver ..................................................................................................................................... 7 iii 16 Further Documentation ................................................................................................................. 7 17 Severability ................................................................................................................................... 7 18 Force Majeure ............................................................................................................................... 7 19 Time is of the Essence ............................................................................................................. 7 20 Appointment of Representatives ................................................................................................... 7 21 Rights of Access ........................................................................................................................... 7 22 Mutual Drafting ............................................................................................................................ 7 23 Applicable Law ............................................................................................................................. 7 24 Venue ............................................................................................................................................ 7 25 Entire Agreement .......................................................................................................................... 7 26 Recordation and Running with the Land ...................................................................................... 7 27 Authority ....................................................................................................................................... 8 28 Covenant of Good Faith and Fair Dealing .................................................................................... 8 29 REPRESENTATION REGARDING ETHICAL STANDARDS FOR CITY OFFICERS AND EMPLOYEES AND FORMER CITY OFFICERS AND EMPLOYEES ............................................... 8 30 GOVERNMENT RECORDS ACCESS AND MANAGEMENT ACT ...................................... 8 1 MASTER DEVELOPMENT AGREEMENT FOR THE JAZZ ARENA PARKING GARAGE This MASTER DEVELOPMENT AGREEMENT (“Agreement” or “MDA”) is made and entered as of the 2nd day of September, 2025, by and between Salt Lake City Corporation, a municipal corporation and political subdivision of the State of Utah (“City”); the Community Reinvestment Agency of Salt Lake City formerly known as the Redevelopment Agency of Salt Lake City (“CRA”); and the Jazz Arena Investors LLC, a Utah limited liability company (“Master Developer”). RECITALS A. The capitalized terms used in these Recitals are defined above and in Section 1.2, below. B. Master Developer is developing the Property, which is owned by CRA. C. Development of the Property will include the Parking Garage and Façade as defined in this MDA. D. Development of the Project pursuant to this MDA is acknowledged by the parties to be consistent with LUDMA and to operate for the benefit of the City, the Master Developer, the CRA, and the general public. E. The Parties acknowledge that development of the Property pursuant to this MDA will result in orderly development of the Parking Garage, Façade and related improvements and increasing property tax and other revenues to the City based on improvements to be constructed on the Property. F. Development of the Property pursuant to this MDA will also result in significant benefits to the Master Developer, by providing assurances to the Master Developer that it will have the ability to develop the Parking Garage and Façade in accordance with this MDA. G. The Master Developer and the City have cooperated in the preparation of this MDA. H. The Parties desire to enter into this MDA to specify the rights and responsibilities of the Master Developer to develop the Project as expressed in this MDA and the rights and responsibilities of the City to allow and regulate such development pursuant to the requirements of this MDA. I. The Parties understand and intend that this MDA is a “development agreement” within the meaning of, and entered into pursuant to the terms of, Utah Code §§ 10-9a-102(18) and -532 (2025). J. This MDA was considered by the Planning Commission and recommended for approval on August 13, 2025. K. On September 2, 2025, the City Council held a public hearing and approved this Agreement by the adoption of Ordinance # ______. NOW, THEREFORE, in consideration of the mutual covenants contained herein, and other good and valuable consideration, the receipt and sufficiency of which is hereby conclusively acknowledged, the City and the Master Developer hereby agree to the following: TERMS 1. Incorporation of Recitals and Exhibits/ Definitions. 2 1.1. Incorporation. The foregoing Recitals and Exhibits “A” – “B” are hereby incorporated into this MDA. 1.2. Definitions. As used in this MDA, the following terms, phrases, words, and their derivations shall have the meaning given herein where capitalized in this MDA. Words not defined herein shall have the same meaning as provided by Title 21A of Salt Lake City Code. When consistent with the context, words used in the present tense include the future, words in the plural number include the singular number, words in the singular number include the plural number, and the use of any gender shall apply to all genders whenever the context requires. The words “shall” and “will” are mandatory and the word “may” is permissive. References to governmental entities (whether persons or entities) refer to those entities or their successors in authority. If specific provisions of law referred to herein are renumbered, then the reference shall be read to refer to the renumbered provision. 1.2.1. Administrative Modifications means those modifications to this MDA that can be approved by the Administrator pursuant to Section 9. 1.2.2. Administrator means the Planning Director. 1.2.3. Applicant means a person or entity submitting a Development Application. 1.2.4. Buildout means the completion of all of the Parking Garage and Façade in accordance with the approved plans. 1.2.5. Canopy means a canopy over portions of the upper level of the Parking Garage to protect cars and guests from inclement weather as more fully specified in the Plans, Exhibit “B”. 1.2.6. City means Salt Lake City Corporation, a municipal corporation and political subdivision of the State of Utah. 1.2.7. City’s Vested Laws means the Zoning Ordinance of Salt Lake City, Title 21A, in effect at the time that the complete Development Application was submitted. 1.2.8. Council means the elected City Council of the City. 1.2.9. Default means a material breach of this MDA. 1.2.10. Development means the development of the Project pursuant to an approved Development Application. 1.2.11. Development Application means the application for this MDA which is referenced in the City’s Planning system as PLNPCM2025-00619. 1.2.12. Dispute means any disagreement between the Parties regarding the administration or implementation of the MDA, including but not limited to a Default. 1.2.13. Dispute Resolution Process means the non-exclusive processes for resolving any Dispute as specified in Section 7. 1.2.14. Façade means the façade for the Parking Garage, subset of the whole Project, as illustrated and generally specified in Exhibit B. 1.2.15. LUDMA means the Land Use, Development, and Management Act, Utah Code §§ 10-9a-101, et seq. (2025). 3 1.2.16. Notice means any notice to or from any party to this MDA that is either required or permitted to be given to another party. 1.2.17. Master Developer means Jazz Arena Investors LLC, . 1.2.18. MDA means this Master Development Agreement including all of its Exhibits. 1.2.19. Parking Garage means the Parking Garage, a subset of the whole Project, as illustrated and generally specified in Exhibit B. 1.2.20. Parties means the Master Developer, CRA and the City. 1.2.21. Party means the Master Developer, CRA or the City individually. 1.2.22. Plans means the size, design, location and materials of the Project as illustrated on Exhibit “B”. 1.2.23. Project means the complete and full development of the Parking Garage, Canopy, and the Façade. 1.2.24. Property means the approximately nine and eighteen hundredths (9.18) acres as illustrated on Exhibit “B” and legally described in Exhibit “A”, where the Project is located. 2. Effect of MDA. This MDA is of limited scope and applicable only to the Project. This MDA does not satisfy the obligation of Master Developer’s affiliate s, SEG Real Estate LLC and Smith Entertainment Group, LLC, pursuant to that certain Participation, Tax Sharing, and Reimbursement Agreement dated December 10, 2024 (the “Participation Agreement”), to enter into a “Development Agreement” as defined in the Participation Agreement. 3. Development of the Project. 3.1. Compliance with this MDA. Development of the Project shall be in accordance with the City’s Vested Laws as modified by this MDA. 3.2. Approved Plans. Notwithstanding anything to the contrary in the City’s Vested Laws, Master Developer is entitled to construct the Project in strict accordance with the Plans, subject to any approved Administrative Modifications as provided in Section 8. This MDA approves the Plans for purposes of the City’s Vested Laws, but no other regulations, including building code, fire code, and public utilities. The Project shall obtain all required permits and shall be subject to the City’s standard plan review process. 4. Zoning and Vested Rights. This MDA does not grant the Master Developer or any Applicant any “vested rights” in Utah common law or Utah Code 10-9a-509. Rather, the Project shall comply with all applicable laws and regulations in Salt Lake City Code. Only to the extent the Plans do not comply with the City’s Vested Laws is a waiver hereby given to such regulations. 5. Term of Agreement. The term of this MDA shall be until December 31, 2029, or upon the issuance of a certificate of occupancy for the Project, whichever occurs first. 6. Default. 6.1. Notice. If the Master Developer or the City fails to perform their respective obligations 4 hereunder or to comply with the terms hereof, the party believing that a Default has occurred shall provide Notice to the other party. 6.2. Contents of the Notice of Default. The Notice of Default shall: 6.2.1. Specific Claim. Specify the claimed event of Default; 6.2.2. Applicable Provisions. Identify with particularity the provisions of any applicable law, rule, regulation, or provision of this MDA that is claimed to be in Default; 6.2.3. Cure Deadline. The City shall specify a time for Master Developer or Applicant to cure the Default which shall be of no less than thirty (30) days duration, except in case of emergency. 6.2.4. Appeal Process. The City shall specify the process to appeal the Notice of Default in accordance with Salt Lake City Code Chapter 21A.16 or its successor. 6.3. Remedies. If the Parties are not able to resolve a Default, then the Parties may have the following remedies: 6.3.1. Law and Equity. All rights and remedies available in law and equity including, but not limited to, injunctive relief and/or specific performance. 6.3.2. Security. The right to draw on any security posted or provided in connection with the Project and relating to remedying of the particular Default. 6.3.3. Zoning Enforcement. The City shall have the remedies set forth in Salt Lake City Code Chapter 21A.20, or its successor. 6.4. Extended Cure Period. Except in case of an emergency, if any Default cannot be reasonably cured within thirty (30) days, then such cure period shall be extended so long as the defaulting Party is pursuing a cure with reasonable diligence, but in no event may exceed one hundred and eighty (180) days. The burden of proof of reasonable diligence shall be on the defaulting Party. 7. Dispute Resolution. Any Dispute may be resolved as follows. 7.1. Meet and Confer regarding Disputes. The City and Applicant shall meet within fifteen (15) business days of any Dispute to resolve the issues specified in the Dispute. 7.2. Mediation of Disputes. 7.2.1. Optional Mediation Process. If the City and the Applicant are unable to resolve a Dispute the parties may attempt within ten (10) business days after a written request for mediation to appoint a mutually acceptable mediator. The parties shall equally share the cost of mediation. The chosen mediator shall within fifteen (15) business days, review the positions of the parties regarding the Dispute and promptly attempt to mediate the Dispute between the parties. If the parties are unable to reach agreement, the mediator shall notify the parties in writing of the resolution that the mediator deems appropriate. The mediator's opinion shall not be binding on the parties. 8. Notices. All notices required or permitted under this Agreement shall, in addition to other means of transmission, be given in writing by certified mail and regular mail to the following address: 5 To Master Developer: Jazz Arena Investors LLC Attn: Mr. Jim Olson 1420 South 500 West Salt Lake City, UT 84115 With a Copy to: General Counsel 1420 South 500 West Salt Lake City, UT 84115 legal@teamseg.com With a Copy to: Bruce R. Baird, Esq. Bruce R. Baird PLLC 2150 South 1300 East, Fifth Floor Salt Lake City, UT 84106 bbaird@difficultdirt.com To City: Salt Lake City Attn: Planning Director 451 South State Street Salt Lake City, UT 84111 With a Copy to: Salt Lake City Attorney 451 South State Street Salt Lake City, UT 84111 8.1. Effectiveness of Notice. Except as otherwise provided in this MDA, each Notice shall be effective and shall be deemed delivered on the earlier of: 8.1.1. Hand Delivery. The day it is delivered personally or by courier service. 8.1.2. Electronic Delivery. Its actual receipt if delivered electronically by email provided that a copy of the email is printed out in physical form and mailed or personally delivered as set forth herein on the same day and the sending party has an electronic receipt of the delivery of the Notice. If the copy is not sent on the same day, then notice shall be deemed effective the date that the mailing or personal delivery occurs. 8.1.3. Mailing. On the day the Notice is postmarked for mailing, postage prepaid, by First Class or Certified United States Mail and actually deposited in or delivered to the United States Mail. Any party may change its address for Notice under this MDA by giving written Notice to the other party in accordance with the provisions of this Section. 9. Administrative Modifications. 9.1. Allowable Administrative Applications: Only minor modifications of the Plans (and no terms of this Agreement) may be considered and approved by the Administrator. Such minor modifications include minor changes to the size set forth in the Plans. Minor size changes are dimensional changes of elements of the Project that are no greater than 10%. Changes to the overall design or location shall not be minor. The Administrator shall have the sole, unappealable, discretion 6 to decide if a request by Master Developer constitutes a minor modification subject to this section. If the Administrator determines that a request is not a minor modification, then such request shall be processed as an amendment to this Agreement requiring review by both the Salt Lake City Planning Commission and City Council. 9.1.1. Materials Specifications. Exhibit “B” specifies the materials that will be used for the Project. Any modifications or changes to the materials specified in Exhibit B is not a minor modification, therefore, is not an Administrative Modification. 9.2. Application to Administrator. Applications for Administrative Modifications may only be requested by the Master Developer and shall be filed with the Administrator. Any and all applications for Administrative Modifications must comply with the requirements in Salt Lake City Code 21A.59.030. 9.3. Administrator’s Review of Administrative Modification. The Administrator shall consider and decide upon the Administrative Modification within a reasonable time not to exceed forty-five (45) days from the date of submission of a complete application for an Administrative Modification. If the Administrator approves the Administrative Modification, the Administrator shall memorialize such approval against the applicable portion of the Property in the official City records. 9.4. Appeal of Administrator’s Denial of Administrative Modification . If the Administrator denies any proposed Administrative Modification, the Master Developer may seek approval of such modification as an amendment to this Agreement, which shall require review by both the Salt Lake City Planning Commission and City Council. 10. Estoppel Certificate. If the Master Developer is not, in fact, in default then, upon twenty (20) days prior written request by the Master Developer, the City will execute an estoppel certificate to any third party certifying that the Master Developer, as the case may be, at that time is not in default of the terms of this Agreement. 11. Attorney’s Fees. Each party is solely responsible for its own costs of any legal fees and costs, including attorneys fees related to or resulting from this Agreement, with the exception of any shared mediation costs per Section 7 of this Agreement. 12. Headings. The captions used in this MDA are for convenience only and are not intended to be substantive provisions or evidence of intent. 13. No Third-Party Rights/No Joint Venture . This MDA does not create a joint venture relationship, partnership or agency relationship between the City and the Master Developer. Further, the Parties do not intend this MDA to create any third-party beneficiary rights. 14. Assignability. The rights and responsibilities of the Master Developer under this MDA may be assigned in whole or in part by the Master Developer with the written consent of the City as provided herein. 14.1. Assignees Bound by MDA. Any assignee shall consent in writing to be bound by the assigned terms and conditions of this MDA as a condition precedent to the effectiveness of the assignment. 14.2. Recorded Notice. An instrument shall be recorded specifying the material details of any assignment approved in accordance with this Section. The recorded instrument shall be signed by the Master Developer and the assignee. The City shall also sign acknowledging that it has notice of the assignment and that the recorded instrument complies with this subsection. 7 15. No Waiver. No waiver of any of the terms of this Agreement shall be valid unless in writing and expressly designated as such. Any forbearance or delay on the part of either party in enforcing any of its rights as set forth in this Agreement shall not be construed as a waiver of such right for such occurrence or any other occurrence. Any waiver by either party of any breach of any kin d or character whatsoever by the other shall not be construed as a continuing waiver of, or consent to any subsequent breach of this Agreement. 16. Further Documentation . This MDA is entered into by the Parties with the recognition and anticipation that subsequent agreements implementing and carrying out the provisions of this MDA may be necessary. The Parties shall negotiate in good faith with respect to all such future agreements. 17. Severability. If any provision of this MDA is held by a court of competent jurisdiction to be invalid for any reason, the Parties consider and intend that this MDA shall be deemed amended to the extent necessary to make it consistent with such decision and the balance of this MDA shall remain in full force and affect. 18. Force Majeure. Any prevention, delay or stoppage of the performance of any obligation under this Agreement which is due to strikes, labor disputes, inability to obtain labor, materials, equipment or reasonable substitutes therefor; acts of nature, governmental restrictions, regulations or controls, judicial orders, enemy or hostile government actions, wars, civil commotions, fires or other casualties or other causes beyond the reasonable control of the Party obligated to perform hereunder shall excuse performance of the obligation by that Party for a period equal to the duration of that prevention, delay or stoppage. 19. Time is of the Essence. Time is of the essence to this MDA, and every right or responsibility shall be performed within the times specified. 20. Appointment of Representatives. To further the commitment of the parties to cooperate in the implementation of this MDA, the City and the Master Developer each shall designate and appoint a representative to act as a liaison between the City and its various departments and the Master Developer. The initial representative for the City shall be the Planning Division Director. The initial representative for the Master Developer shall be Jim Olson. The Parties may change their designated representatives by Notice. The representatives shall be available at all reasonable times to discuss and review the performance of the Parties to this MDA and the development of the Project. 21. Rights of Access. The City Engineer and other representatives of the City shall have a reasonable right of access to the Property, and all areas of development or construction done pursuant to this MDA during development and construction, to inspect or observe the work on the improvements and to make such inspections and tests as are allowed or required under the City regulations. 22. Mutual Drafting. Each party has participated in negotiating and drafting this MDA and therefore no provision of this MDA shall be construed for or against either party based on which party drafted any particular portion of this MDA. 23. Applicable Law. This MDA is entered into in Salt Lake City in the State of Utah and shall be construed in accordance with the laws of the State of Utah irrespective of Utah’s choice of law rules. 24. Venue. Any action to enforce this MDA shall be brought only in the Third District Court for the State of Utah, Salt Lake City. 25. Entire Agreement. This MDA, and all Exhibits thereto, is the entire agreement between the Parties and may not be amended or modified except either as provided herein or by a subsequent written amendment signed by all Parties. 26. Recordation and Running with the Land . This MDA shall be recorded in the chain of title for the Property. This MDA shall be deemed to run with the land. 8 27. Authority. The Parties to this MDA each warrant that they have all of the necessary authority to execute this MDA. Specifically, on behalf of the City, the signature of the Mayor is affixed to this MDA lawfully binding the City pursuant to Ordinance No. adopted by the City Council on ________________, 2025. 28. Covenant of Good Faith and Fair Dealing. Each Party shall use its best efforts and take and employ all necessary actions in good faith consistent with this Agreement to ensure that the rights secured by the other Party through this Agreement can be enjoyed. 29. REPRESENTATION REGARDING ETHICAL STANDARDS FOR CITY OFFICERS AND EMPLOYEES AND FORMER CITY OFFICERS AND EMPLOYEES. Master Developer represents that it has not: (1) provided an illegal gift or payoff to a City officer or employee or former City officer or employee, or his or her relative or business entity; (2) retained any person to solicit or secure this contract up on an agreement or understanding for a commission, percentage, or brokerage or contingent fee, other than bona fide employees or bona fide commercial selling agencies for the purpose of securing business; (3) knowingly breached any of the ethical standards set forth in City's conflict of interest ordinance, Chapter 2.44, Salt Lake City Code; or (4) knowingly influenced, and hereby promises that it will not knowingly influence, a City officer or employee or former City officer or employee to breach any of the ethical standards set forth in City's conflict of interest ordinance, Chapter 2.44, Salt Lake City Code. 30. GOVERNMENT RECORDS ACCESS AND MANAGEMENT ACT. City is subject to the requirements of the Government Records Access and Management Act, Chapter 2, Title 63G, Utah Code Annotated or its successor (“GRAMA”). All materials submitted by Master Developer pursuant to this Agreement are subject to disclosure unless such materials are exempt from disclosure pursuant to GRAMA. The burden of claiming an exemption from disclosure shall rest solely with Master Developer. Any materials for which Master Developer claims a privilege from disclosure shall be submitted marked as “Business Confidential” and accompanied by a concise statement of reasons supporting Master Developer’s claim of business confidentiality. City will make reasonable efforts to notify Master Developer of any requests made for disclosure of documents submitted under a claim of business confidentiality. Master Developer may, at Master Developer’s sole expense, take any appropriate actions to prevent disclosure of such material. Master Developer specifically waives any claims against City related to disclosure of any materials required by GRAMA. IN WITNESS WHEREOF, the parties hereto have executed this Agreement by and through their respective, duly authorized representatives as of _________________, 2025. 9 TABLE OF EXHIBITS Exhibit “A” Legal Description of The Property Exhibit “B” Plans [signatures on following pages] 10 CITY: ATTEST: SALT LAKE CITY CORPORATION, a political subdivision of the State of Utah By: _____________________________ By: _______________________________ Salt Lake City Recorder Mayor Erin Mendenhall Approved as to form: ________________________________ City Attorney’s Office Date:____________________________ STATE OF UTAH ) :ss COUNTY OF SALT LAKE ) This instrument was acknowledged before me this _____ day of ______________, 2025, by Erin Mendenhall, Mayor of Salt Lake City Corporation, a political subdivision of the State of Utah. WITNESS my hand and official seal. ___________________________ Notary Public [CRA SIGNATURE BLOCK TO BE ADDED] 11 MASTER DEVELOPER JAZZ ARENA INVESTORS LLC A Utah limited liability company , Manager MASTER DEVELOPER ACKNOWLEDGMENT STATE OF UTAH ) :ss COUNTY OF SALT LAKE ) On the 19th day of August, 2025, personally appeared before me duly sworn, did say that he is the Manager of JAZZ ARENA INVESTORS LLC, a Utah limited liability company, and that the foregoing instrument was duly authorized by the company at a lawful meeting held by authority of its operating agreement and signed in behalf of said company. NOTARY PUBLIC i EXHIBIT A LEGAL DESCRIPTION OF PROPERTY ii BEG AT THE NE COR OF BLK 79, PLAT A, SLC SUR; S 0°13'31" W 660.36 FT; N 89°46'55" W 660.70 FT; N 0°14'38" E 390.25 FT; N 45°16'17" E 382.34 FT; S 89°46'56" E 390.01 FT TO BEG. (BEING PT OF LOTS 4 & 5 & ALL OF LOTS 1 THRU 3 & 6 THU 8, BLK 79, PLAT A, SLC SUR). 9.176 AC M OR L. 5918-838 6175-1443 6227-1454,1482 iii EXHIBIT B PLANS [Approved Plans to be inserted here] PROJECT TEAMWALTER P. MOORE AND ASSOCIATES, INC.ARCHITECT / PARKINGWALTER P. MOORE AND ASSOCIATES, INC. STRUCTURAL ENGINEERHORROCKSCIVIL & LANDSCAPEVBFAMECHANICAL & PLUMBING ENGINEERBNA ConsultingELECTRICAL ENGINEERCONSTRUCTION MANAGERIN ASSOCIATION WITH Hales EngineeringTRAFFIC ENGINEEROWNER301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-20007/16/2025 1:09:59 PM DELTA CENTER PARKING STRUCTUREProject #: M092400600Date: 07/15/202561 S 400 W.SALT LAKE CITY, UTAH 8410161 S 400 W.SALT LAKE CITY, UTAH 84101 633 W 5TH ST, SUITE 7200LOS ANGELES, CA 90071 PHONE # 310.254.1900999 18TH STREET, SUITE 1715 N.DENVER, CO 80202 PHONE # 303.731.10034919 SOUTH 1500 WEST, SUITE 300RIVERDALE, UT 84405 PHONE # 801.792.7730181 E 5600 S #200MURRAY, UT 84123PHONE # 801.530.31484225 LAKE PARK BLVD. SUITE 275WEST VALLEY CITY, UT 84120 PHONE # 801.532.21961220 N. 500 W, SUITE 202LEHI, UT 84043PHONE # 801.766.4343--1 R A M P DETAIL KEY SHEET # DETAIL # ELEVATION KEY SHEET # ELEVATION # WALL SECTION KEYDETAIL # SHEET # BUILDING SECTION KEYDETAIL # SHEET # NORTH ARROWTRUE NORTH REVISION CLOUD GRID DESIGNATION TAG KEY # # X X100Name100 #'-#" WALL TAG (PARTITION TYPE)KEYED NOTE ACCESSORY TAG FINISH TAG SPECIALTY EQUIPMENT TAGDOOR TAGROOM TAG CEILING HEIGHT TAG 1A1.01SIM #####SIM SPOT ELEVATION 100.00 REFERENCEOBJECT U2A* A1011Ref 1Ref1Ref1Ref LEVEL KEY PRECAST PANEL TAG INTERIOR ELEVATION TAG 11A3-0 ElevationLevel #####SIM #####SIM NREFERENCETRUENORTHREFERENCE NORTH TOP OF STRUCTURAL SLAB ELEVATION 100.17 TOP OF STRUCTURAL SLAB ELEVATION100.00TOP OF FINISHED ELEVATIONMATERIAL LEGEND EARTH GRAVEL / BALLASTSTEEL CONCRETE RIGID INSUL.BATT INSUL. FIRE SAFING MARBLE / GRANITE FINISH LUMBERPLYWOOD WOOD BLOCKING SHIM CUT STONE / PRE-CASTCONCRETE MASONRY UNITS BRICK ALUMINUM PLASTER GYPSUM BOARD GLAZING UNDISTURBED EARTH METALSTUD VICINITY MAP EXPANDED VIEW NREFERENCE TRUENORTH ABBREVIATIONS APPLICABLE CODE LIST WITH LOCAL AMENDMENTS LOCATION MAP NREFERENCE TRUENORTH DESCRIPTION OF SCOPE OF WORK H HIGHHBHOSE BIBHCHOLLOW COREHDCP HANDICAPHDHEADHDWHARDWAREHMHOLLOW METALHORIZ HORIZONTALHPHIGH POINTHGTHEIGHTHTRHEATERHWHHOT WATER HEATERHVAC HEATING VENTILATING AND AIR CONDITIONINGICEICE MACHINEIDINSIDE DIAMETERININCHINCLINCLUDE (ED) (ING)INFO INFORMATIONINSUL INSULATIONINTINTERIORJANJANITORJBJUNCTION BOXJSTJOISTJTJOINTLLENGTHLABLABORATORYLAMLAMINATELAVLAVATORYLBPOUNDLFLINEAR FEETLHLEFT HANDLKRLOCKERLPLOW POINTMMETERMAMARBLE MAS MASONRYMATL MATERIALMAXMAXIMUMMBMARKER BOARD OR MOP BASINMDFMEDIUM DENSITY FIBERBOARDMECH MECHANICAL MFR MANUFACTURERMHMANHOLEMICMICROWAVEMINMINIMUMMISCMISCELLANEOUSMMMILLIMETERMOMASONRY OPENINGMTDMOUNTEDMTLMETALNNORTHNICNOT IN CONTRACTNONUMBERNOMNOMINALNTSNOT TO SCALEOAOVERALLOCON CENTERODOUTSIDE DIAMETEROHOVERHEADOHDOVERHEAD DOOROPNG OPENINGOPPOPPOSITEORDOVERFLOW ROOF DRAINOPTOPTIONALORIG ORIGINALOZOUNCEPARTN PARTITIONPCPRECASTPERF PERFORATEDPJPANEL JOINTPLPLATEPLAS PLASTERP LAM PLASTIC LAMINATEPLGPLUMBINGPLYWD PLYWOODPNLPANELPRPAIRPREFAB PREFABRICATEDPRELIM PRELIMINARYPROJ PROJECT PRS PROJECTION SCREENPSFPOUNDS PER SQUARE FOOTPSIPOUNDS PER SQUARE INCHPTPAINTPTDPAPER TOWEL DISPENSERQTQUARRY TILEQTRQUARTERRRISERR/A RETURN AIRRADRADIUSRBRESILIENT BASERDROOF DRAINREFREFERENCEREINF REINFORCED (ING)RF RESILIENT FLOORINGRFGREFRIGERATOR A/C AIR CONDITIONINGACTACOUSTICAL CEILING TILEAFFABOVE FINISH FLOORAHUAIR HANDLING UNITALUM ALUMINUMALTALTERNATEAMTAMOUNTAPACCESS PANELAPPROX APPROXIMATEARCH ARCHITECTURALATMAUTOMATED TELLER MACHINEAVAUDIO VISUALBDBOARDBLDG BUILDINGBLKBLOCKINGBMBEAM OR BENCHMARKBMDBOTTOM OF METAL DECKBOBOTTOM OFBOSBOTTOM OF STAIRSBRGBEARINGBSMT BASEMENTCAB(S) CABINET(S)CB CORNER BEANCGCORNER GUARDCICAST IRONCJCONTROL JOINTCLGCEILINGCLCLOSETCLRCLEARCMCENTIMETERCMPCOMPOSITE METAL PANELCMUCONCRETE MASONRY UNITCOCLEAN OUTCOLCOLUMNCONC CONCRETECONST CONSTRUCTIONCONT CONTINUOUS CONTR CONTRACTORCOPY COPY/PRINT MACHINECPTCARPETCTCERAMIC TILECTRCENTERCTSK COUNTERSINKCWCURTAIN WALLDBLDOUBLEDEGDEGREEDEPT DEPARTMENTDTLDETAILDIADIAMETERDIAGDIAGONALDIMDIMENSIONDNDOWNDRDOORDSDOWNSPOUTDWDISHWASHERDWG(S) DRAWING(S)E EASTEAEACHEIFSEXTERIOR INSULATION FINISH SYSTEMEJEXPANSION JOINTELELEVATIONELEC ELECTRICALELEV ELEVATORENCL ENCLOSUREENGR ENGINEEREQEQUALEQPEQUIPMENTESMT EASEMENTEWCELECTRIC WATER COOLEREXHEXHAUSTEXIST EXISTING EXP EXPANSIONEXTEXTERIORFAFIRE ALARMFCUFAN COIL UNITFDFLOOR DRAINFDNFOUNDATIONFEFIRE EXTINGUISHERFECFIRE EXTINGUISHER CABINETFFFINISH FLOORFHCFIRE HOSE CABINETFINFINISH FL FLOW LINEFLRFLOORFTFEETFTGFOOTINGFUTFUTUREFVFIELD VERIFYFWCFABRIC WALL COVERINGGAGAUGEGALV GALVANIZEDGBGRAB BARGCGENERAL CONTRACTORGENGENERATORGFBGROUND FACE BLOCKGFRC GLASS FIBER REINFORCED CONCRETEGFRG GLASS FIBER REINFORCED GYPSUMGLGLASSGNDGROUNDGYPGYPSUM REQ REQUIRED RET RETAINING REV REVISIONRHRIGHT HANDRMROOMROROUGH OPENINGRTUROOF TOP UNITRVROOF VENTSSOUTHS/A SUPPLY AIRSABSOUND ATTENUATION BLANKETSANSANITARY SD SMOKE DETECTORSFSQUARE FEETSHRSHOWERSHTSHEETSIMSIMILARSMSQUARE METERSNRSANITARY NAPKIN RECEPTACLESPEC(S) SPECIFICATION(S)SPKR SPEAKERSQSQUARESSSTAINLESS STEELSTSTREETSTDSTANDARDSTLSTEELSTOR STORAGESTRUCT STRUCTURESUSP SUSPENDEDSYMSYMMETRICALSYSSYSTEMTTREAD / TEMPEREDT&G TONGUE & GROOVETBTACKBOARDTBDTO BE DETERMINEDTELETELEPHONETELECOM TELEPHONE COMMUNICATIONSTEMP TEMPORARYTRZTERRAZZOTHKTHICKTHRU THROUGHTOTOP OFTPHTOILET PAPER HOLDERTSSTOP STRUCTURAL SLABTSTLTOP OF STEELTUTILT-UPTVTELEVISIONTWTOP OF WALLTYPTYPICALUHUNIT HEATERUNFIN UNFINISHEDULUNDERWRITER'S LABORATORYUONUNLESS OTHERWISE NOTEDVVENDING MACHINEVBVAPOR BARRIERVENT VENTILATIONVERT VERTICALVEST VESTIBULEVWCVINYL WALL COVERINGWWESTW/WITHW/O WITHOUTWCWATER CLOSETWDWOODWGWALL GUARDWPWATERPROOFINGWPTWORKING POINTWSCT WAINSCOTWTWEIGHTWWF WELDED WIRE FABRICXMFR TRANSFORMER PARKING & AREA SUMMARY PARKING SPACE LEGENDADA = STANDARD ACCESSIBLE PARKING SPACEEVS = ELECTRIC VEHICLE SPACE (FUTURE EVCS)EVCS = ELECTRIC VEHICLE CHARGING STATIONCAV = CLEAN AIR / VAN POOL / EV SPACESTD = STANDARD PARKING SPACECOMP = COMPACT PARKING SPACE GRAPHIC SYMBOLS MATERIAL PATTERN SYMBOLS REQUIRED PARKING REQUIRED BICYCLE PARKING PROJECT SITE PROJECT SITE DEFERRED SUBMITTALS ZONING / CONSTRUCTION TYPE / USE GROUP / FIRE PROTECTION 7A 6B 5B 4B 3B 2B 1B 7B 6A5A4A 3A 2A 1A1CENT/EXT RAMP LOADING LOADING LOADING LEGAL DESCRIPTION & PARCEL NUMBERLegal Description:BEG AT THE NE COR OF BLK 79, PLAT A, SLC SUR; S 0¿13'31" W 660.36 FT; N 89¿46'55" W 660.70 FT; N 0¿14'38" E 390.25 FT; N 45¿16'17" E 382.34 FT; S 89¿46'56" E 390.01 FT TO BEG. (BEING PT OF LOTS 4 & 5 & ALL OF LOTS 1 THRU 3 & 6 THU 8, BLK 79, PLAT A, SLC SUR). 9.176 AC M OR L. 5918-838 6175-1443 6227-1454,1482Parcel Record 15011270172000Owner REDEVELOPMENT AGENCY OF SALT LAKE CITYAddress 301 W SOUTHTEMPLE STTotal Acreage 9.18Tax Class Id 50BProperty Type 953Tax District 01C% Exempt 100Exempt Type TMunicipal Zone D-4MLS Number 5 5 500 ft0 ft 5 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 7/25/2025 6 : 0 8 : 5 4 P M GENERAL SHEET A0.01 12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA/YC SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP AUTHORITY HAVING JURISDICTION: SALT LAKE CITY, UT2021 UTAH FIRE CODE (UFC)2019 UTAH FIRE ALARM CODE2019 UTAH SPRINKLER CODE2019 NFPA 14 - STANDPIPES2019 NFPA 13 - SPRINKLER SYSTEMS2019 NFPA 72 - NATIONAL FIRE ALARMICC A117.1-092021 EDITION OF THE INTERNATIONAL BUILDING CODE, INCLUDING APPENDICES C AND J, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL PLUMBING CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL MECHANICAL CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2020 EDITION OF THE NATIONAL ELECTRICAL CODE, ISSUED BY THE NATIONAL FIRE PROTECTION ASSOCIATION2021 EDITION OF THE INTERNATIONAL FIRE CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL ENERGY CONSERVATION CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2017 UTAH ACCESSIBILITY CODE2010 ADA STANDARDS FOR ACCESSIBLE DESIGN2025 SALT LAKE CITY MUNICIPAL CODE ZONE:D-4USE:PARKING, COMMERCIALOCCUPANCY CLASSIFICATION :BASEMENT LEVEL IS CONSIDERED A SEPARATE BUILDING FROM THE OPEN PARKING GARAGE LEVELS ABOVE PER UBC 510.3 GROUP S-2 ENCLOSED PARKING GARAGE WITH GROUP S-2 OPEN PARKING GARAGE ABOVETYPE OF CONSTRUCTION: IIB FIRE PROTECTION:FIRE STANDPIPE + SPRINKLER SYSTEM BUILDING FOOTPRINT SIZE:188'-10" X 122'-7"NUMBER OF TIERS PROVIDED: 9 TIERS / 7 STORIESBUILDING TIERS ALLOWED: 9 TIERS PER UBC 406.5.5 AREA AND HEIGHT INCREASESALLOWABLE HEIGHT: 600'-0" PER D-4 ZONE HEIGHT LIMITSPER UBC HEIGHT OF OPEN PARKING BUILDING MEASURED FROM GRADE PLANE TO HIGHEST FLOOR TIER 9 = 81'-1" = 8.96 TIERS ROUNDED UP TO 9 TIERS PER UBC SECTION 406.5.4.1 SINGLE USE.BUILDING HEIGHT: PER SLC MUNICIPAL CODE 80'-7" (PER SECTION 12-1.18. BUILDING HEIGHT. “BUILDING HEIGHT” SHALL MEAN THE VERTICAL DISTANCE MEASURED FROM THE AVERAGE LEVEL OF THE HIGHEST AND LOWEST POINT OF THAT PORTION OF THE SITE COVERED BY THE BUILDING TO THE CEILING OF THE UPPERMOST STORY.)VENTILATION: NATURAL VENTILATION ON OPEN PARKING LEVELS. MECHANICAL VENTILATION ON BASEMENT LEVELFLOOR AREA ALLOWED: TYPE IIB = 50,000 S.F. MAX. PER OPEN TIER AND 104,000 S.F. MAX. PER ENCLOSED STORY.ALLOWABLE AREA WITH TYPE IIB CONSTRUCTION PER UBC 510.3 (1) OF THE BUILDING SUCH THAT THE SUM OF RATIONS FOR EACH SEPARATE OCCUPANCY SHALL NOT EQUAL 1.BASEMENT ENCLOSED PARKING BUILDING AREA RATIO: 31,255 SF AREA PROVIDED /104,000 ALLOWED MAX. 1 STORY MAX ABOVE GRADE PLAN EQUIPPED THROUGHOUT WITH AUTOMATIC SPRINKLER PER TABLE 506.2 = 0.31 RATIOABOVE GRADE OPEN PARKING STRUCTURE BUILDING AREA RATIO : 29,839 PROVIDED (LARGEST TIER 1 MEASURED FROM LOWEST POINT OF TIER TO 9'-6" ABOVE AS DEFINED BY 406.5.4.1 SINGLE USE )/ 50,000 SF PER TABLE 406.5.4 = 0.59 RATIOSUM OF RATIOS OF BUILDING 0.31+0.59=0.90 RATIO WHICH IS LESS THAN 1FLOOR AREA/PER LEVEL: 23,276 S.F. TYPICAL GRAND TOTAL FLOOR AREA: 209,227 S.F.OCCUPANT LOAD PER LEVEL: 117 PER LEVEL TYPICALEXIT STAIRS REQUIRED: 2 EXIT STAIRS PROVIDED:2STAIR WIDTH REQUIRED PER STAIR: 18"STAIR WIDTH PROVIDED PER STAIR: 54" TRAVEL DISTANCE: 400' MAX. TO STAIR PER UBC TABLE 1017.2 (FULLY SPRINKLERED WITHOUT VOICE ALARM SYSTEM) THE PROJECT CONSISTS OF A NEW 9 TIER/ 7 LEVEL OPEN PARKING STRUCTURE ABOVE ONE-TIER/ ONE STORY ENCLOSED COMMERCIAL VEHICLE LOADING AND AN ELEVATED PEDESTRIAN BRIDGE. SITE IMPROVEMENTS WITH A LIMITED EXTENSION FROM THE EXTERIOR PERIMETER OF THE PARKING STRUCTURE INCLUDE ON-SITE DRIVEWAY ACCESS, LANDSCAPE, HARDSCAPE, UTILITY LINES.THE PARKING FACILITY IS DESIGNED WITH STEEL COLUMNS AND BEAMS AND CONCRETE-FILLED METAL DECK ELEVATED FLOORS OF TYPE IIB CONSTRUCTION.SERVING ALL SEVEN ABOVE GRADE LEVELS ARE TWO ELEVATORS AT THE NORTHEAST CORNER, TWO OPEN STAIRS AT THE NORTHWEST AND NORTHEAST CORNERS. THE BASEMENT LEVEL IS SERVED BY A NEW E;EVATOR CONNECTING TO LEVEL 1, AND AN EXISTING STAIR WITHIN THE ARENA AND A NEW STAIR FROM BASEMENT FOR LEVEL 1.VEHICULAR ACCESS IS PROVIDED AT LEVEL 1. ACCESSIBLE PARKING IS PROVIDED AT ALL LEVELS. EXCEPT BASEMENT LEVEL CONTRACTOR AND THEIR ENGINEER SHALL PREPARE DETAIL PLANS, SPECIFICATIONS, ENGINEERING CALCULATIONS FOR THE DEFERRED ITEMS LISTED BELOW. THE ENGINEER SHALL BE REGISTERED IN THE STATE OF UTAH.THE DEFERRED SUBMITTALS SHALL BE STAMPED AND SIGNED BY THE REGISTERED ENGINEER AND PRESENTED TO THE ARCHITECT OF RECORD (AOR) / STRUCTURAL ENGINEER OF RECORD (SEOR) FOR REVIEW AND APPROVAL PRIOR TO THE CONTRACTOR SUBMITTING THE DEFERRED SUBMITTALS TO THE AUTHORITY HAVING JURISDICTION (AHJ) FOR APPROVAL AND PERMIT.INSTALLATION OF DEFERRED SUBMITTALS SHALL NOT BE STARTED UNTIL THEY ARE ACCEPTED BY THE ARCHITECT OF RECORD (AOR) / STRUCTURAL ENGINEER OF RECORD (SEOR) AND APPROVED/ PERMITTED BY AHJ.CONTRACTOR SHALL ALLOW SUFFICIENT TIME FOR REVIEW BY AOR/ SEOR PRIOR TO SUBMITTAL, APPROVAL, PERMITTED BY AHJ.DEFERRED ITEMS INCLUDE THE FOLLOWING:1. FIRE SPRINKLER SYSTEM2. AUTOMATIC FIRE ALARM SYSTEM3. COMMUNICATION SYSTEM (INCLUDING CCTV)4. BARRIER CABLES5. STEEL STAIRS & GUARDRAILS6. ELEVATOR GUIDE RAIL BRACKETS7. BUCKLING RESTRAINED BRACES8. PLUMBING LINES AND MECHANICAL EQUIPMENT SUPPORT, BRACING, ANCHORAGES AND PROTECTION9. PREFABRICATED GUARDBOOTH10. PARKING CONTROL EQUIPMENT11. METAL STUD/ COLD-FORMED FRAMING12. GENERATORS13. PARKING STRUCTURE ENTRY PORTAL14. METAL FABRICATIONS, RAILINGS, AND GRATINGS15. PILE LOAD TEST FRAME NOTE:INSTALLATION OF ELEVATOR GUIDE RAILS AND BRACKETS SHALL BE IN COMPLIANCE WITH:1. ASME 17.1/ CSA B44, ASME 17.1/ CSA B44.72. FOR ADDITIONAL STRUCTURAL DEFERRED SUBMITTALS SEE SHT S0-10, PART XI SUBMITTAL, B2 TOTAL CODE REQUIRED PARKING = NONE REQUIREDPROVIDED PARKING SPACESPARKING STRUCTURE (THIS PERMIT) = 448 SPACESGRAND TOTAL = 448 SPACES * Within the 10 total ADA spaces there are 8 standard ADA and 2 Van ADA Total 438 10 448 0 165,238 34,227 9,763 210,085 369Total40141 0 16,119 0 0 16,119 393 7B 9 0 9 0 4,015 0 0 4,015 446 7A ***31 1 32 0 12,104 0 0 12,104 378Level 7 Total 66 1 67 0 23,276 0 0 23,276 348 6B **34 0 34 0 11,172 0 0 11,172 329 6A 32 1 33 0 12,104 0 0 12,104 367Level 6 Total 67 1 68 0 23,276 0 0 23,276 342 5B 35 0 35 0 11,172 0 0 11,172 319 5A 32 1 33 0 12,104 0 0 12,104 367Level 5 Total 67 1 68 0 23,276 0 0 23,276 342 4B 35 0 35 0 11,172 0 0 11,172 319 4A 32 1 33 0 12,104 0 0 12,104 367Level 4Total 67 1 68 0 23,276 0 0 23,276 342 3B 35 0 35 0 11,172 0 0 11,172 319 3A 32 1 33 0 12,104 0 0 12,104 367Level 3 Total 65 1 66 0 23,276 0 0 24,134 353 2B 35 0 35 0 11,172 0 0 11,172 319 2A 30 1 31 0 12,104 0 0 12,962 391Level 2Total 66 4 70 0 28,753 0 9,763 38,515 411 1C 7 0 7 4,544 4,544 649 1B 35 0 35 11,213 0 5,353 16,566 320 1A 24 4 28 12,996 0 4,410 17,406 464Level 1Level B1 0 0 0 0 0 34,227 34,227 0Slab onGradeElevatedSlabSlab onGradeElevatedSlab Standard Spaces ADA Spaces*Parking Area Standard Total Parking Area (sqft) Non-Parking Area (sqft)Parking andNon-ParkingTotal AreaEfficiency(Parking Area/ ParkingSpaces) PARKING SUMMARY DELTA CENTER GARAGE NO BICYCLE PARKING REQUIRED SINCE THE PROJECT IS DEFINED AS A GARAGE AND AN ACCESSORY USE AS DEFINE BY SLC MUNICIPAL CODE SECTIONS: 21A.62.040: DEFINITIONS OF TERMS: GARAGE:AN ACCESSORY BUILDING OR PORTION OF A BUILDING DESIGNED OR USED FOR THE STORAGE OF VEHICLES USED BY THE OCCUPANTS OF THE PRINCIPAL BUILDING21A44.040: REQUIRED OFF-STREET PARKING (E) NOTE 6ACCESSORY AND TEMPORPAY USES: NO BICYCLE SPACES ARE REQUIRED FORACCESSORY OF TEMPORARY USES. NOTE:PARKING TIER SQUARE FOOTAGES SHOWN IN THIS CHART DIFFER FROM UBC 406.5.4.1 SINGLE USE, AND ARE INSEAD BASED ON PARKING BAYS AND STORY FOOTPRINT NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #15 08/01/2025 Bulletin #5 1 1 5 5 5 * WITHIN THE 10 TOTAL ADA SPACES THERE ARE 8 STANDARD ADA AND 2 VAN ADA** WITHIN THE 34 TOTAL SPACES THERE ARE 14 COMPACT PARKING SPACES (PENDING THE MASTER DEVELOPMENT AGREEMENT)*** WITHIN THE 31 TOTAL SPACES THERE ARE 25 COMPACT PARKING SPACES (PENDING THE MASTER DEVELOPMENT AGREEMENT) jb jb ejbjb jbjb jb jb jbjbjb sww eeirirfosdsds s irir sdfo e s s ws ee ee e w s irir e jb jb ejbjb jbjb jbjbjb s um s w S T E M P L E S T N 4 0 0 W 300 w 1 0 0 S 122'-10 1/2" DELTA CENTERBUILDING TYPE IBFULLY SPRINKLERED[NIC] PROPOSED PARKING STRUCTURE8 TIERS / 7 STORIESTYPE OF CONSTRUCTION: IIBOCCUPANCY CLASS: S-2 FULLY SPRINKLERED ENTR A N C E DN EXIT 8.33%DN NEW PEDESTRIAN BRIDGE EXISTING TRUC K E X I T NEW GUARD BOOTH STORAGE ROOM (NIC) STORAGE ROOM (NIC) OPEN TO LOADING DOCK BELOW LOADING DOCK COVER EXISTING TRUCK ENTRANCE OPEN TO LOADING DOCK BELOW A8.011 NORTHWEST PLAZA [NIC] SOUTHEAST PLAZA [NIC] CORNER SIDE YARD EXISTIN G S I D E W A L K EXITENTRY NORTHEAST PLAZA [NIC] PROPERTY LINE PROPERTY LINE CENTE R L I N E O F S T R E E T 41'-7" Refer to Civil S h e e t C 2 . 0 1 f o r C u r b C u t D i m e n s i o n s 101'-2 1/2" EXISTING STAIR TO REMAIN (NIC) 4'-9" PROPE R T Y L I N E PROPE R T Y L I N E FRONT YA R D 29'-6" 189'-6" 51'-4" 57'-0 1/2" 4'-4"EXISTING SIDEWALK RETAINING WALL -REFER TO CIVIL DRAWINGS SEE SEPARATE PERMIT OF ARENA PROJECT FOR CONTINUATION OF ACCESSIBLE PATH OF TRAVEL AND EGRESS TO PUBLIC RIGHT OF WAY PROPERTY LINE PROPERT Y L I N E PROPE R T Y L I N E PROPERTY LINE A8.021Sim SEE SEPARATE PERMIT OF ARENA PROJECT FOR CONTINUATION OF ACCESSIBLE PATH OF TRAVEL AND EGRESS TO PUBLIC RIGHT OF WAY OPEN TO BELOW OPEN TO BELOW FOR PAVEMENT FINISH AND MATERIALS, SEE CIVIL DRAWINGS. SEE LANDSCAPE DRAWINGS FOR DETAILS 1 1 5'-0" 3'-0"4'-0"4'-0"6'-1"24"w x24"dx48h Comm. Cabinet24"wx 31"dx39"h Transformer GUARDBOOTH SEE A8.01 FOR DETAILS GUARDBOOTH RESTROOM PATH 3 3 3 2'-6"7'-11 3/4"76.62' 76.62'76.62' 76.50' 76.62' 76.62' 76.62' 76.62' 76.62'TOW 76.95'ToW 76.50' 75.98' 58.20'59.00' 60.00' 62.50' 65.00' CAST IN PLACE CONCRETE RAMP RETAINING WALL. FINISH TO MATCH ARENA'S EXISTING CONCRETE WALL. TOP OF CONC. WALL FINISH ELEVATIONS PROJECT SCOPE OF WORK BUILDING FOOTPRINT 60.73'ToW 60.90'ToW 61.10'ToW 61.10'ToW61.10'ToW TOP OF PLANTER WALL ELEVATION CAST IN PLACE PLANTER WALL. FINISH TO MATCH EXISTING ARENA CONCRETE WALL FIRE DEPARTMENT NOTES: 1. THE REQUIRED FIRE-FLOW IN ACCORDANCE WITH UFC APPENDIX B, FOR A TYPE IIB CONSTRUCTION ACROSS 412,995 SQ.FT IS 8,000 GPM AT 20-PSI FOR 4-HOURS. IN ACCORDANCE WITH TABLE B105.2 THE FIRE-FLOW CAN BE REDUCED TO 25% OF THE REQUIRED VALUE FOR AN IFC 903.3.1.1 FULLY SPRINKLERED BUILDING. THEREFORE, THE REQUIRED FIRE-FLOW FOR THE PROPOSED BUILDING IS 2,000 GPM AT 20-PSI FOR 2-HOURS+2. PROVIDE AN APPROVED AUTOMATIC FIRE SPRINKLER SYSTEM IN ACCORDANCE WITH PROVISIONS SET FORTH IN BUILDING CODE SECTION 903.3. FIRE SPRINKLER PLANS SHALL BE SUBMITTED TO THE SPRINKLER PLAN CHECK UNIT FOR REVIEW AND APPROVAL PRIOR TO INSTALLATION IN ACCORDANCE WITH FIRE CODE 901.2. INDICATE TYPE OF SPRINKLER SYSTEM PROVIDED AS COMPLYING WITH NFPA 13.3. PROVIDE AN APPROVED CLASS I STANDPIPE SYSTEM IN ACCORDANCE WITH BUILDING CODE & FIRE CODE SECTION 905. GREATER THAN FOUR STORIES STANDPIPES SHALL BE LOCATED ACCORDING TO THE PROVISIONS IN BUILDING CODE & FIRE CODE SECTION. STANDPIPE SYSTEM PLANS SHALL BE SUBMITTED TO THE FIRE SPRINKLER PLAN CHECK UNIT IN ACCORDANCE WITH FIRE CODE 901.2.4. EACH STANDPIPE SHALL BE EQUIPPED WITH AN APPROVED 2 1/2 INCH OUTLET NOT LESS THAN 2 FEET OR MORE THAN 4 FEET ABOVE THE FLOOR LEVEL OF EACH STORY. STANDPIPE OUTLETS IN STAIRWAY ENCLOSURES OR SMOKEPROOF ENCLOSURES SHALL BE LOCATED SO THAT THE EXIT DOORS DO NOT INTERFERE WITH THE USE OF THE OUTLET AND LOCATED ON THE MAIN STAIR LANDING. ALL OUTLETS SHALL BE EQUIPPED WITH AN APPROVED VALVE, CAP AND CHAINS. FIRE CODE 905.4.35. PORTABLE FIRE EXTINGUISHERS SHALL BE INSTALLED AND MAINTAINED ALL OCCUPANCY GROUPS AND AT SUCH LOCATIONS AS REQUIRED BY FIRE CODE 906. THE FINAL NUMBER AND LOCATION OF ALL EXTINGUISHERS SHALL BE DETERMINED BY THE LOCAL AREA FIRE INSPECTOR. 6. ELEVATORS SHALL BE PROVIDED WITH PHASE I EMERGENCY RECALL OPERATION AND PHASE II EMERGENCY IN-CAR OPERATION.7. ALL ELEVATORS SHALL BE EQUIPPED TO OPERATE WITH A STANDARDIZED FIRE SERVICE ELEVATOR KEY IN ACCORDANCE WITH FIRE CODE 604.8. BUILDING CODE 3003.3 8. IN THE EVENT OF POWER SUPPLY FAILURE IN ROOMS, SPACES AND BUILDINGS THAT REQUIRE TWO OR MORE MEANS OF EGRESS, AN EMERGENCY ELECTRICAL SYSTEM FOR A DURATION OF NOT LESS THAN 90 MINUTES IN ACCORDANCE WITH THE PROVISIONS SET FORTH IN BUILDING CODE 1008.3. 9. THE MEANS OF EGRESS TRAVEL SHALL BE ILLUMINATED AT ANY TIME THE BUILDING IS OCCUPIED WITH A LIGHT INTENSITY OF NOT LESS THAN 1 FOOT-CANDLE AT THE FLOOR LEVEL. BUILDING CODE 1008.2.1.10. THE PATH OF EGRESS TRAVEL TO EXITS SHALL BE MARKED BY READILY VISIBLE EXIT SIGNS TO CLEARLY INDICATE THE DIRECTION OF EGRESS TRAVEL AS REQUIRED BY BUILDING CODE 1013.1; AND SHALL BE INTERNALLY OR EXTERNALLY ILLUMINATED AS REQUIRED BY SECTION 1013.3 AND 1013.5. NOTE: ADDITIONAL EXIT SIGNS MAY BE REQUIRED AT THE TIME OF FIELD INSPECTION .SITE PLAN LEGEND: ACCESSIBLE PATH OF TRAVEL PROPERTY LINE SCOPE OF WORK BUILDING FOOTPRINT HIGH IMPACT BOLLARD, REFERENCE STRUCTURAL FOR DETAIL DN 8.33%DN EXISTIN G TRUCK E X I T STORAGE ROOM (NIC) STORAGE ROOM (NIC) EXISTING TRUCK ENTRANCE OPEN TO LOADING DOCK BELOW PROPE R T Y L I N E FRONT YA R D EXISTING SIDEWALK ASSUMED PROPERTY LINE ASSUMED PROPERTY LINE ASSUMED PROPERTY LINE GRADE PLANE CALCULATION:(BASE LINE ELEVATION 4200')A: (73.5'+74.5')/2 X100.16' = 7,411.83'B: (74.5'+75.5')/2 X221.00' = 16,586.05'C: (75.6'+57.0')/2 X32.16' = 2132.20'D: (57.0'+55.0')/2 X21.66' = 1,212.96'E: (55.0'+58.6')/2 X69.66' = 3,956.68'F: (58.6'+55.2')/2 X134.16' = 7,633.70'G: (55.2'+55.7')/2 X134.50' = 7,458.02'H: (55.7'+52.0')/2 X46.50' = 2,504.02'I: (52.0'+56.1')/2 X52.33' = 2,828.43'J: (56.1'+73.5')/2 X83.00' = 5,378.40'TOTAL PERIMETER = 895.13'/57,102.2957102.29'/895.13'= 63.79'GRADE PLANE = 4263.79' A: (73.5'+74.5')/2 X100.16' = 7,411.83' 221.00' 100.16' B: (74.5'+75.5')/2 X221.00' = 16,586.05' C: (75.6'+57.0')/2 X32.16'= 2132.20' E: (55.0'+58.6')/2 X69.66' = 3,956.68' D: (57.0'+55.0')/2 X21.66' = 1,212.96' F: (58.6'+55.2')/2 X134.16' = 7,633.70' G: (55.2' + 5 5 . 7 ' ) / 2 X 1 3 4 . 5 0 ' = 7 , 4 5 8 . 0 2 ' H: (55.7'+52.0')/2 X46.50' = 2,504.02' I:(52.0'+56.1')/2 X52.33'= 2,828.43'J: (56.1'+7 3 . 5 ' ) / 2 X 8 3 . 0 0 ' = 5 , 3 7 8 . 4 0 ' 32.16'21.66' 69.66'134.16' 134.50' 46.50' 52.33' 83.00' SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BYDRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 8/4/2025 8 : 3 1 : 0 0 P M SITE PLAN A1.00 12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/32" = 1'-0"SITE PLAN1 NREFERENCETRUENORTH EXPANSION JOINT 1" = 40'-0"3 GRADE PLANE CALCULATION DIAGRAM PER UBC CHAPTER 202 PLAN NOTES NO. DATE REVISION04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #13 05/30/2025 Bulletin #35 08/01/2025 Bulletin #5 5 5 RBR - TEST TARGET (0.64FT VERT OFFSET)SHOT ON TOP OF REBAR5368710074258.85 WV5096eEJB50974263.28TSJ5098eEJB50994262.84WV5100irSBX5101irSBX5102foFOB5103TSJ5104SDI51054259.49 sdMSD - 4FTX2FT LID51094259.72sdMSD - 4FTX2FT LID51104259.42WV5111 sMS51124259.11 WV5113WV5114 TSJ5115 TSJ5116 sMS51194258.62 umMU - UTA51234258.10 TSJ5124 TSJ5125 jb jb N: 7449078.55E: 1528943.15 N: 7449035.28E: 1528942.89 N: 7449007.51E: 1528942.88 N: 7449006.34E: 1528959.79 N: 7449020.86E: 1528959.88 N: 7449006.86E: 1528950.86 N: 7449028.92E: 1528951.07 N: 7449058.21E: 1529006.34 N: 7449022.63E: 1529006.30 N: 7449003.50E: 1528967.31 N: 7448996.13E: 1528981.58 N: 7448998.91E: 1528983.85N: 7448988.99E: 1528959.12N: 7448988.23E: 1528951.67 N: 7449023.63E: 1528999.68 N: 7449057.99E: 1528970.45 N: 7449066.24E: 1528959.55 N: 7449066.45E: 1528951.74 N: 7449071.01E: 1528946.54 SITE PLAN LEGENDEXISTING PROPOSEDGATE, BOLLARD PAVEMENT STRIPING(SEE STRIPING & SIGNAGELEGEND) SIGNFENCE-BARBEDFENCE-DECORATIVECOLLECTING CURB &GUTTERSHEDDING CURB & GUTTERASPHALT PAVEMENTCONCRETE PAVEMENTPAVERSBUILDINGPROPERTY LINESSECTIONSSETBACKSSUBDIVISION BOUNDARYRIGHT OF WAYADJOINING PROPERTIESSAWCUTSTRUCTURESVEGETATIONSLOPE EDGESCENTERLINECUT LIMITFILL LIMITPARK STRIP LANDSCAPING SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. KEYED NOTESCONCRETE RAMP PAVEMENT SECTION PER DETAIL 2/CP501NOT USED6" WHITE SOLID PAINT6" YELLOW SOLID PAINTWHITE ARROW PAINTR1-2 YIELD SIGN18" WIDE RAISED CURB PER DETAIL 4/CP5.01NO PARKING CROSS HATCHING 4" 3' O.C. PAINTED WHITE RETAINING WALL NEW CONCRETE FLATWORK TO NEAREST JOINT PER DETAIL 12/C5.01 PATTERNED CONCRETE PER SLC STANDARDLANDSCAPING BY OTHERSTYPE P ISLAND CURB PER DETAIL 6/CP501INSTALL TRUNCATED DOMES PER ADA STANDARDSLOADING AREA CONCRETE PAVEMENT REPLACEMENT PER DETAIL3/CP501ASPHALT PAVEMENT SECTION REPLACEMENT PER DETAIL 1/CP501 123456789 10 111213141516 ---- | 0 2 : 5 1 P M F R I D A Y 0 7 M A R C H 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 2 . 0 1 S I T E . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C2.02 1 5 5 3 13 79 9 15' 14' 13' R0.5' R2.5' R14.0'13 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD CS/MM GN LA Phase 1 Permit Set 03/07/2025 1.1 03/07/2025 Phase 1 Permit Set SITE PLAN 9 9 3 3 R10.0' 7 R1.8' CONSTRUCTION BOUNDARY YIELD 6 C2.01 5' 3' 14 14 14 14 R27.1' 32' 43' R28.3' 13 R63.5' R84.0' R14.0' eeirir sdsds s jb jb 4257.93 TBC 4257.83 TBC 4258.2 EG 4273.00 BW 4275.86 TW 4258.00 BW 4261.00 BW 4261.00 BW 4258.97 TBC4259.07 TBC 4258.27 TBC4258.11 TBC 4258.44 TBC 4257.96 TBC 4260.32 TBC4258.66 TBC 4258.90 TBC 4259.85 TBC-1.93% -3.45% 4260 42704270 4262 4264 4266 4268 4270 4270 42704270 4260 4270 4258 4258 42624264 42664268 4272 42604259 4260 4259 4260 4258 4259 4261 4260 4270 4262 4264 4266 4268 42724258.60 TBC 4262.00 BW4260.00 BW 4264.00 BW 4261.00 BW 4258.63 TBC 4276.00 TW 4264.91 TW 4273.50 TW 4276.30 TW 4260.11 TW 4260.06 TBC 4273.44 TW 4269.93 BW 4261.00 BW ABBREVIATIONSEC EDGE OF CONCRETEEG EXISTING GRADEFFE FINISH FLOOR ELEVFG FINISH GRADEFL FLOW LINETBC TOP BACK OF CURBTC TOP OF CONCRETETOA TOP OF ASPHALTTW TOP OF WALLBW BOTTOM OF WALL GRADING PLAN LEGENDXXX.XXSPOT ELEVATIONSLOPE OF FINISH GRADECOLLECTING GUTTERSHEDDING GUTTERGRADE BREAKEX. MAJOR CONTOUREX. MINOR CONTOURMAJOR CONTOURMINOR CONTOURPROPERTY BOUNDARYSUBDIVISION BOUNDARYEASEMENT X.XX% 4201420042014200 SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. ---- | 1 1 : 2 4 A M M O N D A Y 0 7 A P R I L 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 4 . 0 1 G R A D I N G . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C4.02 RETAINING WALL RETAINING WALL C4.01SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD AM/MM GN LA Phase 2 Permit Set 04/07/2025 1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set GRADING PLAN ss irir ir sd e s jb jb jb jb 4257.4 EG 4262.24 TBC 4266.40 TW 4264.04 TBC 4267.81 TBC4275.90 TW 4275.84 TW 4265.49 TBC 4265.90 TBC 4270.06 TBC 4272.30 TBC 4273.64 TBC4273.04 TBC 4268.99 TBC 4266.72 TBC 4264.45 TBC 4260.74 TBC 4259.19 TBC 4258.45 TBC 4272.46 BW 4275.77 TW 4276.00 TW 4277.01 TW 4277.56 TW4275.71 TW 4274.24 TW 4272.39 TW 4270.39 TW 4268.39 TW 4264.37 TW 4271.26 TBC 4262.79 TW 4257.6 EG 4257.3 EG 4257.0 EG 4256.7 EG 4256.7 EG 4256.6 EG 4273.56 TBC4276.40 TW 4260.26 TOA 4262.02 TOA 4264.23 TOA 4266.50 TOA 4274.46 TOA 4271.05 TOA 4272.77 TOA -3.1 0 % -9.09 % -4.28% -9.09 % 4260 4270 4258 4258 42624264 42664268 4272 4260 427042704270 425842624264 42664268 427242724272 42744276 4260 4260 4270 4270 4256 4256 4256 4256 4258 42584262 4262 4264 4264 4266 4266 4268 4268 4272 4272 4274 4274 4276 4276 4260 4260 4258 4259 4261 4257.6 EG 4257.7 EG 4261.80 TW 4257.7 EG 4275.95 TW 4272.34 BW 4272.29 BW 4272.22 BW 4272.17 BW 4272.26 BW 4272.59 BW 4273.50 TC 4273.55 TC 4273.60 TC -2.25% -1.29% 4278.00 TW4273.0 EG 4256.7 EG 4258.00 BW4257.7 EG 4257.6 EG 4257.5 EG 4257.3 EG 4257.2 EG 4257.4 EG 4258.00 BW 4258.00 BW 4258.00 BW 4258.00 BW 4257.00 BW 4257.00 BW 4257.00 BW 4257.00 BW 4257.00 BW 4256.7 EG 4256.9 EG 4256.6 EG 4256.5 EG 4256.4 EG ABBREVIATIONSEC EDGE OF CONCRETEEG EXISTING GRADEFFE FINISH FLOOR ELEVFG FINISH GRADEFL FLOW LINETBC TOP BACK OF CURBTC TOP OF CONCRETETOA TOP OF ASPHALTTW TOP OF WALLBW BOTTOM OF WALL GRADING PLAN LEGENDXXX.XXSPOT ELEVATIONSLOPE OF FINISH GRADECOLLECTING GUTTERSHEDDING GUTTERGRADE BREAKEX. MAJOR CONTOUREX. MINOR CONTOURMAJOR CONTOURMINOR CONTOURPROPERTY BOUNDARYSUBDIVISION BOUNDARYEASEMENT X.XX% 4201420042014200 SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. ---- | 1 0 : 3 5 A M M O N D A Y 0 7 A P R I L 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 4 . 0 1 G R A D I N G . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C4.03 MATCHLINE SEE SHEET C4.01 ARENAFFE (FLOOR 3) = 4275.146 FT C4.02SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD AM/MM GN LA Phase 2 Permit Set 04/07/2025 1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set GRADING PLAN e e jb jb ejbjb jb jb jbjbjb jb jb jb jb e jb jbjb jbjb jb jbjbsdsdsdsd sdsd 4260 4260 4270 4270 4256 4256 4256 4256 4258 42584262 4262 4264 4264 4266 4266 4268 4268 4272 4272 4274 4274 4276 4276 4242 4244 4246 4248 4250 4260 424242444246 4248 4252 4254 4256 4258 4250 4248 4252 4254 4256 4256 ABBREVIATIONSEC EDGE OF CONCRETEEG EXISTING GRADEFFE FINISH FLOOR ELEVFG FINISH GRADEFL FLOW LINETBC TOP BACK OF CURBTC TOP OF CONCRETETOA TOP OF ASPHALTTW TOP OF WALLBW BOTTOM OF WALL GRADING PLAN LEGENDXXX.XXSPOT ELEVATIONSLOPE OF FINISH GRADECOLLECTING GUTTERSHEDDING GUTTERGRADE BREAKEX. MAJOR CONTOUREX. MINOR CONTOURMAJOR CONTOURMINOR CONTOURPROPERTY BOUNDARYSUBDIVISION BOUNDARYEASEMENT X.XX% 4201420042014200 SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. ---- | 1 0 : 3 6 A M M O N D A Y 0 7 A P R I L 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 4 . 0 1 G R A D I N G . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C4.02 ARENAFFE (FLOOR 3) = 4275.146 PARKING STRUCTUREBY OTHERSFFE (FLOOR 2) = 4274.00' C4.03SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD AM/MM GN LA Phase 2 Permit Set 04/07/2025 1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set GRADING PLAN NO WORK THIS SHEET 6" 6" 6" 5'-7" LANDSCAPE SEE LANDSCAPE DRAWINGS R 3' - 0" R 2 6' - 6" R 2' - 4" R 22 ' - 0" R 14' - 0" R 48' - 6" 18'-8 7/8" 2'-6" 7'-6" 1'-6" 3'-5" 3'-11" 2'-6" 1'-1 3/8" 6 3/8" 6" 6'-2" 10'-1" 58'-7 7/8" 59'- 9" 14 ' - 3 3 / 4 " 19'-6" R 32' - 0" R 60' - 8 1/2" R 48' - 6" 6'-7" PAVED AREA W/OUT SNOW MELTING SYSTEM SEE LANDSCAPE DRAWINGS PAVED AREA WITH SNOW MELTING SYSTEM SIDEWALK REFER TO CIVIL C2.01 SIDEWALK REFER TO CIVIL C2.01 SIDEWALK REFER TO CIVIL C2.01 LANDSCAPE SEE LANDSCAPE DRAWINGS LANDSCAPE SEE LANDSCAPE DRAWINGS LANDSCAPE SEE LANDSCAPE DRAWINGS NORTHWEST PLAZA [NIC] A5.02 5 A5.02 1 A5.01 8 SIM. 5'-6" 19'-6"7'-0" 24'-0 3/4" 3'-0" A5.01 5 SIM. 23'-3" 32'-4 7/8" 3'-0" 5' - 1 0 " 3' - 0 " 23 ' - 0 " 137.79 9'-11" 3'-0" 3'-0" R 50' - 0" R 41' - 0" 2'-6" R 52' - 3" RETAINING WALL SEE CIVIL DRAWINGS EXISTING ARENA STAIRS (NIC) 37 ' - 1 0 1 / 2 " 6 A8.03 6 A8.03 9 A8.03 PR O P E R T Y L I N E CONCRETE RETAINING WALL, SEE CIVIL DRAWINGS EXISTING ARENA STAIRS (NIC) GA T E W A Y A B O V E 1'-0" 7'-6" ENTRY GATEWAY ABOVE SEE: A8.03 2' - 6 " 4'-5" SIDEWALK REFER TO CIVIL C2.01 DRAWINGS 4'-0" 2'-0" 1'-6" 6'-4" 8'-0" 1'-7" WATERPROOFING SYSTEM SEE CIVIL DRAWINGS. NOTE: FLOOR ELEVATIONS AND TOP OF WALL ELEVATIONS SEE CIVIL C401, C402, & C403. 3.7 11.1 11.1 5.8 3.11 11.6 11.1 5.8 11.6 3.11 3.11 11.4 1'-6" 11.4 3.11 5.8 9.2 10.1 10.1 5.19 5.19 10.10 A8.037 A8.038 3.11 6'-6" 13'-0" 6'-6" 6'-6" 1'-4" 10'-0" 2'-6" 2'-6" 8'-9" 7'-5 3/4" 2'-6" 5'-8 1/4" 1'-6" 8'-6" 1'-6" 6'-0 1/4"10'-0" 10'-0" 10.16 10.16 10.16 2'-6"4'-8 1/2" 5'-6" 6'-0" 17'-6" 3'-6" 6'-0" 3'-5" 4'-6" 4'-6" PAVED AREA WITH SNOW MELTING SYSTEM PAVED AREA WITH SNOW MELTING SYSTEM1'-6" 1'-6" A8.04 2 4'-6"4'-6"4'-6" GUARD BOOTH 4 4 3'-0" Ø, CENTERED ON ENTRY PORTAL PILASTER/COLUMN ENTRY PORTAL FOUNDATION PER 9/G S4.10. GC TO COORDINATE WITH ENTRY PORTAL DELEGATED DESIGNER PRIOR TO PROCUREMENT PLACEMENT OF FOUNDATION MATERIAL. 3'-0" Ø, CENTERED ON ENTRY PORTAL PILASTER/COLUMN ENTRY PORTAL FOUNDATION PER 9/G S4.10. GC TO COORDINATE WITH ENTRY PORTAL DELEGATED DESIGNER PRIOR TO PROCUREMENT PLACEMENT OF FOUNDATION MATERIAL. 4 4 17'-8" 11'-1 1" 12'-3 " 7/ 2 / 2 0 2 5 7 : 5 3 : 0 7 A M 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 1/4" = 1'-0"1 CONTROLS - 1 1 3 0" 17'-6 " 17' - 6 " 17 ' - 6 " 18'-8 7/8" 2'-6" 7'-6" 1'-6" 3'-5" 3'-11" 2'-6" 58'-7 7/8" 3'-0" 32'-4 7/8" 3'-0" 7'-6" 6'-4" 11.1 1 10.1 5.19 6'-6" 6'-0 1/ 4" 10'-0" 10.16 10.16 3P E9EDPF 0" 0" 0" 0" 0" 0" 0" 0" 0" 0" Pending "Master Development Agreement" 07/02/2025 Corner of the retaining wall Corner of the Guard Booth Retaining Wall End of the Street Retaining Wall 3.11 11.15.8 10.1 5.19 3.2 5.811.1 10.1 3.11 5.19 5.8 5.19 10.110.1 11.111.4 5.83.11 11.1 11.4 3.2 3.11 3.14 EXIT LANE (2) EXIT LANE (3) ENTRYLANE (1) 5.19 5.19 10.1 11.1 3.11 3.113.2 5.19 ENTRYLANE (1)EXITLANE (2)EXITLANE (3) PARKING GATEWAY - ISOMETRIC2 PARKING GATEWAY - EXIT POV1 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 5/19/2025 3 : 0 4 : 1 6 P M ENTRANCEGATEWAY DETAILS A8.03 Phase 2 Permit Set02/17/25 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA/YC SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/4" = 1'-0"SECTION - GATEWAY ENTRANCE9 1/4" = 1'-0"SECTION - GATEWAY EXIT6 Key Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.013.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.10.1 OVERHEAD VEHICLE ENTRY/EXIT BARRIER BAR - REFER TO A9.1111.1 BARRIER GATE WITH GATE ARMS, TYP.11.4 EXIT STATION, TYP. 1/4" = 1'-0"GATEWAY EXIT7 1/4" = 1'-0"GATEWAY ENTRANCE8 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set2 05/19/2025 Bulletin #2 2 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BYDRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 7/14/2025 8 : 2 6 : 5 6 P M AXONOMETRICS A1.04 Bulletin 412 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP AXONOMETRIC VIEW - EAST1AXONOMETRIC VIEW - SOUTH3 AXONOMETRIC VIEW - WEST4 AXONOMETRIC VIEW - NORTH2 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #5 5 RAMP UP EXISTING VEHICULAR RAMP TO REMAIN RAMP EXISTING VEHICULAR RAMP TO R EMAIN 6" 1A3.05 1A3.07 A3.011 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9 G.7 G.9 1A3.06 10.38% 5.14 5.15 5.1421.2 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 A4.081 ARENA STAIR [NIC] TRASH ROOM [NIC] EXISTING TRANSFORMER EXISTING TRANSFORMER EXISTING TRANSFORMER LOADING AREA UNDER EXISTING ARENA [NIC]LOADING AREA UNDER NEW PLARKING STRUCTURE G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L G.C G.Q 1A3.08 T A4 22'-6"22'-6"27'-9"21'-0"35'-4 1/2"4'-3" 7'-4 1/2" 11'-7 1/2" 8'-5 1/2" 3'-2"30'-0" 51'-8" 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 18'-0" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 10'-6" 194'-0"5'-0" 272'-2" ARENA GRID LINEVERIFY IN FIELD ARENA GRID LINEVERIFY IN FIELD ARENA G R I D L I N E VERIFY I N F I E L D ARENA G R I D L I N E VERIFY IN F I E L D STAIR #3101 5.15 5.14 5.14 43.37' 43.37' 45.37' 44.02' 39.42' 39.42' 45.37' 5.14 5.14 5.14 5.14 5.14 2'-9 1/2 " EXISTING PLAYOFF PRESS CONFERENCE [NIC] ELEVATOR PIT ABOVE, 28'-8" HEADROOM CLEARANCE SEE SHEET 1/A4.05 CONCRETE FLOOR TO BE PARTIALLY REPAIRED UP 7.88% ELECTRICAL ROOM (NIC) ICE ROOM(NIC) CONTRACTOR LABOR WAITING AREA(NIC)CORRIDOR(NIC) GENERATOR(NIC) SERVICE(NIC) SERVICE(NIC) SERVICE(NIC)CONTROL(NIC)CONTROL ROOM(NIC) TRUCK PARKING AREA(NIC) SERVICE(NIC) LOADING RAMP(NIC) TRUCK PARKING AREA(NIC) MECHANICAL ROOM(NIC) ELEVATOR #3 FOOTPRINT OF OPEN PARKING GARAGE ABOVE 21.1DSP DSP 01 A4.101 100 S N 400 W PROPERTY LINE PARKING STRUCTURE FOOTPRINT ABOVE 21.2FEC FOOTINGS BELOW GRADE SEE STRUCTURAL G.5.2 G.8.2 G.8.6 G.C.4 LIMIT OF SCOPE OF WORK EXISTING BUILDING TO REMAIN (NIC) LIMIT OF SCOPE OF WORK LIMIT OF SCOPE OF WORKEXISTING BOLLARDS TO REMAIN EXISTING BOLLARDS TO REMAIN WA4 4'-7" 4 ' - 7 " 4 ' - 7 " 4 ' - 7 " 16'-7" 12'-10" 4'-3" 4'-3" 4'-3" 6'-6" 4'-7" 4'-7" 4'-1 1/2" 3'-10" 3'-10" 3'-10" 1'-0" 3'-5" 3'-5" 9" 1'-7" 5.8 5.8 MAX. 2% SLOPE.MAX. 4.99% SLOPE IN DIRECTION OF TRAVEL MAX. 2% SLOPE WHERE DOOR TBD RELOCATED CATCH BASIN'S APPROX. NEW LOCATION CONC. OVERPOUR TO MAINTAIN 1% SLOPE TOWARD RELOCATED CATCH BASIN 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 14'-10" MINIMUM FOR TRUCK MANUEVERINGHEADROOM DIAGRAM TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/7/2025 2 : 1 2 : 2 3 P M PARKING PLAN -LOWER LEVEL B1(BASEMENT) A2.00 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 3/32" = 1'-0"PARKING PLAN - LOWER LEVEL B1 (BASEMENT)1 Key Value Keynote Text5.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.21.1 FIRE SPRINKLER RISER/STANDPIPE - REFER TO DETAIL 12/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02 NREFERENCETRUENORTH FOOTPRINT OF OPEN PARKING GARAGE ABOVE FOOTPRINT OF OPEN PARKING GARAGE ABOVE EXISTING WALL TO REMAIN EXISTING WALL TO REMAIN EXISTING WALL TO REMAIN EXISTING WALL TO REMAIN PARKING STRUCTURE FOOTPRINT NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UPUPUP DN UP RAMP U P6.62% RAMP D N 6.62%RAMP U P 6.62% 6" 6" UP 1A3.05 1A3.07 A3.031 7'-6" 8'-2" 10 @ 9'-0 " = 9 0 ' - 0 " 10 1/2"17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6" G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 3 1 1-16 1-9 10 1 13 1A-281B-35 1A3.06 2'-8 1/2"8'-6"2 @ 9'-0" = 18'-0"4 @ 8'-6" = 34'-0"17'-0 1/2"1 10'-0"2'-0"10'-0" OPEN TO BELOW 1C-7 22'-9" 24'-1" 18'-5" 1 2 5 1 ELEVATOR & STAIR #1 STAIR #2A4.0617 1/2" 10'-0" 2'-0" 10'-0" PEDESTRIAN BRIDGE TO ARENA OVERHEAD 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 18'-0" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" UP DN UP DNDNUP FEC FEC FEC 8" 5'-8" 6.82% 4'-5" 13'-1" 5'-4" 16'-9 1/2"23'-10"2 @ 8'-6" = 17'-0" 1'-4" 8" 18'-5" 2'-8 1/2" 8'-0" 8 ' - 0 " 9 ' - 6 " 10 @ 9'-4 " = 9 3 ' - 4 " 8'-0" 1 ' - 2 " 4 ' - 0 " 34'-4 1/2" 18'-4 1/2"4'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-0"8'-0"8'-0" 4'-0" 4'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 11'-1 1/2"6'-0"11'-9" 6'-0" 12'-1" 6'-0" 10'-5" 6'-0" 12'-0" 6'-0" 7 @ 9'-0" = 6 3 ' - 0 " 3'-4" 18'-5" 24'-0" 10'-10" 3 @ 9'-0" = 2 7 ' - 0 " 8" 24'-1" A3.021 A3.041 22.2 21.2 5.14 5.14 5.14 5.15 5.14 5.15 5.14 5.15 5.5 5.5 ELEV. #2 ELEV. #1 1'-0" 7'-4 1/2" 5'-6" 5'-6" 5'-6" 5'-6" 5'-6" 5'-6" 1'-3" 1'-3" 1'-0" 5'-1" 12A1.06 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 2A4.17 1A6.06 ARENA STORAGE ROOM BELOW [NIC] R 14' - 9"R 14' - 11 1/2" A4.165 G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A421'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2"121'-3" 210'-0" ARENA GR I D L I N E ARENA GRID LINE 1'-3 1/2" 2'-0" 2'-0" ELECTRICALROOM102 FOR BRIDGE CONNECTION, SEE SHEET A4.15 ARENA [NIC] A4.171 FOR GUARD BOOTH, SEE SHEET A8.04 FIRE RISERROOM103UTILITY ROOM104 5.5 5.5 STAIR #3101 PROJECT DATUM: ELEV. 4200 = ELEV. 0 9.29.2 9.2 9.2 9.2 74.00' 74.00'74.00'74.50'74.00' 74.00' 79.96' 79.96'79.96' 79.96'1A0.03 5.8 5.155.14 5.155.14 5.14 9.10 A5.017 5.14 5.14 5.14 5.15 9.10 9.10 9.6 9.6 9.10 9.10 9.10 A5.115 WA5 WA1 WB2 WC2 WA1 WB1 WA4 WA2 WB1 22.2 15'-4 1/2 " ELEVATOR #3 ROOF DECK 1'-1" 6'-5" 5 ' - 3 " 1 ' - 3 " 9 1/2" 5'-3" 4'-6" 4'-6" 5'-3"ASSUMED P R O P E R T Y L I N E 2'-10" 18'-6" 9'-6 1/2" 2'-1" A4.102 02 05 03 04 10 11 17'-6" 17'-6" 17'-6" WA5 10" 8'-0" 10'-0" PROPERTY LINE G.5.2 G.8.2 G.8.6 21.1 5.2 21.1 07 3'-7 1/2" 6'-1 1/2" 6'-3 1/2" 06 09 4'-2" SEE SHEET A8.02 FOR CONTINUATION REFER TO A 2.02A FOR LOADING DOCK COVER 5'-0" 4'-6" 5'-0" 1 WA1WC2 WB2 WB2 WB2 WA2 WA3 WB1 WA4WA4 WA1 2'-3 1/2"2'-3 1/2" EXISTING VEHICLE RAMP BELOW EXISTING VEHICLE RAMP BELOW ø 5'-0" 18'-6"10'-8"11'-0 1/2" 07 79.96' 79.96' 79.96' A4.085 A4.012 A4.166 2 22.12 22.12 WC1 1 1 1 1 1 75.79' 78.17'81.75' 79.96' 74.00' 1 1 74.00' 74.00' 73.00' 74.80' 77.18'80.75' 78.96' 84.12' 74.00' 1 3 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD OR HIGH IMPACT BOLLARD, SEE ORDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.015/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 10/A7.02 G.5G.4 G.9G.D G.FG.G G.NG.O G.E G.HG.IG.JG.KG.LG.M G.P G.7.5G.5.5G.6 G.8HEADROOM DIAGRAM LEGEND8'-2" MIN. HEADROOM AT ACCESSIBLE PARKING ROUTES LEADING TO AND FROM VAN ACCESSIBLE SPACES AND THE SPACE ITSELF.ALL OTHER AREAS WHERE CARS MAY PARK OR CIRCULATE AND PEDESTRAIN MAY TRAVEL WITHIN THE PARKING LEVELS MUST HAVE 7'-0" MIN. CLEAR HEADROOM. SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 5/30/2025 4 : 1 3 : 4 6 P M PARKING PLAN -LEVEL 1 A2.01 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 11 Key Value Keynote Text5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02,8/A7.02 - REFER TO STRUCTURAL DWGS.5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.1 FIRE SPRINKLER RISER/STANDPIPE - REFER TO DETAIL 12/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #13 05/30/2025 Bulletin #3 UP DN UP DN RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N6.62% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 14 2A-312B-35 1-9 1-16 1 5 1 4 1A3.06 17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-10 1/2" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 1'-2 1/2 " 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0"3'-4 1/2"15'-0" 3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"2'-10"18'-4 1/2" A4.013ELEVATOR & STAIR #1 STAIR #2A4.062 1B- FEC UPDN UPDN FIRE RISERROOM201 9 @ 9'-0 " = 8 1 ' - 0 " 91.42' 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0" 10'-10" 6'-0" 12'-0" 23'-6" 11" 10'-11" 6'-0" 12'-0" 6'-0" 3'-5" 3'-4"3'-4 1/2" 6'-0"11'-9"6'-0" A3.021 A3.041 5.15 5.14 5.145.155.145.15 5.14 9.2 22.2 21.2 9.2 9.2 22.2 9.2 ELEV. #2 ELEV. #1 A3.011 7.3 12A1.06 A4.181 2'-8" 4 ' - 6 " 4'-6" 4'-6" 4'-6" 34'-4 1/2" 9'-2" 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 1'-4" 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 2A4.17 1A6.06 A4.086 ARENA LOBBY RAMP [NIC] ARENA STAIR [NIC] ARENA GARAGE [NIC] ARENA EMPLOYEE LOBBY [NIC] 1'-0" R 14' - 9"R 14' - 9" 2'-0" R 14' - 8 1/2"R 14' - 8 1/2" 1'-0" 1'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" ARENA G R I D L I N E , VERIFY I N F I E L D ARENA GRID LINE, VERIFY IN FIELD 4'-0" FEC FEC A2.02A1 UP DN UP DN 5.55.5 5.5 PROJECT DATUM: ELEV. 4200 = ELEV. 0 9.2 9.2 79.96' 90.96' 91.41' 89.92' 89.92'89.92' 89.31' 87.11' 89.92' 82.47'93.84' 21.2 5.5 5.8 5.15 5.15 5.14 5.14 5.14 5.14 9.69.10 9.10 5.8 9.10 9.10 5.14 5.14 5.14 9.10 9.10 9.10 9.10 9.10 9.10 9.10 1'-2" WA1 WA1 WB1 WA1 WA4 WC1 12 NEW ELEVATOR ASSUMED P R O P E R T Y L I N E 2'-10" 5'-6" 5'-6" 8'-5"9'-2" 1 A4.103 13 STORAGE AREA BELOW(NIC) 8'-0" PROPERTY LINE STORAGE AREA BELOW(NIC) SEE SEPARATE PERMIT FOR DOORS AND WALLS AT ARENA CONNECTION POINT 3" 2'-0"4'-0" 2'-0" 2'-0"4'-0" G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2"4" LOADING DOCK COVER 2.49% 1.60% WA4 WA4 WA1 WA2 WA3 WA4 WC1 WC1 WC1 WC1 WC1 WC1 CC1 FD1 FD1 9" 16'-3" A7.019 5'-3" 1A4.199A4.18 31'-3"11'-0" 11'-3 1/2" 38'-11" 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 8 : 2 1 P M PARKING PLAN -LEVEL 2 A2.02 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 21 Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.7.3 ELASTOMERIC COATING OVER ROOM BELOW - SEE SPECIFICATION9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS. NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN 1A7-110.PH3 RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 3A-333B-35 1-9 1-16 1 5 1 4 1A3.06 A4.014ELEVATOR & STAIR #1 STAIR #2A4.063 2B- FEC UP DN UP DNUPDN UPDN FIRE RISERROOM302 PEDESTRIAN BRIDGE TO ARENA 16 @ 9'-0 " = 1 4 4 ' - 0 " 18'-4 1/2" 3'-0" 3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6" 2'-10" 18'-4 1/2" 3'-4 1/2 " 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-4 1/2"3'-4" 3'-5" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 9 @ 9'-0 " = 8 1 ' - 0 " 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 16'-11" 12'-0" 6'-0" 18'-4" 10'-10" 6'-0" 12'-0" 6'-0" A3.021 A3.041 9.2 9.2 5.5 9.2 9.2 22.2 21.2 9.2 5.15 5.14 5.1421.222.2 5.14 5.15 5.155.145.15 ELEV. #2 ELEV.#12A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA LOBBY RAMP [NIC] ARENA EMPLOYEE LOBBY [NIC] ARENA FIRST AID [NIC] 1'-0" R 14' - 9"R 14' - 9" 2'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" A3.011 ARENA G R I D L I N E , VERIFY I N F I E L D ARENA GRID LINE,VERIFY IN FIELD ELECTRICALROOM301 A4.184 10'-6" 2" 5.5 5.55.5 PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 9.2 95.96'95.96' 96.42' 97.61' 99.81' 101.46' 100.19' 101.46' 94.46' 102.96' 104.38' 93.92' FEC 5.145.15 FEC 9.10 9.10 9.10 9.10 9.10 9.10 5.15 5.14 5.14 5.14 5.14 5.15 5.14 9.10 5.14 5.14 5.8 5.8 9.10 9.10 9.10 9.10 9.10 WA1 WA4 WD1 WA1 WB1 ASSUMED P R O P E R T Y L I N E 2'-10" 4'-0"2'-0" 4'-0" 4'-6" 4 ' - 6 " 4 ' - 6 " 4 ' - 6 " 2 ' - 8 " 3'-7 1/2" 5'-8 1/2" 5'-8 1/2" 15'-0"PROPERTY LINE 15 14 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 4" WB1 WB1 WA3 WA2 WD1 WA1 WA1 WA1 WA1 WA1 ? WA1 WA1 FD1 FD1 9'-4 1/2" A7.019 5'-3" 10'-9 1/2"7'-2" 22.12 22.12 1A4.199A4.18 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX 1/8" = 1'-0"PARKING PLAN - LEVEL 31 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 8 : 5 4 P M PARKING PLAN -LEVEL 3 A2.03 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN DN UP RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 4A-334B-35 1-9 1-16 1 5 1 4 1A3.06 17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-10 1/2" A4.015ELEVATOR & STAIR #1 STAIR #2A4.064 3B- FEC UP DN UP DNUPDN UPDN FIRE RISERROOM401 18'-4" 3'-5" 16 @ 9'-0 " = 1 4 4 ' - 0 " 18'-5" 18'-4 1/2"3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"2'-10"18'-4 1/2" 3'-5" 3'-4 1/2"3'-4" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 9 @ 9'-0 " = 8 1 ' - 0 " 6'-0"11'-9"6'-0"18'-4 1/2"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 10'-10" 6'-0" 12'-0" 6'-0" 6'-0" 12'-0" 6'-0" 10'-11" A3.021 A3.041 9.2 22.221.25.15 9.2 9.2 5.15 5.14 9.10 9.2 5.155.145.15 22.2 9.2 5.14 7.3 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 6'-9 1/2" 18'-4" 5'-4 1/2" 8 ' - 0 " 8'-6" 8 ' - 6 " 13 @ 9'- 0 " = 1 1 7 ' - 0 " 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] ARENA STAIR [NIC] 5.5 2'-0" 1'-0" 1'-0" R 14' - 8 1/2"R 14' - 8 1/2" 2'-0" R 14' - 9"R 14' - 9" 5.2 G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" A3.011 ARENA G R I D L I N E , VERIFY I N F I E L D ARENA GRID LINE,VERIFY IN FIELD 1'-0" 3'-6" 5.5 5.55.5 5'-6" 5 ' - 6 " 4 ' - 2 " 15'-0" PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 9.2 106.46' 106.46' 108.11' 110.31' 111.96' 111.96' 113.46' 104.96' 106.46' 114.88' 104.43' 5.15 5.14 5.15 5.155.14 5.14 5.14 5.155.15 21.2 FEC FEC 5.14 5.14 5.14 5.14 5.8 5.8 9.10 9.10 9.10 9.10 9.10 9.10 9.6 9.6 9.10 9.10 9.10 WA1 WA1 WB1 WA4WA1 ELEV. #2 ELEV. #1 2'-10" ASSUMED P R O P E R T Y L I N E 4'-0"2'-0" 4'-0" 4'-0" 5'-2" 7'-2" PROPERTY LINE 16 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2"4" WA1 WA4 WA2 WA3 WA2 22.12 22.12 1A4.19 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALL WD3 12" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 9 : 2 4 P M PARKING PLAN -LEVEL 4 A2.04 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 41 Key Value Keynote Text5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02,8/A7.02 - REFER TO STRUCTURAL DWGS.5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.7.3 ELASTOMERIC COATING OVER ROOM BELOW - SEE SPECIFICATION9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 5A-335B-35 1-9 1-16 1 5 1 4 1A3.06 10 1/2"17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-10 1/2" A4.016ELEVATOR & STAIR #1 STAIR #2A4.065 4B- FEC UP DN UP DNUPDN UPDN FIRE RISERROOM502 121.92' 16 @ 9'-0 " = 1 4 4 ' - 0 " 18'-5" 18'-4 1/2"3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6" 2'-10" 18'-4 1/2" 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-5" 3'-4 1/2" 3'-4 1/2" 11" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 9 @ 9'-0 " = 8 1 ' - 0 " 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0" 12'-0" 6'-0" 10'-11" 18'-5" 6'-0" 12'-0" 6'-0" 10'-10" 2'-0" 2'-0" A3.021 A3.041 5.15 5.14 5.14 9.2 22.2 21.2 5.14 5.14 22.221.2 9.2 9.2 9.2 9.2 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 5'-4 1/2" 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] R 14' - 8 1/2"R 14' - 8 1/2" R 14' - 9"R 14' - 9" 1'-0" 1'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 A3.011 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" ARENA G R I D L I N E , VERIFY IN F I E L D ELECTRICALROOM501 5.55.5 5.5 2" 10'-6" PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 9.2 116.96'116.96' 117.42' 118.61' 120.81' 122.46' 122.46' 123.96' 115.46' 125.34' 114.93' 116.43' 5.8 5.8 122.92' 5.15 5.15 5.15 5.14 5.14 5.14 5.14 5.14 5.145.15 5.15 5.149.10 9.10 9.10 9.10 9.109.10 WA1 WA1 WB1 WA1 WA4 WB1 ELEV. #2 ELEV. #1 2'-10" ASSUMED P R O P E R T Y L I N E 4'-0" 4'-0" 2'-0" 4'-0" PROPERTY LINE 7'-2" 18 17 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3"7'-4 1/2"11'-7 1/2"8'-5 1/2"3'-2"2'-10"16'-11 1/2"10'-2 1/2"5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2"4" WB1 WB1 WB1 WA2 WA2 WA3 ARENA GRID LINE, VERIFY IN FIELD 22.12 22.12 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX 1/8" = 1'-0"PARKING PLAN - LEVEL 51 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 9 : 5 3 P M PARKING PLAN -LEVEL 5 A2.05 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN RAMP U P 6.11% RAMP D N 6.11%RAMP U P5.56% RAMP DN5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 6A-336B-35 1-9 1-16 1 5 1 4 1A3.06 11"17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-11" A4.021ELEVATOR & STAIR #1 STAIR #2A4.066 5B- T.D. UP DN UP DNUPDN UPDN FIRE RISERROOM602 132.42' 126.92' 16 @ 9'-0" = 1 4 4 ' - 0 " 18'-4 1/2"3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"2'-10" 16 @ 9'-0" = 1 4 4 ' - 0 " 3'-5"3'-4 1/2" 3'-4 1/2"3'-4" 17'-6" 34'-10" 9 @ 9'-0" = 8 1 ' - 0 " 34'-11" 17'-6" 10" 9 @ 9'-0" = 8 1 ' - 0 " 6'-0" 12'-0" 16'-11"6'-0"11'-9"6'-0"18'-5"6'-0"11'-9"6'-0" 18'-4 1/2"6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 10'-10" 6'-0" 12'-0" 6'-0" A3.021 A3.041 5.15 5.15 9.2 21.2 9.2 9.2 9.2 9.2 22.2 9.2 5.15 5.15 5.15 EDGE OF FLOOR ABOVE 7.3 20'-6" 6'-11" 32'-4 1/2" 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] R 14' - 9"R 14' - 9" 2'-0" 1'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.K G.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" A3.011 ARENA G R I D L I N E , VERIFY I N F I E L D ELEVATORMACHINEROOM601 5.5 5.5 5.5 5.5 5.5 5.5 5'-3" PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 127.46'127.46' 127.92' 129.11' 131.31' 132.96' 132.96' 132.96' 134.46' 125.96' 135.85' 125.45' 5.8 5.8 5.15 5.15 5.15 5.15 9.6 9.10 9.10 9.10 9.10 9.10 9.10 WA1 WA4 WA4 WA1 WA1 WB1 ELEV. #2 ELEV. #1 ASSUME D P R O P E R T Y L I N E 2'-10" 4'-0"4'-0" 2'-0" 4'-0"2'-2" 7" PROPERTY LINE 20 19 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3"7'-4 1/2"11'-7 1/2"8'-5 1/2"3'-2"2'-10"16'-11 1/2"10'-2 1/2"5'-0"121'-3" 4" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2" WA2 WA4 WA4 WA3 WA2WA1 1'-2 15/16"1'-5" 5.12 ARENA GRID LINE, VERIFY IN FIELD 22.12 22.12 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR LE N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPE PAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 4 0 : 2 5 P M PARKING PLAN -LEVEL 6 A2.06 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 61 Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.7.3 ELASTOMERIC COATING OVER ROOM BELOW - SEE SPECIFICATION9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set DN DN RAMP U P6.11% RAMP D N 6.11% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 9 1 16 1 7A-33 1-9 1-16 1 5 1 4 1A3.06 11"17'-6"23'-9"17'-6" OPEN TO BELOW A4.022ELEVATOR & STAIR #1 STAIR #2A4.067 6B- 5 1 4 1 1 6 7B-11 FEC FEC FEC UP DN UP DN UPDN 137.42' 8 @ 9'-0" = 7 2 ' - 0 " 19'-5" 3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"3@ 8'-6" = 25'-6"3'-6" 4'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"1'-10" 3'-4 1/2" 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-4 1/2" 10'-10" 6'-0" 12'-0" 6'-0" 10'-11" 6'-0" 12'-0" 6'-0" 2'-0"6'-0"11'-9"6'-0"18'-5" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 9 @ 9'-0 " = 8 1 ' - 0 " A3.021 A3.041 3'-7 1/2"6 @ 9'-0" = 54'-0" 4'-4 1/2"17'-0"9.2 21.2 22.2 21.2 9.2 9.2 A3.011 1'-0" 3'-4 1/2"31'-9" 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] R 14' - 9"R 14' - 9" 2'-0" 1'-0" 4'-6" SNOW PILING AREA228 SQ. FT. SNOW PILING AREA133 SQ. FT G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" ARENA G R I D L I N E ARENA GRID LINE CANOPY ROOF ABOVE CANOPY ROOF ABOVE 5.5 5.55.5 5.5 5.5 PROJECT DATUM: ELEV. 4200 = ELEV. 0 9.2 137.96'137.96' 135.46' 143.46' 143.46' 143.46' 141.81' 139.61' 9.10 9.10 9.10 9.10 9.10 9.10 9.10 9.10 9.10 5.14 A5.017 9.10 9.10 WA1 WA4 WA1 WA1 WA4 9.2 ELEV. #2 ELEV. #1 ASSUMED P R O P E R T Y L I N E 2'-10" 22.2 A.D. R 14' - 8 1/2" O.D.+2" A.D.O.D.+2" G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2" 17'-6" WA3 WA2 WA1 WA2 WA3 WA1 1'-0 1/2"2" 1'-0" SNOW PILING AREA447 SQ. FT 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX 1/8" = 1'-0"PARKING PLAN - LEVEL 71 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 4 1 : 0 2 P M PARKING PLAN -LEVEL 7 A2.07 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS. NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set 6"1.NO VERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS .C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE .5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS.GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPEGRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPESTRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATIONSTEP SYMBOL AT CONCRETE CURBSEEPARKING BOLLARD OR HIGH IMPACT BOLLARD, SEE ORDETECTABLE WARNING / TRUCATED DOME, SEEDIAGONAL STRIPING, SEE A5.01 - A5.02CLEAR LENGTH OF PARKING SPACECLEAR WIDTH OF PARKING SPACEDELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEEFLOOR ELEVATION DATUM:4200.00'=00.00'6/A5.015/A7.028/A5.01ADARESERVEDIDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS1/A9.1310/A7.0221'-0"8'-0"19'-9"18'-0"9'-0"2'-9 1/2"15'-2 1/2"18'-0"4'-6"22'-6"27'-9"21'-0"22'-6"21'-0"35'-4 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2"30'-0"5'-0"121'-3"210'-0"ARENA GRID LINE,VERIFY IN FIELDARENA GRID LINE,VERIFY IN FIELD 2%2%2%2%2%2%PROJECT DATUM: ELEV. 4200 = ELEV. 0 137.96'137.96'139.61'141.81'158.04'158.04'143.46'21.221.2FECFEC ASSUMED PROPERTY LINE2'-10"ARENA (NIC)G.5.2 G.8.2 G.8.6CC1CC1CC1A7.019A7.019OPEN TO BELOW Keynote LegendKey Value Keynote Text21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02 1/8" = 1'-0"1 CANOPIES ROOF PLAN NREFERENCETRUENORTH SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTES3D LEVEL PLANPLAN NOTES WALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 2:14:30 PM CANOPIES ROOFPLANA2.0812 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EPNO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit SetCANOPY ABOVECANOPY BEAM ABOVE CANOPY COLUMNS SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 6/15/2025 1 1 : 5 2 : 1 7 P M AXONOMETRICS A1.04 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set ROOF CANOPIES 3D VIEW LOOKING EAST ROOF CANOPIES 3D VIEW LOOKING SOUTH ROOF CANOPIES 3D VIEW LOOKING FROM ELEVATOR LOBBY ROOF CANOPIES 3D VIEW LOOKING AT ELEVATOR LOBBY 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7159'-5"HIGH ROOF 159'-5"HIGH ROOFG.D G.E G.F G.G G.M G.N G.O10'-2"10'-10"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"116'-0 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.585'-5"2A6.023A6.021A6.032A6.03 3A6.06 2A6.06G.H G.I G.J G.KG.L G.QT149'-3"LOWER ROOF 149'-3"LOWER ROOFLOADING DOCK AREA 5.1464'-5"10'-2 1/2"20'-5"GRADE PLANE = 63'-9 1/2"74'-7 1/2"74'-7 1/2"5.14 5.5 5.5 5.155.14 5.55.55.5 5.155.155.155.15 5.145.85.8 5.145.5 5.145.12 5.163.14 3.14LOADING DOCK AREA5.12 5.1661.10'3.145.16 5.165.175.17 5.12 5.205.20 5.14 5.19STAIR #3STAIR #1 5.321.2 5.19 10'-2"5'-4"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"GRADE PLANE = 63'-9 1/2"GRADE PLANE = 63'-9 1/2"10.10WA15'-0"5'-6"5'-0"5'-6"5'-0"5'-6"5'-0"5'-6"5'-0"5'-6"5'-0"3'-6"OPENOPENOPENOPENOPENOPENOPENOPENOPEN 112'-1"2'-5 3/4" 5'-0"3'-6"3'-0 1/2"TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:31 PM BUILDINGELEVATIONSA3.0112 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"WEST ELEVATION1 Keynote LegendKey Value Keynote Text3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.10.10 BUILDING ADDRESS21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 1 74'-0"LEVEL 185'-11"LEVEL 2 85'-11"LEVEL 296'-5"LEVEL 3 96'-5"LEVEL 3106'-11"LEVEL 4 106'-11"LEVEL 4117'-5"LEVEL 5 117'-5"LEVEL 5127'-11"LEVEL 6 127'-11"LEVEL 6138'-5"LEVEL 7 138'-5"LEVEL 7G.1G.2G.5G.5.9G.7G.9 10'-10"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"1A6.042A6.04 1A6.06G.6G.7.9G.8 G.4G.7.5A4149'-3"LOWER ROOF 149'-3"LOWER ROOFLOADING DOCK AREA 5.14VERIFY IN FIELD38'-5"1'-5"3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0"8 1/2" TYP. 1" TYP.GRADE PLANE = 63'-9 1/2"10'-2 1/2"22'-1 1/2"74'-7 1/2"5.145.14 5.15 5.155.55.5 5.145.195.19GUARD BOOTH 3.143.14 5.125.12 LOADING DOCK AREA 3.14STORAGE (NIC)ASSUMED PROPERTY LINE2'-10"ARENA GRIDLINE VERIFY IN FIELD LOADING DOCK AREALOADING DOCK AREALOADING DOCK AREAARENA (NIC)ARENA (NIC)ARENA (NIC)ROOF DECKROOF DECKROOF DECK8.1STAIR #1 ENTRY/EXIT 20'-5"5.3 5.145.17 5.1721.2 5.16 5.20 100 S105'-10 1/2"30'-7 1/2"11'-11"10'-6"10'-6"10'-6"10'-6"10'-6"10'-10"105'-10 1/2"74'-7 1/2"5.20 5.165.215.17G.5.2G.8.2G.8.6GRADE PLANE = 63'-9 1/2"WA1 5'-0"OPENOPENOPENOPENOPENOPENVERIFY IN FIELD7'-11 1/4"8.5 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:36 PM BUILDINGELEVATIONSA3.0212 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"NORTH ELEVATION1 Keynote LegendKey Value Keynote Text3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.8.1 METAL ROLL DOWN GATE, SEE DETAILS A5.11.8.5 WOVEN WIRE FENCE DOOR - REFER TO DETAIL 8/A5.10.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7159'-5"HIGH ROOF G.P G.DG.EG.FG.GG.MG.NG.O 10'-2"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.515'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"1A6.053A6.05 G.HG.IG.JG.KG.L G.CG.Q T149'-3"LOWER ROOF PEDESTRIAN BRIDGE5.3 10'-2"74'-7 1/2"20'-5"5'-0"2'-5" 3'-6"5'-0"2'-5" 3'-1"5'-0"5'-0" 2'-0" 3'-1"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"3'-6"TYP.1"TYP.8 1/2"GRADE PLANE = 63'-9 1/2"5'-0" 4'-3"5.12 5.3 5.14 5.145.14 5.25.55.55.5 5.15 5.1421.25.5 GUARD BOOTH5.195.19 5.16 3.221.29.1 5.19 LOADING DOCK AREAELECTRICAL ROOM (NIC)ICE ROOM (NIC)LOADING DOCK AREALOADING DOCK AREA LOADING DOCK ENTRANCE RAMP TO LEVEL B13.143.14 3.13.14PARKING STRUCTURE ENTRY/EXIT AT LEVEL 17.53.1 5.115.17 5.175.20 5.125.12 105'-10 1/2"STAIR #2FIRE PUMP ROOM5.19 7.55.12 G.C.4GRADE PLANE = 63'-9 1/2"5.16 5.155.14WB1WA2WA4WC1 WA1WB14.1 3'-8 3/4" 5'-0" 4'-3"OPENOPENOPENOPENOPENOPEN13'-7"9A4.18 WC1WC1WA4 11WB1WB1 WC1TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:40 PM BUILDINGELEVATIONSA3.0312 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"EAST ELEVATION1 Keynote LegendKey Value Keynote Text3.1 CONCRETE COLUMN - REFER TO STRUCTURAL DWGS.3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.4.1 C.M.U. WALL5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.11 CANE DETECTION RAILING, REFER TO DETAIL 11/A4.135.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.7.5 EIFS SYSTEM WITH MOISTURE DRAINAGE.9.1 PORTLAND CEMENT PLASTERING SYSTEM WITH SMOOTH FINISH OVER METAL STUD FRAMING WALL, TYP.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #15 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 85'-11"LEVEL 2159'-5"HIGH ROOF G.1 G.5 G.5.9 G.7 G.915'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"79'-5 1/2"36'-7"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.5 1A6.012A6.013A6.01 1A6.06 G.6 G.7.9G.8G.3 G.4 G.7.5 A4149'-3"LOWER ROOF 5.14 VERIFY IN FIELD38'-8"5'-0"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"3'-6"3'-11 1/2"11'-6 1/2"GRADE PLANE = 63'-9 1/2"80'-1 1/2"20'-5"VERIFY IN FIELD26'-4"5.145.14 5.55.5 5.3 PEDESTRIAN BRIDGE7.5 5.193.14 3.15LOADING DOCK AREA 7.55.12 5.16 27'-0 1/2"2'-10"ASSUMED PROPERTY LINELOADING DOCK AREALOADING DOCK AREALOADING DOCK AREAROOF DECK LOADING DOCK AREALOADING DOCK AREA ROOF DECK ROOF DECK STORAGE (NIC)ARENA (NIC)ARENA (NIC)ARENA (NIC)ARENA GRID LINE VERIFY IN FIELD5.17 21.2 5.12N 400 W (NIC)(NIC)5.16 5.19STAIR #3 STAIR #15.153.14 5.16 5.215.15 5.16 G.5.2 G.8.2 G.8.6GRADE PLANE = 63'-9 1/2"10.10 WA1 WA2WB25'-0"OPENOPENOPENOPENOPENOPEN078.56A5.02 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:46 PM BUILDINGELEVATIONSA3.0412 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SOUTH ELEVATION1 Keynote LegendKey Value Keynote Text3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.3.15 CONCRETE SHEAR WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.7.5 EIFS SYSTEM WITH MOISTURE DRAINAGE.8.5 WOVEN WIRE FENCE DOOR - REFER TO DETAIL 8/A5.10.10.10 BUILDING ADDRESS21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 1 74'-0"LEVEL 185'-11"LEVEL 2 85'-11"LEVEL 296'-5"LEVEL 3 96'-5"LEVEL 3106'-11"LEVEL 4 106'-11"LEVEL 4117'-5"LEVEL 5 117'-5"LEVEL 5127'-11"LEVEL 6 127'-11"LEVEL 6138'-5"LEVEL 7 138'-5"LEVEL 7G.1 G.2 G.5 G.5.9 G.7 G.910'-10"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"105'-10 1/2"LEVEL 1LEVEL 2LEVEL 3LEVEL 4LEVEL 5LEVEL 5ALEVEL 5BLEVEL 6LEVEL 7143'-11"LEVEL 7.5 STORAGEG.6 G.7.9G.8G.3 G.4 G.7.5 A4149'-3"LOWER ROOF 149'-3"LOWER ROOF5.14 5.2 5.3GRADE PLANE = 63'-9 1/2"74'-7 1/2"VERIFY IN FIELD37'-3 1/2"VERIFY IN FIELD7'-9"15'-8 1/2"5.155.5 5.145.5 5.15 5.145.15CC1FA13.2 3.15 5.16LOADING DOCK AREAFC1FC1 5.12 LOADING DOCK AREALOADING DOCK AREA WA1 CONCOURSE(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)ASSUMED PROPERTY LINE2'-10"ARENA GRID LINE VERIFY IN FIELD (NIC)LOGE CLUB(NIC)TRUCKPARKINGAREAN 400 W LOADING DOCK RAMP ELEVATOR#35.19 (NIC)(NIC)ROOF DECKROOF DECK LOADING DOCK AREA 5.16 5.205.20 5.12 8.15.175.175.215.16 5.143.115.20 5.17 5.3STAIR #2G.5.2 G.8.2 G.8.6 GRADE PLANE = 63'-9 1/2"WA5 OPENOPENOPENOPENOPENOPEN WC15.191TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:50 PM BUILDING SECTIONSA3.0512 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - NORTH1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.013.15 CONCRETE SHEAR WALL - REFER TO STRUCTURAL DWGS.5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.8.1 METAL ROLL DOWN GATE, SEE DETAILS A5.11.PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #1 43'-4 1/2"LEVEL159'-5"HIGH ROOFG.2G.5G.5.9G.7G.9 15'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.5LOBBY RAMPVESTIBULELOBBYBOH G.6G.7.9G.8 G.3G.4G.7.5A4 GRADE PLANE = 63'-9 1/2"80'-1 1/2"11'-6 1/2" 3'-11 1/2"VERIFY IN FIELD37'-6 1/2"VERIFY IN FIELD14'-7 1/2"21'-4 1/2"5.3PEDESTRIAN BRIDGE 5.55.55.15 21.25.15 5.8 5.1521.25.25.3 5.8 5.15.11LOADING DOCK AREAFA1 CC1FB13.23.143.14 LOADING DOCK AREAFC1CC1ASSUMED PROPERTY LINE2'-10"ARENA GRIDLINE VERIFY IN FIELDCONCOURSELOGE CLUB STORAGE 5.145.19 5.165.221.2 5.20 100 S5.165.145.165.17 5.125.165.17(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)G.5.2G.8.2G.8.6(NIC)(NIC)VERIFY IN FIELD25'-8 3/4"STAIR #1 5.1613'-1 1/4"VERIFY IN FIELD27'-5 1/4"VERIFY IN FIELD12'-10"A4.188LEVEL 1100'-0"LEVEL 7209'-3 1/4"LEVEL 6195'-3 1/4"LEVEL 5B183'-1 1/2"LEVEL 5A170'-4 3/4"LEVEL 5158'-9 3/4"LEVEL 5A146'-9 3/4"LEVEL 3133'-1 3/4"LEVEL 2118'-8 3/4"MEZZANINE LEVEL112'-5 3/4"ROOF LEVEL237'-2"GRADE PLANE = 63'-9 1/2"GRADE PLANE = 63'-9 1/2"WA1FD1FD1WA4 WA4 OPENOPENOPENOPENOPENOPEN 5.118.5A4.191 5.19WC1 WC1WA4WC11 5.216A5.02TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:58 PM BUILDING SECTIONSA3.0612 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - SOUTH1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.1 MTL STAIRS WITH CONCRETE FILLED PAN TREADS AND LANDINGS AND WITH STL COATING SYSTEM, TYP. (UNDER DEFERREDSUBMITTAL)5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.11 CANE DETECTION RAILING, REFER TO DETAIL 11/A4.135.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.8.5 WOVEN WIRE FENCE DOOR - REFER TO DETAIL 8/A5.10.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #12 05/19/2025 Bulletin #22 43'-4 1/2"LEVEL 74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7159'-5"HIGH ROOF 159'-5"HIGH ROOFG.P G.DG.EG.FG.GG.MG.NG.O 5'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"95'-0 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.5 143'-11"LEVEL 7.55'-3 1/2"10'-2 1/2"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"64'-5"G.HG.IG.JG.KG.L T 149'-3"LOWER ROOF5.55.5 5.14 5.1421.2GRADE PLANE = 63'-9 1/2"74'-7 1/2"20'-8 1/2"5.5 5.85.35.15 5.155.3 5.8 5.55.5 5.15 5.145.145.125.145.195.3 21.23.14 5.16 FB1 21.2 3.113.2LOADING DOCK AREACC1 5.12WA15.17 5.20 3.145.175.17GRADE PLANE = 63'-9 1/2"WA1 FA1LOADING DOCK AREAEGRESS STAIR #3 STAIR #1OPENOPENOPENOPENOPENOPEN LOADING DOCK AREA01 5.8FC15'-0 3/4"3'-3 1/2"5'-0 3/4"5'-0 3/4"5'-0 3/4"5'-0 3/4"5'-0 3/4"10'-6 3/4"TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:11:04 PM BUILDING SECTIONSA3.0712 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - EAST RAMP1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.013.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7 159'-5"HIGH ROOF1A4.07 G.PG.D G.E G.F G.G G.M G.N G.O 79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.53A4.09G.H G.I G.J G.KG.L G.QT149'-3"LOWER ROOF UTILITY ROOM104 5.55.14 5.215'-8"19'-6"GRADE PLANE = 63'-9 1/2" 105'-10 1/2"15'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"74'-7 1/2"5.14 5.125.1 5.2 5.5 5.521.221.25.8 5.14 21.25.8 5.3FB15.12GUARD BOOTH 5.5 5.143.2 3.15 3.145.163.15 LOADING DOCK AREA WA1 FC1FC121.25.155'-4"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"STAIR #3STAIR #15.17 3.145.16 5.165.20ELEVATOR #3 5.193.147.5 5.12GRADE PLANE = 63'-9 1/2" GRADE PLANE = 63'-9 1/2" 81'-1"10.10WB2WA5WA5WA1OPENOPENOPENOPENOPENOPENOPENOPENOPEN9A4.18FC1 A5.026 10"TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:11:11 PM BUILDING SECTIONSA3.0801/30/2561 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE DA/YCSB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - WEST RAMP1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.3.15 CONCRETE SHEAR WALL - REFER TO STRUCTURAL DWGS.5.1 MTL STAIRS WITH CONCRETE FILLED PAN TREADS AND LANDINGS AND WITH STL COATING SYSTEM, TYP. (UNDER DEFERREDSUBMITTAL)5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.7.5 EIFS SYSTEM WITH MOISTURE DRAINAGE.10.10 BUILDING ADDRESS21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set3 05/30/2025 Bulletin #33 Materials specifications The materials listed below in this Exhibit B are approved for the façade and the loading dock area and Master Developer may select among them without such selection being considered to be a “modification” which would require any reconsideration or re-approval by the City pursuant to the provisions of Section 9 of the MDA SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 7/18/2025 3 : 4 4 : 1 4 P M MATERIAL BOARD A3.01.1 15/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E MS SB 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 EP NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #5 3. 2. 1. 6. 10. 12. 5. 4. 11. 4.NATURAL GRAY MEDIUM BROOM FINISH CONCRETE 5. NATURAL GRAY CAST IN PLACE FORMED SMOOTH CONCRETE 13. SALIX PURPUREA 'NANA' 9.8. 7. 1.SATIN FINISH NON-REFLETIVE PERFORATED ALUMINUM PANEL WITH 40% TO 60% OPENESS RATIO 3.SATIN FINISH NON-REFLETIVE PERFORATED ALUMINUM PANEL WITH 20% TO 30% OPENESS RATIO 2.POWDER COATED GRAY WOVEN WIRE MESH WITH 1 1/2" X 1 1/2" OPENING 6. NON-REFLECTIVE GALVANIZED METAL CANOPY DECK OVER HIGH PERFORMANCE PAINTED GRAY STEEL COLUMNS & BEAMS 8. RHUS AROMATICA 'GROW-LOW' 10. TINY WINE NINEBARK 9. CALAMAGROTIS ACUTIFLORA 7. ULMUS PARVIFOLIA 11. PRUNUS CISTENA 12. JUNIPERUS HORIZONTALIS 13. 5 3. 1. 7. 8.9.105. 13 2. 1112 Vitraplate Perforated Aluminum Panels Addie McNamara 1420 500 W Salt Lake City, UT 84115 Dear Addie, Here are some samples of perforated metal for consideration and visioning of the Delta Center Parking Structure project. I’ve been working with Saeed at Walter P Moore and he requested that I send a variety of samples to you for review. I represent Valmont, who specializes in custom metal garage screen solutions. You will also be receiving a set of samples from Valmont direct which include perforated samples in the 25-40% range as well as some wire mesh solutions for the portion of the project which requires a more open design. I have also included some data sheets on a variety of patterns which are our most economical to produce due to the efficiency of the patterns when it comes to fabrication. I understand budget is in play here so thought it might be helpful to provide this information as well. We have many solutions beyond the samples which have been provided but expect this to be a good starting point as you continue to work through material types, patterns, profiles, etc. to determine the best solution for your project. We look forward to continuing to support you and the project team as this continues to progress. Thanks! Sincerely, Jamie Benson Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7889 09/19 Applications: Sun Screens, Cladding, Facades, Ceiling Tiles Attachment Methods: The Atmosphere System from the Valmont® Structures Architectural Facades product line or Screw Fastened (Use isolators LF11.0 from the Architectural Facades product line) Extras Notes: Other materials and thickness can be manufactured upon request. * OA and Weight calculations are based on .12in (3.0mm) aluminum. Material Finish Open Area* Stock Status Max. Width Max. Length Weight* Thickness Aluminum Powder Coated or Anodized 30% Custom Made 60” 16’ 4” 1.1674 lb/ft² 0.125” Profile Apollo 300 or R03230 Architectural Facades Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Applications: Facades, Decorative Panels, Ceiling Tiles, Cladding Attachment Methods: The Atmosphere System from the Valmont® Structures Architectural Facades product line or Screw Fastened (Use isolators LF11.0 from the Architectural Facades product line.) Extras Notes: Other materials and thickness can be manufactured upon request. * OA and Weight calculations are based on .12in (3.0mm) aluminum. Material Finish Open Area* Stock Status Max. Width Max. Length Weight* Thickness Aluminum Powder Coated or Anodized 40% Custom Made 60” 16’ 4” 1.0036 lb/ft² 0.125” Profile Eclipse 600 or R06440 Architectural Facades Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7894 09/19 Applications: Decorative Panels, Cladding, Facades, Ceiling Tiles Attachment Methods: Screw Fastened or Tensile Cable Extras Notes: Folding of sides recommended for rigidity and to maintain flatness. Other materials and thickness can be manufactured upon request. * OA and Weight calculations are based on 0.12 (3.0mm) aluminum. Material Finish Open Area* Stock Status Max. Width Max. Length Weight* Thickness Aluminum Anodized, Powder Coated 49% Stock / Custom Made 60” 16’ 4” 0.8397 lb/ft² 0.125” Profile Titan 120 or R12749 Architectural Facades * Typical Architectural Facade Installation Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7905 09/19 Applications: Facades, Parking Garage Screens, Cladding Attachment Methods: The Atmosphere System from the Valmont® Structures Architectural Facades product line or Screw Fastened (Use isolators LF11.0 from the Architectural Facades product line.) Extras Notes: Other materials and thickness can be manufactured upon request. * OA and Weight calculations are based on .12in (3.0mm) aluminum. Material Finish Open Area* Stock Status Max. Width Max. Length Weight* Thickness Aluminum Powder Coated or Anodized 51% Custom Made 60” 16’ 4” 0.8193 lb/ft² 0.125” Profile Titan 190 or R19151 Architectural Facades Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7906 09/19 Applications: Parking Garage Screens, Cladding, Facades Attachment Methods: The Atmosphere System from the Valmont® Structures Architectural Facades product line or Screw Fastened (Use isolators LF11.0 from the Architectural Facades product line.) Extras Notes: Other materials and thickness can be manufactured upon request. * OA and Weight calculations are based on .12in (3.0mm) aluminum. Material Finish Open Area* Stock Status Max. Width Max. Length Weight* Thickness Aluminum Powder Coated or Anodized 62% Custom Made 60” 16’ 4” 0.6349 lb/ft² 0.125” Profile Clarity 800 or R07962 Architectural Facades Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7892 09/19 Applications: Facades, Decorative Panels, Ceiling Tiles, Cladding Attachment Methods: The Atmosphere System from the Valmont® Structures Architectural Facades product line or Screw Fastened (Use isolators LF11.0 from the Architectural Facades product line.) Extras Notes: Other materials and thickness can be manufactured upon request. * OA and Weight calculations are based on .12in (3.0mm) aluminum. Material Finish Open Area* Stock Status Max. Width Max. Length Weight* Thickness Aluminum Powder Coated or Anodized 40% Custom Made 60” 16’ 4” 1.0036 lb/ft² 0.125” Profile Eclipse 600 or R06440 Architectural Facades Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7894 09/19 Architectural Facades Slotted Mesh Architectural Details Technical Data Sheet No: LD-102.2 Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. MSC4196 09/19 Please fill in the following information for your screen. Reference: Aperture 'A' Aperture 'B' Wire Dia. 'A' Wire Dia. 'B' Long Aperture 'B' // to: in in in in Sheet Length: Sheet Width: Material (Please Circle) in in Length / Width Customer Name: Signed for Approval: Date: Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Applications: Building Facades, Roller Curtains Attachment Methods: Fastening systems from the Valmont® Structures Architectural Facades product line including; Angle, Cap, Flat Bar, L5 Series of Tension fastening systems or L7 Curtain Screw Series. See website for more details. Extras Notes: Dimensions are nominal Material Finish Open Area Type Stock Status Max. Width Max. Length Weight Wire Dia Aperture Form S/S T316, T304 Mill 19% Flexible Custom Made 118” As per Application 1.761 lb/ft² S/S 0.11” x 0.039” (2.8/1.0 Ribbon) 0.224” x 0.524” Roll Profile Transit F281 Architectural Facades * Typical Architectural Facade Installation Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7885 09/19 Applications: Building Facades, Curtains, Ceilings Attachment Methods: Fastening systems from the Valmont® Structures Architectural Facades product line including; Angle, Cap, Flat Bar, L5 Series of Tension fastening systems or L7 Curtain Screw Series. See website for more details. Extras Notes: Dimensions are nominal Material Finish Open Area Type Stock Status Max. Width Max. Length Weight Wire Dia Aperture Form S/S T316, T304, Galv, Brass Mill 56% Flexible Custom Made 197” As per Application 0.94 lb/ft² S/S 18 SWG 0.285” x 0.285” Roll Profile Transit 210 Architectural Facades * Typical Architectural Facade Installation Contact your local Sales Representative today at: 941.402.3554 • facades@valmont.com valmontstructures.com/facades Copyright © 2019 Valmont® Industries, Inc. All rights reserved. Valmont® Structures has a policy of continuous product improvement and development. As a result, certain changes in standard equipment, options, price, etc., may have occurred after the publication of this document. Some drawings and specifications may not be identical to current production. Valmont Structures reserves the right to change product design and specifications at any time without incurring obligations. SPC7881 09/19 Commercial Collection lnterpon Futura D2525 El Stocked Product m Made to Order Product zPrefinished 3mm(1/8”) solid aluminum plate panels.zAre highly durable and impact resistant. zCoil finishing avoids the runs and streaks that result from post-finishing after perforating. zPerforating after coil finishing ensures that factory-applied protective film keeps the finish intact. Vitraplate perforated aluminum panels Fairview Architectural manufactures high-quality perforated aluminum plate panels that offer superior durability and can be rolled, curved and fabricated to suit a range of design requirements. Our perforated panels can be used for a wide variety of applications such as for exterior façades, decorative panels, car park screens, balustrade infills, sports stadiums and much more. Key Benefits Colors and Finishes Specifications Quality Control Our aluminum panel products are prefinished in a coil-coated process with a flexible 70% PVDF Kynar paint coating system which offers a wide range of finish options such as solid, metallics, patterned finishes. Perforating after anodizing or coating is preferred in architectural use, because the purpose of the perforations is for aesthetic reasons, and the exposed cut edge of the aluminum enhances the perforations. With coil anodized or coil coated Vitraplate, the quality and integrity of the finish are not impacted in any way by perforating. Note: Fairview offers coil coating and coil anodizing over batch coating and batch anodizing as the finish is more consistent and of a higher quality Product Vitraplate 3mm(1/8”) Panel Sizes (width)Standard: 48”, 60”, 62”(1219mm, 1524mm, 1574mm) Panel Sizes (length)Standard: 122”, 146”, 196”(3099mm, 3708mm, 4980mm) Surface Coating PVDF 70 % Kynar Finishes Solid, Metallics, Woodgrains & Specialty Colors Finish Warranty Up to 30 years Vitraplate perforated panels are available in multiple aluminum alloys and are engineered per project depending on the sheet size and perforation pattern required as well as the finish.As a trusted manufacturer, Fairview Architectural has a robust third-party audited quality control process to ensure supply-chain integrity. For more information is required please contact the Fairview office on 860-242-2711 or email: helpdesk@fairview-na.com 75 Peters Road, Bloomfield, CT 06002, USA Xref \\PG-Server-03\NewData\!2024\UT-10267-24 Delta Center Parking\Project Data\Xrefs\XR-NEW LINEWORK-WPM.dwg YIELD YIELD Xref \\PG-Server-03\NewData\!2024\UT-10267-24 Delta Center Parking\Project Data\Xrefs\XR-NEW LINEWORK-WPM.dwg YIELD YIELD ---- | 03: 5 6 P M W E D N E S D A Y 0 9 J U L Y 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ L 1 . 0 1 L A N D S C A P E . D W G 301 W S O U T H T E M P L E SALT LA K E C I T U T A H 8 4 1 0 1 FT20100 SHEET NUMER SHEET TITLE DESIGNED REIEWED DRAWN PROECT NUMER DATE IRO SEAL IN ASSOCIATION WITH ᴀ ISSUE Corigt 2022 WALTER P. MOORE AND ASSOCIATES INC. CONSULTANT LOGOᴀ PROECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES INC.633 W 5TH ST SUITE 7200LOS ANGELES CALIFORNIA 90071PHONE 310.254.1900 FAX 310.254.1940 M09-21011-00 10312024 50 DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIERDALE UT 84405PHONE 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T U T A H 8 4 1 0 1 NO. DATE REISION12062024 100 DD02142025 50 CD AMMM GN LA Pase 2 Perit Set 04072025 03072025 Pase 1 Perit Set03212025 id Set04072025 Pase 2 Perit Set04292025 lletin 1205132025 lletin 21 305302025 lletin 3406112025RFIs 1.LANDSCAPE CONTRACTOR IS RESPONSILE FOR ERIFING UANTITIES OF ALL MATERIALS FOR IDDING ANDINSTALLATION PURPOSES. IF DISCREPANCIES EXIST THE PLAN SHALL DICTATE UANTITIES TO E USED.2.TOPSOIL TO E IMPLEMENTED AT THE FOLLOWING DEPTHS2.1.PER PLANTING DETAILS IN PLANTER ED AREAS.2.2.4 DEPTH IN ALL TURF SOD AREAS2.3.4 DEPTH IN ALL ̀NEW SEED AREAS.3.EDGING SHALL E IMPLEMENTED ETWEEN ALL ARING LANDSCAPE MATERIALS SUCH AS TURF GRASS ANDARK MULCH ARK MULCH AND ROCK MULCH TURF GRASS AND ROADCAST SEED ETC. EXACT TPE OFEDGING SHALL E INDICATED ON THE PLANS. IF NO EDGING IS INDICATED ON THE PLANS A 6 X 6 SLIP FORMEDSUARE CONCRETE CUR SHALL E USED.4.LANDSCAPE ROCK AND ARK MULCH COLORS AND TPES TO E APPROED OWNER. SUMIT SAMPLES FORAPPROAL PRIOR TO INSTALLATION. ROCK SHALL E A DARKER HUE WITH ROWNS GRES LUES AND TANS.ARK MULCH SHALL E MEDIUM TEXTURE DARK ROWN IN COLOR. ROCK AND ARK MATERIAL SHALL EIMPLEMENTED IN ALL PLANTER ED AREAS INDICATED ON THE PLANS AT THE FOLLOWING DEPTHS4.1.ARK MULCH - 4 DEPTH4.2.1-2 DIAMETER FRACTURED STONE 44.3.STONE LARGER THAN 4 IN DIAMETER DEPTH SHALL E TWICE THE DIAMETER OF THE SMALLEST STONE INTHE SPECIFIED GRADATION.4.4.PULL ROCK MIN. OF 3 AWA FROM ASE OF ALL PERENNIALS AND SHRUS AND MIN. 6 AWA FROM ALLTREES.5.INSTALLATION SHALL COMPL WITH ALL NATIONAL STATE AND LOCAL LAWS AND ORDINANCES.6.ALL MATERIALS SHALL E NEW AND WITHOUT FLAWS OR DEFECTS OF THE UALIT AND PERFORMANCESPECIFIED AND SHALL MEET THE REUIREMENTS OF THIS SSTEM. USE MATERIALS AS SPECIFIED NOSUSTITUTIONS SHALL E PERMITTED WITHOUT WRITTEN PERMISSION OF THE OWNER OR LANDSCAPEARCHITECT7.ASE PLAN LOCATION OF EXISTING EUIPMENT ARE SCHEMATIC IN NATURE. FIELD ERIF ALL ASE EXISTING ELEMENTS PRIOR TO CONSTRUCTION PROIDE NECESSAR ADUSTMENTS.8.ALL PLANTS SHALL E WATERED THOROUGHL TWICE DURING THE FIRST 24 HOUR PERIOD AFTER PLANTING.FOLLOWING THE FIRST 24 HOURS ALL PLANTS SHALL E WATERED ROUTINEL TO ENSURE SURIAILIT ANDPROMOTE ESTALISHMENT. CONTRACTOR SHALL E RESPONSILE FOR PROIDING A WATERING SCHEDULEFOR THE OWNERS REIEW AND REFERENCE.9.THE CONTRACTOR SHALL WARRANT ALL PLANT MATERIAL FOR ONE-EAR AFTER DATE OF FINAL ACCEPTANCE.10.THE CONTRACTOR SHALL E RESPONSILE FOR THE ERIFICATION AND AOIDANCE OF ALL UNDERGROUNDUTILITIES DURING THE INSTALLATION OF LANDSCAPE AND IRRIGATION ELEMENTS. SHOULD AN DAMAGE OCCURTO UNDERGROUND UTILITIES THE CONTRACTOR SHALL REPLACE OR REPAIR THE DAMAGE AT NO ADDITIONALCOST TO THE OWNER.11.PRIOR TO STREETPULIC TREE INSTALLATION PRUNING CROWNROOT OR REMOAL PLEASE HAE THECONTRACTED LICENSED CERTIFIED ARORIST SUMIT A COMPLETE PULIC TREE PERMIT APPLICATION ATLEAST 10 DAS PRIOR TO WORK EING PERFORMED FOR THIS PROECT TO INCLUDE CERTIFIED ARORISTINFORMATION AND START AND COMPLETION DATES.Ԁ12.DIMENSIONS SHOWN ON LANDSCAPE PLAN ARE SHOWN FOR REFERENCE AND TO AID IN INSTALLATION. SLIGHTDEIATIONS -1 FROM THE DIMENSIONS SHOWN ARE ACCEPTALE AS LONG AS THE OERALL INTENT OF THEDESIGN IS MAINTAINED.13.LANDSCAPE CONTRACTOR IS RESPONSILE FOR THE REIEW OF ALL OTHER PROECT DESIGN DOCUMENTS.UTILITIES STRUCTURES OR OTHER ELEMENTS MA NOT E DISPLAED ON THESE SHEETS FOR GRAPHICCLARIT.14.LANDSCAPE CONTRACTOR SHALL E REUIRED TO COORDINATE WITH OTHER TRADES TO ENSURE CONFLICTSETWEEN OTHER ELEMENTS NOT SHOWN ON THESE SHEETS ARE RESOLED IN THE FIELD.15.LANDSCAPE CONTRACTOR SHALL E REUIRED FOR MAINTENANCE AND WARRANT OF LANDSCAPE AREA PERPROECT SPECIFICATIONS. GENERAL LANDSCAPE NOTES LANDSCAPE SUMITTAL REUIREMENTS1COMPLETE PLANT LIST FROM SUPPLIER INCLUDING SIES AND TPES.2PHSICAL SAMPLES OF LANDSCAPE ROCK AND RIP RAP 3 OPTIONS FOR EACH TPEFOR APPROAL.3SOIL DATACOMPOSITION SHEET FOR IMPORTED TOPSOIL.4SOIL DATACOMPOSITION SHEET FOR SOIL PREP.5PHOTOS AND PHSICAL SAMPLES OF LANDSCAPE OULDERS.6CONCRETE MOWCUR MIX AND REINFORCING DATA.7CONTRACTOR REUIRED MAINTENANCE PLAN.8WARRANT DATA9STAMPED AND COLORED CONCRETE AND PAER PHSICAL MOCK-UPS FOR APPROALSHOWING COLOR AND PATTERN. MIN 5 X 5 SIE.10PHSICAL SAMPLES OF ARK MULCH 3 OPTIONS FOR EACH TPE FOR APPROAL. SEE SHEET L1.03 SEE SHEET L1.02 SEE SHEET L1.04 APPROXIMATE LIMITS OF WORK LANDSCAPE PLAN L1.01 S SMH SEE SHEET L1.05 SMOLCODE DESCRIPTION T L1.01 L1.02 L1.03 L1.04 L1.05FURNISH AND INSTALL A 4 DEPTHOF MEDIUM TEXTURE DARKROWN MULCH NO WEEDARRIER PER DETAILS.6565 SF 1533 SF 2190 SF 1285 SF 1558 SF FURNISH AND INSTALL A 4 DEPTHOF DECORATIE ROCK NO WEEDARRIER PER DETAILS.1642 SF 112 SF 694 SF 836 SF RESTORED RAISED PLANTERAREAEXACT LIMITS MA ARDEPENDING ON FINISHED WALLTHICKNESSES AND PIERFOOTINGLOCATIONSFURNISH AND INSTALL A MINIMUMOF 12 OF APPROED SOIL PREPTO 4 ELOW TOP OF WALL. SOILMATERIAL TO OTTOM OF SOILPREP SHALL E EUAL ORETTER THAN EXISTING MATERIALCOMPOSITION. 4423 SF 4423 SF FURNISH AND INSTALL 3-5DIAMETER DECORATIELANDSCAPE OULDERS PERDETAILS29 966 8 6 X 6 CONCRETE MOWCUR PERDETAILSFURNISH AND INSTALL A 6 THICKCONCRETE PAD FOR ENCH PERDETAILS105 SF 105 SF FURNISH AND INSTALL 6 FORMSAND SURFACES RATIO ENCHWITH ACK OR APPROED EUALPER DETIALS 3 3 FURNISH AND INSTALL TREE WELLACKFILL MATERIAL PER DETAILS.REPALCE TREE WELL ORPROTECT IN PLACE WHERENOTED. 677 SF 387 SF 290 SF 1 24 5 67 8 9 REFERENCE NOTES SCHEDULE EXISTING 2 CALIPERTREES TO E REMOEDAND TRANSPLANTED CIT. CONTACT FORESTRDEPARTMENT WHENREAD FOR REMOAL. SMOL OTANICAL COMMON NAMECONT CALTL1.01 L1.02 L1.03 L1.04 L1.05TREESACER NEGUNDO SENSATIONSENSATION OX ELDER 2 CAL.... 14 8 6 CERCIS CANADENSIS LAENDER TWISTLAENDER TWIST REDUD 10 GAL. POT5 14 GLEDITSIA TRIACANTHOS INERMISSHADEMASTERSHADEMASTER HONE LOCUST 3 CAL 5 2 3 PICEA AIES CUPRESSINACUPRESSINA NORWA SPRUCE 6-7 HT. 3 3 PINUS NIGRA OREGON GREENOREGON GREEN AUSTRIAN PINE 6-7 HT. 2 2 ULMUS PARIFOLIALACEARK ELM 3 CAL6 132 ELKOA SERRATA GREEN ASEGREEN ASE APANESE ELKOA 3 CAL5 2 3 SMOL OTANICAL COMMON NAME SIE TL1.01 L1.02 L1.03 L1.04 L1.05SHRUSCOTONEASTER APICULATUSCRANERR COTONEASTER 5 GAL 3 3UNIPERUS HORIONTALIS LUE CHIPLUE CHIP UNIPER 5 GAL 41 5 12 24PHSOCARPUS OPULIFOLIUS SMPOTWTIN WINE NINEARK 5 GAL 30 7 13 46PRUNUS X CISTENAPURPLE LEAF SAND CHERR 5 GAL 23 15 8ROSA X RADRALCORAL KNOCK OUT ROSE 5 GAL.65 4 20 2021ROSA X RADRAKNOCK OUT ROSE 5 GAL 14 3 56SALIX PURPUREA NANADWARF ARCTIC WILLOW 5 GAL 10 55IURNUM TRILOUMAMERICAN CRANERRUSH 1 GAL 31 5 11 96 ANNUALSPERENNIALSSALIA NEMOROSA MA NIGHTMA NIGHT SAGE 1 GAL.9 9 ORNAMENTAL GRASSESCALAMAGROSTIS X ACUTIFLORA KARLFOERSTERFEATHER REED GRASS 1 GAL 101 18 2927 27HELICTOTRICHON SEMPERIRENSLUE OAT GRASS 1 GAL 26 3 896 PLANT SCHEDULE3 13 OF TOTAL LANDSCAPE 52 OF TOTAL LANDSCAPE 35 OF TOTAL LANDSCAPE 3 3 LANDSCAPE LIE COERAGE CALCULATIONS 359 TOTAL SHRUSPERENNIALS 12 SF PER PLANT 4308 SF OF LIECOERAGE 46 TOTAL TREES 400 SF PER TREE 18400 SF OF LIECOERAGEREDUCE TOTAL TREE COERAGE 75TO ACCOUNT FOR OERLAP WITH SHRUSAND COERAGE OF NON PLANTER AREAS. TOTAL APPLICALE LIE COER 4600 SF13307 SF OF TOTAL LANDSCAPE AREATOTAL PROIDED LIE COER 8908 SF6713307 SF OF TOTAL LANDSCAPE AREATOTAL PROIDED LIE COER NOTCOUNTING REDUCED TREE COERAGE 4308 SF 32 3 Draft Print07/09/2025 3:56:44 PM OW3MH: 2OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2OW3MH: 2OW3MH: 2 OW3MH: 2OW3MH: 2OW3MH: 2 OW3MH: 2OW3MH: 2OW3MH: 2OW3MH: 2OW3MH: 2OW3MH: 2 OW3MH: 2 OW3MH: 2OW3MH: 2 0.176.4 3.2 0.50.4 8.8 3.5 0.6 0.219.2 12.2 2.6 1.4 0.5 0.2 0.153.3 4.2 12.8 2.5 0.8 0.4 0.2 0.1 0.00.5 10.1 9.0 8.7 1.9 0.6 0.3 0.1 0.1 0.1 0.041.0 10.7 2.6 2.3 1.8 1.0 0.4 0.2 0.1 0.1 0.1 0.0 0.02.3 3.5 1.6 0.8 0.6 0.4 0.3 0.2 0.2 0.2 0.1 0.0 0.0 0.05.0 1.7 0.9 0.5 0.4 0.3 0.3 0.3 0.5 0.5 0.2 0.1 0.020.5 2.7 0.8 0.4 0.3 0.2 0.3 0.6 1.5 2.1 0.2 0.11.4 1.5 0.6 0.3 0.3 0.3 0.4 0.7 2.6 27.5 0.37.5 1.7 0.7 0.4 0.4 0.6 0.7 0.5 0.3 0.513.3 2.4 0.8 0.4 0.5 1.5 3.0 0.7 0.10.7 1.5 0.6 0.4 0.6 1.9 21.8 0.310.1 2.1 0.8 0.3 0.2 0.2 0.39.2 2.0 0.8 0.3 0.2 0.10.8 1.6 0.7 0.7 0.2 0.215.2 2.6 1.1 1.4 4.6 0.66.8 1.8 1.3 2.5 16.0 2.11.9 1.7 1.0 1.6 2.0 0.422.0 2.8 1.3 1.9 6.3 0.53.8 1.4 1.1 2.3 10.9 1.10.1 0.2 0.6 0.7 1.5 1.2 0.30.1 0.1 0.3 0.8 2.0 8.3 0.70.1 0.1 0.3 0.7 1.9 7.5 0.80.1 0.1 0.2 0.5 1.4 1.3 0.30.1 0.1 0.3 0.7 2.2 12.6 1.30.1 0.1 0.3 0.6 1.6 5.8 0.60.1 0.1 0.2 0.5 1.4 2.4 0.30.1 0.1 0.3 0.7 2.3 17.1 2.50.1 0.1 0.2 0.6 1.4 3.8 0.30.1 0.1 0.3 0.6 1.5 4.4 0.30.1 0.1 0.3 0.7 2.3 16.3 2.00.1 0.1 0.2 0.5 1.4 2.0 0.20.1 0.1 0.3 0.6 1.6 6.2 0.50.1 0.1 0.3 0.7 2.2 11.1 1.40.1 0.1 0.2 0.5 1.4 1.1 0.30.1 0.1 0.3 0.7 1.9 8.1 0.70.1 0.1 0.3 0.7 1.9 7.6 0.80.1 0.1 0.2 0.5 1.4 1.2 0.20.1 0.1 0.2 0.7 2.2 12.4 1.20.1 0.1 0.2 0.6 1.4 5.8 0.40.1 0.1 0.2 0.4 1.2 1.5 0.20.1 0.1 0.2 0.5 1.5 8.8 102.00.1 0.2 0.4 1.0 3.0 0.30.1 0.1 0.3 0.7 1.1 0.20.1 0.1 0.2 0.6 1.8 17.8 0.80.1 0.1 0.2 0.5 1.6 3.8 0.20.2 0.1 0.2 0.3 0.7 1.2 0.30.1 0.1 0.2 0.5 1.2 8.3 97.60.1 0.1 0.2 0.4 1.1 2.6 1.70.1 0.2 0.3 0.6 1.3 2.7 0.40.2 0.1 0.2 0.4 1.1 4.7 28.40.1 0.2 0.3 0.9 1.6 1.8 0.20.2 0.2 0.5 0.6 1.1 2.4 21.40.4 3.1 0.9 0.6 1.1 3.3 11.397.8 9.3 1.7 0.7 0.9 1.6 3.4 0.42.3 3.9 1.3 0.7 0.8 1.9 8.3 120.90.4 18.1 3.1 1.0 0.5 0.7 1.3 3.6 0.595.7 8.8 2.4 1.2 0.7 0.5 0.8 1.9 4.9 1.00.0 0.0 0.1 4.7 3.9 1.1 0.6 0.4 0.5 0.8 1.7 7.2 2.70.0 0.0 0.0 0.0 0.0 0.2 0.8 1.0 0.6 0.4 0.3 0.5 1.2 2.0 1.10.0 0.0 0.0 0.0 0.0 0.1 0.3 0.3 0.3 0.3 0.4 0.6 1.5 8.1 30.40.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.2 0.3 0.6 1.0 1.8 2.90.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.1 0.3 0.8 3.3 5.4 0.30.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.3 0.9 5.1 108.10.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.0 0.10.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.00.0 0.0 0.00.0 Luminaire ScheduleSymbolQtyLabel Arrangement Description Tag LLF LuminaireLumensLuminaireWattsTotalWatts MountingHeight33RA-40711-W40 Single RA-40711-W40 OW3 1.0001339 19.5 643.5 2Calculation SummaryLabel CalcType Units AvgMaxMin Avg/MinMax/MinLEVEL_1 LANDING_Top Illuminance Fc 2.96120.90.0 N.A.N.A. G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9 G.7 G.9 G.6 G.7.9G.8 G.3 G.4 G.7.5 G.HG.IG.JG.KG.L G.C G.B G.A G.Q E2.104 OW3 MOUNTINGHEIGHT IS +24" LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 2 3   p .   m . PARKING SITE PLANPHOTOMETRIC E1.02A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST AM AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/32" = 1'-0"PARKING SITE PLAN PHOTOMETRIC1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.K G.L G.C G.B G.A G.Q 1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 1EH1-5X2 1H1-5K90E 1H1-5(1RP-14)K90 1H1-7(1RP-13)K901H1-7K90E1H1-7(1RP-13)K90 1H1-7(1RP-13)K901H1-7(1RP-13)K90 1H1-7(1RP-13)K90 1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 1H1-5K90E1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 1H1-7K90E 1H1-5K90E 1H1-5(1RP-14)K90 1H1-7(1RP-13)K901H1-7(1RP-13)K90 1H1-7(1RP-13)K90 1H1-7(1RP-13)K90 1H1-7K90E 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8WE 1EH1-5X2 1EH1-5X1 1H1-7K90E 1H1-5K90E 1H1-7K90E 1H1-5(1RP-14)K90 1H1-7(1RP-13)K90 1H1-7K90E 1H1-7(1RP-13)K90 1H1-5(1RP-14)K90 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1EH1-11W21EH1-11±28' 1H1-3(1RP-12)W21H1-3(1RP-12)±28' 1H1-3(1RP-12)W21H1-3(1RP-12)±28' 1EH1-11W21EH1-11±28' 1H1-7(1RP-13)K90 EM EM EM EM EM EM EM EM EM 1EL1-1BEPWPL2 L1 1H1-7(1RP-13)K90 1H1-7(1RP-13)K90E2.101 E2.103E2.102 1EH1-17 EM 1EH1-17 EM 1EH1-17 1H1-5(1RP-14)K901H1-5(1RP-14)K90 1EH1-17 1EH1-17 1EH1-17 1EH1-17 1EH1-17 EM EM 1EH1-9 1EH1-9 1EH1-9 1EH1-91EH1-9 1EH1-91EH1-9 1EH1-9 1EH1-9 1EH1-8(1RP-9)ST1 1EH1-8(1RP-9)ST1 1EH1-8(1RP-9)ST1 L10 1H1-5(1RP-14)K90 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8WE1H1-11(1RP-10)D8W1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8WE1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)K90 1H1-11(1RP-10)D8WE 1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 EM EM EM L10 1H1-9(1RP-11)D8WEEM 1H1-9(1RP-11)D8W1H1-9(1RP-11)D8W 1H1-9(1RP-11)D8WEEM 1H1-9(1RP-11)D8WEEM 1H1-9(1RP-11)D8W 1H1-9(1RP-11)D8W K90EM 2 1H1-9(1RP-11)D8W 1H1-5(1RP-14)K90 1H1-7(1RP-13)K90 1H1-9(1RP-11)D8W1H1-9(1RP-11)D8W 1H1-3(1RP-12)OW11H1-3(1RP-12)±28' 1H1-3(1RP-12)OW11H1-3(1RP-12)±28' 4 4 1EH1-17 1H1-11(1RP-23)D3W 1H1-11(1RP-22)D3WE 1H1-11(1RP-23)D3W1H1-11(1RP-23)D3W 1H1-11(1RP-22)D3WE 1H1-11(1RP-23)D3W 1H1-11(1RP-23)D3W1H1-11(1RP-23)D3W 1EH1-17 1EH1-17 LUKEJUSTINNo. 6598067-2202 GINEER ONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 26/06/20 2 5 5 : 4 7 : 4 6 p . m . LEVEL B1 - PARKINGLIGHTING PLAN E2.01 PHASE 2 PERMIT SET 03/07/2025 61 S 40 0 W . SALT LA K E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/16" = 1'-0"LEVEL B1 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLER L10 MOUNTING HEIGHT OF THE LIGHT FIXTURES TO BE COORDINATED ON SITE BY THE OWNER AND GENERALCONTRACTOR. NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #12 05/19/2025 Bulletin #24 06/25/2025 Bulletin #4 SCALE = 3/32" = 1'-0"LEVEL B1.2 - VOID AREA CEILING2 4 W1MH: 33 W2MH: 12 W2MH: 14 W2MH: 14 W2MH: 14 K90MH: 38 K90MH: 38 W2MH: 17.5 W1MH: 33 W2MH: 35 W2MH: 35 W2MH: 25 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.83 3 D8WMH: 14.83 3 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.83 3 D8WMH: 14.83 3 W2MH: 17.5 W2MH: 17.5 D8WMH: 23 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 30 K90MH: 30 K90MH: 20 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 20K90MH: 20 K90MH: 28 K90MH: 28K90MH: 28 K90MH: 30 K90MH: 28K90MH: 28 K90MH: 30 K90MH: 28 K90MH: 28 K90MH: 30 K90MH: 28 K90MH: 28 K90MH: 20D8WMH: 14.833 D8WMH: 23 D8WMH: 23D8WMH: 23 K90MH: 23 D8WMH: 23D8WMH: 23D8WMH: 23 K90MH: 20 W2MH: 35 D8WMH: 23 D8WMH: 23D8WMH: 23D8WMH: 23 D8WMH: 23D8WMH: 23 D8WMH: 23D8WMH: 23D8WMH: 23 K90MH: 16K90MH: 16K90MH: 16 K90MH: 35 K90MH: 35 K90MH: 37 K90MH: 37 K90MH: 37K90MH: 34.333 0.7 0. 9 0 . 8 0 . 9 0 . 9 1 . 0 1 . 2 1 . 3 1 . 4 1 . 3 1 . 4 1 . 8 2 . 1 1 . 8 1 . 7 2 . 0 2 . 3 2 . 6 2 . 7 2 . 8 2 . 8 3 . 2 3 . 2 3 . 2 3 . 3 3 . 3 3 . 3 3 . 2 3 . 3 3 . 2 3 . 2 3 . 3 3 . 3 3 . 2 3 . 2 3 . 2 3 . 1 3 . 1 3 . 0 3 . 0 3 . 0 2 . 9 3 . 0 2 . 9 2 . 9 2 . 9 3 . 0 3 . 2 3 . 3 3 . 5 3 . 6 3 . 6 3 . 6 3 . 7 3 . 7 3 . 6 3 . 6 3 . 5 3 . 6 3 . 6 3 . 7 3 . 9 4 . 0 4 . 3 4.5 4 . 7 4.9 5.1 4 . 6 4.43.0 0.8 1. 0 1 . 1 1 . 1 1 . 2 1 . 3 1 . 5 1 . 6 1 . 8 1 . 6 1 . 8 2 . 2 2 . 1 2 . 0 2 . 2 2 . 5 3 . 0 3 . 1 3 . 3 3 . 3 3 . 7 3 . 7 3 . 7 3 . 7 3 . 7 3 . 7 3 . 8 3 . 8 3 . 8 3 . 8 3 . 7 3 . 7 3 . 6 3 . 6 3 . 6 3 . 6 3 . 5 3 . 4 3 . 4 3 . 3 3 . 3 3 . 3 3 . 5 3 . 4 3 . 4 3 . 4 3 . 4 3 . 9 4 . 1 4 . 3 4 . 3 4 . 4 4 . 4 4 . 4 4 . 3 4 . 3 4 . 3 4 . 4 4 . 5 4 . 6 4 . 8 5 . 0 5 . 4 5 . 8 6 . 3 6 . 8 6 . 4 6 . 2 4 . 1 1 . 6 0.9 1 . 3 1 . 4 1 . 3 1 . 5 1 . 7 1 . 8 2 . 0 1 . 7 2 . 0 2 . 2 1 . 9 1 . 8 2 . 2 2 . 8 3 . 5 3 . 7 3 . 9 4.4 4.4 4 . 4 4 . 4 4.34.4 4.4 4 . 4 4 . 4 4 . 4 4.3 4.3 4 . 2 4 . 2 4 . 1 4 . 2 4 . 1 4 . 1 4 . 0 3 . 9 3 . 9 3 . 8 3 . 8 3 . 8 4 . 0 4 . 0 3 . 9 3 . 9 4.54.9 5. 3 5.4 5.4 5 . 4 5.3 5.2 5 . 2 5 . 3 5.4 5.5 5.6 5.9 6 . 4 7 . 1 7 . 6 8 . 5 8 . 6 8 . 9 6 . 3 1 . 4 1.1 1.5 1 . 8 1 . 9 1 . 7 2 . 1 2 . 2 2 . 4 2 . 1 2 . 3 1 . 7 1 . 8 2 . 2 3 . 1 4 . 1 4 . 3 4 . 5 5 . 1 5 . 1 5 . 1 5 . 0 5 . 2 5 . 1 5 . 1 5 . 1 5 . 1 5 . 0 4 . 9 4 . 8 4 . 8 4 . 9 4 . 8 4 . 7 4 . 6 4 . 6 4 . 6 4 . 6 4 . 4 4 . 3 4 . 2 4 . 2 4 . 2 4 . 6 4 . 6 4 . 6 4 . 8 5 . 7 6 . 0 6 . 3 6 . 4 6 . 5 6 . 4 6 . 2 6 . 1 6 . 1 6 . 2 6 . 4 6 . 9 7 . 6 8 . 3 9 . 3 1 0 . 7 1 1 . 8 1 1 . 8 9 . 8 1 . 7 1.4 1.9 2 . 2 2 . 4 2 . 1 2 . 4 2 . 6 2 . 1 2 . 4 1 . 7 1 . 3 1 . 5 2 . 7 4 . 6 5 . 1 6 . 0 6 . 0 5 . 9 6 . 1 5 . 9 5 . 9 5 . 8 5.7 5.7 5.85.75.65.5 5.5 5 . 4 5 . 4 5.3 5. 3 5 . 3 5 . 2 5 . 1 5 . 0 5 . 0 4 . 9 4 . 8 4 . 8 4.74.65.45.6 6.5 7 . 3 7.77.87.7 7.4 7 . 4 7 . 5 7.37.57.9 8.4 9 . 5 1 0 . 9 1 2 . 6 1 4 . 5 1 4 . 7 1 3 . 2 2 . 0 1.9 4.1 3 . 9 3 . 6 3 . 4 2 . 8 2 . 9 2 . 4 0 . 9 1 . 0 1 . 1 1 . 4 5 . 2 6 . 0 6 . 9 7 . 0 7 . 3 7 . 0 6 . 8 6 . 7 6 . 5 6 . 5 6 . 5 6 . 6 6 . 6 6 . 5 6 . 4 6 . 2 6 . 1 6 . 0 6 . 1 6 . 1 6 . 0 5 . 9 5 . 8 5 . 7 5 . 6 5 . 6 5 . 5 5 . 4 5 . 3 5 . 1 5 . 2 6 . 3 6 . 5 8 . 8 9 . 8 1 0 . 1 9 . 4 9 . 0 8 . 8 8 . 9 8 . 7 9 . 0 9 . 5 1 0 . 6 1 2 . 1 1 4 . 1 1 6 . 8 1 7 . 6 1 6 . 8 2 . 6 2.5 4.6 4 . 2 3 . 9 4 . 1 3 . 2 2 . 4 7.1 8.2 8 . 7 8 . 5 8 . 3 8 . 1 7 . 8 7 . 6 7.4 7.4 7 . 4 7 . 4 7 . 4 7.3 7.2 7 . 0 6 . 9 6 . 8 6 . 8 6 . 9 6 . 7 6 . 7 6 . 6 6 . 5 6 . 4 6 . 4 6 . 3 6 . 1 6 . 0 5 . 9 5 . 3 5.7 7.4 10.1 1 2 . 5 1 2 . 6 1 1 . 7 1 0 . 8 1 0 . 4 1 0 . 5 1 0 . 4 1 0 . 8 1 1 . 5 1 3 . 0 1 5 . 3 1 8 . 3 2 0 . 4 1 9 . 8 3 . 4 3.2 4. 8 4 . 6 4 . 4 4 . 9 5 . 9 7.9 10.0 9 . 8 9 . 7 9 . 4 9 . 1 8 . 8 8 . 4 8 . 2 8 . 3 8 . 3 8 . 4 8 . 3 8 . 1 7 . 9 7 . 7 7 . 7 7 . 6 7 . 5 7 . 6 7 . 4 7 . 5 7 . 4 7 . 2 7 . 1 6 . 9 6 . 8 6 . 6 6 . 5 6 . 5 5 . 6 5 . 1 4 . 8 9 . 5 1 5 . 7 1 6 . 2 1 4 . 6 1 2 . 3 1 1 . 8 1 2 . 0 1 2 . 1 1 2 . 7 1 3 . 7 1 5 . 6 1 8 . 6 2 1 . 5 2 1 . 7 4 . 5 3.9 5 . 2 5 . 1 5 . 9 7 . 8 8 . 9 1 0 . 5 1 1 . 5 1 2 . 4 1 2 . 3 1 1 . 6 1 1 . 0 1 0 . 9 1 0 . 6 1 0 . 2 9 . 9 9 . 5 9 . 3 9 . 2 9 . 1 9 . 3 9 . 2 9 . 0 8 . 8 8 . 5 8 . 4 8 . 3 8 . 2 8 . 4 8 . 3 8 . 3 8 . 0 7 . 8 7 . 9 7.47.0 6 . 7 6 . 3 6 . 1 5 . 6 19.1 18.7 1 6 . 1 1 3 . 5 1 3 . 4 1 3 . 7 1 4 . 0 1 4 . 9 1 6 . 0 1 8 . 4 2 1 . 0 2 2 . 0 1 5 . 3 4.6 5.5 6 . 3 8 . 0 1 0 . 1 1 1 . 1 1 2 . 3 1 2 . 9 1 3 . 7 1 3 . 0 1 2 . 3 1 2 . 1 1 1 . 8 1 1 . 4 1 1 . 2 1 0 . 8 1 0 . 4 1 0 . 3 1 0 . 2 1 0 . 1 1 0 . 1 9 . 9 9 . 5 9 . 2 9 . 0 8 . 9 8 . 8 8 . 9 8 . 9 8 . 8 8 . 7 8 . 5 8 . 4 8 . 4 8 . 3 8 . 0 8 . 0 7 . 1 6 . 6 20.1 19.5 1 7 . 3 1 4 . 8 1 4 . 4 1 5 . 1 1 5 . 9 1 6 . 9 1 8 . 5 2 1 . 0 2 3 . 8 1 9 . 0 5.3 6.6 7.79.7 10. 7 1 1 . 6 1 2 . 6 1 4 . 5 1 4 . 0 1 3 . 2 1 3 . 2 1 2 . 9 1 2 . 7 1 2 . 3 1 1 . 9 1 1 . 5 1 1 . 4 1 1 . 2 1 0 . 9 1 0 . 7 1 0 . 4 1 0 . 1 9 . 8 9 . 7 9 . 4 9 . 3 9 . 3 9 . 2 9 . 2 9 . 3 9 . 1 8 . 8 8 . 9 8 . 7 8 . 6 8 . 6 9 . 0 9 . 2 1 0 . 6 1 1 . 8 1 6 . 7 1 9 . 0 1 8 . 9 1 7 . 2 1 5 . 1 1 5 . 4 1 6 . 3 1 7 . 2 1 8 . 7 2 1 . 2 2 3 . 5 1 6 . 3 6.1 7.2 8 . 2 9 . 2 1 0 . 1 1 0 . 8 1 5 . 3 1 4 . 9 1 4 . 5 1 4 . 8 1 4 . 4 1 4 . 0 1 3 . 7 1 3 . 2 1 2 . 7 1 2 . 3 1 2 . 1 1 1 . 8 1 1 . 4 1 1 . 1 1 0 . 6 1 0 . 3 1 0 . 1 9 . 9 9 . 7 9 . 8 9 . 7 9 . 7 9 . 6 9 . 4 9 . 4 9 . 4 9 . 4 9 . 2 9 . 3 9 . 6 9 . 9 1 0 . 7 1 3 . 0 1 5 . 7 1 7 . 1 1 7 . 2 1 6 . 6 1 5 . 7 1 6 . 0 1 7 . 2 1 8 . 8 2 0 . 9 2 3 . 0 1 4 . 5 5.9 6.0 1 . 1 1 . 1 1 . 2 1 7 . 2 1 6 . 2 1 6 . 1 1 6 . 1 1 5 . 9 1 5 . 6 1 5 . 2 1 4 . 5 1 3 . 9 1 3 . 3 1 2 . 8 1 2 . 5 1 2 . 0 1 1 . 5 1 1 . 1 1 0 . 6 1 0 . 4 1 0 . 2 1 0 . 1 1 0 . 1 9 . 9 1 0 . 0 9 . 8 9 . 6 9 . 7 9 . 6 9 . 6 9 . 6 9 . 6 1 0 . 0 1 0 . 3 1 2 . 0 1 3 . 8 1 4 . 9 1 6 . 2 1 6 . 5 1 6 . 2 1 6 . 2 1 7 . 0 1 8 . 2 1 9 . 7 2 2 . 0 1 2 . 9 1.4 1.5 1 . 5 1 . 4 1 7 . 3 1 8 . 4 1 8 . 2 1 8 . 1 1 8 . 0 1 7 . 4 1 7 . 0 1 6 . 1 1 5 . 2 1 4 . 4 1 3 . 8 1 3 . 1 1 2 . 6 1 2 . 1 1 1 . 4 1 0 . 9 1 0 . 8 1 0 . 5 1 0 . 3 1 0 . 4 1 0 . 2 1 0 . 1 1 0 . 0 9 . 8 9 . 8 9 . 8 9 . 9 9 . 9 1 0 . 1 1 0 . 9 1 1 . 4 1 2 . 2 1 3 . 8 1 4 . 8 1 5 . 7 1 6 . 3 1 6 . 6 1 6 . 7 1 7 . 6 1 8 . 8 2 0 . 5 1 2 . 4 1.6 1. 8 1 . 6 2 0 . 3 2 0 . 5 2 0 . 2 2 0 . 8 2 0 . 3 1 9 . 6 1 8 . 7 1 7 . 6 1 6 . 4 1 5 . 6 1 4 . 6 1 3 . 8 1 3 . 0 1 2 . 4 1 1 . 7 1 1 . 2 1 1 . 0 1 0 . 6 1 0 . 5 1 0 . 4 1 0 . 2 1 0 . 2 1 0 . 2 1 0 . 0 9 . 9 1 0 . 0 1 0 . 0 1 0 . 2 1 0 . 8 1 1 . 3 1 1 . 8 1 3 . 3 1 4 . 2 1 5 . 1 1 6 . 1 1 6 . 7 1 7 . 2 1 7 . 7 1 8 . 3 1 9 . 0 1 2 . 7 1.6 1 . 8 2 5 . 3 2 4 . 2 2 3 . 7 2 3 . 3 2 3 . 2 2 2 . 1 2 1 . 0 1 9 . 6 1 8 . 3 1 6 . 7 1 5 . 5 1 4 . 5 1 3 . 6 1 2 . 8 1 2 . 0 1 1 . 6 1 1 . 2 1 0 . 9 1 0 . 6 1 0 . 5 1 0 . 4 1 0 . 3 1 0 . 2 1 0 . 0 1 0 . 1 1 0 . 3 1 0 . 3 1 0 . 7 1 1 . 2 1 1 . 7 1 2 . 5 1 3 . 8 1 4 . 9 1 6 . 2 1 7 . 4 1 8 . 1 1 8 . 4 1 8 . 8 1 8 . 9 1 8 . 8 10.8 27.7 2 6 . 8 2 7 . 1 2 6 . 8 2 6 . 1 2 5 . 2 2 3 . 7 2 1 . 8 2 0 . 0 1 8 . 1 1 6 . 5 1 5 . 3 1 4 . 2 1 3 . 3 1 2 . 5 1 2 . 0 1 1 . 6 1 1 . 2 1 0 . 8 1 0 . 7 1 0 . 6 1 0 . 6 1 0 . 5 1 0 . 2 1 0 . 4 1 0 . 5 1 0 . 8 1 1 . 1 1 1 . 7 1 2 . 4 1 3 . 6 1 4 . 8 1 6 . 0 1 7 . 4 1 8 . 7 1 9 . 6 1 9 . 9 1 9 . 8 1 8 . 9 11.4 28.9 3 0 . 3 3 0 . 3 2 9 . 8 2 8 . 4 2 6 . 6 2 4 . 2 2 1 . 6 1 9 . 6 1 7 . 8 1 6 . 2 1 4 . 8 1 3 . 8 1 3 . 0 1 2 . 3 1 2 . 0 1 1 . 5 1 1 . 1 1 0 . 9 1 0 . 8 1 0 . 8 1 0 . 9 1 0 . 7 1 0 . 7 1 1 . 0 1 1 . 2 1 1 . 7 1 2 . 4 1 3 . 2 1 4 . 5 1 6 . 0 1 7 . 6 1 9 . 2 2 0 . 5 2 1 . 4 2 1 . 5 2 0 . 4 9.8 32.3 3 3 . 5 3 3 . 1 3 1 . 5 2 9 . 4 2 6 . 6 2 3 . 6 2 1 . 1 1 8 . 8 1 6 . 9 1 5 . 5 1 4 . 4 1 3 . 4 1 2 . 6 1 2 . 1 1 1 . 7 1 1 . 3 1 1 . 3 1 1 . 0 1 1 . 0 1 1 . 0 1 0 . 8 1 1 . 1 1 1 . 4 1 1 . 7 1 2 . 2 1 3 . 0 1 4 . 3 1 5 . 8 1 7 . 6 1 9 . 5 2 1 . 1 2 2 . 4 2 2 . 9 2 1 . 9 9.7 34.9 3 5 . 6 3 4 . 2 3 1 . 9 2 8 . 8 2 5 . 6 2 2 . 5 1 9 . 8 1 7 . 6 1 6 . 1 1 4 . 8 1 3 . 6 1 2 . 8 1 2 . 2 1 1 . 7 1 1 . 4 1 1 . 4 1 1 . 2 1 1 . 2 1 1 . 1 1 1 . 0 1 1 . 3 1 1 . 7 1 2 . 0 1 2 . 7 1 3 . 7 1 5 . 3 1 7 . 1 1 9 . 1 2 1 . 1 2 2 . 8 2 4 . 0 2 3 . 4 9.6 36. 4 3 6 . 3 3 4 . 1 3 0 . 7 2 7 . 3 2 3 . 9 2 0 . 9 1 8 . 6 1 6 . 5 1 5 . 1 1 4 . 0 1 3 . 1 1 2 . 5 1 1 . 9 1 1 . 6 1 1 . 4 1 1 . 2 1 1 . 5 1 1 . 5 1 1 . 3 1 1 . 6 1 1 . 9 1 2 . 4 1 3 . 3 1 4 . 6 1 6 . 3 1 8 . 2 2 0 . 4 2 2 . 6 2 4 . 0 2 4 . 0 9.6 36 . 6 3 5 . 5 3 2 . 3 2 8 . 7 2 5 . 1 2 1 . 9 1 9 . 3 1 7 . 1 1 5 . 5 1 4 . 1 1 3 . 2 1 2 . 6 1 2 . 1 1 1 . 7 1 1 . 6 1 1 . 5 1 1 . 5 1 1 . 6 1 1 . 5 1 1 . 7 1 2 . 2 1 2 . 7 1 3 . 7 1 5 . 2 1 7 . 1 1 9 . 3 2 1 . 6 2 3 . 6 2 3 . 9 9.3 3 5 . 1 3 3 . 0 2 9 . 5 2 5 . 9 2 2 . 5 1 9 . 6 1 7 . 3 1 5 . 6 1 4 . 2 1 3 . 1 1 2 . 5 1 2 . 0 1 1 . 7 1 1 . 5 1 1 . 3 1 1 . 4 1 1 . 5 1 1 . 3 1 1 . 5 1 2 . 1 1 2 . 8 1 3 . 8 1 5 . 4 1 7 . 6 1 9 . 9 2 2 . 1 2 3 . 1 9.2 32.1 2 9 . 6 2 6 . 1 2 2 . 8 1 9 . 9 1 7 . 5 1 5 . 6 1 4 . 2 1 3 . 2 1 2 . 5 1 1 . 9 1 1 . 6 1 1 . 6 1 1 . 3 1 1 . 3 1 1 . 5 1 1 . 3 1 1 . 5 1 2 . 2 1 2 . 7 1 3 . 8 17.6 19.9 2 1 . 5 9.1 28.4 2 5 . 8 2 2 . 7 1 9 . 9 1 7 . 5 1 5 . 5 1 4 . 2 1 3 . 3 1 2 . 5 1 2 . 0 1 1 . 7 1 1 . 5 1 1 . 4 1 1 . 3 1 1 . 4 1 1 . 2 1 1 . 6 1 2 . 1 1 2 . 6 18.8 9.0 24.4 2 2 . 2 1 9 . 6 1 7 . 2 1 5 . 4 1 4 . 0 1 3 . 2 1 2 . 5 1 2 . 0 1 1 . 6 1 1 . 4 1 1 . 2 1 1 . 3 1 1 . 4 1 1 . 2 1 1 . 5 1 1 . 9 16.0 9.6 21.5 1 9 . 1 1 6 . 9 1 5 . 3 1 4 . 1 1 3 . 1 1 2 . 4 1 2 . 0 1 1 . 7 1 1 . 4 1 1 . 3 1 1 . 4 1 1 . 5 1 1 . 1 1 1 . 4 1 1 . 8 1 1 . 9 13.8 16.8 22.9 2 0 . 9 1 8 . 4 1 6 . 5 1 4 . 9 1 3 . 7 1 2 . 7 1 2 . 1 1 1 . 7 1 1 . 5 1 1 . 3 1 1 . 2 1 1 . 1 1 1 . 2 1 0 . 8 1 1 . 2 1 1 . 5 1 1 . 5 1 2 . 2 1 2 . 9 1 4 . 2 25.6 24.4 2 2 . 0 1 9 . 7 1 7 . 5 1 5 . 6 1 4 . 2 1 3 . 2 1 2 . 3 1 1 . 8 1 1 . 3 1 1 . 1 1 0 . 8 1 0 . 8 1 0 . 8 1 0 . 9 1 0 . 5 1 0 . 9 1 1 . 1 1 1 . 4 1 2 . 0 1 2 . 9 1 3 . 8 1 5 . 4 26.1 24.5 2 2 . 4 2 0 . 2 1 8 . 2 1 6 . 3 1 4 . 6 1 3 . 4 1 2 . 4 1 1 . 7 1 1 . 2 1 0 . 9 1 0 . 7 1 0 . 4 1 0 . 4 1 0 . 5 1 0 . 5 1 0 . 2 1 0 . 5 1 0 . 7 1 0 . 9 1 1 . 3 1 2 . 0 1 2 . 9 1 4 . 1 1 5 . 6 21.6 20.0 1 8 . 1 1 6 . 4 1 4 . 9 1 3 . 5 1 2 . 4 1 1 . 6 1 1 . 1 1 0 . 6 1 0 . 2 1 0 . 0 1 0 . 0 9 . 9 9 . 9 1 0 . 0 9 . 8 9 . 9 1 0 . 1 1 0 . 3 1 0 . 8 1 1 . 2 1 2 . 0 1 2 . 9 1 3 . 6 17.4 16.1 1 4 . 6 1 3 . 4 1 2 . 3 1 1 . 3 1 0 . 7 1 0 . 2 9 . 9 9 . 5 9 . 4 9 . 4 9 . 3 9 . 2 9 . 3 9 . 2 9 . 4 9 . 5 9 . 9 1 0 . 3 1 0 . 6 1 1 . 1 1 1 . 5 14.2 13.1 1 2 . 1 1 1 . 2 1 0 . 5 9 . 9 9 . 5 9 . 2 9 . 0 8 . 9 8 . 8 8 . 8 8 . 9 8 . 9 8 . 7 8 . 8 9 . 0 9 . 4 9 . 8 1 0 . 1 1 0 . 2 11.8 11. 1 1 0 . 3 9 . 7 9 . 3 8 . 9 8 . 7 8 . 6 8 . 5 8 . 4 8 . 4 8 . 5 8 . 5 8 . 4 8 . 5 8 . 6 8 . 9 9 . 3 9 . 4 10.2 9. 7 9 . 2 8 . 8 8 . 6 8 . 4 8 . 3 8 . 2 8 . 1 8 . 2 8 . 2 8 . 2 8 . 1 8 . 3 8 . 5 8 . 7 8 . 7 9.1 8 . 8 8 . 5 8 . 2 8 . 0 7 . 9 7 . 9 7 . 8 7 . 9 7 . 9 8 . 0 7 . 8 8 . 1 8 . 3 8 . 2 8.5 8.3 8 . 0 7 . 8 7 . 8 7.77.67.77.8 7.9 7 . 8 7 . 9 7 . 8 8.1 7.9 7 . 7 7 . 7 7 . 7 7 . 6 7 . 7 7 . 7 7 . 8 7 . 8 7 . 6 7.77.67.5 7.5 7 . 4 7 . 5 7.67.7 7.4 7.4 7.3 7 . 3 7 . 3 7 . 4 7 . 5 7 . 3 7.1 7.2 7 . 2 7 . 2 7 . 1 7.0 7. 0 6 . 8 6.5 LEVEL 01VARIES LEVEL 1.5VARIES SFRS SFRS SFRSSFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS S FRS SFRS S FRS SFRS SFRS SFRS SFRS Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinB1 - ENTRY RAMP_1_Top Illuminance Fc 35.04 61.9 0.0N.A. N.A.B1 - EXIT RAMP_Top Illuminance Fc 19.29 48.8 0.1 192.90 488.00B1_SLAB_Top Illuminance Fc 10.65 36.6 0.7 15.21 52.29 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWattsMountingHeight27 TT-D8-740-U-WQ Single TT-D8-740-U-WQ D8W 1.000 17562 148.7 4014.9 14.833, 2343 HPG14-www-xx-5W-CP-90L-40K8-D Single HPG14-www-xx-5W-CP-90L-40K8-DIM1-yyy-zzzz K90 0.850 11922 97 4171 16, 20, 23,28, 30, 31,34.333, 35,37, 382 XTOR1B-W Single XTOR1B-W W1 0.850 1397 12.2 24.4 3311GLEON-SA1A-740-U-T4FT Single GLEON-SA1A-740-U-T4FT W2 0.850 4909 34 37412, 14,17.5, 25, 35 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 19/05/2025 5 : 0 4 : 4 9   p .   m . LEVEL B1 -PHOTOMETRICPLAN E2.01A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/16" = 1'-0"LEVEL B1 - PHOTOMETRIC PLAN1 NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #12 05/19/2025 Bulletin #2 2 PP PP 'GDP' '1TE1' '1EH1''1EL1''1RP' '1L1' '1T1''1H1' 'SEC''FACP' 'CO1' 'CO2''1EH2' 'EGDP' '1TLA' '1TLB' 'BMS 2''BMS 1' 1H1-1(1RP-18)D6M 1EH1-17D6ME 1H1-1K401H1-1K40 1EH1-5X1 1EH1-5X1 1H1-1K40 1EH1-17K40E1EH1-17K40E 1EH1-5X1 1H1-1K40 1H1-1K40 1H1-2ST11EH1-6ST11H1-2ST1 1EH1-6ST11EH1-6ST1 1EH1-12ST11EH1-12ST1EM EM 1EH1-5X1 EM EM EM 1EH1-19RX7 3EH1-6ST1 3EH1-6ST1 WP WPL2 L2 EM EM 3EH1-6ST1 3EH1-6ST1 1EH1-17K40E 1H1-1K40 1EH1-17K40E EMEM 1H1-3(1RP-3)W11H1-3(1RP-3)±10'1EH1-11(1RP-4)W11EH1-11(1RP-4)±7' 1EH1-12X1 1EH1-11(1RP-4)W11EH1-11(1RP-4)±14' 1EH1-11(1RP-4)W11EH1-11(1RP-4)±14'1H1-3(1RP-3)W11H1-3(1RP-3)±14' 1H1-3(1RP-3)W21H1-3(1RP-3)±10'1EH1-11(1RP-4)W21EH1-11(1RP-4)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10' 1H1-3(1RP-3)W11H1-3(1RP-3)±10'1EH1-11(1RP-4)W21EH1-11(1RP-4)±10'1H1-3(1RP-3)W11H1-3(1RP-3)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10' 1H1-1K40 1H1-1K40 1EH1-5X1 1H1-1K40 1H1-1(1RP-18)D6M 1H1-1(1RP-18)D6M 1EH1-11(1RP-4)W11EH1-11(1RP-4)±14' 1EH1-11(1RP-4)W11EH1-11(1RP-4)±7' EM EM UTILITY ROOM FIRE RISER ROOM ELECTRICAL ROOM EM EM EM EM EMEM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.K G.L 1EH1-19RX7 1EH1-19RX7 EM EM 3EH1-6RX7EM 1H1-1K40 L4 L1 BEP BEP EM EM X1 EM1EH1-11(1RP-4)W11EH1-11(1RP-4)±14' 1EH1-5X1 EM EM EM E2.101 E2.102 E2.103 1EH1-8ST1 1EH1-8ST1 1EH1-8ST1 L4 1EH1-12RX7 1H1-1RX7 1H1-3W11H1-3 ±10' L1 WP 1EH1-4BEPEML1 1H1-11H1-1 1H1-1 1H1-1 L6 L6 L6 L6 EM L2 L91EH1-2ST2L81H1-1(1RP-18) EM EM 1H1-15 1H1-15 1H1-15 1EH1-5X1 1EH1-6ST1 1H1-2ST11EH1-6ST1 1H1-2ST1 4 4 EM EM LUKEJUSTINNo. 6598067-2202 GINEER ONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 26/06/20 2 5 5 : 4 7 : 4 9 p . m . LEVEL 1 - PARKINGLIGHTING PLAN E2.02 PHASE 2 PERMIT SET 03/07/2025 61 S 40 0 W . SALT LA K E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 1 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040.L8 ELEVATOR ENCLOSURE LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L9 ELEVATOR ENCLOSURE LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER. NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #14 06/25/2025 Bulletin #4 12.1 13.9 15.4 1 5 . 5 1 4 . 3 1 2 . 1 15.6 18.2 19.7 1 9 . 7 1 7 . 4 1 5 . 1 18.7 22.6 24.9 2 4 . 2 2 0 . 8 1 7 . 6 21.0 25.6 28.5 2 7 . 3 2 3 . 1 1 9 . 3 21.5 25.8 28.4 2 7 . 5 2 3 . 5 1 9 . 8 20.8 24.3 26.4 2 5 . 9 2 2 . 7 1 9 . 4 20.6 23.7 25.4 2 5 . 0 2 2 . 5 1 9 . 3 21.4 25.0 26.9 2 6 . 3 2 3 . 4 1 9 . 9 22.5 26.9 29.4 2 8 . 4 2 4 . 7 2 0 . 8 22.8 27.4 30.1 2 8 . 9 2 5 . 0 2 0 . 9 21.6 25.5 27.8 2 7 . 0 2 3 . 7 1 9 . 9 20.0 23.0 24.7 2 4 . 3 2 1 . 8 1 8 . 7 19.3 22.0 23.5 2 3 . 3 2 1 . 0 1 8 . 2 19.7 23.0 25.0 2 4 . 4 2 1 . 5 1 8 . 5 20.5 24.8 27.3 2 6 . 4 2 2 . 5 1 8 . 9 20.2 24.7 27.5 2 6 . 3 2 2 . 2 1 8 . 4 18.0 21.7 23.9 2 3 . 2 1 9 . 8 1 6 . 6 14.9 17.2 18.6 1 8 . 5 1 6 . 4 1 4 . 1 11.9 13.4 14.2 1 4 . 3 1 3 . 3 1 1 . 8 9.6 10.7 11.2 1 1 . 5 1 1 . 2 1 0 . 1 14.4 17.4 18.8 1 8 . 4 1 6 . 3 1 3 . 5 18.0 21.9 24.0 2 3 . 2 1 9 . 9 1 6 . 3 20.9 25.8 28.5 2 7 . 3 2 3 . 3 1 8 . 9 22.4 27.7 30.3 2 9 . 0 2 4 . 7 2 0 . 0 22.7 27.3 29.8 2 8 . 7 2 4 . 9 2 0 . 2 22.5 27.1 29.5 2 8 . 4 2 4 . 6 2 0 . 2 22.1 27.1 29.7 2 8 . 4 2 4 . 2 2 0 . 1 19.9 24.6 28.1 2 6 . 9 2 2 . 9 1 9 . 1 17.1 20.3 22.2 2 1 . 1 1 9 . 7 1 6 . 7 13.6 14.4 15.5 1 5 . 0 1 3 . 3 1 3 . 5 23.0 27.5 3 0 . 2 3 1 . 6 3 2 . 2 3 2 . 3 3 1 . 3 2 8 . 5 2 4 . 6 24.7 30.3 3 4 . 0 3 5 . 3 3 5 . 8 3 6 . 3 3 5 . 3 3 1 . 7 2 6 . 6 24.2 31.2 3 5 . 5 3 6 . 3 3 6 . 8 3 8 . 0 3 7 . 4 3 3 . 3 2 7 . 4 22.0 29.9 3 3 . 1 3 4 . 3 3 5 . 3 3 6 . 9 3 7 . 0 3 3 . 4 2 7 . 6 23.1 26.4 2 8 . 9 3 0 . 1 3 2 . 4 3 5 . 1 3 6 . 5 3 3 . 4 2 8 . 0 1.8 3 . 4 7 . 2 7 . 8 5.77.8 9 . 8 3 . 6 0 . 0 0 . 1 2.44.7 12.5 13 . 8 6 . 5 1 3 . 1 1 8 . 3 0.3 3.0 4 . 1 4.5 14.5 1 5 . 2 0.6 3.6 4 . 3 3 . 2 17.8 2 1 . 7 3.2 5.1 5 . 6 7 . 6 1 1 . 5 1 6 . 2 2 4 . 0 3 5 . 2 4 0 . 2 4 2 . 3 3 3 . 0 5.9 6 . 9 9 . 9 1 2 . 4 1 7 . 1 2 8 . 0 4 3 . 6 4 7 . 0 4 9 . 0 4 0 . 2 6.3 7 . 9 1 1 . 4 1 3 . 3 1 7 . 4 2 8 . 3 4 0 . 9 4 5 . 8 45.538.8 6.1 6 . 9 9 . 4 1 1 . 6 1 6 . 1 2 7 . 0 4 2 . 5 44.7 46.9 39. 8 5.55.9 7.49.4 1 3 . 3 2 1 . 0 3 0 . 3 3 2 . 9 3 3 . 8 3 0 . 2 4.85.5 6.6 8. 1 1 0 . 4 1 3 . 7 1 7 . 1 1 8 . 9 1 9 . 4 1 9 . 3 4.6 5 . 3 5 . 8 6 . 9 8 . 2 9 . 3 1 0 . 4 1 1 . 3 1 1 . 8 1 3 . 5 4.65.5 6.2 6. 9 6 . 9 7 . 3 7 . 3 7 . 8 8 . 2 1 0 . 5 4.76.4 8 . 3 8 . 3 6 . 9 6 . 7 6 . 5 6 . 6 6 . 9 9 . 3 2.1 2 . 8 3 . 4 4 . 3 5 . 1 6 . 9 9 . 5 8 . 8 7 . 0 6 . 6 6 . 6 6 . 2 6 . 5 9 . 1 2.3 3 . 1 3 . 9 4 . 6 5 . 1 6 . 3 7.77.9 7 . 3 7 . 9 8 . 2 6 . 9 6 . 3 9 . 3 2.9 3 . 5 4.44.8 6.1 6 . 1 6 . 8 7 . 0 7.48.7 9 . 5 7.7 6.5 9.4 3.24.56.1 6 . 1 6 . 0 7 . 0 8 . 0 8 . 0 7 . 3 7.7 8.0 6. 7 6 . 0 9 . 2 3.8 6 . 1 8 . 5 7 . 9 6 . 8 8 . 0 9 . 9 8 . 9 6 . 7 6 . 2 5 . 9 5.4 5.6 8.5 3.9 5 . 8 7 . 6 7.56.7 7 . 6 8 . 6 8 . 1 6 . 2 5.5 4.9 4. 8 4 . 8 7.7 3.6 5 . 1 5 . 9 6 . 5 6 . 2 6 . 8 6 . 7 6 . 5 5 . 2 4.7 4.0 4. 0 4 . 3 6 . 9 3.7 4 . 8 5.76.0 6.3 6 . 2 6 . 3 5 . 9 4 . 9 4 . 1 3 . 5 3 . 4 3 . 6 5.7 3.6 5 . 2 7 . 1 6 . 8 6 . 0 6 . 5 7.46.4 4.73.8 3 . 0 2 . 7 2 . 6 3.6 5 . 9 7 . 9 7 . 3 6 . 0 6 . 8 8 . 3 6 . 9 4 . 3 3 . 3 2 . 6 2 . 1 3.04.56.15.74.95.4 6.35.4 3.8 2. 8 2 . 1 0.0 0 . 0 2 . 4 3 . 0 3 . 7 3 . 8 3 . 9 3 . 8 3 . 9 3 . 5 2 . 7 2 . 3 4.6 2 . 7 1 . 7 1 . 3 1 . 1 1 . 0 2.1 3 . 3 2 . 3 1 . 8 1 . 6 1 . 4 22.5 2 5 . 6 2 5 . 5 2 3 . 6 1 4 . 0 9 . 0 1 7 . 4 2 3 . 9 1 0 . 5 4 . 9 3 . 3 2 . 7 2 . 3 2 . 1 20.9 2 3 . 1 2 3 . 1 2 1 . 1 1 3 . 9 1 1 . 6 2 7 . 0 3 9 . 1 1 5 . 6 6 . 7 4 . 6 3 . 7 3 . 1 2 . 9 9.9 9 . 6 9 . 2 8 . 6 7 . 9 1 0 . 9 2 8 . 4 4 1 . 4 1 7 . 2 7 . 9 5 . 8 4 . 8 4.43.8 6.2 5 . 1 4 . 6 4.7 5. 4 8.7 22 . 1 3 2 . 0 1 4 . 6 8 . 5 8 . 9 6 . 9 5 . 0 4 . 6 3.7 3 . 5 3 . 3 3 . 4 4.4 6.0 11 . 0 1 4 . 1 9 . 5 8 . 9 1 1 . 3 8 . 8 5.75.0 4.0 4 . 1 5 . 6 6 . 4 6 . 5 6 . 8 7 . 8 6 . 4 5 . 0 4.7 4.1 3 . 4 4 . 1 4.75.15.55.2 4 . 9 4 . 6 4 . 0 4.9 3 . 7 4 . 0 4.44.84.74.6 4 . 2 3 . 7 3 . 4 7.1 4.5 4. 4 4.9 5.0 5 . 0 4.73.9 3.3 2 . 9 8.4 5 . 2 4 . 8 5.7 7.4 6.24.73.9 3.1 2 . 6 7.6 4 . 8 4 . 9 7 . 1 1 0 . 5 8 . 4 5 . 3 4 . 0 3 . 0 2 . 5 7.1 4 . 3 4 . 9 5 . 8 7 . 8 6 . 6 4 . 8 3 . 9 3 . 1 2 . 5 8.6 4 . 6 4 . 3 4.75.1 5 . 0 4 . 8 3 . 9 3 . 3 2 . 8 8.5 4.53.8 4 . 0 4.54.6 4.6 4 . 2 3 . 6 3 . 2 6.8 3 . 7 3 . 6 3 . 7 4 . 3 4 . 8 5 . 1 4.7 4.5 3.6 7.0 3 . 6 3 . 2 3 . 4 4 . 3 5.5 7.7 6.44.74.3 7.1 3 . 8 2 . 8 3 . 1 3 . 9 6 . 5 1 0 . 1 8 . 1 5 . 1 4.5 5.1 2 . 7 2 . 4 2 . 7 3 . 6 4 . 8 6 . 5 5.54.3 4 . 0 2.9 1 . 7 1 . 9 2 . 2 2 . 8 3 . 5 3 . 7 3 . 7 3 . 6 3 . 1 1.0 1. 3 1 . 6 2 . 0 2 . 3 2 . 6 2 . 6 2 . 5 2 . 4 0.9 1 . 1 1 . 4 1 . 6 1 . 8 1 . 8 1 . 7 1 . 7 0.8 0.9 1 . 1 1 . 2 1 . 2 1 . 2 1 . 1 0.6 0 . 7 0 . 8 0 . 8 0 . 8 0 . 8 0.7 0 . 7 0 . 8 0 . 9 1 . 0 1.1 1.2 1. 2 0 . 6 0 . 7 0 . 7 0 . 8 0 . 8 0 . 7 0 . 7 0 . 7 0 . 6 0 . 5 0 . 4 0 . 4 0 . 3 0 . 2 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0.7 0 . 8 0 . 9 1 . 0 1.11.3 1.4 1. 4 0.8 0.8 0 . 9 0 . 9 0 . 9 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 5 0 . 4 0 . 3 0 . 3 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0.8 0 . 9 1 . 0 1.1 1.21.4 1.61.7 0.9 1.0 1.1 1.1 1 . 1 1 . 1 1.0 0.9 0 . 8 0 . 7 0 . 6 0 . 5 0 . 4 0 . 3 0 . 2 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0.9 1 . 0 1.11.2 1 . 3 1.5 1.8 1. 9 1.11.2 1 . 3 1 . 3 1 . 3 1 . 3 1 . 2 1.11.0 0 . 8 0 . 7 0 . 6 0 . 4 0 . 3 0 . 3 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 1.01.11.3 1. 3 1.41.6 1 . 9 2 . 1 1 . 2 1.4 1 . 5 1 . 5 1 . 5 1 . 5 1 . 4 1.31.1 0.9 0. 8 0 . 6 0 . 5 0 . 3 0 . 3 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 0 0 . 0 1.11.2 1.3 1.4 1 . 5 1 . 7 2.0 2. 3 1 . 3 1.51.61.7 1 . 7 1.61.5 1.4 1.2 1 . 0 0 . 8 0 . 6 0 . 5 0 . 3 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 1.11.21.4 1. 5 1.61.7 2.0 2. 4 1 . 3 1.51.61.7 1 . 7 1.61.5 1.4 1.2 1 . 0 0 . 8 0 . 6 0 . 4 0 . 3 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 1.11.31.4 1. 4 1 . 4 1.0 1 . 2 1.4 1.11.31.41.2 1 . 2 1.1 1.21.5 1.2 1 . 3 1.4 1. 4 1 . 4 1 . 1 1.31.5 1.2 1 . 3 1.5 1. 4 1 . 4 1.2 1.4 1. 7 1.2 1 . 3 1.5 1. 4 1 . 4 1.2 1.4 1. 7 1.31.5 1.4 1 . 4 1 . 4 1.3 1.5 1. 7 1.31.41.6 1. 6 1 . 6 1 . 6 1.5 1. 7 1.31.4 1.5 1.6 1 . 6 1 . 6 1 . 8 1 . 6 1.21.4 1.5 1 . 5 1.6 1. 6 1 . 8 1 . 9 1.2 1 . 3 1.4 1. 5 1.6 1. 6 1 . 8 1 . 8 0 . 9 0 . 9 1.11.31.4 1. 4 1 . 5 1.6 1 . 8 1 . 8 0 . 9 0 . 9 1 . 0 1 . 2 1.11.2 1.3 1.4 1 . 5 1.6 1 . 8 1.4 1.0 0.9 1 . 0 1 . 2 1.01.11.2 1. 3 1.41.6 1.7 1. 4 1.0 0.9 1 . 0 1 . 3 0.9 1 . 0 1.11.2 1.4 1. 5 1.6 1. 3 1 . 0 0 . 9 1 . 0 1 . 3 0.9 1 . 0 1.11.2 1 . 3 1.4 1 . 5 1 . 1 1.0 1.0 1 . 0 1 . 3 0.8 0 . 9 1 . 0 1.1 1.31.4 1 . 4 1 . 1 1.0 0.9 1 . 0 1 . 3 0.8 0 . 8 0 . 9 1 . 0 1 . 2 1 . 3 1 . 3 1 . 0 1 . 0 0 . 9 1 . 0 1 . 3 0.7 0 . 8 0 . 9 1 . 0 1.11.2 1 . 3 1 . 0 0 . 9 0 . 9 1 . 0 1 . 2 0.7 0 . 7 0 . 8 0 . 9 1 . 0 1.1 1.2 0. 9 0 . 9 0 . 9 1 . 0 1 . 2 0.6 0 . 7 0 . 8 0 . 8 0 . 9 1 . 0 1.10.9 0 . 9 0 . 9 0 . 9 1.1 0.6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 1 . 0 0 . 8 0 . 8 0 . 8 0 . 9 1.1 0.5 0 . 6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 0 . 8 0 . 8 0 . 8 0 . 9 1 . 0 0 . 0 0.5 0 . 5 0 . 6 0 . 6 0 . 7 0 . 7 0 . 8 0 . 7 0 . 7 0 . 8 0 . 8 0 . 9 0 . 0 0 . 0 0.4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 8 0 . 8 0 . 0 0 . 0 0 . 0 0.4 0 . 4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 7 0 . 7 0 . 7 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.4 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 6 0 . 6 0 . 2 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.3 0 . 3 0 . 3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 2 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 2 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.2 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 4 0 . 3 0 . 2 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 3 0 . 3 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 2 0 . 2 0 . 2 0 . 2 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 2 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 2 0 . 2 0 . 3 0 . 2 0 . 4 0 . 4 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 2 0 . 2 0 . 2 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 2 0 . 3 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0 . 3 0 . 4 0 . 3 0 . 5 0 . 4 0 . 7 0 . 6 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 3 0 . 3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 2 0 . 3 0 . 3 0 . 6 0 . 9 0 . 8 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0 . 3 0 . 4 0 . 3 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 3 0 . 3 0 . 6 1.11.0 0. 9 0 . 8 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 4 0 . 4 1.4 1 . 4 1.21.1 1.0 1. 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 5 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 5 0 . 6 1 . 8 1.7 1.5 1.3 1 . 2 1 . 2 1.1 1. 1 1.0 0.8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 4 0.7 0 . 7 2 . 3 2 . 1 1 . 8 1 . 6 1.41.6 1.41.2 1.10.9 0 . 8 0 . 7 0 . 6 0 . 5 0 . 5 0 . 5 0.9 1 . 0 2 . 9 2 . 5 2 . 1 1 . 8 1 . 6 1 . 8 1 . 6 1.4 1.2 1.0 0 . 9 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 1.2 1 . 2 3 . 4 3 . 0 2 . 5 2 . 1 1 . 8 2 . 0 1 . 8 1.5 1.31.10.9 0.8 0 . 7 0 . 6 0 . 6 0 . 5 1.4 1 . 5 4.0 3 . 4 2 . 8 2 . 4 2 . 0 2 . 2 1 . 9 1 . 6 1.41.2 1 . 0 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 1.7 1 . 7 4.6 3 . 8 3 . 2 2 . 6 2 . 2 2 . 4 2 . 1 1.7 1 . 4 1.2 1 . 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 2.0 2 . 0 5 . 0 4.13.4 2. 8 2 . 3 2 . 5 2 . 2 1 . 8 1.51.31.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.2 2 . 2 5.14.3 3.6 2 . 9 2 . 4 2 . 6 2 . 3 1 . 9 1 . 6 1 . 3 1.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.4 2 . 3 5.14.3 3.6 3 . 0 2 . 5 2 . 7 2 . 3 1 . 9 1 . 6 1 . 3 1.11.0 0 . 8 0 . 7 0 . 7 0 . 6 2.4 2 . 3 4 . 9 4 . 2 3 . 5 3 . 0 2 . 5 2 . 7 2 . 3 2 . 0 1 . 6 1.4 1 . 1 1.0 0 . 8 0 . 7 0 . 7 0 . 6 2.5 2 . 3 4.53.9 3.4 2 . 9 2 . 5 2 . 7 2 . 3 1 . 9 1 . 6 1.4 1 . 1 1.0 0 . 8 0 . 7 0 . 7 0 . 6 2.4 2 . 2 4 . 0 3 . 6 3 . 2 2 . 8 2 . 4 2 . 6 2 . 3 1 . 9 1 . 6 1.4 1 . 1 1.0 0 . 8 0 . 8 0 . 7 0 . 6 2.4 2 . 1 3 . 6 3 . 3 3 . 0 2 . 7 2 . 4 2 . 5 2 . 2 1 . 9 1 . 6 1 . 3 1.11.0 0 . 8 0 . 7 0 . 7 0 . 6 2.3 2 . 0 3 . 2 3 . 0 2 . 8 2 . 5 2 . 2 2 . 4 2 . 1 1 . 8 1.51.31.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.2 1 . 8 2 . 8 2 . 7 2 . 6 2 . 4 2 . 1 2 . 2 2 . 0 1.7 1 . 5 1.31.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.11.72.5 2 . 4 2 . 4 2 . 2 2 . 0 2 . 1 1 . 9 1 . 6 1.41.2 1 . 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 2.0 1 . 6 2 . 2 2 . 2 2 . 2 2 . 0 1 . 8 1 . 9 1 . 8 1 . 6 1 . 3 1 . 2 1 . 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 2.01.52.0 2 . 0 2 . 0 1 . 9 1.71.8 1.7 1. 5 1.31.11.0 0.8 0 . 8 0 . 7 0 . 7 0 . 6 1.91.51.8 1 . 9 1 . 9 1 . 8 1 . 6 1.7 1.61.4 1.21.10.9 0.8 0 . 8 0 . 7 0 . 7 0 . 6 1.81.4 1.7 1 . 7 1 . 7 1 . 7 1 . 5 1.6 1.51.3 1.11.0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 1.7 1 . 4 1.6 1 . 6 1 . 6 1.5 1 . 4 1 . 5 1 . 4 1.2 1.10.9 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 1.61.4 1.5 1 . 5 1 . 5 1 . 4 1.3 1. 3 1 . 3 1.1 1.0 0.9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0.01.51.31.41.3 1.3 1 . 3 1 . 2 1 . 2 1 . 2 1.1 1.0 0.9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0.0 0 . 5 1.41.2 1.3 1 . 2 1 . 2 1 . 2 1.1 1. 1 1 . 1 1.0 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0.0 0.3 0 . 4 1 . 2 1 . 2 1 . 2 1.1 1.1 1 . 1 1.01.1 1 . 1 1.0 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0.0 0 . 0 0 . 0 0 . 0 0.0 0 . 2 0 . 2 0 . 3 1.1 1 . 1 1 . 1 1.0 1.0 1 . 0 0 . 9 1.1 1.0 0. 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 2 0 . 5 1 . 0 1 . 0 1 . 0 0 . 9 0 . 9 0 . 9 0 . 9 1 . 0 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 1 0 . 2 0 . 5 0 . 9 0 . 9 0 . 9 0 . 8 0 . 8 0 . 9 0 . 8 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 4 0 . 7 0 . 8 0 . 8 0 . 7 0 . 8 0 . 7 0 . 7 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 2 0 . 4 0 . 6 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 1 0 . 2 0 . 4 0 . 5 0 . 6 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 W1MH: 15.875W1MH: 15.875W1MH: 15.875 W2MH: 15.87 5 W2MH: 15.87 5 W2MH: 15.87 5 W2MH: 15.87 5 RX7MH: 8.8 RX7MH: 8.8 K40MH: 13.958 K40MH: 13.95 8 K40MH: 13.958 ST1MH: 13.958 ST1MH: 13.958 RX7MH: 13.958RX7MH: 13.958RX7MH: 13.958RX7MH: 13.958 RX7MH: 13.958 RX7MH: 13.958 RX7MH: 13.958 W1MH: 17.01 3 W2MH: 17.013 W2MH: 17.013 W2MH: 17.013 W1MH: 17.013 W1MH: 17.013 W1MH: 17.013 W1MH: 17.013 W2MH: 17.013 W2MH: 17.013 W2MH: 17.013 K40MH: 13.212 K40MH: 10.069 K40MH: 8.598 K40MH: 9.5 K40MH: 9.5 D6MMH: 9.5 D6MMH: 9.5 D6MMH: 9.5 D6MMH: 9.5 K40MH: 9.5 K40MH: 14.683 K40MH: 17.167 ST1MH: 8.2 ST1MH: 8.2 ST1MH: 8.2 ST1MH: 8.2 ST1MH: 8.2 K40MH: 9.5 K40MH: 9.5 K40MH: 9.5 K40MH: 9.5 1.5 2.2 3.04.4 5.46.7 6.9 5.9 5.34.54.1 4.0 1.52.1 2.94.56.0 9.5 9.9 6.4 5.24.13.7 3.5 1.4 2.0 2.94.45.8 9.1 9.3 6.3 5.1 3.8 3.2 2.9 1.3 1.9 2.7 3.75.15.9 6.1 5.34.13.3 2.8 2.4 1.2 1.7 2.4 3.3 4.14.74.8 4.3 3.6 2.7 2.1 1.6 1.1 1.6 2.3 3.0 3.9 4.6 4.6 4.0 3.2 2.5 1.9 1.4 1.1 1.6 2.3 3.1 4.1 5.1 5.1 4.1 3.2 2.4 1.8 1.3 1.1 1.6 2.3 3.6 5.0 8.0 8.3 5.1 3.7 2.4 1.7 1.2 1.0 1.6 2.3 3.7 5.6 9.7 10.1 5.7 3.8 2.4 1.6 1.1 1.0 1.5 2.2 3.24.76.4 6.4 4.8 3.2 2.3 1.5 1.1 0.9 1.3 1.9 2.8 3.6 4.64.73.8 2.8 2.01.41.0 0.9 1.3 1.8 2.3 3.0 3.4 3.5 3.2 2.6 1.8 1.3 1.0 0.9 1.31.72.2 2.7 3.1 3.2 2.9 2.4 1.8 1.3 1.0 0.9 1.3 1.8 2.4 3.1 3.3 3.4 3.3 2.7 2.2 1.4 1.1 1.01.42.0 2.9 3.85.15.2 4.0 3.2 2.4 1.61.1 1.0 1.5 2.1 3.44.78.4 8.7 4.9 3.7 2.6 2.1 1.3 1.0 1.6 2.3 3.6 4.9 7.8 8.0 5.34.12.8 2.21.4 1.1 1.6 2.3 3.24.75.35.44.9 3.6 2.9 2.3 2.11.91.7 1 . 4 1.21.1 0.9 0. 9 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 2.2 2.0 1.7 1.5 1.3 1.1 1. 1 1 . 1 1.2 1 . 2 1.10.8 2.6 2.4 2 . 2 2 . 0 1.7 1 . 5 1 . 4 1 . 5 1.6 1.71.6 1 . 3 3.5 3.3 3 . 3 2 . 9 2 . 3 1 . 9 1.7 2.1 2. 5 2 . 6 2 . 8 1 . 9 4.2 5.0 4 . 9 3 . 6 2 . 8 2 . 2 2 . 2 2 . 4 3 . 5 4 . 8 3 . 9 2 . 9 4.57.9 8 . 4 4 . 6 3 . 2 2 . 3 2 . 4 2 . 8 5.1 8.6 5.9 2 . 8 4.2 6.4 6 . 6 4.12.9 2 . 2 2 . 2 2 . 4 4.1 6.2 4.6 2 . 6 2.9 3.5 3 . 4 2 . 9 2 . 1 1 . 8 1.7 2.1 2. 4 3 . 1 2 . 5 2 . 1 2.2 2.3 2 . 2 1 . 8 1.5 1.3 1. 2 1 . 3 1.7 1.9 1.6 1 . 2 1.4 1.4 1.31.11.0 0 . 9 0 . 8 0 . 9 1 . 0 1 . 0 0 . 9 0 . 7 0.9 0.9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 5 0 . 4 0.6 0.5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 2 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts74VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 222.610 GLEON-SA1A-740-U-T4FT Single GLEON-SA1A-740-U-T4FT W2 0.850 4909 34 3409 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 278.3888 XTOR1B-W Single XTOR1B-W W1 0.850 1397 12.2 97.64 TT-D6-740-U-MQ Single TT-D6-740-U-MQ D6M 0.850 13253 105.2 420.815HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 675 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinELECTRICAL_1_Floor Illuminance Fc 20.99 30.1 9.6 2.19 3.14ELECTRICAL_2_Floor Illuminance Fc 22.04 30.3 13.3 1.66 2.28ELECTRICAL_Floor Illuminance Fc 31.44 38.0 22.0 1.43 1.73Level 1 Ramp_Lower_Top Illuminance Fc 3.34 10.1 0.9 3.71 11.22Level 1 Ramp_Upper_Top Illuminance Fc 2.13 8.6 0.2 10.65 43.00Level 1_Lower Landing_Top Illuminance Fc 9.46 49.0 0.0N.A. N.A.Level 1_Upper Landing_Top Illuminance Fc 6.12 41.4 0.6 10.20 69.00Level B1_Top Illuminance Fc 0.74 2.4 0.0N.A. N.A.Level B1b_Top Illuminance Fc 0.925.10.0N.A. N.A. Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinCalcPts_1 Illuminance Fc 2.60 26.8 0.0N.A. N.A.Landing _2_Top Illuminance Fc 15.98 18.8 12.5 1.28 1.50Landing 1_Top Illuminance Fc 18.68 20.1 17.3 1.08 1.16Stair Tread_2_Top_1 Illuminance Fc 17.15 17.516.8 1.02 1.04Stair Tread_3_Top_1 Illuminance Fc 17.4017.517.3 1.01 1.01Stair Tread_4_1_Top_1 Illuminance Fc 18.80 19.0 18.6 1.01 1.02Stair Tread_4_2_Top_1 Illuminance Fc 17.90 18.317.51.02 1.05Stair Tread_4_3_Top_1 Illuminance Fc 14.80 15.8 13.8 1.07 1.14Stair Tread_4_4_Top_1 Illuminance Fc 14.15 15.3 13.0 1.09 1.18Stair Tread_4_5_Top_1 Illuminance Fc 13.75 15.0 12.5 1.10 1.20Stair Tread_4_6_1_Top_1 Illuminance Fc 13.8515.112.6 1.10 1.20Stair Tread_4_6_2_Top_1 Illuminance Fc 15.85 16.7 15.0 1.06 1.11Stair Tread_4_6_3_Top_1 Illuminance Fc 15.1516.1 14.2 1.07 1.13Stair Tread_4_6_4_Top_1 Illuminance Fc 15.20 16.3 14.1 1.08 1.16Stair Tread_4_6_5_Top_1 Illuminance Fc 14.20 15.3 13.1 1.08 1.17Stair Tread_4_6_6_Top_1 Illuminance Fc 13.50 14.5 12.5 1.08 1.16Stair Tread_4_6_7_Top_1 Illuminance Fc 13.00 13.8 12.2 1.07 1.13Stair Tread_4_6_8_Top_1 Illuminance Fc 13.60 14.5 12.7 1.07 1.14Stair Tread_4_6_Top_1 Illuminance Fc 16.25 17.2 15.3 1.06 1.12Stair Tread_4_Top_1 Illuminance Fc 16.85 17.0 16.7 1.01 1.02Stair Tread_Top_1 Illuminance Fc 16.10 16.715.51.04 1.08 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts7RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 216.5243 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.4 12.2 19.6 17.3 14.9 18.8 21.1 21.6 18.9 12.2 16.1 26.1 21.4 15.8 17.4 18.5 18.6 17.1 11.3 16.5 26.8 21.3 15.1 14.9 14.6 13.1 21.1 17.5 14.1 7.6 11.5 10.6 9.6 12.5 15.4 17.2 16.4 14.615.0 17.6 18.8 17.7 15.713.4 16.7 17.0 15.7 17.3 18.5 18.6 20.1 19.3 17.9 19.1 18.6 16.817.5 17.3 17.518.6 19.017.5 18.313.8 15.813.0 15.312.5 15.012.615.1 16.7 15.016.1 14.216.314.115.3 13.114.512.513.8 12.214.512.7 17.2 15.3 16.7 17.0 15.516.7 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L G.C G.B G.Q LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 2 8   p .   m . LEVEL 1 -PHOTOMETRICPLAN E2.02A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE =1 : 150LEVEL 1 - PHOTOMETRIC PLAN1 SCALE = 1/4" = 1'-0"LEVEL1 STAIR ENLARGEDPHOTOMETRIC PLAN2 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP 1H1-1K40 1EH1-5X1 1EH1-17K40E 1H1-1ST1 1EH1-12ST1 1EH1-12ST1EMEM 1EH1-5X1 1EH1-5X1 1H1-1K40 1EH1-5X1 1EH1-17K40E1H1-1K40 1EH1-17K40E 1H1-1(1RP-2)K40 1EH1-5X1 EM3EH1-6ST1 3EH1-6ST1 3EH1-6X1 EM 1EH1-12X1 1EH1-3(1RP-7)S1 1H1-13(1RP-6)S1 1EH1-3(1RP-7)S1 1H1-1K40 1H1-1K40 1EH1-17K40E 1H1-1(1RP-2)K40 1H1-1K40 1EH1-12X1 FIRE PUMPROOM EM EM EM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L 1H1-13(1RP-6)S1 EM1EH1-3(1RP-7)S1 EM EM EM1EH1-16RX7 1EH1-16RX7 1EH1-16RX7 3EH1-6RX7 3EH1-6RX7 EM EM EM1EH1-1W1 L4 WP WP L2 L2 L2BEP BEP EM EML1 1EH1-5X1 1H1-1RX7 1H1-1RX7 1H1-1RX7 1H1-13(1RP-6)S1 1H1-1 1H1-1 1H1-1 1H1-1 L6L6 L6 L6 1H1-12 1H1-12 1H1-12 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 0   p .   m . LEVEL 2 - PARKINGLIGHTING PLAN E2.03 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 2 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set S1MH: 27. 8 3 2 ST1MH: 22 S1MH: 26.4 8 5 S1MH: 25. 3 4 S1MH: 24. 8 8 5 S1MH: 24. 6 1 1 S1MH: 23. 7 4 21.8 22. 4 2 0 . 5 24.7 25.3 23.4 25.8 26. 4 2 4 . 6 25.7 26. 5 2 4 . 6 2.8 6 . 7 9 . 6 7 . 2 9 . 8 6 . 6 2 . 0 0 . 0 0 . 6 1 . 0 3.9 1 1 . 4 1 8 . 2 1 1 . 2 1 8 . 5 1 2 . 5 2 3 . 4 2 0 . 6 2 . 0 1 . 4 3.7 7.4 8.9 0 . 0 0 . 0 4 . 3 1 2 . 8 9 . 3 3 . 6 1 . 9 3.3 4 . 3 3 . 6 0 . 0 0 . 0 5.4 16.7 1 3 . 2 4.5 2.3 3.3 3 . 6 4 . 1 4.4 5.1 6 . 3 8 . 9 7 . 1 3 . 7 2 . 2 3.6 3 . 7 4 . 3 5.4 7 . 7 7.0 5.5 4.3 2 . 8 1 . 7 3.7 3 . 8 4.4 6.6 1 0 . 1 8 . 1 5 . 1 3 . 6 2 . 4 1 . 5 3.6 3 . 6 4.4 5 . 4 6.9 5 . 9 4 . 2 3 . 2 2 . 2 1 . 4 3.2 3 . 5 4 . 0 4 . 6 4.7 4 . 4 4.0 2 . 8 2 . 1 1 . 4 3.0 3 . 3 3 . 7 4 . 2 4 . 6 4 . 2 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 8 4.5 4 . 7 4 . 4 4.0 2 . 8 2 . 0 1 . 4 2.7 3 . 1 4 . 1 5 . 3 6 . 9 5 . 9 4 . 1 3 . 1 2 . 1 1 . 4 2.6 3 . 2 4 . 0 6 . 3 1 0 . 0 7 . 9 4.7 3.3 2 . 1 1 . 4 2.7 3 . 1 4 . 1 5 . 3 7.5 6.4 4 . 3 3 . 2 2 . 1 1 . 4 2.7 3 . 1 3 . 9 4.5 5.1 4 . 6 4 . 1 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 3 4 . 9 4.5 3.6 2 . 8 2 . 0 1 . 3 3.3 3 . 3 4 . 0 4.4 5.2 4 . 6 4 . 0 2 . 7 2 . 0 1 . 3 3.6 3 . 4 4 . 1 5 . 2 7 . 6 6 . 3 4 . 1 3 . 0 1 . 9 1 . 3 3.5 3 . 4 3 . 9 5 . 9 9 . 5 7.4 4.3 2 . 9 1 . 8 1 . 2 3.2 3 . 0 3 . 6 4.5 5.8 4 . 8 3 . 3 2 . 5 1 . 6 1 . 0 2.6 2 . 5 2 . 8 3 . 3 3 . 2 3 . 0 2 . 8 1 . 8 1 . 3 0 . 9 1.9 1 . 9 2 . 0 2 . 1 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.3 1 . 4 1 . 4 1 . 5 1 . 5 1 . 4 1 . 2 0 . 9 0.9 0 . 9 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 10.0 6 . 0 4 . 0 3 . 4 3 . 5 3 . 1 13.6 6 . 4 4 . 0 3 . 1 2 . 7 2 . 4 15.7 7 . 1 4.4 3.3 2 . 9 2 . 7 14.7 7 . 1 4.8 3 . 9 3 . 5 3 . 3 11.6 7.1 5.4 4 . 4 4 . 4 4.6 9.0 7 . 3 5 . 8 5 . 3 5 . 2 6 . 0 5.1 6.1 7.1 7.7 9.8 9 . 3 6 . 4 5.5 5 . 4 7.3 3.4 4 . 2 5 . 2 6 . 3 9 . 0 8 . 9 6 . 2 5.4 5 . 4 6.1 2.6 3 . 3 4.4 5.1 6.1 6 . 1 5 . 3 5 . 0 4 . 6 4 . 8 2.2 2 . 9 3 . 6 4 . 6 5 . 0 5.1 4.9 4 . 3 4 . 0 3 . 7 2.0 2 . 7 3 . 4 4.5 4.8 4 . 9 4 . 8 4 . 0 3 . 6 3 . 2 1.9 2 . 6 3 . 8 4 . 6 5.7 5.8 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 7 5.1 8.3 8 . 4 5.4 4.2 3 . 3 2 . 7 1.8 2 . 5 3 . 7 5.1 8.0 8 . 1 5.4 4.3 3 . 3 2 . 7 1.7 2.5 3 . 6 4.4 5.6 5.7 4.9 4.4 3.5 3 . 0 1.7 2.4 3 . 3 4.4 5.3 5.5 4.9 4 . 3 3 . 9 3 . 6 1.6 2 . 3 3 . 4 4 . 3 5 . 2 5.5 5.0 4 . 6 4.5 4.2 1.6 2 . 3 3 . 5 4 . 8 7.1 7.4 5 . 7 5.0 4.7 5.3 1.4 2.1 3 . 2 4 . 6 8 . 5 8 . 8 5.5 4.8 4.7 6.4 1.3 1 . 9 2 . 9 4 . 0 5.7 5.9 4 . 9 4.4 4.3 4 . 8 1.1 1 . 5 2.2 3 . 0 3 . 3 3 . 6 3 . 7 3 . 4 3 . 4 3 . 5 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 5 2 . 5 2 . 5 2 . 4 1.1 1 . 4 1.6 1.7 1.8 1 . 8 1.7 1 . 7 0.9 1.1 1.2 1 . 2 1 . 2 1 . 2 1.1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 14.9 2 1 . 3 2 1 . 4 1 8 . 6 1 0 . 0 6 . 0 4 . 0 3 . 4 3 . 5 3 . 1 29.2 41.5 39.4 3 3 . 5 1 3 . 6 6 . 4 4 . 0 3 . 1 2 . 7 2 . 4 10.0 1 8 . 1 2 1 . 1 2 2 . 0 2 4 . 9 3 7 . 0 5 0 . 2 4 7 . 0 3 9 . 8 15.7 7 . 1 4.4 3.3 2 . 9 2 . 7 11.7 22.0 2 5 . 4 2 6 . 0 2 7 . 4 3 4 . 3 45.1 42.2 3 6 . 0 14.7 7 . 1 4.8 3 . 9 3 . 5 3 . 3 5.5 9.1 1 1 . 0 1 2 . 2 1 4 . 0 2 0 . 2 2 6 . 2 2 5 . 4 2 2 . 0 1 1 . 6 7.1 5.4 4 . 4 4 . 4 4.6 2.5 3 . 7 4.7 5 . 7 7.0 9 . 3 11.4 12.0 1 1 . 0 9 . 0 7 . 3 5 . 8 5 . 3 5 . 2 6 . 0 1.3 1 . 9 2 . 5 3 . 1 4 . 0 5.1 6.1 7.1 7.7 9.8 9 . 3 6 . 4 5.5 5 . 4 7.3 3.4 4 . 2 5 . 2 6 . 3 9 . 0 8 . 9 6 . 2 5.4 5 . 4 6.1 2.6 3 . 3 4.4 5.1 6.1 6 . 1 5 . 3 5 . 0 4 . 6 4 . 8 2.2 2 . 9 3 . 6 4 . 6 5 . 0 5.1 4.9 4 . 3 4 . 0 3 . 7 2.0 2 . 7 3 . 4 4.5 4.8 4 . 9 4 . 8 4 . 0 3 . 6 3 . 2 1.9 2 . 6 3 . 8 4 . 6 5.7 5.8 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 7 5.1 8.3 8 . 4 5.4 4.2 3 . 3 2 . 7 1.8 2 . 5 3 . 7 5.1 8.0 8 . 1 5.4 4.3 3 . 3 2 . 7 1.7 2.5 3 . 6 4.4 5.6 5.7 4.9 4.4 3.5 3 . 0 1.7 2.4 3 . 3 4.4 5.3 5.5 4.9 4 . 3 3 . 9 3 . 6 1.6 2 . 3 3 . 4 4 . 3 5 . 2 5.5 5.0 4 . 6 4.5 4.2 1.6 2 . 3 3 . 5 4 . 8 7.1 7.4 5 . 7 5.0 4.7 5.3 1.4 2.1 3 . 2 4 . 6 8 . 5 8 . 8 5.5 4.8 4.7 6.4 1.3 1 . 9 2 . 9 4 . 0 5.7 5.9 4 . 9 4.4 4.3 4 . 8 1.1 1 . 5 2.2 3 . 0 3 . 3 3 . 6 3 . 7 3 . 4 3 . 4 3 . 5 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 5 2 . 5 2 . 5 2 . 4 1.1 1 . 4 1.6 1.7 1.8 1 . 8 1.7 1 . 7 0.9 1.1 1.2 1 . 2 1 . 2 1 . 2 1.1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 6.2 5 . 0 5.4 4.1 5.9 6 . 6 10.6 1 0 . 2 K40MH: 20.124 K40MH: 20. 1 2 4 K40MH: 20 . 1 2 4 K40MH: 26 . 3 7 4 K40MH: 26 . 3 7 4 K40MH: 26 . 3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.37 4 RX7MH: 26.37 4 RX7MH: 26.37 4 RX7MH: 26.37 4 K40MH: 9.3 8 K40MH: 11.78 7 K40MH: 14 . 1 5 K40MH: 14 . 2 7 1 K40MH: 16.60 5 K40MH: 18. 9 6 5 K40MH: 20. 7 7 K40MH: 23.18 7 K40MH: 25 . 5 6 4 K40MH: 26 . 1 0 7 K40MH: 27.93 RX7MH: 20.12 4 RX7MH: 20 . 1 2 4 RX7MH: 20. 2 1 4 RX7MH: 26.374 RX7MH: 26.37 4 RX7MH: 26. 3 7 4 1.8 2.2 2.6 3.0 3.6 3.8 3.9 3.7 3.2 2.7 2.5 2.3 1.3 1.8 2.3 3.3 4.15.4 5.7 4.43.5 2.7 2.3 2.0 1.1 1.72.3 3.5 4.8 8.4 9.1 5.0 3.7 2.6 2.1 1.8 1.11.6 2.3 3.44.77.37.75.13.9 2.6 2.01.7 1.01.42.1 2.9 4.3 4.64.7 4.43.1 2.4 1.81.5 0.9 1.3 1.9 2.6 3.2 3.7 3.8 3.4 2.8 2.1 1.61.4 0.9 1.3 1.8 2.3 2.9 3.3 3.4 3.0 2.5 2.0 1.6 1.3 0.9 1.3 1.8 2.4 3.2 3.4 3.4 3.3 2.5 2.0 1.5 1.2 0.91.41.9 2.8 3.54.44.6 3.8 3.0 2.1 1.6 1.2 1.01.52.1 3.34.57.6 8.1 4.8 3.3 2.2 1.6 1.2 1.01.52.2 3.5 4.8 8.0 8.35.13.8 2.3 1.6 1.2 1.01.52.1 3.0 4.2 5.35.54.3 3.3 2.3 1.6 1.2 1.0 1.4 2.0 2.7 3.4 4.1 4.2 3.6 3.0 2.4 1.5 1.2 1.1 1.4 1.9 2.5 3.1 3.5 3.5 3.2 2.8 2.3 1.6 1.2 1.3 1.6 2.0 2.5 3.3 3.6 3.6 3.5 2.8 2.4 2.0 1.2 1.6 1.8 2.2 2.9 3.64.5 4.53.8 3.3 2.5 2.1 1.3 2.2 2.1 2.5 3.6 4.87.57.8 5.0 3.8 2.8 2.4 2.0 2.5 2.3 2.7 4.05.48.7 9.3 5.6 4.3 3.1 2.6 2.30.71.11.6 2.5 3.6 6.3 8.5 5.3 3.0 2.2 1.71.3 0.7 1.1 1.7 2.6 3.6 6.5 8.4 5.3 3.4 2.3 1.8 1.4 0.8 1.1 1.7 2.4 3.74.5 5.3 4.1 3.3 2.3 1.7 1.4 0.81.11.6 2.3 3.0 3.6 3.9 3.5 2.9 2.2 1.6 1.3 0.81.1 1.5 2.1 2.7 3.0 3.2 3.0 2.5 2.0 1.6 1.3 0.81.1 1.5 2.1 2.8 3.4 3.3 3.2 2.6 2.0 1.6 1.3 0.8 1.2 1.7 2.3 3.2 4.1 4.1 3.7 3.1 2.2 1.7 1.3 0.8 1.2 1.8 2.7 3.8 6.2 7.85.13.2 2.4 1.8 1.3 0.8 1.2 1.9 2.94.17.3 9.9 5.9 3.4 2.5 1.8 1.3 0.8 1.2 1.8 2.6 4.0 5.3 5.74.9 3.6 2.4 1.8 1.30.8 1.2 1.7 2.4 3.2 4.2 4.6 4.1 3.0 2.3 1.7 1.2 0.8 1.1 1.6 2.2 2.8 3.4 3.5 3.4 2.9 2.1 1.6 1.2 0.81.11.6 2.1 2.8 3.4 3.5 3.4 2.8 2.1 1.6 1.2 0.81.11.6 2.2 3.1 3.8 4.2 3.7 3.3 2.5 1.71.3 0.8 1.2 1.8 2.7 3.65.7 7.14.9 3.5 2.8 1.91.4 0.8 1.2 1.8 2.9 4.2 7.6 10.0 6.4 3.7 2.9 2.4 1.5 0.8 1.2 1.8 2.6 3.85.4 6.7 5.3 4.1 2.9 2.4 1.60.71.11.6 2.4 3.34.4 4.64.53.4 2.8 2.4 2.2 S1 WP WP 1H1-1 EM EM 1EH1-9(1RP-7) EM EM EM EM EM EM Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts6 SMD6R12940WH Single SMD6R12940WH S1 0.850 1224 15.3 91.814VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 31.814 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 433.04817HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 765 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 2_Floor Illuminance Fc 24.31 26.5 20.5 1.19 1.29Level 2_Lower Landing to 3_1_Top Illuminance Fc 4.03 23.4 0.0N.A. N.A.Level 2_Slope to 3_1_Top Illuminance Fc 3.02 9.3 0.9 3.36 10.33Level 2_Slope to 3_Top Illuminance Fc 2.78 10.0 0.7 3.97 14.29Level 2_Upper Landing to 3_1_Top Illuminance Fc 7.22 50.2 0.7 10.31 71.71Ped_Bridge_1_Top_1 Illuminance Fc 5.18 6.2 4.1 1.26 1.51Ped_Bridge_slope down_tobuilding_Top_1 Illuminance Fc 4.045.72.7 1.50 2.11Ped_Bridge_slope down_Top_1 Illuminance Fc 5.39 7.9 3.8 1.42 2.08Ped_Bridge_Top_1 Illuminance Fc 8.33 10.6 5.9 1.41 1.80Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 20.1 17.8 17.2 18.8 22.7 24.0 22.8 26.8 21.5 26.0 20.0 22.7 17.2 18.8 22.7 24.0 22.8 26.8 21.5 26.0 20.0 22.7 14.8 21.8 19.8 12.4 17.5 17.8 11.5 14.7 15.8 17.0 9.9 2.3 13.6 19.5 20.8 17.6 10.4 4.1 21.1 32.9 34.8 28.0 13.2 4.8 13.9 20.9 22.3 17.9 9.2 3.7 20.220.018.620.720.219.1 20.519.818.920.519.618.518.5 20.9 17.7 WP WP G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 1   p .   m . LEVEL 2 -PHOTOMETRICPLAN E2.03A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 2 - PHOTOMETRIC PLAN1 SCALE = 1/4" = 1'-0"LEVEL 2-6 STAIR ENLARGEDPHOTOMETRIC PLAN2 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP 'SEC' '3L1''3EL1''3EH1' '3TE1' '3T1''3H1' 'NAC''3TLA' '3TLB' EMEM 3EH1-3ST1 3EH1-3ST1 3H1-3ST1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-9ST1 3EH1-9X1 EM EM EM3EH1-9ST1 3EH1-9ST1EM3EH1-9RX7 3EH1-3X1 1H1-1K40 3EH1-4K40E 3H1-3K403EH1-4K40E3H1-3K40 3H1-3K403H1-3K40 3H1-3K40 3EH1-4K40E 3H1-3K40 3H1-3K40 3EH1-3X1 FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 3EH1-7RX7 3EH1-7RX7 3EH1-7RX7 EM 3EH1-4K40E L4 WP WP L2 L2 BEP BEP EM EML1 L2EM3EH1-6ST1 3EH1-9RX7EM 3EH1-2X1 3H1-3RX7 3H1-3 3H1-3 3H1-3 3H1-3L6 L6 L6 L6 3H1-1 3H1-1 3H1-1 1 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 4/29/2025 8 : 5 6 : 3 9 P M LEVEL 3 - PARKINGLIGHTING PLAN E2.04 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 3 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #1 0.9 0 . 9 0 . 9 1 . 0 1.1 1.0 0 . 2 0 . 0 0 . 4 1 . 0 1.3 1 . 3 1.4 1 . 5 1.9 2 . 6 5 . 0 4.7 1.9 1.4 1.7 1 . 7 1.9 2 . 2 2 . 8 5 . 3 1 1 . 3 8 . 8 3 . 4 1 . 9 2.3 2 . 3 2 . 5 3 . 0 4 . 0 6 . 9 1 5 . 3 1 1 . 6 4.1 2.2 2.8 2 . 8 3 . 4 3 . 7 4 . 8 5 . 8 8 . 1 6 . 4 3 . 3 2 . 1 3.3 3 . 3 3 . 8 4 . 9 7 . 3 6 . 5 5.1 4 . 1 2.6 1 . 6 3.5 3 . 5 4.1 6.1 9 . 3 7.5 4 . 7 3.4 2 . 3 1.5 3.4 3 . 5 4.1 5 . 1 6.6 5.7 4 . 1 3.2 2 . 1 1.4 3.1 3 . 3 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1.4 2.9 3 . 2 3 . 6 4.1 4 . 5 4.2 3 . 4 2 . 8 2 . 0 1.4 2.6 3 . 0 3 . 7 4 . 3 4 . 6 4 . 2 3 . 8 2 . 7 2 . 0 1.4 2.4 2 . 9 3 . 8 5 . 0 6 . 6 5.7 4.0 3 . 1 2 . 1 1.4 2.3 3 . 0 3 . 8 6 . 1 9 . 3 7.4 4 . 5 3.2 2 . 1 1.4 2.2 2 . 8 3 . 7 4 . 9 7 . 2 6 . 1 4 . 2 3 . 2 2 . 1 1.4 2.0 2 . 6 3 . 6 4.1 4.8 4.4 3.8 2 . 8 2 . 0 1 . 3 1.9 2 . 5 3 . 2 4 . 0 4.7 4 . 4 3.5 2 . 7 2 . 0 1 . 3 1.8 2 . 4 3 . 4 4 . 0 4 . 8 4.4 3.7 2 . 7 1 . 9 1 . 3 1.7 2.4 3 . 3 4 . 6 6 . 9 5 . 9 3 . 9 2 . 9 1 . 9 1 . 2 1.6 2 . 3 3 . 1 5.4 8.6 6 . 8 4 . 0 2 . 7 1.7 1.2 1.4 1.9 2 . 8 3 . 9 5 . 3 4.5 3.2 2 . 4 1 . 6 1 . 0 1.2 1 . 6 2 . 2 2 . 7 3 . 0 2 . 8 2 . 6 1.7 1.3 0 . 8 0.9 1 . 2 1 . 6 1 . 8 2 . 1 2 . 0 1 . 6 1 . 3 0 . 9 0.7 0 . 9 1.1 1.3 1 . 3 1 . 3 1.1 0.9 0.5 0 . 6 0 . 7 0 . 8 0 . 9 0 . 8 0 . 7 0.3 0 . 4 0 . 5 0 . 5 0 . 5 0 . 5 1.1 1 . 3 1 . 2 1 . 0 1 . 0 0 . 9 3.3 2 . 4 1 . 8 1 . 6 1 . 4 1 . 4 7.2 3 . 7 2 . 6 2 . 2 2 . 1 2 . 1 9.8 4 . 8 3 . 5 3 . 0 2 . 9 2 . 9 9.5 5 . 8 4.5 3.9 3 . 9 4 . 3 8.1 6 . 5 5 . 2 4 . 8 5 . 0 5 . 8 4.6 5 . 6 6 . 5 7 . 2 9 . 5 9 . 1 6 . 1 5 . 3 5 . 2 7 . 1 3.0 3 . 8 5 . 0 6 . 1 8 . 9 8 . 9 6 . 1 5 . 3 5 . 3 6 . 0 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 9 4.5 4 . 7 2.0 2 . 7 3 . 5 4.4 5.0 5 . 2 4 . 8 4 . 2 3 . 9 3 . 7 1.9 2 . 6 3 . 4 4.4 4.9 5 . 0 4.7 4.0 3 . 5 3 . 1 1.8 2 . 5 3 . 7 4.5 5 . 7 5.9 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 8 5 . 2 8 . 5 8 . 7 5.5 4.3 3 . 3 2 . 7 1.7 2 . 5 3 . 8 5 . 2 8 . 3 8 . 4 5 . 6 4.4 3.4 2 . 8 1.7 2 . 5 3 . 6 4.5 5.8 5 . 9 5 . 0 4.4 3.6 3 . 0 1.7 2 . 4 3 . 3 4.4 5 . 4 5.6 5 . 0 4.4 3.9 3 . 5 1.6 2 . 3 3 . 3 4.4 5.3 5.5 5.2 4.7 4 . 5 4.2 1.6 2 . 3 3 . 6 4 . 9 7 . 3 7 . 6 5 . 8 5 . 1 4 . 8 5 . 3 1.4 2 . 2 3 . 3 4.7 8.8 9 . 1 5.7 5.0 4.7 6.4 1.3 1 . 9 3 . 1 4 . 1 5 . 8 6 . 1 4 . 9 4.5 4 . 4 4.9 1.1 1 . 6 2 . 2 3 . 1 3 . 4 3 . 6 3 . 8 3 . 4 3 . 5 3 . 6 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 6 2 . 6 2 . 5 2 . 4 1.1 1 . 4 1 . 7 1 . 8 1 . 8 1 . 8 1 . 8 1 . 7 0.9 1 . 1 1 . 2 1 . 2 1 . 2 1 . 2 1 . 1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 20.3 2 4 . 3 2 4 . 2 1 8 . 6 1 . 1 1 . 3 1 . 2 1 . 0 1 . 0 0 . 9 27.1 3 1 . 1 3 0 . 7 2 4 . 1 3 . 3 2 . 4 1 . 8 1 . 6 1 . 4 1 . 4 9.8 1 7 . 9 2 0 . 6 2 0 . 7 1 9 . 9 1 9 . 2 2 1 . 9 2 0 . 5 1 6 . 7 7 . 2 3 . 7 2 . 6 2 . 2 2 . 1 2 . 1 11.9 2 2 . 7 2 5 . 6 2 5 . 5 2 5 . 1 2 8 . 8 3 5 . 7 3 3 . 0 2 7 . 3 9 . 8 4 . 8 3 . 5 3 . 0 2 . 9 2 . 9 5.4 8.9 1 0 . 6 1 1 . 4 1 2 . 7 1 9 . 6 2 5 . 3 2 4 . 3 2 0 . 5 9 . 5 5 . 8 4.5 3.9 3 . 9 4 . 3 2.3 3 . 4 4 . 3 5 . 0 6 . 2 8 . 8 1 0 . 8 1 1 . 4 1 0 . 2 8 . 1 6 . 5 5 . 2 4 . 8 5 . 0 5 . 8 1.2 1 . 7 2 . 2 2 . 8 3 . 5 4 . 6 5 . 6 6 . 5 7 . 2 9 . 5 9 . 1 6 . 1 5 . 3 5 . 2 7 . 1 3.0 3 . 8 5 . 0 6 . 1 8 . 9 8 . 9 6 . 1 5 . 3 5 . 3 6 . 0 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 9 4.5 4 . 7 2.0 2 . 7 3 . 5 4.4 5.0 5 . 2 4 . 8 4 . 2 3 . 9 3 . 7 1.9 2 . 6 3 . 4 4.4 4.9 5 . 0 4.7 4.0 3 . 5 3 . 1 1.8 2 . 5 3 . 7 4.5 5 . 7 5.9 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 8 5 . 2 8 . 5 8 . 7 5.5 4.3 3 . 3 2 . 7 1.7 2 . 5 3 . 8 5 . 2 8 . 3 8 . 4 5 . 6 4.4 3.4 2 . 8 1.7 2 . 5 3 . 6 4.5 5.8 5 . 9 5 . 0 4.4 3.6 3 . 0 1.7 2 . 4 3 . 3 4.4 5 . 4 5.6 5 . 0 4.4 3.9 3 . 5 1.6 2 . 3 3 . 3 4.4 5.3 5.5 5.2 4.7 4 . 5 4.2 1.6 2 . 3 3 . 6 4 . 9 7 . 3 7 . 6 5 . 8 5 . 1 4 . 8 5 . 3 1.4 2 . 2 3 . 3 4.7 8.8 9 . 1 5.7 5.0 4.7 6.4 1.3 1 . 9 3 . 1 4 . 1 5 . 8 6 . 1 4 . 9 4.5 4 . 4 4.9 1.1 1 . 6 2 . 2 3 . 1 3 . 4 3 . 6 3 . 8 3 . 4 3 . 5 3 . 6 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 6 2 . 6 2 . 5 2 . 4 1.1 1 . 4 1 . 7 1 . 8 1 . 8 1 . 8 1 . 8 1 . 7 0.9 1 . 1 1 . 2 1 . 2 1 . 2 1 . 2 1 . 1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 ST1MH: 38 ST1MH: 38 ST1MH: 38 3.4 3.5 3 . 3 4.0 4.2 4.0 5.65.7 5.4 8.0 8.2 7 . 6 K40MH: 36.624 K40MH: 36 . 6 2 4 K40MH: 36 . 6 2 4 K40MH: 30 . 9 1 6 K40MH: 30. 9 1 6 K40MH: 30 . 9 1 6 K40MH: 33.62 6 K40MH: 36 . 0 0 3 K40MH: 36 . 5 4 6 K40MH: 38.36 9 K40MH: 41. 6 8 2 RX7MH: 30. 9 1 6 RX7MH: 36. 6 2 4 RX7MH: 36.62 4 RX7MH: 36.62 4 RX7MH: 36.62 4 RX7MH: 36.62 4 K40MH: 31. 7 6 6 1.0 1.4 1.9 2.5 3.1 3.7 3.7 3.3 3.1 2.6 2.3 2.0 1.0 1.5 2.0 2.9 3.8 5.35.44.1 3.2 2.5 2.1 1.7 1.01.52.0 3.1 4.37.78.3 4.8 3.3 2.5 1.91.5 1.01.52.1 3.34.46.8 7.34.73.5 2.4 1.81.4 1.01.42.0 2.8 3.94.5 4.74.0 3.0 2.21.71.2 0.9 1.3 1.9 2.5 3.1 3.7 3.8 3.3 2.7 2.01.5 1.1 0.9 1.3 1.8 2.3 2.9 3.4 3.5 3.0 2.4 1.9 1.4 1.1 0.9 1.3 1.8 2.3 3.2 3.5 3.5 3.5 2.5 1.9 1.4 1.1 0.91.41.9 2.8 3.54.5 4.73.9 3.1 2.01.5 1.1 0.91.42.0 3.3 4.67.78.2 4.9 3.4 2.2 1.61.1 1.01.42.1 3.4 4.8 8.1 8.4 5.2 3.9 2.3 1.61.1 0.91.42.1 2.9 4.25.45.64.43.4 2.31.5 1.1 0.9 1.3 1.9 2.7 3.4 4.1 4.2 3.7 3.1 2.4 1.5 1.1 0.9 1.3 1.8 2.4 3.0 3.5 3.6 3.2 2.8 2.3 1.6 1.1 0.9 1.3 1.8 2.4 3.2 3.6 3.6 3.5 2.8 2.4 2.0 1.2 0.91.41.9 2.8 3.44.5 4.53.8 3.3 2.6 2.2 1.3 1.01.52.1 3.3 4.67.47.8 5.0 3.8 2.8 2.4 2.1 1.0 1.6 2.3 3.7 5.2 8.6 9.2 5.6 4.3 3.1 2.6 2.30.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.2 0.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.2 0.2 0.0 0.0 0.0 0.0 0.1 0.0 0.1 0.1 0.1 0.1 0.2 0.2 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.2 0.3 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.2 0.3 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.2 0.3 0.3 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.3 0.3 0.4 0.2 0.2 0.2 0.2 0.1 0.1 0.1 0.2 0.2 0.3 0.3 0.4 0.5 0.2 0.2 0.2 0.1 0.1 0.2 0.2 0.3 0.3 0.3 0.4 0.5 0.3 0.2 0.2 0.1 0.1 0.2 0.2 0.3 0.3 0.4 0.5 0.5 0.6 0.3 0.3 0.1 0.2 0.2 0.3 0.3 0.4 0.4 0.5 0.6 0.7 0.4 0.4 0.2 0.2 0.3 0.3 0.4 0.4 0.5 0.6 0.7 0.8 0.9 0.5 0.2 0.2 0.3 0.4 0.5 0.5 0.6 0.7 0.8 0.9 1.0 0.6 0.2 0.3 0.4 0.5 0.6 0.7 0.8 0.9 1.0 1.1 1.2 1.2 0.3 0.4 0.5 0.6 0.8 0.9 1.1 1.11.2 1.3 1.41.6 FIRE PUMPROOM 3EH1-3 EMEM EM Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 3_Floor Illuminance Fc 5.24 8.2 3.3 1.59 2.48Level 2_Lower Landing to 3_1_1_Top Illuminance Fc 3.14 15.3 0.0N.A. N.A.Level 2_Slope to 3_2_Top Illuminance Fc 2.89 9.2 0.9 3.21 10.22Level 2_Slope to 3_7_Top Illuminance Fc 0.27 1.6 0.0N.A. N.A.Level 2_Upper Landing to 3_1_1_Top Illuminance Fc 6.28 35.7 0.7 8.97 51.00 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts3 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.48 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 247.45612 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 4   p .   m . LEVEL 3 -PHOTOMETRICPLAN E2.04A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 3 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP3EH1-9X1 3EH1-9ST1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 EM 3EH1-3ST13EH1-3ST1 3H1-3ST1 EM EM 3EH1-2X1 3H1-3K40 3EH1-4K40E 3H1-3K403EH1-4K40E3H1-3K40 3H1-3K403H1-3K40 3H1-3K40 3EH1-4K40E 3H1-3K40 3H1-3K40 3EH1-2X1 FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 3EH1-5RX7 3EH1-9RX7 3EH1-9RX7 EM EM 3EH1-5RX7 3EH1-5RX7 EM 3EH1-4K40E L4 WP WP L2 L2 BEP BEP EM EML1 L2EM3EH1-9ST1 3EH1-2X1 3H1-3RX7 3H1-3 L6 3H1-3L6 L6 3H1-3 L6 3H1-3 3H1-5 3H1-5 3H1-5 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 6   p .   m . LEVEL 4 - PARKINGLIGHTING PLAN E2.05 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 4 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set ST1MH: 42.58 9 20.3 21.7 2 0 . 1 23.2 24.8 2 3 . 1 24.2 25.8 2 4 . 3 24.2 25.6 2 4 . 0 0.9 0 . 9 0 . 9 1 . 0 1 . 1 1 . 1 0 . 2 0 . 0 0 . 5 1 . 0 1.3 1 . 3 1 . 4 1 . 5 1 . 9 2 . 7 2 3 . 8 2 2 . 6 1 . 9 1 . 3 1.7 1 . 7 1 . 9 2 . 2 2 . 9 5 . 3 1 1 . 0 8 . 5 3 . 4 1 . 9 2.3 2 . 3 2 . 5 3 . 0 4 . 0 7 . 1 1 5 . 7 1 1 . 6 4 . 1 2 . 2 2.8 2 . 8 3 . 4 3 . 8 4 . 9 6 . 0 8 . 4 6 . 6 3 . 3 2 . 1 3.3 3 . 3 3 . 8 4 . 9 7 . 3 6 . 6 5 . 2 4 . 2 2 . 6 1 . 6 3.5 3 . 6 4 . 1 6 . 2 9 . 3 7 . 6 4 . 8 3 . 5 2 . 3 1 . 5 3.5 3 . 5 4 . 1 5 . 1 6 . 6 5.7 4.1 3 . 2 2 . 1 1 . 4 3.2 3 . 4 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 1 4 . 6 4 . 3 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 9 4.4 4 . 7 4.3 3 . 9 2 . 8 2 . 0 1 . 4 2.7 3 . 2 4 . 0 5 . 1 6 . 7 5 . 8 4 . 1 3 . 2 2 . 1 1 . 4 2.7 3 . 3 4 . 1 6 . 3 9 . 3 7.5 4.6 3 . 2 2 . 1 1 . 4 2.7 3 . 2 4 . 0 5 . 2 7.4 6.3 4 . 3 3 . 2 2 . 1 1 . 4 2.8 3 . 2 4 . 0 4.4 5.1 4 . 6 4 . 0 2 . 9 2 . 0 1 . 4 3.1 3 . 3 3 . 7 4.4 5.0 4 . 6 3 . 6 2 . 8 2 . 0 1 . 4 3.3 3 . 4 4 . 1 4.4 5.1 4.5 3.8 2 . 8 2 . 0 1 . 3 3.5 3 . 5 4 . 0 5 . 1 7 . 3 6 . 1 4 . 0 3 . 0 1 . 9 1 . 3 3.4 3 . 5 3 . 9 5 . 8 8 . 9 7 . 0 4 . 1 2 . 8 1 . 8 1 . 2 3.1 3 . 1 3 . 5 4.4 5 . 7 4 . 7 3.3 2 . 5 1 . 6 1 . 1 2.6 2 . 5 2 . 8 3 . 2 3 . 2 3 . 0 2 . 7 1 . 8 1 . 3 0 . 9 2.0 2 . 0 2 . 1 2 . 2 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.4 1 . 4 1 . 5 1 . 6 1 . 5 1 . 4 1 . 2 1 . 0 1.0 1 . 0 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 7.5 3.6 2 . 2 1 . 6 1 . 3 1.1 12.4 5 . 2 3 . 0 2 . 2 1 . 8 1 . 6 15.0 6 . 4 3 . 8 2 . 8 2 . 4 2 . 2 14.3 6 . 7 4.4 3.5 3 . 1 3 . 1 11.3 6 . 9 5 . 2 4 . 2 4 . 2 4 . 0 8.9 7 . 2 5 . 6 5 . 0 4 . 8 5.4 4.9 5 . 9 7 . 0 7.7 10.0 9 . 5 6 . 3 5.4 5.1 6.9 3.3 4.1 5.2 6 . 3 9 . 2 9 . 1 6 . 2 5 . 2 5 . 0 5.5 2.5 3 . 3 4 . 3 5 . 0 6 . 1 6 . 1 5 . 2 4 . 8 4.4 4 . 4 2.1 2 . 8 3 . 6 4.5 5.1 5.2 4 . 8 4 . 2 3 . 7 3 . 4 1.9 2 . 6 3 . 4 4 . 3 4 . 9 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.8 2 . 5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 5 1.7 2.5 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 9 2 . 2 1.7 2.4 3 . 7 5.1 8.0 8 . 0 5 . 2 3 . 9 2 . 7 2 . 1 1.6 2 . 3 3 . 5 4 . 3 5.4 5 . 5 4 . 4 3.6 2 . 6 1 . 9 1.6 2 . 3 3 . 2 4.1 5.0 5 . 0 4 . 2 3 . 3 2 . 5 1 . 8 1.5 2.2 3 . 1 4.1 4.9 4 . 9 4.1 3.2 2 . 3 1.7 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 3 1 . 6 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.5 3.1 2 . 1 1.5 1.2 1 . 8 2 . 8 3 . 8 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 3 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.5 1 . 1 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 6 0 . 5 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 14.4 20.6 1 9 . 7 1 6 . 5 7.5 3.6 2 . 2 1 . 6 1 . 3 1.1 29.1 4 2 . 0 3 9 . 3 3 3 . 3 1 2 . 4 5 . 2 3 . 0 2 . 2 1 . 8 1 . 6 10.1 1 8 . 6 2 1 . 4 2 2 . 3 2 5 . 0 3 6 . 8 5 0 . 8 47.4 40.5 1 5 . 0 6 . 4 3 . 8 2 . 8 2 . 4 2 . 2 11.9 2 2 . 7 2 5 . 9 2 6 . 4 2 7 . 7 3 4 . 4 4 6 . 1 4 2 . 6 3 6 . 5 1 4 . 3 6 . 7 4.4 3.5 3 . 1 3 . 1 5.4 8.9 1 0 . 8 1 2 . 0 1 3 . 7 2 0 . 0 2 6 . 3 2 5 . 3 2 2 . 0 1 1 . 3 6 . 9 5 . 2 4 . 2 4 . 2 4 . 0 2.4 3 . 6 4.5 5 . 5 6.7 9 . 1 11.1 1 1 . 7 10.7 8 . 9 7 . 2 5 . 6 5 . 0 4 . 8 5.4 1.3 1 . 8 2 . 4 3 . 0 3 . 8 4 . 9 5 . 9 7 . 0 7.7 10.0 9 . 5 6 . 3 5.4 5.1 6.9 3.3 4.1 5.2 6 . 3 9 . 2 9 . 1 6 . 2 5 . 2 5 . 0 5.5 2.5 3 . 3 4 . 3 5 . 0 6 . 1 6 . 1 5 . 2 4 . 8 4.4 4 . 4 2.1 2 . 8 3 . 6 4.5 5.1 5.2 4 . 8 4 . 2 3 . 7 3 . 4 1.9 2 . 6 3 . 4 4 . 3 4 . 9 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.8 2 . 5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 5 1.7 2.5 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 9 2 . 2 1.7 2.4 3 . 7 5.1 8.0 8 . 0 5 . 2 3 . 9 2 . 7 2 . 1 1.6 2 . 3 3 . 5 4 . 3 5.4 5 . 5 4 . 4 3.6 2 . 6 1 . 9 1.6 2 . 3 3 . 2 4.1 5.0 5 . 0 4 . 2 3 . 3 2 . 5 1 . 8 1.5 2.2 3 . 1 4.1 4.9 4 . 9 4.1 3.2 2 . 3 1.7 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 3 1 . 6 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.5 3.1 2 . 1 1.5 1.2 1 . 8 2 . 8 3 . 8 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 3 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.5 1 . 1 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 6 0 . 5 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 K40MH: 47.12 4 K40MH: 47.12 4 K40MH: 47.12 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 K40MH: 41.41 6 K40MH: 41.41 6 K40MH: 41.41 6 RX7MH: 47.1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47.124 RX7MH: 41 . 4 1 6 K40MH: 37.1 K40MH: 38. 9 1 8 K40MH: 40.76 2 K40MH: 42.28 9 K40MH: 44. 6 8 9 K40MH: 47.06 8 1.01.41.9 2.5 3.1 3.6 3.8 3.4 3.2 2.7 2.5 2.4 1.01.52.0 2.9 3.8 5.25.44.2 3.4 2.6 2.3 2.1 1.01.52.0 3.1 4.3 7.6 8.3 4.9 3.4 2.6 2.2 1.9 1.0 1.5 2.1 3.34.46.7 7.2 4.8 3.6 2.5 2.1 1.8 1.0 1.4 2.0 2.8 3.94.54.6 4.0 3.1 2.4 1.9 1.6 0.9 1.3 1.8 2.5 3.1 3.6 3.7 3.3 2.8 2.2 1.7 1.5 0.9 1.3 1.8 2.3 2.9 3.3 3.3 3.0 2.5 2.0 1.61.4 0.9 1.3 1.8 2.3 3.0 3.2 3.3 3.1 2.6 2.0 1.6 1.3 0.91.41.9 2.7 3.4 4.24.43.7 2.9 2.1 1.6 1.3 1.0 1.4 1.9 2.9 4.1 6.97.4 4.43.0 2.2 1.7 1.3 1.0 1.4 2.0 3.24.47.27.54.6 3.3 2.2 1.7 1.3 1.01.42.0 2.8 3.7 5.0 5.0 3.8 3.1 2.2 1.6 1.2 0.9 1.3 1.9 2.6 3.3 4.04.13.4 2.8 2.1 1.6 1.2 0.9 1.3 1.8 2.4 2.9 3.4 3.4 3.1 2.5 2.0 1.6 1.2 0.9 1.3 1.8 2.4 3.1 3.3 3.3 3.2 2.6 2.1 1.6 1.3 1.0 1.4 1.9 2.8 3.4 4.1 4.2 3.6 3.0 2.2 1.8 1.4 1.1 1.6 2.1 3.1 4.3 6.8 7.1 4.6 3.3 2.5 2.0 1.6 1.1 1.72.3 3.44.77.9 8.45.13.8 2.8 2.3 1.90.71.1 1.5 2.6 3.5 6.0 7.8 5.0 2.9 2.1 1.41.0 0.8 1.1 1.7 2.7 3.7 6.0 7.6 5.1 3.0 2.2 1.5 1.0 0.81.1 1.7 2.4 3.4 4.3 4.6 3.9 3.2 2.1 1.51.0 0.8 1.1 1.6 2.3 2.8 3.8 3.8 3.4 2.6 2.0 1.5 1.0 0.81.11.6 2.1 2.7 3.2 3.1 2.9 2.5 1.9 1.41.00.8 1.2 1.6 2.1 2.8 3.3 3.4 3.1 2.6 2.0 1.5 1.1 0.8 1.21.7 2.4 3.0 4.0 4.2 3.7 2.9 2.1 1.61.1 0.9 1.3 1.8 2.8 3.8 6.0 7.3 5.3 3.1 2.4 1.7 1.2 0.9 1.3 1.8 2.9 4.0 6.9 8.9 5.9 3.3 2.5 1.71.2 0.9 1.3 1.8 2.6 3.5 4.8 5.2 4.73.4 2.3 1.7 1.2 0.8 1.21.7 2.4 3.14.1 4.1 4.13.1 2.2 1.71.2 0.8 1.2 1.6 2.2 2.8 3.3 3.4 3.3 2.9 2.1 1.6 1.20.8 1.2 1.6 2.2 2.8 3.4 3.5 3.4 2.9 2.4 1.6 1.3 0.8 1.21.7 2.3 3.0 3.84.1 3.7 3.3 2.6 1.8 1.3 0.8 1.3 1.8 2.7 3.65.56.6 4.9 3.4 2.8 2.31.5 0.8 1.3 1.8 2.94.17.0 8.9 6.0 3.7 3.0 2.4 1.6 0.8 1.2 1.8 2.6 3.5 4.9 6.3 4.9 3.8 2.9 2.5 2.2 0.8 1.21.7 2.4 3.3 3.94.1 4.13.4 2.9 2.5 2.3 FIRE PUMPROOM 3EH1-13 3EH1-13 3EH1-13 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 4_Floor Illuminance Fc 23.44 25.8 20.11.17 1.28Level 2_Lower Landing to 3_1_1_1_Top Illuminance Fc 3.49 23.8 0.0N.A. N.A.Level 2_Slope to 3_3_Top Illuminance Fc 2.81 8.4 0.9 3.12 9.33Level 2_Slope to 3_7_1_Top Illuminance Fc 2.70 8.9 0.7 3.86 12.71Level 2_Upper Landing to 3_1_1_1_Top Illuminance Fc 6.79 50.8 0.3 22.63 169.33 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 31.812 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 371.18412 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 7   p .   m . LEVEL 4 -PHOTOMETRICPLAN E2.05A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 4 -PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP '5EL1''5EH1''5L1''5H1''5T1' 'SEC''NAC' '5TE1' 'NAC''5TLA' '5TLB' EMEM 5EH1-7ST1 5EH1-7ST1 5H1-5ST1 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-5ST1 5EH1-5X1 EM 5EH1-7X1 5EH1-5ST1 5EH1-5ST1 EM EM 3H1-3K40 5EH1-2K40E 5H1-5K405EH1-2K40E5H1-5K40 5H1-5K405H1-5K40 5H1-5K40 5EH1-2K40E 5H1-5K40 5H1-5K40 5EH1-7X1 FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 5EH1-13RX7 5EH1-13RX7 5EH1-13RX7 5EH1-5RX7 5EH1-5RX7 EM EM EM 5EH1-2K40E L4 WP WP L2 L2 BEP BEP EM EML1 L2EM3EH1-9ST1 5EH1-1X1 5EH1-7RX7 5H1-5 5H1-5 5H1-5 5H1-5 L6 L6L6 L6 EM 5H1-1 5H1-1 5H1-1 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 8   p .   m . LEVEL 5 - PARKINGLIGHTING PLAN E2.06 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 5 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set 0.9 0 . 9 1 . 0 1 . 1 1 . 2 1 . 5 0 . 2 0 . 0 0 . 4 0 . 8 1.3 1 . 3 1 . 4 1 . 6 2 . 1 3 . 2 2 4 . 2 2 2 . 5 1 . 7 1 . 3 1.7 1 . 8 1 . 9 2 . 3 3 . 2 6 . 7 1 2 . 7 7.4 2.9 1 . 7 2.3 2 . 3 2 . 6 3 . 1 4.4 8.5 1 6 . 3 9 . 1 3 . 3 2 . 0 2.8 2 . 8 3 . 4 3 . 8 5 . 0 6 . 3 8 . 1 5.5 2.9 1 . 9 3.3 3 . 3 3 . 8 4 . 9 7.4 6.6 5 . 1 3 . 9 2 . 5 1 . 5 3.5 3 . 6 4 . 1 6 . 2 9 . 3 7.5 4 . 7 3.4 2 . 2 1 . 4 3.5 3 . 5 4 . 1 5 . 1 6 . 6 5.7 4.1 3 . 2 2 . 1 1 . 4 3.2 3 . 4 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 1 4 . 6 4 . 3 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 9 4.4 4 . 7 4.3 3 . 9 2 . 8 2 . 0 1 . 4 2.7 3 . 2 4 . 0 5 . 1 6 . 7 5 . 8 4 . 1 3 . 1 2 . 1 1 . 4 2.7 3 . 3 4 . 1 6 . 2 9 . 3 7.5 4.6 3 . 2 2 . 1 1 . 4 2.7 3 . 2 4 . 0 5 . 2 7.4 6.3 4 . 3 3 . 2 2 . 1 1 . 4 2.8 3 . 2 4 . 0 4.4 5.1 4 . 6 3 . 9 2 . 8 2 . 0 1 . 4 3.1 3 . 3 3 . 7 4.4 5.0 4 . 6 3 . 6 2 . 8 2 . 0 1 . 4 3.3 3 . 4 4 . 1 4.4 5.1 4.5 3.8 2 . 8 2 . 0 1 . 3 3.5 3 . 5 4 . 0 5 . 1 7 . 3 6 . 1 4 . 0 3 . 0 1 . 9 1 . 3 3.4 3 . 5 3 . 9 5 . 8 8 . 9 7 . 0 4 . 1 2 . 8 1 . 8 1 . 2 3.1 3 . 1 3 . 5 4.4 5.6 4.7 3.3 2 . 5 1 . 6 1 . 1 2.6 2 . 5 2 . 8 3 . 2 3 . 2 2 . 9 2 . 7 1 . 8 1 . 3 0 . 9 2.0 2 . 0 2 . 1 2 . 2 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.4 1 . 4 1 . 5 1 . 6 1 . 5 1 . 4 1 . 2 1 . 0 1.0 1 . 0 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 1.2 1.5 1.3 1 . 2 1.1 1.0 3.4 2 . 8 2 . 1 1 . 8 1 . 6 1.5 8.2 4.4 3.1 2 . 5 2 . 2 2 . 1 11.5 5.8 4.1 3.4 3 . 0 3 . 0 13.3 7 . 2 5 . 2 4 . 2 4.1 4.0 12.7 8 . 1 5 . 9 5.1 4.8 5.4 14.8 1 8 . 1 1 9 . 0 1 5 . 6 1 2 . 8 1 0 . 5 6 . 7 5 . 6 5.1 6.9 6.5 8 . 1 9 . 2 9 . 2 1 0 . 7 9 . 8 6 . 5 5.4 5.1 5.5 3.8 4 . 8 5 . 9 6 . 2 6 . 9 6 . 6 5.5 5.0 4.5 4 . 4 2.7 3 . 5 4 . 3 5.1 5.5 5 . 5 5.0 4 . 3 3 . 8 3 . 5 2.2 3 . 0 3 . 7 4.7 5.1 5 . 1 4.7 3.9 3 . 3 2 . 9 1.9 2 . 7 3 . 8 4 . 6 5 . 8 5 . 8 4.7 4.0 3 . 0 2 . 4 1.8 2 . 6 3 . 8 5 . 2 8 . 5 8 . 5 5 . 3 4 . 0 2 . 8 2 . 2 1.7 2.5 3 . 7 5.1 8.1 8 . 2 5 . 2 3 . 9 2 . 7 1 . 9 1.6 2 . 4 3 . 5 4 . 3 5.5 5 . 5 4 . 4 3.6 2 . 5 1 . 8 1.6 2 . 3 3 . 2 4.1 5 . 1 5 . 1 4.2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 2 4.1 4.9 4 . 9 4 . 2 3 . 2 2 . 3 1 . 6 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1 . 8 2 . 8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 1.0 1.4 2.0 2 . 8 3 . 0 3 . 0 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 1 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 9 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 21.0 2 5 . 3 2 5 . 5 2 0 . 0 1 . 2 1.5 1.3 1 . 2 1.1 1.0 29.2 3 3 . 8 3 3 . 7 2 6 . 5 3 . 4 2 . 8 2 . 1 1 . 8 1 . 6 1.5 10.1 1 8 . 7 2 1 . 9 2 3 . 0 2 4 . 7 2 8 . 3 2 9 . 1 2 9 . 1 1 9 . 6 8 . 2 4.4 3.1 2 . 5 2 . 2 2 . 1 12.0 2 3 . 1 2 6 . 7 2 7 . 6 3 1 . 3 4 3 . 0 4 5 . 9 4 6 . 7 3 0 . 7 11.5 5.8 4.1 3.4 3 . 0 3 . 0 5.6 9 . 3 1 1 . 6 1 3 . 9 2 0 . 4 4 2 . 4 4 8 . 3 4 9 . 8 3 3 . 3 1 3 . 3 7 . 2 5 . 2 4 . 2 4.1 4.0 2.6 3 . 9 5 . 3 7.5 13.5 3 1 . 6 3 7 . 2 3 9 . 1 2 7 . 0 1 2 . 7 8 . 1 5 . 9 5.1 4.8 5.4 1.4 2.1 3 . 0 4.5 7.9 1 4 . 8 1 8 . 1 1 9 . 0 1 5 . 6 1 2 . 8 1 0 . 5 6 . 7 5 . 6 5.1 6.9 6.5 8 . 1 9 . 2 9 . 2 1 0 . 7 9 . 8 6 . 5 5.4 5.1 5.5 3.8 4 . 8 5 . 9 6 . 2 6 . 9 6 . 6 5.5 5.0 4.5 4 . 4 2.7 3 . 5 4 . 3 5.1 5.5 5 . 5 5.0 4 . 3 3 . 8 3 . 5 2.2 3 . 0 3 . 7 4.7 5.1 5 . 1 4.7 3.9 3 . 3 2 . 9 1.9 2 . 7 3 . 8 4 . 6 5 . 8 5 . 8 4.7 4.0 3 . 0 2 . 4 1.8 2 . 6 3 . 8 5 . 2 8 . 5 8 . 5 5 . 3 4 . 0 2 . 8 2 . 2 1.7 2.5 3 . 7 5.1 8.1 8 . 2 5 . 2 3 . 9 2 . 7 1 . 9 1.6 2 . 4 3 . 5 4 . 3 5.5 5 . 5 4 . 4 3.6 2 . 5 1 . 8 1.6 2 . 3 3 . 2 4.1 5 . 1 5 . 1 4.2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 2 4.1 4.9 4 . 9 4 . 2 3 . 2 2 . 3 1 . 6 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1 . 8 2 . 8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 1.0 1.4 2.0 2 . 8 3 . 0 3 . 0 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 1 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 9 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 ST1MH: 59.17 ST1MH: 59.17 ST1MH: 53.11 1 20.5 21.8 2 0 . 2 23.4 24.8 2 3 . 1 24.7 26.0 2 4 . 2 25.1 25.8 2 3 . 6 17.3 20.7 2 2 . 9 2 3 . 7 2 4 . 1 2 4 . 2 2 3 . 8 2 2 . 4 1 9 . 6 20.2 24.4 2 6 . 8 2 7 . 9 2 8 . 1 2 8 . 3 2 8 . 0 2 6 . 3 2 3 . 1 22.6 27.3 3 0 . 4 3 1 . 2 3 1 . 3 3 1 . 5 3 1 . 2 2 9 . 4 2 5 . 8 24.2 30.7 3 3 . 4 3 4 . 3 3 4 . 1 3 4 . 2 3 3 . 9 3 1 . 9 2 7 . 9 28.6 34.5 3 7 . 7 3 7 . 5 3 6 . 9 3 6 . 9 3 7 . 0 3 4 . 7 2 9 . 7 K40MH: 57.62 4 K40MH: 57.62 4 K40MH: 57.62 4 K40MH: 51.91 6 K40MH: 51.91 6 K40MH: 51.91 6 RX7MH: 57.62 4 RX7MH: 57.62 4 RX7MH: 57.62 4 RX7MH: 57.62 4 RX7MH: 57.624 RX7MH: 57.624 RX7MH: 57.624 RX7MH: 57.624 RX7MH: 57.6 2 4 RX7MH: 57. 6 2 4 RX7MH: 57.624 RX7MH: 51.9 1 6 K40MH: 47.61 7 K40MH: 49. 4 3 6 K40MH: 51.26 8 K40MH: 52.77 4 K40MH: 55. 1 7 4 K40MH: 57.55 7 1.01.41.9 2.5 3.1 3.6 3.8 3.4 3.2 2.7 2.5 2.4 1.01.52.0 2.9 3.8 5.25.44.2 3.4 2.6 2.3 2.1 1.01.52.0 3.1 4.3 7.6 8.3 4.9 3.4 2.6 2.2 1.9 1.0 1.5 2.1 3.34.46.8 7.2 4.8 3.6 2.5 2.1 1.7 1.0 1.4 2.0 2.8 3.94.54.6 4.0 3.1 2.4 1.9 1.6 0.9 1.3 1.8 2.5 3.1 3.6 3.7 3.3 2.8 2.2 1.7 1.5 0.9 1.3 1.8 2.3 2.9 3.3 3.3 3.0 2.5 2.0 1.61.4 0.9 1.3 1.8 2.3 3.0 3.2 3.3 3.1 2.6 2.0 1.6 1.3 0.91.41.8 2.7 3.4 4.24.43.7 2.9 2.1 1.6 1.3 0.9 1.4 1.9 2.9 4.1 6.97.4 4.43.0 2.2 1.7 1.3 1.0 1.4 2.0 3.24.47.27.54.6 3.3 2.2 1.7 1.2 0.91.42.0 2.8 3.7 5.0 5.0 3.8 3.1 2.2 1.6 1.2 0.9 1.3 1.9 2.6 3.3 4.04.13.4 2.8 2.11.51.2 0.9 1.3 1.8 2.4 2.9 3.3 3.4 3.1 2.5 2.01.51.2 0.9 1.3 1.8 2.4 3.1 3.3 3.3 3.2 2.6 2.1 1.6 1.2 1.0 1.4 1.9 2.8 3.4 4.1 4.2 3.6 3.0 2.2 1.8 1.3 1.0 1.5 2.1 3.1 4.3 6.8 7.1 4.6 3.3 2.5 2.0 1.6 1.11.6 2.2 3.44.77.9 8.4 5.2 3.8 2.8 2.3 1.80.71.1 1.5 2.6 3.5 6.0 7.8 5.0 2.9 2.1 1.41.0 0.8 1.1 1.7 2.7 3.7 6.0 7.6 5.1 3.0 2.2 1.5 1.0 0.81.1 1.7 2.4 3.4 4.3 4.6 3.9 3.2 2.1 1.51.0 0.8 1.1 1.6 2.3 2.9 3.8 3.8 3.4 2.6 2.0 1.5 1.0 0.81.11.6 2.1 2.6 3.2 3.1 2.9 2.5 1.9 1.41.00.8 1.2 1.6 2.1 2.8 3.3 3.4 3.1 2.6 2.0 1.5 1.1 0.8 1.21.7 2.4 3.0 4.0 4.2 3.7 2.9 2.1 1.61.1 0.9 1.3 1.8 2.8 3.8 6.0 7.3 5.3 3.1 2.4 1.7 1.2 0.9 1.3 1.8 2.9 4.0 6.9 8.9 5.9 3.3 2.5 1.71.2 0.9 1.3 1.8 2.6 3.5 4.8 5.2 4.73.4 2.3 1.7 1.2 0.8 1.21.7 2.4 3.14.1 4.1 4.13.1 2.2 1.71.2 0.8 1.2 1.6 2.2 2.8 3.3 3.4 3.3 2.9 2.1 1.6 1.20.8 1.2 1.6 2.1 2.8 3.4 3.5 3.4 2.9 2.4 1.6 1.3 0.8 1.21.7 2.3 3.0 3.84.1 3.7 3.3 2.6 1.8 1.3 0.8 1.2 1.8 2.7 3.65.56.7 4.8 3.4 2.8 2.31.5 0.8 1.3 1.8 2.94.17.0 8.9 6.0 3.7 3.0 2.4 1.6 0.8 1.2 1.8 2.6 3.5 4.9 6.3 4.9 3.8 2.9 2.5 2.2 0.8 1.21.7 2.4 3.3 3.94.1 4.13.4 2.9 2.5 2.3 FIRE PUMPROOM EM EM EM Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 5_Floor Illuminance Fc 23.60 26.0 20.21.17 1.29Elec_Level 6_Floor Illuminance Fc 28.68 37.7 17.3 1.66 2.18Level 2_Lower Landing to 3_1_1_1_1_Top Illuminance Fc 3.49 24.2 0.0N.A. N.A.Level 2_Slope to 3_4_Top Illuminance Fc 2.80 8.4 0.9 3.11 9.33Level 2_Slope to 3_7_2_Top Illuminance Fc 2.70 8.9 0.7 3.86 12.71Level 2_Upper Landing to 3_1_1_1_1_Top Illuminance Fc 7.5149.8 0.3 25.03 166.00 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts3 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.412 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 371.18412 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 9   p .   m . LEVEL 5 -PHOTOMETRICPLAN E2.06A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 5 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP 5EH1-1X1 5H1-5ST1 5EH1-7ST1 EM 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-5ST1 5EH1-5X1 EM 5EH1-7X1 5H1-5K40 5EH1-2K40E 5H1-5K405EH1-2K40E5H1-5K40 5H1-5K40 5H1-5K40 5EH1-2K40E 5H1-5K40 5H1-5K40 5EH1-7X1 5H1-5(1RP-20)D8W 5H1-5(1RP-20)D8W5EH1-2(1RP-21)D8WE FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 5EH1-9RX7 5EH1-5RX7 5EH1-5RX7 EM EM 5EH1-9RX7 5EH1-9RX7 L4 WP WP L2 L2 BEP BEP EM EML1 L2EM5EH1-5ST1 EM 3EH1-1ST1 5EH1-1X1 5H1-5RX7 5H1-5 5H1-5 5H1-5 L6 L6 L6 EM 5H1-2 5H1-2 5H1-2 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 1   p .   m . LEVEL 6 - PARKINGLIGHTING PLAN E2.07 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 6 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set ST1MH: 63.7 ST1MH: 69.6 16.3 19. 1 2 0 . 2 1 9 . 2 19.4 22.9 24. 0 2 3 . 1 21.8 26. 0 2 7 . 6 2 6 . 8 22.6 28. 5 2 9 . 9 2 9 . 7 25.6 30. 2 3 2 . 4 3 2 . 4 20.0 21.3 1 9 . 8 22.9 24.3 2 2 . 7 24.0 25.4 2 3 . 8 24.0 25.1 2 3 . 3 0.9 0 . 9 0 . 9 1 . 0 1 . 2 1 . 4 0 . 2 0 . 0 0 . 4 1 . 0 1.3 1 . 3 1 . 4 1 . 6 2 . 0 2 . 8 2 3 . 5 2 2 . 2 1 . 8 1 . 3 1.7 1 . 8 1 . 9 2 . 3 3 . 0 5 . 9 1 1 . 5 7.7 3.1 1 . 8 2.3 2 . 3 2 . 5 3 . 1 4 . 2 7 . 9 1 6 . 5 1 0 . 3 3 . 7 2 . 1 2.8 2 . 8 3 . 4 3 . 8 5 . 0 6 . 3 8 . 6 6 . 2 3 . 2 2 . 0 3.3 3 . 3 3 . 8 4 . 9 7 . 3 6 . 7 5 . 2 4 . 1 2 . 6 1 . 6 3.5 3 . 6 4 . 1 6 . 2 9 . 3 7 . 6 4 . 8 3 . 4 2 . 2 1 . 5 3.5 3 . 5 4 . 1 5 . 1 6 . 6 5 . 8 4 . 1 3 . 2 2 . 1 1 . 4 3.2 3 . 4 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 1 4 . 6 4 . 3 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 9 4.4 4 . 7 4.3 3 . 9 2 . 8 2 . 0 1 . 4 2.7 3 . 2 4 . 0 5 . 1 6 . 7 5 . 8 4 . 1 3 . 2 2 . 1 1 . 4 2.7 3 . 3 4 . 1 6 . 3 9 . 3 7.5 4.6 3 . 2 2 . 1 1 . 4 2.7 3 . 2 4 . 0 5 . 2 7.4 6.3 4 . 3 3 . 2 2 . 1 1 . 4 2.8 3 . 2 4 . 0 4.4 5.1 4 . 6 4 . 0 2 . 9 2 . 0 1 . 4 3.1 3 . 3 3 . 7 4.4 5.0 4 . 6 3 . 6 2 . 8 2 . 0 1 . 4 3.3 3 . 4 4 . 1 4.4 5.1 4.5 3.8 2 . 8 2 . 0 1 . 3 3.5 3 . 5 4 . 0 5 . 1 7 . 3 6 . 1 4 . 0 3 . 0 1 . 9 1 . 3 3.4 3 . 5 3 . 9 5 . 8 8 . 9 7 . 0 4 . 1 2 . 8 1 . 8 1 . 2 3.1 3 . 1 3 . 5 4.4 5.6 4.7 3.3 2 . 5 1 . 6 1 . 1 2.6 2 . 5 2 . 8 3 . 2 3 . 2 2 . 9 2 . 7 1 . 8 1 . 3 0 . 9 2.0 2 . 0 2 . 1 2 . 2 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.4 1 . 4 1 . 5 1 . 6 1 . 5 1 . 4 1 . 2 1 . 0 1.0 1 . 0 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 6.6 3 . 2 1 . 9 1.4 1.2 1 . 0 11.3 4.7 2.8 2 . 0 1.7 1 . 5 14.0 5 . 9 3 . 5 2 . 7 2 . 3 2 . 2 13.5 6 . 3 4 . 2 3 . 4 3 . 0 3 . 0 10.8 6 . 6 5 . 0 4.1 4 . 1 4.0 8.5 6 . 9 5.4 4.9 4.7 5 . 4 4.6 5.7 6.7 7.4 9.7 9 . 3 6 . 2 5.4 5.0 6 . 8 3.1 3 . 9 5.1 6.2 9 . 1 9 . 0 6 . 1 5 . 2 4 . 9 5.5 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 8 4.4 4.3 2.0 2 . 7 3 . 5 4.4 5.0 5.1 4.7 4.1 3.7 3 . 4 1.8 2 . 5 3 . 3 4 . 3 4 . 8 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.7 2.5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 4 1.7 2.4 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 8 2 . 1 1.7 2.4 3 . 7 5 . 0 8 . 0 8 . 1 5.1 3.8 2 . 6 1 . 9 1.6 2 . 3 3 . 4 4 . 3 5.5 5 . 5 4.3 3 . 6 2 . 5 1 . 8 1.6 2 . 3 3 . 1 4.1 5.0 5 . 0 4 . 2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 1 4.1 4.8 4 . 9 4.1 3.2 2 . 3 1.5 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1.7 2.8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 20.3 5.4 13.8 14.4 6.6 3 . 2 1 . 9 1.4 1.2 1 . 0 28.4 9 . 8 2 9 . 6 3 0 . 5 1 1 . 3 4.7 2.8 2 . 0 1.7 1 . 5 9.9 1 8 . 3 2 1 . 0 2 1 . 2 2 0 . 5 2 0 . 2 2 8 . 2 3 9 . 2 3 7 . 6 1 4 . 0 5 . 9 3 . 5 2 . 7 2 . 3 2 . 2 11.8 2 2 . 4 2 5 . 4 2 5 . 3 2 5 . 2 2 8 . 7 3 9 . 0 3 8 . 8 3 5 . 0 1 3 . 5 6 . 3 4 . 2 3 . 4 3 . 0 3 . 0 5.3 8 . 7 1 0 . 5 1 1 . 3 1 2 . 6 1 9 . 1 2 5 . 9 2 4 . 2 2 1 . 2 1 0 . 8 6 . 6 5 . 0 4.1 4 . 1 4.0 2.3 3 . 4 4 . 3 5.1 6.3 8 . 8 1 0 . 9 1 1 . 3 1 0 . 3 8 . 5 6 . 9 5.4 4.9 4.7 5 . 4 1.2 1.7 2.2 2 . 8 3 . 6 4 . 6 5.7 6.7 7.4 9.7 9 . 3 6 . 2 5.4 5.0 6 . 8 3.1 3 . 9 5.1 6.2 9 . 1 9 . 0 6 . 1 5 . 2 4 . 9 5.5 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 8 4.4 4.3 2.0 2 . 7 3 . 5 4.4 5.0 5.1 4.7 4.1 3.7 3 . 4 1.8 2 . 5 3 . 3 4 . 3 4 . 8 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.7 2.5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 4 1.7 2.4 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 8 2 . 1 1.7 2.4 3 . 7 5 . 0 8 . 0 8 . 1 5.1 3.8 2 . 6 1 . 9 1.6 2 . 3 3 . 4 4 . 3 5.5 5 . 5 4.3 3 . 6 2 . 5 1 . 8 1.6 2 . 3 3 . 1 4.1 5.0 5 . 0 4 . 2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 1 4.1 4.8 4 . 9 4.1 3.2 2 . 3 1.5 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1.7 2.8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 K40MH: 68.12 4 K40MH: 68.12 4 K40MH: 68.12 4 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 K40MH: 62.41 6 K40MH: 62.41 6 K40MH: 62.41 6 RX7MH: 62. 4 1 6 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68.1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68.124 K40MH: 58.10 9 K40MH: 59. 9 2 8 K40MH: 61.75 1 K40MH: 63.29 3 K40MH: 65. 6 8 9 K40MH: 68.07 1 0.71.1 1.5 2.6 3.5 6.0 7.8 5.0 2.9 2.1 1.41.0 0.8 1.1 1.7 2.7 3.7 6.0 7.6 5.1 3.0 2.2 1.5 1.0 0.81.1 1.7 2.4 3.4 4.3 4.6 3.9 3.2 2.1 1.51.0 0.8 1.1 1.6 2.3 2.8 3.8 3.8 3.4 2.6 2.0 1.5 1.0 0.81.11.6 2.1 2.7 3.2 3.1 2.9 2.5 1.9 1.41.00.8 1.2 1.6 2.1 2.8 3.3 3.4 3.1 2.6 2.0 1.5 1.1 0.8 1.21.7 2.4 3.0 4.0 4.2 3.7 2.9 2.1 1.61.1 0.9 1.3 1.8 2.8 3.8 6.0 7.3 5.3 3.1 2.4 1.7 1.2 0.9 1.3 1.8 2.9 4.0 6.9 8.9 5.9 3.3 2.5 1.71.2 0.9 1.3 1.8 2.6 3.5 4.8 5.2 4.73.4 2.3 1.7 1.2 0.8 1.21.7 2.4 3.14.1 4.1 4.13.1 2.2 1.71.2 0.8 1.2 1.6 2.2 2.8 3.3 3.4 3.3 2.9 2.1 1.6 1.20.8 1.2 1.6 2.2 2.8 3.4 3.5 3.4 2.9 2.4 1.6 1.3 0.8 1.21.7 2.3 3.0 3.84.1 3.7 3.3 2.6 1.8 1.3 0.8 1.3 1.8 2.7 3.65.56.7 4.9 3.4 2.8 2.31.5 0.8 1.3 1.8 2.94.17.0 8.9 6.0 3.7 3.0 2.4 1.6 0.8 1.2 1.8 2.6 3.5 5.0 6.3 4.9 3.8 2.9 2.5 2.2 0.8 1.21.7 2.4 3.3 3.94.1 4.13.4 2.9 2.5 2.3 1.01.41.9 2.5 3.1 3.6 3.8 3.4 3.2 2.7 2.5 2.4 1.01.52.0 2.9 3.8 5.25.44.2 3.4 2.6 2.3 2.1 1.01.52.0 3.1 4.3 7.6 8.3 4.9 3.4 2.6 2.2 1.9 1.0 1.5 2.1 3.34.46.7 7.2 4.8 3.6 2.5 2.1 1.8 1.0 1.4 2.0 2.8 3.94.54.6 4.0 3.1 2.4 1.9 1.6 0.9 1.3 1.8 2.5 3.1 3.6 3.7 3.3 2.8 2.2 1.7 1.5 0.9 1.3 1.8 2.3 2.9 3.3 3.3 3.0 2.5 2.0 1.61.4 0.9 1.3 1.8 2.3 3.0 3.2 3.3 3.1 2.6 2.0 1.6 1.3 0.91.41.8 2.7 3.4 4.24.43.7 2.9 2.1 1.6 1.3 1.0 1.4 1.9 2.9 4.1 6.97.4 4.43.0 2.2 1.7 1.3 1.0 1.4 2.0 3.24.47.27.54.6 3.3 2.2 1.7 1.2 0.91.42.0 2.8 3.7 5.0 5.0 3.8 3.1 2.2 1.6 1.2 0.9 1.3 1.9 2.6 3.3 4.04.13.4 2.8 2.11.51.2 0.9 1.3 1.8 2.4 2.9 3.3 3.4 3.1 2.5 2.01.5 1.1 0.9 1.3 1.8 2.4 3.1 3.3 3.3 3.2 2.6 2.0 1.6 1.2 1.0 1.4 1.9 2.7 3.3 4.1 4.2 3.6 3.0 2.2 1.8 1.3 1.0 1.5 2.1 3.1 4.2 6.8 7.14.53.3 2.5 2.0 1.5 1.11.6 2.2 3.44.77.8 8.45.13.7 2.7 2.3 1.8 FIRE PUMPROOM EM EM 5H1-1 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 6a_Floor Illuminance Fc 24.89 32.4 16.3 1.53 1.99Elec_Level 6b_Floor Illuminance Fc 23.05 25.4 19.8 1.16 1.28Level 2_Lower Landing to 3_1_1_1_1_1_Top Illuminance Fc 3.49 23.5 0.0N.A. N.A.Level 2_Slope to 3_5_Top Illuminance Fc 2.80 8.4 0.9 3.11 9.33Level 2_Slope to 3_7_3_Top Illuminance Fc 2.70 8.9 0.7 3.86 12.71Level 2_Upper Landing to 3_1_1_1_1_1_Top Illuminance Fc 6.15 39.2 0.3 20.50 130.67 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts2 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 63.610 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 309.3212 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 3   p .   m . LEVEL 6 -PHOTOMETRICPLAN E2.07A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 6 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set RT1MH: 83.47 D8WMH: 68.124 D8WMH: 68.124 D8WMH: 68.124 0.4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 0 0 . 4 0 . 4 0.5 0. 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0 . 4 0 . 4 1.0 0 . 9 0 . 9 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 1.3 1 . 3 1 . 3 1 . 2 1.1 0.9 0 . 8 0 . 7 0 . 6 0 . 5 1.8 1 . 8 1 . 8 1 . 6 1.4 1.2 1 . 0 0 . 8 0 . 7 0 . 5 2.6 2 . 5 2 . 4 2 . 2 1 . 9 1 . 6 1 . 2 1 . 0 0 . 8 0 . 6 3.4 3 . 4 3 . 2 2 . 9 2 . 4 1 . 9 1.5 1.2 0 . 9 0 . 7 4.4 4.3 4.1 3.6 3 . 0 2 . 3 1 . 8 1 . 3 1 . 0 0 . 7 5.2 5 . 3 4 . 9 4 . 2 3 . 5 2 . 7 2 . 0 1.5 1 . 1 0.8 5.5 5 . 5 5.6 4.7 3.8 2 . 9 2 . 1 1.5 1 . 1 0.8 5.5 5 . 7 5 . 4 4.9 3 . 9 3 . 0 2 . 2 1 . 6 1.1 0.8 5.2 5 . 6 5 . 3 4 . 9 3 . 8 3 . 0 2 . 2 1.5 1 . 1 0.8 5.5 5 . 7 5 . 4 4.9 3 . 9 3 . 0 2 . 2 1 . 6 1.1 0.8 5.6 5 . 6 5 . 6 4.7 3.8 2 . 9 2 . 1 1.5 1 . 1 0.8 5.2 5.4 5.0 4 . 3 3 . 5 2 . 7 2 . 0 1.5 1 . 1 0.8 4.5 4 . 4 4.2 3 . 7 3 . 1 2 . 4 1 . 8 1 . 3 1 . 0 0 . 7 3.5 3 . 5 3 . 3 3 . 0 2 . 4 2 . 0 1.5 1.2 0 . 9 0 . 7 2.6 2 . 6 2 . 5 2 . 2 1 . 9 1 . 6 1 . 3 1 . 0 0 . 8 0 . 6 1.9 1 . 9 1 . 8 1.7 1 . 5 1.2 1 . 0 0 . 8 0 . 6 0 . 5 1.4 1 . 4 1.3 1 . 2 1.1 1.0 0 . 8 0 . 7 0 . 5 0 . 4 1.0 1 . 0 0 . 9 0 . 9 0 . 8 0 . 7 0 . 6 0 . 5 0 . 4 0.7 0 . 7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0.4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0.7 0 . 7 0 . 7 0 . 6 0 . 5 0 . 4 1.2 1 . 2 1.1 0.9 0 . 7 0 . 6 1.7 1 . 7 1.6 1 . 3 1 . 0 0 . 8 2.8 2 . 8 2 . 5 1 . 8 1.4 1.0 4.2 4 . 2 3 . 2 2 . 6 1 . 8 1 . 3 1.3 1 . 9 3 . 0 4 . 2 7 . 3 7.4 4.3 3 . 1 2 . 1 1.5 1.4 2.1 3 . 2 4.5 7 . 5 7.6 4 . 6 3 . 4 2 . 3 1 . 8 1.5 2.1 3 . 2 3 . 9 5.1 5.2 4.1 3.5 2 . 5 2 . 0 1.5 2.2 3 . 0 3 . 9 4.5 4.6 4.1 3.4 2 . 8 2 . 2 1.5 2.2 3 . 0 4.1 4.6 4 . 8 4.4 3.6 3 . 1 2 . 7 1.6 2 . 4 3 . 5 4.4 5.6 5 . 8 4 . 9 4.4 3.7 3 . 4 1.7 2.5 3 . 7 5 . 2 8 . 6 8 . 8 5 . 9 5 . 0 4.4 4 . 5 1.7 2.5 3 . 8 5 . 3 8 . 5 8 . 7 6 . 3 5 . 6 5.4 6.2 1.7 2.5 3 . 7 4.7 6.1 6 . 5 5 . 9 6 . 0 6 . 5 8 . 3 1.7 2.5 3 . 5 4 . 6 5 . 8 6 . 3 6 . 0 6 . 3 7 . 6 1 0 . 8 1.6 2 . 4 3 . 5 4.7 5 . 7 6.2 6 . 3 6 . 8 8 . 5 1 3 . 0 1.6 2 . 4 3 . 8 5 . 2 7.7 8.3 7 . 0 7.4 9.3 1 4 . 8 1.5 2.3 3 . 5 5 . 0 9 . 3 9 . 9 6 . 9 7 . 2 9 . 3 15.1 1.3 2 . 0 3 . 3 4.4 6.3 6 . 9 6 . 2 6 . 9 8 . 8 1 4 . 3 1.1 1 . 7 2.4 3 . 4 3 . 9 4.4 5.0 5 . 6 7 . 6 1 2 . 2 1.3 1 . 8 2 . 3 2 . 9 3 . 3 3 . 7 4 . 6 6 . 2 9 . 7 1.3 1.7 2.1 2 . 4 2 . 9 3 . 5 4.7 6.9 1.2 1.4 1 . 7 2.1 2 . 6 3 . 3 4.5 1.0 1 . 2 1.4 1.8 2 . 2 2 . 8 K40MH: 68.12 4 K40MH: 68.12 4 K40MH: 68.12 4 3.6 6.1 10.114.718.8 21.8 22.2 21.317.713.6 9.3 6.1 4.2 8.1 15.8 26.0 33.9 41.0 40.6 39.8 30.9 22.8 12.9 7.0 4.49.1 20.1 33.9 43.3 55.6 52.8 53.4 38.3 29.2 15.37.4 4.0 8.7 20.2 35.5 45.6 59.055.456.7 40.2 30.1 14.9 6.8 3.3 6.814.727.1 36.6 44.6 43.4 42.9 32.7 22.7 11.25.52.44.47.9 12.3 16.3 19.0 19.4 18.4 14.9 10.8 6.6 3.9 1.72.6 4.0 5.6 6.9 8.0 8.2 7.8 6.6 5.2 3.8 2.7 1.1 1.6 2.2 2.8 3.3 3.7 3.9 3.7 3.3 2.9 2.4 1.9 0.81.1 1.4 1.71.9 2.1 2.2 2.2 2.1 2.0 1.8 1.6 0.6 0.8 1.0 1.2 1.3 1.5 1.6 1.7 1.7 1.7 1.7 1.6 0.5 0.7 0.8 1.01.11.31.5 1.61.71.8 1.8 1.8 0.5 0.6 0.7 0.91.11.3 1.6 1.8 2.0 2.1 2.2 2.20.5 0.6 0.7 0.9 1.21.41.8 2.1 2.5 2.7 2.8 2.8 0.4 0.6 0.7 1.0 1.3 1.6 2.0 2.6 3.0 3.3 3.5 3.5 0.4 0.6 0.8 1.0 1.3 1.8 2.4 3.0 3.64.1 4.4 4.4 0.4 0.6 0.8 1.1 1.41.9 2.6 3.44.14.8 5.14.9 0.4 0.6 0.8 1.1 1.52.0 2.8 3.64.55.2 5.35.4 0.4 0.6 0.8 1.1 1.52.1 2.8 3.74.75.2 5.6 5.2 WP WP Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLevel 2_Lower Landing to 3_1_1_1_1_1_1_Top Illuminance Fc 1.865.70.0N.A. N.A.Level 2_Slope to 3_7_4_Top Illuminance Fc 9.03 59.0 0.4 22.58 147.50Level 2_Upper Landing to 3_1_1_1_1_1_Top Illuminance Fc 3.4115.10.2 17.05 75.50 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts1TT-D4-740-U-WQ 4 @ 90 Degrees TT-D4-740-U-WQ RT1 0.900 7569 57.6 230.43 TT-D8-740-U-WQ Single TT-D8-740-U-WQ D8W 0.850 17562 148.7 446.13 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 135 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 4   p .   m . LEVEL 6.5 -PHOTOMETRICPLAN E2.07B PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 6.5 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP EMEM 5EH1-7ST1 5EH1-7ST1 5EH1-5ST1 5EH1-5ST1 EM EM 5H1-7(5RP7)RT1 5H1-7(5RP7)RT1 5EH1-5X1 5EH1-7X1 5H1-7(5RP7)RT15H1-7(5RP7)RT15H1-7(5RP7)RT1 5H1-7(5RP7)RT15H1-7(5RP7)RT1 5H1-7(5RP7)RT1 5EH1-7X1 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM5EH1-11RX7 5EH1-11RX7 5EH1-11RX7WP WP L2 L2 BEP BEP EM EML1 L2 5H1-3 5H1-3 5H1-3 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 5   p .   m . LEVEL 7 - PARKINGLIGHTING PLAN E2.08 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 7 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set RT1MH: 81.41 7 RT1MH: 87.3 3 9 D8WMH: 68.124 D8WMH: 68.124 D8WMH: 68.124 0.4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 0 0 . 3 0 . 3 0.5 0. 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0.7 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0.9 0 . 9 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 1.3 1 . 2 1 . 2 1 . 1 1 . 0 0 . 8 0 . 7 0 . 6 0 . 5 0 . 5 1.8 1 . 8 1 . 7 1 . 5 1 . 3 1 . 1 0 . 9 0 . 7 0 . 6 0 . 5 2.6 2 . 5 2 . 4 2 . 1 1 . 8 1 . 4 1 . 1 0 . 9 0 . 7 0 . 5 3.7 3 . 6 3 . 3 2 . 9 2 . 3 1 . 8 1 . 4 1 . 0 0 . 8 0 . 6 4.9 4 . 8 4.5 3.9 3 . 0 2 . 3 1 . 7 1 . 2 0 . 9 0 . 6 6.2 6 . 2 5 . 6 4.7 3.7 2 . 6 1 . 9 1 . 3 0 . 9 0 . 7 6.8 7 . 0 6 . 5 5 . 3 4 . 1 2 . 9 2 . 0 1 . 4 1 . 0 0 . 7 7.1 7 . 1 6 . 8 5 . 6 4 . 2 3 . 0 2 . 1 1 . 5 1 . 0 0 . 7 6.5 7 . 0 6 . 5 5.5 4.2 3 . 0 2 . 1 1 . 5 1 . 0 0 . 7 7.0 7 . 1 6 . 8 5 . 6 4 . 2 3 . 0 2 . 1 1 . 5 1 . 0 0 . 7 6.9 7 . 0 6 . 6 5 . 3 4 . 1 2 . 9 2 . 1 1 . 4 1 . 0 0 . 7 6.4 6 . 3 5.7 4.8 3 . 7 2 . 7 1 . 9 1 . 3 1 . 0 0 . 7 5.0 4 . 9 4 . 6 4 . 0 3 . 0 2 . 3 1 . 7 1 . 2 0 . 9 0 . 6 3.8 3 . 7 3 . 4 2 . 9 2 . 4 1 . 9 1 . 4 1 . 1 0 . 8 0 . 6 2.6 2 . 6 2 . 5 2 . 2 1 . 8 1 . 5 1 . 2 0 . 9 0 . 7 0 . 5 1.9 1 . 9 1 . 7 1 . 6 1 . 4 1 . 1 0 . 9 0 . 7 0 . 6 0 . 4 1.3 1 . 3 1 . 2 1 . 1 1 . 0 0 . 9 0 . 7 0 . 6 0 . 5 0 . 4 1.0 0 . 9 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 5 0 . 4 0.7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 0.5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0.4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0.8 0 . 7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 9 0.9 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 2 1.0 1 . 2 1.4 1 . 5 1 . 7 1 . 7 1 . 7 1.0 1 . 0 1.1 1.3 1.5 1.8 2 . 1 2 . 4 2 . 5 2 . 5 0.7 1 . 0 1 . 2 1.5 1.9 2 . 4 3 . 0 3 . 4 3 . 6 3 . 6 0.7 1 . 0 1 . 3 1 . 8 2 . 4 3 . 1 4 . 0 4 . 6 4 . 8 4 . 8 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 4 . 9 5.7 6.2 6 . 2 0.7 1.1 1 . 5 2.2 3 . 1 4 . 3 5.5 6.7 7 . 0 6 . 8 0.8 1.1 1.6 2 . 3 3 . 2 4.5 5.8 6 . 9 7 . 2 7 . 0 0.8 1.1 1 . 5 2.2 3 . 3 4.4 5.8 6 . 6 7.1 6.5 0.8 1.1 1.6 2 . 2 3 . 2 4.5 5.9 6 . 8 7 . 2 6 . 9 0.7 1 . 0 1.5 2.2 3 . 1 4 . 3 5 . 6 6 . 8 7 . 0 6 . 9 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 5 . 0 5 . 9 6 . 4 6 . 4 0.7 0 . 9 1 . 3 1 . 8 2 . 4 3 . 2 4.1 4.7 5.0 5 . 0 0.6 0 . 8 1.1 1 . 5 2.0 2 . 5 3 . 1 3 . 5 3 . 7 3 . 8 0.5 0 . 7 0 . 9 1 . 2 1.5 1.9 2 . 2 2 . 5 2 . 6 2 . 6 0.5 0 . 6 0 . 7 0 . 9 1 . 2 1.4 1.6 1.7 1.8 1 . 8 0.4 0 . 5 0 . 6 0 . 7 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 3 0.4 0 . 5 0 . 6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 0 . 9 0.4 0 . 4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0.3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.2 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.3 1.1 0.7 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 9.3 1 6 . 4 1 8 . 3 17.5 14.3 5 . 9 2 . 0 0 . 9 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 10.9 1 9 . 7 2 1 . 8 2 0 . 7 1 7 . 2 6 . 9 2 . 2 1 . 0 0 . 8 0 . 7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 9 4.6 6 . 9 7 . 9 7.7 6.2 3 . 5 1.7 1.0 0 . 9 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 2 1.6 2 . 1 2 . 4 2 . 6 2 . 2 1 . 6 1 . 2 1 . 0 1 . 0 1 . 2 1.4 1 . 5 1 . 7 1 . 7 1 . 7 0.8 1 . 0 1.1 1 . 1 0.9 1 . 0 1 . 0 1.1 1.3 1.5 1.8 2 . 1 2 . 4 2 . 5 2 . 5 0.7 1 . 0 1 . 2 1.5 1.9 2 . 4 3 . 0 3 . 4 3 . 6 3 . 6 0.7 1 . 0 1 . 3 1 . 8 2 . 4 3 . 1 4 . 0 4 . 6 4 . 8 4 . 8 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 4 . 9 5.7 6.2 6 . 2 0.7 1.1 1 . 5 2.2 3 . 1 4 . 3 5.5 6.7 7 . 0 6 . 8 0.8 1.1 1.6 2 . 3 3 . 2 4.5 5.8 6 . 9 7 . 2 7 . 0 0.8 1.1 1 . 5 2.2 3 . 3 4.4 5.8 6 . 6 7.1 6.5 0.8 1.1 1.6 2 . 2 3 . 2 4.5 5.9 6 . 8 7 . 2 6 . 9 0.7 1 . 0 1.5 2.2 3 . 1 4 . 3 5 . 6 6 . 8 7 . 0 6 . 9 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 5 . 0 5 . 9 6 . 4 6 . 4 0.7 0 . 9 1 . 3 1 . 8 2 . 4 3 . 2 4.1 4.7 5.0 5 . 0 0.6 0 . 8 1.1 1 . 5 2.0 2 . 5 3 . 1 3 . 5 3 . 7 3 . 8 0.5 0 . 7 0 . 9 1 . 2 1.5 1.9 2 . 2 2 . 5 2 . 6 2 . 6 0.5 0 . 6 0 . 7 0 . 9 1 . 2 1.4 1.6 1.7 1.8 1 . 8 0.4 0 . 5 0 . 6 0 . 7 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 3 0.4 0 . 5 0 . 6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 0 . 9 0.4 0 . 4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0.3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 6.7 7 . 2 6 . 8 6 . 0 7.1 7 . 0 7 . 1 5 . 9 6.5 6 . 8 6 . 3 5 . 3 5.45.3 5 . 1 4.5 4.1 4 . 1 3 . 9 3 . 4 2.9 2 . 9 2 . 7 2 . 5 2.0 2 . 0 1 . 9 1 . 8 1.4 1 . 4 1 . 3 1 . 3 1.0 1 . 0 0 . 9 0 . 9 0.7 0 . 7 0 . 7 0 . 7 0.5 0 . 5 0 . 5 0 . 5 0.4 0 . 4 0 . 4 0 . 4 RX7MH: 78.866 RX7MH: 78 . 8 6 6 RX7MH: 78.86 6 0.4 0.5 0.7 1.01.42.0 2.94.1 5.46.7 7.2 7.0 0.4 0.6 0.7 1.01.42.1 2.9 4.2 5.67.17.67.7 0.4 0.5 0.7 1.01.42.0 2.8 4.05.46.7 7.67.7 0.4 0.5 0.7 1.0 1.3 1.9 2.6 3.54.7 5.76.4 6.5 0.4 0.5 0.7 0.9 1.2 1.7 2.2 2.9 3.74.54.9 5.1 0.4 0.5 0.7 0.8 1.1 1.4 1.8 2.3 2.9 3.3 3.6 3.7 0.4 0.5 0.6 0.8 1.0 1.21.51.9 2.2 2.4 2.6 2.7 0.4 0.5 0.6 0.7 0.91.11.31.5 1.71.9 2.0 2.0 0.4 0.5 0.6 0.7 0.9 1.0 1.21.4 1.51.61.7 1.7 0.4 0.5 0.6 0.7 0.9 1.0 1.2 1.4 1.5 1.6 1.7 1.7 0.4 0.5 0.6 0.7 0.9 1.1 1.3 1.5 1.7 1.8 1.9 1.9 0.4 0.5 0.6 0.8 1.0 1.21.5 1.72.0 2.2 2.3 2.3 0.4 0.5 0.6 0.81.1 1.4 1.72.1 2.5 2.8 2.9 3.0 0.4 0.5 0.7 0.9 1.21.52.0 2.6 3.2 3.6 3.8 3.9 0.4 0.5 0.7 0.9 1.31.72.3 3.1 3.94.54.9 5.0 0.4 0.5 0.7 1.0 1.3 1.9 2.6 3.64.5 5.56.1 5.9 0.4 0.5 0.7 1.0 1.4 2.0 2.8 3.8 5.0 6.3 6.4 6.6 0.4 0.5 0.7 1.01.42.0 2.8 4.0 5.2 6.4 6.9 6.6 0.8 2.7 6.1 14.6 27.8 37.7 46.5 44.9 44.6 33.4 22.7 10.34.5 2.2 4.2 8.0 13.1 17.5 20.7 20.9 19.8 15.7 11.0 6.3 3.42.0 3.2 4.8 6.7 8.4 9.8 10.2 9.9 8.8 7.3 5.7 4.5 1.5 2.1 2.9 3.64.45.0 5.3 5.45.1 4.6 4.0 3.5 1.21.51.9 2.3 2.7 3.1 3.3 3.4 3.4 3.3 3.1 2.9 0.9 1.2 1.4 1.7 2.0 2.2 2.4 2.6 2.7 2.7 2.6 2.5 0.8 1.0 1.2 1.41.6 1.8 2.1 2.3 2.4 2.5 2.6 2.5 0.7 0.9 1.0 1.2 1.5 1.7 2.0 2.3 2.5 2.7 2.7 2.7 0.6 0.8 1.0 1.21.4 1.72.1 2.4 2.8 3.1 3.3 3.30.6 0.7 0.9 1.1 1.4 1.8 2.3 2.8 3.4 3.8 4.0 4.1 0.5 0.7 0.9 1.1 1.51.9 2.5 3.34.14.7 5.15.2 0.5 0.7 0.9 1.1 1.52.1 2.8 3.84.75.6 6.3 6.1 0.5 0.6 0.8 1.1 1.52.1 3.0 4.0 5.2 6.4 6.6 6.7 0.5 0.6 0.8 1.1 1.52.1 3.0 4.1 5.46.5 6.9 6.7 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLevel 2_Lower Landing to 3_1_1_1_1_1_1_Top Illuminance Fc 1.967.10.0N.A. N.A.Level 2_Slope to 3_6_Top Illuminance Fc 2.227.70.45.55 19.25Level 2_Upper Landing to 3_1_1_1_1_1_1_Top Illuminance Fc 2.72 21.8 0.2 13.60 109.00Level 7_to 8_Top_1 Illuminance Fc 3.10 7.2 0.47.75 18.00Ramp to level 6 and a half_Top Illuminance Fc 5.14 46.5 0.5 10.28 93.00 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts2 TT-D4-740-U-WQ 4 @ 90 Degrees TT-D4-740-U-WQ RT1 0.900 7569 57.6 460.83 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 92.7963 TT-D8-740-U-WQ Single TT-D8-740-U-WQ D8W 0.850 17562 148.7 446.1 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts3 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 92.7963 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.4 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_3_Top Illuminance Fc 12.55 13.411.71.07 1.15Level_2_1_3_Top Illuminance Fc 19.42 23.4 14.0 1.39 1.67Level_2a_1_3_Top Illuminance Fc 13.68 17.2 10.4 1.32 1.65Level_2b_3_Top Illuminance Fc 2.89 10.5 0.3 9.63 35.00Stair Tread_4_1_1_3_Top_1 Illuminance Fc 16.40 16.4 16.4 1.00 1.00Stair Tread_4_2_1_3_Top_1 Illuminance Fc 15.80 15.8 15.8 1.00 1.00Stair Tread_4_3_1_3_Top_1 Illuminance Fc 15.00 15.0 15.0 1.00 1.00Stair Tread_4_4_1_3_Top_1 Illuminance Fc 13.90 13.9 13.9 1.00 1.00Stair Tread_4_5_1_3_Top_1 Illuminance Fc 13.80 13.8 13.8 1.00 1.00Stair Tread_4_6_1_1_3_Top_1 Illuminance Fc 13.40 13.4 13.4 1.00 1.00Stair Tread_4_6_2_1_3_Top_1 Illuminance Fc 14.40 14.4 14.4 1.00 1.00Stair Tread_4_6_3_1_3_Top_1 Illuminance Fc 14.70 14.7 14.7 1.00 1.00Stair Tread_4_6_4_1_3_Top_1 Illuminance Fc 15.40 15.4 15.4 1.00 1.00Stair Tread_4_6_5_1_3_Top_1 Illuminance Fc 17.60 17.6 17.6 1.00 1.00Stair Tread_4_6_6_1_3_Top_1 Illuminance Fc 17.20 17.2 17.2 1.00 1.00Stair Tread_4_6_7_1_3_Top_1 Illuminance Fc 15.90 15.9 15.9 1.00 1.00Stair Tread_4_6_8_1_3_Top_1 Illuminance Fc 15.7015.7 15.71.00 1.00Stair Tread_4_6_9_3_Top_1 Illuminance Fc 13.90 13.9 13.9 1.00 1.00Stair Tread_4_7_3_Top_1 Illuminance Fc 14.00 14.0 14.0 1.00 1.00 11.7 13.4 16.7 17.2 22.1 22.0 21.3 23.4 18.5 21.7 14.0 17.3 17.2 16.2 14.5 12.3 11.5 10.4 7.6 7.1 8.0 10.5 5.6 0.3 3.2 3.4 3.7 3.9 2.8 0.8 1.5 1.6 1.7 1.6 1.2 0.7 0.7 0.8 0.8 0.8 0.6 0.4 16.415.815.013.913.813.4 14.414.715.417.617.215.915.7 13.9 14.0 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 7   p .   m . LEVEL 7 -PHOTOMETRICPLAN E2.08A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 7 - PHOTOMETRIC PLAN1 SCALE = 1/4" = 1'-0" LEVEL 7 STAIR ENLARGEDPHOTOMETRIC PLAN2 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set Addressing Planning Commission Recommendations: 1. Additional visual interest be incorporated along the retaining walls at the base of the structure’s street facing facades and identified in the plan set prior to adoption of the development agreement. a. SEG is committed to working with Salt Lake City to enhance pedestrian experience along 400 West and 100 South, including the potential for art activations and increased landscaping as the site plan for the entire block is finalized in future years. Given the next two years of construction and the master planning of the entire site, SEG believes that it makes more sense to address these issues in detail over that process. 2. The applicant replaced the proposed woven wire mesh screening material on the street facing facades of the loading area with screening materials similar to or consistent with the perforated aluminum panels proposed for the upper levels of the structure prior to adoption of the development agreement. a. Our mechanical engineers have approved the potential of different materials to be substituted for the wire mesh. We have included options for that area within Exhibit B. Due to safety and code regulations (since the loading area will often have air quality issues due to running engines) the façade materials in that area have to be more open to allow ventilation. If the ratio of solids to voids in this area was significantly modified to match the materials on the façade itself that would require more air handling which would result in higher energy use, higher costs and, also, create a noise issue as the higher pressure air escapes from the materials. To address the concern expressed by the Planning Commission about lights from vehicles in this loading area potentially impacting neighboring properties – this area is significantly below grade so that lighting will not be an issue. In fact, the below grade area will be used almost exactly the same as it now is and there have been no major lighting issues. 3. The applicant includes bicycle parking on the property in close proximity to the primary entrances of the arena. a. SEG will work to include more bicycle parking in close proximity to the primary entrances of the arena as the site plan for the entire block is finalized in future years. Wherever we might show that bicycle parking at this time would be subject to change as the entire site and area are planned. 4. Final details regarding site plan requirements be provided in the plan set prior to adoption of the Development Agreement a. SEG has provided Salt Lake City with the most up to date plan set and will continue to update in response to building and other city department permit comments. 5. The applicant works with staff to create a larger landscape buffer as possible. a. SEG is working with the civil engineers and architects to see if there is a way to create a larger landscape buffer along 100 South and 400 West. If possible, SEG will work with SLC Building and Planning Department and use commercially reasonable efforts to maximize the landscape buffer along the property. R A M P DETAIL KEY SHEET # DETAIL # ELEVATION KEY SHEET # ELEVATION # WALL SECTION KEYDETAIL # SHEET # BUILDING SECTION KEY DETAIL # SHEET # NORTH ARROWTRUE NORTH REVISION CLOUD GRID DESIGNATION TAG KEY # # X X 100 Name100 #'-#" WALL TAG (PARTITION TYPE) KEYED NOTE ACCESSORY TAG FINISH TAG SPECIALTY EQUIPMENT TAG DOOR TAG ROOM TAG CEILING HEIGHT TAG 1A1.01 SIM ##### SIM SPOT ELEVATION 100.00 REFERENCEOBJECT U2A* A1011Ref 1Ref 1Ref 1Ref LEVEL KEY PRECAST PANEL TAG INTERIOR ELEVATION TAG 11A3-0 ElevationLevel ##### SIM ##### SIM NREFERENCE TRUENORTH REFERENCE NORTH TOP OF STRUCTURAL SLAB ELEVATION 100.17 TOP OF STRUCTURAL SLAB ELEVATION 100.00 TOP OF FINISHED ELEVATION MATERIAL LEGEND EARTH GRAVEL / BALLAST STEEL CONCRETE RIGID INSUL. BATT INSUL. FIRE SAFING MARBLE / GRANITE FINISH LUMBER PLYWOOD WOOD BLOCKING SHIM CUT STONE / PRE-CAST CONCRETE MASONRY UNITS BRICK ALUMINUM PLASTER GYPSUM BOARD GLAZING UNDISTURBED EARTH METALSTUD VICINITY MAP EXPANDED VIEW NREFERENCE TRUENORTH ABBREVIATIONS APPLICABLE CODE LIST WITH LOCAL AMENDMENTS LOCATION MAP NREFERENCE TRUENORTH DESCRIPTION OF SCOPE OF WORK H HIGHHBHOSE BIBHCHOLLOW COREHDCP HANDICAPHDHEADHDWHARDWAREHMHOLLOW METALHORIZ HORIZONTALHPHIGH POINTHGTHEIGHTHTRHEATERHWHHOT WATER HEATERHVAC HEATING VENTILATING AND AIR CONDITIONING ICE ICE MACHINEIDINSIDE DIAMETERININCHINCLINCLUDE (ED) (ING)INFO INFORMATIONINSUL INSULATIONINTINTERIOR JAN JANITORJBJUNCTION BOXJSTJOISTJTJOINT L LENGTHLABLABORATORYLAMLAMINATELAVLAVATORYLBPOUNDLFLINEAR FEETLHLEFT HANDLKRLOCKERLPLOW POINT M METERMAMARBLE MAS MASONRYMATL MATERIALMAXMAXIMUMMBMARKER BOARD OR MOP BASINMDFMEDIUM DENSITY FIBERBOARDMECH MECHANICAL MFR MANUFACTURERMHMANHOLEMICMICROWAVEMINMINIMUMMISCMISCELLANEOUSMMMILLIMETERMOMASONRY OPENINGMTDMOUNTEDMTLMETAL N NORTHNICNOT IN CONTRACTNONUMBERNOMNOMINALNTSNOT TO SCALE OA OVERALLOCON CENTERODOUTSIDE DIAMETEROHOVERHEADOHDOVERHEAD DOOROPNG OPENINGOPPOPPOSITEORDOVERFLOW ROOF DRAINOPTOPTIONALORIG ORIGINALOZOUNCE PARTN PARTITIONPCPRECASTPERF PERFORATEDPJPANEL JOINTPLPLATEPLAS PLASTERP LAM PLASTIC LAMINATEPLGPLUMBINGPLYWD PLYWOODPNLPANELPRPAIRPREFAB PREFABRICATEDPRELIM PRELIMINARYPROJ PROJECT PRS PROJECTION SCREENPSFPOUNDS PER SQUARE FOOTPSIPOUNDS PER SQUARE INCHPTPAINTPTDPAPER TOWEL DISPENSER QT QUARRY TILEQTRQUARTER R RISERR/A RETURN AIRRADRADIUSRBRESILIENT BASERDROOF DRAINREFREFERENCEREINF REINFORCED (ING)RF RESILIENT FLOORINGRFGREFRIGERATOR A/C AIR CONDITIONINGACTACOUSTICAL CEILING TILEAFFABOVE FINISH FLOORAHUAIR HANDLING UNITALUM ALUMINUMALTALTERNATEAMTAMOUNTAPACCESS PANELAPPROX APPROXIMATEARCH ARCHITECTURALATMAUTOMATED TELLER MACHINEAVAUDIO VISUAL BD BOARDBLDG BUILDINGBLKBLOCKINGBMBEAM OR BENCHMARKBMDBOTTOM OF METAL DECKBOBOTTOM OFBOSBOTTOM OF STAIRSBRGBEARINGBSMT BASEMENT CAB(S) CABINET(S)CB CORNER BEANCGCORNER GUARDCICAST IRONCJCONTROL JOINTCLGCEILINGCLCLOSETCLRCLEARCMCENTIMETERCMPCOMPOSITE METAL PANELCMUCONCRETE MASONRY UNITCOCLEAN OUTCOLCOLUMNCONC CONCRETECONST CONSTRUCTIONCONT CONTINUOUS CONTR CONTRACTORCOPY COPY/PRINT MACHINECPTCARPETCTCERAMIC TILECTRCENTERCTSK COUNTERSINKCWCURTAIN WALL DBL DOUBLEDEGDEGREEDEPT DEPARTMENTDTLDETAILDIADIAMETERDIAGDIAGONALDIMDIMENSIONDNDOWNDRDOORDSDOWNSPOUTDWDISHWASHERDWG(S) DRAWING(S) E EASTEAEACHEIFSEXTERIOR INSULATION FINISH SYSTEMEJEXPANSION JOINTELELEVATIONELEC ELECTRICALELEV ELEVATORENCL ENCLOSUREENGR ENGINEEREQEQUALEQPEQUIPMENTESMT EASEMENTEWCELECTRIC WATER COOLEREXHEXHAUSTEXIST EXISTING EXP EXPANSIONEXTEXTERIOR FA FIRE ALARMFCUFAN COIL UNITFDFLOOR DRAINFDNFOUNDATIONFEFIRE EXTINGUISHERFECFIRE EXTINGUISHER CABINETFFFINISH FLOORFHCFIRE HOSE CABINETFINFINISH FL FLOW LINEFLRFLOORFTFEETFTGFOOTINGFUTFUTUREFVFIELD VERIFYFWCFABRIC WALL COVERING GA GAUGEGALV GALVANIZEDGBGRAB BARGCGENERAL CONTRACTORGENGENERATORGFBGROUND FACE BLOCKGFRC GLASS FIBER REINFORCED CONCRETEGFRG GLASS FIBER REINFORCED GYPSUMGLGLASSGNDGROUNDGYPGYPSUM REQ REQUIRED RET RETAINING REV REVISIONRHRIGHT HANDRMROOMROROUGH OPENINGRTUROOF TOP UNITRVROOF VENTSSOUTHS/A SUPPLY AIRSABSOUND ATTENUATION BLANKETSANSANITARY SD SMOKE DETECTORSFSQUARE FEETSHRSHOWERSHTSHEETSIMSIMILARSMSQUARE METERSNRSANITARY NAPKIN RECEPTACLESPEC(S) SPECIFICATION(S)SPKR SPEAKERSQSQUARESSSTAINLESS STEELSTSTREETSTDSTANDARDSTLSTEELSTOR STORAGESTRUCT STRUCTURESUSP SUSPENDEDSYMSYMMETRICALSYSSYSTEM T TREAD / TEMPEREDT&G TONGUE & GROOVETBTACKBOARDTBDTO BE DETERMINEDTELETELEPHONETELECOM TELEPHONE COMMUNICATIONSTEMP TEMPORARYTRZTERRAZZOTHKTHICKTHRU THROUGHTOTOP OFTPHTOILET PAPER HOLDERTSSTOP STRUCTURAL SLABTSTLTOP OF STEELTUTILT-UPTVTELEVISIONTWTOP OF WALLTYPTYPICAL UH UNIT HEATERUNFIN UNFINISHEDULUNDERWRITER'S LABORATORYUONUNLESS OTHERWISE NOTED V VENDING MACHINEVBVAPOR BARRIERVENT VENTILATIONVERT VERTICALVEST VESTIBULEVWCVINYL WALL COVERING W WESTW/WITHW/O WITHOUTWCWATER CLOSETWDWOODWGWALL GUARDWPWATERPROOFINGWPTWORKING POINTWSCT WAINSCOTWTWEIGHTWWF WELDED WIRE FABRIC XMFR TRANSFORMER PARKING & AREA SUMMARY PARKING SPACE LEGEND ADA = STANDARD ACCESSIBLE PARKING SPACEEVS = ELECTRIC VEHICLE SPACE (FUTURE EVCS)EVCS = ELECTRIC VEHICLE CHARGING STATIONCAV = CLEAN AIR / VAN POOL / EV SPACESTD = STANDARD PARKING SPACECOMP = COMPACT PARKING SPACE GRAPHIC SYMBOLS MATERIAL PATTERN SYMBOLS REQUIRED PARKING REQUIRED BICYCLE PARKING PROJECT SITE PROJECT SITE DEFERRED SUBMITTALS ZONING / CONSTRUCTION TYPE / USE GROUP / FIRE PROTECTION 7A 6B 5B 4B 3B 2B 1B 7B 6A 5A 4A 3A 2A 1A1CENT/EXT RAMP LOADING LOADING LOADING LEGAL DESCRIPTION & PARCEL NUMBER Legal Description:BEG AT THE NE COR OF BLK 79, PLAT A, SLC SUR; S 0¿13'31" W 660.36 FT; N 89¿46'55" W 660.70 FT; N 0¿14'38" E 390.25 FT; N 45¿16'17" E 382.34 FT; S 89¿46'56" E 390.01 FT TO BEG. (BEING PT OF LOTS 4 & 5 & ALL OF LOTS 1 THRU 3 & 6 THU 8, BLK 79, PLAT A, SLC SUR). 9.176 AC M OR L. 5918-838 6175-1443 6227-1454,1482 Parcel Record 15011270172000Owner REDEVELOPMENT AGENCY OF SALT LAKE CITYAddress 301 W SOUTHTEMPLE STTotal Acreage 9.18Tax Class Id 50BProperty Type 953Tax District 01C% Exempt 100Exempt Type TMunicipal Zone D-4MLS Number 5 5 500 ft0 ft 5 EMERGENCY RESPONDER RADIO COMMUNICATION SYSTEM "UPON SIGNIFICANT COMPLETION OF THE STRUCTURE, TESTING OF ERRCS SIGNAL STRENGTH SHALL BE ARRANGED AND PERFORMED WITH THE FIRE PREVENTION BUREAU. IF SIGNAL STRENGTH IS DETERMINED TO BE INSUFFICIENT, A DISTRIBUTED ANTENNA SYSTEM (DAS) SHALL BE PROVIDED BY OWNER’S INTEGRATOR VIA DEFERRED SUBMITTAL." SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEER STRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEER TRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPE WALTER P. MOORE BNA CONSULTING VBFA HALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 8/2 8 / 2 0 2 5 2 : 2 9 : 4 3 P M GENERAL SHEET A0.01 12 / 06 / 2024 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 TD/DA/YC SB 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 EP AUTHORITY HAVING JURISDICTION: SALT LAKE CITY, UT 2021 UTAH FIRE CODE (UFC)2019 UTAH FIRE ALARM CODE2019 UTAH SPRINKLER CODE 2019 NFPA 14 - STANDPIPES2019 NFPA 13 - SPRINKLER SYSTEMS2019 NFPA 72 - NATIONAL FIRE ALARMICC A117.1-09 2021 EDITION OF THE INTERNATIONAL BUILDING CODE, INCLUDING APPENDICES C AND J, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL PLUMBING CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL MECHANICAL CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2020 EDITION OF THE NATIONAL ELECTRICAL CODE, ISSUED BY THE NATIONAL FIRE PROTECTION ASSOCIATION2021 EDITION OF THE INTERNATIONAL FIRE CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL ENERGY CONSERVATION CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL 2017 UTAH ACCESSIBILITY CODE2010 ADA STANDARDS FOR ACCESSIBLE DESIGN2025 SALT LAKE CITY MUNICIPAL CODE ZONE:D-4 USE:PARKING, COMMERCIAL OCCUPANCY CLASSIFICATION :BASEMENT LEVEL IS CONSIDERED A SEPARATE BUILDING FROM THE OPEN PARKING GARAGE LEVELS ABOVE PER IBC 510.3 GROUP S-2 ENCLOSED PARKING GARAGE WITH GROUP S-2 OPEN PARKING GARAGE ABOVE TYPE OF CONSTRUCTION: IIB FIRE PROTECTION:FIRE STANDPIPE + SPRINKLER SYSTEM BUILDING FOOTPRINT SIZE:188'-10" X 122'-7" NUMBER OF TIERS PROVIDED: 9 TIERS / 7 STORIES BUILDING TIERS ALLOWED: 9 TIERS PER IBC 406.5.5 AREA AND HEIGHT INCREASES ALLOWABLE HEIGHT: 600'-0" PER D-4 ZONE HEIGHT LIMITS PER IBC HEIGHT OF OPEN PARKING BUILDING MEASURED FROM GRADE PLANE TO HIGHEST FLOOR TIER 9 = 81'-1" = 8.96 TIERS ROUNDED UP TO 9 TIERS PER IBC SECTION 406.5.4.1 SINGLE USE. BUILDING HEIGHT: PER SLC MUNICIPAL CODE 80'-7" (PER SECTION 12-1.18. BUILDING HEIGHT. “BUILDING HEIGHT” SHALL MEAN THE VERTICAL DISTANCE MEASURED FROM THE AVERAGE LEVEL OF THE HIGHEST AND LOWEST POINT OF THAT PORTION OF THE SITE COVERED BY THE BUILDING TO THE CEILING OF THE UPPERMOST STORY.) VENTILATION: NATURAL VENTILATION ON OPEN PARKING LEVELS. MECHANICAL VENTILATION ON BASEMENT LEVEL FLOOR AREA ALLOWED: TYPE IIB = 50,000 S.F. MAX. PER OPEN TIER AND 104,000 S.F. MAX. PER ENCLOSED STORY. ALLOWABLE AREA WITH TYPE IIB CONSTRUCTION PER IBC 510.3 (1) OF THE BUILDING SUCH THAT THE SUM OF RATIONS FOR EACH SEPARATE OCCUPANCY SHALL NOT EQUAL 1. BASEMENT ENCLOSED PARKING BUILDING AREA RATIO: 31,255 SF AREA PROVIDED /104,000 ALLOWED MAX. 1 STORY MAX ABOVE GRADE PLAN EQUIPPED THROUGHOUT WITH AUTOMATIC SPRINKLER PER TABLE 506.2 = 0.31 RATIO ABOVE GRADE OPEN PARKING STRUCTURE BUILDING AREA RATIO : 29,839 PROVIDED (LARGEST TIER 1 MEASURED FROM LOWEST POINT OF TIER TO 9'-6" ABOVE AS DEFINED BY 406.5.4.1 SINGLE USE )/ 50,000 SF PER TABLE 406.5.4 = 0.59 RATIO SUM OF RATIOS OF BUILDING 0.31+0.59=0.90 RATIO WHICH IS LESS THAN 1 FLOOR AREA/PER LEVEL: 23,276 S.F. TYPICAL GRAND TOTAL FLOOR AREA: 209,227 S.F. OCCUPANT LOAD PER LEVEL: 117 PER LEVEL TYPICAL EXIT STAIRS REQUIRED: 2 EXIT STAIRS PROVIDED:2 STAIR WIDTH REQUIRED PER STAIR: 18"STAIR WIDTH PROVIDED PER STAIR: 54" TRAVEL DISTANCE: 400' MAX. TO STAIR PER IBC TABLE 1017.2 (FULLY SPRINKLERED WITHOUT VOICE ALARM SYSTEM) THE PROJECT CONSISTS OF A NEW 9 TIER/ 7 LEVEL OPEN PARKING STRUCTURE ABOVE ONE-TIER/ ONE STORY ENCLOSED COMMERCIAL VEHICLE LOADING AND AN ELEVATED PEDESTRIAN BRIDGE. SITE IMPROVEMENTS WITH A LIMITED EXTENSION FROM THE EXTERIOR PERIMETER OF THE PARKING STRUCTURE INCLUDE ON-SITE DRIVEWAY ACCESS, LANDSCAPE, HARDSCAPE, UTILITY LINES. THE PARKING FACILITY IS DESIGNED WITH STEEL COLUMNS AND BEAMS AND CONCRETE-FILLED METAL DECK ELEVATED FLOORS OF TYPE IIB CONSTRUCTION. SERVING ALL SEVEN ABOVE GRADE LEVELS ARE TWO ELEVATORS AT THE NORTHEAST CORNER, TWO OPEN STAIRS AT THE NORTHWEST AND NORTHEAST CORNERS. THE BASEMENT LEVEL IS SERVED BY A NEW E;EVATOR CONNECTING TO LEVEL 1, AND AN EXISTING STAIR WITHIN THE ARENA AND A NEW STAIR FROM BASEMENT FOR LEVEL 1. VEHICULAR ACCESS IS PROVIDED AT LEVEL 1. ACCESSIBLE PARKING IS PROVIDED AT ALL LEVELS. EXCEPT BASEMENT LEVEL CONTRACTOR AND THEIR ENGINEER SHALL PREPARE DETAIL PLANS, SPECIFICATIONS, ENGINEERING CALCULATIONS FOR THE DEFERRED ITEMS LISTED BELOW. THE ENGINEER SHALL BE REGISTERED IN THE STATE OF UTAH. THE DEFERRED SUBMITTALS SHALL BE STAMPED AND SIGNED BY THE REGISTERED ENGINEER AND PRESENTED TO THE ARCHITECT OF RECORD (AOR) / STRUCTURAL ENGINEER OF RECORD (SEOR) FOR REVIEW AND APPROVAL PRIOR TO THE CONTRACTOR SUBMITTING THE DEFERRED SUBMITTALS TO THE AUTHORITY HAVING JURISDICTION (AHJ) FOR APPROVAL AND PERMIT. INSTALLATION OF DEFERRED SUBMITTALS SHALL NOT BE STARTED UNTIL THEY ARE ACCEPTED BY THE ARCHITECT OF RECORD (AOR) / STRUCTURAL ENGINEER OF RECORD (SEOR) AND APPROVED/ PERMITTED BY AHJ. CONTRACTOR SHALL ALLOW SUFFICIENT TIME FOR REVIEW BY AOR/ SEOR PRIOR TO SUBMITTAL, APPROVAL, PERMITTED BY AHJ. DEFERRED ITEMS INCLUDE THE FOLLOWING: 1. FIRE SPRINKLER SYSTEM2. AUTOMATIC FIRE ALARM SYSTEM3. COMMUNICATION SYSTEM (INCLUDING CCTV)4. BARRIER CABLES5. STEEL STAIRS & GUARDRAILS6. ELEVATOR GUIDE RAIL BRACKETS7. BUCKLING RESTRAINED BRACES8. PLUMBING LINES AND MECHANICAL EQUIPMENT SUPPORT, BRACING, ANCHORAGES AND PROTECTION9. PREFABRICATED GUARDBOOTH10. PARKING CONTROL EQUIPMENT11. METAL STUD/ COLD-FORMED FRAMING12. GENERATORS13. PARKING STRUCTURE ENTRY PORTAL14. METAL FABRICATIONS, RAILINGS, AND GRATINGS15. PILE LOAD TEST FRAME NOTE:INSTALLATION OF ELEVATOR GUIDE RAILS AND BRACKETS SHALL BE IN COMPLIANCE WITH:1. ASME 17.1/ CSA B44, ASME 17.1/ CSA B44.72. FOR ADDITIONAL STRUCTURAL DEFERRED SUBMITTALS SEE SHT S0-10, PART XI SUBMITTAL, B2 TOTAL CODE REQUIRED PARKING = NONE REQUIRED PROVIDED PARKING SPACES PARKING STRUCTURE (THIS PERMIT) = 448 SPACES GRAND TOTAL = 448 SPACES *** Whithin the 31 spaces there are 25 compact parking spaces (Pending the Master Development Agreement)**Within the 34 spaces there are 14 compact parking spaces (Pending the Master Development Agreement)* Within the 10 total ADA spaces there are 8 standard ADA and 2 Van ADA Total 438 10 448 0 165,238 34,227 9,763 210,085 369 Total 40 1 41 0 16,119 0 0 16,119 393 7B 9 0 9 0 4,015 0 0 4,015 446 7A ***31 1 32 0 12,104 0 0 12,104 378Level 7 Total 66 1 67 0 23,276 0 0 23,276 348 6B **34 0 34 0 11,172 0 0 11,172 329 6A 32 1 33 0 12,104 0 0 12,104 367Level 6 Total 67 1 68 0 23,276 0 0 23,276 342 5B 35 0 35 0 11,172 0 0 11,172 319 5A 32 1 33 0 12,104 0 0 12,104 367Level 5 Total 67 1 68 0 23,276 0 0 23,276 342 4B 35 0 35 0 11,172 0 0 11,172 319 4A 32 1 33 0 12,104 0 0 12,104 367Level 4Total 67 1 68 0 23,276 0 0 23,276 342 3B 35 0 35 0 11,172 0 0 11,172 319 3A 32 1 33 0 12,104 0 0 12,104 367Level 3 Total 65 1 66 0 23,276 0 0 24,134 353 2B 35 0 35 0 11,172 0 0 11,172 319 2A 30 1 31 0 12,104 0 0 12,962 391Level 2Total 66 4 70 0 28,753 0 9,763 38,515 411 1C 7 0 7 4,544 4,544 649 1B 35 0 35 11,213 0 5,353 16,566 320 1A 24 4 28 12,996 0 4,410 17,406 464Level 1Level B1 0 0 0 0 0 34,227 34,227 0 Slab onGrade ElevatedSlab Slab onGrade ElevatedSlab Standard Spaces ADA Spaces*Parking Area Standard Total Parking Area (sqft) Non-Parking Area (sqft)Parking andNon-ParkingTotal Area Efficiency(Parking Area/ ParkingSpaces) PARKING SUMMARY DELTA CENTER GARAGE NO BICYCLE PARKING REQUIRED SINCE THE PROJECT IS DEFINED AS A GARAGE AND AN ACCESSORY USE AS DEFINE BY SLC MUNICIPAL CODE SECTIONS: 21A.62.040: DEFINITIONS OF TERMS: GARAGE:AN ACCESSORY BUILDING OR PORTION OF A BUILDING DESIGNED OR USED FOR THE STORAGE OF VEHICLES USED BY THE OCCUPANTS OF THE PRINCIPAL BUILDING 21A44.040: REQUIRED OFF-STREET PARKING (E) NOTE 6ACCESSORY AND TEMPORPAY USES: NO BICYCLE SPACES ARE REQUIRED FORACCESSORY OF TEMPORARY USES. NOTE:PARKING TIER SQUARE FOOTAGES SHOWN IN THIS CHART DIFFER FROM UBC 406.5.4.1 SINGLE USE, AND ARE INSEAD BASED ON PARKING BAYS AND STORY FOOTPRINT NO. DATE REVISION 10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #15 08/01/2025 Bulletin #5 1 1 5 5 5 jb jb s sdsds s irir sdfo e s w s e e e e e s ir ir e um s w S T E M P L E S T N 4 0 0 W 300 w 1 0 0 S 122'-10 1 / 2 " DELTA CENTERBUILDING TYPE IBFULLY SPRINKLERED[NIC] PROPOSED PARKING STRUCTURE8 TIERS / 7 STORIESTYPE OF CONSTRUCTION: IIBOCCUPANCY CLASS: S-2 FULLY SPRINKLERED ENT R A N C E DN EXIT 8.33%DN NEW PEDESTRIAN BRIDGE EXI S T I N G TRU C K E X I T NEW GUARD BOOTH STORAGE ROOM (NIC) STORAGE ROOM ( N I C ) OPEN TO LOADING DOCK BELOW LOADING DOCK COVER EXISTING TRUCK ENTRANCE OPEN TO LOADING DOCK BELOW A8.011 NORTHWEST PLAZA [NIC] SOUTHEAST PLAZA [NIC] CORNER SIDE YARD EXIS T I N G S I D E W A L K EXI T ENT R Y NORTHEAST PLAZA [NIC] PROPERTY LINE PROPERTY LINE CEN T E R L I N E O F S T R E E T 41'-7 " Refer t o C i v i l S h e e t C 2 . 0 1 f o r C u r b C u t D i m e n s i o n s 101'- 2 1 / 2 " EXISTING STAIR TO REMAIN (NIC) 4'-9" PRO P E R T Y L I N E PRO P E R T Y L I N E FRO N T Y A R D 29'-6" 189'-6" 51'-4" 57'-0 1/2" 4'-4 " EXISTING SIDEWALK RETAINING WALL - REFER TO CIVIL DRAWINGS SEE SEPARATE PERMIT OF ARENA PROJECT FOR CONTINUATION OF ACCESSIBLE PATH OF TRAVEL AND EGRESS TO PUBLIC RIGHT OF WAY PROPERTY LINE PRO P E R T Y L I N E PRO P E R T Y L I N E PROPERTY LINE A8.021 Sim SEE SEPARATE PERMIT OF ARENA PROJECT FOR CONTINUATION OF ACCESSIBLE PATH OF TRAVEL AND EGRESS TO PUBLIC RIGHT OF WAY OPEN TO BELOW OPEN TO BELOW FOR PAVEMENT FINISH AND MATERIALS, SEE CIVIL DRAWINGS. SEE LANDSCAPE DRAWINGS FOR DETAILS 1 1 5'-0" 3'-0"4'-0" 4'-0" 6'-1"24"w x24"dx48h Comm. Cabinet24"wx 31"dx3 9 " h Transforme r GUARDBOOTH SEE A8.01 FOR DETAILS GUARDBOOTH RESTROOM PATH 296'-0" 3 3 3 2'-6" 6'-7 3/4"76.62' 76.62' 76.62' 76.50' 76.62' 76.62' 76.62' 76.62' 76.62'TOW 76.95'ToW 76.50' 75.98' 58.20'59.00' 60.00' 62.50' 65.00' CAST IN PLACE CONCRETE RAMP RETAINING WALL. FINISH TO MATCH ARENA'S EXISTING CONCRETE WALL. TOP OF CONC. WALL FINISH ELEVATIONS PROJECT SCOPE OF WORK BUILDING FOOTPRINT 60.73'ToW 60.90'ToW 61.10'ToW 61.10'ToW61.10'ToW TOP OF PLANTER WALL ELEVATION CAST IN PLACE PLANTER WALL. FINISH TO MATCH EXISTING ARENA CONCRETE WALL GUARD B O O T H REST R O O M P A T H 296'-0" GUARD B O O T H RESTRO O M P A T H 296'-0 " 1'-8 1/2" DISTANCE OF RETAINING WALL TO PROPERTY LINE.DIMENSION OF LANDSCAPE BED ADJACENT TO ACCESS RAMP END OF RETAINING WALL FACING STREET CORNER OF THE GUARD BOOTH RETAINING WALL 1'-8 1/2" 55.07Sidewalk 55.63Sidewalk 10 1/2" 56.09Sidewalk 55.07Sidewalk FIRE DEPARTMENT NOTES: 1. THE REQUIRED FIRE-FLOW IN ACCORDANCE WITH UFC APPENDIX B, FOR A TYPE IIB CONSTRUCTION ACROSS 412,995 SQ.FT IS 8,000 GPM AT 20-PSI FOR 4-HOURS. IN ACCORDANCE WITH TABLE B105.2 THE FIRE-FLOW CAN BE REDUCED TO 25% OF THE REQUIRED VALUE FOR AN IFC 903.3.1.1 FULLY SPRINKLERED BUILDING. THEREFORE, THE REQUIRED FIRE-FLOW FOR THE PROPOSED BUILDING IS 2,000 GPM AT 20-PSI FOR 2-HOURS+ 2. PROVIDE AN APPROVED AUTOMATIC FIRE SPRINKLER SYSTEM IN ACCORDANCE WITH PROVISIONS SET FORTH IN BUILDING CODE SECTION 903.3. FIRE SPRINKLER PLANS SHALL BE SUBMITTED TO THE SPRINKLER PLAN CHECK UNIT FOR REVIEW AND APPROVAL PRIOR TO INSTALLATION IN ACCORDANCE WITH FIRE CODE 901.2. INDICATE TYPE OF SPRINKLER SYSTEM PROVIDED AS COMPLYING WITH NFPA 13. 3. PROVIDE AN APPROVED CLASS I STANDPIPE SYSTEM IN ACCORDANCE WITH BUILDING CODE & FIRE CODE SECTION 905. GREATER THAN FOUR STORIES STANDPIPES SHALL BE LOCATED ACCORDING TO THE PROVISIONS IN BUILDING CODE & FIRE CODE SECTION. STANDPIPE SYSTEM PLANS SHALL BE SUBMITTED TO THE FIRE SPRINKLER PLAN CHECK UNIT IN ACCORDANCE WITH FIRE CODE 901.2. 4. EACH STANDPIPE SHALL BE EQUIPPED WITH AN APPROVED 2 1/2 INCH OUTLET NOT LESS THAN 2 FEET OR MORE THAN 4 FEET ABOVE THE FLOOR LEVEL OF EACH STORY. STANDPIPE OUTLETS IN STAIRWAY ENCLOSURES OR SMOKEPROOF ENCLOSURES SHALL BE LOCATED SO THAT THE EXIT DOORS DO NOT INTERFERE WITH THE USE OF THE OUTLET AND LOCATED ON THE MAIN STAIR LANDING. ALL OUTLETS SHALL BE EQUIPPED WITH AN APPROVED VALVE, CAP AND CHAINS. FIRE CODE 905.4.3 5. PORTABLE FIRE EXTINGUISHERS SHALL BE INSTALLED AND MAINTAINED ALL OCCUPANCY GROUPS AND AT SUCH LOCATIONS AS REQUIRED BY FIRE CODE 906. THE FINAL NUMBER AND LOCATION OF ALL EXTINGUISHERS SHALL BE DETERMINED BY THE LOCAL AREA FIRE INSPECTOR. 6. ELEVATORS SHALL BE PROVIDED WITH PHASE I EMERGENCY RECALL OPERATION AND PHASE II EMERGENCY IN-CAR OPERATION. 7. ALL ELEVATORS SHALL BE EQUIPPED TO OPERATE WITH A STANDARDIZED FIRE SERVICE ELEVATOR KEY IN ACCORDANCE WITH FIRE CODE 604.8. BUILDING CODE 3003.3 8. IN THE EVENT OF POWER SUPPLY FAILURE IN ROOMS, SPACES AND BUILDINGS THAT REQUIRE TWO OR MORE MEANS OF EGRESS, AN EMERGENCY ELECTRICAL SYSTEM FOR A DURATION OF NOT LESS THAN 90 MINUTES IN ACCORDANCE WITH THE PROVISIONS SET FORTH IN BUILDING CODE 1008.3. 9. THE MEANS OF EGRESS TRAVEL SHALL BE ILLUMINATED AT ANY TIME THE BUILDING IS OCCUPIED WITH A LIGHT INTENSITY OF NOT LESS THAN 1 FOOT-CANDLE AT THE FLOOR LEVEL. BUILDING CODE 1008.2.1.10. THE PATH OF EGRESS TRAVEL TO EXITS SHALL BE MARKED BY READILY VISIBLE EXIT SIGNS TO CLEARLY INDICATE THE DIRECTION OF EGRESS TRAVEL AS REQUIRED BY BUILDING CODE 1013.1; AND SHALL BE INTERNALLY OR EXTERNALLY ILLUMINATED AS REQUIRED BY SECTION 1013.3 AND 1013.5. NOTE: ADDITIONAL EXIT SIGNS MAY BE REQUIRED AT THE TIME OF FIELD INSPECTION . SITE PLAN LEGEND: ACCESSIBLE PATH OF TRAVEL PROPERTY LINE SCOPE OF WORK BUILDING FOOTPRINT HIGH IMPACT BOLLARD, REFERENCE STRUCTURAL FOR DETAIL LOCATION OF THE REPLACED PLANTER WALLS LOCATION OF THE PROPOSED RETAINING WALLS DN 8.33%DN EXIS T I N G TRU C K E X I T STORAGE ROOM (NIC) STORAGE ROOM ( N I C ) EXISTING TRUCK ENTRANCE OPEN TO LOADING DOCK BELOW PRO P E R T Y L I N E FRO N T Y A R D EXISTING SIDEWALK ASSUMED PROPERTY LINE ASSUMED PROPERTY LINE ASSUMED PROPERTY LINE GRADE PLANE CALCULATION:(BASE LINE ELEVATION 4200') A: (73.5'+74.5')/2 X100.16' = 7,411.83'B: (74.5'+75.5')/2 X221.00' = 16,586.05'C: (75.6'+57.0')/2 X32.16' = 2132.20'D: (57.0'+55.0')/2 X21.66' = 1,212.96'E: (55.0'+58.6')/2 X69.66' = 3,956.68'F: (58.6'+55.2')/2 X134.16' = 7,633.70'G: (55.2'+55.7')/2 X134.50' = 7,458.02'H: (55.7'+52.0')/2 X46.50' = 2,504.02'I: (52.0'+56.1')/2 X52.33' = 2,828.43'J: (56.1'+73.5')/2 X83.00' = 5,378.40' TOTAL PERIMETER = 895.13'/57,102.2957102.29'/895.13'= 63.79' GRADE PLANE = 4263.79' A: (73.5'+74.5')/2 X100.16' = 7,411.83' 221.00' 100.16' B: (74.5'+75.5')/2 X221.00' = 16,586.05' C: (75.6'+57.0')/2 X32.16'= 2132.20' E: (55.0'+58.6')/2 X69.66' = 3,956.68' D: (57.0'+55.0')/2 X21.66' = 1,212.96' F: (58.6'+55.2')/2 X134.16' = 7,633.70' G: (5 5 . 2 ' + 5 5 . 7 ' ) / 2 X 1 3 4 . 5 0 ' = 7 , 4 5 8 . 0 2 ' H: (55.7'+52.0')/2 X46.50' = 2,504.02' I:(52.0'+56.1')/2 X52.33'= 2,828.43' J: (5 6 . 1 ' + 7 3 . 5 ' ) / 2 X 8 3 . 0 0 ' = 5 , 3 7 8 . 4 0 ' 32.16' 21.66' 69.66' 134.16' 134.5 0 ' 46.50' 52.33' 83.0 0 ' SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEER STRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEER TRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPE WALTER P. MOORE BNA CONSULTING VBFA HALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 8/2 8 / 2 0 2 5 2 : 2 4 : 2 1 P M SITE PLAN A1.00 12 / 06 / 2024 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 TD/DA SB 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/32" = 1'-0"SITE PLAN1 NREFERENCE TRUENORTH EXPANSION JOINT 1" = 40'-0"3 GRADE PLANE CALCULATION DIAGRAM PER UBC CHAPTER 202 PLAN NOTES NO. DATE REVISION 04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #13 05/30/2025 Bulletin #35 08/01/2025 Bulletin #57 xx/xx/2025 Bulletin #7 5 5 7 7 7 6" ee e e e RAMP D N EXISTING VEHICULAR RAMP T O R E M A I N 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED: A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS. B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS. C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS. D. NO OSBTRUCTIONS WITHIN DRIVE AILES. 2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS. 4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD. 6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS) GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD OR HIGH IMPACT BOLLARD, SEE ORDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEA R L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPE PAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 10/A7.02 1A3.05 1A3.07 G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9 G.7 G.9 1A3.06 A1.014 G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.K G.L G.C G.B G.Q 1A3.08 T A4 G.5.2 G.8.2 G.8.6 G.C.4 5A4.20 P R S U W X O1 P1 X1 U1 O24 O653 O654 O655 O656 O657 O660 4A4.20 56.92' 5.14 5.15 5.14 3.11 5.14 5.14 5.14 3.11 3.11 5.14 5.14 5.14 5.14 5.14 5.15 5.15 5.15 5.15 5.14 5.14 5.14 3.11 22'-6"22'-6"27'-9"21'-0"35'-4 1/2"4'-3" 7'-4 1/2" 11'-7 1/2" 8'-5 1/2" 3'-2"30'-0" 20'-1 " 51'- 8 " 21'-0" 8'-0" 19'-9 " 18'-0 " 9'-0" 18'-0 " 18'-0 " 4'-6" 22'-6" 27'-9 " STORAGE (NIC) 100 S N 400 W OPEN TO BELOW PROPER T Y LINE ARE N A G R I D L I N E VER I F Y I N F I E L D FOOTPRINT OF OPEN PARKING GARAGE ABOVE PROPERTY LINE FEC EXISTING BUILDING TO REMAIN (NIC) LIMIT OF SCOPE OF WORK LIMIT OF SCOPE OF WORK EXISTING BOLLARDS TO REMAIN EXISTING BOLLARDS TO REMAIN ARENA GRID LINEVERIFY IN FIELD MEZZANINE BASEMENT LEVEL PROPER T Y LINE EXISTING SIDEWALK 10'-0" 3'-9 1/2" 10'-0" 38° 1'-0" 1'-0" 20'-8" 5'-1" 1'-0" 224'-8 1 / 2 "228'-7 1/4 " 1'-6" 2 1/4"1'-0" 1 0 ' - 0 " 1'-6" 1'-0" 227'-0 3 / 4 " 1'-0" 1 0 ' - 3 " 1'-0" 1'-0" 1'-0" 1'-0" 10'-0" 1'-6" 9'-4 1/2" 1'-0" 1 0 ' - 3 " 1 ' - 0 " 1'-6" 228'-0 3/4 " 53° 41°42'-0 1/4" 39'-4 3/4" 127° 12'-0" 12'-6" 12'-6" 12'-6" 12'-3" 12'-6" 10'-6" 49'-6" 59'-8 1/2 " 19'-0" 10'-6" 21'-3 1 / 2 " 10'-6" 18'-1" 1'-7" 10'-0" 1 ' - 6 " 1 9 ' - 8 " 10'-6" 21'-3 1/2" 10'-6" 19'-0" 59'-8 1/2" 24'-5" 50'-6" 10'-0" 1'-2 1/2" 6'-0" 2'-4" 89'-10 1/ 2 " 29'-8 1/2" 39'-3" 31'-9 1/2" 31'-10" 5'-8 1/2" PILE CAP FOOTING PLANTER BOX COLUMN BASEPLATE PILE CAP FOOTING PILE CAP FOOTING COLUMN BASEPLATE PROPERTY LINE PLANTER BOX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEER STRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEER TRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPE WALTER P. MOORE BNA CONSULTING VBFA HALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 8/2 8 / 2 0 2 5 2 : 3 6 : 2 7 P M PLANTER PLAN A2.00B 08 / 26 / 2025 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 YC SB 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 EP Keynote Legend Key Value Keynote Text 3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.015.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS. NREFERENCE TRUENORTH NO. DATE REVISION 10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set7 xx/xx/2025 Bulletin #7 71" = 12'-10"PLANTER PLAN - UPPER LEVEL B1 (MEZZANINE)1 Salt Lake City // Planning Division www.slc.gov/planning Salt Lake City Council –September 2, 2025 PLNPCM2025-00619 ZONING TEXT AMENDMENT// 301 W SOUTH TEMPLE Salt Lake City //Planning Division ZONING AMENDMENT •Development Agreement •7 story parking structure •448 parking stalls & loading area •Modifies land use regulations RECOMMENDATION Approval with conditions. REQUEST Vicinity Map Salt Lake City // Planning Division www.slc.gov/planning KEY TERMS Parties Involved: Jazz Arena Investors LLC & SLC Scope: Parking Garage at the Arena Plan Set: Reflects modifications to Zoning Codes Modifications to Approved Plans: •Minor: Authorized by Planning Director •Other: Planning Commission & City Council •Approval of Development Agreement required to construct garage as proposed DEVELOPMENT AGREEMENT Salt Lake City // Planning Division www.slc.gov/planning PROJECT AREA – 100 S 400 W Salt Lake City // Planning Division www.slc.gov/planning Salt Lake City // Planning Division www.slc.gov/planning RENDERINGS Salt Lake City // Planning Division www.slc.gov/planning ZONING TEXT AMENDMENT CHAPTER 21A.50.050.A. •Consistency with City goals/policies •Purpose of the zoning ordinance •Overlay zoning districts •Implements best current professional planning & design practices •Impacts on adjacent properties & city •Community benefit STANDARDS OF APPROVAL Salt Lake City // Planning Division www.slc.gov/planning PROPOSED DESIGN MODIFICATIONS Ground Floor Activation & Mixed Use Development •Structure only consists of parking/loading area Ground Floor Street Facing Facades •Airspace of loading area •Necessary for large vehicles Salt Lake City // Planning Division www.slc.gov/planning ENHANCED LANDSCAPING To provide visual interest & pedestrian oriented development at the ground level. •New landscape yard adjacent to ramp •Landscape retaining walls at the base of the structure Salt Lake City // Planning Division www.slc.gov/planning DRIVE APPROACH MODIFICATION Max Drive Approach: 30 FT Proposed Drive Approach: 43 FT Exit Approach Transportation: Recommends Approval Salt Lake City // Planning Division www.slc.gov/planning RECOMMENDED CONDITIONS Building Elevation Material Options Provided By Applicant Metal Woven Wire Mesh Alternative Metal Screening Alternative Metal Screening Salt Lake City // Planning Division www.slc.gov/planning RECOMMENDED CONDITIONS Site Plan Preliminary Landscape Plan Salt Lake City // Planning Division City Council approve the request with the following conditions: 1.Additional visual interest be incorporated along the retaining walls at the base of the structure’s street facing facades and identified in the plan set prior to adoption of the development agreement. 2.The applicant replace the proposed woven wire mesh screening material on the street facing facades of the loading area with screening materials similar to or consistent with the perforated aluminum panels proposed for the upper levels of the structure prior to adoption of the development agreement. 3.The applicant include bicycle parking on the property in close proximity to the primary entrances of the arena. 4.Final details regarding site plan requirements be provided in the plan set prior to adoption of the Development Agreement. 5.The applicant works with staff to create a larger landscape buffer as possible. RECOMMENDATION Salt Lake City // Planning Division www.slc.gov/planning Brooke Olson// Senior Planner Brooke.Olson@slc.gov SALT LAKE CITY TRANSMITTAL To:  Salt Lake City Council Chair Submission Date: 08/20/2025 Date Sent to Council: 08/20/2025 From: Department * Community and Neighborhood Employee Name: Olson, Brooke E-mail brooke.olson@slc.gov Department Director Signature Director Signed Date 08/20/2025 Chief Administrator Officer's Signature Chief Administrator Officer's Signed Date 08/20/2025 Subject: Zoning Amendment - Development Agreement for Jazz Arena Parking Garage at 301 West South Temple Additional Staff Contact: Brooke Olson, brooke.olson@slc.gov John Anderson, john.anderson@slc.gov Presenters/Staff Table Brooke Olson, brooke.olson@slc.gov John Anderson, john.anderson@slc.gov Document Type Ordinance Budget Impact? Yes No Recommendation: Approval with conditions. Background/Discussion See first attachment for Background/Discussion Will there need to be a public hearing for this item?* Yes No Public Process The petition was reviewed by the Planning Commission at a public hearing on August 13, 2025 who recommended approval with conditions to the City Council. The item is scheduled for a tentative work session with City Council on September 2, 2025. The City Council is r equired to hold a public hearing on the item and make a final decision on the petition. This page has intentionally been left blank ERIN MENDENHALL DEPARTMENT of COMMUNITY Mayor and NEIGHBORHOODS Tammy Hunsaker Director SALT LAKE CITY CORPORATION 451 SOUTH STATE STREET, ROOM 404 WWW.SLC.GOV P.O. BOX 145486, SALT LAKE CITY, UTAH 84114-5486 TEL 801.535.6230 FAX 801.535.6005 CITY COUNCIL TRANSMITTAL BACKGROUND/DISCUSSION: Jazz Arena Investors LLC is requesting approval of a zoning amendment petition regarding a Master Development Agreement for the construction of a parking garage at the Delta Center at approximately 301 West South Temple. The subject property is approximately 9.1 acres and is in the D-4, Downtown Secondary Central Business District and a Localized Alternative Sign Overlay District. The proposal includes the construction of a 7-story parking garage which is intended to provide parking for patrons of the Delta Center Arena, create an enhanced user experience, and improve the functionality of the site. The parking structure is proposed to be constructed directly above the existing parking/loading area located at the southwest corner of the block and intersection of 400 W and 100 S. The parking garage will consist of approximately 448 parking stalls, and a below-grade loading dock which will house larger vehicles and a secured building entrance for authorized personnel. The street facing facades of the structure will also consist of a mix of screening materials which are intended to provide visual interest and mitigate impacts on adjacent properties related to noise and light. Vehicular access to the garage is proposed along 400 W and 100 S. The applicant is seeking design modifications to several city zoning codes through the proposed agreement which are reflected in the plan set. Approval of the development agreement will be required to waive the standards and construct the parking garage as proposed. One of the primary modifications the applicant is seeking through the proposed agreement is related to ground floor activation and mixed use development. The street facing facades of parking structures in Downtown Districts are required to be wrapped with a use other than parking. The ground floor of the structure’s street facing facades will not house a ground floor use and mainly consist of the airspace of the loading area necessary to facilitate the movement of large trucks and vehicles. The applicant is proposing visual interest and enhanced landscaping in place of the use requirements. The applicant is also seeking a modification to exceed the maximum width of a drive approach of 30 feet to install an exit drive approach onto 400 W measuring 43 FT in width to allow two lanes of vehicles to exit the parking garage after events. The Transportation Division reviewed the proposal and is recommending approval. PLANNING COMMISSION RECOMMENDATIONS The Planning Commission held a public hearing to consider the request on August 13, 2025 and voted 5:2 to forward a recommendation of approval with the conditions 1-4 as listed in the staff report with a modification to condition 3 and the addition of condition 5. 1. Additional visual interest be incorporated along the retaining walls at the base of the structure’s street facing facades and identified in the plan set prior to adoption of the development agreement. 2. The applicant replace the proposed woven wire mesh screening material on the street facing facades of the loading area with screening materials similar to or consistent with the perforated aluminum panels proposed for the upper levels of the structure prior to adoption of the development agreement. 3. The applicant include substantial bicycle parking on the property in close proximity to the primary entrances of the arena as determined by staff. 4. Final details regarding site plan requirements be provided in the plan set prior to adoption of the Development Agreement. 5. The applicant work with staff to create a larger landscape buffer as possible. PUBLIC PROCESS: The following is a list of public meetings that have been held, and other public input opportunities, related to the proposed project since the applications were submitted: • June 24, 2025 – The Downtown Community Council and Downtown Alliance was sent the 45 day required notice for recognized community organizations. The council did not provide comments. • June 24, 2025 - Property owners and residents within 300 feet of the development were provided early notification of the proposal. • July 1, 2025 – Early notification property signs posted on the property. • June – August 2025 – The project was posted to the Online Open House webpage. Notice of the public hearing for the proposal included: • July 31, 2025 o Public hearing notice mailed o Public notice posted on City and State websites and Planning Division list serve • August 3, 2025 o Public hearing notice sign posted on the property Planning Commission (PC) Records a) PC Agenda of August 13, 2025 (Click to Access) b) Planning Commission Staff Report of August 13, 2025 (Click to Access Report) c) PC Minutes of August 13, 2025 (Minutes have not been adopted) d) Video of August 13, 205, Planning Commission Meeting (Starting at minute 36:50) EXHIBITS: 1. Project Chronology 2. Notice of City Council Public Hearing 3. Original Petition 4. Mailing List 5. Ordinance This page has intentionally been left blank EXHIBITS: 1. PROJECT CHRONOLOGY 2. NOTICE OF CITY COUNCIL PUBLIC HEARING 3. ORIGINAL PETITION 4. MAILING LIST 5. ORDINANCE 1. PROJECT CHRONOLOGY PROJECT CHRONOLOGY Petition: PLNPCM2025-00619 – Master Development Agreement for the Jazz Arena Parking Garage June 18, 2025 Petition for the Zoning Amendment was accepted by Salt Lake City Planning Division. June 18, 2025 Petition PLNPCM2025-00619 was assigned to Brooke Olson, Senior Planner, for staff analysis and processing. June 24, 2025 Early notification was sent to the Downtown Alliance and Downtown Community Council Chairs, providing information about the proposal and how to give public input on the project. Beginning of 45- day input and comment period. June 24, 2025 An early notification letter was sent to all property owners and tenants within 300 feet of the subject property. July 1, 2025 Early notification property signs physically posted at the subject property. August 8, 2025 End of 45-day Recognized Community Organization notice period. August 3, 2025 Public hearing notice signs with project information and notice of the Planning Commission public hearing physically posted at the subject property. August 13, 2025 Planning Commission holds a public hearing and makes a recommendation to approve the request with conditions. 2. NOTICE OF CITY COUNCIL PUBLIC HEARING NOTICE OF CITY COUNCIL HEARING The Salt Lake City Council is considering Petition PLNPCM2025-00619, a petition submitted by Jazz Arena Investors LLC, the applicant, requesting approval of a zoning amendment petition regarding a Master Development Agreement for the construction of the Jazz Arena Parking Garage at approximately 301 West South Temple. The subject property is approximately 9.1 acres and is in the D-4, Downtown Secondary Central Business District and the Localized Alternative Sign Overlay District. The proposal includes the construction of a 7-story parking garage at the southwest corner of the site which is intended to provide parking for patrons of the Delta Center Arena. The parking garage will consist of approximately 448 parking stalls, and a below-grade loading dock which will house larger vehicles and a secured building entrance for authorized personnel. Vehicular access to the garage is proposed along 400 W and 100 S. Through the zoning amendment process the applicant is requesting approval of the development agreement associated with the project which establishes specific rules for constructing the parking garage at the Delta Center Arena. If approved, the proposed development agreement could supersede several of the City’s rules and regulations therefore, the proposal is subject to zoning amendment approval. The property is within Council District 4, represented by Eva Lopez Chavez. Case number PLNPCM2025-00619. (Staff contact: Brooke Olson at 801-535-7118 or brooke.olson@slc.gov). As part of their study, the City Council is holding an advertised public hearing to receive comments regarding the petition. During these hearings, anyone desiring to address the City Council concerning this issue will be given an opportunity to speak. The Council may consider adopting the ordinance on the same night of the public hearing. The hearing will be held: DATE: TIME: PLACE: 451 South State Street Salt Lake City, Utah ** This meeting will be held in-person, to attend or participate in the hearing at the City and County Building, located at 451 South State Street, Room 326, Salt Lake City, Utah. For more information, please visit www.slc.gov/council. Comments may also be provided by calling the 24- Hour comment line at (801) 535-7654 or sending an email to council.comments@slcgov.com. All comments received through any source are shared with the Council and added to the public record. If you have any questions relating to this proposal or would like to review the file, please call Brooke Olson at 801-535-7118 or via e-mail at brooke.olson@slc.gov. The application details can be accessed at https://citizenportal.slcgov.com/, by selecting the “planning” tab and entering the petition number PLNPCM2025-00619. The City and County Building is an accessible facility. People with disabilities may make requests for reasonable accommodation no later than 48 hours in advance in order to participate in this hearing. Please make requests at least two business days in advance. To make a request, please contact the City Council Office at council.comments@slcgov.com , 801-535-7600, or relay service 711 3. ORIGINAL PETITION ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 1 PLANNING PROCESS // ZONING AMENDMENT ABOUT THE APPLICATION Thank you for your interest in submitting a Zoning Amendment application. The following packet will provide general information to get started on your project and guide you through the application process from start to finish. The package is broken down into three sections: Information about the application, a visual diagram of the application process, and the application form. We highly encourage you to work with our Planning staff prior to submitting an application. For questions regarding any of the information listed in this packet or to set up a pre-submittal meeting please contact us at zoning@slcgov.com or give us a call at 801.535.7757. PLANNING DIVISION 451 SOUTH STATE STREET ROOM 406 PO BOX 145480 SALT LAKE CITY, UT 84114-5480 SLC.GOV/PLANNING ZONING@SLCGOV.COM TEL 801-535-7757 1 2 3 Important Process Information Process Timeline Application Form ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 2 PURPOSE & INTENT OF THE PROCESS An amendment may be initiated to modify the text of the Zoning Ordinance or to change the designations or boundaries of the Zoning Map. The amendment process is not intended to relieve particular hardships nor to confer special privileges or rights upon any person, but only to make adjustments necessary in light of changed conditions or changes in public policy. WHO CAN INITIATE AN AMENDMENT? Applications for amendments may be initiated by the Mayor, the City Council, the Planning Commission, the Owner of the property included in the application, or the Property Owner’s Authorized Agent. CONSIDERATION FACTORS FOR AMENDMENTS (21A.50.050 ) A decision to amend the text of this title or the zoning map by general amendment is a matter committed to the legislative discretion of the City Council and is not controlled by any one standard. A. In making its decision concerning a proposed text amendment, the City Council should consider the following factors: 1. Whether a proposed text amendment is consistent with the purposes, goals, objectives, and policies of the City as stated through its various adopted planning documents; 2. Whether a proposed text amendment furthers the specific purpose statements of the zoning ordinance; 3. Whether a proposed text amendment is consistent with the purposes and provisions of any applicable overlay zoning districts which may impose additional standards; and 4. The extent to which a proposed text amendment implements best current, professional practices of urban planning and design. 5. The impact that the proposed text amendment may have on city resources necessary to carry out the provisions and processes required by this title. 6. The impact that the proposed text amendment may have on other properties that would be subject to the proposal and properties adjacent to subject properties. 7. The community benefits that would result from the proposed text amendment, 21A.50.050.C. B. In making a decision to amend the zoning map, the City Council should consider the following: 1. Whether a proposed map amendment is consistent with the purposes, goals, objectives, and policies of the City as stated through its various adopted planning documents; 2. Whether a proposed map amendment furthers the specific purpose statements of the zoning ordinance; 3. The extent to which a proposed map amendment will affect adjacent properties; 4. Whether a proposed map amendment is consistent with the purposes and provisions of any applicable overlay zoning districts which may impose additional standards; and 5. The potential impacts on the City to provide safe drinking water, storm water, and sewer to the property and other properties based on the additional development potential of future development including any impact that may result in exceeding existing or planned capacities that may be located further away from the subject property. IMPORTANT PROCESS INFORMATION 21A.50 O R D I N A N C E ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 3 IMPORTANT PROCESS INFORMATION 21A.50 O R D I N A N C E 6. The status of existing transportation facilities, any planned changes to the transportation facilities, and the impact that the proposed amendment may have on the city’s ability, need, and timing of future transportation improvements. 7. The proximity of necessary amenities such as parks, open space, schools, fresh food, entertainment, cultural facilities, and the ability of current and future residents to access these amenities without having to rely on a personal vehicle. 8. The potential impacts to public safety resources created by the increase in development potential that may result from the proposed amendment. 9. The potential for displacement of people who reside in any housing that is within the boundary of the proposed amendment and the plan offered by the petitioner to mitigate displacement. 10. The potential for displacement of any business that is located within the boundary of the proposed amendment and the plan offered by the petitioner to mitigate displacement. 11. The community benefits that would result from the proposed map amendment, as identified in 21A.50.050.C. COMMUNITY BENEFIT (21A.50.050.C) Every zoning text and zoning map amendment application must include a proposed community benefit and should demonstrate that the benefit would not otherwise be available without the proposed amendment. The proposed community benefit should be proportional to the increase in development potential should the amendment be adopted. The following are community benefits that could be proposed: • Housing: Provision of affordable or family-sized housing. • Dedication of Publicly Accessible Open Space: Dedication of open spaces accessible to the public. • Preservation of Critical Lands: Conservation or restoration of critical lands such as wetlands, river corridors, or wildlife habitats. • Historic Building Preservation: Safeguarding historic structures not already protected against demolition. • Support for Local Businesses: Inclusion of space for small businesses or charitable organizations within a development. • Expansion of Public Infrastructure: Enhancement of public infrastructure beyond what’s necessary for future development. Any community benefit that is required as a condition of approval of the amendment(s) would be secured through a Development Agreement. ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 4 TENANT DISPLACEMENT OBLIGATIONS (21A.50.050.D.4) If a proposal is expected to involve the demolition of any residential unit, the City Council may require the petitioner to provide relocation assistance to the current tenant(s). It is the responsibility of the applicant or property owner to ensure compliance with this requirement and provide proof that the obligation has been satisfied. The applicant can submit the evidence along with their application, or it may be required as a condition for approval determined by the City Council. All payments should be received by the tenant 24 hours in advance of leaving the unit to be demolished. Relocation assistance includes the following: • Moving expenses based on a reasonable estimate provided by the tenant, up to a maximum of $1,500. • Application fees for the replacement housing. • The deposit that the displaced tenant would have to pay to secure replacement housing. • Rental assistance payment based on the difference, if any, between the cost of the monthly rent of the demolished housing and a comparable unit. The rental payment total amount paid shall not be more than $7,200. DISCLAIMER: IF A HOUSING UNIT IS DEMOLISHED OR NEGLECTED TO THE POINT OF BEING UNINHABITABLE AT ANY TIME DURING THE FIVE YEARS PRIOR TO A PETITION FOR A ZONING AMENDMENT BEING SUBMITTED OR IS PLACED ON THE CITY’S BOARDED BUILDING INVENTORY, THE CITY COUNCIL MAY REQUIRE THIS SECTION TO APPLY TO TENANTS THAT WERE DISPLACED BY THE DEMOLITION OR REQUIRE THE TENANT RELOCATION AMOUNT TO BE PAID TO THE CITY FOR THE PURPOSE OF OTHER TENANT RELOCATION ASSISTANCE. IMPORTANT PROCESS INFORMATION 21A.50 O R D I N A N C E DEMOLISHED UNIT REPLACEMENT (21A.50.050.E) The future development may be required to replace the demolished housing unit within the new development. The replacement housing unit should have the same number of bedrooms as the demolished unit. In addition, the applicant shall propose one of the options listed below: a. The replacement unit shall be rented at the same amount as the demolished unit with no more than a 3% annual increase on the rental rate for a period of 20 years. b. The applicant may propose a payment to the city in lieu of the rental restriction on the new unit to go toward the city’s housing fund to offset the loss of affordable housing. The payment shall be equal to the monthly rent of the unit prior to demolition multiplied by the number of months between the time the unit is vacated prior to demolition until a Certificate of Occupancy for the replacement dwelling is issued. CONSULTATION If you have questions regarding the Zoning Amendment regulations or process, please contact the Salt Lake City Planning Counter staff at zoning@slcgov.com or give us a call at 801-535-7757. If you would like to discuss your development plan in more detail, you can request a pre-submittal meeting with Planning staff by contacting the Planning Counter. Pre-submittal meetings are held on Thursdays in 30 minute slots between 1:30 and 3:30 pm. 21 days 21 days 45 days CITY COUNCIL PROCESS City Council holds a briefing with staff during work session. Public hearing and action follows. Timeline determined by City Council office. www.slc.gov/council DISCLAIMER: APPLICATION TIME FRAMES MAY VARY DEPENDING ON CURRENT WORKLOAD AND COMPLEXITY OF APPLICATIONS. INCOMPLETE OR MISSING INFORMATION ON DRAWINGS AND APPLICATION FORMS WILL DELAY THE PROCESS. PROCESS TIMELINE PLANNING COMMISSION Public hearing scheduled, notices sent, staff report produced, and commission recommendation made. TRANSMITTAL OF COMMUNITY AND NEIGHBORHOODS (CAN) Commission minute approval and public record are assembled by staff. After review, the package is transmitted to City Council. APPLICATION RECEIVED Application submitted and pre-screened to ensure submittal requirements are met and fees are paid. 1 2 4 3 6 PLANNER ASSIGNED Application reviewed by Planner to ensure complete documentation (if incomplete, the applicant will be provided a list of missing info to submit). PUBLIC NOTICE Public notices sent to nearby neighbors, property owners and Community Councils (when required by ordinance). Application routed to City Departments for review. APPLICATION MODIFICATIONS Modifications based on public input & City Department review comments (if needed, applicant must submit updates). Minor issues will be conditions of approval. Note: Significant issues may cause additional delays. PUBLIC ENGAGEMENT Open House and/or Community Council presentation held. Note: The Planning Director has the discretion to extend the public engagement period, including additional public hearings on complex proposals. 6 - 12 MONTHS T I M E F R A M E 5 8 7 APPLICANT STAFF 14 days ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 6 CONSULTATION Available prior to submitting an application. For questions regarding the requirements, email us at zoning@slcgov.com. REQUIRED FEES • Map Amd: $1,262 filing fee, plus $121 per acre (in excess of 1 ac). • Text Amd: $1,262 filing fee. • Additional required notice fees assessed after submission. SUBMISSION Submit your application online through the Citizen Access Portal. Learn how to submit online by following the step-by-step guide. I M P O R T A N T I N F O R M A T I O N ZONING AMENDMENT DISCLAIMER: PLEASE NOTE THAT ADDITIONAL INFORMATION MAY BE REQUIRED BY THE PROJECT PLANNER TO ENSURE ADEQUATE INFORMATION IS PROVIDED FOR STAFF ANALYSIS. ALL INFORMATION REQUIRED FOR STAFF ANALYSIS WILL BE COPIED AND MADE PUBLIC, INCLUDING PROFESSIONAL ARCHITECTURAL OR ENGINEERING DRAWINGS, FOR THE PURPOSES OF PUBLIC REVIEW BY ANY INTERESTED PARTY. Owner Contractor* Other*Architect* REQUEST CASE NUMBER MAILING ADDRESS NAME OF APPLICANT MAILING ADDRESS APPLICANT’S INTEREST IN PROPERTY (*owner’s consent required) A P P L I C A N T I N F O R M A T I O N O F F I C E U S E ADDRESS OF SUBJECT PROPERTY PROJECT NAME (OPTIONAL) RECEIVED BY DATE RECEIVED NAME OF PROPERTY OWNER (if different from applicant) EMAIL PHONE PHONE EMAIL IF OTHER, PLEASE LIST 301 S Temple, Salt Lake City, UT 84101 Zoning Amendment Leasee of Property Jazz Arena Parking Garage ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 7 NAME OF OWNER EMAIL PHONEMAILING ADDRESS MAILING ADDRESS APPLICATION TYPE A C K N O W L E D G M E N T O F R E S P O N S I B I L I T Y L E G A L P R O P E R T Y O W N E R C O N S E N T NAME OF APPLICANT LEGAL DESCRIPTION OF SUBJECT PROPERTY EMAIL SIGNATURE SIGNATURE DATE DATE 1. This is to certify that I am making an application for the described action by the City and that I am responsible for complying with all City requirements with regard to this request. This application will be processed under the name provided below. 2. By signing the application, I am acknowledging that I have read and understood the instructions provided for processing this application. The documents and/or information I have submitted are true and correct to the best of my knowledge. I understand that the documents provided are considered public records and may be made available to the public. 3. I understand that my application will not be processed until the application is deemed complete by the assigned planner from the Planning Division. I acknowledge that a complete application includes all of the required submittal requirements and provided documents comply with all applicable requirements for the specific applications. I understand that the Planning Division will provide, in writing, a list of deficiencies that must be satisfied for this application to be complete and it is the responsibility of the applicant to provide the missing or corrected information. I will keep myself informed of the deadlines for submission of material and the progress of this application. 4. I understand that a staff report will be made available for my review prior to any public hearings or public meetings. This report will be on file and available at the Planning Division and posted on the Division website when it has been finalized. If the applicant is not the legal owner of the property, a consent from property owner must be provided. Properties with a single fee title owner may show consent by filling out the information below or by providing an affidavit. Affirmation of sufficient interest: I hereby affirm that I am the fee title owner of the below described property or that I have written authorization from the owner to pursue the described action. 1. If a corporation is fee titleholder, attach copy of the resolution of the Board of Directors authorizing the action. 2. If a joint venture or partnership is the fee owner, attach copy of agreement authorizing action on behalf of the joint venture or partnership. 3. If a Home Owner’s Association is the applicant then the representative/president must attach a notarized letter stating they have notified the owners of the proposed application. A vote should be taken prior to the submittal and a statement of the outcome provided to the City along with the statement that the vote meets the requirements set forth in the CC&Rs. DISCLAIMER: BE ADVISED THAT KNOWINGLY MAKING A FALSE, WRITTEN STATEMENT TO A GOVERNMENT ENTITY IS A CRIME UNDER UTAH CODE CHAPTER 76-8, PART 5. SALT LAKE CITY WILL REFER FOR PROSECUTION ANY KNOWINGLY FALSE REPRESENTATIONS MADE PERTAINING TO THE APPLICANT’S INTEREST IN THE PROPERTY THAT IS THE SUBJECT OF THIS APPLICATION. Zoning Amendment 06/17/2025 Parcel Number: 15011270172000, Address: 301 S Temple, Salt Lake City, UT 84101 06/17/2025 ZONING AMENDMENT PROCESS PLANNING DIVISION | v7.1.24 8 A written description regarding the proposed community benefit(s) associated with the amendment. The description shall adequately describe the necessary details to demonstrate that the proposed community benefit is roughly proportionate to the potential increase in development right if the proposed amendment were to be adopted. See 21A.50.050.C for a list of community benefits that can be proposed. A statement declaring the purpose and justification for the proposed amendment. A written general description of any future development that is planned for the property including the anticipated use, density, scale of development, timing of development, the anticipated impact to existing land uses and occupants of the land subject to the proposal, and any additional land use petitions that may be anticipated to develop the site. Visual renderings and basic site plans may be provided by the applicant. Is the request amending the Zoning Map? If so, please list the parcel numbers to be changed and a map that shows the current use of the subject property and adjacent properties. Is the request amending the text of the Zoning Ordinance? If so, please include language and the reference to the Zoning Ordinance to be changed. Text that is proposed to be added shall be underlined and text that is proposed to be deleted shall be shown with a strikethrough line. REQUIREMENTS (21A.50) COMMUNITY BENEFIT (21A.50.050.C) SUBMITTAL REQUIREMENTS Please provide the following information with your application. Confirm that you have included each of the requirements listed below by adding a check mark for each item. I N C O M P L E T E I N F O R M A T I O N W I L L N O T B E A C C E P T E D INITIALS DISCLAIMER: I ACKNOWLEDGE THAT SALT LAKE CITY REQUIRES THE ITEMS ABOVE TO BE SUBMITTED BEFORE MY APPLICATION CAN BE PROCESSED. I UNDERSTAND THAT PLANNING WILL NOT ACCEPT MY APPLICATION UNLESS ALL OF THE FOLLOWING ITEMS ARE INCLUDED IN THE SUBMITTAL PACKAGE. 1 / 1 CHECK STAFF DISCLAIMER: FILL OUT THE REQUIRED DATA COLLECTION INFORMATION BELOW BY USING THIS LINK. DO NOT UPLOAD THIS INFORMATION TO THE CITIZENS ACCESS PORTAL. https://bit.ly/slcplanning-datacollection For residential properties, the following information must be provided: • The current or prior number of dwellings; • Square footage and number of bedrooms for each dwelling unit; • The current cost of rent and the cost of rent for the previous 36 months; • The total number of people residing on the property. For nonresidential properties, the following information must be provided: • Details on the nature of the existing and prior use; • Square footage of the leasable area; • Detailed list of current or prior occupants; • The current cost to lease and the cost to lease for the previous 36 months. DATA COLLECTION (21A.50.040.A ) 4 4 4 4 4 June 17, 2025 Salt Lake City Planning Division, In connection with our Zoning Amendment application and attached Master Development Agreement (MDA), I am submitting this statement on behalf of Jazz Arena Investors LLC. As you know, Jazz Arena Investors LLC is party to a ground lease with the Community Reinvestment Agency of Salt Lake City for the property at 301 W South Temple, which is occupied by the arena currently known as the Delta Center. As part of the arena’s ongoing renovation, Jazz Arena Investors LLC has submitted the MDA to construct a parking garage on the southwest corner to enhance the functionality of the arena and to provide patrons with an improved experience. The arena is currently used as the home of the Utah Jazz, a National Basketball Association franchise, and the Utah Mammoth, a National Hockey League franchise. The parking garage is being added to align with industry standards and to improve the experience of attendees for NBA and NHL games and other events. Please see the attached MDA for further details. Best, Adelaide McNamara                             4. MAILING LIST SALT LAKE CITY CORPORATION CORPORATION PO BOX 145460 SALT LAKE CITYUT 84114 GATEWAY HP, LLC WAY HP, LLC 2425 E CAMELBACK RD PHOENIX AZ 85016 PROPERTY RESERVE INC RESERVE INC PO BOX 511196 SALT LAKE CITYUT 84151 CORP OF PB OF CH JC OF LDS H JC OF LDS PO BOX 511196 SALT LAKE CITYUT 84151 CORP OF PB OF CH OF JC OF LDS F JC OF LDS PO BOX 511196 SALT LAKE CITYUT 84151 PROPERTY RESERVE, INC ESERVE, INC PO BOX 511196 SALT LAKE CITYUT 84151 CHURCH OF JESUS CHRIST OF LATTER-DAY SAINTS -DAY SAINTS 50 E NORTHTEMPLE ST SALT LAKE CITYUT 84150 REDEVELOPMENT AGENCY OF SALT LAKE CITY T LAKE CITY PO BOX 145518 SALT LAKE CITYUT 84114 LARRY H MILLER ARENA CORP ARENA CORP 301 W SOUTHTEMPLE ST SALT LAKE CITYUT 84101 REDEVELOPMENT AGENCY OF SALT LAKE CITY T LAKE CITY 301 W SOUTHTEMPLE ST SALT LAKE CITYUT 84101 BILL & CAROL BENGTZEN LLC ENGTZEN LLC 3577 E 8620 S COTTONWOOD HTSUT 84121 UTAH POWER & LIGHT CO & LIGHT CO 825 NE MULTNOMAH ST #1900 PORTLAND OR 97232 UTAH POWER & LIGHT COMPANY GHT COMPANY 825 NE MULTNOMAH ST #1900 PORTLAND OR 97232 APPLE HOSPITALITY SLCH 7141 LLC CH 7141 LLC 814 E MAIN ST RICHMONDVA 23219 APPLE HOSPITALITY SLC GARAGE 7142, LLC E 7142, LLC 814 E MAIN ST RICHMONDVA 23219 APPLE HOSPITALITY SLCC 7140, LLC C 7140, LLC 814 E MAIN ST RICHMONDVA 23219 VESTAR GATEWAY, LLC ATEWAY, LLC 2415 E CAMELBACK ROAD PHOENIX AZ 85016 STATE BOARD OF REGENTS LOAN PURCHASE PROGRAM ASE PROGRAM 60 S 400 W # FL-5 SALT LAKE CITYUT 84101 STATE BOARD OF REGENTS LOAN PURCHASE PROGRAM ASE PROGRAM 60 S 400 W SALT LAKE CITYUT 84101 GATEWAY BLOCK B CONDOMINIUM OWNERS ASSOCIATION ASSOCIATION 101 S 200 E # 200 SALT LAKE CITYUT 84111 GATEWAY BLOCK A CONDOMINIUM OWNERS ASSOCIATION ASSOCIATION 101 S 200 E # 200 SALT LAKE CITYUT 84111 VESTAR GATEWAY, LLC ATEWAY, LLC 2415 E CAMELBACK RD PHOENIX AZ 85016 BNOLLC BNOLLC 51 E 400 S # 210 SALT LAKE CITYUT 84111 DAVID W BERNOLFO; GLORIA B ROTHWELL B ROTHWELL 163 S MAIN ST SALT LAKE CITYUT 84111 SALT LAKE COUNTY LAKE COUNTY PO BOX 144575 SALT LAKE CITYUT 84114 JAPANESE CHURCH OF CHRIST H OF CHRIST 268 W 100 S SALT LAKE CITYUT 84101 CORNER 64, LLC NER 64, LLC 19 E 200 S SALT LAKE CITYUT 84111 WEST QUARTER LODGING I; WEST QUARTER RESIDENTIAL I LLC NTIAL I LL 1245 E BRICKYARD RD SALT LAKE CITYUT 84106 WEST QUARTER RESIDENTIAL I, LLC TIAL I, LLC 1245 E BRICKYARD RD SALT LAKE CITYUT 84106 Current Occupant 39 N 400 W SALT LAKE CITYUT 84103 Current Occupant 2 S 400 W SALT LAKE CITYUT 84101 Current Occupant 28 N 400 W SALT LAKE CITYUT 84103 Current Occupant 55 N 300 W SALT LAKE CITYUT 84103 Current Occupant 340 W SOUTH TEMPLE ST SALT LAKE CITYUT 84103 Current Occupant 240 W SOUTH TEMPLE ST SALT LAKE CITYUT 84103 Current Occupant 76 S 400 W SALT LAKE CITYUT 84101 Current Occupant 301 W SOUTH TEMPLE ST SALT LAKE CITYUT 84101 Current Occupant 365 W SOUTH TEMPLE ST SALT LAKE CITYUT 84101 Current Occupant 377 W 100 S SALT LAKE CITYUT 84101 Current Occupant 141 S 400 W SALT LAKE CITYUT 84101 Current Occupant 125 S 400 W SALT LAKE CITYUT 84101 Current Occupant 125 S 400 W REAR SALT LAKE CITYUT 84101 Current Occupant 141 S 400 W REAR SALT LAKE CITYUT 84101 Current Occupant 140 S 300 W SALT LAKE CITYUT 84101 Current Occupant 144 S 300 W SALT LAKE CITYUT 84101 Current Occupant 345 W 100 S SALT LAKE CITYUT 84101 Current Occupant 424 W 100 S SALT LAKE CITYUT 84101 Current Occupant 444 W 100 S SALT LAKE CITYUT 84101 Current Occupant 90 S 400 W 2A SALT LAKE CITYUT 84101 Current Occupant 90 S 400 W 2B SALT LAKE CITYUT 84101 Current Occupant 90 S 400 W 2C SALT LAKE CITYUT 84101 Current Occupant 90 S 400 W 2D SALT LAKE CITYUT 84101 Current Occupant 90 S 400 W 2E SALT LAKE CITYUT 84101 Current Occupant 90 S 400 W 2F SALT LAKE CITYUT 84101 Current Occupant 441 W 100 S SALT LAKE CITYUT 84101 Current Occupant 441 W 100 S 3B SALT LAKE CITYUT 84101 Current Occupant 279 W SOUTH TEMPLE ST SALT LAKE CITYUT 84101 Current Occupant 265 W SOUTH TEMPLE ST SALT LAKE CITYUT 84101 Current Occupant 55 S 300 W SALT LAKE CITYUT 84101 Current Occupant 50 S 200 W NFF SALT LAKE CITYUT 84101 Current Occupant 266 W 100 S SALT LAKE CITYUT 84101 Current Occupant 276 W 100 S SALT LAKE CITYUT 84101 Current Occupant 111 S 300 W COM SALT LAKE CITYUT 84101 Current Occupant 111 S 300 W SALT LAKE CITYUT 84101 5. ORDINANCE 1 SALT LAKE CITY ORDINANCE No. ________ of 2025 (An ordinance regarding a development agreement for the Jazz Arena Parking Garage) An ordinance regarding a development agreement for the Jazz Arena Parking Garage to be located at 301 West South Temple, as legally described in Exhibit A (“Property”), pursuant to Petition No. PLNPCM2025-00619. WHEREAS, the Salt Lake City Planning Commission (“Planning Commission”) held a public hearing on August 13, 2025, to consider a request made by Jazz Arena Investors LLC (“Applicant”) (Petition No. PLNPCM2025-00619) to approve a development agreement amending various sections of Title 21A of the Salt Lake City Code pertaining to a multi-story parking garage to be located on the Property; and WHEREAS, at its August 13, 2025 meeting, the Planning Commission voted in favor of forwarding a positive recommendation with conditions to the Salt Lake City Council (“City Council”) on said petition; and WHEREAS, after a public hearing on this matter the City Council has determined that adopting this ordinance is in the city’s best interests. NOW, THEREFORE, be it ordained by the City Council of Salt Lake City, Utah: SECTION 1. Approval of the Development Agreement. The development agreement attached hereto as Exhibit B is hereby approved. SECTION 2. Condition. The publication of this ordinance is conditioned upon the Applicant and the property owner executing the development agreement attached hereto as Exhibit B. SECTION 3. Effective Date. This Ordinance shall become effective on the date of its first publication. The Salt Lake City Recorder is instructed to not publish this ordinance until the 2 condition set forth in Section 2 is satisfied as certified by the Salt Lake City Planning Director or his designee. SECTION 4. Time. If the condition identified above has not been met within one year after adoption, this ordinance shall become null and void. Prior to such one year period, the City Council may, for good cause shown, by resolution, extend the time period for satisfying the condition identified above. Passed by the City Council of Salt Lake City, Utah this _______ day of ______________, 2025. ______________________________ CHAIRPERSON ATTEST: ______________________________ CITY RECORDER Transmitted to Mayor on _______________________. Mayor's Action: _______Approved. _______Vetoed. ______________________________ MAYOR ______________________________ CITY RECORDER (SEAL) Bill No. ________ of 2025. Published: ______________. Ordinance approving DA Jazz Arena Parking Garage (final) v1 EXHIBIT “A” Legal description of the portion of property at 301 West South Temple APPROVED AS TO FORM Salt Lake City Attorney’s Office Date: ___8/18/25________________________ By: /s/ Courtney Lords___________________ Courtney Lords, Senior City Attorney 3 BEG AT THE NE COR OF BLK 79, PLAT A, SLC SUR; S 0°13'31" W 660.36 FT; N 89°46'55" W 660.70 FT; N 0°14'38" E 390.25 FT; N 45°16'17" E 382.34 FT; S 89°46'56" E 390.01 FT TO BEG. (BEING PT OF LOTS 4 & 5 & ALL OF LOTS 1 THRU 3 & 6 THU 8, BLK 79, PLAT A, SLC SUR). 9.176 AC M OR L. 5918-838 6175-1443 6227-1454,1482 4 EXHIBIT “B” MASTER DEVELOPMENT AGREEMENT FOR THE JAZZ ARENA PARKING GARAGE This MASTER DEVELOPMENT AGREEMENT (“Agreement” or “MDA”) is made and entered as of the ____ day of ____________, 2025, by and between Salt Lake City Corporation, a municipal corporation and political subdivision of the State of Utah (“City”); the Community Reinvestment Agency of Salt Lake City formerly known as the Redevelopment Agency of Salt Lake City (“CRA”); and the Jazz Arena Investors LLC, a Utah limited liability company (“Master Developer”). RECITALS A. The capitalized terms used in these Recitals are defined above and in Section 1.2, below. B. Master Developer is developing the Property, which is owned by CRA. C. Development of the Property will include the Parking Garage and Façade as defined in this MDA. D. Development of the Project pursuant to this MDA is acknowledged by the parties to be consistent with LUDMA and to operate for the benefit of the City, the Master Developer, the CRA, and the general public. E. The Parties acknowledge that development of the Property pursuant to this MDA will result in orderly development of the Parking Garage, Façade and related improvements and increasing property tax and other revenues to the City based on improvements to be constructed on the Property. F. Development of the Property pursuant to this MDA will also result in significant benefits to the Master Developer, by providing assurances to the Master Developer that it will have the ability to develop the Parking Garage and Façade in accordance with this MDA. G. The Master Developer and the City have cooperated in the preparation of this MDA. H. The Parties desire to enter into this MDA to specify the rights and responsibilities of the Master Developer to develop the Project as expressed in this MDA and the rights and responsibilities of the City to allow and regulate such development pursuant to the requirements of this MDA. I. The Parties understand and intend that this MDA is a “development agreement” within the meaning of, and entered into pursuant to the terms of, Utah Code §§ 10-9a-102(18) and -532 (2025). J. This MDA was considered by the Planning Commission on August 13, 2025. K. On _____________, 2025, the City Council held a public hearing and approved this Agreement by the adoption of Ordinance # ______. NOW, THEREFORE, in consideration of the mutual covenants contained herein, and other good and valuable consideration, the receipt and sufficiency of which is hereby conclusively acknowledged, the City and the Master Developer hereby agree to the following: TERMS 1. Incorporation of Recitals and Exhibits/ Definitions. 1.1. Incorporation. The foregoing Recitals and Exhibits “A” – “B” are hereby incorporated into this MDA. 5 1.2. Definitions. As used in this MDA, the following terms, phrases, words, and their derivations shall have the meaning given herein where capitalized in this MDA. Words not defined herein shall have the same meaning as provided by Title 21A of Salt Lake City Code. When consistent with the context, words used in the present tense include the future, words in the plural number include the singular number, words in the singular number include the plural number, and the use of any gender shall apply to all genders whenever the context requires. The words “shall” and “will” are mandatory and the word “may” is permissive. References to governmental entities (whether persons or entities) refer to those entities or their successors in authority. If specific provisions of law referred to herein are renumbered, then the reference shall be read to refer to the renumbered provision. 1.2.1. Administrative Modifications means those modifications to this MDA that can be approved by the Administrator pursuant to Section 9. 1.2.2. Administrator means the Planning Director. 1.2.3. Applicant means a person or entity submitting a Development Application. 1.2.4. Buildout means the completion of all of the Parking Garage and Façade in accordance with the approved plans. 1.2.5. Canopy means a canopy over portions of the upper level of the Parking Garage to protect cars and guests from inclement weather as more fully specified in the Plans, Exhibit “B”. 1.2.6. City means Salt Lake City Corporation, a municipal corporation and political subdivision of the State of Utah. 1.2.7. City’s Vested Laws means the Zoning Ordinance of Salt Lake City, Title 21A, in effect at the time that the complete Development Application was submitted. 1.2.8. Council means the elected City Council of the City. 1.2.9. Default means a material breach of this MDA. 1.2.10. Development means the development of the Project pursuant to an approved Development Application. 1.2.11. Development Application means the application for this MDA which is referenced in the City’s Planning system as PLNPCM2025-00619. 1.2.12. Dispute means any disagreement between the Parties regarding the administration or implementation of the MDA, including but not limited to a Default. 1.2.13. Dispute Resolution Process means the non-exclusive processes for resolving any Dispute as specified in Section 7. 1.2.14. Façade means the façade for the Parking Garage, subset of the whole Project, as illustrated and generally specified in Exhibit B. 1.2.15. LUDMA means the Land Use, Development, and Management Act, Utah Code §§ 10-9a-101, et seq. (2025). 1.2.16. Notice means any notice to or from any party to this MDA that is either required or permitted to be given to another party. 1.2.17. Master Developer means Jazz Arena Investors LLC. 1.2.18. MDA means this Master Development Agreement including all of its Exhibits. 1.2.19. Parking Garage means the Parking Garage, a subset of the whole Project, as illustrated and generally specified in Exhibit “B”. 1.2.20. Parties means the Master Developer, CRA and the City. 1.2.21. Party means the Master Developer, CRA or the City individually. 1.2.22. Plans means the size, design, location and materials of the Project as illustrated on Exhibit “B”. 6 1.2.23. Project means the complete and full development of the Parking Garage, Canopy, and the Façade. 1.2.24. Property means the approximately nine and eighteen hundredths (9.18) acres as illustrated on Exhibit “B” and legally described in Exhibit “A”, where the Project is located. 2. Effect of MDA. This MDA is of limited scope and applicable only to the Project. This MDA does not satisfy the obligation of Master Developer’s affiliates, SEG Real Estate LLC and Smith Entertainment Group, LLC, pursuant to that certain Participation, Tax Sharing, and Reimbursement Agreement dated December 10, 2024 (the “Participation Agreement”), to enter into a “Development Agreement” as defined in the Participation Agreement. 3. Development of the Project. 3.1. Compliance with this MDA. Development of the Project shall be in accordance with the City’s Vested Laws as modified by this MDA. 3.2. Approved Plans. Notwithstanding anything to the contrary in the City’s Vested Laws, Master Developer is entitled to construct the Project in strict accordance with the Plans, subject to any approved Administrative Modifications as provided in Section 8. This MDA approves the Plans for purposes of the City’s Vested Laws, but no other regulations, including building code, fire code, and public utilities. The Project shall obtain all required permits and shall be subject to the City’s standard plan review process. 4. Zoning and Vested Rights. This MDA does not grant the Master Developer or any Applicant any “vested rights” in Utah common law or Utah Code 10-9a-509. Rather, the Project shall comply with all applicable laws and regulations in Salt Lake City Code. Only to the extent the Plans do not comply with the City’s Vested Laws is a waiver hereby given to such regulations. 5. Term of Agreement. The term of this MDA shall be until December 31, 2029, or upon the issuance of a certificate of occupancy for the Project, whichever occurs first. 6. Default. 6.1. Notice. If the Master Developer or the City fails to perform their respective obligations hereunder or to comply with the terms hereof, the party believing that a Default has occurred shall provide Notice to the other party. 6.2. Contents of the Notice of Default. The Notice of Default shall: 6.2.1. Specific Claim. Specify the claimed event of Default; 6.2.2. Applicable Provisions. Identify with particularity the provisions of any applicable law, rule, regulation, or provision of this MDA that is claimed to be in Default; 6.2.3. Cure Deadline. The City shall specify a time for Master Developer or Applicant to cure the Default which shall be of no less than thirty (30) days duration, except in case of emergency. 6.2.4. Appeal Process. The City shall specify the process to appeal the Notice of Default in accordance with Salt Lake City Code Chapter 21A.16 or its successor. 6.3. Remedies. If the Parties are not able to resolve a Default, then the Parties may have the following remedies: 6.3.1. Law and Equity. All rights and remedies available in law and equity including, but not limited to, injunctive relief and/or specific performance. 6.3.2. Security. The right to draw on any security posted or provided in connection with the Project and relating to remedying of the particular Default. 7 6.3.3. Zoning Enforcement. The City shall have the remedies set forth in Salt Lake City Code Chapter 21A.20, or its successor. 6.4. Extended Cure Period. Except in case of an emergency, if any Default cannot be reasonably cured within thirty (30) days, then such cure period shall be extended so long as the defaulting Party is pursuing a cure with reasonable diligence, but in no event may exceed one hundred and eighty (180) days. The burden of proof of reasonable diligence shall be on the defaulting Party. 7. Dispute Resolution. Any Dispute may be resolved as follows. 7.1. Meet and Confer regarding Disputes. The City and Applicant shall meet within fifteen (15) business days of any Dispute to resolve the issues specified in the Dispute. 7.2. Mediation of Disputes. 7.2.1. Optional Mediation Process. If the City and the Applicant are unable to resolve a Dispute the parties may attempt within ten (10) business days after a written request for mediation to appoint a mutually acceptable mediator. The parties shall equally share the cost of mediation. The chosen mediator shall within fifteen (15) business days, review the positions of the parties regarding the Dispute and promptly attempt to mediate the Dispute between the parties. If the parties are unable to reach agreement, the mediator shall notify the parties in writing of the resolution that the mediator deems appropriate. The mediator's opinion shall not be binding on the parties. 8. Notices. All notices required or permitted under this Agreement shall, in addition to other means of transmission, be given in writing by certified mail and regular mail to the following address: To Master Developer: Jazz Arena Investors LLC Attn: Mr. Jim Olson 1420 South 500 West Salt Lake City, UT 84115 With a Copy to: General Counsel 1420 South 500 West Salt Lake City, UT 84115 legal@teamseg.com With a Copy to: Bruce R. Baird, Esq. Bruce R. Baird PLLC 2150 South 1300 East, Fifth Floor Salt Lake City, UT 84106 bbaird@difficultdirt.com To City: Salt Lake City Attn: Planning Director 451 South State Street Salt Lake City, UT 84111 8 With a Copy to: Salt Lake City Attorney 451 South State Street Salt Lake City, UT 84111 8.1. Effectiveness of Notice. Except as otherwise provided in this MDA, each Notice shall be effective and shall be deemed delivered on the earlier of: 8.1.1. Hand Delivery. The day it is delivered personally or by courier service. 8.1.2. Electronic Delivery. Its actual receipt if delivered electronically by email provided that a copy of the email is printed out in physical form and mailed or personally delivered as set forth herein on the same day and the sending party has an electronic receipt of the delivery of the Notice. If the copy is not sent on the same day, then notice shall be deemed effective the date that the mailing or personal delivery occurs. 8.1.3. Mailing. On the day the Notice is postmarked for mailing, postage prepaid, by First Class or Certified United States Mail and actually deposited in or delivered to the United States Mail. Any party may change its address for Notice under this MDA by giving written Notice to the other party in accordance with the provisions of this Section. 9. Administrative Modifications. 9.1. Allowable Administrative Applications: Only minor modifications of the Plans (and no terms of this Agreement) may be considered and approved by the Administrator. Such minor modifications include minor changes to the size set forth in the Plans. Minor size changes are dimensional changes of elements of the Project that are no greater than 10%. Changes to the overall design or location shall not be minor. The Administrator shall have the sole, unappealable, discretion to decide if a request by Master Developer constitutes a minor modification subject to this section. If the Administrator determines that a request is not a minor modification, then such request shall be processed as an amendment to this Agreement requiring review by both the Salt Lake City Planning Commission and City Council. 9.1.1. Materials Specifications. Exhibit “B” specifies the materials that will be used for the Project. Any modifications or changes to the materials specified in Exhibit B is not a minor modification, therefore, is not an Administrative Modification. 9.2. Application to Administrator. Applications for Administrative Modifications may only be requested by the Master Developer and shall be filed with the Administrator. Any and all applications for Administrative Modifications must comply with the requirements in Salt Lake City Code 21A.59.030. 9.3. Administrator’s Review of Administrative Modification. The Administrator shall consider and decide upon the Administrative Modification within a reasonable time not to exceed forty-five (45) days from the date of submission of a complete application for an Administrative Modification. If the Administrator approves the Administrative Modification, the Administrator shall memorialize such approval against the applicable portion of the Property in the official City records. 9.4. Appeal of Administrator’s Denial of Administrative Modification. If the Administrator denies any proposed Administrative Modification, the Master Developer may seek approval of such modification as an amendment to this Agreement, which shall require review by both the Salt Lake City Planning Commission and City Council. 10. Estoppel Certificate. If the Master Developer is not, in fact, in default then, upon twenty 9 (20) days prior written request by the Master Developer, the City will execute an estoppel certificate to any third party certifying that the Master Developer, as the case may be, at that time is not in default of the terms of this Agreement. 11. Attorney’s Fees. Each party is solely responsible for its own costs of any legal fees and costs, including attorneys fees related to or resulting from this Agreement, with the exception of any shared mediation costs per Section 7 of this Agreement. 12. Headings. The captions used in this MDA are for convenience only and are not intended to be substantive provisions or evidence of intent. 13. No Third-Party Rights/No Joint Venture. This MDA does not create a joint venture relationship, partnership or agency relationship between the City and the Master Developer. Further, the Parties do not intend this MDA to create any third-party beneficiary rights. 14. Assignability. The rights and responsibilities of the Master Developer under this MDA may be assigned in whole or in part by the Master Developer with the written consent of the City as provided herein. 14.1. Assignees Bound by MDA. Any assignee shall consent in writing to be bound by the assigned terms and conditions of this MDA as a condition precedent to the effectiveness of the assignment. 14.2. Recorded Notice. An instrument shall be recorded specifying the material details of any assignment approved in accordance with this Section. The recorded instrument shall be signed by the Master Developer and the assignee. The City shall also sign acknowledging that it has notice of the assignment and that the recorded instrument complies with this subsection. 15. No Waiver. No waiver of any of the terms of this Agreement shall be valid unless in writing and expressly designated as such. Any forbearance or delay on the part of either party in enforcing any of its rights as set forth in this Agreement shall not be construed as a waiver of such right for such occurrence or any other occurrence. Any waiver by either party of any breach of any kind or character whatsoever by the other shall not be construed as a continuing waiver of, or consent to any subsequent breach of this Agreement. 16. Further Documentation. This MDA is entered into by the Parties with the recognition and anticipation that subsequent agreements implementing and carrying out the provisions of this MDA may be necessary. The Parties shall negotiate in good faith with respect to all such future agreements. 17. Severability. If any provision of this MDA is held by a court of competent jurisdiction to be invalid for any reason, the Parties consider and intend that this MDA shall be deemed amended to the extent necessary to make it consistent with such decision and the balance of this MDA shall remain in full force and affect. 18. Force Majeure. Any prevention, delay or stoppage of the performance of any obligation under this Agreement which is due to strikes, labor disputes, inability to obtain labor, materials, equipment or reasonable substitutes therefor; acts of nature, governmental restrictions, regulations or controls, judicial orders, enemy or hostile government actions, wars, civil commotions, fires or other casualties or other causes beyond the reasonable control of the Party obligated to perform hereunder shall excuse performance of the obligation by that Party for a period equal to the duration of that prevention, delay or stoppage. 10 19. Time is of the Essence. Time is of the essence to this MDA, and every right or responsibility shall be performed within the times specified. 20. Appointment of Representatives. To further the commitment of the parties to cooperate in the implementation of this MDA, the City and the Master Developer each shall designate and appoint a representative to act as a liaison between the City and its various departments and the Master Developer. The initial representative for the City shall be the Planning Division Director. The initial representative for the Master Developer shall be Jim Olson. The Parties may change their designated representatives by Notice. The representatives shall be available at all reasonable times to discuss and review the performance of the Parties to this MDA and the development of the Project. 21. Rights of Access. The City Engineer and other representatives of the City shall have a reasonable right of access to the Property, and all areas of development or construction done pursuant to this MDA during development and construction, to inspect or observe the work on the improvements and to make such inspections and tests as are allowed or required under the City regulations. 22. Mutual Drafting. Each party has participated in negotiating and drafting this MDA and therefore no provision of this MDA shall be construed for or against either party based on which party drafted any particular portion of this MDA. 23. Applicable Law. This MDA is entered into in Salt Lake City in the State of Utah and shall be construed in accordance with the laws of the State of Utah irrespective of Utah’s choice of law rules. 24. Venue. Any action to enforce this MDA shall be brought only in the Third District Court for the State of Utah, Salt Lake City. 25. Entire Agreement. This MDA, and all Exhibits thereto, is the entire agreement between the Parties and may not be amended or modified except either as provided herein or by a subsequent written amendment signed by all Parties. 26. Recordation and Running with the Land. This MDA shall be recorded in the chain of title for the Property. This MDA shall be deemed to run with the land. 27. Authority. The Parties to this MDA each warrant that they have all of the necessary authority to execute this MDA. Specifically, on behalf of the City, the signature of the Mayor is affixed to this MDA lawfully binding the City pursuant to Ordinance No. adopted by the City Council on ________________, 2025. 28. Covenant of Good Faith and Fair Dealing. Each Party shall use its best efforts and take and employ all necessary actions in good faith consistent with this Agreement to ensure that the rights secured by the other Party through this Agreement can be enjoyed. 29. REPRESENTATION REGARDING ETHICAL STANDARDS FOR CITY OFFICERS AND EMPLOYEES AND FORMER CITY OFFICERS AND EMPLOYEES. Master Developer represents that it has not: (1) provided an illegal gift or payoff to a City officer or employee or former City officer or employee, or his or her relative or business entity; (2) retained any person to solicit or secure this contract upon an agreement or understanding for a commission, percentage, or brokerage or contingent fee, other than bona fide employees or bona fide commercial selling agencies for the purpose of securing business; (3) knowingly breached any of the ethical standards set forth in City's conflict of interest ordinance, Chapter 2.44, Salt 11 Lake City Code; or (4) knowingly influenced, and hereby promises that it will not knowingly influence, a City officer or employee or former City officer or employee to breach any of the ethical standards set forth in City's conflict of interest ordinance, Chapter 2.44, Salt Lake City Code. 30. GOVERNMENT RECORDS ACCESS AND MANAGEMENT ACT. City is subject to the requirements of the Government Records Access and Management Act, Chapter 2, Title 63G, Utah Code Annotated or its successor (“GRAMA”). All materials submitted by Master Developer pursuant to this Agreement are subject to disclosure unless such materials are exempt from disclosure pursuant to GRAMA. The burden of claiming an exemption from disclosure shall rest solely with Master Developer. Any materials for which Master Developer claims a privilege from disclosure shall be submitted marked as “Business Confidential” and accompanied by a concise statement of reasons supporting Master Developer’s claim of business confidentiality. City will make reasonable efforts to notify Master Developer of any requests made for disclosure of documents submitted under a claim of business confidentiality. Master Developer may, at Master Developer’s sole expense, take any appropriate actions to prevent disclosure of such material. Master Developer specifically waives any claims against City related to disclosure of any materials required by GRAMA. IN WITNESS WHEREOF, the parties hereto have executed this Agreement by and through their respective, duly authorized representatives as of _________________, 2025. 12 TABLE OF EXHIBITS Exhibit “A” Legal Description of The Property Exhibit “B” Plans [signatures on following pages] 13 CITY: ATTEST: SALT LAKE CITY CORPORATION, a political subdivision of the State of Utah By: _____________________________ By: _______________________________ Salt Lake City Recorder Mayor Erin Mendenhall Approved as to form: ________________________________ City Attorney’s Office Date:____________________________ STATE OF UTAH ) :ss COUNTY OF SALT LAKE ) This instrument was acknowledged before me this _____ day of ______________, 2025, by Erin Mendenhall, Mayor of Salt Lake City Corporation, a political subdivision of the State of Utah. WITNESS my hand and official seal. ___________________________ Notary Public [CRA SIGNATURE BLOCK TO BE ADDED] 14 MASTER DEVELOPER: JAZZ ARENA INVESTORS LLC, a Utah limited liability company , Manager MASTER DEVELOPER ACKNOWLEDGMENT STATE OF UTAH ) :ss COUNTY OF SALT LAKE ) On the ____ day of _________________, 2025, personally appeared before me duly sworn, did say that he is the Manager of JAZZ ARENA INVESTORS LLC, a Utah limited liability company, and that the foregoing instrument was duly authorized by the company at a lawful meeting held by authority of its operating agreement and signed in behalf of said company. __________________________________ NOTARY PUBLIC 15 EXHIBIT A LEGAL DESCRIPTION OF PROPERTY BEG AT THE NE COR OF BLK 79, PLAT A, SLC SUR; S 0°13'31" W 660.36 FT; N 89°46'55" W 660.70 FT; N 0°14'38" E 390.25 FT; N 45°16'17" E 382.34 FT; S 89°46'56" E 390.01 FT TO BEG. (BEING PT OF LOTS 4 & 5 & ALL OF LOTS 1 THRU 3 & 6 THU 8, BLK 79, PLAT A, SLC SUR). 9.176 AC M OR L. 5918-838 6175-1443 6227-1454,1482 16 EXHIBIT B PLANS [attached on following pages] PROJECT TEAMWALTER P. MOORE AND ASSOCIATES, INC.ARCHITECT / PARKINGWALTER P. MOORE AND ASSOCIATES, INC. STRUCTURAL ENGINEERHORROCKSCIVIL & LANDSCAPEVBFAMECHANICAL & PLUMBING ENGINEERBNA ConsultingELECTRICAL ENGINEERCONSTRUCTION MANAGERIN ASSOCIATION WITH Hales EngineeringTRAFFIC ENGINEEROWNER301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-20007/16/2025 1:09:59 PM DELTA CENTER PARKING STRUCTUREProject #: M092400600Date: 07/15/202561 S 400 W.SALT LAKE CITY, UTAH 8410161 S 400 W.SALT LAKE CITY, UTAH 84101 633 W 5TH ST, SUITE 7200LOS ANGELES, CA 90071 PHONE # 310.254.1900999 18TH STREET, SUITE 1715 N.DENVER, CO 80202 PHONE # 303.731.10034919 SOUTH 1500 WEST, SUITE 300RIVERDALE, UT 84405 PHONE # 801.792.7730181 E 5600 S #200MURRAY, UT 84123PHONE # 801.530.31484225 LAKE PARK BLVD. SUITE 275WEST VALLEY CITY, UT 84120 PHONE # 801.532.21961220 N. 500 W, SUITE 202LEHI, UT 84043PHONE # 801.766.4343--1 R A M P DETAIL KEY SHEET # DETAIL # ELEVATION KEY SHEET # ELEVATION # WALL SECTION KEYDETAIL # SHEET # BUILDING SECTION KEYDETAIL # SHEET # NORTH ARROWTRUE NORTH REVISION CLOUD GRID DESIGNATION TAG KEY # # X X100Name100 #'-#" WALL TAG (PARTITION TYPE)KEYED NOTE ACCESSORY TAG FINISH TAG SPECIALTY EQUIPMENT TAGDOOR TAGROOM TAG CEILING HEIGHT TAG 1A1.01SIM #####SIM SPOT ELEVATION 100.00 REFERENCEOBJECT U2A* A1011Ref 1Ref1Ref1Ref LEVEL KEY PRECAST PANEL TAG INTERIOR ELEVATION TAG 11A3-0 ElevationLevel #####SIM #####SIM NREFERENCETRUENORTHREFERENCE NORTH TOP OF STRUCTURAL SLAB ELEVATION 100.17 TOP OF STRUCTURAL SLAB ELEVATION100.00TOP OF FINISHED ELEVATIONMATERIAL LEGEND EARTH GRAVEL / BALLASTSTEEL CONCRETE RIGID INSUL.BATT INSUL. FIRE SAFING MARBLE / GRANITE FINISH LUMBERPLYWOOD WOOD BLOCKING SHIM CUT STONE / PRE-CASTCONCRETE MASONRY UNITS BRICK ALUMINUM PLASTER GYPSUM BOARD GLAZING UNDISTURBED EARTH METALSTUD VICINITY MAP EXPANDED VIEW NREFERENCE TRUENORTH ABBREVIATIONS APPLICABLE CODE LIST WITH LOCAL AMENDMENTS LOCATION MAP NREFERENCE TRUENORTH DESCRIPTION OF SCOPE OF WORK H HIGHHBHOSE BIBHCHOLLOW COREHDCP HANDICAPHDHEADHDWHARDWAREHMHOLLOW METALHORIZ HORIZONTALHPHIGH POINTHGTHEIGHTHTRHEATERHWHHOT WATER HEATERHVAC HEATING VENTILATING AND AIR CONDITIONINGICEICE MACHINEIDINSIDE DIAMETERININCHINCLINCLUDE (ED) (ING)INFO INFORMATIONINSUL INSULATIONINTINTERIORJANJANITORJBJUNCTION BOXJSTJOISTJTJOINTLLENGTHLABLABORATORYLAMLAMINATELAVLAVATORYLBPOUNDLFLINEAR FEETLHLEFT HANDLKRLOCKERLPLOW POINTMMETERMAMARBLE MAS MASONRYMATL MATERIALMAXMAXIMUMMBMARKER BOARD OR MOP BASINMDFMEDIUM DENSITY FIBERBOARDMECH MECHANICAL MFR MANUFACTURERMHMANHOLEMICMICROWAVEMINMINIMUMMISCMISCELLANEOUSMMMILLIMETERMOMASONRY OPENINGMTDMOUNTEDMTLMETALNNORTHNICNOT IN CONTRACTNONUMBERNOMNOMINALNTSNOT TO SCALEOAOVERALLOCON CENTERODOUTSIDE DIAMETEROHOVERHEADOHDOVERHEAD DOOROPNG OPENINGOPPOPPOSITEORDOVERFLOW ROOF DRAINOPTOPTIONALORIG ORIGINALOZOUNCEPARTN PARTITIONPCPRECASTPERF PERFORATEDPJPANEL JOINTPLPLATEPLAS PLASTERP LAM PLASTIC LAMINATEPLGPLUMBINGPLYWD PLYWOODPNLPANELPRPAIRPREFAB PREFABRICATEDPRELIM PRELIMINARYPROJ PROJECT PRS PROJECTION SCREENPSFPOUNDS PER SQUARE FOOTPSIPOUNDS PER SQUARE INCHPTPAINTPTDPAPER TOWEL DISPENSERQTQUARRY TILEQTRQUARTERRRISERR/A RETURN AIRRADRADIUSRBRESILIENT BASERDROOF DRAINREFREFERENCEREINF REINFORCED (ING)RF RESILIENT FLOORINGRFGREFRIGERATOR A/C AIR CONDITIONINGACTACOUSTICAL CEILING TILEAFFABOVE FINISH FLOORAHUAIR HANDLING UNITALUM ALUMINUMALTALTERNATEAMTAMOUNTAPACCESS PANELAPPROX APPROXIMATEARCH ARCHITECTURALATMAUTOMATED TELLER MACHINEAVAUDIO VISUALBDBOARDBLDG BUILDINGBLKBLOCKINGBMBEAM OR BENCHMARKBMDBOTTOM OF METAL DECKBOBOTTOM OFBOSBOTTOM OF STAIRSBRGBEARINGBSMT BASEMENTCAB(S) CABINET(S)CB CORNER BEANCGCORNER GUARDCICAST IRONCJCONTROL JOINTCLGCEILINGCLCLOSETCLRCLEARCMCENTIMETERCMPCOMPOSITE METAL PANELCMUCONCRETE MASONRY UNITCOCLEAN OUTCOLCOLUMNCONC CONCRETECONST CONSTRUCTIONCONT CONTINUOUS CONTR CONTRACTORCOPY COPY/PRINT MACHINECPTCARPETCTCERAMIC TILECTRCENTERCTSK COUNTERSINKCWCURTAIN WALLDBLDOUBLEDEGDEGREEDEPT DEPARTMENTDTLDETAILDIADIAMETERDIAGDIAGONALDIMDIMENSIONDNDOWNDRDOORDSDOWNSPOUTDWDISHWASHERDWG(S) DRAWING(S)E EASTEAEACHEIFSEXTERIOR INSULATION FINISH SYSTEMEJEXPANSION JOINTELELEVATIONELEC ELECTRICALELEV ELEVATORENCL ENCLOSUREENGR ENGINEEREQEQUALEQPEQUIPMENTESMT EASEMENTEWCELECTRIC WATER COOLEREXHEXHAUSTEXIST EXISTING EXP EXPANSIONEXTEXTERIORFAFIRE ALARMFCUFAN COIL UNITFDFLOOR DRAINFDNFOUNDATIONFEFIRE EXTINGUISHERFECFIRE EXTINGUISHER CABINETFFFINISH FLOORFHCFIRE HOSE CABINETFINFINISH FL FLOW LINEFLRFLOORFTFEETFTGFOOTINGFUTFUTUREFVFIELD VERIFYFWCFABRIC WALL COVERINGGAGAUGEGALV GALVANIZEDGBGRAB BARGCGENERAL CONTRACTORGENGENERATORGFBGROUND FACE BLOCKGFRC GLASS FIBER REINFORCED CONCRETEGFRG GLASS FIBER REINFORCED GYPSUMGLGLASSGNDGROUNDGYPGYPSUM REQ REQUIRED RET RETAINING REV REVISIONRHRIGHT HANDRMROOMROROUGH OPENINGRTUROOF TOP UNITRVROOF VENTSSOUTHS/A SUPPLY AIRSABSOUND ATTENUATION BLANKETSANSANITARY SD SMOKE DETECTORSFSQUARE FEETSHRSHOWERSHTSHEETSIMSIMILARSMSQUARE METERSNRSANITARY NAPKIN RECEPTACLESPEC(S) SPECIFICATION(S)SPKR SPEAKERSQSQUARESSSTAINLESS STEELSTSTREETSTDSTANDARDSTLSTEELSTOR STORAGESTRUCT STRUCTURESUSP SUSPENDEDSYMSYMMETRICALSYSSYSTEMTTREAD / TEMPEREDT&G TONGUE & GROOVETBTACKBOARDTBDTO BE DETERMINEDTELETELEPHONETELECOM TELEPHONE COMMUNICATIONSTEMP TEMPORARYTRZTERRAZZOTHKTHICKTHRU THROUGHTOTOP OFTPHTOILET PAPER HOLDERTSSTOP STRUCTURAL SLABTSTLTOP OF STEELTUTILT-UPTVTELEVISIONTWTOP OF WALLTYPTYPICALUHUNIT HEATERUNFIN UNFINISHEDULUNDERWRITER'S LABORATORYUONUNLESS OTHERWISE NOTEDVVENDING MACHINEVBVAPOR BARRIERVENT VENTILATIONVERT VERTICALVEST VESTIBULEVWCVINYL WALL COVERINGWWESTW/WITHW/O WITHOUTWCWATER CLOSETWDWOODWGWALL GUARDWPWATERPROOFINGWPTWORKING POINTWSCT WAINSCOTWTWEIGHTWWF WELDED WIRE FABRICXMFR TRANSFORMER PARKING & AREA SUMMARY PARKING SPACE LEGENDADA = STANDARD ACCESSIBLE PARKING SPACEEVS = ELECTRIC VEHICLE SPACE (FUTURE EVCS)EVCS = ELECTRIC VEHICLE CHARGING STATIONCAV = CLEAN AIR / VAN POOL / EV SPACESTD = STANDARD PARKING SPACECOMP = COMPACT PARKING SPACE GRAPHIC SYMBOLS MATERIAL PATTERN SYMBOLS REQUIRED PARKING REQUIRED BICYCLE PARKING PROJECT SITE PROJECT SITE DEFERRED SUBMITTALS ZONING / CONSTRUCTION TYPE / USE GROUP / FIRE PROTECTION 7A 6B 5B 4B 3B 2B 1B 7B 6A5A4A 3A 2A 1A1CENT/EXT RAMP LOADING LOADING LOADING LEGAL DESCRIPTION & PARCEL NUMBERLegal Description:BEG AT THE NE COR OF BLK 79, PLAT A, SLC SUR; S 0¿13'31" W 660.36 FT; N 89¿46'55" W 660.70 FT; N 0¿14'38" E 390.25 FT; N 45¿16'17" E 382.34 FT; S 89¿46'56" E 390.01 FT TO BEG. (BEING PT OF LOTS 4 & 5 & ALL OF LOTS 1 THRU 3 & 6 THU 8, BLK 79, PLAT A, SLC SUR). 9.176 AC M OR L. 5918-838 6175-1443 6227-1454,1482Parcel Record 15011270172000Owner REDEVELOPMENT AGENCY OF SALT LAKE CITYAddress 301 W SOUTHTEMPLE STTotal Acreage 9.18Tax Class Id 50BProperty Type 953Tax District 01C% Exempt 100Exempt Type TMunicipal Zone D-4MLS Number 5 5 500 ft0 ft 5 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 7/25/2025 6 : 0 8 : 5 4 P M GENERAL SHEET A0.01 12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA/YC SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP AUTHORITY HAVING JURISDICTION: SALT LAKE CITY, UT2021 UTAH FIRE CODE (UFC)2019 UTAH FIRE ALARM CODE2019 UTAH SPRINKLER CODE2019 NFPA 14 - STANDPIPES2019 NFPA 13 - SPRINKLER SYSTEMS2019 NFPA 72 - NATIONAL FIRE ALARMICC A117.1-092021 EDITION OF THE INTERNATIONAL BUILDING CODE, INCLUDING APPENDICES C AND J, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL PLUMBING CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL MECHANICAL CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2020 EDITION OF THE NATIONAL ELECTRICAL CODE, ISSUED BY THE NATIONAL FIRE PROTECTION ASSOCIATION2021 EDITION OF THE INTERNATIONAL FIRE CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2021 EDITION OF THE INTERNATIONAL ENERGY CONSERVATION CODE, ISSUED BY THE INTERNATIONAL CODE COUNCIL2017 UTAH ACCESSIBILITY CODE2010 ADA STANDARDS FOR ACCESSIBLE DESIGN2025 SALT LAKE CITY MUNICIPAL CODE ZONE:D-4USE:PARKING, COMMERCIALOCCUPANCY CLASSIFICATION :BASEMENT LEVEL IS CONSIDERED A SEPARATE BUILDING FROM THE OPEN PARKING GARAGE LEVELS ABOVE PER UBC 510.3 GROUP S-2 ENCLOSED PARKING GARAGE WITH GROUP S-2 OPEN PARKING GARAGE ABOVETYPE OF CONSTRUCTION: IIB FIRE PROTECTION:FIRE STANDPIPE + SPRINKLER SYSTEM BUILDING FOOTPRINT SIZE:188'-10" X 122'-7"NUMBER OF TIERS PROVIDED: 9 TIERS / 7 STORIESBUILDING TIERS ALLOWED: 9 TIERS PER UBC 406.5.5 AREA AND HEIGHT INCREASESALLOWABLE HEIGHT: 600'-0" PER D-4 ZONE HEIGHT LIMITSPER UBC HEIGHT OF OPEN PARKING BUILDING MEASURED FROM GRADE PLANE TO HIGHEST FLOOR TIER 9 = 81'-1" = 8.96 TIERS ROUNDED UP TO 9 TIERS PER UBC SECTION 406.5.4.1 SINGLE USE.BUILDING HEIGHT: PER SLC MUNICIPAL CODE 80'-7" (PER SECTION 12-1.18. BUILDING HEIGHT. “BUILDING HEIGHT” SHALL MEAN THE VERTICAL DISTANCE MEASURED FROM THE AVERAGE LEVEL OF THE HIGHEST AND LOWEST POINT OF THAT PORTION OF THE SITE COVERED BY THE BUILDING TO THE CEILING OF THE UPPERMOST STORY.)VENTILATION: NATURAL VENTILATION ON OPEN PARKING LEVELS. MECHANICAL VENTILATION ON BASEMENT LEVELFLOOR AREA ALLOWED: TYPE IIB = 50,000 S.F. MAX. PER OPEN TIER AND 104,000 S.F. MAX. PER ENCLOSED STORY.ALLOWABLE AREA WITH TYPE IIB CONSTRUCTION PER UBC 510.3 (1) OF THE BUILDING SUCH THAT THE SUM OF RATIONS FOR EACH SEPARATE OCCUPANCY SHALL NOT EQUAL 1.BASEMENT ENCLOSED PARKING BUILDING AREA RATIO: 31,255 SF AREA PROVIDED /104,000 ALLOWED MAX. 1 STORY MAX ABOVE GRADE PLAN EQUIPPED THROUGHOUT WITH AUTOMATIC SPRINKLER PER TABLE 506.2 = 0.31 RATIOABOVE GRADE OPEN PARKING STRUCTURE BUILDING AREA RATIO : 29,839 PROVIDED (LARGEST TIER 1 MEASURED FROM LOWEST POINT OF TIER TO 9'-6" ABOVE AS DEFINED BY 406.5.4.1 SINGLE USE )/ 50,000 SF PER TABLE 406.5.4 = 0.59 RATIOSUM OF RATIOS OF BUILDING 0.31+0.59=0.90 RATIO WHICH IS LESS THAN 1FLOOR AREA/PER LEVEL: 23,276 S.F. TYPICAL GRAND TOTAL FLOOR AREA: 209,227 S.F.OCCUPANT LOAD PER LEVEL: 117 PER LEVEL TYPICALEXIT STAIRS REQUIRED: 2 EXIT STAIRS PROVIDED:2STAIR WIDTH REQUIRED PER STAIR: 18"STAIR WIDTH PROVIDED PER STAIR: 54" TRAVEL DISTANCE: 400' MAX. TO STAIR PER UBC TABLE 1017.2 (FULLY SPRINKLERED WITHOUT VOICE ALARM SYSTEM) THE PROJECT CONSISTS OF A NEW 9 TIER/ 7 LEVEL OPEN PARKING STRUCTURE ABOVE ONE-TIER/ ONE STORY ENCLOSED COMMERCIAL VEHICLE LOADING AND AN ELEVATED PEDESTRIAN BRIDGE. SITE IMPROVEMENTS WITH A LIMITED EXTENSION FROM THE EXTERIOR PERIMETER OF THE PARKING STRUCTURE INCLUDE ON-SITE DRIVEWAY ACCESS, LANDSCAPE, HARDSCAPE, UTILITY LINES.THE PARKING FACILITY IS DESIGNED WITH STEEL COLUMNS AND BEAMS AND CONCRETE-FILLED METAL DECK ELEVATED FLOORS OF TYPE IIB CONSTRUCTION.SERVING ALL SEVEN ABOVE GRADE LEVELS ARE TWO ELEVATORS AT THE NORTHEAST CORNER, TWO OPEN STAIRS AT THE NORTHWEST AND NORTHEAST CORNERS. THE BASEMENT LEVEL IS SERVED BY A NEW E;EVATOR CONNECTING TO LEVEL 1, AND AN EXISTING STAIR WITHIN THE ARENA AND A NEW STAIR FROM BASEMENT FOR LEVEL 1.VEHICULAR ACCESS IS PROVIDED AT LEVEL 1. ACCESSIBLE PARKING IS PROVIDED AT ALL LEVELS. EXCEPT BASEMENT LEVEL CONTRACTOR AND THEIR ENGINEER SHALL PREPARE DETAIL PLANS, SPECIFICATIONS, ENGINEERING CALCULATIONS FOR THE DEFERRED ITEMS LISTED BELOW. THE ENGINEER SHALL BE REGISTERED IN THE STATE OF UTAH.THE DEFERRED SUBMITTALS SHALL BE STAMPED AND SIGNED BY THE REGISTERED ENGINEER AND PRESENTED TO THE ARCHITECT OF RECORD (AOR) / STRUCTURAL ENGINEER OF RECORD (SEOR) FOR REVIEW AND APPROVAL PRIOR TO THE CONTRACTOR SUBMITTING THE DEFERRED SUBMITTALS TO THE AUTHORITY HAVING JURISDICTION (AHJ) FOR APPROVAL AND PERMIT.INSTALLATION OF DEFERRED SUBMITTALS SHALL NOT BE STARTED UNTIL THEY ARE ACCEPTED BY THE ARCHITECT OF RECORD (AOR) / STRUCTURAL ENGINEER OF RECORD (SEOR) AND APPROVED/ PERMITTED BY AHJ.CONTRACTOR SHALL ALLOW SUFFICIENT TIME FOR REVIEW BY AOR/ SEOR PRIOR TO SUBMITTAL, APPROVAL, PERMITTED BY AHJ.DEFERRED ITEMS INCLUDE THE FOLLOWING:1. FIRE SPRINKLER SYSTEM2. AUTOMATIC FIRE ALARM SYSTEM3. COMMUNICATION SYSTEM (INCLUDING CCTV)4. BARRIER CABLES5. STEEL STAIRS & GUARDRAILS6. ELEVATOR GUIDE RAIL BRACKETS7. BUCKLING RESTRAINED BRACES8. PLUMBING LINES AND MECHANICAL EQUIPMENT SUPPORT, BRACING, ANCHORAGES AND PROTECTION9. PREFABRICATED GUARDBOOTH10. PARKING CONTROL EQUIPMENT11. METAL STUD/ COLD-FORMED FRAMING12. GENERATORS13. PARKING STRUCTURE ENTRY PORTAL14. METAL FABRICATIONS, RAILINGS, AND GRATINGS15. PILE LOAD TEST FRAME NOTE:INSTALLATION OF ELEVATOR GUIDE RAILS AND BRACKETS SHALL BE IN COMPLIANCE WITH:1. ASME 17.1/ CSA B44, ASME 17.1/ CSA B44.72. FOR ADDITIONAL STRUCTURAL DEFERRED SUBMITTALS SEE SHT S0-10, PART XI SUBMITTAL, B2 TOTAL CODE REQUIRED PARKING = NONE REQUIREDPROVIDED PARKING SPACESPARKING STRUCTURE (THIS PERMIT) = 448 SPACESGRAND TOTAL = 448 SPACES * Within the 10 total ADA spaces there are 8 standard ADA and 2 Van ADA Total 438 10 448 0 165,238 34,227 9,763 210,085 369Total40141 0 16,119 0 0 16,119 393 7B 9 0 9 0 4,015 0 0 4,015 446 7A ***31 1 32 0 12,104 0 0 12,104 378Level 7 Total 66 1 67 0 23,276 0 0 23,276 348 6B **34 0 34 0 11,172 0 0 11,172 329 6A 32 1 33 0 12,104 0 0 12,104 367Level 6 Total 67 1 68 0 23,276 0 0 23,276 342 5B 35 0 35 0 11,172 0 0 11,172 319 5A 32 1 33 0 12,104 0 0 12,104 367Level 5 Total 67 1 68 0 23,276 0 0 23,276 342 4B 35 0 35 0 11,172 0 0 11,172 319 4A 32 1 33 0 12,104 0 0 12,104 367Level 4Total 67 1 68 0 23,276 0 0 23,276 342 3B 35 0 35 0 11,172 0 0 11,172 319 3A 32 1 33 0 12,104 0 0 12,104 367Level 3 Total 65 1 66 0 23,276 0 0 24,134 353 2B 35 0 35 0 11,172 0 0 11,172 319 2A 30 1 31 0 12,104 0 0 12,962 391Level 2Total 66 4 70 0 28,753 0 9,763 38,515 411 1C 7 0 7 4,544 4,544 649 1B 35 0 35 11,213 0 5,353 16,566 320 1A 24 4 28 12,996 0 4,410 17,406 464Level 1Level B1 0 0 0 0 0 34,227 34,227 0Slab onGradeElevatedSlabSlab onGradeElevatedSlab Standard Spaces ADA Spaces*Parking Area Standard Total Parking Area (sqft) Non-Parking Area (sqft)Parking andNon-ParkingTotal AreaEfficiency(Parking Area/ ParkingSpaces) PARKING SUMMARY DELTA CENTER GARAGE NO BICYCLE PARKING REQUIRED SINCE THE PROJECT IS DEFINED AS A GARAGE AND AN ACCESSORY USE AS DEFINE BY SLC MUNICIPAL CODE SECTIONS: 21A.62.040: DEFINITIONS OF TERMS: GARAGE:AN ACCESSORY BUILDING OR PORTION OF A BUILDING DESIGNED OR USED FOR THE STORAGE OF VEHICLES USED BY THE OCCUPANTS OF THE PRINCIPAL BUILDING21A44.040: REQUIRED OFF-STREET PARKING (E) NOTE 6ACCESSORY AND TEMPORPAY USES: NO BICYCLE SPACES ARE REQUIRED FORACCESSORY OF TEMPORARY USES. NOTE:PARKING TIER SQUARE FOOTAGES SHOWN IN THIS CHART DIFFER FROM UBC 406.5.4.1 SINGLE USE, AND ARE INSEAD BASED ON PARKING BAYS AND STORY FOOTPRINT NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #15 08/01/2025 Bulletin #5 1 1 5 5 5 * WITHIN THE 10 TOTAL ADA SPACES THERE ARE 8 STANDARD ADA AND 2 VAN ADA** WITHIN THE 34 TOTAL SPACES THERE ARE 14 COMPACT PARKING SPACES (PENDING THE MASTER DEVELOPMENT AGREEMENT)*** WITHIN THE 31 TOTAL SPACES THERE ARE 25 COMPACT PARKING SPACES (PENDING THE MASTER DEVELOPMENT AGREEMENT) jb jb ejbjb jbjb jb jb jbjbjb sww eeirirfosdsds s irir sdfo e s s ws ee ee e w s irir e jb jb ejbjb jbjb jbjbjb s um s w S T E M P L E S T N 4 0 0 W 300 w 1 0 0 S 122'-10 1/2" DELTA CENTERBUILDING TYPE IBFULLY SPRINKLERED[NIC] PROPOSED PARKING STRUCTURE8 TIERS / 7 STORIESTYPE OF CONSTRUCTION: IIBOCCUPANCY CLASS: S-2 FULLY SPRINKLERED ENTR A N C E DN EXIT 8.33%DN NEW PEDESTRIAN BRIDGE EXISTING TRUC K E X I T NEW GUARD BOOTH STORAGE ROOM (NIC) STORAGE ROOM (NIC) OPEN TO LOADING DOCK BELOW LOADING DOCK COVER EXISTING TRUCK ENTRANCE OPEN TO LOADING DOCK BELOW A8.011 NORTHWEST PLAZA [NIC] SOUTHEAST PLAZA [NIC] CORNER SIDE YARD EXISTIN G S I D E W A L K EXITENTRY NORTHEAST PLAZA [NIC] PROPERTY LINE PROPERTY LINE CENTE R L I N E O F S T R E E T 41'-7" Refer to Civil S h e e t C 2 . 0 1 f o r C u r b C u t D i m e n s i o n s 101'-2 1/2" EXISTING STAIR TO REMAIN (NIC) 4'-9" PROPE R T Y L I N E PROPE R T Y L I N E FRONT YA R D 29'-6" 189'-6" 51'-4" 57'-0 1/2" 4'-4"EXISTING SIDEWALK RETAINING WALL -REFER TO CIVIL DRAWINGS SEE SEPARATE PERMIT OF ARENA PROJECT FOR CONTINUATION OF ACCESSIBLE PATH OF TRAVEL AND EGRESS TO PUBLIC RIGHT OF WAY PROPERTY LINE PROPERT Y L I N E PROPE R T Y L I N E PROPERTY LINE A8.021Sim SEE SEPARATE PERMIT OF ARENA PROJECT FOR CONTINUATION OF ACCESSIBLE PATH OF TRAVEL AND EGRESS TO PUBLIC RIGHT OF WAY OPEN TO BELOW OPEN TO BELOW FOR PAVEMENT FINISH AND MATERIALS, SEE CIVIL DRAWINGS. SEE LANDSCAPE DRAWINGS FOR DETAILS 1 1 5'-0" 3'-0"4'-0"4'-0"6'-1"24"w x24"dx48h Comm. Cabinet24"wx 31"dx39"h Transformer GUARDBOOTH SEE A8.01 FOR DETAILS GUARDBOOTH RESTROOM PATH 3 3 3 2'-6"7'-11 3/4"76.62' 76.62'76.62' 76.50' 76.62' 76.62' 76.62' 76.62' 76.62'TOW 76.95'ToW 76.50' 75.98' 58.20'59.00' 60.00' 62.50' 65.00' CAST IN PLACE CONCRETE RAMP RETAINING WALL. FINISH TO MATCH ARENA'S EXISTING CONCRETE WALL. TOP OF CONC. WALL FINISH ELEVATIONS PROJECT SCOPE OF WORK BUILDING FOOTPRINT 60.73'ToW 60.90'ToW 61.10'ToW 61.10'ToW61.10'ToW TOP OF PLANTER WALL ELEVATION CAST IN PLACE PLANTER WALL. FINISH TO MATCH EXISTING ARENA CONCRETE WALL FIRE DEPARTMENT NOTES: 1. THE REQUIRED FIRE-FLOW IN ACCORDANCE WITH UFC APPENDIX B, FOR A TYPE IIB CONSTRUCTION ACROSS 412,995 SQ.FT IS 8,000 GPM AT 20-PSI FOR 4-HOURS. IN ACCORDANCE WITH TABLE B105.2 THE FIRE-FLOW CAN BE REDUCED TO 25% OF THE REQUIRED VALUE FOR AN IFC 903.3.1.1 FULLY SPRINKLERED BUILDING. THEREFORE, THE REQUIRED FIRE-FLOW FOR THE PROPOSED BUILDING IS 2,000 GPM AT 20-PSI FOR 2-HOURS+2. PROVIDE AN APPROVED AUTOMATIC FIRE SPRINKLER SYSTEM IN ACCORDANCE WITH PROVISIONS SET FORTH IN BUILDING CODE SECTION 903.3. FIRE SPRINKLER PLANS SHALL BE SUBMITTED TO THE SPRINKLER PLAN CHECK UNIT FOR REVIEW AND APPROVAL PRIOR TO INSTALLATION IN ACCORDANCE WITH FIRE CODE 901.2. INDICATE TYPE OF SPRINKLER SYSTEM PROVIDED AS COMPLYING WITH NFPA 13.3. PROVIDE AN APPROVED CLASS I STANDPIPE SYSTEM IN ACCORDANCE WITH BUILDING CODE & FIRE CODE SECTION 905. GREATER THAN FOUR STORIES STANDPIPES SHALL BE LOCATED ACCORDING TO THE PROVISIONS IN BUILDING CODE & FIRE CODE SECTION. STANDPIPE SYSTEM PLANS SHALL BE SUBMITTED TO THE FIRE SPRINKLER PLAN CHECK UNIT IN ACCORDANCE WITH FIRE CODE 901.2.4. EACH STANDPIPE SHALL BE EQUIPPED WITH AN APPROVED 2 1/2 INCH OUTLET NOT LESS THAN 2 FEET OR MORE THAN 4 FEET ABOVE THE FLOOR LEVEL OF EACH STORY. STANDPIPE OUTLETS IN STAIRWAY ENCLOSURES OR SMOKEPROOF ENCLOSURES SHALL BE LOCATED SO THAT THE EXIT DOORS DO NOT INTERFERE WITH THE USE OF THE OUTLET AND LOCATED ON THE MAIN STAIR LANDING. ALL OUTLETS SHALL BE EQUIPPED WITH AN APPROVED VALVE, CAP AND CHAINS. FIRE CODE 905.4.35. PORTABLE FIRE EXTINGUISHERS SHALL BE INSTALLED AND MAINTAINED ALL OCCUPANCY GROUPS AND AT SUCH LOCATIONS AS REQUIRED BY FIRE CODE 906. THE FINAL NUMBER AND LOCATION OF ALL EXTINGUISHERS SHALL BE DETERMINED BY THE LOCAL AREA FIRE INSPECTOR. 6. ELEVATORS SHALL BE PROVIDED WITH PHASE I EMERGENCY RECALL OPERATION AND PHASE II EMERGENCY IN-CAR OPERATION.7. ALL ELEVATORS SHALL BE EQUIPPED TO OPERATE WITH A STANDARDIZED FIRE SERVICE ELEVATOR KEY IN ACCORDANCE WITH FIRE CODE 604.8. BUILDING CODE 3003.3 8. IN THE EVENT OF POWER SUPPLY FAILURE IN ROOMS, SPACES AND BUILDINGS THAT REQUIRE TWO OR MORE MEANS OF EGRESS, AN EMERGENCY ELECTRICAL SYSTEM FOR A DURATION OF NOT LESS THAN 90 MINUTES IN ACCORDANCE WITH THE PROVISIONS SET FORTH IN BUILDING CODE 1008.3. 9. THE MEANS OF EGRESS TRAVEL SHALL BE ILLUMINATED AT ANY TIME THE BUILDING IS OCCUPIED WITH A LIGHT INTENSITY OF NOT LESS THAN 1 FOOT-CANDLE AT THE FLOOR LEVEL. BUILDING CODE 1008.2.1.10. THE PATH OF EGRESS TRAVEL TO EXITS SHALL BE MARKED BY READILY VISIBLE EXIT SIGNS TO CLEARLY INDICATE THE DIRECTION OF EGRESS TRAVEL AS REQUIRED BY BUILDING CODE 1013.1; AND SHALL BE INTERNALLY OR EXTERNALLY ILLUMINATED AS REQUIRED BY SECTION 1013.3 AND 1013.5. NOTE: ADDITIONAL EXIT SIGNS MAY BE REQUIRED AT THE TIME OF FIELD INSPECTION .SITE PLAN LEGEND: ACCESSIBLE PATH OF TRAVEL PROPERTY LINE SCOPE OF WORK BUILDING FOOTPRINT HIGH IMPACT BOLLARD, REFERENCE STRUCTURAL FOR DETAIL DN 8.33%DN EXISTIN G TRUCK E X I T STORAGE ROOM (NIC) STORAGE ROOM (NIC) EXISTING TRUCK ENTRANCE OPEN TO LOADING DOCK BELOW PROPE R T Y L I N E FRONT YA R D EXISTING SIDEWALK ASSUMED PROPERTY LINE ASSUMED PROPERTY LINE ASSUMED PROPERTY LINE GRADE PLANE CALCULATION:(BASE LINE ELEVATION 4200')A: (73.5'+74.5')/2 X100.16' = 7,411.83'B: (74.5'+75.5')/2 X221.00' = 16,586.05'C: (75.6'+57.0')/2 X32.16' = 2132.20'D: (57.0'+55.0')/2 X21.66' = 1,212.96'E: (55.0'+58.6')/2 X69.66' = 3,956.68'F: (58.6'+55.2')/2 X134.16' = 7,633.70'G: (55.2'+55.7')/2 X134.50' = 7,458.02'H: (55.7'+52.0')/2 X46.50' = 2,504.02'I: (52.0'+56.1')/2 X52.33' = 2,828.43'J: (56.1'+73.5')/2 X83.00' = 5,378.40'TOTAL PERIMETER = 895.13'/57,102.2957102.29'/895.13'= 63.79'GRADE PLANE = 4263.79' A: (73.5'+74.5')/2 X100.16' = 7,411.83' 221.00' 100.16' B: (74.5'+75.5')/2 X221.00' = 16,586.05' C: (75.6'+57.0')/2 X32.16'= 2132.20' E: (55.0'+58.6')/2 X69.66' = 3,956.68' D: (57.0'+55.0')/2 X21.66' = 1,212.96' F: (58.6'+55.2')/2 X134.16' = 7,633.70' G: (55.2' + 5 5 . 7 ' ) / 2 X 1 3 4 . 5 0 ' = 7 , 4 5 8 . 0 2 ' H: (55.7'+52.0')/2 X46.50' = 2,504.02' I:(52.0'+56.1')/2 X52.33'= 2,828.43'J: (56.1'+7 3 . 5 ' ) / 2 X 8 3 . 0 0 ' = 5 , 3 7 8 . 4 0 ' 32.16'21.66' 69.66'134.16' 134.50' 46.50' 52.33' 83.00' SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BYDRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 8/4/2025 8 : 3 1 : 0 0 P M SITE PLAN A1.00 12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/32" = 1'-0"SITE PLAN1 NREFERENCETRUENORTH EXPANSION JOINT 1" = 40'-0"3 GRADE PLANE CALCULATION DIAGRAM PER UBC CHAPTER 202 PLAN NOTES NO. DATE REVISION04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #13 05/30/2025 Bulletin #35 08/01/2025 Bulletin #5 5 5 RBR - TEST TARGET (0.64FT VERT OFFSET)SHOT ON TOP OF REBAR5368710074258.85 WV5096eEJB50974263.28TSJ5098eEJB50994262.84WV5100irSBX5101irSBX5102foFOB5103TSJ5104SDI51054259.49 sdMSD - 4FTX2FT LID51094259.72sdMSD - 4FTX2FT LID51104259.42WV5111 sMS51124259.11 WV5113WV5114 TSJ5115 TSJ5116 sMS51194258.62 umMU - UTA51234258.10 TSJ5124 TSJ5125 jb jb N: 7449078.55E: 1528943.15 N: 7449035.28E: 1528942.89 N: 7449007.51E: 1528942.88 N: 7449006.34E: 1528959.79 N: 7449020.86E: 1528959.88 N: 7449006.86E: 1528950.86 N: 7449028.92E: 1528951.07 N: 7449058.21E: 1529006.34 N: 7449022.63E: 1529006.30 N: 7449003.50E: 1528967.31 N: 7448996.13E: 1528981.58 N: 7448998.91E: 1528983.85N: 7448988.99E: 1528959.12N: 7448988.23E: 1528951.67 N: 7449023.63E: 1528999.68 N: 7449057.99E: 1528970.45 N: 7449066.24E: 1528959.55 N: 7449066.45E: 1528951.74 N: 7449071.01E: 1528946.54 SITE PLAN LEGENDEXISTING PROPOSEDGATE, BOLLARD PAVEMENT STRIPING(SEE STRIPING & SIGNAGELEGEND) SIGNFENCE-BARBEDFENCE-DECORATIVECOLLECTING CURB &GUTTERSHEDDING CURB & GUTTERASPHALT PAVEMENTCONCRETE PAVEMENTPAVERSBUILDINGPROPERTY LINESSECTIONSSETBACKSSUBDIVISION BOUNDARYRIGHT OF WAYADJOINING PROPERTIESSAWCUTSTRUCTURESVEGETATIONSLOPE EDGESCENTERLINECUT LIMITFILL LIMITPARK STRIP LANDSCAPING SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. KEYED NOTESCONCRETE RAMP PAVEMENT SECTION PER DETAIL 2/CP501NOT USED6" WHITE SOLID PAINT6" YELLOW SOLID PAINTWHITE ARROW PAINTR1-2 YIELD SIGN18" WIDE RAISED CURB PER DETAIL 4/CP5.01NO PARKING CROSS HATCHING 4" 3' O.C. PAINTED WHITE RETAINING WALL NEW CONCRETE FLATWORK TO NEAREST JOINT PER DETAIL 12/C5.01 PATTERNED CONCRETE PER SLC STANDARDLANDSCAPING BY OTHERSTYPE P ISLAND CURB PER DETAIL 6/CP501INSTALL TRUNCATED DOMES PER ADA STANDARDSLOADING AREA CONCRETE PAVEMENT REPLACEMENT PER DETAIL3/CP501ASPHALT PAVEMENT SECTION REPLACEMENT PER DETAIL 1/CP501 123456789 10 111213141516 ---- | 0 2 : 5 1 P M F R I D A Y 0 7 M A R C H 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 2 . 0 1 S I T E . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C2.02 1 5 5 3 13 79 9 15' 14' 13' R0.5' R2.5' R14.0'13 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD CS/MM GN LA Phase 1 Permit Set 03/07/2025 1.1 03/07/2025 Phase 1 Permit Set SITE PLAN 9 9 3 3 R10.0' 7 R1.8' CONSTRUCTION BOUNDARY YIELD 6 C2.01 5' 3' 14 14 14 14 R27.1' 32' 43' R28.3' 13 R63.5' R84.0' R14.0' eeirir sdsds s jb jb 4257.93 TBC 4257.83 TBC 4258.2 EG 4273.00 BW 4275.86 TW 4258.00 BW 4261.00 BW 4261.00 BW 4258.97 TBC4259.07 TBC 4258.27 TBC4258.11 TBC 4258.44 TBC 4257.96 TBC 4260.32 TBC4258.66 TBC 4258.90 TBC 4259.85 TBC-1.93% -3.45% 4260 42704270 4262 4264 4266 4268 4270 4270 42704270 4260 4270 4258 4258 42624264 42664268 4272 42604259 4260 4259 4260 4258 4259 4261 4260 4270 4262 4264 4266 4268 42724258.60 TBC 4262.00 BW4260.00 BW 4264.00 BW 4261.00 BW 4258.63 TBC 4276.00 TW 4264.91 TW 4273.50 TW 4276.30 TW 4260.11 TW 4260.06 TBC 4273.44 TW 4269.93 BW 4261.00 BW ABBREVIATIONSEC EDGE OF CONCRETEEG EXISTING GRADEFFE FINISH FLOOR ELEVFG FINISH GRADEFL FLOW LINETBC TOP BACK OF CURBTC TOP OF CONCRETETOA TOP OF ASPHALTTW TOP OF WALLBW BOTTOM OF WALL GRADING PLAN LEGENDXXX.XXSPOT ELEVATIONSLOPE OF FINISH GRADECOLLECTING GUTTERSHEDDING GUTTERGRADE BREAKEX. MAJOR CONTOUREX. MINOR CONTOURMAJOR CONTOURMINOR CONTOURPROPERTY BOUNDARYSUBDIVISION BOUNDARYEASEMENT X.XX% 4201420042014200 SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. ---- | 1 1 : 2 4 A M M O N D A Y 0 7 A P R I L 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 4 . 0 1 G R A D I N G . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C4.02 RETAINING WALL RETAINING WALL C4.01SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD AM/MM GN LA Phase 2 Permit Set 04/07/2025 1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set GRADING PLAN ss irir ir sd e s jb jb jb jb 4257.4 EG 4262.24 TBC 4266.40 TW 4264.04 TBC 4267.81 TBC4275.90 TW 4275.84 TW 4265.49 TBC 4265.90 TBC 4270.06 TBC 4272.30 TBC 4273.64 TBC4273.04 TBC 4268.99 TBC 4266.72 TBC 4264.45 TBC 4260.74 TBC 4259.19 TBC 4258.45 TBC 4272.46 BW 4275.77 TW 4276.00 TW 4277.01 TW 4277.56 TW4275.71 TW 4274.24 TW 4272.39 TW 4270.39 TW 4268.39 TW 4264.37 TW 4271.26 TBC 4262.79 TW 4257.6 EG 4257.3 EG 4257.0 EG 4256.7 EG 4256.7 EG 4256.6 EG 4273.56 TBC4276.40 TW 4260.26 TOA 4262.02 TOA 4264.23 TOA 4266.50 TOA 4274.46 TOA 4271.05 TOA 4272.77 TOA -3.1 0 % -9.09 % -4.28% -9.09 % 4260 4270 4258 4258 42624264 42664268 4272 4260 427042704270 425842624264 42664268 427242724272 42744276 4260 4260 4270 4270 4256 4256 4256 4256 4258 42584262 4262 4264 4264 4266 4266 4268 4268 4272 4272 4274 4274 4276 4276 4260 4260 4258 4259 4261 4257.6 EG 4257.7 EG 4261.80 TW 4257.7 EG 4275.95 TW 4272.34 BW 4272.29 BW 4272.22 BW 4272.17 BW 4272.26 BW 4272.59 BW 4273.50 TC 4273.55 TC 4273.60 TC -2.25% -1.29% 4278.00 TW4273.0 EG 4256.7 EG 4258.00 BW4257.7 EG 4257.6 EG 4257.5 EG 4257.3 EG 4257.2 EG 4257.4 EG 4258.00 BW 4258.00 BW 4258.00 BW 4258.00 BW 4257.00 BW 4257.00 BW 4257.00 BW 4257.00 BW 4257.00 BW 4256.7 EG 4256.9 EG 4256.6 EG 4256.5 EG 4256.4 EG ABBREVIATIONSEC EDGE OF CONCRETEEG EXISTING GRADEFFE FINISH FLOOR ELEVFG FINISH GRADEFL FLOW LINETBC TOP BACK OF CURBTC TOP OF CONCRETETOA TOP OF ASPHALTTW TOP OF WALLBW BOTTOM OF WALL GRADING PLAN LEGENDXXX.XXSPOT ELEVATIONSLOPE OF FINISH GRADECOLLECTING GUTTERSHEDDING GUTTERGRADE BREAKEX. MAJOR CONTOUREX. MINOR CONTOURMAJOR CONTOURMINOR CONTOURPROPERTY BOUNDARYSUBDIVISION BOUNDARYEASEMENT X.XX% 4201420042014200 SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. ---- | 1 0 : 3 5 A M M O N D A Y 0 7 A P R I L 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 4 . 0 1 G R A D I N G . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C4.03 MATCHLINE SEE SHEET C4.01 ARENAFFE (FLOOR 3) = 4275.146 FT C4.02SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD AM/MM GN LA Phase 2 Permit Set 04/07/2025 1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set GRADING PLAN e e jb jb ejbjb jb jb jbjbjb jb jb jb jb e jb jbjb jbjb jb jbjbsdsdsdsd sdsd 4260 4260 4270 4270 4256 4256 4256 4256 4258 42584262 4262 4264 4264 4266 4266 4268 4268 4272 4272 4274 4274 4276 4276 4242 4244 4246 4248 4250 4260 424242444246 4248 4252 4254 4256 4258 4250 4248 4252 4254 4256 4256 ABBREVIATIONSEC EDGE OF CONCRETEEG EXISTING GRADEFFE FINISH FLOOR ELEVFG FINISH GRADEFL FLOW LINETBC TOP BACK OF CURBTC TOP OF CONCRETETOA TOP OF ASPHALTTW TOP OF WALLBW BOTTOM OF WALL GRADING PLAN LEGENDXXX.XXSPOT ELEVATIONSLOPE OF FINISH GRADECOLLECTING GUTTERSHEDDING GUTTERGRADE BREAKEX. MAJOR CONTOUREX. MINOR CONTOURMAJOR CONTOURMINOR CONTOURPROPERTY BOUNDARYSUBDIVISION BOUNDARYEASEMENT X.XX% 4201420042014200 SHEET NOTES 1.THE ENGINEER HAS MADE AN EXTENSIVE EFFORT TO LOCATE ALLEXISTING UTILITY LINES FROM RECORDS PROVIDED BY OTHERS ANDEVIDENCE IN THE FIELD. CONTRACTOR TO VERIFY ALL EXISTING UTILITYLOCATIONS PRIOR TO COMMENCING WORK. ---- | 1 0 : 3 6 A M M O N D A Y 0 7 A P R I L 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ C 4 . 0 1 G R A D I N G . D W G 301 W S O U T H T E M P L E SALT LA K E C I T Y , U T A H 8 4 1 0 1 FT20100 MATCHLINE SEE SHEET C4.02 ARENAFFE (FLOOR 3) = 4275.146 PARKING STRUCTUREBY OTHERSFFE (FLOOR 2) = 4274.00' C4.03SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 1 10/31/2024 50% DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIVERDALE, UT 84405PHONE: 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T Y , U T A H 8 4 1 0 1 NO. DATE REVISION2 12/06/2024 100% DD3 02/14/2025 50% CD AM/MM GN LA Phase 2 Permit Set 04/07/2025 1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set GRADING PLAN NO WORK THIS SHEET 6" 6" 6" 5'-7" LANDSCAPE SEE LANDSCAPE DRAWINGS R 3' - 0" R 2 6' - 6" R 2' - 4" R 22 ' - 0" R 14' - 0" R 48' - 6" 18'-8 7/8" 2'-6" 7'-6" 1'-6" 3'-5" 3'-11" 2'-6" 1'-1 3/8" 6 3/8" 6" 6'-2" 10'-1" 58'-7 7/8" 59'- 9" 14 ' - 3 3 / 4 " 19'-6" R 32' - 0" R 60' - 8 1/2" R 48' - 6" 6'-7" PAVED AREA W/OUT SNOW MELTING SYSTEM SEE LANDSCAPE DRAWINGS PAVED AREA WITH SNOW MELTING SYSTEM SIDEWALK REFER TO CIVIL C2.01 SIDEWALK REFER TO CIVIL C2.01 SIDEWALK REFER TO CIVIL C2.01 LANDSCAPE SEE LANDSCAPE DRAWINGS LANDSCAPE SEE LANDSCAPE DRAWINGS LANDSCAPE SEE LANDSCAPE DRAWINGS NORTHWEST PLAZA [NIC] A5.02 5 A5.02 1 A5.01 8 SIM. 5'-6" 19'-6"7'-0" 24'-0 3/4" 3'-0" A5.01 5 SIM. 23'-3" 32'-4 7/8" 3'-0" 5' - 1 0 " 3' - 0 " 23 ' - 0 " 137.79 9'-11" 3'-0" 3'-0" R 50' - 0" R 41' - 0" 2'-6" R 52' - 3" RETAINING WALL SEE CIVIL DRAWINGS EXISTING ARENA STAIRS (NIC) 37 ' - 1 0 1 / 2 " 6 A8.03 6 A8.03 9 A8.03 PR O P E R T Y L I N E CONCRETE RETAINING WALL, SEE CIVIL DRAWINGS EXISTING ARENA STAIRS (NIC) GA T E W A Y A B O V E 1'-0" 7'-6" ENTRY GATEWAY ABOVE SEE: A8.03 2' - 6 " 4'-5" SIDEWALK REFER TO CIVIL C2.01 DRAWINGS 4'-0" 2'-0" 1'-6" 6'-4" 8'-0" 1'-7" WATERPROOFING SYSTEM SEE CIVIL DRAWINGS. NOTE: FLOOR ELEVATIONS AND TOP OF WALL ELEVATIONS SEE CIVIL C401, C402, & C403. 3.7 11.1 11.1 5.8 3.11 11.6 11.1 5.8 11.6 3.11 3.11 11.4 1'-6" 11.4 3.11 5.8 9.2 10.1 10.1 5.19 5.19 10.10 A8.037 A8.038 3.11 6'-6" 13'-0" 6'-6" 6'-6" 1'-4" 10'-0" 2'-6" 2'-6" 8'-9" 7'-5 3/4" 2'-6" 5'-8 1/4" 1'-6" 8'-6" 1'-6" 6'-0 1/4"10'-0" 10'-0" 10.16 10.16 10.16 2'-6"4'-8 1/2" 5'-6" 6'-0" 17'-6" 3'-6" 6'-0" 3'-5" 4'-6" 4'-6" PAVED AREA WITH SNOW MELTING SYSTEM PAVED AREA WITH SNOW MELTING SYSTEM1'-6" 1'-6" A8.04 2 4'-6"4'-6"4'-6" GUARD BOOTH 4 4 3'-0" Ø, CENTERED ON ENTRY PORTAL PILASTER/COLUMN ENTRY PORTAL FOUNDATION PER 9/G S4.10. GC TO COORDINATE WITH ENTRY PORTAL DELEGATED DESIGNER PRIOR TO PROCUREMENT PLACEMENT OF FOUNDATION MATERIAL. 3'-0" Ø, CENTERED ON ENTRY PORTAL PILASTER/COLUMN ENTRY PORTAL FOUNDATION PER 9/G S4.10. GC TO COORDINATE WITH ENTRY PORTAL DELEGATED DESIGNER PRIOR TO PROCUREMENT PLACEMENT OF FOUNDATION MATERIAL. 4 4 17'-8" 11'-1 1" 12'-3 " 7/ 2 / 2 0 2 5 7 : 5 3 : 0 7 A M 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 1/4" = 1'-0"1 CONTROLS - 1 1 3 0" 17'-6 " 17' - 6 " 17 ' - 6 " 18'-8 7/8" 2'-6" 7'-6" 1'-6" 3'-5" 3'-11" 2'-6" 58'-7 7/8" 3'-0" 32'-4 7/8" 3'-0" 7'-6" 6'-4" 11.1 1 10.1 5.19 6'-6" 6'-0 1/ 4" 10'-0" 10.16 10.16 3P E9EDPF 0" 0" 0" 0" 0" 0" 0" 0" 0" 0" Pending "Master Development Agreement" 07/02/2025 Corner of the retaining wall Corner of the Guard Booth Retaining Wall End of the Street Retaining Wall 3.11 11.15.8 10.1 5.19 3.2 5.811.1 10.1 3.11 5.19 5.8 5.19 10.110.1 11.111.4 5.83.11 11.1 11.4 3.2 3.11 3.14 EXIT LANE (2) EXIT LANE (3) ENTRYLANE (1) 5.19 5.19 10.1 11.1 3.11 3.113.2 5.19 ENTRYLANE (1)EXITLANE (2)EXITLANE (3) PARKING GATEWAY - ISOMETRIC2 PARKING GATEWAY - EXIT POV1 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 5/19/2025 3 : 0 4 : 1 6 P M ENTRANCEGATEWAY DETAILS A8.03 Phase 2 Permit Set02/17/25 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA/YC SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/4" = 1'-0"SECTION - GATEWAY ENTRANCE9 1/4" = 1'-0"SECTION - GATEWAY EXIT6 Key Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.013.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.10.1 OVERHEAD VEHICLE ENTRY/EXIT BARRIER BAR - REFER TO A9.1111.1 BARRIER GATE WITH GATE ARMS, TYP.11.4 EXIT STATION, TYP. 1/4" = 1'-0"GATEWAY EXIT7 1/4" = 1'-0"GATEWAY ENTRANCE8 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set2 05/19/2025 Bulletin #2 2 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BYDRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 7/14/2025 8 : 2 6 : 5 6 P M AXONOMETRICS A1.04 Bulletin 412 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP AXONOMETRIC VIEW - EAST1AXONOMETRIC VIEW - SOUTH3 AXONOMETRIC VIEW - WEST4 AXONOMETRIC VIEW - NORTH2 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #5 5 RAMP UP EXISTING VEHICULAR RAMP TO REMAIN RAMP EXISTING VEHICULAR RAMP TO R EMAIN 6" 1A3.05 1A3.07 A3.011 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9 G.7 G.9 1A3.06 10.38% 5.14 5.15 5.1421.2 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 A4.081 ARENA STAIR [NIC] TRASH ROOM [NIC] EXISTING TRANSFORMER EXISTING TRANSFORMER EXISTING TRANSFORMER LOADING AREA UNDER EXISTING ARENA [NIC]LOADING AREA UNDER NEW PLARKING STRUCTURE G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L G.C G.Q 1A3.08 T A4 22'-6"22'-6"27'-9"21'-0"35'-4 1/2"4'-3" 7'-4 1/2" 11'-7 1/2" 8'-5 1/2" 3'-2"30'-0" 51'-8" 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 18'-0" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 10'-6" 194'-0"5'-0" 272'-2" ARENA GRID LINEVERIFY IN FIELD ARENA GRID LINEVERIFY IN FIELD ARENA G R I D L I N E VERIFY I N F I E L D ARENA G R I D L I N E VERIFY IN F I E L D STAIR #3101 5.15 5.14 5.14 43.37' 43.37' 45.37' 44.02' 39.42' 39.42' 45.37' 5.14 5.14 5.14 5.14 5.14 2'-9 1/2 " EXISTING PLAYOFF PRESS CONFERENCE [NIC] ELEVATOR PIT ABOVE, 28'-8" HEADROOM CLEARANCE SEE SHEET 1/A4.05 CONCRETE FLOOR TO BE PARTIALLY REPAIRED UP 7.88% ELECTRICAL ROOM (NIC) ICE ROOM(NIC) CONTRACTOR LABOR WAITING AREA(NIC)CORRIDOR(NIC) GENERATOR(NIC) SERVICE(NIC) SERVICE(NIC) SERVICE(NIC)CONTROL(NIC)CONTROL ROOM(NIC) TRUCK PARKING AREA(NIC) SERVICE(NIC) LOADING RAMP(NIC) TRUCK PARKING AREA(NIC) MECHANICAL ROOM(NIC) ELEVATOR #3 FOOTPRINT OF OPEN PARKING GARAGE ABOVE 21.1DSP DSP 01 A4.101 100 S N 400 W PROPERTY LINE PARKING STRUCTURE FOOTPRINT ABOVE 21.2FEC FOOTINGS BELOW GRADE SEE STRUCTURAL G.5.2 G.8.2 G.8.6 G.C.4 LIMIT OF SCOPE OF WORK EXISTING BUILDING TO REMAIN (NIC) LIMIT OF SCOPE OF WORK LIMIT OF SCOPE OF WORKEXISTING BOLLARDS TO REMAIN EXISTING BOLLARDS TO REMAIN WA4 4'-7" 4 ' - 7 " 4 ' - 7 " 4 ' - 7 " 16'-7" 12'-10" 4'-3" 4'-3" 4'-3" 6'-6" 4'-7" 4'-7" 4'-1 1/2" 3'-10" 3'-10" 3'-10" 1'-0" 3'-5" 3'-5" 9" 1'-7" 5.8 5.8 MAX. 2% SLOPE.MAX. 4.99% SLOPE IN DIRECTION OF TRAVEL MAX. 2% SLOPE WHERE DOOR TBD RELOCATED CATCH BASIN'S APPROX. NEW LOCATION CONC. OVERPOUR TO MAINTAIN 1% SLOPE TOWARD RELOCATED CATCH BASIN 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 14'-10" MINIMUM FOR TRUCK MANUEVERINGHEADROOM DIAGRAM TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/7/2025 2 : 1 2 : 2 3 P M PARKING PLAN -LOWER LEVEL B1(BASEMENT) A2.00 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 3/32" = 1'-0"PARKING PLAN - LOWER LEVEL B1 (BASEMENT)1 Key Value Keynote Text5.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.21.1 FIRE SPRINKLER RISER/STANDPIPE - REFER TO DETAIL 12/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02 NREFERENCETRUENORTH FOOTPRINT OF OPEN PARKING GARAGE ABOVE FOOTPRINT OF OPEN PARKING GARAGE ABOVE EXISTING WALL TO REMAIN EXISTING WALL TO REMAIN EXISTING WALL TO REMAIN EXISTING WALL TO REMAIN PARKING STRUCTURE FOOTPRINT NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UPUPUP DN UP RAMP U P6.62% RAMP D N 6.62%RAMP U P 6.62% 6" 6" UP 1A3.05 1A3.07 A3.031 7'-6" 8'-2" 10 @ 9'-0 " = 9 0 ' - 0 " 10 1/2"17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6" G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 3 1 1-16 1-9 10 1 13 1A-281B-35 1A3.06 2'-8 1/2"8'-6"2 @ 9'-0" = 18'-0"4 @ 8'-6" = 34'-0"17'-0 1/2"1 10'-0"2'-0"10'-0" OPEN TO BELOW 1C-7 22'-9" 24'-1" 18'-5" 1 2 5 1 ELEVATOR & STAIR #1 STAIR #2A4.0617 1/2" 10'-0" 2'-0" 10'-0" PEDESTRIAN BRIDGE TO ARENA OVERHEAD 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 18'-0" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" UP DN UP DNDNUP FEC FEC FEC 8" 5'-8" 6.82% 4'-5" 13'-1" 5'-4" 16'-9 1/2"23'-10"2 @ 8'-6" = 17'-0" 1'-4" 8" 18'-5" 2'-8 1/2" 8'-0" 8 ' - 0 " 9 ' - 6 " 10 @ 9'-4 " = 9 3 ' - 4 " 8'-0" 1 ' - 2 " 4 ' - 0 " 34'-4 1/2" 18'-4 1/2"4'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-0"8'-0"8'-0" 4'-0" 4'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 11'-1 1/2"6'-0"11'-9" 6'-0" 12'-1" 6'-0" 10'-5" 6'-0" 12'-0" 6'-0" 7 @ 9'-0" = 6 3 ' - 0 " 3'-4" 18'-5" 24'-0" 10'-10" 3 @ 9'-0" = 2 7 ' - 0 " 8" 24'-1" A3.021 A3.041 22.2 21.2 5.14 5.14 5.14 5.15 5.14 5.15 5.14 5.15 5.5 5.5 ELEV. #2 ELEV. #1 1'-0" 7'-4 1/2" 5'-6" 5'-6" 5'-6" 5'-6" 5'-6" 5'-6" 1'-3" 1'-3" 1'-0" 5'-1" 12A1.06 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 2A4.17 1A6.06 ARENA STORAGE ROOM BELOW [NIC] R 14' - 9"R 14' - 11 1/2" A4.165 G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A421'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2"121'-3" 210'-0" ARENA GR I D L I N E ARENA GRID LINE 1'-3 1/2" 2'-0" 2'-0" ELECTRICALROOM102 FOR BRIDGE CONNECTION, SEE SHEET A4.15 ARENA [NIC] A4.171 FOR GUARD BOOTH, SEE SHEET A8.04 FIRE RISERROOM103UTILITY ROOM104 5.5 5.5 STAIR #3101 PROJECT DATUM: ELEV. 4200 = ELEV. 0 9.29.2 9.2 9.2 9.2 74.00' 74.00'74.00'74.50'74.00' 74.00' 79.96' 79.96'79.96' 79.96'1A0.03 5.8 5.155.14 5.155.14 5.14 9.10 A5.017 5.14 5.14 5.14 5.15 9.10 9.10 9.6 9.6 9.10 9.10 9.10 A5.115 WA5 WA1 WB2 WC2 WA1 WB1 WA4 WA2 WB1 22.2 15'-4 1/2 " ELEVATOR #3 ROOF DECK 1'-1" 6'-5" 5 ' - 3 " 1 ' - 3 " 9 1/2" 5'-3" 4'-6" 4'-6" 5'-3"ASSUMED P R O P E R T Y L I N E 2'-10" 18'-6" 9'-6 1/2" 2'-1" A4.102 02 05 03 04 10 11 17'-6" 17'-6" 17'-6" WA5 10" 8'-0" 10'-0" PROPERTY LINE G.5.2 G.8.2 G.8.6 21.1 5.2 21.1 07 3'-7 1/2" 6'-1 1/2" 6'-3 1/2" 06 09 4'-2" SEE SHEET A8.02 FOR CONTINUATION REFER TO A 2.02A FOR LOADING DOCK COVER 5'-0" 4'-6" 5'-0" 1 WA1WC2 WB2 WB2 WB2 WA2 WA3 WB1 WA4WA4 WA1 2'-3 1/2"2'-3 1/2" EXISTING VEHICLE RAMP BELOW EXISTING VEHICLE RAMP BELOW ø 5'-0" 18'-6"10'-8"11'-0 1/2" 07 79.96' 79.96' 79.96' A4.085 A4.012 A4.166 2 22.12 22.12 WC1 1 1 1 1 1 75.79' 78.17'81.75' 79.96' 74.00' 1 1 74.00' 74.00' 73.00' 74.80' 77.18'80.75' 78.96' 84.12' 74.00' 1 3 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD OR HIGH IMPACT BOLLARD, SEE ORDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.015/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 10/A7.02 G.5G.4 G.9G.D G.FG.G G.NG.O G.E G.HG.IG.JG.KG.LG.M G.P G.7.5G.5.5G.6 G.8HEADROOM DIAGRAM LEGEND8'-2" MIN. HEADROOM AT ACCESSIBLE PARKING ROUTES LEADING TO AND FROM VAN ACCESSIBLE SPACES AND THE SPACE ITSELF.ALL OTHER AREAS WHERE CARS MAY PARK OR CIRCULATE AND PEDESTRAIN MAY TRAVEL WITHIN THE PARKING LEVELS MUST HAVE 7'-0" MIN. CLEAR HEADROOM. SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 5/30/2025 4 : 1 3 : 4 6 P M PARKING PLAN -LEVEL 1 A2.01 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 11 Key Value Keynote Text5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02,8/A7.02 - REFER TO STRUCTURAL DWGS.5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.1 FIRE SPRINKLER RISER/STANDPIPE - REFER TO DETAIL 12/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #13 05/30/2025 Bulletin #3 UP DN UP DN RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N6.62% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 14 2A-312B-35 1-9 1-16 1 5 1 4 1A3.06 17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-10 1/2" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 1'-2 1/2 " 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0"3'-4 1/2"15'-0" 3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"2'-10"18'-4 1/2" A4.013ELEVATOR & STAIR #1 STAIR #2A4.062 1B- FEC UPDN UPDN FIRE RISERROOM201 9 @ 9'-0 " = 8 1 ' - 0 " 91.42' 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0" 10'-10" 6'-0" 12'-0" 23'-6" 11" 10'-11" 6'-0" 12'-0" 6'-0" 3'-5" 3'-4"3'-4 1/2" 6'-0"11'-9"6'-0" A3.021 A3.041 5.15 5.14 5.145.155.145.15 5.14 9.2 22.2 21.2 9.2 9.2 22.2 9.2 ELEV. #2 ELEV. #1 A3.011 7.3 12A1.06 A4.181 2'-8" 4 ' - 6 " 4'-6" 4'-6" 4'-6" 34'-4 1/2" 9'-2" 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 1'-4" 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 2A4.17 1A6.06 A4.086 ARENA LOBBY RAMP [NIC] ARENA STAIR [NIC] ARENA GARAGE [NIC] ARENA EMPLOYEE LOBBY [NIC] 1'-0" R 14' - 9"R 14' - 9" 2'-0" R 14' - 8 1/2"R 14' - 8 1/2" 1'-0" 1'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" ARENA G R I D L I N E , VERIFY I N F I E L D ARENA GRID LINE, VERIFY IN FIELD 4'-0" FEC FEC A2.02A1 UP DN UP DN 5.55.5 5.5 PROJECT DATUM: ELEV. 4200 = ELEV. 0 9.2 9.2 79.96' 90.96' 91.41' 89.92' 89.92'89.92' 89.31' 87.11' 89.92' 82.47'93.84' 21.2 5.5 5.8 5.15 5.15 5.14 5.14 5.14 5.14 9.69.10 9.10 5.8 9.10 9.10 5.14 5.14 5.14 9.10 9.10 9.10 9.10 9.10 9.10 9.10 1'-2" WA1 WA1 WB1 WA1 WA4 WC1 12 NEW ELEVATOR ASSUMED P R O P E R T Y L I N E 2'-10" 5'-6" 5'-6" 8'-5"9'-2" 1 A4.103 13 STORAGE AREA BELOW(NIC) 8'-0" PROPERTY LINE STORAGE AREA BELOW(NIC) SEE SEPARATE PERMIT FOR DOORS AND WALLS AT ARENA CONNECTION POINT 3" 2'-0"4'-0" 2'-0" 2'-0"4'-0" G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2"4" LOADING DOCK COVER 2.49% 1.60% WA4 WA4 WA1 WA2 WA3 WA4 WC1 WC1 WC1 WC1 WC1 WC1 CC1 FD1 FD1 9" 16'-3" A7.019 5'-3" 1A4.199A4.18 31'-3"11'-0" 11'-3 1/2" 38'-11" 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 8 : 2 1 P M PARKING PLAN -LEVEL 2 A2.02 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 21 Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.7.3 ELASTOMERIC COATING OVER ROOM BELOW - SEE SPECIFICATION9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS. NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN 1A7-110.PH3 RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 3A-333B-35 1-9 1-16 1 5 1 4 1A3.06 A4.014ELEVATOR & STAIR #1 STAIR #2A4.063 2B- FEC UP DN UP DNUPDN UPDN FIRE RISERROOM302 PEDESTRIAN BRIDGE TO ARENA 16 @ 9'-0 " = 1 4 4 ' - 0 " 18'-4 1/2" 3'-0" 3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6" 2'-10" 18'-4 1/2" 3'-4 1/2 " 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-4 1/2"3'-4" 3'-5" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 9 @ 9'-0 " = 8 1 ' - 0 " 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 16'-11" 12'-0" 6'-0" 18'-4" 10'-10" 6'-0" 12'-0" 6'-0" A3.021 A3.041 9.2 9.2 5.5 9.2 9.2 22.2 21.2 9.2 5.15 5.14 5.1421.222.2 5.14 5.15 5.155.145.15 ELEV. #2 ELEV.#12A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA LOBBY RAMP [NIC] ARENA EMPLOYEE LOBBY [NIC] ARENA FIRST AID [NIC] 1'-0" R 14' - 9"R 14' - 9" 2'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" A3.011 ARENA G R I D L I N E , VERIFY I N F I E L D ARENA GRID LINE,VERIFY IN FIELD ELECTRICALROOM301 A4.184 10'-6" 2" 5.5 5.55.5 PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 9.2 95.96'95.96' 96.42' 97.61' 99.81' 101.46' 100.19' 101.46' 94.46' 102.96' 104.38' 93.92' FEC 5.145.15 FEC 9.10 9.10 9.10 9.10 9.10 9.10 5.15 5.14 5.14 5.14 5.14 5.15 5.14 9.10 5.14 5.14 5.8 5.8 9.10 9.10 9.10 9.10 9.10 WA1 WA4 WD1 WA1 WB1 ASSUMED P R O P E R T Y L I N E 2'-10" 4'-0"2'-0" 4'-0" 4'-6" 4 ' - 6 " 4 ' - 6 " 4 ' - 6 " 2 ' - 8 " 3'-7 1/2" 5'-8 1/2" 5'-8 1/2" 15'-0"PROPERTY LINE 15 14 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 4" WB1 WB1 WA3 WA2 WD1 WA1 WA1 WA1 WA1 WA1 ? WA1 WA1 FD1 FD1 9'-4 1/2" A7.019 5'-3" 10'-9 1/2"7'-2" 22.12 22.12 1A4.199A4.18 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX 1/8" = 1'-0"PARKING PLAN - LEVEL 31 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 8 : 5 4 P M PARKING PLAN -LEVEL 3 A2.03 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN DN UP RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 4A-334B-35 1-9 1-16 1 5 1 4 1A3.06 17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-10 1/2" A4.015ELEVATOR & STAIR #1 STAIR #2A4.064 3B- FEC UP DN UP DNUPDN UPDN FIRE RISERROOM401 18'-4" 3'-5" 16 @ 9'-0 " = 1 4 4 ' - 0 " 18'-5" 18'-4 1/2"3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"2'-10"18'-4 1/2" 3'-5" 3'-4 1/2"3'-4" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 9 @ 9'-0 " = 8 1 ' - 0 " 6'-0"11'-9"6'-0"18'-4 1/2"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 10'-10" 6'-0" 12'-0" 6'-0" 6'-0" 12'-0" 6'-0" 10'-11" A3.021 A3.041 9.2 22.221.25.15 9.2 9.2 5.15 5.14 9.10 9.2 5.155.145.15 22.2 9.2 5.14 7.3 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 6'-9 1/2" 18'-4" 5'-4 1/2" 8 ' - 0 " 8'-6" 8 ' - 6 " 13 @ 9'- 0 " = 1 1 7 ' - 0 " 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] ARENA STAIR [NIC] 5.5 2'-0" 1'-0" 1'-0" R 14' - 8 1/2"R 14' - 8 1/2" 2'-0" R 14' - 9"R 14' - 9" 5.2 G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" A3.011 ARENA G R I D L I N E , VERIFY I N F I E L D ARENA GRID LINE,VERIFY IN FIELD 1'-0" 3'-6" 5.5 5.55.5 5'-6" 5 ' - 6 " 4 ' - 2 " 15'-0" PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 9.2 106.46' 106.46' 108.11' 110.31' 111.96' 111.96' 113.46' 104.96' 106.46' 114.88' 104.43' 5.15 5.14 5.15 5.155.14 5.14 5.14 5.155.15 21.2 FEC FEC 5.14 5.14 5.14 5.14 5.8 5.8 9.10 9.10 9.10 9.10 9.10 9.10 9.6 9.6 9.10 9.10 9.10 WA1 WA1 WB1 WA4WA1 ELEV. #2 ELEV. #1 2'-10" ASSUMED P R O P E R T Y L I N E 4'-0"2'-0" 4'-0" 4'-0" 5'-2" 7'-2" PROPERTY LINE 16 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2"4" WA1 WA4 WA2 WA3 WA2 22.12 22.12 1A4.19 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALL WD3 12" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 9 : 2 4 P M PARKING PLAN -LEVEL 4 A2.04 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 41 Key Value Keynote Text5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02,8/A7.02 - REFER TO STRUCTURAL DWGS.5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.7.3 ELASTOMERIC COATING OVER ROOM BELOW - SEE SPECIFICATION9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN RAMP U P6.11% RAMP D N 6.11%RAMP U P 5.56% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 5A-335B-35 1-9 1-16 1 5 1 4 1A3.06 10 1/2"17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-10 1/2" A4.016ELEVATOR & STAIR #1 STAIR #2A4.065 4B- FEC UP DN UP DNUPDN UPDN FIRE RISERROOM502 121.92' 16 @ 9'-0 " = 1 4 4 ' - 0 " 18'-5" 18'-4 1/2"3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6" 2'-10" 18'-4 1/2" 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-5" 3'-4 1/2" 3'-4 1/2" 11" 17'-6" 34'-10" 9 @ 9'-0 " = 8 1 ' - 0 " 34'-11" 17'-6" 9 @ 9'-0 " = 8 1 ' - 0 " 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 6'-0" 12'-0" 6'-0" 10'-11" 18'-5" 6'-0" 12'-0" 6'-0" 10'-10" 2'-0" 2'-0" A3.021 A3.041 5.15 5.14 5.14 9.2 22.2 21.2 5.14 5.14 22.221.2 9.2 9.2 9.2 9.2 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 2A6.03 3A6.01 5'-4 1/2" 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] R 14' - 8 1/2"R 14' - 8 1/2" R 14' - 9"R 14' - 9" 1'-0" 1'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 A3.011 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" ARENA G R I D L I N E , VERIFY IN F I E L D ELECTRICALROOM501 5.55.5 5.5 2" 10'-6" PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 9.2 116.96'116.96' 117.42' 118.61' 120.81' 122.46' 122.46' 123.96' 115.46' 125.34' 114.93' 116.43' 5.8 5.8 122.92' 5.15 5.15 5.15 5.14 5.14 5.14 5.14 5.14 5.145.15 5.15 5.149.10 9.10 9.10 9.10 9.109.10 WA1 WA1 WB1 WA1 WA4 WB1 ELEV. #2 ELEV. #1 2'-10" ASSUMED P R O P E R T Y L I N E 4'-0" 4'-0" 2'-0" 4'-0" PROPERTY LINE 7'-2" 18 17 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3"7'-4 1/2"11'-7 1/2"8'-5 1/2"3'-2"2'-10"16'-11 1/2"10'-2 1/2"5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2"4" WB1 WB1 WB1 WA2 WA2 WA3 ARENA GRID LINE, VERIFY IN FIELD 22.12 22.12 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX 1/8" = 1'-0"PARKING PLAN - LEVEL 51 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 3 9 : 5 3 P M PARKING PLAN -LEVEL 5 A2.05 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set UP DN RAMP U P 6.11% RAMP D N 6.11%RAMP U P5.56% RAMP DN5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 5 1 4 1 1-16 1-9 9 1 16 1 6A-336B-35 1-9 1-16 1 5 1 4 1A3.06 11"17'-6"23'-9"17'-6"2'-0"17'-6"23'-9"17'-6"1'-11" A4.021ELEVATOR & STAIR #1 STAIR #2A4.066 5B- T.D. UP DN UP DNUPDN UPDN FIRE RISERROOM602 132.42' 126.92' 16 @ 9'-0" = 1 4 4 ' - 0 " 18'-4 1/2"3'-0"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"8'-6"8'-6"8'-0"4'-0" 3'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"2'-10" 16 @ 9'-0" = 1 4 4 ' - 0 " 3'-5"3'-4 1/2" 3'-4 1/2"3'-4" 17'-6" 34'-10" 9 @ 9'-0" = 8 1 ' - 0 " 34'-11" 17'-6" 10" 9 @ 9'-0" = 8 1 ' - 0 " 6'-0" 12'-0" 16'-11"6'-0"11'-9"6'-0"18'-5"6'-0"11'-9"6'-0" 18'-4 1/2"6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 10'-10" 6'-0" 12'-0" 6'-0" A3.021 A3.041 5.15 5.15 9.2 21.2 9.2 9.2 9.2 9.2 22.2 9.2 5.15 5.15 5.15 EDGE OF FLOOR ABOVE 7.3 20'-6" 6'-11" 32'-4 1/2" 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] R 14' - 9"R 14' - 9" 2'-0" 1'-0" G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.K G.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" A3.011 ARENA G R I D L I N E , VERIFY I N F I E L D ELEVATORMACHINEROOM601 5.5 5.5 5.5 5.5 5.5 5.5 5'-3" PROJECT DATUM: ELEV. 4200 = ELEV. 0 2'-0" 2'-0" 127.46'127.46' 127.92' 129.11' 131.31' 132.96' 132.96' 132.96' 134.46' 125.96' 135.85' 125.45' 5.8 5.8 5.15 5.15 5.15 5.15 9.6 9.10 9.10 9.10 9.10 9.10 9.10 WA1 WA4 WA4 WA1 WA1 WB1 ELEV. #2 ELEV. #1 ASSUME D P R O P E R T Y L I N E 2'-10" 4'-0"4'-0" 2'-0" 4'-0"2'-2" 7" PROPERTY LINE 20 19 G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3"7'-4 1/2"11'-7 1/2"8'-5 1/2"3'-2"2'-10"16'-11 1/2"10'-2 1/2"5'-0"121'-3" 4" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2" WA2 WA4 WA4 WA3 WA2WA1 1'-2 15/16"1'-5" 5.12 ARENA GRID LINE, VERIFY IN FIELD 22.12 22.12 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR LE N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPE PAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 4 0 : 2 5 P M PARKING PLAN -LEVEL 6 A2.06 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP 1/8" = 1'-0"PARKING PLAN - LEVEL 61 Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.7.3 ELASTOMERIC COATING OVER ROOM BELOW - SEE SPECIFICATION9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.6 ACCESSIBLE STALL STRIPING - REFER TO DETAIL 3/A5.019.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS.22.12 PIPES - REFER TO 4/7.01, 5/7.02, 6/7.01, 7/7.02 FOR PIPE PROTECTION DETAILS NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set DN DN RAMP U P6.11% RAMP D N 6.11% RAMP D N5.56% 6" 1A3.05 1A3.07 A3.031 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9 9 1 16 1 7A-33 1-9 1-16 1 5 1 4 1A3.06 11"17'-6"23'-9"17'-6" OPEN TO BELOW A4.022ELEVATOR & STAIR #1 STAIR #2A4.067 6B- 5 1 4 1 1 6 7B-11 FEC FEC FEC UP DN UP DN UPDN 137.42' 8 @ 9'-0" = 7 2 ' - 0 " 19'-5" 3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"3@ 8'-6" = 25'-6"3'-6" 4'-8"3 @ 8'-6" = 25'-6"3 @ 9'-0" = 27'-0"9 @ 8'-6" = 25'-6"1'-10" 3'-4 1/2" 16 @ 9'-0 " = 1 4 4 ' - 0 " 3'-4 1/2" 10'-10" 6'-0" 12'-0" 6'-0" 10'-11" 6'-0" 12'-0" 6'-0" 2'-0"6'-0"11'-9"6'-0"18'-5" 6'-0"11'-9"6'-0"6'-0"11'-9"6'-0" 9 @ 9'-0 " = 8 1 ' - 0 " A3.021 A3.041 3'-7 1/2"6 @ 9'-0" = 54'-0" 4'-4 1/2"17'-0"9.2 21.2 22.2 21.2 9.2 9.2 A3.011 1'-0" 3'-4 1/2"31'-9" 1A6.01 2A6.01 1A6.02 2A6.02 3A6.02 1A6.03 3A6.01 3A6.03 1A6.04 2A6.04 3A6.04 1A6.05 2A6.05 3A6.05 3A6.06 2A6.06 1A6.06 ARENA [NIC] R 14' - 9"R 14' - 9" 2'-0" 1'-0" 4'-6" SNOW PILING AREA228 SQ. FT. SNOW PILING AREA133 SQ. FT G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L 1A3.08 T A4 21'-0" 8'-0" 19'-9" 18'-0" 9'-0" 2'-9 1/2" 15'-2 1/2" 18'-0" 4'-6" 22'-6" 27'-9" 21'-0" 22'-6" 210'-0" ARENA G R I D L I N E ARENA GRID LINE CANOPY ROOF ABOVE CANOPY ROOF ABOVE 5.5 5.55.5 5.5 5.5 PROJECT DATUM: ELEV. 4200 = ELEV. 0 9.2 137.96'137.96' 135.46' 143.46' 143.46' 143.46' 141.81' 139.61' 9.10 9.10 9.10 9.10 9.10 9.10 9.10 9.10 9.10 5.14 A5.017 9.10 9.10 WA1 WA4 WA1 WA1 WA4 9.2 ELEV. #2 ELEV. #1 ASSUMED P R O P E R T Y L I N E 2'-10" 22.2 A.D. R 14' - 8 1/2" O.D.+2" A.D.O.D.+2" G.5.2 G.8.2 G.8.6 21'-0"8'-3"27'-1 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2" 2'-10"16'-11 1/2"10'-2 1/2" 5'-0"121'-3" 3'-7 1/2" 5'-8 1/2" 5'-8 1/2" 17'-6" WA3 WA2 WA1 WA2 WA3 WA1 1'-0 1/2"2" 1'-0" SNOW PILING AREA447 SQ. FT 1.NOVERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS.C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE.5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS. GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPE GRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPE STRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATION STEP SYMBOL AT CONCRETE CURBSEE PARKING BOLLARD, SEEDETECTABLE WARNING / TRUCATED DOME, SEE DIAGONAL STRIPING, SEE A5.01 - A5.02 CLEAR L E N G T H O F P A R K I N G S P A C E CLEAR WIDTH OF PARKING SPACE DELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEE FLOOR ELEVATION DATUM:4200.00'=00.00' 6/A5.01 5/A7.02 8/A5.01 ADA RESERVED IDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS 1/A9.13 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM 12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEM WA3 6" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XX 1/8" = 1'-0"PARKING PLAN - LEVEL 71 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 KEYNOTES 3D LEVEL PLAN PLAN NOTES WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 4/4/2025 4 : 4 1 : 0 2 P M PARKING PLAN -LEVEL 7 A2.07 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP Key Value Keynote Text5.5 GALVANIZED BARRIER CABLES - REFER TO DETAIL A7.065.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.9.2 PAINTED DIRECTIONAL ARROWS - REFER TO DETAIL 1/A5.029.10 STANDARD STALL STRIPING - REFER TO DETAIL 1/A5.0121.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.0222.2 EMERGENCY FLOOR DRAIN, REFER TO PLUMBING DWGS. NREFERENCETRUENORTH NO. DATE REVISION1 10/31/2024 50% Design Development2 12/06/2024 100% Design Development3 02/14/2025 50% Construction Documents1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set 6"1.NO VERTICAL OBSTRUCTION (COLUMN, WALL, PIPE, BOLLARD, EQUIPMENT OR SIMILAR) WHICH EXTENDS VERTICALLY ABOVE THE FLOOR LEVEL SHALL BE LOCATED:A. WITHIN ANY PARKING SPACE'S CLEAR DIMENSIONS, IF LOCATED ALONG THE SIDE CENTERLINE LENGTH OF A PARKING SPACE, THE OBSTRUCTION MUST BE OFFSET A MINIMUM OF 1'-0" OF THE PARKING SPACE WIDTH AS INDICATED IN THE PLANS. SEE STRIPING DETAILS.B. WITHIN ANY ACCESSIBLE VEHICLE SPACE'S ACCESS AISLE, ACCESSIBLE PATH OF TRAVEL OR ACCESIBLE PASSENGER LOADING ZONE'S CLEAR DIMENSION, AS INDICATED IN THE PLANS .C. WITHIN ANY PEDESTRIAN CIRCULATION PATH AND 30" MIN. CLEAR ACCESS PATH FOR FIRE EXTINGUISHERS OR STANDPIPES, OR ACCESSIBLE PATHS OF TRAVEL. SEE EGRESS PLANS FOR ACCESSIBLE PATH OF TRAVEL DIAGRAMS.D. NO OSBTRUCTIONS WITHIN DRIVE AILES.2. ALL PARKING SPACES SHALL BE DOUBLE STRIPED EXCEPT FOR ACCESSIBLE SPACES WHICH SHALL BE SINGLE STRIPED. SEE STRIPING DETAILS.3. SEE A5.01 AND A5.02 FOR STRIPING DETAILS.4. IDENTIFICATION LABELING IS ILLUSTRATED AS SOLID BLACK TEXT AND ACTUAL PAINTED FLOOR GRAPHICS ARE ILLUSTRATED AS OUTLINED TEXT. REFER TO GRAPHIC LEGEND BELOW FOR EXAMPLE .5. SEE SHEET A7.01 FOR PIPE GUARD DETAILS. VERIFY LOCATIONS AS REQUIRED IN FIELD.6. SEE HEADROOM DIAGRAM FOR MINIMUM REQUIRED VERTICAL CLEARANCE ABOVE PARKING AREAS FOR ALL HORIZONTAL ELEMENTS.GRAPHIC ILLUSTRATION OF BACK OF SPACE - DO NOT STRIPEGRAPHIC REPRESENTATION OF CENTERLINE OF VEHICLE SPACE, SEE DETAILS FOR SPECIFIC STRIPING LAYOUT - DO NOT STRIPESTRIPING AND SYMBOL LEGEND:(REFER TO STRIPING AND OTHER DETAILS)GRAPHIC REPRESENTATION OF FRONT OF VEHICLE SPACE - DO NOT STRIPE, SEE PLANS FOR ORIENTATIONSTEP SYMBOL AT CONCRETE CURBSEEPARKING BOLLARD OR HIGH IMPACT BOLLARD, SEE ORDETECTABLE WARNING / TRUCATED DOME, SEEDIAGONAL STRIPING, SEE A5.01 - A5.02CLEAR LENGTH OF PARKING SPACECLEAR WIDTH OF PARKING SPACEDELINEATOR POSTSEE SIGNAGE BOLLARD, FLOOR MOUNT SEEFLOOR ELEVATION DATUM:4200.00'=00.00'6/A5.015/A7.028/A5.01ADARESERVEDIDENTIFICATION LABELING OF VEHICLE SPACE - DO NOT STRIPEPAINTED FLOOR GRAPHIC SEE STRIPING DETAILS1/A9.1310/A7.0221'-0"8'-0"19'-9"18'-0"9'-0"2'-9 1/2"15'-2 1/2"18'-0"4'-6"22'-6"27'-9"21'-0"22'-6"21'-0"35'-4 1/2"4'-3" 7'-4 1/2"11'-7 1/2"8'-5 1/2" 3'-2"30'-0"5'-0"121'-3"210'-0"ARENA GRID LINE,VERIFY IN FIELDARENA GRID LINE,VERIFY IN FIELD 2%2%2%2%2%2%PROJECT DATUM: ELEV. 4200 = ELEV. 0 137.96'137.96'139.61'141.81'158.04'158.04'143.46'21.221.2FECFEC ASSUMED PROPERTY LINE2'-10"ARENA (NIC)G.5.2 G.8.2 G.8.6CC1CC1CC1A7.019A7.019OPEN TO BELOW Keynote LegendKey Value Keynote Text21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02 1/8" = 1'-0"1 CANOPIES ROOF PLAN NREFERENCETRUENORTH SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTES3D LEVEL PLANPLAN NOTES WALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 2:14:30 PM CANOPIES ROOFPLANA2.0812 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EPNO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit SetCANOPY ABOVECANOPY BEAM ABOVE CANOPY COLUMNS SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 6/15/2025 1 1 : 5 2 : 1 7 P M AXONOMETRICS A1.04 Phase 2 Permit Set12 / 06 / 2024 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E TD/DA SB 61 S 4 0 0 W . SALT L A K E C I T Y , U T A H 8 4 1 0 1 EP NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set ROOF CANOPIES 3D VIEW LOOKING EAST ROOF CANOPIES 3D VIEW LOOKING SOUTH ROOF CANOPIES 3D VIEW LOOKING FROM ELEVATOR LOBBY ROOF CANOPIES 3D VIEW LOOKING AT ELEVATOR LOBBY 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7159'-5"HIGH ROOF 159'-5"HIGH ROOFG.D G.E G.F G.G G.M G.N G.O10'-2"10'-10"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"116'-0 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.585'-5"2A6.023A6.021A6.032A6.03 3A6.06 2A6.06G.H G.I G.J G.KG.L G.QT149'-3"LOWER ROOF 149'-3"LOWER ROOFLOADING DOCK AREA 5.1464'-5"10'-2 1/2"20'-5"GRADE PLANE = 63'-9 1/2"74'-7 1/2"74'-7 1/2"5.14 5.5 5.5 5.155.14 5.55.55.5 5.155.155.155.15 5.145.85.8 5.145.5 5.145.12 5.163.14 3.14LOADING DOCK AREA5.12 5.1661.10'3.145.16 5.165.175.17 5.12 5.205.20 5.14 5.19STAIR #3STAIR #1 5.321.2 5.19 10'-2"5'-4"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"GRADE PLANE = 63'-9 1/2"GRADE PLANE = 63'-9 1/2"10.10WA15'-0"5'-6"5'-0"5'-6"5'-0"5'-6"5'-0"5'-6"5'-0"5'-6"5'-0"3'-6"OPENOPENOPENOPENOPENOPENOPENOPENOPEN 112'-1"2'-5 3/4" 5'-0"3'-6"3'-0 1/2"TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:31 PM BUILDINGELEVATIONSA3.0112 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"WEST ELEVATION1 Keynote LegendKey Value Keynote Text3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.10.10 BUILDING ADDRESS21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 1 74'-0"LEVEL 185'-11"LEVEL 2 85'-11"LEVEL 296'-5"LEVEL 3 96'-5"LEVEL 3106'-11"LEVEL 4 106'-11"LEVEL 4117'-5"LEVEL 5 117'-5"LEVEL 5127'-11"LEVEL 6 127'-11"LEVEL 6138'-5"LEVEL 7 138'-5"LEVEL 7G.1G.2G.5G.5.9G.7G.9 10'-10"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"1A6.042A6.04 1A6.06G.6G.7.9G.8 G.4G.7.5A4149'-3"LOWER ROOF 149'-3"LOWER ROOFLOADING DOCK AREA 5.14VERIFY IN FIELD38'-5"1'-5"3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0" 2'-0" 3'-6" 5'-0"8 1/2" TYP. 1" TYP.GRADE PLANE = 63'-9 1/2"10'-2 1/2"22'-1 1/2"74'-7 1/2"5.145.14 5.15 5.155.55.5 5.145.195.19GUARD BOOTH 3.143.14 5.125.12 LOADING DOCK AREA 3.14STORAGE (NIC)ASSUMED PROPERTY LINE2'-10"ARENA GRIDLINE VERIFY IN FIELD LOADING DOCK AREALOADING DOCK AREALOADING DOCK AREAARENA (NIC)ARENA (NIC)ARENA (NIC)ROOF DECKROOF DECKROOF DECK8.1STAIR #1 ENTRY/EXIT 20'-5"5.3 5.145.17 5.1721.2 5.16 5.20 100 S105'-10 1/2"30'-7 1/2"11'-11"10'-6"10'-6"10'-6"10'-6"10'-6"10'-10"105'-10 1/2"74'-7 1/2"5.20 5.165.215.17G.5.2G.8.2G.8.6GRADE PLANE = 63'-9 1/2"WA1 5'-0"OPENOPENOPENOPENOPENOPENVERIFY IN FIELD7'-11 1/4"8.5 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:36 PM BUILDINGELEVATIONSA3.0212 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"NORTH ELEVATION1 Keynote LegendKey Value Keynote Text3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.8.1 METAL ROLL DOWN GATE, SEE DETAILS A5.11.8.5 WOVEN WIRE FENCE DOOR - REFER TO DETAIL 8/A5.10.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7159'-5"HIGH ROOF G.P G.DG.EG.FG.GG.MG.NG.O 10'-2"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.515'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"1A6.053A6.05 G.HG.IG.JG.KG.L G.CG.Q T149'-3"LOWER ROOF PEDESTRIAN BRIDGE5.3 10'-2"74'-7 1/2"20'-5"5'-0"2'-5" 3'-6"5'-0"2'-5" 3'-1"5'-0"5'-0" 2'-0" 3'-1"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"3'-6"TYP.1"TYP.8 1/2"GRADE PLANE = 63'-9 1/2"5'-0" 4'-3"5.12 5.3 5.14 5.145.14 5.25.55.55.5 5.15 5.1421.25.5 GUARD BOOTH5.195.19 5.16 3.221.29.1 5.19 LOADING DOCK AREAELECTRICAL ROOM (NIC)ICE ROOM (NIC)LOADING DOCK AREALOADING DOCK AREA LOADING DOCK ENTRANCE RAMP TO LEVEL B13.143.14 3.13.14PARKING STRUCTURE ENTRY/EXIT AT LEVEL 17.53.1 5.115.17 5.175.20 5.125.12 105'-10 1/2"STAIR #2FIRE PUMP ROOM5.19 7.55.12 G.C.4GRADE PLANE = 63'-9 1/2"5.16 5.155.14WB1WA2WA4WC1 WA1WB14.1 3'-8 3/4" 5'-0" 4'-3"OPENOPENOPENOPENOPENOPEN13'-7"9A4.18 WC1WC1WA4 11WB1WB1 WC1TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:40 PM BUILDINGELEVATIONSA3.0312 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"EAST ELEVATION1 Keynote LegendKey Value Keynote Text3.1 CONCRETE COLUMN - REFER TO STRUCTURAL DWGS.3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.4.1 C.M.U. WALL5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.11 CANE DETECTION RAILING, REFER TO DETAIL 11/A4.135.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.7.5 EIFS SYSTEM WITH MOISTURE DRAINAGE.9.1 PORTLAND CEMENT PLASTERING SYSTEM WITH SMOOTH FINISH OVER METAL STUD FRAMING WALL, TYP.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #15 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 85'-11"LEVEL 2159'-5"HIGH ROOF G.1 G.5 G.5.9 G.7 G.915'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"79'-5 1/2"36'-7"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.5 1A6.012A6.013A6.01 1A6.06 G.6 G.7.9G.8G.3 G.4 G.7.5 A4149'-3"LOWER ROOF 5.14 VERIFY IN FIELD38'-8"5'-0"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"5'-0" 2'-0" 3'-6"3'-6"3'-11 1/2"11'-6 1/2"GRADE PLANE = 63'-9 1/2"80'-1 1/2"20'-5"VERIFY IN FIELD26'-4"5.145.14 5.55.5 5.3 PEDESTRIAN BRIDGE7.5 5.193.14 3.15LOADING DOCK AREA 7.55.12 5.16 27'-0 1/2"2'-10"ASSUMED PROPERTY LINELOADING DOCK AREALOADING DOCK AREALOADING DOCK AREAROOF DECK LOADING DOCK AREALOADING DOCK AREA ROOF DECK ROOF DECK STORAGE (NIC)ARENA (NIC)ARENA (NIC)ARENA (NIC)ARENA GRID LINE VERIFY IN FIELD5.17 21.2 5.12N 400 W (NIC)(NIC)5.16 5.19STAIR #3 STAIR #15.153.14 5.16 5.215.15 5.16 G.5.2 G.8.2 G.8.6GRADE PLANE = 63'-9 1/2"10.10 WA1 WA2WB25'-0"OPENOPENOPENOPENOPENOPEN078.56A5.02 TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:46 PM BUILDINGELEVATIONSA3.0412 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SOUTH ELEVATION1 Keynote LegendKey Value Keynote Text3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.3.15 CONCRETE SHEAR WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.7.5 EIFS SYSTEM WITH MOISTURE DRAINAGE.8.5 WOVEN WIRE FENCE DOOR - REFER TO DETAIL 8/A5.10.10.10 BUILDING ADDRESS21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #55 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 1 74'-0"LEVEL 185'-11"LEVEL 2 85'-11"LEVEL 296'-5"LEVEL 3 96'-5"LEVEL 3106'-11"LEVEL 4 106'-11"LEVEL 4117'-5"LEVEL 5 117'-5"LEVEL 5127'-11"LEVEL 6 127'-11"LEVEL 6138'-5"LEVEL 7 138'-5"LEVEL 7G.1 G.2 G.5 G.5.9 G.7 G.910'-10"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"105'-10 1/2"LEVEL 1LEVEL 2LEVEL 3LEVEL 4LEVEL 5LEVEL 5ALEVEL 5BLEVEL 6LEVEL 7143'-11"LEVEL 7.5 STORAGEG.6 G.7.9G.8G.3 G.4 G.7.5 A4149'-3"LOWER ROOF 149'-3"LOWER ROOF5.14 5.2 5.3GRADE PLANE = 63'-9 1/2"74'-7 1/2"VERIFY IN FIELD37'-3 1/2"VERIFY IN FIELD7'-9"15'-8 1/2"5.155.5 5.145.5 5.15 5.145.15CC1FA13.2 3.15 5.16LOADING DOCK AREAFC1FC1 5.12 LOADING DOCK AREALOADING DOCK AREA WA1 CONCOURSE(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)ASSUMED PROPERTY LINE2'-10"ARENA GRID LINE VERIFY IN FIELD (NIC)LOGE CLUB(NIC)TRUCKPARKINGAREAN 400 W LOADING DOCK RAMP ELEVATOR#35.19 (NIC)(NIC)ROOF DECKROOF DECK LOADING DOCK AREA 5.16 5.205.20 5.12 8.15.175.175.215.16 5.143.115.20 5.17 5.3STAIR #2G.5.2 G.8.2 G.8.6 GRADE PLANE = 63'-9 1/2"WA5 OPENOPENOPENOPENOPENOPEN WC15.191TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:50 PM BUILDING SECTIONSA3.0512 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - NORTH1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.013.15 CONCRETE SHEAR WALL - REFER TO STRUCTURAL DWGS.5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.8.1 METAL ROLL DOWN GATE, SEE DETAILS A5.11.PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #1 43'-4 1/2"LEVEL159'-5"HIGH ROOFG.2G.5G.5.9G.7G.9 15'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.5LOBBY RAMPVESTIBULELOBBYBOH G.6G.7.9G.8 G.3G.4G.7.5A4 GRADE PLANE = 63'-9 1/2"80'-1 1/2"11'-6 1/2" 3'-11 1/2"VERIFY IN FIELD37'-6 1/2"VERIFY IN FIELD14'-7 1/2"21'-4 1/2"5.3PEDESTRIAN BRIDGE 5.55.55.15 21.25.15 5.8 5.1521.25.25.3 5.8 5.15.11LOADING DOCK AREAFA1 CC1FB13.23.143.14 LOADING DOCK AREAFC1CC1ASSUMED PROPERTY LINE2'-10"ARENA GRIDLINE VERIFY IN FIELDCONCOURSELOGE CLUB STORAGE 5.145.19 5.165.221.2 5.20 100 S5.165.145.165.17 5.125.165.17(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)(NIC)G.5.2G.8.2G.8.6(NIC)(NIC)VERIFY IN FIELD25'-8 3/4"STAIR #1 5.1613'-1 1/4"VERIFY IN FIELD27'-5 1/4"VERIFY IN FIELD12'-10"A4.188LEVEL 1100'-0"LEVEL 7209'-3 1/4"LEVEL 6195'-3 1/4"LEVEL 5B183'-1 1/2"LEVEL 5A170'-4 3/4"LEVEL 5158'-9 3/4"LEVEL 5A146'-9 3/4"LEVEL 3133'-1 3/4"LEVEL 2118'-8 3/4"MEZZANINE LEVEL112'-5 3/4"ROOF LEVEL237'-2"GRADE PLANE = 63'-9 1/2"GRADE PLANE = 63'-9 1/2"WA1FD1FD1WA4 WA4 OPENOPENOPENOPENOPENOPEN 5.118.5A4.191 5.19WC1 WC1WA4WC11 5.216A5.02TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:10:58 PM BUILDING SECTIONSA3.0612 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - SOUTH1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.1 MTL STAIRS WITH CONCRETE FILLED PAN TREADS AND LANDINGS AND WITH STL COATING SYSTEM, TYP. (UNDER DEFERREDSUBMITTAL)5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.11 CANE DETECTION RAILING, REFER TO DETAIL 11/A4.135.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.5.21 1 1/2" DOVETAIL ROOF DECK - SEE STRUCTURAL DWGS.8.5 WOVEN WIRE FENCE DOOR - REFER TO DETAIL 8/A5.10.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #12 05/19/2025 Bulletin #22 43'-4 1/2"LEVEL 74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7159'-5"HIGH ROOF 159'-5"HIGH ROOFG.P G.DG.EG.FG.GG.MG.NG.O 5'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-11"30'-7 1/2"95'-0 1/2"79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.5 143'-11"LEVEL 7.55'-3 1/2"10'-2 1/2"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"64'-5"G.HG.IG.JG.KG.L T 149'-3"LOWER ROOF5.55.5 5.14 5.1421.2GRADE PLANE = 63'-9 1/2"74'-7 1/2"20'-8 1/2"5.5 5.85.35.15 5.155.3 5.8 5.55.5 5.15 5.145.145.125.145.195.3 21.23.14 5.16 FB1 21.2 3.113.2LOADING DOCK AREACC1 5.12WA15.17 5.20 3.145.175.17GRADE PLANE = 63'-9 1/2"WA1 FA1LOADING DOCK AREAEGRESS STAIR #3 STAIR #1OPENOPENOPENOPENOPENOPEN LOADING DOCK AREA01 5.8FC15'-0 3/4"3'-3 1/2"5'-0 3/4"5'-0 3/4"5'-0 3/4"5'-0 3/4"5'-0 3/4"10'-6 3/4"TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:11:04 PM BUILDING SECTIONSA3.0712 / 06 / 202461 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE TD/DASB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - EAST RAMP1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.11 CONCRETE CURB/ISLAND 6" HIGH, REFER TO DETAIL 8/A5.013.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set 43'-4 1/2"LEVEL 43'-4 1/2"LEVEL74'-0"LEVEL 185'-11"LEVEL 296'-5"LEVEL 3106'-11"LEVEL 4117'-5"LEVEL 5127'-11"LEVEL 6138'-5"LEVEL 7 159'-5"HIGH ROOF1A4.07 G.PG.D G.E G.F G.G G.M G.N G.O 79'-11 1/2"LEVEL 1.591'-5"LEVEL 2.5101'-11"LEVEL 3.5112'-5"LEVEL 4.5122'-11"LEVEL 5.5133'-5"LEVEL 6.5143'-11"LEVEL 7.53A4.09G.H G.I G.J G.KG.L G.QT149'-3"LOWER ROOF UTILITY ROOM104 5.55.14 5.215'-8"19'-6"GRADE PLANE = 63'-9 1/2" 105'-10 1/2"15'-6"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"116'-0 1/2"74'-7 1/2"5.14 5.125.1 5.2 5.5 5.521.221.25.8 5.14 21.25.8 5.3FB15.12GUARD BOOTH 5.5 5.143.2 3.15 3.145.163.15 LOADING DOCK AREA WA1 FC1FC121.25.155'-4"10'-6"10'-6"10'-6"10'-6"10'-6"11'-5 1/2"36'-7"STAIR #3STAIR #15.17 3.145.16 5.165.20ELEVATOR #3 5.193.147.5 5.12GRADE PLANE = 63'-9 1/2" GRADE PLANE = 63'-9 1/2" 81'-1"10.10WB2WA5WA5WA1OPENOPENOPENOPENOPENOPENOPENOPENOPEN9A4.18FC1 A5.026 10"TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WD1 12" CMU WALL (PRECISION CMU, W/OUT FINISH)WD2 8" CMU PARTITION WALLWD312" CMU WALL W/ 1/2" AIR GAP, MTL. FURRING AND STUCCOWD412" CMU WALL W/ 3 1/4" THICK EIFS SYSTEM12" CMU WALL W/ DAMP PROOFING IN ONE SIDEWD5TYPETWO HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WC1 8" METAL STUD W/EIFS SYSTEMWC26" METAL STUD W/EIFS SYSTEMTYPEONE HOUR FIRE RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WB1 8" METAL STUD W/EIFS SYSTEMWB26" METAL STUD W/EIFS SYSTEMTYPENON-RATED WALL (PER IBC TABLE 720.1(2) ITEM 15-1.4)WA1 4" METAL STUD SINGLE FACE W/EIFS SYSTEMWA24" METAL STUD W/EIFS SYSTEMWA36" METAL STUD W/EIFS SYSTEM4" METAL STUD SINGLE FACE W/EXTERIOR SHEATHINGWA4WA56" METAL STUD W/EXTERIOR SHEATHING WALL TAG KEY (PARTITION TYPE) SEE SHEET A1.05 FOR DETAILSX-XXTYPEELEVATED CONCRETE SLABCD15" REINFORCED CONCRETE ROOFTYPETAPERED INSULATION ON METAL DECKCC15" REINFORCED CONCRETE ROOFTYPECB13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGSUSPENDED CEILING W/ INSULATION UNDER METAL DECK CONCRETE SLABSUSPENDED CEILING UNDER METAL DECK CONCRETE SLABTYPECA13 1/2" CONC. ROOF OVER MTL. DECK W/ MTL. STUD AND EXT. SHEATHINGCEILING TYPESFLOOR TYPESTYPECONCRETE METAL DECK ELEVATED SLABFD13 1/2" CONCRETE FLOOR OVER METAL DECK W/MTL. STUD, THERMAL INSULATION AND PAINTED DENSGLASS SOFFITTYPECONCRETE METAL DECK ELEVATED SLABFC13 1/2" CONCRETE FLOOR OVER METAL DECKTYPEELEVATED SLABFB15" REINFORCED CONCRETE FLOORTYPESLAB ON GRADE REPAIRFA15" REINFORCED CONCRETE FLOOR SHEET NUMBERSHEET TITLEDESIGNED BYREVIEWED BYDRAWN BYPROJECT NUMBERDATEIRO / SEALIN ASSOCIATION WITH :ISSUECopyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC.PROJECT TEAMPROJECT NAMEARCHITECT / STRUCTURAL ENGINEERWALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200, LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940M09-21011-00KEYNOTESWALTER P. MOOREARCHITECTELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEERMECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERINGHORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGEROWNER7/16/2025 1:11:11 PM BUILDING SECTIONSA3.0801/30/2561 S 400 W.SALT LAKE CITY, UTAH 84101 DELTA CENTERPARKING STRUCTURE DA/YCSB61 S 400 W.SALT LAKE CITY, UTAH 84101EP 1/8" = 1'-0"SECTION - WEST RAMP1 Keynote LegendKey Value Keynote Text3.2 CONCRETE SLAB ON GRADE - REFER TO STRUCTURAL DWGS.3.14 CONCRETE WALL - REFER TO STRUCTURAL DWGS.3.15 CONCRETE SHEAR WALL - REFER TO STRUCTURAL DWGS.5.1 MTL STAIRS WITH CONCRETE FILLED PAN TREADS AND LANDINGS AND WITH STL COATING SYSTEM, TYP. (UNDER DEFERREDSUBMITTAL)5.2 5" I.D. VEHICLE BARRIER PIPE WITH STEEL COATING SYSTEM, CONCRETE FILLED - REFER TO 2/A7.02, 5/A7.02, 8/A7.02 - REFER TOSTRUCTURAL DWGS.5.3 GUARDRAIL - REFER TO SHEET A4.11(UNDER DEFERRED SUBMITTAL)5.5 GALVANIZED BARRIER CABLES - REFER TO DETAILS ON SHEET A7.065.8 4" I.D. BOLLARD, HOLLOW PIPE - REFER TO STRUCTURAL DWGS.5.12 HSS SEE STRUCTURAL DWGS.5.14 WIDE FLANGE STEEL COLUMN WITH STL COATING SYSTEM, TYP. - REFER TO STRUCTURAL DWGS.5.15 STEEL BRACE - REFER TO STRUCTURAL DWGS.5.16 STEEL BEAM - REFER TO STRUCTURAL DWGS.5.17 COMPOSITE DECK - REFER TO STRUCTURAL DWGS.5.19 MTL STUD WALL FRAMING SYSTEM.5.20 TRUSSES SYSTEM REFER TO STRUCTURAL DWGS.7.5 EIFS SYSTEM WITH MOISTURE DRAINAGE.10.10 BUILDING ADDRESS21.2 FIRE EXTINGUISHER CABINET - REFER TO DETAIL 6/A7.02, 7/7.02PROJECT DATUM: ELEV. 4200 = ELEV. 0 NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set3 05/30/2025 Bulletin #33 SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL IN ASSOCIATION WITH : ISSUE Copyright © 2025 WALTER P. MOORE AND ASSOCIATES, INC. PROJECT TEAM PROJECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 M09-21011-00 WALTER P. MOOREARCHITECT ELECTRICAL & LOW VOLTAGE ENGINEERSTRUCTURAL ENGINEER MECHANICAL, PLUMBING & FIRE ENGINEERTRAFFIC ENGINEERING HORROCKSCIVIL & LANDSCAPEWALTER P. MOOREBNA CONSULTINGVBFAHALES ENGINEERING 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000IN ASSOCIATION WITH :CONSTRUCTION MANAGER OWNER 7/18/2025 3 : 4 4 : 1 4 P M MATERIAL BOARD A3.01.1 15/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 DEL T A C E N T E R PAR K I N G S T R U C T U R E MS SB 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 EP NO. DATE REVISION10/31/2024 50% Design Development12/06/2024 100% Design Development02/14/2025 50% Construction Documents03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set5 07/??/2025 Bulletin #5 3. 2. 1. 6. 10. 12. 5. 4. 11. 4.NATURAL GRAY MEDIUM BROOM FINISH CONCRETE 5. NATURAL GRAY CAST IN PLACE FORMED SMOOTH CONCRETE 13. SALIX PURPUREA 'NANA' 9.8. 7. 1.SATIN FINISH NON-REFLETIVE PERFORATED ALUMINUM PANEL WITH 40% TO 60% OPENESS RATIO 3.SATIN FINISH NON-REFLETIVE PERFORATED ALUMINUM PANEL WITH 20% TO 30% OPENESS RATIO 2.POWDER COATED GRAY WOVEN WIRE MESH WITH 1 1/2" X 1 1/2" OPENING 6. NON-REFLECTIVE GALVANIZED METAL CANOPY DECK OVER HIGH PERFORMANCE PAINTED GRAY STEEL COLUMNS & BEAMS 8. RHUS AROMATICA 'GROW-LOW' 10. TINY WINE NINEBARK 9. CALAMAGROTIS ACUTIFLORA 7. ULMUS PARVIFOLIA 11. PRUNUS CISTENA 12. JUNIPERUS HORIZONTALIS 13. 5 3. 1. 7. 8.9.105. 13 2. 1112 Vitraplate Perforated Aluminum Panels zPrefinished 3mm(1/8”) solid aluminum plate panels.zAre highly durable and impact resistant. zCoil finishing avoids the runs and streaks that result from post-finishing after perforating. zPerforating after coil finishing ensures that factory-applied protective film keeps the finish intact. Vitraplate perforated aluminum panels Fairview Architectural manufactures high-quality perforated aluminum plate panels that offer superior durability and can be rolled, curved and fabricated to suit a range of design requirements. Our perforated panels can be used for a wide variety of applications such as for exterior façades, decorative panels, car park screens, balustrade infills, sports stadiums and much more. Key Benefits Colors and Finishes Specifications Quality Control Our aluminum panel products are prefinished in a coil-coated process with a flexible 70% PVDF Kynar paint coating system which offers a wide range of finish options such as solid, metallics, patterned finishes. Perforating after anodizing or coating is preferred in architectural use, because the purpose of the perforations is for aesthetic reasons, and the exposed cut edge of the aluminum enhances the perforations. With coil anodized or coil coated Vitraplate, the quality and integrity of the finish are not impacted in any way by perforating. Note: Fairview offers coil coating and coil anodizing over batch coating and batch anodizing as the finish is more consistent and of a higher quality Product Vitraplate 3mm(1/8”) Panel Sizes (width)Standard: 48”, 60”, 62”(1219mm, 1524mm, 1574mm) Panel Sizes (length)Standard: 122”, 146”, 196”(3099mm, 3708mm, 4980mm) Surface Coating PVDF 70 % Kynar Finishes Solid, Metallics, Woodgrains & Specialty Colors Finish Warranty Up to 30 years Vitraplate perforated panels are available in multiple aluminum alloys and are engineered per project depending on the sheet size and perforation pattern required as well as the finish.As a trusted manufacturer, Fairview Architectural has a robust third-party audited quality control process to ensure supply-chain integrity. For more information is required please contact the Fairview office on 860-242-2711 or email: helpdesk@fairview-na.com 75 Peters Road, Bloomfield, CT 06002, USA Xref \\PG-Server-03\NewData\!2024\UT-10267-24 Delta Center Parking\Project Data\Xrefs\XR-NEW LINEWORK-WPM.dwg YIELD YIELD Xref \\PG-Server-03\NewData\!2024\UT-10267-24 Delta Center Parking\Project Data\Xrefs\XR-NEW LINEWORK-WPM.dwg YIELD YIELD ---- | 03: 5 6 P M W E D N E S D A Y 0 9 J U L Y 2 0 2 5 | Q : \ ! 2 0 2 4 \ U T - 1 0 2 6 7 - 2 4 D E L T A C E N T E R P A R K I N G \ P R O J E C T D A T A \ S H E E T _ F I L E S \ L 1 . 0 1 L A N D S C A P E . D W G 301 W S O U T H T E M P L E SALT LA K E C I T U T A H 8 4 1 0 1 FT20100 SHEET NUMER SHEET TITLE DESIGNED REIEWED DRAWN PROECT NUMER DATE IRO SEAL IN ASSOCIATION WITH ᴀ ISSUE Corigt 2022 WALTER P. MOORE AND ASSOCIATES INC. CONSULTANT LOGOᴀ PROECT NAME ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES INC.633 W 5TH ST SUITE 7200LOS ANGELES CALIFORNIA 90071PHONE 310.254.1900 FAX 310.254.1940 M09-21011-00 10312024 50 DD CIVIL ENGINEER HORROCKS4919 S 1500 W STE 300RIERDALE UT 84405PHONE 801.626.2300 DE L T A C E N T E R P A R K I N G ST R U C T U R E 301 W S O U T H T E M P L E SAL T L A K E C I T U T A H 8 4 1 0 1 NO. DATE REISION12062024 100 DD02142025 50 CD AMMM GN LA Pase 2 Perit Set 04072025 03072025 Pase 1 Perit Set03212025 id Set04072025 Pase 2 Perit Set04292025 lletin 1205132025 lletin 21 305302025 lletin 3406112025RFIs 1.LANDSCAPE CONTRACTOR IS RESPONSILE FOR ERIFING UANTITIES OF ALL MATERIALS FOR IDDING ANDINSTALLATION PURPOSES. IF DISCREPANCIES EXIST THE PLAN SHALL DICTATE UANTITIES TO E USED.2.TOPSOIL TO E IMPLEMENTED AT THE FOLLOWING DEPTHS2.1.PER PLANTING DETAILS IN PLANTER ED AREAS.2.2.4 DEPTH IN ALL TURF SOD AREAS2.3.4 DEPTH IN ALL ̀NEW SEED AREAS.3.EDGING SHALL E IMPLEMENTED ETWEEN ALL ARING LANDSCAPE MATERIALS SUCH AS TURF GRASS ANDARK MULCH ARK MULCH AND ROCK MULCH TURF GRASS AND ROADCAST SEED ETC. EXACT TPE OFEDGING SHALL E INDICATED ON THE PLANS. IF NO EDGING IS INDICATED ON THE PLANS A 6 X 6 SLIP FORMEDSUARE CONCRETE CUR SHALL E USED.4.LANDSCAPE ROCK AND ARK MULCH COLORS AND TPES TO E APPROED OWNER. SUMIT SAMPLES FORAPPROAL PRIOR TO INSTALLATION. ROCK SHALL E A DARKER HUE WITH ROWNS GRES LUES AND TANS.ARK MULCH SHALL E MEDIUM TEXTURE DARK ROWN IN COLOR. ROCK AND ARK MATERIAL SHALL EIMPLEMENTED IN ALL PLANTER ED AREAS INDICATED ON THE PLANS AT THE FOLLOWING DEPTHS4.1.ARK MULCH - 4 DEPTH4.2.1-2 DIAMETER FRACTURED STONE 44.3.STONE LARGER THAN 4 IN DIAMETER DEPTH SHALL E TWICE THE DIAMETER OF THE SMALLEST STONE INTHE SPECIFIED GRADATION.4.4.PULL ROCK MIN. OF 3 AWA FROM ASE OF ALL PERENNIALS AND SHRUS AND MIN. 6 AWA FROM ALLTREES.5.INSTALLATION SHALL COMPL WITH ALL NATIONAL STATE AND LOCAL LAWS AND ORDINANCES.6.ALL MATERIALS SHALL E NEW AND WITHOUT FLAWS OR DEFECTS OF THE UALIT AND PERFORMANCESPECIFIED AND SHALL MEET THE REUIREMENTS OF THIS SSTEM. USE MATERIALS AS SPECIFIED NOSUSTITUTIONS SHALL E PERMITTED WITHOUT WRITTEN PERMISSION OF THE OWNER OR LANDSCAPEARCHITECT7.ASE PLAN LOCATION OF EXISTING EUIPMENT ARE SCHEMATIC IN NATURE. FIELD ERIF ALL ASE EXISTING ELEMENTS PRIOR TO CONSTRUCTION PROIDE NECESSAR ADUSTMENTS.8.ALL PLANTS SHALL E WATERED THOROUGHL TWICE DURING THE FIRST 24 HOUR PERIOD AFTER PLANTING.FOLLOWING THE FIRST 24 HOURS ALL PLANTS SHALL E WATERED ROUTINEL TO ENSURE SURIAILIT ANDPROMOTE ESTALISHMENT. CONTRACTOR SHALL E RESPONSILE FOR PROIDING A WATERING SCHEDULEFOR THE OWNERS REIEW AND REFERENCE.9.THE CONTRACTOR SHALL WARRANT ALL PLANT MATERIAL FOR ONE-EAR AFTER DATE OF FINAL ACCEPTANCE.10.THE CONTRACTOR SHALL E RESPONSILE FOR THE ERIFICATION AND AOIDANCE OF ALL UNDERGROUNDUTILITIES DURING THE INSTALLATION OF LANDSCAPE AND IRRIGATION ELEMENTS. SHOULD AN DAMAGE OCCURTO UNDERGROUND UTILITIES THE CONTRACTOR SHALL REPLACE OR REPAIR THE DAMAGE AT NO ADDITIONALCOST TO THE OWNER.11.PRIOR TO STREETPULIC TREE INSTALLATION PRUNING CROWNROOT OR REMOAL PLEASE HAE THECONTRACTED LICENSED CERTIFIED ARORIST SUMIT A COMPLETE PULIC TREE PERMIT APPLICATION ATLEAST 10 DAS PRIOR TO WORK EING PERFORMED FOR THIS PROECT TO INCLUDE CERTIFIED ARORISTINFORMATION AND START AND COMPLETION DATES.Ԁ12.DIMENSIONS SHOWN ON LANDSCAPE PLAN ARE SHOWN FOR REFERENCE AND TO AID IN INSTALLATION. SLIGHTDEIATIONS -1 FROM THE DIMENSIONS SHOWN ARE ACCEPTALE AS LONG AS THE OERALL INTENT OF THEDESIGN IS MAINTAINED.13.LANDSCAPE CONTRACTOR IS RESPONSILE FOR THE REIEW OF ALL OTHER PROECT DESIGN DOCUMENTS.UTILITIES STRUCTURES OR OTHER ELEMENTS MA NOT E DISPLAED ON THESE SHEETS FOR GRAPHICCLARIT.14.LANDSCAPE CONTRACTOR SHALL E REUIRED TO COORDINATE WITH OTHER TRADES TO ENSURE CONFLICTSETWEEN OTHER ELEMENTS NOT SHOWN ON THESE SHEETS ARE RESOLED IN THE FIELD.15.LANDSCAPE CONTRACTOR SHALL E REUIRED FOR MAINTENANCE AND WARRANT OF LANDSCAPE AREA PERPROECT SPECIFICATIONS. GENERAL LANDSCAPE NOTES LANDSCAPE SUMITTAL REUIREMENTS1COMPLETE PLANT LIST FROM SUPPLIER INCLUDING SIES AND TPES.2PHSICAL SAMPLES OF LANDSCAPE ROCK AND RIP RAP 3 OPTIONS FOR EACH TPEFOR APPROAL.3SOIL DATACOMPOSITION SHEET FOR IMPORTED TOPSOIL.4SOIL DATACOMPOSITION SHEET FOR SOIL PREP.5PHOTOS AND PHSICAL SAMPLES OF LANDSCAPE OULDERS.6CONCRETE MOWCUR MIX AND REINFORCING DATA.7CONTRACTOR REUIRED MAINTENANCE PLAN.8WARRANT DATA9STAMPED AND COLORED CONCRETE AND PAER PHSICAL MOCK-UPS FOR APPROALSHOWING COLOR AND PATTERN. MIN 5 X 5 SIE.10PHSICAL SAMPLES OF ARK MULCH 3 OPTIONS FOR EACH TPE FOR APPROAL. SEE SHEET L1.03 SEE SHEET L1.02 SEE SHEET L1.04 APPROXIMATE LIMITS OF WORK LANDSCAPE PLAN L1.01 S SMH SEE SHEET L1.05 SMOLCODE DESCRIPTION T L1.01 L1.02 L1.03 L1.04 L1.05FURNISH AND INSTALL A 4 DEPTHOF MEDIUM TEXTURE DARKROWN MULCH NO WEEDARRIER PER DETAILS.6565 SF 1533 SF 2190 SF 1285 SF 1558 SF FURNISH AND INSTALL A 4 DEPTHOF DECORATIE ROCK NO WEEDARRIER PER DETAILS.1642 SF 112 SF 694 SF 836 SF RESTORED RAISED PLANTERAREAEXACT LIMITS MA ARDEPENDING ON FINISHED WALLTHICKNESSES AND PIERFOOTINGLOCATIONSFURNISH AND INSTALL A MINIMUMOF 12 OF APPROED SOIL PREPTO 4 ELOW TOP OF WALL. SOILMATERIAL TO OTTOM OF SOILPREP SHALL E EUAL ORETTER THAN EXISTING MATERIALCOMPOSITION. 4423 SF 4423 SF FURNISH AND INSTALL 3-5DIAMETER DECORATIELANDSCAPE OULDERS PERDETAILS29 966 8 6 X 6 CONCRETE MOWCUR PERDETAILSFURNISH AND INSTALL A 6 THICKCONCRETE PAD FOR ENCH PERDETAILS105 SF 105 SF FURNISH AND INSTALL 6 FORMSAND SURFACES RATIO ENCHWITH ACK OR APPROED EUALPER DETIALS 3 3 FURNISH AND INSTALL TREE WELLACKFILL MATERIAL PER DETAILS.REPALCE TREE WELL ORPROTECT IN PLACE WHERENOTED. 677 SF 387 SF 290 SF 1 24 5 67 8 9 REFERENCE NOTES SCHEDULE EXISTING 2 CALIPERTREES TO E REMOEDAND TRANSPLANTED CIT. CONTACT FORESTRDEPARTMENT WHENREAD FOR REMOAL. SMOL OTANICAL COMMON NAMECONT CALTL1.01 L1.02 L1.03 L1.04 L1.05TREESACER NEGUNDO SENSATIONSENSATION OX ELDER 2 CAL.... 14 8 6 CERCIS CANADENSIS LAENDER TWISTLAENDER TWIST REDUD 10 GAL. POT5 14 GLEDITSIA TRIACANTHOS INERMISSHADEMASTERSHADEMASTER HONE LOCUST 3 CAL 5 2 3 PICEA AIES CUPRESSINACUPRESSINA NORWA SPRUCE 6-7 HT. 3 3 PINUS NIGRA OREGON GREENOREGON GREEN AUSTRIAN PINE 6-7 HT. 2 2 ULMUS PARIFOLIALACEARK ELM 3 CAL6 132 ELKOA SERRATA GREEN ASEGREEN ASE APANESE ELKOA 3 CAL5 2 3 SMOL OTANICAL COMMON NAME SIE TL1.01 L1.02 L1.03 L1.04 L1.05SHRUSCOTONEASTER APICULATUSCRANERR COTONEASTER 5 GAL 3 3UNIPERUS HORIONTALIS LUE CHIPLUE CHIP UNIPER 5 GAL 41 5 12 24PHSOCARPUS OPULIFOLIUS SMPOTWTIN WINE NINEARK 5 GAL 30 7 13 46PRUNUS X CISTENAPURPLE LEAF SAND CHERR 5 GAL 23 15 8ROSA X RADRALCORAL KNOCK OUT ROSE 5 GAL.65 4 20 2021ROSA X RADRAKNOCK OUT ROSE 5 GAL 14 3 56SALIX PURPUREA NANADWARF ARCTIC WILLOW 5 GAL 10 55IURNUM TRILOUMAMERICAN CRANERRUSH 1 GAL 31 5 11 96 ANNUALSPERENNIALSSALIA NEMOROSA MA NIGHTMA NIGHT SAGE 1 GAL.9 9 ORNAMENTAL GRASSESCALAMAGROSTIS X ACUTIFLORA KARLFOERSTERFEATHER REED GRASS 1 GAL 101 18 2927 27HELICTOTRICHON SEMPERIRENSLUE OAT GRASS 1 GAL 26 3 896 PLANT SCHEDULE3 13 OF TOTAL LANDSCAPE 52 OF TOTAL LANDSCAPE 35 OF TOTAL LANDSCAPE 3 3 LANDSCAPE LIE COERAGE CALCULATIONS 359 TOTAL SHRUSPERENNIALS 12 SF PER PLANT 4308 SF OF LIECOERAGE 46 TOTAL TREES 400 SF PER TREE 18400 SF OF LIECOERAGEREDUCE TOTAL TREE COERAGE 75TO ACCOUNT FOR OERLAP WITH SHRUSAND COERAGE OF NON PLANTER AREAS. TOTAL APPLICALE LIE COER 4600 SF13307 SF OF TOTAL LANDSCAPE AREATOTAL PROIDED LIE COER 8908 SF6713307 SF OF TOTAL LANDSCAPE AREATOTAL PROIDED LIE COER NOTCOUNTING REDUCED TREE COERAGE 4308 SF 32 3 Draft Print07/09/2025 3:56:44 PM OW3MH: 2OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2 OW3MH: 2OW3MH: 2OW3MH: 2 OW3MH: 2OW3MH: 2OW3MH: 2 OW3MH: 2OW3MH: 2OW3MH: 2OW3MH: 2OW3MH: 2OW3MH: 2 OW3MH: 2 OW3MH: 2OW3MH: 2 0.176.4 3.2 0.50.4 8.8 3.5 0.6 0.219.2 12.2 2.6 1.4 0.5 0.2 0.153.3 4.2 12.8 2.5 0.8 0.4 0.2 0.1 0.00.5 10.1 9.0 8.7 1.9 0.6 0.3 0.1 0.1 0.1 0.041.0 10.7 2.6 2.3 1.8 1.0 0.4 0.2 0.1 0.1 0.1 0.0 0.02.3 3.5 1.6 0.8 0.6 0.4 0.3 0.2 0.2 0.2 0.1 0.0 0.0 0.05.0 1.7 0.9 0.5 0.4 0.3 0.3 0.3 0.5 0.5 0.2 0.1 0.020.5 2.7 0.8 0.4 0.3 0.2 0.3 0.6 1.5 2.1 0.2 0.11.4 1.5 0.6 0.3 0.3 0.3 0.4 0.7 2.6 27.5 0.37.5 1.7 0.7 0.4 0.4 0.6 0.7 0.5 0.3 0.513.3 2.4 0.8 0.4 0.5 1.5 3.0 0.7 0.10.7 1.5 0.6 0.4 0.6 1.9 21.8 0.310.1 2.1 0.8 0.3 0.2 0.2 0.39.2 2.0 0.8 0.3 0.2 0.10.8 1.6 0.7 0.7 0.2 0.215.2 2.6 1.1 1.4 4.6 0.66.8 1.8 1.3 2.5 16.0 2.11.9 1.7 1.0 1.6 2.0 0.422.0 2.8 1.3 1.9 6.3 0.53.8 1.4 1.1 2.3 10.9 1.10.1 0.2 0.6 0.7 1.5 1.2 0.30.1 0.1 0.3 0.8 2.0 8.3 0.70.1 0.1 0.3 0.7 1.9 7.5 0.80.1 0.1 0.2 0.5 1.4 1.3 0.30.1 0.1 0.3 0.7 2.2 12.6 1.30.1 0.1 0.3 0.6 1.6 5.8 0.60.1 0.1 0.2 0.5 1.4 2.4 0.30.1 0.1 0.3 0.7 2.3 17.1 2.50.1 0.1 0.2 0.6 1.4 3.8 0.30.1 0.1 0.3 0.6 1.5 4.4 0.30.1 0.1 0.3 0.7 2.3 16.3 2.00.1 0.1 0.2 0.5 1.4 2.0 0.20.1 0.1 0.3 0.6 1.6 6.2 0.50.1 0.1 0.3 0.7 2.2 11.1 1.40.1 0.1 0.2 0.5 1.4 1.1 0.30.1 0.1 0.3 0.7 1.9 8.1 0.70.1 0.1 0.3 0.7 1.9 7.6 0.80.1 0.1 0.2 0.5 1.4 1.2 0.20.1 0.1 0.2 0.7 2.2 12.4 1.20.1 0.1 0.2 0.6 1.4 5.8 0.40.1 0.1 0.2 0.4 1.2 1.5 0.20.1 0.1 0.2 0.5 1.5 8.8 102.00.1 0.2 0.4 1.0 3.0 0.30.1 0.1 0.3 0.7 1.1 0.20.1 0.1 0.2 0.6 1.8 17.8 0.80.1 0.1 0.2 0.5 1.6 3.8 0.20.2 0.1 0.2 0.3 0.7 1.2 0.30.1 0.1 0.2 0.5 1.2 8.3 97.60.1 0.1 0.2 0.4 1.1 2.6 1.70.1 0.2 0.3 0.6 1.3 2.7 0.40.2 0.1 0.2 0.4 1.1 4.7 28.40.1 0.2 0.3 0.9 1.6 1.8 0.20.2 0.2 0.5 0.6 1.1 2.4 21.40.4 3.1 0.9 0.6 1.1 3.3 11.397.8 9.3 1.7 0.7 0.9 1.6 3.4 0.42.3 3.9 1.3 0.7 0.8 1.9 8.3 120.90.4 18.1 3.1 1.0 0.5 0.7 1.3 3.6 0.595.7 8.8 2.4 1.2 0.7 0.5 0.8 1.9 4.9 1.00.0 0.0 0.1 4.7 3.9 1.1 0.6 0.4 0.5 0.8 1.7 7.2 2.70.0 0.0 0.0 0.0 0.0 0.2 0.8 1.0 0.6 0.4 0.3 0.5 1.2 2.0 1.10.0 0.0 0.0 0.0 0.0 0.1 0.3 0.3 0.3 0.3 0.4 0.6 1.5 8.1 30.40.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.2 0.3 0.6 1.0 1.8 2.90.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.1 0.3 0.8 3.3 5.4 0.30.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.3 0.9 5.1 108.10.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.0 0.10.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.0 0.0 0.00.0 0.0 0.0 0.00.0 0.0 0.00.0 Luminaire ScheduleSymbolQtyLabel Arrangement Description Tag LLF LuminaireLumensLuminaireWattsTotalWatts MountingHeight33RA-40711-W40 Single RA-40711-W40 OW3 1.0001339 19.5 643.5 2Calculation SummaryLabel CalcType Units AvgMaxMin Avg/MinMax/MinLEVEL_1 LANDING_Top Illuminance Fc 2.96120.90.0 N.A.N.A. G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9 G.7 G.9 G.6 G.7.9G.8 G.3 G.4 G.7.5 G.HG.IG.JG.KG.L G.C G.B G.A G.Q E2.104 OW3 MOUNTINGHEIGHT IS +24" LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 2 3   p .   m . PARKING SITE PLANPHOTOMETRIC E1.02A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST AM AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/32" = 1'-0"PARKING SITE PLAN PHOTOMETRIC1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set G.P G.D G.E G.F G.G G.M G.N G.O G.1 G.2 G.5 G.5.9G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.K G.L G.C G.B G.A G.Q 1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 1EH1-5X2 1H1-5K90E 1H1-5(1RP-14)K90 1H1-7(1RP-13)K901H1-7K90E1H1-7(1RP-13)K90 1H1-7(1RP-13)K901H1-7(1RP-13)K90 1H1-7(1RP-13)K90 1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 1H1-5K90E1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 1H1-7K90E 1H1-5K90E 1H1-5(1RP-14)K90 1H1-7(1RP-13)K901H1-7(1RP-13)K90 1H1-7(1RP-13)K90 1H1-7(1RP-13)K90 1H1-7K90E 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8WE 1EH1-5X2 1EH1-5X1 1H1-7K90E 1H1-5K90E 1H1-7K90E 1H1-5(1RP-14)K90 1H1-7(1RP-13)K90 1H1-7K90E 1H1-7(1RP-13)K90 1H1-5(1RP-14)K90 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1EH1-11W21EH1-11±28' 1H1-3(1RP-12)W21H1-3(1RP-12)±28' 1H1-3(1RP-12)W21H1-3(1RP-12)±28' 1EH1-11W21EH1-11±28' 1H1-7(1RP-13)K90 EM EM EM EM EM EM EM EM EM 1EL1-1BEPWPL2 L1 1H1-7(1RP-13)K90 1H1-7(1RP-13)K90E2.101 E2.103E2.102 1EH1-17 EM 1EH1-17 EM 1EH1-17 1H1-5(1RP-14)K901H1-5(1RP-14)K90 1EH1-17 1EH1-17 1EH1-17 1EH1-17 1EH1-17 EM EM 1EH1-9 1EH1-9 1EH1-9 1EH1-91EH1-9 1EH1-91EH1-9 1EH1-9 1EH1-9 1EH1-8(1RP-9)ST1 1EH1-8(1RP-9)ST1 1EH1-8(1RP-9)ST1 L10 1H1-5(1RP-14)K90 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8WE1H1-11(1RP-10)D8W1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8WE1H1-11(1RP-10)D8W 1H1-11(1RP-10)D8W 1H1-11(1RP-10)K90 1H1-11(1RP-10)D8WE 1H1-5(1RP-14)K90 1H1-5(1RP-14)K90 EM EM EM L10 1H1-9(1RP-11)D8WEEM 1H1-9(1RP-11)D8W1H1-9(1RP-11)D8W 1H1-9(1RP-11)D8WEEM 1H1-9(1RP-11)D8WEEM 1H1-9(1RP-11)D8W 1H1-9(1RP-11)D8W K90EM 2 1H1-9(1RP-11)D8W 1H1-5(1RP-14)K90 1H1-7(1RP-13)K90 1H1-9(1RP-11)D8W1H1-9(1RP-11)D8W 1H1-3(1RP-12)OW11H1-3(1RP-12)±28' 1H1-3(1RP-12)OW11H1-3(1RP-12)±28' 4 4 1EH1-17 1H1-11(1RP-23)D3W 1H1-11(1RP-22)D3WE 1H1-11(1RP-23)D3W1H1-11(1RP-23)D3W 1H1-11(1RP-22)D3WE 1H1-11(1RP-23)D3W 1H1-11(1RP-23)D3W1H1-11(1RP-23)D3W 1EH1-17 1EH1-17 LUKEJUSTINNo. 6598067-2202 GINEER ONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 26/06/20 2 5 5 : 4 7 : 4 6 p . m . LEVEL B1 - PARKINGLIGHTING PLAN E2.01 PHASE 2 PERMIT SET 03/07/2025 61 S 40 0 W . SALT LA K E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/16" = 1'-0"LEVEL B1 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLER L10 MOUNTING HEIGHT OF THE LIGHT FIXTURES TO BE COORDINATED ON SITE BY THE OWNER AND GENERALCONTRACTOR. NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #12 05/19/2025 Bulletin #24 06/25/2025 Bulletin #4 SCALE = 3/32" = 1'-0"LEVEL B1.2 - VOID AREA CEILING2 4 W1MH: 33 W2MH: 12 W2MH: 14 W2MH: 14 W2MH: 14 K90MH: 38 K90MH: 38 W2MH: 17.5 W1MH: 33 W2MH: 35 W2MH: 35 W2MH: 25 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.83 3 D8WMH: 14.83 3 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.833 D8WMH: 14.83 3 D8WMH: 14.83 3 W2MH: 17.5 W2MH: 17.5 D8WMH: 23 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 31 K90MH: 30 K90MH: 30 K90MH: 20 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 28 K90MH: 20K90MH: 20 K90MH: 28 K90MH: 28K90MH: 28 K90MH: 30 K90MH: 28K90MH: 28 K90MH: 30 K90MH: 28 K90MH: 28 K90MH: 30 K90MH: 28 K90MH: 28 K90MH: 20D8WMH: 14.833 D8WMH: 23 D8WMH: 23D8WMH: 23 K90MH: 23 D8WMH: 23D8WMH: 23D8WMH: 23 K90MH: 20 W2MH: 35 D8WMH: 23 D8WMH: 23D8WMH: 23D8WMH: 23 D8WMH: 23D8WMH: 23 D8WMH: 23D8WMH: 23D8WMH: 23 K90MH: 16K90MH: 16K90MH: 16 K90MH: 35 K90MH: 35 K90MH: 37 K90MH: 37 K90MH: 37K90MH: 34.333 0.7 0. 9 0 . 8 0 . 9 0 . 9 1 . 0 1 . 2 1 . 3 1 . 4 1 . 3 1 . 4 1 . 8 2 . 1 1 . 8 1 . 7 2 . 0 2 . 3 2 . 6 2 . 7 2 . 8 2 . 8 3 . 2 3 . 2 3 . 2 3 . 3 3 . 3 3 . 3 3 . 2 3 . 3 3 . 2 3 . 2 3 . 3 3 . 3 3 . 2 3 . 2 3 . 2 3 . 1 3 . 1 3 . 0 3 . 0 3 . 0 2 . 9 3 . 0 2 . 9 2 . 9 2 . 9 3 . 0 3 . 2 3 . 3 3 . 5 3 . 6 3 . 6 3 . 6 3 . 7 3 . 7 3 . 6 3 . 6 3 . 5 3 . 6 3 . 6 3 . 7 3 . 9 4 . 0 4 . 3 4.5 4 . 7 4.9 5.1 4 . 6 4.43.0 0.8 1. 0 1 . 1 1 . 1 1 . 2 1 . 3 1 . 5 1 . 6 1 . 8 1 . 6 1 . 8 2 . 2 2 . 1 2 . 0 2 . 2 2 . 5 3 . 0 3 . 1 3 . 3 3 . 3 3 . 7 3 . 7 3 . 7 3 . 7 3 . 7 3 . 7 3 . 8 3 . 8 3 . 8 3 . 8 3 . 7 3 . 7 3 . 6 3 . 6 3 . 6 3 . 6 3 . 5 3 . 4 3 . 4 3 . 3 3 . 3 3 . 3 3 . 5 3 . 4 3 . 4 3 . 4 3 . 4 3 . 9 4 . 1 4 . 3 4 . 3 4 . 4 4 . 4 4 . 4 4 . 3 4 . 3 4 . 3 4 . 4 4 . 5 4 . 6 4 . 8 5 . 0 5 . 4 5 . 8 6 . 3 6 . 8 6 . 4 6 . 2 4 . 1 1 . 6 0.9 1 . 3 1 . 4 1 . 3 1 . 5 1 . 7 1 . 8 2 . 0 1 . 7 2 . 0 2 . 2 1 . 9 1 . 8 2 . 2 2 . 8 3 . 5 3 . 7 3 . 9 4.4 4.4 4 . 4 4 . 4 4.34.4 4.4 4 . 4 4 . 4 4 . 4 4.3 4.3 4 . 2 4 . 2 4 . 1 4 . 2 4 . 1 4 . 1 4 . 0 3 . 9 3 . 9 3 . 8 3 . 8 3 . 8 4 . 0 4 . 0 3 . 9 3 . 9 4.54.9 5. 3 5.4 5.4 5 . 4 5.3 5.2 5 . 2 5 . 3 5.4 5.5 5.6 5.9 6 . 4 7 . 1 7 . 6 8 . 5 8 . 6 8 . 9 6 . 3 1 . 4 1.1 1.5 1 . 8 1 . 9 1 . 7 2 . 1 2 . 2 2 . 4 2 . 1 2 . 3 1 . 7 1 . 8 2 . 2 3 . 1 4 . 1 4 . 3 4 . 5 5 . 1 5 . 1 5 . 1 5 . 0 5 . 2 5 . 1 5 . 1 5 . 1 5 . 1 5 . 0 4 . 9 4 . 8 4 . 8 4 . 9 4 . 8 4 . 7 4 . 6 4 . 6 4 . 6 4 . 6 4 . 4 4 . 3 4 . 2 4 . 2 4 . 2 4 . 6 4 . 6 4 . 6 4 . 8 5 . 7 6 . 0 6 . 3 6 . 4 6 . 5 6 . 4 6 . 2 6 . 1 6 . 1 6 . 2 6 . 4 6 . 9 7 . 6 8 . 3 9 . 3 1 0 . 7 1 1 . 8 1 1 . 8 9 . 8 1 . 7 1.4 1.9 2 . 2 2 . 4 2 . 1 2 . 4 2 . 6 2 . 1 2 . 4 1 . 7 1 . 3 1 . 5 2 . 7 4 . 6 5 . 1 6 . 0 6 . 0 5 . 9 6 . 1 5 . 9 5 . 9 5 . 8 5.7 5.7 5.85.75.65.5 5.5 5 . 4 5 . 4 5.3 5. 3 5 . 3 5 . 2 5 . 1 5 . 0 5 . 0 4 . 9 4 . 8 4 . 8 4.74.65.45.6 6.5 7 . 3 7.77.87.7 7.4 7 . 4 7 . 5 7.37.57.9 8.4 9 . 5 1 0 . 9 1 2 . 6 1 4 . 5 1 4 . 7 1 3 . 2 2 . 0 1.9 4.1 3 . 9 3 . 6 3 . 4 2 . 8 2 . 9 2 . 4 0 . 9 1 . 0 1 . 1 1 . 4 5 . 2 6 . 0 6 . 9 7 . 0 7 . 3 7 . 0 6 . 8 6 . 7 6 . 5 6 . 5 6 . 5 6 . 6 6 . 6 6 . 5 6 . 4 6 . 2 6 . 1 6 . 0 6 . 1 6 . 1 6 . 0 5 . 9 5 . 8 5 . 7 5 . 6 5 . 6 5 . 5 5 . 4 5 . 3 5 . 1 5 . 2 6 . 3 6 . 5 8 . 8 9 . 8 1 0 . 1 9 . 4 9 . 0 8 . 8 8 . 9 8 . 7 9 . 0 9 . 5 1 0 . 6 1 2 . 1 1 4 . 1 1 6 . 8 1 7 . 6 1 6 . 8 2 . 6 2.5 4.6 4 . 2 3 . 9 4 . 1 3 . 2 2 . 4 7.1 8.2 8 . 7 8 . 5 8 . 3 8 . 1 7 . 8 7 . 6 7.4 7.4 7 . 4 7 . 4 7 . 4 7.3 7.2 7 . 0 6 . 9 6 . 8 6 . 8 6 . 9 6 . 7 6 . 7 6 . 6 6 . 5 6 . 4 6 . 4 6 . 3 6 . 1 6 . 0 5 . 9 5 . 3 5.7 7.4 10.1 1 2 . 5 1 2 . 6 1 1 . 7 1 0 . 8 1 0 . 4 1 0 . 5 1 0 . 4 1 0 . 8 1 1 . 5 1 3 . 0 1 5 . 3 1 8 . 3 2 0 . 4 1 9 . 8 3 . 4 3.2 4. 8 4 . 6 4 . 4 4 . 9 5 . 9 7.9 10.0 9 . 8 9 . 7 9 . 4 9 . 1 8 . 8 8 . 4 8 . 2 8 . 3 8 . 3 8 . 4 8 . 3 8 . 1 7 . 9 7 . 7 7 . 7 7 . 6 7 . 5 7 . 6 7 . 4 7 . 5 7 . 4 7 . 2 7 . 1 6 . 9 6 . 8 6 . 6 6 . 5 6 . 5 5 . 6 5 . 1 4 . 8 9 . 5 1 5 . 7 1 6 . 2 1 4 . 6 1 2 . 3 1 1 . 8 1 2 . 0 1 2 . 1 1 2 . 7 1 3 . 7 1 5 . 6 1 8 . 6 2 1 . 5 2 1 . 7 4 . 5 3.9 5 . 2 5 . 1 5 . 9 7 . 8 8 . 9 1 0 . 5 1 1 . 5 1 2 . 4 1 2 . 3 1 1 . 6 1 1 . 0 1 0 . 9 1 0 . 6 1 0 . 2 9 . 9 9 . 5 9 . 3 9 . 2 9 . 1 9 . 3 9 . 2 9 . 0 8 . 8 8 . 5 8 . 4 8 . 3 8 . 2 8 . 4 8 . 3 8 . 3 8 . 0 7 . 8 7 . 9 7.47.0 6 . 7 6 . 3 6 . 1 5 . 6 19.1 18.7 1 6 . 1 1 3 . 5 1 3 . 4 1 3 . 7 1 4 . 0 1 4 . 9 1 6 . 0 1 8 . 4 2 1 . 0 2 2 . 0 1 5 . 3 4.6 5.5 6 . 3 8 . 0 1 0 . 1 1 1 . 1 1 2 . 3 1 2 . 9 1 3 . 7 1 3 . 0 1 2 . 3 1 2 . 1 1 1 . 8 1 1 . 4 1 1 . 2 1 0 . 8 1 0 . 4 1 0 . 3 1 0 . 2 1 0 . 1 1 0 . 1 9 . 9 9 . 5 9 . 2 9 . 0 8 . 9 8 . 8 8 . 9 8 . 9 8 . 8 8 . 7 8 . 5 8 . 4 8 . 4 8 . 3 8 . 0 8 . 0 7 . 1 6 . 6 20.1 19.5 1 7 . 3 1 4 . 8 1 4 . 4 1 5 . 1 1 5 . 9 1 6 . 9 1 8 . 5 2 1 . 0 2 3 . 8 1 9 . 0 5.3 6.6 7.79.7 10. 7 1 1 . 6 1 2 . 6 1 4 . 5 1 4 . 0 1 3 . 2 1 3 . 2 1 2 . 9 1 2 . 7 1 2 . 3 1 1 . 9 1 1 . 5 1 1 . 4 1 1 . 2 1 0 . 9 1 0 . 7 1 0 . 4 1 0 . 1 9 . 8 9 . 7 9 . 4 9 . 3 9 . 3 9 . 2 9 . 2 9 . 3 9 . 1 8 . 8 8 . 9 8 . 7 8 . 6 8 . 6 9 . 0 9 . 2 1 0 . 6 1 1 . 8 1 6 . 7 1 9 . 0 1 8 . 9 1 7 . 2 1 5 . 1 1 5 . 4 1 6 . 3 1 7 . 2 1 8 . 7 2 1 . 2 2 3 . 5 1 6 . 3 6.1 7.2 8 . 2 9 . 2 1 0 . 1 1 0 . 8 1 5 . 3 1 4 . 9 1 4 . 5 1 4 . 8 1 4 . 4 1 4 . 0 1 3 . 7 1 3 . 2 1 2 . 7 1 2 . 3 1 2 . 1 1 1 . 8 1 1 . 4 1 1 . 1 1 0 . 6 1 0 . 3 1 0 . 1 9 . 9 9 . 7 9 . 8 9 . 7 9 . 7 9 . 6 9 . 4 9 . 4 9 . 4 9 . 4 9 . 2 9 . 3 9 . 6 9 . 9 1 0 . 7 1 3 . 0 1 5 . 7 1 7 . 1 1 7 . 2 1 6 . 6 1 5 . 7 1 6 . 0 1 7 . 2 1 8 . 8 2 0 . 9 2 3 . 0 1 4 . 5 5.9 6.0 1 . 1 1 . 1 1 . 2 1 7 . 2 1 6 . 2 1 6 . 1 1 6 . 1 1 5 . 9 1 5 . 6 1 5 . 2 1 4 . 5 1 3 . 9 1 3 . 3 1 2 . 8 1 2 . 5 1 2 . 0 1 1 . 5 1 1 . 1 1 0 . 6 1 0 . 4 1 0 . 2 1 0 . 1 1 0 . 1 9 . 9 1 0 . 0 9 . 8 9 . 6 9 . 7 9 . 6 9 . 6 9 . 6 9 . 6 1 0 . 0 1 0 . 3 1 2 . 0 1 3 . 8 1 4 . 9 1 6 . 2 1 6 . 5 1 6 . 2 1 6 . 2 1 7 . 0 1 8 . 2 1 9 . 7 2 2 . 0 1 2 . 9 1.4 1.5 1 . 5 1 . 4 1 7 . 3 1 8 . 4 1 8 . 2 1 8 . 1 1 8 . 0 1 7 . 4 1 7 . 0 1 6 . 1 1 5 . 2 1 4 . 4 1 3 . 8 1 3 . 1 1 2 . 6 1 2 . 1 1 1 . 4 1 0 . 9 1 0 . 8 1 0 . 5 1 0 . 3 1 0 . 4 1 0 . 2 1 0 . 1 1 0 . 0 9 . 8 9 . 8 9 . 8 9 . 9 9 . 9 1 0 . 1 1 0 . 9 1 1 . 4 1 2 . 2 1 3 . 8 1 4 . 8 1 5 . 7 1 6 . 3 1 6 . 6 1 6 . 7 1 7 . 6 1 8 . 8 2 0 . 5 1 2 . 4 1.6 1. 8 1 . 6 2 0 . 3 2 0 . 5 2 0 . 2 2 0 . 8 2 0 . 3 1 9 . 6 1 8 . 7 1 7 . 6 1 6 . 4 1 5 . 6 1 4 . 6 1 3 . 8 1 3 . 0 1 2 . 4 1 1 . 7 1 1 . 2 1 1 . 0 1 0 . 6 1 0 . 5 1 0 . 4 1 0 . 2 1 0 . 2 1 0 . 2 1 0 . 0 9 . 9 1 0 . 0 1 0 . 0 1 0 . 2 1 0 . 8 1 1 . 3 1 1 . 8 1 3 . 3 1 4 . 2 1 5 . 1 1 6 . 1 1 6 . 7 1 7 . 2 1 7 . 7 1 8 . 3 1 9 . 0 1 2 . 7 1.6 1 . 8 2 5 . 3 2 4 . 2 2 3 . 7 2 3 . 3 2 3 . 2 2 2 . 1 2 1 . 0 1 9 . 6 1 8 . 3 1 6 . 7 1 5 . 5 1 4 . 5 1 3 . 6 1 2 . 8 1 2 . 0 1 1 . 6 1 1 . 2 1 0 . 9 1 0 . 6 1 0 . 5 1 0 . 4 1 0 . 3 1 0 . 2 1 0 . 0 1 0 . 1 1 0 . 3 1 0 . 3 1 0 . 7 1 1 . 2 1 1 . 7 1 2 . 5 1 3 . 8 1 4 . 9 1 6 . 2 1 7 . 4 1 8 . 1 1 8 . 4 1 8 . 8 1 8 . 9 1 8 . 8 10.8 27.7 2 6 . 8 2 7 . 1 2 6 . 8 2 6 . 1 2 5 . 2 2 3 . 7 2 1 . 8 2 0 . 0 1 8 . 1 1 6 . 5 1 5 . 3 1 4 . 2 1 3 . 3 1 2 . 5 1 2 . 0 1 1 . 6 1 1 . 2 1 0 . 8 1 0 . 7 1 0 . 6 1 0 . 6 1 0 . 5 1 0 . 2 1 0 . 4 1 0 . 5 1 0 . 8 1 1 . 1 1 1 . 7 1 2 . 4 1 3 . 6 1 4 . 8 1 6 . 0 1 7 . 4 1 8 . 7 1 9 . 6 1 9 . 9 1 9 . 8 1 8 . 9 11.4 28.9 3 0 . 3 3 0 . 3 2 9 . 8 2 8 . 4 2 6 . 6 2 4 . 2 2 1 . 6 1 9 . 6 1 7 . 8 1 6 . 2 1 4 . 8 1 3 . 8 1 3 . 0 1 2 . 3 1 2 . 0 1 1 . 5 1 1 . 1 1 0 . 9 1 0 . 8 1 0 . 8 1 0 . 9 1 0 . 7 1 0 . 7 1 1 . 0 1 1 . 2 1 1 . 7 1 2 . 4 1 3 . 2 1 4 . 5 1 6 . 0 1 7 . 6 1 9 . 2 2 0 . 5 2 1 . 4 2 1 . 5 2 0 . 4 9.8 32.3 3 3 . 5 3 3 . 1 3 1 . 5 2 9 . 4 2 6 . 6 2 3 . 6 2 1 . 1 1 8 . 8 1 6 . 9 1 5 . 5 1 4 . 4 1 3 . 4 1 2 . 6 1 2 . 1 1 1 . 7 1 1 . 3 1 1 . 3 1 1 . 0 1 1 . 0 1 1 . 0 1 0 . 8 1 1 . 1 1 1 . 4 1 1 . 7 1 2 . 2 1 3 . 0 1 4 . 3 1 5 . 8 1 7 . 6 1 9 . 5 2 1 . 1 2 2 . 4 2 2 . 9 2 1 . 9 9.7 34.9 3 5 . 6 3 4 . 2 3 1 . 9 2 8 . 8 2 5 . 6 2 2 . 5 1 9 . 8 1 7 . 6 1 6 . 1 1 4 . 8 1 3 . 6 1 2 . 8 1 2 . 2 1 1 . 7 1 1 . 4 1 1 . 4 1 1 . 2 1 1 . 2 1 1 . 1 1 1 . 0 1 1 . 3 1 1 . 7 1 2 . 0 1 2 . 7 1 3 . 7 1 5 . 3 1 7 . 1 1 9 . 1 2 1 . 1 2 2 . 8 2 4 . 0 2 3 . 4 9.6 36. 4 3 6 . 3 3 4 . 1 3 0 . 7 2 7 . 3 2 3 . 9 2 0 . 9 1 8 . 6 1 6 . 5 1 5 . 1 1 4 . 0 1 3 . 1 1 2 . 5 1 1 . 9 1 1 . 6 1 1 . 4 1 1 . 2 1 1 . 5 1 1 . 5 1 1 . 3 1 1 . 6 1 1 . 9 1 2 . 4 1 3 . 3 1 4 . 6 1 6 . 3 1 8 . 2 2 0 . 4 2 2 . 6 2 4 . 0 2 4 . 0 9.6 36 . 6 3 5 . 5 3 2 . 3 2 8 . 7 2 5 . 1 2 1 . 9 1 9 . 3 1 7 . 1 1 5 . 5 1 4 . 1 1 3 . 2 1 2 . 6 1 2 . 1 1 1 . 7 1 1 . 6 1 1 . 5 1 1 . 5 1 1 . 6 1 1 . 5 1 1 . 7 1 2 . 2 1 2 . 7 1 3 . 7 1 5 . 2 1 7 . 1 1 9 . 3 2 1 . 6 2 3 . 6 2 3 . 9 9.3 3 5 . 1 3 3 . 0 2 9 . 5 2 5 . 9 2 2 . 5 1 9 . 6 1 7 . 3 1 5 . 6 1 4 . 2 1 3 . 1 1 2 . 5 1 2 . 0 1 1 . 7 1 1 . 5 1 1 . 3 1 1 . 4 1 1 . 5 1 1 . 3 1 1 . 5 1 2 . 1 1 2 . 8 1 3 . 8 1 5 . 4 1 7 . 6 1 9 . 9 2 2 . 1 2 3 . 1 9.2 32.1 2 9 . 6 2 6 . 1 2 2 . 8 1 9 . 9 1 7 . 5 1 5 . 6 1 4 . 2 1 3 . 2 1 2 . 5 1 1 . 9 1 1 . 6 1 1 . 6 1 1 . 3 1 1 . 3 1 1 . 5 1 1 . 3 1 1 . 5 1 2 . 2 1 2 . 7 1 3 . 8 17.6 19.9 2 1 . 5 9.1 28.4 2 5 . 8 2 2 . 7 1 9 . 9 1 7 . 5 1 5 . 5 1 4 . 2 1 3 . 3 1 2 . 5 1 2 . 0 1 1 . 7 1 1 . 5 1 1 . 4 1 1 . 3 1 1 . 4 1 1 . 2 1 1 . 6 1 2 . 1 1 2 . 6 18.8 9.0 24.4 2 2 . 2 1 9 . 6 1 7 . 2 1 5 . 4 1 4 . 0 1 3 . 2 1 2 . 5 1 2 . 0 1 1 . 6 1 1 . 4 1 1 . 2 1 1 . 3 1 1 . 4 1 1 . 2 1 1 . 5 1 1 . 9 16.0 9.6 21.5 1 9 . 1 1 6 . 9 1 5 . 3 1 4 . 1 1 3 . 1 1 2 . 4 1 2 . 0 1 1 . 7 1 1 . 4 1 1 . 3 1 1 . 4 1 1 . 5 1 1 . 1 1 1 . 4 1 1 . 8 1 1 . 9 13.8 16.8 22.9 2 0 . 9 1 8 . 4 1 6 . 5 1 4 . 9 1 3 . 7 1 2 . 7 1 2 . 1 1 1 . 7 1 1 . 5 1 1 . 3 1 1 . 2 1 1 . 1 1 1 . 2 1 0 . 8 1 1 . 2 1 1 . 5 1 1 . 5 1 2 . 2 1 2 . 9 1 4 . 2 25.6 24.4 2 2 . 0 1 9 . 7 1 7 . 5 1 5 . 6 1 4 . 2 1 3 . 2 1 2 . 3 1 1 . 8 1 1 . 3 1 1 . 1 1 0 . 8 1 0 . 8 1 0 . 8 1 0 . 9 1 0 . 5 1 0 . 9 1 1 . 1 1 1 . 4 1 2 . 0 1 2 . 9 1 3 . 8 1 5 . 4 26.1 24.5 2 2 . 4 2 0 . 2 1 8 . 2 1 6 . 3 1 4 . 6 1 3 . 4 1 2 . 4 1 1 . 7 1 1 . 2 1 0 . 9 1 0 . 7 1 0 . 4 1 0 . 4 1 0 . 5 1 0 . 5 1 0 . 2 1 0 . 5 1 0 . 7 1 0 . 9 1 1 . 3 1 2 . 0 1 2 . 9 1 4 . 1 1 5 . 6 21.6 20.0 1 8 . 1 1 6 . 4 1 4 . 9 1 3 . 5 1 2 . 4 1 1 . 6 1 1 . 1 1 0 . 6 1 0 . 2 1 0 . 0 1 0 . 0 9 . 9 9 . 9 1 0 . 0 9 . 8 9 . 9 1 0 . 1 1 0 . 3 1 0 . 8 1 1 . 2 1 2 . 0 1 2 . 9 1 3 . 6 17.4 16.1 1 4 . 6 1 3 . 4 1 2 . 3 1 1 . 3 1 0 . 7 1 0 . 2 9 . 9 9 . 5 9 . 4 9 . 4 9 . 3 9 . 2 9 . 3 9 . 2 9 . 4 9 . 5 9 . 9 1 0 . 3 1 0 . 6 1 1 . 1 1 1 . 5 14.2 13.1 1 2 . 1 1 1 . 2 1 0 . 5 9 . 9 9 . 5 9 . 2 9 . 0 8 . 9 8 . 8 8 . 8 8 . 9 8 . 9 8 . 7 8 . 8 9 . 0 9 . 4 9 . 8 1 0 . 1 1 0 . 2 11.8 11. 1 1 0 . 3 9 . 7 9 . 3 8 . 9 8 . 7 8 . 6 8 . 5 8 . 4 8 . 4 8 . 5 8 . 5 8 . 4 8 . 5 8 . 6 8 . 9 9 . 3 9 . 4 10.2 9. 7 9 . 2 8 . 8 8 . 6 8 . 4 8 . 3 8 . 2 8 . 1 8 . 2 8 . 2 8 . 2 8 . 1 8 . 3 8 . 5 8 . 7 8 . 7 9.1 8 . 8 8 . 5 8 . 2 8 . 0 7 . 9 7 . 9 7 . 8 7 . 9 7 . 9 8 . 0 7 . 8 8 . 1 8 . 3 8 . 2 8.5 8.3 8 . 0 7 . 8 7 . 8 7.77.67.77.8 7.9 7 . 8 7 . 9 7 . 8 8.1 7.9 7 . 7 7 . 7 7 . 7 7 . 6 7 . 7 7 . 7 7 . 8 7 . 8 7 . 6 7.77.67.5 7.5 7 . 4 7 . 5 7.67.7 7.4 7.4 7.3 7 . 3 7 . 3 7 . 4 7 . 5 7 . 3 7.1 7.2 7 . 2 7 . 2 7 . 1 7.0 7. 0 6 . 8 6.5 LEVEL 01VARIES LEVEL 1.5VARIES SFRS SFRS SFRSSFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS SFRS S FRS SFRS S FRS SFRS SFRS SFRS SFRS Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinB1 - ENTRY RAMP_1_Top Illuminance Fc 35.04 61.9 0.0N.A. N.A.B1 - EXIT RAMP_Top Illuminance Fc 19.29 48.8 0.1 192.90 488.00B1_SLAB_Top Illuminance Fc 10.65 36.6 0.7 15.21 52.29 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWattsMountingHeight27 TT-D8-740-U-WQ Single TT-D8-740-U-WQ D8W 1.000 17562 148.7 4014.9 14.833, 2343 HPG14-www-xx-5W-CP-90L-40K8-D Single HPG14-www-xx-5W-CP-90L-40K8-DIM1-yyy-zzzz K90 0.850 11922 97 4171 16, 20, 23,28, 30, 31,34.333, 35,37, 382 XTOR1B-W Single XTOR1B-W W1 0.850 1397 12.2 24.4 3311GLEON-SA1A-740-U-T4FT Single GLEON-SA1A-740-U-T4FT W2 0.850 4909 34 37412, 14,17.5, 25, 35 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 19/05/2025 5 : 0 4 : 4 9   p .   m . LEVEL B1 -PHOTOMETRICPLAN E2.01A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/16" = 1'-0"LEVEL B1 - PHOTOMETRIC PLAN1 NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #12 05/19/2025 Bulletin #2 2 PP PP 'GDP' '1TE1' '1EH1''1EL1''1RP' '1L1' '1T1''1H1' 'SEC''FACP' 'CO1' 'CO2''1EH2' 'EGDP' '1TLA' '1TLB' 'BMS 2''BMS 1' 1H1-1(1RP-18)D6M 1EH1-17D6ME 1H1-1K401H1-1K40 1EH1-5X1 1EH1-5X1 1H1-1K40 1EH1-17K40E1EH1-17K40E 1EH1-5X1 1H1-1K40 1H1-1K40 1H1-2ST11EH1-6ST11H1-2ST1 1EH1-6ST11EH1-6ST1 1EH1-12ST11EH1-12ST1EM EM 1EH1-5X1 EM EM EM 1EH1-19RX7 3EH1-6ST1 3EH1-6ST1 WP WPL2 L2 EM EM 3EH1-6ST1 3EH1-6ST1 1EH1-17K40E 1H1-1K40 1EH1-17K40E EMEM 1H1-3(1RP-3)W11H1-3(1RP-3)±10'1EH1-11(1RP-4)W11EH1-11(1RP-4)±7' 1EH1-12X1 1EH1-11(1RP-4)W11EH1-11(1RP-4)±14' 1EH1-11(1RP-4)W11EH1-11(1RP-4)±14'1H1-3(1RP-3)W11H1-3(1RP-3)±14' 1H1-3(1RP-3)W21H1-3(1RP-3)±10'1EH1-11(1RP-4)W21EH1-11(1RP-4)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10' 1H1-3(1RP-3)W11H1-3(1RP-3)±10'1EH1-11(1RP-4)W21EH1-11(1RP-4)±10'1H1-3(1RP-3)W11H1-3(1RP-3)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10'1H1-3(1RP-3)W21H1-3(1RP-3)±10' 1H1-1K40 1H1-1K40 1EH1-5X1 1H1-1K40 1H1-1(1RP-18)D6M 1H1-1(1RP-18)D6M 1EH1-11(1RP-4)W11EH1-11(1RP-4)±14' 1EH1-11(1RP-4)W11EH1-11(1RP-4)±7' EM EM UTILITY ROOM FIRE RISER ROOM ELECTRICAL ROOM EM EM EM EM EMEM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.K G.L 1EH1-19RX7 1EH1-19RX7 EM EM 3EH1-6RX7EM 1H1-1K40 L4 L1 BEP BEP EM EM X1 EM1EH1-11(1RP-4)W11EH1-11(1RP-4)±14' 1EH1-5X1 EM EM EM E2.101 E2.102 E2.103 1EH1-8ST1 1EH1-8ST1 1EH1-8ST1 L4 1EH1-12RX7 1H1-1RX7 1H1-3W11H1-3 ±10' L1 WP 1EH1-4BEPEML1 1H1-11H1-1 1H1-1 1H1-1 L6 L6 L6 L6 EM L2 L91EH1-2ST2L81H1-1(1RP-18) EM EM 1H1-15 1H1-15 1H1-15 1EH1-5X1 1EH1-6ST1 1H1-2ST11EH1-6ST1 1H1-2ST1 4 4 EM EM LUKEJUSTINNo. 6598067-2202 GINEER ONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BY PROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 26/06/20 2 5 5 : 4 7 : 4 9 p . m . LEVEL 1 - PARKINGLIGHTING PLAN E2.02 PHASE 2 PERMIT SET 03/07/2025 61 S 40 0 W . SALT LA K E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SA L T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 1 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040.L8 ELEVATOR ENCLOSURE LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L9 ELEVATOR ENCLOSURE LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER. NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #14 06/25/2025 Bulletin #4 12.1 13.9 15.4 1 5 . 5 1 4 . 3 1 2 . 1 15.6 18.2 19.7 1 9 . 7 1 7 . 4 1 5 . 1 18.7 22.6 24.9 2 4 . 2 2 0 . 8 1 7 . 6 21.0 25.6 28.5 2 7 . 3 2 3 . 1 1 9 . 3 21.5 25.8 28.4 2 7 . 5 2 3 . 5 1 9 . 8 20.8 24.3 26.4 2 5 . 9 2 2 . 7 1 9 . 4 20.6 23.7 25.4 2 5 . 0 2 2 . 5 1 9 . 3 21.4 25.0 26.9 2 6 . 3 2 3 . 4 1 9 . 9 22.5 26.9 29.4 2 8 . 4 2 4 . 7 2 0 . 8 22.8 27.4 30.1 2 8 . 9 2 5 . 0 2 0 . 9 21.6 25.5 27.8 2 7 . 0 2 3 . 7 1 9 . 9 20.0 23.0 24.7 2 4 . 3 2 1 . 8 1 8 . 7 19.3 22.0 23.5 2 3 . 3 2 1 . 0 1 8 . 2 19.7 23.0 25.0 2 4 . 4 2 1 . 5 1 8 . 5 20.5 24.8 27.3 2 6 . 4 2 2 . 5 1 8 . 9 20.2 24.7 27.5 2 6 . 3 2 2 . 2 1 8 . 4 18.0 21.7 23.9 2 3 . 2 1 9 . 8 1 6 . 6 14.9 17.2 18.6 1 8 . 5 1 6 . 4 1 4 . 1 11.9 13.4 14.2 1 4 . 3 1 3 . 3 1 1 . 8 9.6 10.7 11.2 1 1 . 5 1 1 . 2 1 0 . 1 14.4 17.4 18.8 1 8 . 4 1 6 . 3 1 3 . 5 18.0 21.9 24.0 2 3 . 2 1 9 . 9 1 6 . 3 20.9 25.8 28.5 2 7 . 3 2 3 . 3 1 8 . 9 22.4 27.7 30.3 2 9 . 0 2 4 . 7 2 0 . 0 22.7 27.3 29.8 2 8 . 7 2 4 . 9 2 0 . 2 22.5 27.1 29.5 2 8 . 4 2 4 . 6 2 0 . 2 22.1 27.1 29.7 2 8 . 4 2 4 . 2 2 0 . 1 19.9 24.6 28.1 2 6 . 9 2 2 . 9 1 9 . 1 17.1 20.3 22.2 2 1 . 1 1 9 . 7 1 6 . 7 13.6 14.4 15.5 1 5 . 0 1 3 . 3 1 3 . 5 23.0 27.5 3 0 . 2 3 1 . 6 3 2 . 2 3 2 . 3 3 1 . 3 2 8 . 5 2 4 . 6 24.7 30.3 3 4 . 0 3 5 . 3 3 5 . 8 3 6 . 3 3 5 . 3 3 1 . 7 2 6 . 6 24.2 31.2 3 5 . 5 3 6 . 3 3 6 . 8 3 8 . 0 3 7 . 4 3 3 . 3 2 7 . 4 22.0 29.9 3 3 . 1 3 4 . 3 3 5 . 3 3 6 . 9 3 7 . 0 3 3 . 4 2 7 . 6 23.1 26.4 2 8 . 9 3 0 . 1 3 2 . 4 3 5 . 1 3 6 . 5 3 3 . 4 2 8 . 0 1.8 3 . 4 7 . 2 7 . 8 5.77.8 9 . 8 3 . 6 0 . 0 0 . 1 2.44.7 12.5 13 . 8 6 . 5 1 3 . 1 1 8 . 3 0.3 3.0 4 . 1 4.5 14.5 1 5 . 2 0.6 3.6 4 . 3 3 . 2 17.8 2 1 . 7 3.2 5.1 5 . 6 7 . 6 1 1 . 5 1 6 . 2 2 4 . 0 3 5 . 2 4 0 . 2 4 2 . 3 3 3 . 0 5.9 6 . 9 9 . 9 1 2 . 4 1 7 . 1 2 8 . 0 4 3 . 6 4 7 . 0 4 9 . 0 4 0 . 2 6.3 7 . 9 1 1 . 4 1 3 . 3 1 7 . 4 2 8 . 3 4 0 . 9 4 5 . 8 45.538.8 6.1 6 . 9 9 . 4 1 1 . 6 1 6 . 1 2 7 . 0 4 2 . 5 44.7 46.9 39. 8 5.55.9 7.49.4 1 3 . 3 2 1 . 0 3 0 . 3 3 2 . 9 3 3 . 8 3 0 . 2 4.85.5 6.6 8. 1 1 0 . 4 1 3 . 7 1 7 . 1 1 8 . 9 1 9 . 4 1 9 . 3 4.6 5 . 3 5 . 8 6 . 9 8 . 2 9 . 3 1 0 . 4 1 1 . 3 1 1 . 8 1 3 . 5 4.65.5 6.2 6. 9 6 . 9 7 . 3 7 . 3 7 . 8 8 . 2 1 0 . 5 4.76.4 8 . 3 8 . 3 6 . 9 6 . 7 6 . 5 6 . 6 6 . 9 9 . 3 2.1 2 . 8 3 . 4 4 . 3 5 . 1 6 . 9 9 . 5 8 . 8 7 . 0 6 . 6 6 . 6 6 . 2 6 . 5 9 . 1 2.3 3 . 1 3 . 9 4 . 6 5 . 1 6 . 3 7.77.9 7 . 3 7 . 9 8 . 2 6 . 9 6 . 3 9 . 3 2.9 3 . 5 4.44.8 6.1 6 . 1 6 . 8 7 . 0 7.48.7 9 . 5 7.7 6.5 9.4 3.24.56.1 6 . 1 6 . 0 7 . 0 8 . 0 8 . 0 7 . 3 7.7 8.0 6. 7 6 . 0 9 . 2 3.8 6 . 1 8 . 5 7 . 9 6 . 8 8 . 0 9 . 9 8 . 9 6 . 7 6 . 2 5 . 9 5.4 5.6 8.5 3.9 5 . 8 7 . 6 7.56.7 7 . 6 8 . 6 8 . 1 6 . 2 5.5 4.9 4. 8 4 . 8 7.7 3.6 5 . 1 5 . 9 6 . 5 6 . 2 6 . 8 6 . 7 6 . 5 5 . 2 4.7 4.0 4. 0 4 . 3 6 . 9 3.7 4 . 8 5.76.0 6.3 6 . 2 6 . 3 5 . 9 4 . 9 4 . 1 3 . 5 3 . 4 3 . 6 5.7 3.6 5 . 2 7 . 1 6 . 8 6 . 0 6 . 5 7.46.4 4.73.8 3 . 0 2 . 7 2 . 6 3.6 5 . 9 7 . 9 7 . 3 6 . 0 6 . 8 8 . 3 6 . 9 4 . 3 3 . 3 2 . 6 2 . 1 3.04.56.15.74.95.4 6.35.4 3.8 2. 8 2 . 1 0.0 0 . 0 2 . 4 3 . 0 3 . 7 3 . 8 3 . 9 3 . 8 3 . 9 3 . 5 2 . 7 2 . 3 4.6 2 . 7 1 . 7 1 . 3 1 . 1 1 . 0 2.1 3 . 3 2 . 3 1 . 8 1 . 6 1 . 4 22.5 2 5 . 6 2 5 . 5 2 3 . 6 1 4 . 0 9 . 0 1 7 . 4 2 3 . 9 1 0 . 5 4 . 9 3 . 3 2 . 7 2 . 3 2 . 1 20.9 2 3 . 1 2 3 . 1 2 1 . 1 1 3 . 9 1 1 . 6 2 7 . 0 3 9 . 1 1 5 . 6 6 . 7 4 . 6 3 . 7 3 . 1 2 . 9 9.9 9 . 6 9 . 2 8 . 6 7 . 9 1 0 . 9 2 8 . 4 4 1 . 4 1 7 . 2 7 . 9 5 . 8 4 . 8 4.43.8 6.2 5 . 1 4 . 6 4.7 5. 4 8.7 22 . 1 3 2 . 0 1 4 . 6 8 . 5 8 . 9 6 . 9 5 . 0 4 . 6 3.7 3 . 5 3 . 3 3 . 4 4.4 6.0 11 . 0 1 4 . 1 9 . 5 8 . 9 1 1 . 3 8 . 8 5.75.0 4.0 4 . 1 5 . 6 6 . 4 6 . 5 6 . 8 7 . 8 6 . 4 5 . 0 4.7 4.1 3 . 4 4 . 1 4.75.15.55.2 4 . 9 4 . 6 4 . 0 4.9 3 . 7 4 . 0 4.44.84.74.6 4 . 2 3 . 7 3 . 4 7.1 4.5 4. 4 4.9 5.0 5 . 0 4.73.9 3.3 2 . 9 8.4 5 . 2 4 . 8 5.7 7.4 6.24.73.9 3.1 2 . 6 7.6 4 . 8 4 . 9 7 . 1 1 0 . 5 8 . 4 5 . 3 4 . 0 3 . 0 2 . 5 7.1 4 . 3 4 . 9 5 . 8 7 . 8 6 . 6 4 . 8 3 . 9 3 . 1 2 . 5 8.6 4 . 6 4 . 3 4.75.1 5 . 0 4 . 8 3 . 9 3 . 3 2 . 8 8.5 4.53.8 4 . 0 4.54.6 4.6 4 . 2 3 . 6 3 . 2 6.8 3 . 7 3 . 6 3 . 7 4 . 3 4 . 8 5 . 1 4.7 4.5 3.6 7.0 3 . 6 3 . 2 3 . 4 4 . 3 5.5 7.7 6.44.74.3 7.1 3 . 8 2 . 8 3 . 1 3 . 9 6 . 5 1 0 . 1 8 . 1 5 . 1 4.5 5.1 2 . 7 2 . 4 2 . 7 3 . 6 4 . 8 6 . 5 5.54.3 4 . 0 2.9 1 . 7 1 . 9 2 . 2 2 . 8 3 . 5 3 . 7 3 . 7 3 . 6 3 . 1 1.0 1. 3 1 . 6 2 . 0 2 . 3 2 . 6 2 . 6 2 . 5 2 . 4 0.9 1 . 1 1 . 4 1 . 6 1 . 8 1 . 8 1 . 7 1 . 7 0.8 0.9 1 . 1 1 . 2 1 . 2 1 . 2 1 . 1 0.6 0 . 7 0 . 8 0 . 8 0 . 8 0 . 8 0.7 0 . 7 0 . 8 0 . 9 1 . 0 1.1 1.2 1. 2 0 . 6 0 . 7 0 . 7 0 . 8 0 . 8 0 . 7 0 . 7 0 . 7 0 . 6 0 . 5 0 . 4 0 . 4 0 . 3 0 . 2 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0.7 0 . 8 0 . 9 1 . 0 1.11.3 1.4 1. 4 0.8 0.8 0 . 9 0 . 9 0 . 9 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 5 0 . 4 0 . 3 0 . 3 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0.8 0 . 9 1 . 0 1.1 1.21.4 1.61.7 0.9 1.0 1.1 1.1 1 . 1 1 . 1 1.0 0.9 0 . 8 0 . 7 0 . 6 0 . 5 0 . 4 0 . 3 0 . 2 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0.9 1 . 0 1.11.2 1 . 3 1.5 1.8 1. 9 1.11.2 1 . 3 1 . 3 1 . 3 1 . 3 1 . 2 1.11.0 0 . 8 0 . 7 0 . 6 0 . 4 0 . 3 0 . 3 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 1.01.11.3 1. 3 1.41.6 1 . 9 2 . 1 1 . 2 1.4 1 . 5 1 . 5 1 . 5 1 . 5 1 . 4 1.31.1 0.9 0. 8 0 . 6 0 . 5 0 . 3 0 . 3 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 0 0 . 0 1.11.2 1.3 1.4 1 . 5 1 . 7 2.0 2. 3 1 . 3 1.51.61.7 1 . 7 1.61.5 1.4 1.2 1 . 0 0 . 8 0 . 6 0 . 5 0 . 3 0 . 2 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 1.11.21.4 1. 5 1.61.7 2.0 2. 4 1 . 3 1.51.61.7 1 . 7 1.61.5 1.4 1.2 1 . 0 0 . 8 0 . 6 0 . 4 0 . 3 0 . 2 0 . 1 0 . 1 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 1.11.31.4 1. 4 1 . 4 1.0 1 . 2 1.4 1.11.31.41.2 1 . 2 1.1 1.21.5 1.2 1 . 3 1.4 1. 4 1 . 4 1 . 1 1.31.5 1.2 1 . 3 1.5 1. 4 1 . 4 1.2 1.4 1. 7 1.2 1 . 3 1.5 1. 4 1 . 4 1.2 1.4 1. 7 1.31.5 1.4 1 . 4 1 . 4 1.3 1.5 1. 7 1.31.41.6 1. 6 1 . 6 1 . 6 1.5 1. 7 1.31.4 1.5 1.6 1 . 6 1 . 6 1 . 8 1 . 6 1.21.4 1.5 1 . 5 1.6 1. 6 1 . 8 1 . 9 1.2 1 . 3 1.4 1. 5 1.6 1. 6 1 . 8 1 . 8 0 . 9 0 . 9 1.11.31.4 1. 4 1 . 5 1.6 1 . 8 1 . 8 0 . 9 0 . 9 1 . 0 1 . 2 1.11.2 1.3 1.4 1 . 5 1.6 1 . 8 1.4 1.0 0.9 1 . 0 1 . 2 1.01.11.2 1. 3 1.41.6 1.7 1. 4 1.0 0.9 1 . 0 1 . 3 0.9 1 . 0 1.11.2 1.4 1. 5 1.6 1. 3 1 . 0 0 . 9 1 . 0 1 . 3 0.9 1 . 0 1.11.2 1 . 3 1.4 1 . 5 1 . 1 1.0 1.0 1 . 0 1 . 3 0.8 0 . 9 1 . 0 1.1 1.31.4 1 . 4 1 . 1 1.0 0.9 1 . 0 1 . 3 0.8 0 . 8 0 . 9 1 . 0 1 . 2 1 . 3 1 . 3 1 . 0 1 . 0 0 . 9 1 . 0 1 . 3 0.7 0 . 8 0 . 9 1 . 0 1.11.2 1 . 3 1 . 0 0 . 9 0 . 9 1 . 0 1 . 2 0.7 0 . 7 0 . 8 0 . 9 1 . 0 1.1 1.2 0. 9 0 . 9 0 . 9 1 . 0 1 . 2 0.6 0 . 7 0 . 8 0 . 8 0 . 9 1 . 0 1.10.9 0 . 9 0 . 9 0 . 9 1.1 0.6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 1 . 0 0 . 8 0 . 8 0 . 8 0 . 9 1.1 0.5 0 . 6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 0 . 8 0 . 8 0 . 8 0 . 9 1 . 0 0 . 0 0.5 0 . 5 0 . 6 0 . 6 0 . 7 0 . 7 0 . 8 0 . 7 0 . 7 0 . 8 0 . 8 0 . 9 0 . 0 0 . 0 0.4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 8 0 . 8 0 . 0 0 . 0 0 . 0 0.4 0 . 4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 7 0 . 7 0 . 7 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.4 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 6 0 . 6 0 . 2 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.3 0 . 3 0 . 3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 2 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 2 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.2 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 4 0 . 3 0 . 2 0 . 1 0 . 1 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 2 0 . 3 0 . 3 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 2 0 . 2 0 . 2 0 . 2 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 2 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 2 0 . 2 0 . 3 0 . 2 0 . 4 0 . 4 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 2 0 . 2 0 . 2 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 2 0 . 3 0 . 4 0 . 4 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0 . 3 0 . 4 0 . 3 0 . 5 0 . 4 0 . 7 0 . 6 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 2 0 . 3 0 . 3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 2 0 . 3 0 . 3 0 . 6 0 . 9 0 . 8 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0 . 3 0 . 4 0 . 3 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 3 0 . 3 0 . 6 1.11.0 0. 9 0 . 8 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 4 0 . 4 1.4 1 . 4 1.21.1 1.0 1. 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 5 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 5 0 . 6 1 . 8 1.7 1.5 1.3 1 . 2 1 . 2 1.1 1. 1 1.0 0.8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 4 0.7 0 . 7 2 . 3 2 . 1 1 . 8 1 . 6 1.41.6 1.41.2 1.10.9 0 . 8 0 . 7 0 . 6 0 . 5 0 . 5 0 . 5 0.9 1 . 0 2 . 9 2 . 5 2 . 1 1 . 8 1 . 6 1 . 8 1 . 6 1.4 1.2 1.0 0 . 9 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 1.2 1 . 2 3 . 4 3 . 0 2 . 5 2 . 1 1 . 8 2 . 0 1 . 8 1.5 1.31.10.9 0.8 0 . 7 0 . 6 0 . 6 0 . 5 1.4 1 . 5 4.0 3 . 4 2 . 8 2 . 4 2 . 0 2 . 2 1 . 9 1 . 6 1.41.2 1 . 0 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 1.7 1 . 7 4.6 3 . 8 3 . 2 2 . 6 2 . 2 2 . 4 2 . 1 1.7 1 . 4 1.2 1 . 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 2.0 2 . 0 5 . 0 4.13.4 2. 8 2 . 3 2 . 5 2 . 2 1 . 8 1.51.31.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.2 2 . 2 5.14.3 3.6 2 . 9 2 . 4 2 . 6 2 . 3 1 . 9 1 . 6 1 . 3 1.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.4 2 . 3 5.14.3 3.6 3 . 0 2 . 5 2 . 7 2 . 3 1 . 9 1 . 6 1 . 3 1.11.0 0 . 8 0 . 7 0 . 7 0 . 6 2.4 2 . 3 4 . 9 4 . 2 3 . 5 3 . 0 2 . 5 2 . 7 2 . 3 2 . 0 1 . 6 1.4 1 . 1 1.0 0 . 8 0 . 7 0 . 7 0 . 6 2.5 2 . 3 4.53.9 3.4 2 . 9 2 . 5 2 . 7 2 . 3 1 . 9 1 . 6 1.4 1 . 1 1.0 0 . 8 0 . 7 0 . 7 0 . 6 2.4 2 . 2 4 . 0 3 . 6 3 . 2 2 . 8 2 . 4 2 . 6 2 . 3 1 . 9 1 . 6 1.4 1 . 1 1.0 0 . 8 0 . 8 0 . 7 0 . 6 2.4 2 . 1 3 . 6 3 . 3 3 . 0 2 . 7 2 . 4 2 . 5 2 . 2 1 . 9 1 . 6 1 . 3 1.11.0 0 . 8 0 . 7 0 . 7 0 . 6 2.3 2 . 0 3 . 2 3 . 0 2 . 8 2 . 5 2 . 2 2 . 4 2 . 1 1 . 8 1.51.31.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.2 1 . 8 2 . 8 2 . 7 2 . 6 2 . 4 2 . 1 2 . 2 2 . 0 1.7 1 . 5 1.31.10.9 0 . 8 0 . 7 0 . 7 0 . 6 2.11.72.5 2 . 4 2 . 4 2 . 2 2 . 0 2 . 1 1 . 9 1 . 6 1.41.2 1 . 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 2.0 1 . 6 2 . 2 2 . 2 2 . 2 2 . 0 1 . 8 1 . 9 1 . 8 1 . 6 1 . 3 1 . 2 1 . 0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 2.01.52.0 2 . 0 2 . 0 1 . 9 1.71.8 1.7 1. 5 1.31.11.0 0.8 0 . 8 0 . 7 0 . 7 0 . 6 1.91.51.8 1 . 9 1 . 9 1 . 8 1 . 6 1.7 1.61.4 1.21.10.9 0.8 0 . 8 0 . 7 0 . 7 0 . 6 1.81.4 1.7 1 . 7 1 . 7 1 . 7 1 . 5 1.6 1.51.3 1.11.0 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 1.7 1 . 4 1.6 1 . 6 1 . 6 1.5 1 . 4 1 . 5 1 . 4 1.2 1.10.9 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 1.61.4 1.5 1 . 5 1 . 5 1 . 4 1.3 1. 3 1 . 3 1.1 1.0 0.9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0.01.51.31.41.3 1.3 1 . 3 1 . 2 1 . 2 1 . 2 1.1 1.0 0.9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0.0 0 . 5 1.41.2 1.3 1 . 2 1 . 2 1 . 2 1.1 1. 1 1 . 1 1.0 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0.0 0.3 0 . 4 1 . 2 1 . 2 1 . 2 1.1 1.1 1 . 1 1.01.1 1 . 1 1.0 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0.0 0 . 0 0 . 0 0 . 0 0.0 0 . 2 0 . 2 0 . 3 1.1 1 . 1 1 . 1 1.0 1.0 1 . 0 0 . 9 1.1 1.0 0. 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 2 0 . 5 1 . 0 1 . 0 1 . 0 0 . 9 0 . 9 0 . 9 0 . 9 1 . 0 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 1 0 . 2 0 . 5 0 . 9 0 . 9 0 . 9 0 . 8 0 . 8 0 . 9 0 . 8 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 1 0 . 1 0 . 2 0 . 4 0 . 7 0 . 8 0 . 8 0 . 7 0 . 8 0 . 7 0 . 7 0 . 8 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 2 0 . 4 0 . 6 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0.0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 0 0 . 1 0 . 1 0 . 1 0 . 2 0 . 4 0 . 5 0 . 6 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 6 0 . 6 0 . 5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 W1MH: 15.875W1MH: 15.875W1MH: 15.875 W2MH: 15.87 5 W2MH: 15.87 5 W2MH: 15.87 5 W2MH: 15.87 5 RX7MH: 8.8 RX7MH: 8.8 K40MH: 13.958 K40MH: 13.95 8 K40MH: 13.958 ST1MH: 13.958 ST1MH: 13.958 RX7MH: 13.958RX7MH: 13.958RX7MH: 13.958RX7MH: 13.958 RX7MH: 13.958 RX7MH: 13.958 RX7MH: 13.958 W1MH: 17.01 3 W2MH: 17.013 W2MH: 17.013 W2MH: 17.013 W1MH: 17.013 W1MH: 17.013 W1MH: 17.013 W1MH: 17.013 W2MH: 17.013 W2MH: 17.013 W2MH: 17.013 K40MH: 13.212 K40MH: 10.069 K40MH: 8.598 K40MH: 9.5 K40MH: 9.5 D6MMH: 9.5 D6MMH: 9.5 D6MMH: 9.5 D6MMH: 9.5 K40MH: 9.5 K40MH: 14.683 K40MH: 17.167 ST1MH: 8.2 ST1MH: 8.2 ST1MH: 8.2 ST1MH: 8.2 ST1MH: 8.2 K40MH: 9.5 K40MH: 9.5 K40MH: 9.5 K40MH: 9.5 1.5 2.2 3.04.4 5.46.7 6.9 5.9 5.34.54.1 4.0 1.52.1 2.94.56.0 9.5 9.9 6.4 5.24.13.7 3.5 1.4 2.0 2.94.45.8 9.1 9.3 6.3 5.1 3.8 3.2 2.9 1.3 1.9 2.7 3.75.15.9 6.1 5.34.13.3 2.8 2.4 1.2 1.7 2.4 3.3 4.14.74.8 4.3 3.6 2.7 2.1 1.6 1.1 1.6 2.3 3.0 3.9 4.6 4.6 4.0 3.2 2.5 1.9 1.4 1.1 1.6 2.3 3.1 4.1 5.1 5.1 4.1 3.2 2.4 1.8 1.3 1.1 1.6 2.3 3.6 5.0 8.0 8.3 5.1 3.7 2.4 1.7 1.2 1.0 1.6 2.3 3.7 5.6 9.7 10.1 5.7 3.8 2.4 1.6 1.1 1.0 1.5 2.2 3.24.76.4 6.4 4.8 3.2 2.3 1.5 1.1 0.9 1.3 1.9 2.8 3.6 4.64.73.8 2.8 2.01.41.0 0.9 1.3 1.8 2.3 3.0 3.4 3.5 3.2 2.6 1.8 1.3 1.0 0.9 1.31.72.2 2.7 3.1 3.2 2.9 2.4 1.8 1.3 1.0 0.9 1.3 1.8 2.4 3.1 3.3 3.4 3.3 2.7 2.2 1.4 1.1 1.01.42.0 2.9 3.85.15.2 4.0 3.2 2.4 1.61.1 1.0 1.5 2.1 3.44.78.4 8.7 4.9 3.7 2.6 2.1 1.3 1.0 1.6 2.3 3.6 4.9 7.8 8.0 5.34.12.8 2.21.4 1.1 1.6 2.3 3.24.75.35.44.9 3.6 2.9 2.3 2.11.91.7 1 . 4 1.21.1 0.9 0. 9 0 . 9 0 . 8 0 . 8 0 . 7 0 . 6 2.2 2.0 1.7 1.5 1.3 1.1 1. 1 1 . 1 1.2 1 . 2 1.10.8 2.6 2.4 2 . 2 2 . 0 1.7 1 . 5 1 . 4 1 . 5 1.6 1.71.6 1 . 3 3.5 3.3 3 . 3 2 . 9 2 . 3 1 . 9 1.7 2.1 2. 5 2 . 6 2 . 8 1 . 9 4.2 5.0 4 . 9 3 . 6 2 . 8 2 . 2 2 . 2 2 . 4 3 . 5 4 . 8 3 . 9 2 . 9 4.57.9 8 . 4 4 . 6 3 . 2 2 . 3 2 . 4 2 . 8 5.1 8.6 5.9 2 . 8 4.2 6.4 6 . 6 4.12.9 2 . 2 2 . 2 2 . 4 4.1 6.2 4.6 2 . 6 2.9 3.5 3 . 4 2 . 9 2 . 1 1 . 8 1.7 2.1 2. 4 3 . 1 2 . 5 2 . 1 2.2 2.3 2 . 2 1 . 8 1.5 1.3 1. 2 1 . 3 1.7 1.9 1.6 1 . 2 1.4 1.4 1.31.11.0 0 . 9 0 . 8 0 . 9 1 . 0 1 . 0 0 . 9 0 . 7 0.9 0.9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 5 0 . 4 0.6 0.5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 2 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts74VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 222.610 GLEON-SA1A-740-U-T4FT Single GLEON-SA1A-740-U-T4FT W2 0.850 4909 34 3409 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 278.3888 XTOR1B-W Single XTOR1B-W W1 0.850 1397 12.2 97.64 TT-D6-740-U-MQ Single TT-D6-740-U-MQ D6M 0.850 13253 105.2 420.815HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 675 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinELECTRICAL_1_Floor Illuminance Fc 20.99 30.1 9.6 2.19 3.14ELECTRICAL_2_Floor Illuminance Fc 22.04 30.3 13.3 1.66 2.28ELECTRICAL_Floor Illuminance Fc 31.44 38.0 22.0 1.43 1.73Level 1 Ramp_Lower_Top Illuminance Fc 3.34 10.1 0.9 3.71 11.22Level 1 Ramp_Upper_Top Illuminance Fc 2.13 8.6 0.2 10.65 43.00Level 1_Lower Landing_Top Illuminance Fc 9.46 49.0 0.0N.A. N.A.Level 1_Upper Landing_Top Illuminance Fc 6.12 41.4 0.6 10.20 69.00Level B1_Top Illuminance Fc 0.74 2.4 0.0N.A. N.A.Level B1b_Top Illuminance Fc 0.925.10.0N.A. N.A. Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinCalcPts_1 Illuminance Fc 2.60 26.8 0.0N.A. N.A.Landing _2_Top Illuminance Fc 15.98 18.8 12.5 1.28 1.50Landing 1_Top Illuminance Fc 18.68 20.1 17.3 1.08 1.16Stair Tread_2_Top_1 Illuminance Fc 17.15 17.516.8 1.02 1.04Stair Tread_3_Top_1 Illuminance Fc 17.4017.517.3 1.01 1.01Stair Tread_4_1_Top_1 Illuminance Fc 18.80 19.0 18.6 1.01 1.02Stair Tread_4_2_Top_1 Illuminance Fc 17.90 18.317.51.02 1.05Stair Tread_4_3_Top_1 Illuminance Fc 14.80 15.8 13.8 1.07 1.14Stair Tread_4_4_Top_1 Illuminance Fc 14.15 15.3 13.0 1.09 1.18Stair Tread_4_5_Top_1 Illuminance Fc 13.75 15.0 12.5 1.10 1.20Stair Tread_4_6_1_Top_1 Illuminance Fc 13.8515.112.6 1.10 1.20Stair Tread_4_6_2_Top_1 Illuminance Fc 15.85 16.7 15.0 1.06 1.11Stair Tread_4_6_3_Top_1 Illuminance Fc 15.1516.1 14.2 1.07 1.13Stair Tread_4_6_4_Top_1 Illuminance Fc 15.20 16.3 14.1 1.08 1.16Stair Tread_4_6_5_Top_1 Illuminance Fc 14.20 15.3 13.1 1.08 1.17Stair Tread_4_6_6_Top_1 Illuminance Fc 13.50 14.5 12.5 1.08 1.16Stair Tread_4_6_7_Top_1 Illuminance Fc 13.00 13.8 12.2 1.07 1.13Stair Tread_4_6_8_Top_1 Illuminance Fc 13.60 14.5 12.7 1.07 1.14Stair Tread_4_6_Top_1 Illuminance Fc 16.25 17.2 15.3 1.06 1.12Stair Tread_4_Top_1 Illuminance Fc 16.85 17.0 16.7 1.01 1.02Stair Tread_Top_1 Illuminance Fc 16.10 16.715.51.04 1.08 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts7RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 216.5243 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.4 12.2 19.6 17.3 14.9 18.8 21.1 21.6 18.9 12.2 16.1 26.1 21.4 15.8 17.4 18.5 18.6 17.1 11.3 16.5 26.8 21.3 15.1 14.9 14.6 13.1 21.1 17.5 14.1 7.6 11.5 10.6 9.6 12.5 15.4 17.2 16.4 14.615.0 17.6 18.8 17.7 15.713.4 16.7 17.0 15.7 17.3 18.5 18.6 20.1 19.3 17.9 19.1 18.6 16.817.5 17.3 17.518.6 19.017.5 18.313.8 15.813.0 15.312.5 15.012.615.1 16.7 15.016.1 14.216.314.115.3 13.114.512.513.8 12.214.512.7 17.2 15.3 16.7 17.0 15.516.7 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.4 G.7.5 G.H G.I G.J G.KG.L G.C G.B G.Q LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 2 8   p .   m . LEVEL 1 -PHOTOMETRICPLAN E2.02A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE =1 : 150LEVEL 1 - PHOTOMETRIC PLAN1 SCALE = 1/4" = 1'-0"LEVEL1 STAIR ENLARGEDPHOTOMETRIC PLAN2 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP 1H1-1K40 1EH1-5X1 1EH1-17K40E 1H1-1ST1 1EH1-12ST1 1EH1-12ST1EMEM 1EH1-5X1 1EH1-5X1 1H1-1K40 1EH1-5X1 1EH1-17K40E1H1-1K40 1EH1-17K40E 1H1-1(1RP-2)K40 1EH1-5X1 EM3EH1-6ST1 3EH1-6ST1 3EH1-6X1 EM 1EH1-12X1 1EH1-3(1RP-7)S1 1H1-13(1RP-6)S1 1EH1-3(1RP-7)S1 1H1-1K40 1H1-1K40 1EH1-17K40E 1H1-1(1RP-2)K40 1H1-1K40 1EH1-12X1 FIRE PUMPROOM EM EM EM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L 1H1-13(1RP-6)S1 EM1EH1-3(1RP-7)S1 EM EM EM1EH1-16RX7 1EH1-16RX7 1EH1-16RX7 3EH1-6RX7 3EH1-6RX7 EM EM EM1EH1-1W1 L4 WP WP L2 L2 L2BEP BEP EM EML1 1EH1-5X1 1H1-1RX7 1H1-1RX7 1H1-1RX7 1H1-13(1RP-6)S1 1H1-1 1H1-1 1H1-1 1H1-1 L6L6 L6 L6 1H1-12 1H1-12 1H1-12 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 0   p .   m . LEVEL 2 - PARKINGLIGHTING PLAN E2.03 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 2 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set S1MH: 27. 8 3 2 ST1MH: 22 S1MH: 26.4 8 5 S1MH: 25. 3 4 S1MH: 24. 8 8 5 S1MH: 24. 6 1 1 S1MH: 23. 7 4 21.8 22. 4 2 0 . 5 24.7 25.3 23.4 25.8 26. 4 2 4 . 6 25.7 26. 5 2 4 . 6 2.8 6 . 7 9 . 6 7 . 2 9 . 8 6 . 6 2 . 0 0 . 0 0 . 6 1 . 0 3.9 1 1 . 4 1 8 . 2 1 1 . 2 1 8 . 5 1 2 . 5 2 3 . 4 2 0 . 6 2 . 0 1 . 4 3.7 7.4 8.9 0 . 0 0 . 0 4 . 3 1 2 . 8 9 . 3 3 . 6 1 . 9 3.3 4 . 3 3 . 6 0 . 0 0 . 0 5.4 16.7 1 3 . 2 4.5 2.3 3.3 3 . 6 4 . 1 4.4 5.1 6 . 3 8 . 9 7 . 1 3 . 7 2 . 2 3.6 3 . 7 4 . 3 5.4 7 . 7 7.0 5.5 4.3 2 . 8 1 . 7 3.7 3 . 8 4.4 6.6 1 0 . 1 8 . 1 5 . 1 3 . 6 2 . 4 1 . 5 3.6 3 . 6 4.4 5 . 4 6.9 5 . 9 4 . 2 3 . 2 2 . 2 1 . 4 3.2 3 . 5 4 . 0 4 . 6 4.7 4 . 4 4.0 2 . 8 2 . 1 1 . 4 3.0 3 . 3 3 . 7 4 . 2 4 . 6 4 . 2 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 8 4.5 4 . 7 4 . 4 4.0 2 . 8 2 . 0 1 . 4 2.7 3 . 1 4 . 1 5 . 3 6 . 9 5 . 9 4 . 1 3 . 1 2 . 1 1 . 4 2.6 3 . 2 4 . 0 6 . 3 1 0 . 0 7 . 9 4.7 3.3 2 . 1 1 . 4 2.7 3 . 1 4 . 1 5 . 3 7.5 6.4 4 . 3 3 . 2 2 . 1 1 . 4 2.7 3 . 1 3 . 9 4.5 5.1 4 . 6 4 . 1 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 3 4 . 9 4.5 3.6 2 . 8 2 . 0 1 . 3 3.3 3 . 3 4 . 0 4.4 5.2 4 . 6 4 . 0 2 . 7 2 . 0 1 . 3 3.6 3 . 4 4 . 1 5 . 2 7 . 6 6 . 3 4 . 1 3 . 0 1 . 9 1 . 3 3.5 3 . 4 3 . 9 5 . 9 9 . 5 7.4 4.3 2 . 9 1 . 8 1 . 2 3.2 3 . 0 3 . 6 4.5 5.8 4 . 8 3 . 3 2 . 5 1 . 6 1 . 0 2.6 2 . 5 2 . 8 3 . 3 3 . 2 3 . 0 2 . 8 1 . 8 1 . 3 0 . 9 1.9 1 . 9 2 . 0 2 . 1 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.3 1 . 4 1 . 4 1 . 5 1 . 5 1 . 4 1 . 2 0 . 9 0.9 0 . 9 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 10.0 6 . 0 4 . 0 3 . 4 3 . 5 3 . 1 13.6 6 . 4 4 . 0 3 . 1 2 . 7 2 . 4 15.7 7 . 1 4.4 3.3 2 . 9 2 . 7 14.7 7 . 1 4.8 3 . 9 3 . 5 3 . 3 11.6 7.1 5.4 4 . 4 4 . 4 4.6 9.0 7 . 3 5 . 8 5 . 3 5 . 2 6 . 0 5.1 6.1 7.1 7.7 9.8 9 . 3 6 . 4 5.5 5 . 4 7.3 3.4 4 . 2 5 . 2 6 . 3 9 . 0 8 . 9 6 . 2 5.4 5 . 4 6.1 2.6 3 . 3 4.4 5.1 6.1 6 . 1 5 . 3 5 . 0 4 . 6 4 . 8 2.2 2 . 9 3 . 6 4 . 6 5 . 0 5.1 4.9 4 . 3 4 . 0 3 . 7 2.0 2 . 7 3 . 4 4.5 4.8 4 . 9 4 . 8 4 . 0 3 . 6 3 . 2 1.9 2 . 6 3 . 8 4 . 6 5.7 5.8 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 7 5.1 8.3 8 . 4 5.4 4.2 3 . 3 2 . 7 1.8 2 . 5 3 . 7 5.1 8.0 8 . 1 5.4 4.3 3 . 3 2 . 7 1.7 2.5 3 . 6 4.4 5.6 5.7 4.9 4.4 3.5 3 . 0 1.7 2.4 3 . 3 4.4 5.3 5.5 4.9 4 . 3 3 . 9 3 . 6 1.6 2 . 3 3 . 4 4 . 3 5 . 2 5.5 5.0 4 . 6 4.5 4.2 1.6 2 . 3 3 . 5 4 . 8 7.1 7.4 5 . 7 5.0 4.7 5.3 1.4 2.1 3 . 2 4 . 6 8 . 5 8 . 8 5.5 4.8 4.7 6.4 1.3 1 . 9 2 . 9 4 . 0 5.7 5.9 4 . 9 4.4 4.3 4 . 8 1.1 1 . 5 2.2 3 . 0 3 . 3 3 . 6 3 . 7 3 . 4 3 . 4 3 . 5 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 5 2 . 5 2 . 5 2 . 4 1.1 1 . 4 1.6 1.7 1.8 1 . 8 1.7 1 . 7 0.9 1.1 1.2 1 . 2 1 . 2 1 . 2 1.1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 14.9 2 1 . 3 2 1 . 4 1 8 . 6 1 0 . 0 6 . 0 4 . 0 3 . 4 3 . 5 3 . 1 29.2 41.5 39.4 3 3 . 5 1 3 . 6 6 . 4 4 . 0 3 . 1 2 . 7 2 . 4 10.0 1 8 . 1 2 1 . 1 2 2 . 0 2 4 . 9 3 7 . 0 5 0 . 2 4 7 . 0 3 9 . 8 15.7 7 . 1 4.4 3.3 2 . 9 2 . 7 11.7 22.0 2 5 . 4 2 6 . 0 2 7 . 4 3 4 . 3 45.1 42.2 3 6 . 0 14.7 7 . 1 4.8 3 . 9 3 . 5 3 . 3 5.5 9.1 1 1 . 0 1 2 . 2 1 4 . 0 2 0 . 2 2 6 . 2 2 5 . 4 2 2 . 0 1 1 . 6 7.1 5.4 4 . 4 4 . 4 4.6 2.5 3 . 7 4.7 5 . 7 7.0 9 . 3 11.4 12.0 1 1 . 0 9 . 0 7 . 3 5 . 8 5 . 3 5 . 2 6 . 0 1.3 1 . 9 2 . 5 3 . 1 4 . 0 5.1 6.1 7.1 7.7 9.8 9 . 3 6 . 4 5.5 5 . 4 7.3 3.4 4 . 2 5 . 2 6 . 3 9 . 0 8 . 9 6 . 2 5.4 5 . 4 6.1 2.6 3 . 3 4.4 5.1 6.1 6 . 1 5 . 3 5 . 0 4 . 6 4 . 8 2.2 2 . 9 3 . 6 4 . 6 5 . 0 5.1 4.9 4 . 3 4 . 0 3 . 7 2.0 2 . 7 3 . 4 4.5 4.8 4 . 9 4 . 8 4 . 0 3 . 6 3 . 2 1.9 2 . 6 3 . 8 4 . 6 5.7 5.8 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 7 5.1 8.3 8 . 4 5.4 4.2 3 . 3 2 . 7 1.8 2 . 5 3 . 7 5.1 8.0 8 . 1 5.4 4.3 3 . 3 2 . 7 1.7 2.5 3 . 6 4.4 5.6 5.7 4.9 4.4 3.5 3 . 0 1.7 2.4 3 . 3 4.4 5.3 5.5 4.9 4 . 3 3 . 9 3 . 6 1.6 2 . 3 3 . 4 4 . 3 5 . 2 5.5 5.0 4 . 6 4.5 4.2 1.6 2 . 3 3 . 5 4 . 8 7.1 7.4 5 . 7 5.0 4.7 5.3 1.4 2.1 3 . 2 4 . 6 8 . 5 8 . 8 5.5 4.8 4.7 6.4 1.3 1 . 9 2 . 9 4 . 0 5.7 5.9 4 . 9 4.4 4.3 4 . 8 1.1 1 . 5 2.2 3 . 0 3 . 3 3 . 6 3 . 7 3 . 4 3 . 4 3 . 5 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 5 2 . 5 2 . 5 2 . 4 1.1 1 . 4 1.6 1.7 1.8 1 . 8 1.7 1 . 7 0.9 1.1 1.2 1 . 2 1 . 2 1 . 2 1.1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 6.2 5 . 0 5.4 4.1 5.9 6 . 6 10.6 1 0 . 2 K40MH: 20.124 K40MH: 20. 1 2 4 K40MH: 20 . 1 2 4 K40MH: 26 . 3 7 4 K40MH: 26 . 3 7 4 K40MH: 26 . 3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.3 7 4 RX7MH: 26.37 4 RX7MH: 26.37 4 RX7MH: 26.37 4 RX7MH: 26.37 4 K40MH: 9.3 8 K40MH: 11.78 7 K40MH: 14 . 1 5 K40MH: 14 . 2 7 1 K40MH: 16.60 5 K40MH: 18. 9 6 5 K40MH: 20. 7 7 K40MH: 23.18 7 K40MH: 25 . 5 6 4 K40MH: 26 . 1 0 7 K40MH: 27.93 RX7MH: 20.12 4 RX7MH: 20 . 1 2 4 RX7MH: 20. 2 1 4 RX7MH: 26.374 RX7MH: 26.37 4 RX7MH: 26. 3 7 4 1.8 2.2 2.6 3.0 3.6 3.8 3.9 3.7 3.2 2.7 2.5 2.3 1.3 1.8 2.3 3.3 4.15.4 5.7 4.43.5 2.7 2.3 2.0 1.1 1.72.3 3.5 4.8 8.4 9.1 5.0 3.7 2.6 2.1 1.8 1.11.6 2.3 3.44.77.37.75.13.9 2.6 2.01.7 1.01.42.1 2.9 4.3 4.64.7 4.43.1 2.4 1.81.5 0.9 1.3 1.9 2.6 3.2 3.7 3.8 3.4 2.8 2.1 1.61.4 0.9 1.3 1.8 2.3 2.9 3.3 3.4 3.0 2.5 2.0 1.6 1.3 0.9 1.3 1.8 2.4 3.2 3.4 3.4 3.3 2.5 2.0 1.5 1.2 0.91.41.9 2.8 3.54.44.6 3.8 3.0 2.1 1.6 1.2 1.01.52.1 3.34.57.6 8.1 4.8 3.3 2.2 1.6 1.2 1.01.52.2 3.5 4.8 8.0 8.35.13.8 2.3 1.6 1.2 1.01.52.1 3.0 4.2 5.35.54.3 3.3 2.3 1.6 1.2 1.0 1.4 2.0 2.7 3.4 4.1 4.2 3.6 3.0 2.4 1.5 1.2 1.1 1.4 1.9 2.5 3.1 3.5 3.5 3.2 2.8 2.3 1.6 1.2 1.3 1.6 2.0 2.5 3.3 3.6 3.6 3.5 2.8 2.4 2.0 1.2 1.6 1.8 2.2 2.9 3.64.5 4.53.8 3.3 2.5 2.1 1.3 2.2 2.1 2.5 3.6 4.87.57.8 5.0 3.8 2.8 2.4 2.0 2.5 2.3 2.7 4.05.48.7 9.3 5.6 4.3 3.1 2.6 2.30.71.11.6 2.5 3.6 6.3 8.5 5.3 3.0 2.2 1.71.3 0.7 1.1 1.7 2.6 3.6 6.5 8.4 5.3 3.4 2.3 1.8 1.4 0.8 1.1 1.7 2.4 3.74.5 5.3 4.1 3.3 2.3 1.7 1.4 0.81.11.6 2.3 3.0 3.6 3.9 3.5 2.9 2.2 1.6 1.3 0.81.1 1.5 2.1 2.7 3.0 3.2 3.0 2.5 2.0 1.6 1.3 0.81.1 1.5 2.1 2.8 3.4 3.3 3.2 2.6 2.0 1.6 1.3 0.8 1.2 1.7 2.3 3.2 4.1 4.1 3.7 3.1 2.2 1.7 1.3 0.8 1.2 1.8 2.7 3.8 6.2 7.85.13.2 2.4 1.8 1.3 0.8 1.2 1.9 2.94.17.3 9.9 5.9 3.4 2.5 1.8 1.3 0.8 1.2 1.8 2.6 4.0 5.3 5.74.9 3.6 2.4 1.8 1.30.8 1.2 1.7 2.4 3.2 4.2 4.6 4.1 3.0 2.3 1.7 1.2 0.8 1.1 1.6 2.2 2.8 3.4 3.5 3.4 2.9 2.1 1.6 1.2 0.81.11.6 2.1 2.8 3.4 3.5 3.4 2.8 2.1 1.6 1.2 0.81.11.6 2.2 3.1 3.8 4.2 3.7 3.3 2.5 1.71.3 0.8 1.2 1.8 2.7 3.65.7 7.14.9 3.5 2.8 1.91.4 0.8 1.2 1.8 2.9 4.2 7.6 10.0 6.4 3.7 2.9 2.4 1.5 0.8 1.2 1.8 2.6 3.85.4 6.7 5.3 4.1 2.9 2.4 1.60.71.11.6 2.4 3.34.4 4.64.53.4 2.8 2.4 2.2 S1 WP WP 1H1-1 EM EM 1EH1-9(1RP-7) EM EM EM EM EM EM Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts6 SMD6R12940WH Single SMD6R12940WH S1 0.850 1224 15.3 91.814VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 31.814 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 433.04817HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 765 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 2_Floor Illuminance Fc 24.31 26.5 20.5 1.19 1.29Level 2_Lower Landing to 3_1_Top Illuminance Fc 4.03 23.4 0.0N.A. N.A.Level 2_Slope to 3_1_Top Illuminance Fc 3.02 9.3 0.9 3.36 10.33Level 2_Slope to 3_Top Illuminance Fc 2.78 10.0 0.7 3.97 14.29Level 2_Upper Landing to 3_1_Top Illuminance Fc 7.22 50.2 0.7 10.31 71.71Ped_Bridge_1_Top_1 Illuminance Fc 5.18 6.2 4.1 1.26 1.51Ped_Bridge_slope down_tobuilding_Top_1 Illuminance Fc 4.045.72.7 1.50 2.11Ped_Bridge_slope down_Top_1 Illuminance Fc 5.39 7.9 3.8 1.42 2.08Ped_Bridge_Top_1 Illuminance Fc 8.33 10.6 5.9 1.41 1.80Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 20.1 17.8 17.2 18.8 22.7 24.0 22.8 26.8 21.5 26.0 20.0 22.7 17.2 18.8 22.7 24.0 22.8 26.8 21.5 26.0 20.0 22.7 14.8 21.8 19.8 12.4 17.5 17.8 11.5 14.7 15.8 17.0 9.9 2.3 13.6 19.5 20.8 17.6 10.4 4.1 21.1 32.9 34.8 28.0 13.2 4.8 13.9 20.9 22.3 17.9 9.2 3.7 20.220.018.620.720.219.1 20.519.818.920.519.618.518.5 20.9 17.7 WP WP G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 1   p .   m . LEVEL 2 -PHOTOMETRICPLAN E2.03A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 2 - PHOTOMETRIC PLAN1 SCALE = 1/4" = 1'-0"LEVEL 2-6 STAIR ENLARGEDPHOTOMETRIC PLAN2 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP 'SEC' '3L1''3EL1''3EH1' '3TE1' '3T1''3H1' 'NAC''3TLA' '3TLB' EMEM 3EH1-3ST1 3EH1-3ST1 3H1-3ST1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-9ST1 3EH1-9X1 EM EM EM3EH1-9ST1 3EH1-9ST1EM3EH1-9RX7 3EH1-3X1 1H1-1K40 3EH1-4K40E 3H1-3K403EH1-4K40E3H1-3K40 3H1-3K403H1-3K40 3H1-3K40 3EH1-4K40E 3H1-3K40 3H1-3K40 3EH1-3X1 FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 3EH1-7RX7 3EH1-7RX7 3EH1-7RX7 EM 3EH1-4K40E L4 WP WP L2 L2 BEP BEP EM EML1 L2EM3EH1-6ST1 3EH1-9RX7EM 3EH1-2X1 3H1-3RX7 3H1-3 3H1-3 3H1-3 3H1-3L6 L6 L6 L6 3H1-1 3H1-1 3H1-1 1 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 WALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 4/29/2025 8 : 5 6 : 3 9 P M LEVEL 3 - PARKINGLIGHTING PLAN E2.04 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 3 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.WITH ELEVATORINSTALLERL4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION10/31/2024 50% DD12/06/2024 100% DD02/14/2025 50% CD03/07/2025 Phase 1 Permit Set03/21/2025 Bid Set04/07/2025 Phase 2 Permit Set1 04/30/2025 Bulletin #1 0.9 0 . 9 0 . 9 1 . 0 1.1 1.0 0 . 2 0 . 0 0 . 4 1 . 0 1.3 1 . 3 1.4 1 . 5 1.9 2 . 6 5 . 0 4.7 1.9 1.4 1.7 1 . 7 1.9 2 . 2 2 . 8 5 . 3 1 1 . 3 8 . 8 3 . 4 1 . 9 2.3 2 . 3 2 . 5 3 . 0 4 . 0 6 . 9 1 5 . 3 1 1 . 6 4.1 2.2 2.8 2 . 8 3 . 4 3 . 7 4 . 8 5 . 8 8 . 1 6 . 4 3 . 3 2 . 1 3.3 3 . 3 3 . 8 4 . 9 7 . 3 6 . 5 5.1 4 . 1 2.6 1 . 6 3.5 3 . 5 4.1 6.1 9 . 3 7.5 4 . 7 3.4 2 . 3 1.5 3.4 3 . 5 4.1 5 . 1 6.6 5.7 4 . 1 3.2 2 . 1 1.4 3.1 3 . 3 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1.4 2.9 3 . 2 3 . 6 4.1 4 . 5 4.2 3 . 4 2 . 8 2 . 0 1.4 2.6 3 . 0 3 . 7 4 . 3 4 . 6 4 . 2 3 . 8 2 . 7 2 . 0 1.4 2.4 2 . 9 3 . 8 5 . 0 6 . 6 5.7 4.0 3 . 1 2 . 1 1.4 2.3 3 . 0 3 . 8 6 . 1 9 . 3 7.4 4 . 5 3.2 2 . 1 1.4 2.2 2 . 8 3 . 7 4 . 9 7 . 2 6 . 1 4 . 2 3 . 2 2 . 1 1.4 2.0 2 . 6 3 . 6 4.1 4.8 4.4 3.8 2 . 8 2 . 0 1 . 3 1.9 2 . 5 3 . 2 4 . 0 4.7 4 . 4 3.5 2 . 7 2 . 0 1 . 3 1.8 2 . 4 3 . 4 4 . 0 4 . 8 4.4 3.7 2 . 7 1 . 9 1 . 3 1.7 2.4 3 . 3 4 . 6 6 . 9 5 . 9 3 . 9 2 . 9 1 . 9 1 . 2 1.6 2 . 3 3 . 1 5.4 8.6 6 . 8 4 . 0 2 . 7 1.7 1.2 1.4 1.9 2 . 8 3 . 9 5 . 3 4.5 3.2 2 . 4 1 . 6 1 . 0 1.2 1 . 6 2 . 2 2 . 7 3 . 0 2 . 8 2 . 6 1.7 1.3 0 . 8 0.9 1 . 2 1 . 6 1 . 8 2 . 1 2 . 0 1 . 6 1 . 3 0 . 9 0.7 0 . 9 1.1 1.3 1 . 3 1 . 3 1.1 0.9 0.5 0 . 6 0 . 7 0 . 8 0 . 9 0 . 8 0 . 7 0.3 0 . 4 0 . 5 0 . 5 0 . 5 0 . 5 1.1 1 . 3 1 . 2 1 . 0 1 . 0 0 . 9 3.3 2 . 4 1 . 8 1 . 6 1 . 4 1 . 4 7.2 3 . 7 2 . 6 2 . 2 2 . 1 2 . 1 9.8 4 . 8 3 . 5 3 . 0 2 . 9 2 . 9 9.5 5 . 8 4.5 3.9 3 . 9 4 . 3 8.1 6 . 5 5 . 2 4 . 8 5 . 0 5 . 8 4.6 5 . 6 6 . 5 7 . 2 9 . 5 9 . 1 6 . 1 5 . 3 5 . 2 7 . 1 3.0 3 . 8 5 . 0 6 . 1 8 . 9 8 . 9 6 . 1 5 . 3 5 . 3 6 . 0 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 9 4.5 4 . 7 2.0 2 . 7 3 . 5 4.4 5.0 5 . 2 4 . 8 4 . 2 3 . 9 3 . 7 1.9 2 . 6 3 . 4 4.4 4.9 5 . 0 4.7 4.0 3 . 5 3 . 1 1.8 2 . 5 3 . 7 4.5 5 . 7 5.9 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 8 5 . 2 8 . 5 8 . 7 5.5 4.3 3 . 3 2 . 7 1.7 2 . 5 3 . 8 5 . 2 8 . 3 8 . 4 5 . 6 4.4 3.4 2 . 8 1.7 2 . 5 3 . 6 4.5 5.8 5 . 9 5 . 0 4.4 3.6 3 . 0 1.7 2 . 4 3 . 3 4.4 5 . 4 5.6 5 . 0 4.4 3.9 3 . 5 1.6 2 . 3 3 . 3 4.4 5.3 5.5 5.2 4.7 4 . 5 4.2 1.6 2 . 3 3 . 6 4 . 9 7 . 3 7 . 6 5 . 8 5 . 1 4 . 8 5 . 3 1.4 2 . 2 3 . 3 4.7 8.8 9 . 1 5.7 5.0 4.7 6.4 1.3 1 . 9 3 . 1 4 . 1 5 . 8 6 . 1 4 . 9 4.5 4 . 4 4.9 1.1 1 . 6 2 . 2 3 . 1 3 . 4 3 . 6 3 . 8 3 . 4 3 . 5 3 . 6 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 6 2 . 6 2 . 5 2 . 4 1.1 1 . 4 1 . 7 1 . 8 1 . 8 1 . 8 1 . 8 1 . 7 0.9 1 . 1 1 . 2 1 . 2 1 . 2 1 . 2 1 . 1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 20.3 2 4 . 3 2 4 . 2 1 8 . 6 1 . 1 1 . 3 1 . 2 1 . 0 1 . 0 0 . 9 27.1 3 1 . 1 3 0 . 7 2 4 . 1 3 . 3 2 . 4 1 . 8 1 . 6 1 . 4 1 . 4 9.8 1 7 . 9 2 0 . 6 2 0 . 7 1 9 . 9 1 9 . 2 2 1 . 9 2 0 . 5 1 6 . 7 7 . 2 3 . 7 2 . 6 2 . 2 2 . 1 2 . 1 11.9 2 2 . 7 2 5 . 6 2 5 . 5 2 5 . 1 2 8 . 8 3 5 . 7 3 3 . 0 2 7 . 3 9 . 8 4 . 8 3 . 5 3 . 0 2 . 9 2 . 9 5.4 8.9 1 0 . 6 1 1 . 4 1 2 . 7 1 9 . 6 2 5 . 3 2 4 . 3 2 0 . 5 9 . 5 5 . 8 4.5 3.9 3 . 9 4 . 3 2.3 3 . 4 4 . 3 5 . 0 6 . 2 8 . 8 1 0 . 8 1 1 . 4 1 0 . 2 8 . 1 6 . 5 5 . 2 4 . 8 5 . 0 5 . 8 1.2 1 . 7 2 . 2 2 . 8 3 . 5 4 . 6 5 . 6 6 . 5 7 . 2 9 . 5 9 . 1 6 . 1 5 . 3 5 . 2 7 . 1 3.0 3 . 8 5 . 0 6 . 1 8 . 9 8 . 9 6 . 1 5 . 3 5 . 3 6 . 0 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 9 4.5 4 . 7 2.0 2 . 7 3 . 5 4.4 5.0 5 . 2 4 . 8 4 . 2 3 . 9 3 . 7 1.9 2 . 6 3 . 4 4.4 4.9 5 . 0 4.7 4.0 3 . 5 3 . 1 1.8 2 . 5 3 . 7 4.5 5 . 7 5.9 4 . 9 4 . 3 3 . 3 2 . 8 1.8 2 . 5 3 . 8 5 . 2 8 . 5 8 . 7 5.5 4.3 3 . 3 2 . 7 1.7 2 . 5 3 . 8 5 . 2 8 . 3 8 . 4 5 . 6 4.4 3.4 2 . 8 1.7 2 . 5 3 . 6 4.5 5.8 5 . 9 5 . 0 4.4 3.6 3 . 0 1.7 2 . 4 3 . 3 4.4 5 . 4 5.6 5 . 0 4.4 3.9 3 . 5 1.6 2 . 3 3 . 3 4.4 5.3 5.5 5.2 4.7 4 . 5 4.2 1.6 2 . 3 3 . 6 4 . 9 7 . 3 7 . 6 5 . 8 5 . 1 4 . 8 5 . 3 1.4 2 . 2 3 . 3 4.7 8.8 9 . 1 5.7 5.0 4.7 6.4 1.3 1 . 9 3 . 1 4 . 1 5 . 8 6 . 1 4 . 9 4.5 4 . 4 4.9 1.1 1 . 6 2 . 2 3 . 1 3 . 4 3 . 6 3 . 8 3 . 4 3 . 5 3 . 6 1.2 1 . 6 2 . 0 2 . 4 2 . 6 2 . 6 2 . 6 2 . 5 2 . 4 1.1 1 . 4 1 . 7 1 . 8 1 . 8 1 . 8 1 . 8 1 . 7 0.9 1 . 1 1 . 2 1 . 2 1 . 2 1 . 2 1 . 1 0.7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 8 ST1MH: 38 ST1MH: 38 ST1MH: 38 3.4 3.5 3 . 3 4.0 4.2 4.0 5.65.7 5.4 8.0 8.2 7 . 6 K40MH: 36.624 K40MH: 36 . 6 2 4 K40MH: 36 . 6 2 4 K40MH: 30 . 9 1 6 K40MH: 30. 9 1 6 K40MH: 30 . 9 1 6 K40MH: 33.62 6 K40MH: 36 . 0 0 3 K40MH: 36 . 5 4 6 K40MH: 38.36 9 K40MH: 41. 6 8 2 RX7MH: 30. 9 1 6 RX7MH: 36. 6 2 4 RX7MH: 36.62 4 RX7MH: 36.62 4 RX7MH: 36.62 4 RX7MH: 36.62 4 K40MH: 31. 7 6 6 1.0 1.4 1.9 2.5 3.1 3.7 3.7 3.3 3.1 2.6 2.3 2.0 1.0 1.5 2.0 2.9 3.8 5.35.44.1 3.2 2.5 2.1 1.7 1.01.52.0 3.1 4.37.78.3 4.8 3.3 2.5 1.91.5 1.01.52.1 3.34.46.8 7.34.73.5 2.4 1.81.4 1.01.42.0 2.8 3.94.5 4.74.0 3.0 2.21.71.2 0.9 1.3 1.9 2.5 3.1 3.7 3.8 3.3 2.7 2.01.5 1.1 0.9 1.3 1.8 2.3 2.9 3.4 3.5 3.0 2.4 1.9 1.4 1.1 0.9 1.3 1.8 2.3 3.2 3.5 3.5 3.5 2.5 1.9 1.4 1.1 0.91.41.9 2.8 3.54.5 4.73.9 3.1 2.01.5 1.1 0.91.42.0 3.3 4.67.78.2 4.9 3.4 2.2 1.61.1 1.01.42.1 3.4 4.8 8.1 8.4 5.2 3.9 2.3 1.61.1 0.91.42.1 2.9 4.25.45.64.43.4 2.31.5 1.1 0.9 1.3 1.9 2.7 3.4 4.1 4.2 3.7 3.1 2.4 1.5 1.1 0.9 1.3 1.8 2.4 3.0 3.5 3.6 3.2 2.8 2.3 1.6 1.1 0.9 1.3 1.8 2.4 3.2 3.6 3.6 3.5 2.8 2.4 2.0 1.2 0.91.41.9 2.8 3.44.5 4.53.8 3.3 2.6 2.2 1.3 1.01.52.1 3.3 4.67.47.8 5.0 3.8 2.8 2.4 2.1 1.0 1.6 2.3 3.7 5.2 8.6 9.2 5.6 4.3 3.1 2.6 2.30.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.2 0.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.1 0.1 0.1 0.2 0.2 0.0 0.0 0.0 0.0 0.1 0.0 0.1 0.1 0.1 0.1 0.2 0.2 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.2 0.3 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.2 0.3 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.2 0.3 0.3 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.1 0.2 0.3 0.3 0.4 0.2 0.2 0.2 0.2 0.1 0.1 0.1 0.2 0.2 0.3 0.3 0.4 0.5 0.2 0.2 0.2 0.1 0.1 0.2 0.2 0.3 0.3 0.3 0.4 0.5 0.3 0.2 0.2 0.1 0.1 0.2 0.2 0.3 0.3 0.4 0.5 0.5 0.6 0.3 0.3 0.1 0.2 0.2 0.3 0.3 0.4 0.4 0.5 0.6 0.7 0.4 0.4 0.2 0.2 0.3 0.3 0.4 0.4 0.5 0.6 0.7 0.8 0.9 0.5 0.2 0.2 0.3 0.4 0.5 0.5 0.6 0.7 0.8 0.9 1.0 0.6 0.2 0.3 0.4 0.5 0.6 0.7 0.8 0.9 1.0 1.1 1.2 1.2 0.3 0.4 0.5 0.6 0.8 0.9 1.1 1.11.2 1.3 1.41.6 FIRE PUMPROOM 3EH1-3 EMEM EM Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 3_Floor Illuminance Fc 5.24 8.2 3.3 1.59 2.48Level 2_Lower Landing to 3_1_1_Top Illuminance Fc 3.14 15.3 0.0N.A. N.A.Level 2_Slope to 3_2_Top Illuminance Fc 2.89 9.2 0.9 3.21 10.22Level 2_Slope to 3_7_Top Illuminance Fc 0.27 1.6 0.0N.A. N.A.Level 2_Upper Landing to 3_1_1_Top Illuminance Fc 6.28 35.7 0.7 8.97 51.00 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts3 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.48 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 247.45612 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 4   p .   m . LEVEL 3 -PHOTOMETRICPLAN E2.04A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 3 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP3EH1-9X1 3EH1-9ST1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 3EH1-2X1 EM 3EH1-3ST13EH1-3ST1 3H1-3ST1 EM EM 3EH1-2X1 3H1-3K40 3EH1-4K40E 3H1-3K403EH1-4K40E3H1-3K40 3H1-3K403H1-3K40 3H1-3K40 3EH1-4K40E 3H1-3K40 3H1-3K40 3EH1-2X1 FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 3EH1-5RX7 3EH1-9RX7 3EH1-9RX7 EM EM 3EH1-5RX7 3EH1-5RX7 EM 3EH1-4K40E L4 WP WP L2 L2 BEP BEP EM EML1 L2EM3EH1-9ST1 3EH1-2X1 3H1-3RX7 3H1-3 L6 3H1-3L6 L6 3H1-3 L6 3H1-3 3H1-5 3H1-5 3H1-5 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 6   p .   m . LEVEL 4 - PARKINGLIGHTING PLAN E2.05 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 4 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set ST1MH: 42.58 9 20.3 21.7 2 0 . 1 23.2 24.8 2 3 . 1 24.2 25.8 2 4 . 3 24.2 25.6 2 4 . 0 0.9 0 . 9 0 . 9 1 . 0 1 . 1 1 . 1 0 . 2 0 . 0 0 . 5 1 . 0 1.3 1 . 3 1 . 4 1 . 5 1 . 9 2 . 7 2 3 . 8 2 2 . 6 1 . 9 1 . 3 1.7 1 . 7 1 . 9 2 . 2 2 . 9 5 . 3 1 1 . 0 8 . 5 3 . 4 1 . 9 2.3 2 . 3 2 . 5 3 . 0 4 . 0 7 . 1 1 5 . 7 1 1 . 6 4 . 1 2 . 2 2.8 2 . 8 3 . 4 3 . 8 4 . 9 6 . 0 8 . 4 6 . 6 3 . 3 2 . 1 3.3 3 . 3 3 . 8 4 . 9 7 . 3 6 . 6 5 . 2 4 . 2 2 . 6 1 . 6 3.5 3 . 6 4 . 1 6 . 2 9 . 3 7 . 6 4 . 8 3 . 5 2 . 3 1 . 5 3.5 3 . 5 4 . 1 5 . 1 6 . 6 5.7 4.1 3 . 2 2 . 1 1 . 4 3.2 3 . 4 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 1 4 . 6 4 . 3 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 9 4.4 4 . 7 4.3 3 . 9 2 . 8 2 . 0 1 . 4 2.7 3 . 2 4 . 0 5 . 1 6 . 7 5 . 8 4 . 1 3 . 2 2 . 1 1 . 4 2.7 3 . 3 4 . 1 6 . 3 9 . 3 7.5 4.6 3 . 2 2 . 1 1 . 4 2.7 3 . 2 4 . 0 5 . 2 7.4 6.3 4 . 3 3 . 2 2 . 1 1 . 4 2.8 3 . 2 4 . 0 4.4 5.1 4 . 6 4 . 0 2 . 9 2 . 0 1 . 4 3.1 3 . 3 3 . 7 4.4 5.0 4 . 6 3 . 6 2 . 8 2 . 0 1 . 4 3.3 3 . 4 4 . 1 4.4 5.1 4.5 3.8 2 . 8 2 . 0 1 . 3 3.5 3 . 5 4 . 0 5 . 1 7 . 3 6 . 1 4 . 0 3 . 0 1 . 9 1 . 3 3.4 3 . 5 3 . 9 5 . 8 8 . 9 7 . 0 4 . 1 2 . 8 1 . 8 1 . 2 3.1 3 . 1 3 . 5 4.4 5 . 7 4 . 7 3.3 2 . 5 1 . 6 1 . 1 2.6 2 . 5 2 . 8 3 . 2 3 . 2 3 . 0 2 . 7 1 . 8 1 . 3 0 . 9 2.0 2 . 0 2 . 1 2 . 2 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.4 1 . 4 1 . 5 1 . 6 1 . 5 1 . 4 1 . 2 1 . 0 1.0 1 . 0 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 7.5 3.6 2 . 2 1 . 6 1 . 3 1.1 12.4 5 . 2 3 . 0 2 . 2 1 . 8 1 . 6 15.0 6 . 4 3 . 8 2 . 8 2 . 4 2 . 2 14.3 6 . 7 4.4 3.5 3 . 1 3 . 1 11.3 6 . 9 5 . 2 4 . 2 4 . 2 4 . 0 8.9 7 . 2 5 . 6 5 . 0 4 . 8 5.4 4.9 5 . 9 7 . 0 7.7 10.0 9 . 5 6 . 3 5.4 5.1 6.9 3.3 4.1 5.2 6 . 3 9 . 2 9 . 1 6 . 2 5 . 2 5 . 0 5.5 2.5 3 . 3 4 . 3 5 . 0 6 . 1 6 . 1 5 . 2 4 . 8 4.4 4 . 4 2.1 2 . 8 3 . 6 4.5 5.1 5.2 4 . 8 4 . 2 3 . 7 3 . 4 1.9 2 . 6 3 . 4 4 . 3 4 . 9 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.8 2 . 5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 5 1.7 2.5 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 9 2 . 2 1.7 2.4 3 . 7 5.1 8.0 8 . 0 5 . 2 3 . 9 2 . 7 2 . 1 1.6 2 . 3 3 . 5 4 . 3 5.4 5 . 5 4 . 4 3.6 2 . 6 1 . 9 1.6 2 . 3 3 . 2 4.1 5.0 5 . 0 4 . 2 3 . 3 2 . 5 1 . 8 1.5 2.2 3 . 1 4.1 4.9 4 . 9 4.1 3.2 2 . 3 1.7 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 3 1 . 6 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.5 3.1 2 . 1 1.5 1.2 1 . 8 2 . 8 3 . 8 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 3 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.5 1 . 1 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 6 0 . 5 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 14.4 20.6 1 9 . 7 1 6 . 5 7.5 3.6 2 . 2 1 . 6 1 . 3 1.1 29.1 4 2 . 0 3 9 . 3 3 3 . 3 1 2 . 4 5 . 2 3 . 0 2 . 2 1 . 8 1 . 6 10.1 1 8 . 6 2 1 . 4 2 2 . 3 2 5 . 0 3 6 . 8 5 0 . 8 47.4 40.5 1 5 . 0 6 . 4 3 . 8 2 . 8 2 . 4 2 . 2 11.9 2 2 . 7 2 5 . 9 2 6 . 4 2 7 . 7 3 4 . 4 4 6 . 1 4 2 . 6 3 6 . 5 1 4 . 3 6 . 7 4.4 3.5 3 . 1 3 . 1 5.4 8.9 1 0 . 8 1 2 . 0 1 3 . 7 2 0 . 0 2 6 . 3 2 5 . 3 2 2 . 0 1 1 . 3 6 . 9 5 . 2 4 . 2 4 . 2 4 . 0 2.4 3 . 6 4.5 5 . 5 6.7 9 . 1 11.1 1 1 . 7 10.7 8 . 9 7 . 2 5 . 6 5 . 0 4 . 8 5.4 1.3 1 . 8 2 . 4 3 . 0 3 . 8 4 . 9 5 . 9 7 . 0 7.7 10.0 9 . 5 6 . 3 5.4 5.1 6.9 3.3 4.1 5.2 6 . 3 9 . 2 9 . 1 6 . 2 5 . 2 5 . 0 5.5 2.5 3 . 3 4 . 3 5 . 0 6 . 1 6 . 1 5 . 2 4 . 8 4.4 4 . 4 2.1 2 . 8 3 . 6 4.5 5.1 5.2 4 . 8 4 . 2 3 . 7 3 . 4 1.9 2 . 6 3 . 4 4 . 3 4 . 9 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.8 2 . 5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 5 1.7 2.5 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 9 2 . 2 1.7 2.4 3 . 7 5.1 8.0 8 . 0 5 . 2 3 . 9 2 . 7 2 . 1 1.6 2 . 3 3 . 5 4 . 3 5.4 5 . 5 4 . 4 3.6 2 . 6 1 . 9 1.6 2 . 3 3 . 2 4.1 5.0 5 . 0 4 . 2 3 . 3 2 . 5 1 . 8 1.5 2.2 3 . 1 4.1 4.9 4 . 9 4.1 3.2 2 . 3 1.7 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 3 1 . 6 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.5 3.1 2 . 1 1.5 1.2 1 . 8 2 . 8 3 . 8 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 3 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.5 1 . 1 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 6 0 . 5 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 K40MH: 47.12 4 K40MH: 47.12 4 K40MH: 47.12 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47. 1 2 4 K40MH: 41.41 6 K40MH: 41.41 6 K40MH: 41.41 6 RX7MH: 47.1 2 4 RX7MH: 47. 1 2 4 RX7MH: 47.124 RX7MH: 41 . 4 1 6 K40MH: 37.1 K40MH: 38. 9 1 8 K40MH: 40.76 2 K40MH: 42.28 9 K40MH: 44. 6 8 9 K40MH: 47.06 8 1.01.41.9 2.5 3.1 3.6 3.8 3.4 3.2 2.7 2.5 2.4 1.01.52.0 2.9 3.8 5.25.44.2 3.4 2.6 2.3 2.1 1.01.52.0 3.1 4.3 7.6 8.3 4.9 3.4 2.6 2.2 1.9 1.0 1.5 2.1 3.34.46.7 7.2 4.8 3.6 2.5 2.1 1.8 1.0 1.4 2.0 2.8 3.94.54.6 4.0 3.1 2.4 1.9 1.6 0.9 1.3 1.8 2.5 3.1 3.6 3.7 3.3 2.8 2.2 1.7 1.5 0.9 1.3 1.8 2.3 2.9 3.3 3.3 3.0 2.5 2.0 1.61.4 0.9 1.3 1.8 2.3 3.0 3.2 3.3 3.1 2.6 2.0 1.6 1.3 0.91.41.9 2.7 3.4 4.24.43.7 2.9 2.1 1.6 1.3 1.0 1.4 1.9 2.9 4.1 6.97.4 4.43.0 2.2 1.7 1.3 1.0 1.4 2.0 3.24.47.27.54.6 3.3 2.2 1.7 1.3 1.01.42.0 2.8 3.7 5.0 5.0 3.8 3.1 2.2 1.6 1.2 0.9 1.3 1.9 2.6 3.3 4.04.13.4 2.8 2.1 1.6 1.2 0.9 1.3 1.8 2.4 2.9 3.4 3.4 3.1 2.5 2.0 1.6 1.2 0.9 1.3 1.8 2.4 3.1 3.3 3.3 3.2 2.6 2.1 1.6 1.3 1.0 1.4 1.9 2.8 3.4 4.1 4.2 3.6 3.0 2.2 1.8 1.4 1.1 1.6 2.1 3.1 4.3 6.8 7.1 4.6 3.3 2.5 2.0 1.6 1.1 1.72.3 3.44.77.9 8.45.13.8 2.8 2.3 1.90.71.1 1.5 2.6 3.5 6.0 7.8 5.0 2.9 2.1 1.41.0 0.8 1.1 1.7 2.7 3.7 6.0 7.6 5.1 3.0 2.2 1.5 1.0 0.81.1 1.7 2.4 3.4 4.3 4.6 3.9 3.2 2.1 1.51.0 0.8 1.1 1.6 2.3 2.8 3.8 3.8 3.4 2.6 2.0 1.5 1.0 0.81.11.6 2.1 2.7 3.2 3.1 2.9 2.5 1.9 1.41.00.8 1.2 1.6 2.1 2.8 3.3 3.4 3.1 2.6 2.0 1.5 1.1 0.8 1.21.7 2.4 3.0 4.0 4.2 3.7 2.9 2.1 1.61.1 0.9 1.3 1.8 2.8 3.8 6.0 7.3 5.3 3.1 2.4 1.7 1.2 0.9 1.3 1.8 2.9 4.0 6.9 8.9 5.9 3.3 2.5 1.71.2 0.9 1.3 1.8 2.6 3.5 4.8 5.2 4.73.4 2.3 1.7 1.2 0.8 1.21.7 2.4 3.14.1 4.1 4.13.1 2.2 1.71.2 0.8 1.2 1.6 2.2 2.8 3.3 3.4 3.3 2.9 2.1 1.6 1.20.8 1.2 1.6 2.2 2.8 3.4 3.5 3.4 2.9 2.4 1.6 1.3 0.8 1.21.7 2.3 3.0 3.84.1 3.7 3.3 2.6 1.8 1.3 0.8 1.3 1.8 2.7 3.65.56.6 4.9 3.4 2.8 2.31.5 0.8 1.3 1.8 2.94.17.0 8.9 6.0 3.7 3.0 2.4 1.6 0.8 1.2 1.8 2.6 3.5 4.9 6.3 4.9 3.8 2.9 2.5 2.2 0.8 1.21.7 2.4 3.3 3.94.1 4.13.4 2.9 2.5 2.3 FIRE PUMPROOM 3EH1-13 3EH1-13 3EH1-13 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 4_Floor Illuminance Fc 23.44 25.8 20.11.17 1.28Level 2_Lower Landing to 3_1_1_1_Top Illuminance Fc 3.49 23.8 0.0N.A. N.A.Level 2_Slope to 3_3_Top Illuminance Fc 2.81 8.4 0.9 3.12 9.33Level 2_Slope to 3_7_1_Top Illuminance Fc 2.70 8.9 0.7 3.86 12.71Level 2_Upper Landing to 3_1_1_1_Top Illuminance Fc 6.79 50.8 0.3 22.63 169.33 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 31.812 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 371.18412 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 7   p .   m . LEVEL 4 -PHOTOMETRICPLAN E2.05A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 4 -PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP '5EL1''5EH1''5L1''5H1''5T1' 'SEC''NAC' '5TE1' 'NAC''5TLA' '5TLB' EMEM 5EH1-7ST1 5EH1-7ST1 5H1-5ST1 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-5ST1 5EH1-5X1 EM 5EH1-7X1 5EH1-5ST1 5EH1-5ST1 EM EM 3H1-3K40 5EH1-2K40E 5H1-5K405EH1-2K40E5H1-5K40 5H1-5K405H1-5K40 5H1-5K40 5EH1-2K40E 5H1-5K40 5H1-5K40 5EH1-7X1 FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 5EH1-13RX7 5EH1-13RX7 5EH1-13RX7 5EH1-5RX7 5EH1-5RX7 EM EM EM 5EH1-2K40E L4 WP WP L2 L2 BEP BEP EM EML1 L2EM3EH1-9ST1 5EH1-1X1 5EH1-7RX7 5H1-5 5H1-5 5H1-5 5H1-5 L6 L6L6 L6 EM 5H1-1 5H1-1 5H1-1 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 8   p .   m . LEVEL 5 - PARKINGLIGHTING PLAN E2.06 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 5 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set 0.9 0 . 9 1 . 0 1 . 1 1 . 2 1 . 5 0 . 2 0 . 0 0 . 4 0 . 8 1.3 1 . 3 1 . 4 1 . 6 2 . 1 3 . 2 2 4 . 2 2 2 . 5 1 . 7 1 . 3 1.7 1 . 8 1 . 9 2 . 3 3 . 2 6 . 7 1 2 . 7 7.4 2.9 1 . 7 2.3 2 . 3 2 . 6 3 . 1 4.4 8.5 1 6 . 3 9 . 1 3 . 3 2 . 0 2.8 2 . 8 3 . 4 3 . 8 5 . 0 6 . 3 8 . 1 5.5 2.9 1 . 9 3.3 3 . 3 3 . 8 4 . 9 7.4 6.6 5 . 1 3 . 9 2 . 5 1 . 5 3.5 3 . 6 4 . 1 6 . 2 9 . 3 7.5 4 . 7 3.4 2 . 2 1 . 4 3.5 3 . 5 4 . 1 5 . 1 6 . 6 5.7 4.1 3 . 2 2 . 1 1 . 4 3.2 3 . 4 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 1 4 . 6 4 . 3 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 9 4.4 4 . 7 4.3 3 . 9 2 . 8 2 . 0 1 . 4 2.7 3 . 2 4 . 0 5 . 1 6 . 7 5 . 8 4 . 1 3 . 1 2 . 1 1 . 4 2.7 3 . 3 4 . 1 6 . 2 9 . 3 7.5 4.6 3 . 2 2 . 1 1 . 4 2.7 3 . 2 4 . 0 5 . 2 7.4 6.3 4 . 3 3 . 2 2 . 1 1 . 4 2.8 3 . 2 4 . 0 4.4 5.1 4 . 6 3 . 9 2 . 8 2 . 0 1 . 4 3.1 3 . 3 3 . 7 4.4 5.0 4 . 6 3 . 6 2 . 8 2 . 0 1 . 4 3.3 3 . 4 4 . 1 4.4 5.1 4.5 3.8 2 . 8 2 . 0 1 . 3 3.5 3 . 5 4 . 0 5 . 1 7 . 3 6 . 1 4 . 0 3 . 0 1 . 9 1 . 3 3.4 3 . 5 3 . 9 5 . 8 8 . 9 7 . 0 4 . 1 2 . 8 1 . 8 1 . 2 3.1 3 . 1 3 . 5 4.4 5.6 4.7 3.3 2 . 5 1 . 6 1 . 1 2.6 2 . 5 2 . 8 3 . 2 3 . 2 2 . 9 2 . 7 1 . 8 1 . 3 0 . 9 2.0 2 . 0 2 . 1 2 . 2 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.4 1 . 4 1 . 5 1 . 6 1 . 5 1 . 4 1 . 2 1 . 0 1.0 1 . 0 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 1.2 1.5 1.3 1 . 2 1.1 1.0 3.4 2 . 8 2 . 1 1 . 8 1 . 6 1.5 8.2 4.4 3.1 2 . 5 2 . 2 2 . 1 11.5 5.8 4.1 3.4 3 . 0 3 . 0 13.3 7 . 2 5 . 2 4 . 2 4.1 4.0 12.7 8 . 1 5 . 9 5.1 4.8 5.4 14.8 1 8 . 1 1 9 . 0 1 5 . 6 1 2 . 8 1 0 . 5 6 . 7 5 . 6 5.1 6.9 6.5 8 . 1 9 . 2 9 . 2 1 0 . 7 9 . 8 6 . 5 5.4 5.1 5.5 3.8 4 . 8 5 . 9 6 . 2 6 . 9 6 . 6 5.5 5.0 4.5 4 . 4 2.7 3 . 5 4 . 3 5.1 5.5 5 . 5 5.0 4 . 3 3 . 8 3 . 5 2.2 3 . 0 3 . 7 4.7 5.1 5 . 1 4.7 3.9 3 . 3 2 . 9 1.9 2 . 7 3 . 8 4 . 6 5 . 8 5 . 8 4.7 4.0 3 . 0 2 . 4 1.8 2 . 6 3 . 8 5 . 2 8 . 5 8 . 5 5 . 3 4 . 0 2 . 8 2 . 2 1.7 2.5 3 . 7 5.1 8.1 8 . 2 5 . 2 3 . 9 2 . 7 1 . 9 1.6 2 . 4 3 . 5 4 . 3 5.5 5 . 5 4 . 4 3.6 2 . 5 1 . 8 1.6 2 . 3 3 . 2 4.1 5 . 1 5 . 1 4.2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 2 4.1 4.9 4 . 9 4 . 2 3 . 2 2 . 3 1 . 6 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1 . 8 2 . 8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 1.0 1.4 2.0 2 . 8 3 . 0 3 . 0 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 1 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 9 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 21.0 2 5 . 3 2 5 . 5 2 0 . 0 1 . 2 1.5 1.3 1 . 2 1.1 1.0 29.2 3 3 . 8 3 3 . 7 2 6 . 5 3 . 4 2 . 8 2 . 1 1 . 8 1 . 6 1.5 10.1 1 8 . 7 2 1 . 9 2 3 . 0 2 4 . 7 2 8 . 3 2 9 . 1 2 9 . 1 1 9 . 6 8 . 2 4.4 3.1 2 . 5 2 . 2 2 . 1 12.0 2 3 . 1 2 6 . 7 2 7 . 6 3 1 . 3 4 3 . 0 4 5 . 9 4 6 . 7 3 0 . 7 11.5 5.8 4.1 3.4 3 . 0 3 . 0 5.6 9 . 3 1 1 . 6 1 3 . 9 2 0 . 4 4 2 . 4 4 8 . 3 4 9 . 8 3 3 . 3 1 3 . 3 7 . 2 5 . 2 4 . 2 4.1 4.0 2.6 3 . 9 5 . 3 7.5 13.5 3 1 . 6 3 7 . 2 3 9 . 1 2 7 . 0 1 2 . 7 8 . 1 5 . 9 5.1 4.8 5.4 1.4 2.1 3 . 0 4.5 7.9 1 4 . 8 1 8 . 1 1 9 . 0 1 5 . 6 1 2 . 8 1 0 . 5 6 . 7 5 . 6 5.1 6.9 6.5 8 . 1 9 . 2 9 . 2 1 0 . 7 9 . 8 6 . 5 5.4 5.1 5.5 3.8 4 . 8 5 . 9 6 . 2 6 . 9 6 . 6 5.5 5.0 4.5 4 . 4 2.7 3 . 5 4 . 3 5.1 5.5 5 . 5 5.0 4 . 3 3 . 8 3 . 5 2.2 3 . 0 3 . 7 4.7 5.1 5 . 1 4.7 3.9 3 . 3 2 . 9 1.9 2 . 7 3 . 8 4 . 6 5 . 8 5 . 8 4.7 4.0 3 . 0 2 . 4 1.8 2 . 6 3 . 8 5 . 2 8 . 5 8 . 5 5 . 3 4 . 0 2 . 8 2 . 2 1.7 2.5 3 . 7 5.1 8.1 8 . 2 5 . 2 3 . 9 2 . 7 1 . 9 1.6 2 . 4 3 . 5 4 . 3 5.5 5 . 5 4 . 4 3.6 2 . 5 1 . 8 1.6 2 . 3 3 . 2 4.1 5 . 1 5 . 1 4.2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 2 4.1 4.9 4 . 9 4 . 2 3 . 2 2 . 3 1 . 6 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1 . 8 2 . 8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 1.0 1.4 2.0 2 . 8 3 . 0 3 . 0 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 1 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 9 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 ST1MH: 59.17 ST1MH: 59.17 ST1MH: 53.11 1 20.5 21.8 2 0 . 2 23.4 24.8 2 3 . 1 24.7 26.0 2 4 . 2 25.1 25.8 2 3 . 6 17.3 20.7 2 2 . 9 2 3 . 7 2 4 . 1 2 4 . 2 2 3 . 8 2 2 . 4 1 9 . 6 20.2 24.4 2 6 . 8 2 7 . 9 2 8 . 1 2 8 . 3 2 8 . 0 2 6 . 3 2 3 . 1 22.6 27.3 3 0 . 4 3 1 . 2 3 1 . 3 3 1 . 5 3 1 . 2 2 9 . 4 2 5 . 8 24.2 30.7 3 3 . 4 3 4 . 3 3 4 . 1 3 4 . 2 3 3 . 9 3 1 . 9 2 7 . 9 28.6 34.5 3 7 . 7 3 7 . 5 3 6 . 9 3 6 . 9 3 7 . 0 3 4 . 7 2 9 . 7 K40MH: 57.62 4 K40MH: 57.62 4 K40MH: 57.62 4 K40MH: 51.91 6 K40MH: 51.91 6 K40MH: 51.91 6 RX7MH: 57.62 4 RX7MH: 57.62 4 RX7MH: 57.62 4 RX7MH: 57.62 4 RX7MH: 57.624 RX7MH: 57.624 RX7MH: 57.624 RX7MH: 57.624 RX7MH: 57.6 2 4 RX7MH: 57. 6 2 4 RX7MH: 57.624 RX7MH: 51.9 1 6 K40MH: 47.61 7 K40MH: 49. 4 3 6 K40MH: 51.26 8 K40MH: 52.77 4 K40MH: 55. 1 7 4 K40MH: 57.55 7 1.01.41.9 2.5 3.1 3.6 3.8 3.4 3.2 2.7 2.5 2.4 1.01.52.0 2.9 3.8 5.25.44.2 3.4 2.6 2.3 2.1 1.01.52.0 3.1 4.3 7.6 8.3 4.9 3.4 2.6 2.2 1.9 1.0 1.5 2.1 3.34.46.8 7.2 4.8 3.6 2.5 2.1 1.7 1.0 1.4 2.0 2.8 3.94.54.6 4.0 3.1 2.4 1.9 1.6 0.9 1.3 1.8 2.5 3.1 3.6 3.7 3.3 2.8 2.2 1.7 1.5 0.9 1.3 1.8 2.3 2.9 3.3 3.3 3.0 2.5 2.0 1.61.4 0.9 1.3 1.8 2.3 3.0 3.2 3.3 3.1 2.6 2.0 1.6 1.3 0.91.41.8 2.7 3.4 4.24.43.7 2.9 2.1 1.6 1.3 0.9 1.4 1.9 2.9 4.1 6.97.4 4.43.0 2.2 1.7 1.3 1.0 1.4 2.0 3.24.47.27.54.6 3.3 2.2 1.7 1.2 0.91.42.0 2.8 3.7 5.0 5.0 3.8 3.1 2.2 1.6 1.2 0.9 1.3 1.9 2.6 3.3 4.04.13.4 2.8 2.11.51.2 0.9 1.3 1.8 2.4 2.9 3.3 3.4 3.1 2.5 2.01.51.2 0.9 1.3 1.8 2.4 3.1 3.3 3.3 3.2 2.6 2.1 1.6 1.2 1.0 1.4 1.9 2.8 3.4 4.1 4.2 3.6 3.0 2.2 1.8 1.3 1.0 1.5 2.1 3.1 4.3 6.8 7.1 4.6 3.3 2.5 2.0 1.6 1.11.6 2.2 3.44.77.9 8.4 5.2 3.8 2.8 2.3 1.80.71.1 1.5 2.6 3.5 6.0 7.8 5.0 2.9 2.1 1.41.0 0.8 1.1 1.7 2.7 3.7 6.0 7.6 5.1 3.0 2.2 1.5 1.0 0.81.1 1.7 2.4 3.4 4.3 4.6 3.9 3.2 2.1 1.51.0 0.8 1.1 1.6 2.3 2.9 3.8 3.8 3.4 2.6 2.0 1.5 1.0 0.81.11.6 2.1 2.6 3.2 3.1 2.9 2.5 1.9 1.41.00.8 1.2 1.6 2.1 2.8 3.3 3.4 3.1 2.6 2.0 1.5 1.1 0.8 1.21.7 2.4 3.0 4.0 4.2 3.7 2.9 2.1 1.61.1 0.9 1.3 1.8 2.8 3.8 6.0 7.3 5.3 3.1 2.4 1.7 1.2 0.9 1.3 1.8 2.9 4.0 6.9 8.9 5.9 3.3 2.5 1.71.2 0.9 1.3 1.8 2.6 3.5 4.8 5.2 4.73.4 2.3 1.7 1.2 0.8 1.21.7 2.4 3.14.1 4.1 4.13.1 2.2 1.71.2 0.8 1.2 1.6 2.2 2.8 3.3 3.4 3.3 2.9 2.1 1.6 1.20.8 1.2 1.6 2.1 2.8 3.4 3.5 3.4 2.9 2.4 1.6 1.3 0.8 1.21.7 2.3 3.0 3.84.1 3.7 3.3 2.6 1.8 1.3 0.8 1.2 1.8 2.7 3.65.56.7 4.8 3.4 2.8 2.31.5 0.8 1.3 1.8 2.94.17.0 8.9 6.0 3.7 3.0 2.4 1.6 0.8 1.2 1.8 2.6 3.5 4.9 6.3 4.9 3.8 2.9 2.5 2.2 0.8 1.21.7 2.4 3.3 3.94.1 4.13.4 2.9 2.5 2.3 FIRE PUMPROOM EM EM EM Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 5_Floor Illuminance Fc 23.60 26.0 20.21.17 1.29Elec_Level 6_Floor Illuminance Fc 28.68 37.7 17.3 1.66 2.18Level 2_Lower Landing to 3_1_1_1_1_Top Illuminance Fc 3.49 24.2 0.0N.A. N.A.Level 2_Slope to 3_4_Top Illuminance Fc 2.80 8.4 0.9 3.11 9.33Level 2_Slope to 3_7_2_Top Illuminance Fc 2.70 8.9 0.7 3.86 12.71Level 2_Upper Landing to 3_1_1_1_1_Top Illuminance Fc 7.5149.8 0.3 25.03 166.00 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts3 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.412 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 371.18412 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 3 9   p .   m . LEVEL 5 -PHOTOMETRICPLAN E2.06A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 5 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP 5EH1-1X1 5H1-5ST1 5EH1-7ST1 EM 5EH1-1X1 5EH1-1X1 5EH1-1X1 5EH1-5ST1 5EH1-5X1 EM 5EH1-7X1 5H1-5K40 5EH1-2K40E 5H1-5K405EH1-2K40E5H1-5K40 5H1-5K40 5H1-5K40 5EH1-2K40E 5H1-5K40 5H1-5K40 5EH1-7X1 5H1-5(1RP-20)D8W 5H1-5(1RP-20)D8W5EH1-2(1RP-21)D8WE FIRE PUMPROOM EM EM EM G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM 5EH1-9RX7 5EH1-5RX7 5EH1-5RX7 EM EM 5EH1-9RX7 5EH1-9RX7 L4 WP WP L2 L2 BEP BEP EM EML1 L2EM5EH1-5ST1 EM 3EH1-1ST1 5EH1-1X1 5H1-5RX7 5H1-5 5H1-5 5H1-5 L6 L6 L6 EM 5H1-2 5H1-2 5H1-2 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 1   p .   m . LEVEL 6 - PARKINGLIGHTING PLAN E2.07 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 6 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L4 LIGHTING TYPE THROUGH PARKING GARAGE TO BE INSTALLED AS A PENDANT FIXTURE AND MOUNTED TOLEVEL WITH BOTTOM OF TRUSS. GENERAL CONTRACTOR TO COORDINATE WITHL6 EMERGENCY LIGHT FIXTURE. CONNECT TO NORMAL AND UNSWITCHED EMERGENCY CIRCUITS AS INDICATEDVIA FIXTURE INTEGRATED EMERGENCY POWER CONTROL DEVICE. REFER TO DIAGRAM E0.01/S040. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set ST1MH: 63.7 ST1MH: 69.6 16.3 19. 1 2 0 . 2 1 9 . 2 19.4 22.9 24. 0 2 3 . 1 21.8 26. 0 2 7 . 6 2 6 . 8 22.6 28. 5 2 9 . 9 2 9 . 7 25.6 30. 2 3 2 . 4 3 2 . 4 20.0 21.3 1 9 . 8 22.9 24.3 2 2 . 7 24.0 25.4 2 3 . 8 24.0 25.1 2 3 . 3 0.9 0 . 9 0 . 9 1 . 0 1 . 2 1 . 4 0 . 2 0 . 0 0 . 4 1 . 0 1.3 1 . 3 1 . 4 1 . 6 2 . 0 2 . 8 2 3 . 5 2 2 . 2 1 . 8 1 . 3 1.7 1 . 8 1 . 9 2 . 3 3 . 0 5 . 9 1 1 . 5 7.7 3.1 1 . 8 2.3 2 . 3 2 . 5 3 . 1 4 . 2 7 . 9 1 6 . 5 1 0 . 3 3 . 7 2 . 1 2.8 2 . 8 3 . 4 3 . 8 5 . 0 6 . 3 8 . 6 6 . 2 3 . 2 2 . 0 3.3 3 . 3 3 . 8 4 . 9 7 . 3 6 . 7 5 . 2 4 . 1 2 . 6 1 . 6 3.5 3 . 6 4 . 1 6 . 2 9 . 3 7 . 6 4 . 8 3 . 4 2 . 2 1 . 5 3.5 3 . 5 4 . 1 5 . 1 6 . 6 5 . 8 4 . 1 3 . 2 2 . 1 1 . 4 3.2 3 . 4 3 . 9 4.4 4.6 4 . 3 3 . 9 2 . 8 2 . 0 1 . 4 3.0 3 . 3 3 . 7 4 . 1 4 . 6 4 . 3 3 . 5 2 . 8 2 . 0 1 . 4 2.8 3 . 1 3 . 9 4.4 4 . 7 4.3 3 . 9 2 . 8 2 . 0 1 . 4 2.7 3 . 2 4 . 0 5 . 1 6 . 7 5 . 8 4 . 1 3 . 2 2 . 1 1 . 4 2.7 3 . 3 4 . 1 6 . 3 9 . 3 7.5 4.6 3 . 2 2 . 1 1 . 4 2.7 3 . 2 4 . 0 5 . 2 7.4 6.3 4 . 3 3 . 2 2 . 1 1 . 4 2.8 3 . 2 4 . 0 4.4 5.1 4 . 6 4 . 0 2 . 9 2 . 0 1 . 4 3.1 3 . 3 3 . 7 4.4 5.0 4 . 6 3 . 6 2 . 8 2 . 0 1 . 4 3.3 3 . 4 4 . 1 4.4 5.1 4.5 3.8 2 . 8 2 . 0 1 . 3 3.5 3 . 5 4 . 0 5 . 1 7 . 3 6 . 1 4 . 0 3 . 0 1 . 9 1 . 3 3.4 3 . 5 3 . 9 5 . 8 8 . 9 7 . 0 4 . 1 2 . 8 1 . 8 1 . 2 3.1 3 . 1 3 . 5 4.4 5.6 4.7 3.3 2 . 5 1 . 6 1 . 1 2.6 2 . 5 2 . 8 3 . 2 3 . 2 2 . 9 2 . 7 1 . 8 1 . 3 0 . 9 2.0 2 . 0 2 . 1 2 . 2 2 . 3 2 . 1 1 . 8 1 . 4 1 . 0 1.4 1 . 4 1 . 5 1 . 6 1 . 5 1 . 4 1 . 2 1 . 0 1.0 1 . 0 1 . 0 1 . 0 1 . 0 0 . 9 0 . 8 0.7 0 . 7 0 . 7 0 . 7 0 . 7 0 . 6 6.6 3 . 2 1 . 9 1.4 1.2 1 . 0 11.3 4.7 2.8 2 . 0 1.7 1 . 5 14.0 5 . 9 3 . 5 2 . 7 2 . 3 2 . 2 13.5 6 . 3 4 . 2 3 . 4 3 . 0 3 . 0 10.8 6 . 6 5 . 0 4.1 4 . 1 4.0 8.5 6 . 9 5.4 4.9 4.7 5 . 4 4.6 5.7 6.7 7.4 9.7 9 . 3 6 . 2 5.4 5.0 6 . 8 3.1 3 . 9 5.1 6.2 9 . 1 9 . 0 6 . 1 5 . 2 4 . 9 5.5 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 8 4.4 4.3 2.0 2 . 7 3 . 5 4.4 5.0 5.1 4.7 4.1 3.7 3 . 4 1.8 2 . 5 3 . 3 4 . 3 4 . 8 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.7 2.5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 4 1.7 2.4 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 8 2 . 1 1.7 2.4 3 . 7 5 . 0 8 . 0 8 . 1 5.1 3.8 2 . 6 1 . 9 1.6 2 . 3 3 . 4 4 . 3 5.5 5 . 5 4.3 3 . 6 2 . 5 1 . 8 1.6 2 . 3 3 . 1 4.1 5.0 5 . 0 4 . 2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 1 4.1 4.8 4 . 9 4.1 3.2 2 . 3 1.5 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1.7 2.8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 20.3 5.4 13.8 14.4 6.6 3 . 2 1 . 9 1.4 1.2 1 . 0 28.4 9 . 8 2 9 . 6 3 0 . 5 1 1 . 3 4.7 2.8 2 . 0 1.7 1 . 5 9.9 1 8 . 3 2 1 . 0 2 1 . 2 2 0 . 5 2 0 . 2 2 8 . 2 3 9 . 2 3 7 . 6 1 4 . 0 5 . 9 3 . 5 2 . 7 2 . 3 2 . 2 11.8 2 2 . 4 2 5 . 4 2 5 . 3 2 5 . 2 2 8 . 7 3 9 . 0 3 8 . 8 3 5 . 0 1 3 . 5 6 . 3 4 . 2 3 . 4 3 . 0 3 . 0 5.3 8 . 7 1 0 . 5 1 1 . 3 1 2 . 6 1 9 . 1 2 5 . 9 2 4 . 2 2 1 . 2 1 0 . 8 6 . 6 5 . 0 4.1 4 . 1 4.0 2.3 3 . 4 4 . 3 5.1 6.3 8 . 8 1 0 . 9 1 1 . 3 1 0 . 3 8 . 5 6 . 9 5.4 4.9 4.7 5 . 4 1.2 1.7 2.2 2 . 8 3 . 6 4 . 6 5.7 6.7 7.4 9.7 9 . 3 6 . 2 5.4 5.0 6 . 8 3.1 3 . 9 5.1 6.2 9 . 1 9 . 0 6 . 1 5 . 2 4 . 9 5.5 2.4 3 . 1 4 . 2 4 . 9 6 . 0 6 . 1 5 . 2 4 . 8 4.4 4.3 2.0 2 . 7 3 . 5 4.4 5.0 5.1 4.7 4.1 3.7 3 . 4 1.8 2 . 5 3 . 3 4 . 3 4 . 8 4 . 9 4 . 6 3 . 8 3 . 3 2 . 9 1.7 2.5 3 . 6 4.4 5.6 5.7 4.6 4 . 0 3 . 0 2 . 4 1.7 2.4 3 . 7 5.1 8.4 8 . 5 5 . 2 3 . 9 2 . 8 2 . 1 1.7 2.4 3 . 7 5 . 0 8 . 0 8 . 1 5.1 3.8 2 . 6 1 . 9 1.6 2 . 3 3 . 4 4 . 3 5.5 5 . 5 4.3 3 . 6 2 . 5 1 . 8 1.6 2 . 3 3 . 1 4.1 5.0 5 . 0 4 . 2 3 . 2 2 . 4 1.7 1.5 2.2 3 . 1 4.1 4.8 4 . 9 4.1 3.2 2 . 3 1.5 1.4 2.1 3 . 4 4 . 6 6 . 8 6 . 8 4 . 6 3 . 4 2 . 2 1.5 1.3 2 . 0 3 . 1 4.4 8.4 8 . 4 4.4 3.1 2 . 0 1.4 1.2 1.7 2.8 3 . 7 5.4 5 . 4 3.8 2 . 9 1 . 8 1 . 2 0.9 1.4 2.0 2 . 8 2 . 9 2 . 9 2 . 8 2 . 0 1.4 1.0 1.0 1.4 1.8 2 . 0 2 . 1 1 . 8 1.5 1 . 1 0.8 1.0 1 . 2 1 . 3 1 . 3 1 . 2 1 . 0 0 . 8 0 . 6 0.7 0 . 8 0 . 8 0 . 8 0 . 7 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 K40MH: 68.12 4 K40MH: 68.12 4 K40MH: 68.12 4 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 K40MH: 62.41 6 K40MH: 62.41 6 K40MH: 62.41 6 RX7MH: 62. 4 1 6 RX7MH: 68. 1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68.1 2 4 RX7MH: 68. 1 2 4 RX7MH: 68.124 K40MH: 58.10 9 K40MH: 59. 9 2 8 K40MH: 61.75 1 K40MH: 63.29 3 K40MH: 65. 6 8 9 K40MH: 68.07 1 0.71.1 1.5 2.6 3.5 6.0 7.8 5.0 2.9 2.1 1.41.0 0.8 1.1 1.7 2.7 3.7 6.0 7.6 5.1 3.0 2.2 1.5 1.0 0.81.1 1.7 2.4 3.4 4.3 4.6 3.9 3.2 2.1 1.51.0 0.8 1.1 1.6 2.3 2.8 3.8 3.8 3.4 2.6 2.0 1.5 1.0 0.81.11.6 2.1 2.7 3.2 3.1 2.9 2.5 1.9 1.41.00.8 1.2 1.6 2.1 2.8 3.3 3.4 3.1 2.6 2.0 1.5 1.1 0.8 1.21.7 2.4 3.0 4.0 4.2 3.7 2.9 2.1 1.61.1 0.9 1.3 1.8 2.8 3.8 6.0 7.3 5.3 3.1 2.4 1.7 1.2 0.9 1.3 1.8 2.9 4.0 6.9 8.9 5.9 3.3 2.5 1.71.2 0.9 1.3 1.8 2.6 3.5 4.8 5.2 4.73.4 2.3 1.7 1.2 0.8 1.21.7 2.4 3.14.1 4.1 4.13.1 2.2 1.71.2 0.8 1.2 1.6 2.2 2.8 3.3 3.4 3.3 2.9 2.1 1.6 1.20.8 1.2 1.6 2.2 2.8 3.4 3.5 3.4 2.9 2.4 1.6 1.3 0.8 1.21.7 2.3 3.0 3.84.1 3.7 3.3 2.6 1.8 1.3 0.8 1.3 1.8 2.7 3.65.56.7 4.9 3.4 2.8 2.31.5 0.8 1.3 1.8 2.94.17.0 8.9 6.0 3.7 3.0 2.4 1.6 0.8 1.2 1.8 2.6 3.5 5.0 6.3 4.9 3.8 2.9 2.5 2.2 0.8 1.21.7 2.4 3.3 3.94.1 4.13.4 2.9 2.5 2.3 1.01.41.9 2.5 3.1 3.6 3.8 3.4 3.2 2.7 2.5 2.4 1.01.52.0 2.9 3.8 5.25.44.2 3.4 2.6 2.3 2.1 1.01.52.0 3.1 4.3 7.6 8.3 4.9 3.4 2.6 2.2 1.9 1.0 1.5 2.1 3.34.46.7 7.2 4.8 3.6 2.5 2.1 1.8 1.0 1.4 2.0 2.8 3.94.54.6 4.0 3.1 2.4 1.9 1.6 0.9 1.3 1.8 2.5 3.1 3.6 3.7 3.3 2.8 2.2 1.7 1.5 0.9 1.3 1.8 2.3 2.9 3.3 3.3 3.0 2.5 2.0 1.61.4 0.9 1.3 1.8 2.3 3.0 3.2 3.3 3.1 2.6 2.0 1.6 1.3 0.91.41.8 2.7 3.4 4.24.43.7 2.9 2.1 1.6 1.3 1.0 1.4 1.9 2.9 4.1 6.97.4 4.43.0 2.2 1.7 1.3 1.0 1.4 2.0 3.24.47.27.54.6 3.3 2.2 1.7 1.2 0.91.42.0 2.8 3.7 5.0 5.0 3.8 3.1 2.2 1.6 1.2 0.9 1.3 1.9 2.6 3.3 4.04.13.4 2.8 2.11.51.2 0.9 1.3 1.8 2.4 2.9 3.3 3.4 3.1 2.5 2.01.5 1.1 0.9 1.3 1.8 2.4 3.1 3.3 3.3 3.2 2.6 2.0 1.6 1.2 1.0 1.4 1.9 2.7 3.3 4.1 4.2 3.6 3.0 2.2 1.8 1.3 1.0 1.5 2.1 3.1 4.2 6.8 7.14.53.3 2.5 2.0 1.5 1.11.6 2.2 3.44.77.8 8.45.13.7 2.7 2.3 1.8 FIRE PUMPROOM EM EM 5H1-1 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinElec_Level 6a_Floor Illuminance Fc 24.89 32.4 16.3 1.53 1.99Elec_Level 6b_Floor Illuminance Fc 23.05 25.4 19.8 1.16 1.28Level 2_Lower Landing to 3_1_1_1_1_1_Top Illuminance Fc 3.49 23.5 0.0N.A. N.A.Level 2_Slope to 3_5_Top Illuminance Fc 2.80 8.4 0.9 3.11 9.33Level 2_Slope to 3_7_3_Top Illuminance Fc 2.70 8.9 0.7 3.86 12.71Level 2_Upper Landing to 3_1_1_1_1_1_Top Illuminance Fc 6.15 39.2 0.3 20.50 130.67 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts2 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 63.610 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 309.3212 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 540 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 3   p .   m . LEVEL 6 -PHOTOMETRICPLAN E2.07A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 6 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set RT1MH: 83.47 D8WMH: 68.124 D8WMH: 68.124 D8WMH: 68.124 0.4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 0 0 . 4 0 . 4 0.5 0. 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 5 0 . 4 0 . 4 1.0 0 . 9 0 . 9 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 5 1.3 1 . 3 1 . 3 1 . 2 1.1 0.9 0 . 8 0 . 7 0 . 6 0 . 5 1.8 1 . 8 1 . 8 1 . 6 1.4 1.2 1 . 0 0 . 8 0 . 7 0 . 5 2.6 2 . 5 2 . 4 2 . 2 1 . 9 1 . 6 1 . 2 1 . 0 0 . 8 0 . 6 3.4 3 . 4 3 . 2 2 . 9 2 . 4 1 . 9 1.5 1.2 0 . 9 0 . 7 4.4 4.3 4.1 3.6 3 . 0 2 . 3 1 . 8 1 . 3 1 . 0 0 . 7 5.2 5 . 3 4 . 9 4 . 2 3 . 5 2 . 7 2 . 0 1.5 1 . 1 0.8 5.5 5 . 5 5.6 4.7 3.8 2 . 9 2 . 1 1.5 1 . 1 0.8 5.5 5 . 7 5 . 4 4.9 3 . 9 3 . 0 2 . 2 1 . 6 1.1 0.8 5.2 5 . 6 5 . 3 4 . 9 3 . 8 3 . 0 2 . 2 1.5 1 . 1 0.8 5.5 5 . 7 5 . 4 4.9 3 . 9 3 . 0 2 . 2 1 . 6 1.1 0.8 5.6 5 . 6 5 . 6 4.7 3.8 2 . 9 2 . 1 1.5 1 . 1 0.8 5.2 5.4 5.0 4 . 3 3 . 5 2 . 7 2 . 0 1.5 1 . 1 0.8 4.5 4 . 4 4.2 3 . 7 3 . 1 2 . 4 1 . 8 1 . 3 1 . 0 0 . 7 3.5 3 . 5 3 . 3 3 . 0 2 . 4 2 . 0 1.5 1.2 0 . 9 0 . 7 2.6 2 . 6 2 . 5 2 . 2 1 . 9 1 . 6 1 . 3 1 . 0 0 . 8 0 . 6 1.9 1 . 9 1 . 8 1.7 1 . 5 1.2 1 . 0 0 . 8 0 . 6 0 . 5 1.4 1 . 4 1.3 1 . 2 1.1 1.0 0 . 8 0 . 7 0 . 5 0 . 4 1.0 1 . 0 0 . 9 0 . 9 0 . 8 0 . 7 0 . 6 0 . 5 0 . 4 0.7 0 . 7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0.5 0 . 5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0.4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0.5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0.7 0 . 7 0 . 7 0 . 6 0 . 5 0 . 4 1.2 1 . 2 1.1 0.9 0 . 7 0 . 6 1.7 1 . 7 1.6 1 . 3 1 . 0 0 . 8 2.8 2 . 8 2 . 5 1 . 8 1.4 1.0 4.2 4 . 2 3 . 2 2 . 6 1 . 8 1 . 3 1.3 1 . 9 3 . 0 4 . 2 7 . 3 7.4 4.3 3 . 1 2 . 1 1.5 1.4 2.1 3 . 2 4.5 7 . 5 7.6 4 . 6 3 . 4 2 . 3 1 . 8 1.5 2.1 3 . 2 3 . 9 5.1 5.2 4.1 3.5 2 . 5 2 . 0 1.5 2.2 3 . 0 3 . 9 4.5 4.6 4.1 3.4 2 . 8 2 . 2 1.5 2.2 3 . 0 4.1 4.6 4 . 8 4.4 3.6 3 . 1 2 . 7 1.6 2 . 4 3 . 5 4.4 5.6 5 . 8 4 . 9 4.4 3.7 3 . 4 1.7 2.5 3 . 7 5 . 2 8 . 6 8 . 8 5 . 9 5 . 0 4.4 4 . 5 1.7 2.5 3 . 8 5 . 3 8 . 5 8 . 7 6 . 3 5 . 6 5.4 6.2 1.7 2.5 3 . 7 4.7 6.1 6 . 5 5 . 9 6 . 0 6 . 5 8 . 3 1.7 2.5 3 . 5 4 . 6 5 . 8 6 . 3 6 . 0 6 . 3 7 . 6 1 0 . 8 1.6 2 . 4 3 . 5 4.7 5 . 7 6.2 6 . 3 6 . 8 8 . 5 1 3 . 0 1.6 2 . 4 3 . 8 5 . 2 7.7 8.3 7 . 0 7.4 9.3 1 4 . 8 1.5 2.3 3 . 5 5 . 0 9 . 3 9 . 9 6 . 9 7 . 2 9 . 3 15.1 1.3 2 . 0 3 . 3 4.4 6.3 6 . 9 6 . 2 6 . 9 8 . 8 1 4 . 3 1.1 1 . 7 2.4 3 . 4 3 . 9 4.4 5.0 5 . 6 7 . 6 1 2 . 2 1.3 1 . 8 2 . 3 2 . 9 3 . 3 3 . 7 4 . 6 6 . 2 9 . 7 1.3 1.7 2.1 2 . 4 2 . 9 3 . 5 4.7 6.9 1.2 1.4 1 . 7 2.1 2 . 6 3 . 3 4.5 1.0 1 . 2 1.4 1.8 2 . 2 2 . 8 K40MH: 68.12 4 K40MH: 68.12 4 K40MH: 68.12 4 3.6 6.1 10.114.718.8 21.8 22.2 21.317.713.6 9.3 6.1 4.2 8.1 15.8 26.0 33.9 41.0 40.6 39.8 30.9 22.8 12.9 7.0 4.49.1 20.1 33.9 43.3 55.6 52.8 53.4 38.3 29.2 15.37.4 4.0 8.7 20.2 35.5 45.6 59.055.456.7 40.2 30.1 14.9 6.8 3.3 6.814.727.1 36.6 44.6 43.4 42.9 32.7 22.7 11.25.52.44.47.9 12.3 16.3 19.0 19.4 18.4 14.9 10.8 6.6 3.9 1.72.6 4.0 5.6 6.9 8.0 8.2 7.8 6.6 5.2 3.8 2.7 1.1 1.6 2.2 2.8 3.3 3.7 3.9 3.7 3.3 2.9 2.4 1.9 0.81.1 1.4 1.71.9 2.1 2.2 2.2 2.1 2.0 1.8 1.6 0.6 0.8 1.0 1.2 1.3 1.5 1.6 1.7 1.7 1.7 1.7 1.6 0.5 0.7 0.8 1.01.11.31.5 1.61.71.8 1.8 1.8 0.5 0.6 0.7 0.91.11.3 1.6 1.8 2.0 2.1 2.2 2.20.5 0.6 0.7 0.9 1.21.41.8 2.1 2.5 2.7 2.8 2.8 0.4 0.6 0.7 1.0 1.3 1.6 2.0 2.6 3.0 3.3 3.5 3.5 0.4 0.6 0.8 1.0 1.3 1.8 2.4 3.0 3.64.1 4.4 4.4 0.4 0.6 0.8 1.1 1.41.9 2.6 3.44.14.8 5.14.9 0.4 0.6 0.8 1.1 1.52.0 2.8 3.64.55.2 5.35.4 0.4 0.6 0.8 1.1 1.52.1 2.8 3.74.75.2 5.6 5.2 WP WP Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLevel 2_Lower Landing to 3_1_1_1_1_1_1_Top Illuminance Fc 1.865.70.0N.A. N.A.Level 2_Slope to 3_7_4_Top Illuminance Fc 9.03 59.0 0.4 22.58 147.50Level 2_Upper Landing to 3_1_1_1_1_1_Top Illuminance Fc 3.4115.10.2 17.05 75.50 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts1TT-D4-740-U-WQ 4 @ 90 Degrees TT-D4-740-U-WQ RT1 0.900 7569 57.6 230.43 TT-D8-740-U-WQ Single TT-D8-740-U-WQ D8W 0.850 17562 148.7 446.13 HPG14-www-xx-5W-CP-40L-40K8-D Single HPG14-www-xx-5W-CP-40L-40K8-DIM1-yyy-zzzz K40 0.850 6075 45 135 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts14 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 433.0484 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 127.2 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_Top Illuminance Fc 18.95 20.1 17.8 1.06 1.13Level_2_Top Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2_Top_1 Illuminance Fc 22.25 26.8 17.2 1.29 1.56Level_2a_Top Illuminance Fc 17.35 21.8 12.4 1.40 1.76Level_2b_1_Top Illuminance Fc 15.83 34.8 2.3 6.88 15.13Stair Tread_4_1_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_2_1_Top_1 Illuminance Fc 20.00 20.0 20.0 1.00 1.00Stair Tread_4_3_1_Top_1 Illuminance Fc 18.60 18.6 18.6 1.00 1.00Stair Tread_4_4_1_Top_1 Illuminance Fc 20.70 20.7 20.7 1.00 1.00Stair Tread_4_5_1_Top_1 Illuminance Fc 20.20 20.2 20.2 1.00 1.00Stair Tread_4_6_1_1_Top_1 Illuminance Fc 19.10 19.1 19.1 1.00 1.00Stair Tread_4_6_2_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_3_1_Top_1 Illuminance Fc 19.80 19.8 19.8 1.00 1.00Stair Tread_4_6_4_1_Top_1 Illuminance Fc 18.90 18.9 18.9 1.00 1.00Stair Tread_4_6_5_1_Top_1 Illuminance Fc 20.50 20.5 20.5 1.00 1.00Stair Tread_4_6_6_1_Top_1 Illuminance Fc 19.60 19.6 19.6 1.00 1.00Stair Tread_4_6_7_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_8_1_Top_1 Illuminance Fc 18.50 18.5 18.5 1.00 1.00Stair Tread_4_6_9_Top_1 Illuminance Fc 20.90 20.9 20.9 1.00 1.00Stair Tread_4_7_Top_1 Illuminance Fc 17.7017.7 17.71.00 1.00 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 4   p .   m . LEVEL 6.5 -PHOTOMETRICPLAN E2.07B PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 6.5 - PHOTOMETRIC PLAN1 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set PP EMEM 5EH1-7ST1 5EH1-7ST1 5EH1-5ST1 5EH1-5ST1 EM EM 5H1-7(5RP7)RT1 5H1-7(5RP7)RT1 5EH1-5X1 5EH1-7X1 5H1-7(5RP7)RT15H1-7(5RP7)RT15H1-7(5RP7)RT1 5H1-7(5RP7)RT15H1-7(5RP7)RT1 5H1-7(5RP7)RT1 5EH1-7X1 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L EM EM EM5EH1-11RX7 5EH1-11RX7 5EH1-11RX7WP WP L2 L2 BEP BEP EM EML1 L2 5H1-3 5H1-3 5H1-3 LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 5   p .   m . LEVEL 7 - PARKINGLIGHTING PLAN E2.08 PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 7 - PARKING LIGHTING PLAN1 LIGHTING GENERAL SHEET NOTES1. REFER TO ARCHITECTURAL REFLECTED CEILING PLANS FOR ALL FIXTURE LOCATIONS WITHIN A CEILING OR CEILING GRID. FOR AREAS WITHOUT CEILINGS, FIXTURE LOCATIONS ARE DIAGRAMMATIC. THE INTENT IS TO ALIGN, CENTER, OR SPACE FIXTURES BETWEEN ARCHITECTURAL AND STRUCTURAL ELEMENTS. COORDINATE WITH PAINTING CONTRACTOR FOR PAINTING OF EXPOSED RACEWAY.2. FIELD VERIFY EXACT FIXTURE LENGTHS FOR CONTINUOUS ILLUMINATION FOR COVES AND LINEAR RUNS. PROVIDE CONTINUOUS ILLUMINATION WITH NO MORE THAN A 1" GAP BETWEEN THE END OF THE EDGE OF THE WALL / CEILING AND THE FIXTURE.3. ELECTRICAL CONTRACTOR TO COORDINATE WITH MECHANICAL CONTRACTOR FOR PLACEMENT OF FIXTURES WITHIN MECHANICAL ROOMS.4. ALL ROOM CONTROLLERS AND/OR POWER PACKS SHALL BE INSTALLED IN THE CEILING SPACE DIRECTLY ABOVE THE ENTRY DOOR TO THE SPACE IT IS CONTROLLING.5. PROVIDE 0-10V DIMMING CONDUCTORS FOR ALL AREAS AND/OR ROOMS WHERE 0-10V DIMMING IS INDICATED BY THE RELAY PANEL SCHEDULE AND/OR WALL STATION CONTROL SEQUENCE.6. SUBSCRIPT ADJACENT TO LIGHT FIXTURE INDICATES CONTROLS, PROVIDE LIGHTING CONTROLS WITH THE REQUIRED NUMBER OF RELAY/DIMMERS. PROVIDE ADDITIONAL RELAY/DIMMERS FOR DAYLIGHT ZONES AS REQUIRED. LIGHTING SENSOR GENERAL NOTES 1. THE ELECTRICAL CONTRACTOR SHALL BE RESPONSIBLE FOR CONTACTING THE SENSOR MANUFACTURER FOR PROPER PLACEMENT AND ADJUSTMENT OF OCCUPANCY SENSORS.2. EACH ZONE SHALL HAVE COVERAGE BY OCCUPANCY SENSOR SUCH THAT NO BLIND SPOT EXIST.3. UPON COMPLETION OF THE INSTALLATION, THE SYSTEM SHALL BE COMPLETELY COMMISSIONED BY THE MANUFACTURER'S FACTORY AUTHORIZED TECHNICIAN WHO WILL VERIFY ALL ADJUSTMENTS AND SENSOR PLACEMENT TO ENSURE A TROUBLE-FREE INSTALLATION.4. THE LOCATION AND QUANTITIES OF SENSORS SHOWN ON THE DRAWINGS ARE DIAGRAMMATIC AND INDICATE ONLY THE ROOMS WHICH ARE TO BE PROVIDED WITH SENSORS. THE ELECTRICAL CONTRACTOR SHALL PROVIDE ADDITIONAL SENSORS IF REQUIRED TO PROPERLY COVER THE RESPECTIVE ROOM.5. PROVIDE DAYLIGHT ZONE CONTROL REQUIREMENTS PER CURRENT IECC REQUIREMENTS. LOCATE DAYLIGHT SENSOR(S) PER MANUFACTURER'S RECOMMENDATION AND WHERE REQUIRED WITHIN THE ROOM FOR PROPER COVERAGE. SHEET KEYNOTESL1 ELEVATOR PIT LIGHT. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER.L2 ELEVATOR PIT LIGHT SWITCH. COORDINATE MOUNTING LOCATION W/ELEVATOR INSTALLER. NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set RT1MH: 81.41 7 RT1MH: 87.3 3 9 D8WMH: 68.124 D8WMH: 68.124 D8WMH: 68.124 0.4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 0 0 . 3 0 . 3 0.5 0. 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0.7 0 . 7 0 . 6 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0.9 0 . 9 0 . 9 0 . 8 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 1.3 1 . 2 1 . 2 1 . 1 1 . 0 0 . 8 0 . 7 0 . 6 0 . 5 0 . 5 1.8 1 . 8 1 . 7 1 . 5 1 . 3 1 . 1 0 . 9 0 . 7 0 . 6 0 . 5 2.6 2 . 5 2 . 4 2 . 1 1 . 8 1 . 4 1 . 1 0 . 9 0 . 7 0 . 5 3.7 3 . 6 3 . 3 2 . 9 2 . 3 1 . 8 1 . 4 1 . 0 0 . 8 0 . 6 4.9 4 . 8 4.5 3.9 3 . 0 2 . 3 1 . 7 1 . 2 0 . 9 0 . 6 6.2 6 . 2 5 . 6 4.7 3.7 2 . 6 1 . 9 1 . 3 0 . 9 0 . 7 6.8 7 . 0 6 . 5 5 . 3 4 . 1 2 . 9 2 . 0 1 . 4 1 . 0 0 . 7 7.1 7 . 1 6 . 8 5 . 6 4 . 2 3 . 0 2 . 1 1 . 5 1 . 0 0 . 7 6.5 7 . 0 6 . 5 5.5 4.2 3 . 0 2 . 1 1 . 5 1 . 0 0 . 7 7.0 7 . 1 6 . 8 5 . 6 4 . 2 3 . 0 2 . 1 1 . 5 1 . 0 0 . 7 6.9 7 . 0 6 . 6 5 . 3 4 . 1 2 . 9 2 . 1 1 . 4 1 . 0 0 . 7 6.4 6 . 3 5.7 4.8 3 . 7 2 . 7 1 . 9 1 . 3 1 . 0 0 . 7 5.0 4 . 9 4 . 6 4 . 0 3 . 0 2 . 3 1 . 7 1 . 2 0 . 9 0 . 6 3.8 3 . 7 3 . 4 2 . 9 2 . 4 1 . 9 1 . 4 1 . 1 0 . 8 0 . 6 2.6 2 . 6 2 . 5 2 . 2 1 . 8 1 . 5 1 . 2 0 . 9 0 . 7 0 . 5 1.9 1 . 9 1 . 7 1 . 6 1 . 4 1 . 1 0 . 9 0 . 7 0 . 6 0 . 4 1.3 1 . 3 1 . 2 1 . 1 1 . 0 0 . 9 0 . 7 0 . 6 0 . 5 0 . 4 1.0 0 . 9 0 . 9 0 . 8 0 . 7 0 . 7 0 . 6 0 . 5 0 . 4 0.7 0 . 7 0 . 7 0 . 6 0 . 6 0 . 5 0 . 4 0 . 4 0.5 0 . 5 0 . 5 0 . 5 0 . 4 0 . 4 0 . 3 0.4 0 . 4 0 . 4 0 . 4 0 . 3 0 . 3 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0.8 0 . 7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 9 0.9 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 2 1.0 1 . 2 1.4 1 . 5 1 . 7 1 . 7 1 . 7 1.0 1 . 0 1.1 1.3 1.5 1.8 2 . 1 2 . 4 2 . 5 2 . 5 0.7 1 . 0 1 . 2 1.5 1.9 2 . 4 3 . 0 3 . 4 3 . 6 3 . 6 0.7 1 . 0 1 . 3 1 . 8 2 . 4 3 . 1 4 . 0 4 . 6 4 . 8 4 . 8 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 4 . 9 5.7 6.2 6 . 2 0.7 1.1 1 . 5 2.2 3 . 1 4 . 3 5.5 6.7 7 . 0 6 . 8 0.8 1.1 1.6 2 . 3 3 . 2 4.5 5.8 6 . 9 7 . 2 7 . 0 0.8 1.1 1 . 5 2.2 3 . 3 4.4 5.8 6 . 6 7.1 6.5 0.8 1.1 1.6 2 . 2 3 . 2 4.5 5.9 6 . 8 7 . 2 6 . 9 0.7 1 . 0 1.5 2.2 3 . 1 4 . 3 5 . 6 6 . 8 7 . 0 6 . 9 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 5 . 0 5 . 9 6 . 4 6 . 4 0.7 0 . 9 1 . 3 1 . 8 2 . 4 3 . 2 4.1 4.7 5.0 5 . 0 0.6 0 . 8 1.1 1 . 5 2.0 2 . 5 3 . 1 3 . 5 3 . 7 3 . 8 0.5 0 . 7 0 . 9 1 . 2 1.5 1.9 2 . 2 2 . 5 2 . 6 2 . 6 0.5 0 . 6 0 . 7 0 . 9 1 . 2 1.4 1.6 1.7 1.8 1 . 8 0.4 0 . 5 0 . 6 0 . 7 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 3 0.4 0 . 5 0 . 6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 0 . 9 0.4 0 . 4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0.3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.2 0 . 4 0 . 4 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 0.3 1.1 0.7 0 . 5 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 9.3 1 6 . 4 1 8 . 3 17.5 14.3 5 . 9 2 . 0 0 . 9 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 0 . 6 10.9 1 9 . 7 2 1 . 8 2 0 . 7 1 7 . 2 6 . 9 2 . 2 1 . 0 0 . 8 0 . 7 0 . 8 0 . 8 0 . 8 0 . 8 0 . 9 4.6 6 . 9 7 . 9 7.7 6.2 3 . 5 1.7 1.0 0 . 9 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 2 1.6 2 . 1 2 . 4 2 . 6 2 . 2 1 . 6 1 . 2 1 . 0 1 . 0 1 . 2 1.4 1 . 5 1 . 7 1 . 7 1 . 7 0.8 1 . 0 1.1 1 . 1 0.9 1 . 0 1 . 0 1.1 1.3 1.5 1.8 2 . 1 2 . 4 2 . 5 2 . 5 0.7 1 . 0 1 . 2 1.5 1.9 2 . 4 3 . 0 3 . 4 3 . 6 3 . 6 0.7 1 . 0 1 . 3 1 . 8 2 . 4 3 . 1 4 . 0 4 . 6 4 . 8 4 . 8 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 4 . 9 5.7 6.2 6 . 2 0.7 1.1 1 . 5 2.2 3 . 1 4 . 3 5.5 6.7 7 . 0 6 . 8 0.8 1.1 1.6 2 . 3 3 . 2 4.5 5.8 6 . 9 7 . 2 7 . 0 0.8 1.1 1 . 5 2.2 3 . 3 4.4 5.8 6 . 6 7.1 6.5 0.8 1.1 1.6 2 . 2 3 . 2 4.5 5.9 6 . 8 7 . 2 6 . 9 0.7 1 . 0 1.5 2.2 3 . 1 4 . 3 5 . 6 6 . 8 7 . 0 6 . 9 0.7 1 . 0 1.4 2.0 2 . 8 3 . 9 5 . 0 5 . 9 6 . 4 6 . 4 0.7 0 . 9 1 . 3 1 . 8 2 . 4 3 . 2 4.1 4.7 5.0 5 . 0 0.6 0 . 8 1.1 1 . 5 2.0 2 . 5 3 . 1 3 . 5 3 . 7 3 . 8 0.5 0 . 7 0 . 9 1 . 2 1.5 1.9 2 . 2 2 . 5 2 . 6 2 . 6 0.5 0 . 6 0 . 7 0 . 9 1 . 2 1.4 1.6 1.7 1.8 1 . 8 0.4 0 . 5 0 . 6 0 . 7 0 . 9 1 . 0 1.1 1.2 1 . 2 1 . 3 0.4 0 . 5 0 . 6 0 . 6 0 . 7 0 . 8 0 . 8 0 . 9 0 . 9 0.4 0 . 4 0 . 5 0 . 5 0 . 6 0 . 6 0 . 6 0 . 6 0.3 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0 . 4 0.3 0 . 3 0 . 3 0 . 3 0 . 3 0 . 3 6.7 7 . 2 6 . 8 6 . 0 7.1 7 . 0 7 . 1 5 . 9 6.5 6 . 8 6 . 3 5 . 3 5.45.3 5 . 1 4.5 4.1 4 . 1 3 . 9 3 . 4 2.9 2 . 9 2 . 7 2 . 5 2.0 2 . 0 1 . 9 1 . 8 1.4 1 . 4 1 . 3 1 . 3 1.0 1 . 0 0 . 9 0 . 9 0.7 0 . 7 0 . 7 0 . 7 0.5 0 . 5 0 . 5 0 . 5 0.4 0 . 4 0 . 4 0 . 4 RX7MH: 78.866 RX7MH: 78 . 8 6 6 RX7MH: 78.86 6 0.4 0.5 0.7 1.01.42.0 2.94.1 5.46.7 7.2 7.0 0.4 0.6 0.7 1.01.42.1 2.9 4.2 5.67.17.67.7 0.4 0.5 0.7 1.01.42.0 2.8 4.05.46.7 7.67.7 0.4 0.5 0.7 1.0 1.3 1.9 2.6 3.54.7 5.76.4 6.5 0.4 0.5 0.7 0.9 1.2 1.7 2.2 2.9 3.74.54.9 5.1 0.4 0.5 0.7 0.8 1.1 1.4 1.8 2.3 2.9 3.3 3.6 3.7 0.4 0.5 0.6 0.8 1.0 1.21.51.9 2.2 2.4 2.6 2.7 0.4 0.5 0.6 0.7 0.91.11.31.5 1.71.9 2.0 2.0 0.4 0.5 0.6 0.7 0.9 1.0 1.21.4 1.51.61.7 1.7 0.4 0.5 0.6 0.7 0.9 1.0 1.2 1.4 1.5 1.6 1.7 1.7 0.4 0.5 0.6 0.7 0.9 1.1 1.3 1.5 1.7 1.8 1.9 1.9 0.4 0.5 0.6 0.8 1.0 1.21.5 1.72.0 2.2 2.3 2.3 0.4 0.5 0.6 0.81.1 1.4 1.72.1 2.5 2.8 2.9 3.0 0.4 0.5 0.7 0.9 1.21.52.0 2.6 3.2 3.6 3.8 3.9 0.4 0.5 0.7 0.9 1.31.72.3 3.1 3.94.54.9 5.0 0.4 0.5 0.7 1.0 1.3 1.9 2.6 3.64.5 5.56.1 5.9 0.4 0.5 0.7 1.0 1.4 2.0 2.8 3.8 5.0 6.3 6.4 6.6 0.4 0.5 0.7 1.01.42.0 2.8 4.0 5.2 6.4 6.9 6.6 0.8 2.7 6.1 14.6 27.8 37.7 46.5 44.9 44.6 33.4 22.7 10.34.5 2.2 4.2 8.0 13.1 17.5 20.7 20.9 19.8 15.7 11.0 6.3 3.42.0 3.2 4.8 6.7 8.4 9.8 10.2 9.9 8.8 7.3 5.7 4.5 1.5 2.1 2.9 3.64.45.0 5.3 5.45.1 4.6 4.0 3.5 1.21.51.9 2.3 2.7 3.1 3.3 3.4 3.4 3.3 3.1 2.9 0.9 1.2 1.4 1.7 2.0 2.2 2.4 2.6 2.7 2.7 2.6 2.5 0.8 1.0 1.2 1.41.6 1.8 2.1 2.3 2.4 2.5 2.6 2.5 0.7 0.9 1.0 1.2 1.5 1.7 2.0 2.3 2.5 2.7 2.7 2.7 0.6 0.8 1.0 1.21.4 1.72.1 2.4 2.8 3.1 3.3 3.30.6 0.7 0.9 1.1 1.4 1.8 2.3 2.8 3.4 3.8 4.0 4.1 0.5 0.7 0.9 1.1 1.51.9 2.5 3.34.14.7 5.15.2 0.5 0.7 0.9 1.1 1.52.1 2.8 3.84.75.6 6.3 6.1 0.5 0.6 0.8 1.1 1.52.1 3.0 4.0 5.2 6.4 6.6 6.7 0.5 0.6 0.8 1.1 1.52.1 3.0 4.1 5.46.5 6.9 6.7 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLevel 2_Lower Landing to 3_1_1_1_1_1_1_Top Illuminance Fc 1.967.10.0N.A. N.A.Level 2_Slope to 3_6_Top Illuminance Fc 2.227.70.45.55 19.25Level 2_Upper Landing to 3_1_1_1_1_1_1_Top Illuminance Fc 2.72 21.8 0.2 13.60 109.00Level 7_to 8_Top_1 Illuminance Fc 3.10 7.2 0.47.75 18.00Ramp to level 6 and a half_Top Illuminance Fc 5.14 46.5 0.5 10.28 93.00 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts2 TT-D4-740-U-WQ 4 @ 90 Degrees TT-D4-740-U-WQ RT1 0.900 7569 57.6 460.83 RXT-P-D-FF-07L40-4 Single RXT-P-D-FF-07L40-4 RX7 0.850 2869 30.932 92.7963 TT-D8-740-U-WQ Single TT-D8-740-U-WQ D8W 0.850 17562 148.7 446.1 Luminaire ScheduleSymbol Qty Label Arrangement Description Tag LLFLuminaireLumensLuminaireWattsTotalWatts3 RXT-R-D-FF-07L40-4 Single RXT-R-D-FF-07L40-4 RX7 0.850 2869 30.932 92.7963 4VRVT1-SL3C3-MID-POWER-4000K-Single 4APVTLD-SL3C3 MID POWER 4000K277VST1 0.850 4614 31.8 95.4 Calculation SummaryLabel CalcType Units Avg MaxMin Avg/Min Max/MinLanding _2_1_3_Top Illuminance Fc 12.55 13.411.71.07 1.15Level_2_1_3_Top Illuminance Fc 19.42 23.4 14.0 1.39 1.67Level_2a_1_3_Top Illuminance Fc 13.68 17.2 10.4 1.32 1.65Level_2b_3_Top Illuminance Fc 2.89 10.5 0.3 9.63 35.00Stair Tread_4_1_1_3_Top_1 Illuminance Fc 16.40 16.4 16.4 1.00 1.00Stair Tread_4_2_1_3_Top_1 Illuminance Fc 15.80 15.8 15.8 1.00 1.00Stair Tread_4_3_1_3_Top_1 Illuminance Fc 15.00 15.0 15.0 1.00 1.00Stair Tread_4_4_1_3_Top_1 Illuminance Fc 13.90 13.9 13.9 1.00 1.00Stair Tread_4_5_1_3_Top_1 Illuminance Fc 13.80 13.8 13.8 1.00 1.00Stair Tread_4_6_1_1_3_Top_1 Illuminance Fc 13.40 13.4 13.4 1.00 1.00Stair Tread_4_6_2_1_3_Top_1 Illuminance Fc 14.40 14.4 14.4 1.00 1.00Stair Tread_4_6_3_1_3_Top_1 Illuminance Fc 14.70 14.7 14.7 1.00 1.00Stair Tread_4_6_4_1_3_Top_1 Illuminance Fc 15.40 15.4 15.4 1.00 1.00Stair Tread_4_6_5_1_3_Top_1 Illuminance Fc 17.60 17.6 17.6 1.00 1.00Stair Tread_4_6_6_1_3_Top_1 Illuminance Fc 17.20 17.2 17.2 1.00 1.00Stair Tread_4_6_7_1_3_Top_1 Illuminance Fc 15.90 15.9 15.9 1.00 1.00Stair Tread_4_6_8_1_3_Top_1 Illuminance Fc 15.7015.7 15.71.00 1.00Stair Tread_4_6_9_3_Top_1 Illuminance Fc 13.90 13.9 13.9 1.00 1.00Stair Tread_4_7_3_Top_1 Illuminance Fc 14.00 14.0 14.0 1.00 1.00 11.7 13.4 16.7 17.2 22.1 22.0 21.3 23.4 18.5 21.7 14.0 17.3 17.2 16.2 14.5 12.3 11.5 10.4 7.6 7.1 8.0 10.5 5.6 0.3 3.2 3.4 3.7 3.9 2.8 0.8 1.5 1.6 1.7 1.6 1.2 0.7 0.7 0.8 0.8 0.8 0.6 0.4 16.415.815.013.913.813.4 14.414.715.417.617.215.915.7 13.9 14.0 G.P G.D G.E G.F G.G G.M G.N G.O G.5 G.5.9 G.7 G.9G.6 G.7.9G.8G.3 G.4 G.7.5 G.H G.I G.J G.KG.L LUKEJUSTINNo. 6598067-2202 GINEERONAOFESSIR UTAHTEOFSTA P LEN SHEET NUMBER SHEET TITLE DESIGNED BY REVIEWED BY DRAWN BYPROJECT NUMBER DATE IRO / SEAL ISSUE Copyright © 2022 W ALTER P. MOORE AND ASSOCIATES, INC. CONSULTANT LOGO: M09-21011-00 ELECTRICAL PROJECT NAME IN ASSOCIATION WITH :ARCHITECT / STRUCTURAL ENGINEER WALTER P. MOORE AND ASSOCIATES, INC.633 W 5TH ST, SUITE 7200,LOS ANGELES, CALIFORNIA 90071PHONE: 310.254.1900 FAX: 310.254.1940 301 SOUTH TEMPLESALT LAKE CITY, UT 84101(801)-325-2000 04/07/2025 8/04/2025 5 : 0 3 : 4 7   p .   m . LEVEL 7 -PHOTOMETRICPLAN E2.08A PHASE 2 PERMIT SET03/07/2025 61 S 400 W . SALT LAK E C I T Y , U T A H 8 4 1 0 1 MST CC AM DE L T A C E N T E R G A R A G E PA R K I N G S T R U C T U R E 61 S 4 0 0 W . SAL T L A K E C I T Y , U T A H 8 4 1 0 1 SCALE = 1/8" = 1'-0"LEVEL 7 - PHOTOMETRIC PLAN1 SCALE = 1/4" = 1'-0" LEVEL 7 STAIR ENLARGEDPHOTOMETRIC PLAN2 NO. DATE REVISION1 10/31/2024 50% DD2 12/06/2024 100% DD3 02/14/2025 50% CD1.1 03/07/2025 Phase 1 Permit Set4 03/21/2025 Bid Set1.2 04/07/2025 Phase 2 Permit Set This page has intentionally been left blank CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 COUNCIL STAFF REPORT CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM:Brian Fullmer, Policy Analyst DATE:September 2, 2025 RE: Partial Street Vacation at 1101 West 400 South (PLNPCM2025-00178) ISSUE AT-A-GLANCE The Council will be briefed about a proposal to vacate (or relinquish ownership of) a portion of the public right-of-way adjacent to the petitioner’s property on the southwest corner of 1100 West and 400 South. The property requested to be vacated is approximately 5 feet wide and between the property line and sidewalk along the two street facing sides of the parcel. It would not impact pedestrian use of the sidewalk. The property owner’s stated objective is to demolish the current vacant home and construct a new single- family residence on the property. Vacating a portion of the right-of-way would slightly increase the property’s buildable area. Any right-of-way property vacated by the Council would be sold to the property owner at fair market value. They would be required to obtain an appraisal of the property. The Planning Commission reviewed the proposal at its May 28, 2025 meeting and held a public hearing at which no one spoke. Some Commissioners cited concerns with retaining a consistent right-of-way width on 400 South, and impacts vacating the property could have on potential future extension of the 400 South Viaduct Tail west of 900 West. Planning staff recommended and the Commission voted 7:2 to forward a recommendation of approval to the City Council for the requested right-of-way vacation along 1100 West and a recommendation to deny the portion along 400 South. Commissioners who voted against the motion did not state their reasons for objecting to it. Item Schedule: Page | 2 Aerial image of the subject property. Image courtesy of Salt Lake City Planning Division Goal of the briefing: Review the proposed partial street closure, determine if the Council supports moving forward with the proposal. POLICY QUESTION 1. The Council may wish to discuss the benefits and drawbacks of vacating the 400 South right-of-way portion, including impacts to potential improvements on the street. 2. The Council may wish to request more information from Engineering and Transportation about why they recommended denying the application 3. The Council may wish to ask what the impact would be if the 1100 West portion was vacated and not the 400 South section, as recommended by Transportation. ADDITIONAL INFORMATION 400 South (Poplar Grove Boulevard) is an arterial street with high traffic volume. The street is approximately 106 feet wide between the property lines of the subject property and Franklin Elementary, which is directly across the street. The street consists of traffic lanes in both directions, bike lanes, sidewalks, curb and gutter. 1100 West is a local street with low traffic volume and dead ends at a gate to the Neighborhood House Riverside Adult Day Center. The street is approximately 66 feet wide between property lines and includes curb, gutter, and sidewalks on both sides. The applicant’s property is the only one on their side of this section of 1100 West. The applicant requested a variance in 2024 to reduce setback standards to allow more buildable space. The Appeals Hearing Officer determined that the strict variance standards were not met and denied the request. Page | 3 Street vacations are processed like alley vacations following the standards found in Salt Lake City Code Chapter 14.52: Disposition of City Owned Alleys. At least one of the following policy considerations must be met: KEY CONSIDERATIONS Planning staff identified four key considerations during analysis of this proposal which are found on pages 5-7 of the Planning Commission staff report and summarized below. For the complete analysis please see the staff report. Consideration 1 – How the Proposal Helps Implement City Goals & Policies Identified in Adopted Plans Planning reviewed the proposed partial street vacation and how it aligns with the following City plans: Westside Master Plan (2014) Salt Lake City Urban Design Element (1990) Major Street Plan (2018) Consideration 2 – Utah State Code Section 10-9a-609.5 of Utah State Code grants power to cities to vacate streets upon the request of the governing body or a property owner: 10-9a-609.5. Petition to vacate a public street. (3) If a petition is submitted containing a request to vacate some or all of a public street or municipal utility easement, the legislative body shall hold a public hearing in accordance with Section 10-9a-208 and determine whether: (a) good cause exists for the vacation; and (b) the public interest or any person will be materially injured by the proposed vacation. Consideration 3 – Salt Lake City Ordinance As discussed above, street vacations are processed like alley vacations following the standards found in Salt Lake City Code Chapter 14.52: Disposition of City Owned Alleys. Page | 4 Consideration 4 – Department Review Comments The City Transportation and Engineering Divisions expressed concerns with the requested partial street vacation. Transportation recommended denial of the vacation along 400 South citing the need for a consistent right-of-way for potential improvements including widening the street and possible extension of the 400 South trail. However, they did not object to the 1100 West vacation. Engineering did not support reducing the right-of-way and recommended retaining consistent width throughout the street. PROJECT CHRONOLOGY February 25, 2025 – Application for street vacation was received by Planning Division. March 10, 2025 – Petition assigned to Andy Hulka, Principal Planner. March 18, 2025 – o Notice was sent to the Poplar Grove Community Council informing them of the petition. The 45- day input and comment period began. o Early notification was sent to property owners within 300 feet of the applicant’s property. May 2, 2025 – The 45-day public comment period for recognized organizations ended. May 16, 2025 – Public hearing notice signs posted on the property. May 28, 2025 – The Planning Commission held a public hearing and made a recommendation to the City Council to approve the right-of-way portion adjacent to 1100 West and a recommendation to deny the requested right-of-way portion adjacent to 400 South. June 25, 2025 – Planning staff requested ordinance from the Attorney’s Office. July 28, 2025 – Ordinance received from the Attorney’s Office. August 6, 2025 – Transmitted to City Council Office. STREET CLOSURE PROCESS The street closure process is dictated by Section 10-9a-609.5 Utah State Code which is included below for reference. 10-9a-609.5. Petition to vacate a public street. Page | 5 (3)If a petition is submitted containing a request to vacate some or all of a public street or municipal utility easement, the legislative body shall hold a public hearing in accordance with Section 10-9a- 208 and determine whether: (a)good cause exists for the vacation; and (b)the public interest or any person will be materially injured by the proposed vacation. (4)The legislative body may adopt an ordinance granting a petition to vacate some or all of a public street or municipal utility easement if the legislative body finds that: (a)good cause exists for the vacation; and (b)neither the public interest nor any person will be materially injured by the vacation. (5)If the legislative body adopts an ordinance vacating some or all of a public street or municipal utility easement, the legislative body shall ensure that one or both of the following is recorded in the office of the recorder of the county in which the land is located: (a)a plat reflecting the vacation; or (b)(i)an ordinance described in Subsection (4); and (ii)a legal description of the public street to be vacated. (6)The action of the legislative body vacating some or all of a public street or municipal utility easement that has been dedicated to public use: (a)operates to the extent to which it is vacated, upon the effective date of the recorded plat or ordinance, as a revocation of the acceptance of and the relinquishment of the municipality's fee in the vacated public street or municipal utility easement; and (b)may not be construed to impair: (i)any right-of-way or easement of any parcel or lot owner; (ii)the rights of any public utility; or (iii)the rights of a culinary water authority or sanitary sewer authority. (7)(a)A municipality may submit a petition, in accordance with Subsection (2), and initiate and complete a process to vacate some or all of a public street. (b)If a municipality submits a petition and initiates a process under Subsection (7)(a): (i)the legislative body shall hold a public hearing; (ii)the petition and process may not apply to or affect a public utility easement, except to the extent: (A)the easement is not a protected utility easement as defined in Section 54-3-27; (B)the easement is included within the public street; and (C)the notice to vacate the public street also contains a notice to vacate the easement; and (iii)a recorded ordinance to vacate a public street has the same legal effect as vacating a public street through a recorded plat or amended plat. (8)A legislative body may not approve a petition to vacate a public street under this section unless the vacation identifies and preserves any easements owned by a culinary water authority and sanitary sewer authority for existing facilities located within the public street. Salt Lake City // Planning Division www.slc.gov/planning City Council // September 2, 2025 PLNPCM2025-00178 PARTIAL STREET VACATION 1101 W 400 S Salt Lake City //Planning Division www.slc.gov/planning SUBJECT PROPERTY Salt Lake City //Planning Division www.slc.gov/planning BACKGROUND & REQUEST •Existing home on property is over 100 years old and currently vacant. •Owners are interested in building a new home on the property. •A request for variance from setback standards was denied in 2024. •Current request is to vacate a 5-foot strip of public right-of-way between the property lines and sidewalk. Salt Lake City //Planning Division www.slc.gov/planning 400 SOUTH (POPLAR GROVE BLVD) STREET CONTEXT •City Arterial Street, approximately 106’ wide. 400 SOUTH VIADUCT TRAIL •The Transportation Division recommends preserving right-of-way along 400 South to facilitate future improvements. Salt Lake City //Planning Division www.slc.gov/planning 1100 WEST STREET CONTEXT •Local Street, approximately 66’ wide. •Dead end street leading to the Neighborhood House Riverside Adult Day Center. •Retaining wall and stairs encroaching into the right-of-way area. •No future transportation improvements planned for this street. Salt Lake City //Planning Division www.slc.gov/planning PC RECOMMENDATION The Planning Commission voted on May 28th to recommend that the City Council approve the request to vacate the portion of right-of-way adjacent to 1100 West and deny the request to vacate the portion of right-of-way adjacent to 400 South. Salt Lake City //Planning Division www.slc.gov/planning Andy Hulka Senior Planner andy.hulka@slc.gov SALT LAKE CITY TRANSMITTAL To:  Salt Lake City Council Chair Submission Date: 07/30/2025 Date Sent to Council: 08/06/2025 From: Department * Community and Neighborhood Employee Name: Hulka, Andy E-mail Andy.Hulka@slc.gov Department Director Signature Director Signed Date 08/04/2025 Chief Administrator Officer's Signature Chief Administrator Officer's Signed Date 08/06/2025 Subject: Partial Street Vacation - 1101 W 400 S New transmittal or Revision New transmittal Revision Revision Updates: "As to form" signature block has been updated. Additional Staff Contact:Presenters/Staff Table Andy Hulka, andy.hulka@slc.gov Document Type Ordinance Budget Impact? Yes No Recommendation: Recommending approval of the vacation of the right-of-way adjacent to 1100 West, and denial of the vacation of the right-of-way along 400 South. Background/Discussion See first attachment for Background/Discussion Will there need to be a public hearing for this item?* Yes No Public Process • Early Notification – On March 18, 2025, the Poplar Grove Community Council was sent the 45-day required notice for recognized community organizations. The council provided a letter ofsupport, which is attached to the Planning Commission staff report for review. A notice of theproposal was mailed to all property owners and tenants within 300 feet of the property. An onlineopen house was posted on the Planning Division’s website from March to May. • Planning Commission Meeting – The petition was heard by the Planning Commission at a publichearing on May 28th, 2025. The Planning Commission voted 7-2 to forward a recommendation ofapproval for the vacation on the right-of-way adjacent to 1100 West and a recommendation ofdenial for the portion of right-of-way adjacent to 400 South. The full public meeting can beviewed using this link starting at 57:00. This page has intentionally been left blank ERIN MENDENHALL DEPARTMENT of COMMUNITY Mayor and NEIGHBORHOODS Tammy Hunsaker Director SALT LAKE CITY CORPORATION 451 SOUTH STATE STREET, ROOM 404 WWW.SLC.GOV P.O. BOX 145486, SALT LAKE CITY, UTAH 84114-5486 TEL 801.535.6230 FAX 801.535.6005 CITY COUNCIL TRANSMITTAL BACKGROUND/DISCUSSION: Erik Sansom, applicant and property owner, is requesting approval to vacate a portion of public right-of-way adjacent to his property at the corner of 400 South and 1100 West. The area in question is approximately 5 feet between the property boundaries and the public sidewalk. This request would not impact the sidewalk. The applicant is requesting the partial street vacation to facilitate the future construction of a new single-family residence on the property. The application pointed to lack of use as the primary reason for this request. (Aerial view of subject property) The following concerns were identified specific to vacating the right-of-way along 400 South: • Vacation along 400 South would result in an inconsistent right-of-way width along the 400 South corridor. If approved, this request would result in a right-of-way that is 5 feet narrower than the rest of the corridor. • Vacating the right-of-way along 400 South could limit options for future improvements in the area. The 400 South Viaduct Trail, a multi-use trail from 900 West to 200 West, is scheduled to begin construction this summer. No formal plans are currently proposed to extend this trail to the west; however, the Transportation Division has noted the possibility of a trail extension sometime in the future. The street context on 1100 West differs from the context on 400 South. 1100 West is a dead-end street, leading to a gated parking lot for the Neighborhood House Riverside Adult Day Center. Because the street ends after the subject property, the request to vacate this portion of right-of-way would not result in inconsistent right-of-way widths. This right-of-way segment also includes stairs and a retaining wall, which are significant obstructions that materially block the right-of-way. Because the area has been developed and used as private yard space with obstructions that block the right-of-way, this portion of the request complies with the “lack of use” standard in the code. The Planning Commission held a public hearing to consider the request on May 28th, 2025, and voted 7-2 to forward a recommendation to the City Council for approval of the vacation of the right-of-way adjacent to 1100 West, and denial of the vacation of the right-of-way along 400 South. PUBLIC PROCESS: • Early Notification – On March 18, 2025, the Poplar Grove Community Council was sent the 45- day required notice for recognized community organizations. The council provided a letter of support, which is attached to the Planning Commission staff report for review. A notice of the proposal was mailed to all property owners and tenants within 300 feet of the property. An online open house was posted on the Planning Division’s website from March to May. • Planning Commission Meeting – The petition was heard by the Planning Commission at a public hearing on May 28th, 2025. The Planning Commission voted 7-2 to forward a recommendation of approval for the vacation on the right-of-way adjacent to 1100 West and a recommendation of denial for the portion of right-of-way adjacent to 400 South. The full public meeting can be viewed using this link starting at 57:00. Planning Commission (PC) Records a) PC Agenda of May 28, 2025 b) PC Minutes of May 28, 2025 c) Planning Commission Staff Report of May 28, 2025 EXHIBITS: 1. Project Chronology 2. Notice of City Council Public Hearing 3. Original Petition 4. Mailing List 5. Ordinance This page has intentionally been left blank EXHIBITS: 1. PROJECT CHRONOLOGY 2. NOTICE OF CITY COUNCIL PUBLIC HEARING 3. ORIGINAL PETITION 4. MAILING LIST 5. ORDINANCE 1. PROJECT CHRONOLOGY PROJECT CHRONOLOGY Petition: PLNPCM2025-00178 - Partial Street Vacation at 1101 W 400 S February 25, 2025 Petition for the Street Vacation was accepted by Salt Lake City Planning Division. March 10, 2025 Petition PLNPCM2025-00178 was assigned to Andy Hulka, Principal Planner, for staff analysis and processing. March 18, 2025 Early notification was sent to the Poplar Grove Community Council Chair, providing information about the proposal and how to give public input on the project. Beginning of 45- day input and comment period. March 18, 2025 An early notification letter was sent to all property owners and tenants within 300 feet of the portions of the right-of-way requested to be vacated. May 2, 2025 End of 45-day Recognized Community Organization notice period. May 16, 2025 Public hearing notice signs with project information and notice of the Planning Commission public hearing physically posted at the subject property. May 28, 2025 Planning Commission holds a public hearing and makes a recommendation to approve the request to vacate the portion of right-of-way adjacent to 1100 West and a recommendation to deny the request to vacate the portion of right-of-way adjacent to 400 South. 2. NOTICE OF CITY COUNCIL PUBLIC HEARING NOTICE OF CITY COUNCIL HEARING The Salt Lake City Council is considering Petition PLNPCM2025-00178, a petition submitted by the property owners of 1101 W 400 S to vacate a portion of the street right-of-way adjacent to their property at the corner of 400 South and 1100 West. When a portion of a street is vacated, it is no longer public property. In this case, the petitioner is requesting to purchase this portion of the street right-of-way and include it in their property boundary. The area in question is approximately 5 feet between the property boundary and the public sidewalk. The sidewalk would not be impacted by this request. The subject property is located within Council District 2, represented by Alejandro Puy. As part of their study, the City Council is holding an advertised public hearing to receive comments regarding the petition. During these hearings, anyone desiring to address the City Council concerning this issue will be given an opportunity to speak. The Council may consider adopting the ordinance on the same night of the public hearing. The hearing will be held: DATE: TIME: PLACE: 451 South State Street Salt Lake City, Utah ** This meeting will be held in-person, to attend or participate in the hearing at the City and County Building, located at 451 South State Street, Room 326, Salt Lake City, Utah. For more information, please visit www.slc.gov/council. Comments may also be provided by calling the 24- Hour comment line at (801) 535-7654 or sending an email to council.comments@slcgov.com. All comments received through any source are shared with the Council and added to the public record. If you have any questions relating to this proposal or would like to review the file, please call Andy Hulka at 801-535-6608 or via e-mail at andy.hulka@slc.gov. The application details can be accessed at https://citizenportal.slcgov.com/, by selecting the “planning” tab and entering the petition number PLNPCM2025-00178. The City and County Building is an accessible facility. People with disabilities may make requests for reasonable accommodation no later than 48 hours in advance in order to participate in this hearing. Please make requests at least two business days in advance. To make a request, please contact the City Council Office at council.comments@slcgov.com , 801-535-7600, or relay service 711. 3. ORIGINAL PETITION ALLEY / STREET VACATION PROCESS PLANNING DIVISION | v7.1.24 5 CONSULTATION Available prior to submitting an application. For questions regarding the requirements, email us at zoning@slcgov.com. REQUIRED FEES • Alley Vacation: $316 filing fee †. • Street Vacation: $473 filing fee. • Additional required notice fees will be assessed after submission. SUBMISSION Submit your application online through the Citizen Access Portal. Learn how to submit online by following the step-by-step guide. I M P O R T A N T I N F O R M A T I O N ALLEY / STREET VACATION DISCLAIMER: PLEASE NOTE THAT ADDITIONAL INFORMATION MAY BE REQUIRED BY THE PROJECT PLANNER TO ENSURE ADEQUATE INFORMATION IS PROVIDED FOR STAFF ANALYSIS. ALL INFORMATION REQUIRED FOR STAFF ANALYSIS WILL BE COPIED AND MADE PUBLIC, INCLUDING PROFESSIONAL ARCHITECTURAL OR ENGINEERING DRAWINGS, FOR THE PURPOSES OF PUBLIC REVIEW BY ANY INTERESTED PARTY. FOOTNOTES: † ALLEY VACATION FEE WAIVER AVAILABLE IF ADEQUATE SIGNATURES ARE OBTAINED. Owner Contractor* Other*Architect* REQUEST CASE NUMBER MAILING ADDRESS NAME OF APPLICANT MAILING ADDRESS APPLICANT’S INTEREST IN PROPERTY (*owner’s consent required) A P P L I C A N T I N F O R M A T I O N O F F I C E U S E LOCATION OF ALLEY / STREET PROJECT NAME (OPTIONAL) RECEIVED BY DATE RECEIVED NAME OF PROPERTY OWNER (if different from applicant) EMAIL PHONE PHONE EMAIL IF OTHER, PLEASE LIST 1100 W 400 S Move property line to sidewalks edge on the east and north side of property Erik G Sansom 509-240-4099 809 S Emery St., Salt Lake City, UT, 84104 erikgsansom@gmail.com Erik Sansom 509-240-4099 809 S Emery St., Salt Lake City, UT, 84104 erikgsansom@gmail.com 4th South House ALLEY / STREET VACATION PROCESS PLANNING DIVISION | v7.1.24 6 NAME OF OWNER EMAIL PHONEMAILING ADDRESS MAILING ADDRESS APPLICATION TYPE A C K N O W L E D G M E N T O F R E S P O N S I B I L I T Y L E G A L P R O P E R T Y O W N E R C O N S E N T NAME OF APPLICANT LEGAL DESCRIPTION OF SUBJECT PROPERTY EMAIL SIGNATURE SIGNATURE DATE DATE 1. This is to certify that I am making an application for the described action by the City and that I am responsible for complying with all City requirements with regard to this request. This application will be processed under the name provided below. 2. By signing the application, I am acknowledging that I have read and understood the instructions provided for processing this application. The documents and/or information I have submitted are true and correct to the best of my knowledge. I understand that the documents provided are considered public records and may be made available to the public. 3. I understand that my application will not be processed until the application is deemed complete by the assigned planner from the Planning Division. I acknowledge that a complete application includes all of the required submittal requirements and provided documents comply with all applicable requirements for the specific applications. I understand that the Planning Division will provide, in writing, a list of deficiencies that must be satisfied for this application to be complete and it is the responsibility of the applicant to provide the missing or corrected information. I will keep myself informed of the deadlines for submission of material and the progress of this application. 4. I understand that a staff report will be made available for my review prior to any public hearings or public meetings. This report will be on file and available at the Planning Division and posted on the Division website when it has been finalized. If the applicant is not the legal owner of the property, a consent from property owner must be provided. Properties with a single fee title owner may show consent by filling out the information below or by providing an affidavit. Affirmation of sufficient interest: I hereby affirm that I am the fee title owner of the below described property or that I have written authorization from the owner to pursue the described action. 1. If a corporation is fee titleholder, attach copy of the resolution of the Board of Directors authorizing the action. 2. If a joint venture or partnership is the fee owner, attach copy of agreement authorizing action on behalf of the joint venture or partnership. 3. If a Home Owner’s Association is the applicant then the representative/president must attach a notarized letter stating they have notified the owners of the proposed application. A vote should be taken prior to the submittal and a statement of the outcome provided to the City along with the statement that the vote meets the requirements set forth in the CC&Rs. DISCLAIMER: BE ADVISED THAT KNOWINGLY MAKING A FALSE, WRITTEN STATEMENT TO A GOVERNMENT ENTITY IS A CRIME UNDER UTAH CODE CHAPTER 76-8, PART 5. SALT LAKE CITY WILL REFER FOR PROSECUTION ANY KNOWINGLY FALSE REPRESENTATIONS MADE PERTAINING TO THE APPLICANT’S INTEREST IN THE PROPERTY THAT IS THE SUBJECT OF THIS APPLICATION. erikgsansom@gmail.com 809 S Emery St., Salt Lake City, UT, 84104 509-240-4099 Street/Alley Vacation 2/24/25 E 11 FT OF LOT 12 & ALL OF LOT 13, BLK 6, CITY PARK SUB. Erik Sansom erikgsansom@gmail.com 809 S Emery St., Salt Lake City, UT, 84104 2/24/25 Erik G Sansom Right Of Way Vacation To Whom It May Concern, I, Erik Sansom, am petitioning the city to relinquish its interest in the right of way on the East and North sides of my property located at 1101 W 400 S. The land I am attempting to acquire from the city is the five feet (5’) of land between my property line and the city sidewalk on the East and North sides of my property. The East side pertaining to 1100 W and the North side pertaining to 400 S. The purpose of petitioning for this property acquisition started when Jason and I (property owners) attempted to rebuild the current home that sits on the property. The home was built in 1906 and had been abandoned for almost 20 years before Jason and I took ownership. Leading it to be severely dilapidated making a new rebuild of the home the most logical choice. As we started to file the necessary paperwork with the city to rebuild the home we quickly realized that according to current city code we were unable to accomplish a rebuild of the home as it sits on the lot today. The code demanded that the new home be three feet (3’) smaller in width and adding a garage would make our lot coverage exceed the allowable amount by three hundred twenty four square feet (324’). In addition the code demanded we move the home four feet (4’) rearward from its current location to comply with the block face average. These demands of the code stem from our property being a legal non complying lot that does not meet the minimum standards required for an R-1/5000 lot. Mainly the width of the property only being thirty six feet (36’) effecting us the most. Because of these code issues we applied for a variance request and we were denied because of the aforementioned issues. Leading us now to apply for this right of way request in order to bring our current lot and home into greater compliance with the current residential building codes thus allowing us to rebuild the home that has stood for almost 120 years. If our request was granted from the city not only would it solve some of the issues we currently have with setback rules but also the conflict of maintaining the land that is owned by the city. Currently on the east side of the property a retaining wall that spans almost half of the lot depth sits at the sidewalk edge with no setbacks. It is in signifiant disrepair and needs to be addressed which was part of our plans to accomplish. This retaining wall which grants access to our property with stairs resides completely on city property and legally does not belong to us. This may become an issue with who or how repairs to this wall are made. Jason and I currently maintain all of this city owned property that equals to nine hundred twenty five square feet (925²’). If we were able to acquire this portion of property we would be able to repair the retaining wall and maintain landscaping as part of our property all while solving our issues of building a new home. With our variance request we have acquired signatures of abutting property owners and most owners within the block face showing support of our plans to renew this dilapidated property. We feel that if the city relinquishes this portion of land to us we will be able to accomplish what our neighbors and community desire which is a revitalized and aesthetically pleasing home. To address the bullet points the city provided in the policy considerations on the application form. We believe our request is unique because we don’t want the street or alley to be vacated in its entirety but rather our property lines be updated to coincide with the visual appearance of our lot and also to placate any issues that may arise from a maintenance perspective. This acquisition would not affect any abutting property owners as we are the only property that borders the requested land although we do have their support. It does not create a landlocked property or block access to private or public property and does not affect parking or access to the public street, alleyway or sidewalk. It also will not affect the ability for abutting properties to build new structures or maintain their ability to access their rear yard from the alleyway due to the fact that we want to maintain the rear property line abutting the public alley. To add to the issues presented by the city, the right of ways in question are not in current use by the city or any utility. They are simply “dead space” between our property line and the sidewalk. This change of property line would also not affect having or maintaining a park strip as the current park strip would remain between the sidewalk and gutter. A six foot (6’) strip on the east side of the property and a four foot (4’) strip on the north side. For all of these reasons we believe that vacating this right of way to the property at 1101 W 400 S would not only be justifiable but beneficial to the betterment of our community in poplar grove. In summary we are petitioning to acquire the five feet (5’) of land between our property and the city sidewalk on the east and north sides of our property. This solves our current setback issues and lot coverage issues by adding an additional nine hundred twenty five square feet (925²’) and adjusting the property lines to bring the existing home into setback compliance. Also allowing us to have a greater ability to maintain all aspects of the property. Thank you for your consideration and we hope to have a positive response to our petition. Erik Sansom 4. MAILING LIST OWN_FULL_NAME OWN_ADDR OWN_CITY OWN_STATE OWN_ZIP THE BOARD OF EDUCATION OF SALT LAKE CITY 440 E 100 S SALT LAKE CITY UT 84111 SOLOMON J CHACON; SILVIA P CHACON (JT)945 E 100 S SALT LAKE CITY UT 84102 ROMAN CATHOLIC BISHOP OF SALT LAKE CITY 340 S GOSHEN ST SALT LAKE CITY UT 84104 STRENGTH, PC 1123 W 400 S SALT LAKE CITY UT 84104 DONALD C GOODIN; SHARON J GOODIN (JT 1117 W 400 S SALT LAKE CITY UT 84104 BRITTNY RENE 1115 W 400 S SALT LAKE CITY UT 84104 HEBER HERNANDEZ PO BOX 461 MILLVILLE UT 84326 NEIGHBORHOOD HOUSE ASSOCIATION 1050 W 500 S SALT LAKE CITY UT 84104 ERIK SANSOM; JASON SEATON 809 S EMERY ST SALT LAKE CITY UT 84104 JUAN C MENDOZA JR 1079 W 400 S SALT LAKE CITY UT 84104 JAVIER MARTINEZ; BLANCA E MARTINEZ (JT)1071 W 400 S SALT LAKE CITY UT 84104 JUAN GONZALEZ; ANTONIA A MAGANA (JT)1065 W 400 S SALT LAKE CITY UT 84104 CHI NGUYEN; PARI PHOTHIRATH (JT)1063 W 400 S SALT LAKE CITY UT 84104 MERCEDES GARDUNO 1057 W 400 S SALT LAKE CITY UT 84104 CHRISTIE LYNN DUK 1055 W 400 S SALT LAKE CITY UT 84104 JUAN HERRERA; NATHANIEL TOPAHA (JT) 1053 W 400 S SALT LAKE CITY UT 84104 LUCAS DUFFEY; SHAWN KELLY DUFFEY (JT) 418 S GOSHEN ST SALT LAKE CITY UT 84104 BARBARA CHRISTIE NEILL 420 S GOSHEN ST SALT LAKE CITY UT 84104 GREGORY E CRAFTS 438 S GOSHEN ST SALT LAKE CITY UT 84104 BARBARA RUFENACHT 444 S GOSHEN ST SALT LAKE CITY UT 84104 Current Occupant 1115 W 300 S Salt Lake City UT 84104 Current Occupant 354 S BOTHWELL ST Salt Lake City UT 84104 Current Occupant 1107 W 400 S Salt Lake City UT 84104 Current Occupant 1121 W 400 S #NFF1 Salt Lake City UT 84104 Current Occupant 1124 W 500 S #NFF1 Salt Lake City UT 84104 Current Occupant 1131 W 400 S Salt Lake City UT 84104 Current Occupant 1129 W 400 S Salt Lake City UT 84104 5. ORDINANCE 1 SALT LAKE CITY ORDINANCE No. ________ of 2025 (Vacating a portion of the public right-of-way on 1100 West adjacent to the property located at 1101 West 400 South) An ordinance vacating a portion of the public right-of-way on 1100 West adjacent to the property located at 1101 West 400 South, pursuant to Petition No. PLNPCM2025-00178. WHEREAS, the Salt Lake City Planning Commission (“Planning Commission”) held a public hearing on May 28, 2025, to consider a request made by Erik Sansom (“Applicant”) (Petition No. PLNPCM2025-00178) to vacate portions of 400 South and 1100 West in order to facilitate the future construction of a new single-family residence on the property located at 1101 West 400 South; and WHEREAS, at its May 28, 2025, meeting, the Planning Commission voted in favor of forwarding a positive recommendation for the request to vacate the portion of right-of-way within 1100 West, and a negative recommendation for the request to vacate the portion of right- of-way within 400 South to the Salt Lake City Council (“City Council”); and WHEREAS, the City Council finds after holding a public hearing on this matter that good cause exists for the vacation of the public right-of-way described below, and neither the public interest nor any person will be materially injured by the vacation; and NOW, THEREFORE, be it ordained by the City Council of Salt Lake City, Utah: 2 SECTION 1. Vacating City-Owned Right-of-Way. That a portion of 1100 West adjacent to the property located at 1101 West 400 South, which is the subject of Petition No. PLNPCM2025-00178, and which is more particularly described on Exhibit “A” attached hereto, is hereby vacated and declared not necessary or available for public use. The request to vacate the portion of 400 South is denied. SECTION 2. Reservations and Disclaimers. The above vacation is expressly made subject to all existing rights-of-way and easements of all public utilities of any and every description now located on and under or over the confines of this property, and also subject to the rights of entry thereon for the purposes of maintaining, altering, repairing, removing or rerouting said utilities, including the city’s water and sewer facilities. Said vacation is also subject to any existing rights-of-way or easements of private third parties. SECTION 3. Effective Date. This Ordinance shall become effective on the date of its first publication and shall be recorded with the Salt Lake County Recorder. Passed by the City Council of Salt Lake City, Utah this _______ day of ______________, 2025. ______________________________ CHAIRPERSON ATTEST: ______________________________ CITY RECORDER Transmitted to Mayor on _______________________. Mayor's Action: _______Approved. _______Vetoed. 3 ______________________________ MAYOR ______________________________ CITY RECORDER (SEAL) Bill No. ________ of 2025. Published: ______________. ROW Vacation near 1101 West 400 South_v1 APPROVED AS TO FORM Salt Lake City Attorney’s Office Date:___7/28/2025_______________________ By: _/s/ Courtney Lords____________________ Courtney Lords, Senior City Attorney 4 EXHIBIT “A” EXHIBIT “A” Legal description of the property to be vacated, which is a portion of 1100 West adjacent to the property located at 1101 West 400 South: BEGINNING AT NORTHEAST CORNER OF LOT 13, BLK 6, CITY PARK SUB.; RUNNING THENCE EAST 5 FEET; THENCE SOUTH 144 FEET; THENCE WEST 5 FEET TO SOUTHEAST CORNER OF LOT 13, BLK 6, CITY PARK SUB.; THENCE NORTH 144 FEET TO NORTHEAST CORNER OF LOT 13, BLK 6, CITY PARK SUB. TO THE PLACE OF BEGINNING. This page has intentionally been left blank CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 COUNCIL STAFF REPORT CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM:Brian Fullmer Policy Analyst DATE:September 2, 2025 RE: Text Amendment to Modify Residential Buffer Prohibitions PLNPCM2024-01357 The Council will be briefed about a Planning Commission initiated text amendment to review land uses that are or should be prohibited within 1,000 feet from residential zoning districts. It expands the prohibitions from single- and two-family residential districts to multi-family residential zones. It also clarifies how the distance is measured by applying the buffer to the entire lot rather than just the use boundaries within a lot. Proposed changes also include prohibiting some uses within city limits that have significant potential health and safety risks. Additionally, some intensive uses are changed from permitted to conditional. The Planning Commission reviewed the proposal at its March 12, 2025 meeting and held a public hearing at which no one spoke. The Commission voted unanimously to forward a recommendation for approval to the City Council. Goal of the briefing: Review the proposed text amendment and determine if the Council supports moving forward with the proposal. ADDITIONAL INFORMATION Current City code prohibits some uses such as outdoor auto salvage yards, concrete/asphalt manufacturing, heavy manufacturing, impound lot, and indoor or outdoor live performance theater from operating within 1,000 feet of single-and two-family zoning districts. The proposal expands this to all residential zones by including the following zoning districts: RMF-30 Item Schedule: Page | 2 RMF-35 RMF-45 RMF-75 FB-UN1 Additionally, Planning staff proposed prohibiting some uses within city limits due to associated health and safety risks. These uses are: explosive manufacturing and storage, flammable liquids or gases, heating fuel distribution and storage, medical and hazardous waste incinerator, and petroleum products refinery. (It should be noted that current uses in these categories would be allowed to continue as non-conforming uses.) Finally, the proposal changes some intense uses that do not have widespread impacts from permitted to conditional use. A complete list of the proposed changes is found in Consideration 2 below and included on page 3 of the March 12, 2025 Planning Commission staff report. KEY CONSIDERATIONS Planning staff identified two key considerations related to the proposal, found on pages 4-5 of the Planning Commission staff report, and briefly summarized below. For the complete analysis, please see the Planning staff report. Consideration 1 – Expanding the Residential Buffer As discussed above, the proposed text amendment changes the buffer area from specifically where the activity occurs to the entire lot. This will simplify determining where buffer applies and streamlines the review process. Expanding the buffer to multi-family residential zones will provide the same protections to people living in these zones as those in single- and two-family zones. Finally, the buffer would apply to the zoning districts above rather than specific uses within the zone, again simplifying the process for applicants and reviewers. Consideration 2 – Reclassifying Highly Impactful and Detrimental Uses The five highly impactful uses noted above are proposed to be no longer permitted within city limits. Other highly intense uses that do not have widespread impact would be changed from permitted to conditional. This change would allow each new proposed use to be evaluated and how its impacts on the surrounding area might be mitigated. These uses are: animal stockyard outdoor automobile salvage and recycling concrete and/or asphalt manufacturing heavy manufacturing poultry farm or processing plant outdoor recycling processing center rock, sand, and gravel storage and distribution, and Page | 3 slaughterhouse ANALYSIS OF STANDARDS Attachment B (pages 10-12) of the Planning Commission staff report outlines zoning text amendment standards that should be considered as the Council reviews this proposal. The standards and findings are summarized below. Please see the Planning Commission staff report for additional information. Factor Finding Whether a proposed text amendment is consistent with the purposes, goals, objectives, and policies of the city as stated through its various adopted planning documents. Complies Whether a proposed text amendment furthers the specific purpose statements of the zoning ordinance. Complies Whether a proposed text amendment is consistent with the purposes and provisions of any applicable overlay zoning districts which may impose additional standards. Not applicable The extent to which a proposed text amendment implements best current, professional practices of urban planning and design. Complies The impact that the proposed text amendment may have on city resources necessary to carry out the provisions and processes required by this title. The proposal is intended to reduce polluting or contaminating uses which will lessen the burden on City resources. The impact that the proposed text amendment may have on other properties that would be subject to the proposal and properties adjacent to subject properties. Residential properties will have fewer impacts from intense uses. The community benefits that would result from the proposed text amendment, as identified in 21A.50.050.C. Not applicable. PROJECT CHRONOLOGY • November 13, 2024 – Planning Commission initiated petition. • November 19, 2024 – Petition deemed complete. • November 21, 2024 – Petition assigned to Noah Elmore, Associate Planner. • November 2024-March 2025 – Planning staff drafted language to support goals of the petition. • January 23, 2025 – Notice of petition sent to all City recognized community organizations. • January 28, 2025 – Petition posted to the Planning Division’s online open house webpage. • February 10, 2025 – Planning staff presented the proposal at the Sugar House Community Council. • February 20, 2025 – Planning staff presented the proposal at the Liberty Wells Community Council. Page | 4 • March 6, 2025 – Planning Commission agenda posted to the website and emailed to the listserv. • March 12, 2025 – Planning Commission briefing and public hearing. The Commission voted unanimously to forward a positive recommendation to the City Council. • April 28, 2025 – Ordinance requested from the Attorney’s Office. • July 30, 2025 – Ordinance received from the Attorney’s Office. • August 14, 2025 – Transmittal received in City Council Office. Salt Lake City //Planning Division www.slc.gov/planning Prohibited on lots located within 1,000 feet of Residential Districts (21A.24). •Footnote to apply to entire lot, not just boundaries of land use. •Buffer expanded to include all residential districts. •Specifically, will add RMF-30, RMF-35, RMF-45, RMF-75, and FB-UN1 PROPOSED CHANGES Salt Lake City //Planning Division www.slc.gov/planning Uses to be prohibited: •Explosive manufacturing and storage •Flammable liquids or gases, heating fuel distribution and storage •Medical waste/hazardous waste incinerator •Petroleum products refinery Uses to be conditional: •Animal stockyard •Concrete and/or asphalt manufacturing •Heavy manufacturing •Outdoor automobile salvage and recycling •Outdoor recycling processing center •Poultry farm or processing plant •Rock, sand, and gravel storage and distribution •Slaughterhouse PROPOSED CHANGES Salt Lake City //Planning Division www.slc.gov/planning Two definitions to be revised •Chemical manufacturing and/or storage •Revised to match land use tables. •Heavy manufacturing •Revised to exclude refineries and chemical manufacturing. PROPOSED CHANGES Salt Lake City //Planning Division www.slc.gov/planning Salt Lake City //Planning Division www.slc.gov/planning POSITIVE RECOMMENDATION Planning Commission forwarded a positive recommendation to the City Council. RECOMMENDATION SALT LAKE CITY TRANSMITTAL To:  Salt Lake City Council Chair Submission Date: 08/07/2025 Date Sent to Council: 08/14/2025 From: Department * Community and Neighborhood Employee Name: Elmore, Noah E-mail noah.elmore@slc.gov Department Director Signature Director Signed Date 08/14/2025 Chief Administrator Officer's Signature Chief Administrator Officer's Signed Date 08/14/2025 Subject: Text Amendment to Modify Residential Buffer Prohibitions Additional Staff Contact:Presenters/Staff Table Noah Elmore Document Type Ordinance Budget Impact? Yes No Recommendation: That the City Council follows the recommendation of the Planning Commission to approve the petition for a zoning text amendment. Background/Discussion See first attachment for Background/Discussion Will there need to be a public hearing for this item?* Yes No Public Process This page has intentionally been left blank ERIN MENDENHALL DEPARTMENT of COMMUNITY Mayor and NEIGHBORHOODS Tammy Hunsaker Director SALT LAKE CITY CORPORATION 451 SOUTH STATE STREET, ROOM 404 WWW.SLC.GOV P.O. BOX 145486, SALT LAKE CITY, UTAH 84114-5486 TEL 801.535.6230 FAX 801.535.6005 CITY COUNCIL TRANSMITTAL BACKGROUND/DISCUSSION: At the November 13, 2024 Planning Commission Meeting, the Planning Commission voted unanimously to initiate a zoning text amendment to review the land uses that are subject to, or should be subject to, the 1,000-foot prohibition from residential zoning districts. The petition also included reviewing whether other land uses should be subject to the provision and clarifying how the distance is measured. This amendment primarily revises the existing buffer prohibiting certain uses from operating within 1,000 feet of single- or two-family zoning districts to include all residential zoning districts as listed in Chapter 21A.24. Specifically, the buffer is expanded to include the RMF-30, RMF-35, RMF-45, RMF-75, and FB-UN1 zoning districts. Additionally, the provision is being amended to clarify that the buffer applies to the entirety of a lot as opposed to the boundaries of the use. As part of the proposal, staff is recommending that some uses be prohibited within the boundaries of Salt Lake City due to the risks they bring to health and safety of residents. Those uses are: explosive manufacturing and storage, flammable liquids or gases, heating fuel distribution and storage, medical waste/hazardous waste incinerator, and petroleum products refinery. Other uses which carry the potential to be highly intense, but not necessarily widespread in their impact (for example, producing air pollutants or excessive noise) on neighboring residents, are also proposed to be revised from permitted to conditional. The conditional use process would allow staff to better assess and mitigate potential impacts of these uses. PUBLIC PROCESS: Community Council Notice: A notice of application was sent to all recognized community organizations on January 23, 2025, per City Code Chapter 2.60 with a link to the online open house webpage. The recognized organizations were given 45 days to respond with any concerns or to request staff to meet with them and discuss the proposed zoning amendment. The 45-day public engagement period ended on March 10, 2025. Public Open House: An online open house was held from January 23, 2025 to March 10, 2025. No public comment was received. Planning Commission Meeting: The Planning Commission held a public hearing on March 12, 2025. The Planning Commission forwarded a positive recommendation to City Council on the proposed amendment. Planning Commission (PC) Records a) PC Agenda of March 12, 2025 b) PC Minutes of March 12, 2025 c) PC Staff Report of March 12, 2025 EXHIBITS: 1) Ordinance 2) Project Chronology 3) Notice of City Council Public Hearing 4) Original Petition This page has intentionally been left blank 1. ORDINANCE Project Title: Text Amendment to Modify Residential Buffer Prohibitions Petition No.: PLNPCM2024-01357 Version: 1 Date Prepared: July 30, 2025 Planning Commission Action: Recommended March 12, 2025 This proposed ordinance makes the following amendments to Title 21A Zoning: • Amends Table 21A.33.030 • Amends Table 21A.33.040 • Amends Table 21A.33.050 • Amends Table 21A.33.060 • Amends Table 21A.33.070 • Amends section 21A.62.040 to amend the definitions of “Heavy Manufacturing” and “Chemical Manufacturing and Storage” Underlined text is new; text with strikethrough is proposed to be deleted. Modifications made as part of the Planning Commission recommendation are highlighted in yellow. All other text is existing with no proposed change. Amending Table 21A.33.030 by amending the Table of Permitted and Conditional Uses for Mixed Use Districts 21A.33.030: TABLE OF PERMITTED AND CONDITIONAL USES FOR MIXED USE DISTRICTS Use Permitted And Conditional Use By District MU-2 MU-3 MU-5 MU-6 MU-8 MU-11 Theater, live performance (Indoor) P1415 P1415 P1415 P1415 14. Prohibited on lots located within 1,000 feet of a Single- or Two-Family Zoning District. Reserved. 15. Prohibited on lots located within 1,000 feet of Residential Districts (21A.24). Amending Table 21A.33.040 by amending the Table of Permitted and Conditional Uses for Manufacturing Districts 21A.33.040: TABLE OF PERMITTED AND CONDITIONAL USES FOR MANUFACTURING DISTRICTS Use Permitted And Conditional Use By District APPROVED AS TO FORM Salt Lake City Attorney’s Office Date: _7/30/25____________________ By: /s/Courtney Lords_______________ Courtney Lords, Senior City Attorney M-1 M-2 Animal: Stockyard C12 P12C12 Concrete and/or asphalt manufacturing C12, 13, 19 P12C12 Explosive manufacturing and storage C12, 19 Flammable liquids or gases, heating fuel distribution and storage P12 Incinerator, medical waste/hazardous waste C12, 19 Heavy manufacturing P12C12, 19 Poultry farm or processing plant P12, 19C12, 19 Refinery, petroleum products C12, 19 Recycling: Processing center (outdoor) C12, 13, 14, 19 P12, 19C12, 19 Rock, sand and gravel storage and distribution C12 PC12 Slaughterhouse P12C12 Vehicle: Automobile salvage and recycling (outdoor) C12, 13, 14, 19 P12, 19C12, 19 12. Prohibited on lots located within 1,000 feet of Residential Districts (21A.24) a Single- or Two-Family Zoning District. Amending Table 21A.33.050 by amending the Table of Permitted and Conditional Uses for Downtown Districts 21A.33.050: TABLE OF PERMITTED AND CONDITIONAL USES FOR DOWNTOWN DISTRICTS Use Permitted And Conditional Use By District D-1 D-2 D-3 D-4 Theater, live performance (Indoor) P921 P921 P921 P921 9. Prohibited on lots located within 1,000 feet of a Single- or Two-Family Zoning District. Reserved. 21. Prohibited on lots located within 1,000 feet of Residential Districts (21A.24). Amending Table 21A.33.060 by amending the Table of Permitted and Conditional Uses for Gateway Districts 21A.33.060: TABLE OF PERMITTED AND CONDITIONAL USES FOR GATEWAY DISTRICTS Use Permitted And Conditional Use By District G-MU Theater, live performance (Indoor) P4 4. Prohibited on lots located within 1,000 feet of a Single- or Two-Family Zoning District. Reserved Amending Table 21A.33.070 by amending the Table of Permitted and Conditional Uses for Special Purpose Districts 21A.33.070: TABLE OF PERMITTED AND CONDITIONAL USES FOR SPECIAL PURPOSE DISTRICTS Use Permitted And Conditional Use By District RP BP FP AG AG-2 AG-5 AG-20 OS NOS A Manufacturing, concrete or asphalt Concrete and/or asphalt manufacturing Theater, live performance (Indoor) C15 C15 Permitted And Conditional Use By District PL PL-2 I UI MH EI P15, 24 C15 C15 C15 C15 15. Prohibited on lots located within 1,000 feet of Residential Districts (21A.24) a Single- or Two-Family Zoning District. Amending section 21A.62.040 by amending the definitions of “Heavy Manufacturing” and “Chemical Manufacturing and Storage” CHEMICAL MANUFACTURING AND/OR STORAGE: A facility engaged in making and storing chemical products from raw or partially finished materials. HEAVY MANUFACTURING: The assembly, fabrication, or processing of goods and materials using processes that ordinarily have greater than average impacts on the environment, or that ordinarily have significant impacts on the use and enjoyment of adjacent property in terms of noise, smoke, fumes, odors, glare, or health and safety hazards, or that otherwise do not constitute "light manufacturing". Heavy manufacturing generally includes processing and fabrication of large or bulky products, products made from extracted or raw materials, or products involving flammable or explosive materials and processes which require extensive floor areas or land areas for the fabrication and/or incidental storage of the products. The term "heavy manufacturing" shall include uses such as refineries and chemical manufacturing. The term "heavy manufacturing" shall not include any use which is otherwise listed specifically in the table of permitted and conditional uses for the category of zoning district or districts under this title. Effective Date: This ordinance, if passed, shall become effective on the date of its first publication and shall be recorded with the Salt Lake City Recorder. [The Salt Lake City Recorder is instructed to not publish this ordinance until the condition set forth in Section 2 is satisfied as certified by the Salt Lake City Planning Director or his designee.] Is there a penalty for violating this ordinance? If so, please state penalty or reference another ordinance that prescribes the penalty here. _________________________________________ ___________________________________________________________________________. If penalty for violation includes possibility of imprisonment, include the following statement: Per Section 78B-22-301 of the Utah Code, Salt Lake City shall provide for indigent defense services, as that term is defined in 78B-22-102 of the Utah Code. ATTEST: ______________________________ CITY RECORDER Transmitted to the Mayor on __________________________. Mayor’s Action: _____Approved. _____Vetoed. ______________________________ MAYOR ATTEST: ____________________________ CITY RECORDER 2. PROJECT CHRONOLOGY ERIN MENDENHALL DEPARTMENT of COMMUNITY Mayor and NEIGHBORHOODS Tammy Hunsaker Director Project Chronology Petition: PLNPCM2024-01357 November 13, 2024 Petition initiated by City Council. November 19, 2024 Petition was deemed complete. November 21, 2024 November 2024 – March 2025 Petition assigned to Noah Elmore, Associate Planner. Staff drafted language to support goals of the petition. January 23, 2025 Notice of petition sent to all city recognized community organizations. January 28, 2025 Petition posted to the Planning Division’s Online Open House webpage. Public comment period ended March 12, 2025 February 10, 2025 Proposal was presented at the Sugar House Community Council meeting. February 20, 2025 Proposal was presented at the Liberty Wells Community Council meeting February 27, 2025 Planning Commission agenda posted to the website and emailed to the listserv. March 6, 2025 March 12, 2025 Staff Report posted to Planning’s webpage. Planning Commission meeting and public hearing held. A positive recommendation was forwarded to the City Council. April 28, 2025 Ordinance requested from City Attorney’s Office July 30, 2025 Ordinance received from City Attorney’s Office. 3. NOTICE OF CITY COUNCIL PUBLIC HEARING NOTICE OF CITY COUNCIL PUBLIC HEARING The Salt Lake City Council is considering Petition PLNPCM2024-01357. At the November 13, 2024 Planning Commission Meeting, the Planning Commission voted unanimously to initiate a zoning text amendment to review the land uses that are subject to, or should be subject to, the 1,000-foot prohibition from residential zoning districts. The petition also included reviewing whether other land uses should be subject to the provision and clarifying how the distance is measured. Other related provisions in Title 21A may also be modified as part of this proposal. As part of their study, the City Council is holding an advertised public hearing to receive comments regarding the petition. During the hearing, anyone desiring to address the City Council concerning this issue will be given an opportunity to speak. The Council may consider adopting the ordinance the same night of the public hearing. The hearing will be held: DATE: TIME: 7:00 pm PLACE: Electronic and in-person options. 451 South State Street, Room 326, Salt Lake City, Utah ** This meeting will be held via electronic means, while also providing for an in -person that opportunity to attend or participate in the hearing at the City and County Building, located at 451 South State Street, Room 326, Salt Lake City, Utah. For more information, including WebEx connection information, please visit www.slc.gov/council/virtual-meetings. Comments may also be provided by calling the 24-Hour comment line at (801) 535-7654 or sending an email to council.comments@slcgov.com. All comments received through any source are shared with the Council and added to the public record. If you have any questions relating to this proposal or would like to review the file, please call Noah Elmore at (801) 535-7971 between the hours of 8:00 a.m. and 5:00 p.m., Monday through Friday, or via e-mail at noah.elmore@slc.gov. The application details can be accessed at https://citizenportal.slcgov.com/, by selecting the “Planning” tab and entering the petition number PLNPCM2024-01357. People with disabilities may make requests for reasonable accommodation, which may include alternate formats, interpreters, and other auxiliary aids and services. Please make requests at least two business days in advance. To make a request, please contact the City Council Office at council.comments@slcgov.com, (801) 535-7600, or relay service 711. 4. ORIGINAL PETITION 1 November 1, 2024 PLANNING DIVISION DEPARTMENT of COMMUNITY and NEIGHBORHOODS Staff Report To: Salt Lake City Planning Commission From: Nick Norris, Planning Director Nick.norris@slc.gov or 801-535-6173 Date: November 13, 2024 Re: Petition initiation requested by Planning Commission to modify the provision that prohibits some land uses from being within 1,000 feet of single and two family zoning districts. Petition Initiation REQUEST: The commission recently requested that a work session item be placed on an agenda to discuss broadening the applicability of a regulation that prohibits certain land uses within 1,000 feet of single- and two-family zoning districts. The request proposed expanding the 1,000-foot prohibition to any residential zoning district. The purpose of this request is to protect the health and safety of residents living in other zoning districts, not just those who live in a single- or two- family district. RECOMMENDATION: The Planning Division recommends that the commission initiate a petition that would potentially expand the regulation that prohibits some land uses that are detrimental to the health and safety of residents from being located within 1,000 feet of a single- or two-family zoning district to apply to other residential zoning districts where people live. The following motion may be considered by the commission: “I move that the commission initiate a text amendment to review the land uses that are subject to, or should be subject to, the 1,000-foot spacing requirement from residential zoning districts. The initiation may include reviewing other land uses that should have the provision applied, clarifying whether the distance applies to the property or the boundaries of a use, and other related provisions that may help protect the health and safety of city residents.” ATTACHMENTS: A. ATTACHMENT A: Maps of areas impacted by the 1,000-foot spacing requirement 2 November 1, 2024 PROJECT DESCRIPTION The Planning Commission recently asked the Planning Division to provide some background information on a potential text amendment related to the spacing requirements between some land uses and single- or two-family residential zoning districts. Specifically, the commission asked if that wording should be changed so the spacing requirement would apply more equitably to all residential zoning districts and not just the single- and two-family zoning districts. The commission also asked about clarifying how the measurement is applied so the spacing applied if any portion of the property is within 1,000 feet. The purpose of the footnote is to prohibit land uses that generate noise, odor, pollution and other impacts that negatively impact the health and/or safety of people who live near such uses. The allowed land uses in each zoning district are listed in tables found in 21A.33. The uses listed are shown as either permitted or conditional. If the table does not indicate that the use is permitted or conditional, then the use is considered prohibited. Some land uses in some zoning districts include footnotes that typically further restrict a specific land use under specific circumstances. One of the footnotes found in the land use tables reads “Prohibited within 1,000 feet of a Single- or Two-Family Zoning District.” A sample of the uses that this footnote applies are in the table below. Zoning Districts Permitted or Conditional M-2, P The table indicates that most of the land uses with this provision are in the M-1 Light Manufacturing Zoning District and the M-2 Heavy Manufacturing Zoning District. Some of the uses are also in the CG General Commercial Zoning District or the EI Extractive Industry Zoning District. If the commission initiates a petition, a more thorough review of the land use tables will identify all land uses that are subject, or should be subject, to the footnote provision. 3 November 1, 2024 All but two of the other land uses with the provision are in the M-1 and M-2 zoning districts. Attachment A includes maps that show portions of the M-1, M-2, and EI zoning districts that are within 1,000-feet of a residential zoning district. The maps show that the land impacted by the 1,000-foot buffer are all in the Capitol Hill, Northwest, and Westside Planning Communities. The maps show single- and two- family zoning districts in yellow and all other residential districts in orange. The A-Agriculture zones are included as well because they allow single family dwellings on large lots. The intent of separating out the zoning districts is to demonstrate how the provision currently applies (residential shown in yellow on the maps) and how it may apply if modified to apply to all residential districts. The “Theater, Live Performance” land use was recently reviewed by the Planning Commission because the City Council initiated a text change to expand where this use is allowed. That land use would not be considered as part of this initiation as a result. There are likely other land uses within the land use table that create pollution and other health or safety impacts where this provision may be appropriate. As part of the review, the land use tables will be analyzed in more detail to identify the uses that create health and safety impacts to determine if the uses should be subject to the proposal. The analysis will also review the land use tables that are part of the zoning consolidation project. It is possible that the footnote may be applied to other zoning districts, be modified as well, or additional footnotes added based on the analysis. APPROVAL PROCESS AND COMMISSION AUTHORITY The commission has the authority to initiate a zoning amendment. To do so, the action must be advertised on the agenda with at least 24 hours public notice, a commissioner must make a motion to initiate the amendment, and then a majority of the commissioners present must vote to initiate the petition. If an amendment is approved, the Planning Division will research the relevant changes, draft the proposed changes, check in with the commission to ensure the changes are consistent with what the commission intends, and then start the public engagement process. The desired output of the process is to update the code to protect health and safety by limiting how close some impactful land uses are to where people live and to do so as quickly as possible to limit the possibility of the identified uses being established. 4 November 1, 2024 ATTACHMENT A: Maps of areas impacted by the 1,000-foot spacing requirement 5 November 1, 2024 6 November 1, 2024 This page has intentionally been left blank CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 COUNCIL STAFF REPORT CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM:Brian Fullmer Policy Analyst DATE:September 2, 2025 RE: Text Amendment – Utility Installation Exemptions PLNPCM2024-01352 The Council will be briefed about a text amendment initiated by Mayor Mendenhall to clarify utility installation exemptions found in City code by defining which utilities are included. It also standardizes language across land use tables. The Planning Commission reviewed the proposal at its March 12, 2025 meeting and recommended that the Historic Landmark Commission review it because under the ordinance the Planning Division would be able to administratively approve new public utility structures within the historic overlay. The Historic Landmark Commission reviewed the proposal at its April 3, 2025 meeting. Both commissions held public hearings at their respective meetings at which the same person spoke expressing concerns about potential for utility buildings in historic districts to be constructed without being required to adhere to the same standards as private property owners. The commissions each forwarded unanimous recommendations for approval to the City Council. Goal of the briefing: Review the proposed text amendment and determine if the Council supports moving forward with the proposal. POLICY QUESTION Item Schedule: Page | 3 1. The Council may wish to discuss exempting utility buildings and structures from design review standards and public hearing requirements, including those in historic districts as proposed in the text amendment. ADDITIONAL INFORMATION Proposed changes would apply to essential equipment such as government owned antennas, and fences and walls needed to restrict unauthorized access to utility structures and land. Additionally, the proposal would allow administrative review of structures for utilities that serve the public, including in historic districts. This would remove the public hearing requirement, though public notice would still be required. Planning staff would have the option to forward proposals for structures in historic districts that generate significant public input, to the Historic Landmark Commission. Following the Planning and Historic Landmark Commission meetings, Planning staff identified two additional considerations for the Council to consider: Planning Division Discretion – the draft ordinance exempts antennas from the zoning code if they are for “public safety purposes.” Planning recommends changing the antenna description to government owned “critical infrastructure” and grants the Planning Director authority to determine if an antenna qualifies for the designation. Eco-Industrial Buffer Area – Currently, City code does not allow antennas in the Eco-Industrial Buffer Area in the Northwest Quadrant Overlay. The proposal adds language to the code to specify this restriction. Potential Straw Polls Are Council Members supportive of granting the Planning Director authority to determine if an antenna qualifies as critical infrastructure? Are Council Members supportive of adding language to City code specifying antennas are not allowed in the Eco-Industrial Buffer Area in the Northwest Quadrant Overlay? KEY CONSIDERATIONS Planning staff identified three key considerations related to the proposal, found on pages 2-4 of the Planning Commission staff report, and briefly summarized below. For the complete analysis, please see the Planning staff report. Consideration 1 – Standardize the footnote in the land use tables referencing 21A.50.050.A A footnote in Section 21A.33 of City code references the exemptions section of code, but it isn’t clear that not all utility buildings and uses qualify for the exemptions. There are also some inconsistencies in footnote wording found on various tables in code that reference public utility exemptions. It is Planning staff’s experience that these inconsistencies can lead to confusion. Revising and standardizing footnote language in the land use tables clarifying that not all utility buildings and uses are exempt for some zoning regulations will help reduce confusion. Consideration 2 – Clarifying which utility-based land uses are exempt from City code. The proposal modifies the exemptions section of City code to improve clarity. The updated section is in list format that outlines which utilities are exempt from City code and those that are not. With two exceptions discussed below, the listed exemptions follow the City’s longstanding practice. New exemptions added in the proposal are “government-owned and operated antennas” and “fences or walls that are necessary to restrict access and promote public safety of public utility land uses or Page | 4 structures.” The antenna exemption would streamline the permitting process for installation of essential government infrastructure. Enhanced security and protection of public utility structures would result from the fence and wall exemption. Consideration 3 – Streamlining planning processes for public utility development ANALYSIS OF STANDARDS Factor Finding Whether a proposed text amendment is consistent with the purposes, goals, objectives, and policies of the city as stated through its various adopted planning documents. Complies Whether a proposed text amendment furthers the specific purpose statements of the zoning ordinance. Complies Whether a proposed text amendment is consistent with the purposes and provisions of any applicable overlay zoning districts which may impose additional standards. Not applicable The extent to which a proposed text amendment implements best current, professional practices of urban planning and design. Complies Page | 4 The impact that the proposed text amendment may have on city resources necessary to carry out the provisions and processes required by this title. The proposal would reduce administrative burden on City staff. Fewer zoning reviews would save time and resources while maintaining essential public services. The impact that the proposed text amendment may have on other properties that would be subject to the proposal and properties adjacent to subject properties. Proposed changes would affect all properties equally. Some exemptions may impact aesthetics due to a lack of zoning regulations. Ensures public services can expand efficiently with flexibility. The community benefits that would result from the proposed text amendment, as identified in 21A.50.050. Not applicable. PROJECT CHRONOLOGY • November 12, 2024 – Mayor Mendenhall initiated petition. • November 18, 2024 – Petition deemed complete. • November 18, 2024 – Petition assigned to David Stuenzi, Associate Planner. • November 2024-March 2025 – Planning staff drafted language to support goals of the petition. • December 26, 2024 – Notice of petition sent to all City recognized community organizations. • December 31, 2024 – Petition posted to the Planning Division’s online open house webpage. • February 27, 2025 – Planning Commission agenda posted to the website and emailed to the listserv. • March 12, 2025 – Planning Commission meeting and public hearing. A positive recommendation was forwarded to the City Council. • March 20, 2025 – Historic Landmark Commission agenda posted to the website and emailed to the listserv. • April 3, 2025 – Historic Landmark Commission briefing and public hearing. The Commission voted unanimously to forward a positive recommendation to the City Council. • April 18, 2025 – Ordinance requested from the Attorney’s Office. • July 22, 2025 – Ordinance received from the Attorney’s Office. • August 7, 2025 – Transmittal received in City Council Office. Salt Lake City // Planning Division www.slc.gov/planning City Council Briefing–September 2nd, 2025 PLNPCM2024-01352 TEXT AMENDMENT// UTILITY EXEMPTIONS FROM ZONING Salt Lake City //Planning Division www.slc.gov/planning ZONING TEXT AMENDMENT •City initiated text amendment •Intent is to clarify utility exemptions in zoning code •Updates misleading footnotes that reference utilities in land-use tables •Streamlines the planning processes for public utility projects. REQUEST Salt Lake City //Planning Division www.slc.gov/planning •Clarify land uses that are exempt from zoning code. New Exemptions: 1.Government owned antennas for public safety 2.Fences/walls restricting access to public utility sites •Standardize utility related footnotes •Redefine “Utility, Building or Structure” for clarity •Adds administrative approval for certain planning processes that involve essential public utilities PROPOSED CHANGES Salt Lake City //Planning Division www.slc.gov/planning Certain zoning regulations impede on public utility development. Proposed changes to streamline planning processes include: •Design Standards –Exempts essential public utilities from design standard requirements •Planned Developments –Allows administrative review to modify dimensional rules for public utilities within planned developments •Historic Overlay –Allows administrative review for new public utility structures PROPOSED CHANGES –ADMINISTRATIVE APPROVAL Salt Lake City //Planning Division www.slc.gov/planning Proposed amendment allows for administrative approval for new public utility structures in the historic district •45-day public notice still required, but no public hearing •Planning Division can choose to bring proposals to Historic Landmark Commission if feedback is significant PROPOSED CHANGES –HISTORIC OVERLAY Salt Lake City //Planning Division www.slc.gov/planning Exempt from Zoning (If Public Infrastructure) Administrative (Staff Level) (Historic, Design Review, Planned Development) Must Comply with Zoning Salt Lake City //Planning Division www.slc.gov/planning Following PC and HLC recommendations, staff identified additional technical changes for the council to consider. These updates are included in Ordinance Version 1-B: •Planning Director Discretion –Language was added to clarify that exempted government antennas need to be “critical infrastructure” that “provide utility or public safety services to the public.” •Recommending adding “public safety services” to clarify intent •Eco-Industrial Buffer Area –Language added in footnotes to maintain that antennas are not permitted in the overlay. POST-PC CONSIDERATIONS Salt Lake City //Planning Division www.slc.gov/planning David Stuenzi // Associate Planner David.Stuenzi@slc.gov (801) 535-6135 SALT LAKE CITY TRANSMITTAL To:  Salt Lake City Council Chair Submission Date: 08/01/2025 Date Sent to Council: 08/07/2025 From: Department * Community and Neighborhood Employee Name: Stuenzi, David E-mail David.Stuenzi@slc.gov Department Director Signature Director Signed Date 08/06/2025 Chief Administrator Officer's Signature Chief Administrator Officer's Signed Date 08/07/2025 Subject: Text Amendment - Utility Installation Exemptions 21A.02.050.B.2 Additional Staff Contact:Presenters/Staff Table Document Type Ordinance Budget Impact? Yes No Recommendation: Recommendation to adopt ordinance version 1-B. Background/Discussion See first attachment for Background/Discussion Will there need to be a public hearing for this item?* Yes No Public Process This page has intentionally been left blank ERIN MENDENHALL DEPARTMENT of COMMUNITY Mayor and NEIGHBORHOODS Tammy Hunsaker Director SALT LAKE CITY CORPORATION 451 SOUTH STATE STREET, ROOM 404 WWW.SLC.GOV P.O. BOX 145486, SALT LAKE CITY, UTAH 84114-5486 TEL 801.535.6230 FAX 801.535.6005 CITY COUNCIL TRANSMITTAL BACKGROUND/DISCUSSION: Mayor Erin Mendenhall initiated a zoning text amendment to clarify exemptions in Section 21A.02.050.B and update footnotes in the land use tables (Section 21A.33) related to utility exemptions. The proposed amendment’s purpose is to update the language in both sections to ensure consistency and clarity regarding utility exemptions. In addition to clarifying the exemptions within city code, the amendment ensures that exemptions apply only to specific utility equipment rather than all utility uses. It more clearly defines which utilities are exempt and includes government-owned and operated antennas, as well as fences or walls necessary to restrict access to public utility land uses or structures. These updates align with the city’s longstanding practice of exempting essential equipment while confirming that larger utility uses, such as water treatment plants and power generation facilities, remain subject to zoning requirements. Additional changes have been incorporated into the proposed text amendment to streamline the development process for critical infrastructure. Utility structures often have unique designs that don’t align with standard zoning and design requirements, creating unnecessary barriers to their development. This amendment exempts utility buildings and structures from certain design standards, allows administrative approval for new utility buildings in historic districts, and permits zoning modifications through administrative review within planned developments. Projects reviewed administratively would still require public notification to nearby properties, but a public hearing would not be required. At its March 12th meeting, the Planning Commission expressed support for the proposed amendment but recommended that it be reviewed by the Historic Landmark Commission, as it includes granting the Planning Department administrative authority to review new public utility structures within the historic overlay. The Historic Landmark Commission reviewed the proposal at its April 3rd meeting and agreed that it would be appropriate for Planning Staff to process these types of applications administratively. Both commissions have recommended approval to City Council. CONSIDERATIONS FOR CITY COUNCIL Both the Planning Commission and the Historic Landmark Commission held public hearings to review the proposed text amendment and unanimously forwarded a positive recommendation of approval to the City Council. Following these recommendations, staff identified the following for council consideration: • Planning Department Discretion – The draft ordinance exempted antennas from the zoning code if the antenna was for “public safety purposes.” This language has been changed to, critical infrastructure, and gives the planning director the authority to determine if an antenna qualifies as critical infrastructure. This change allows for some discretion and prevents the exemption from applying too broadly. • Eco-Industrial Buffer Area – Existing zoning does not allow antennas in the Eco-Industrial Buffer Area within the Northwest Quadrant Overlay. Language has been added to maintain the restriction. The above recommendations are reflected in the ordinance 1-B if the council decides they would like these changes incorporated. If the council does not want these changes incorporated, they are not included in ordinance 1-A. PUBLIC PROCESS: Community Council Notice: A notice of application was sent to all recognized community organizations on December 26th, 2024, per City Code Chapter 2.60 with a link to the online open house webpage. The recognized organizations were given 45 days to respond with any concerns or to request staff to meet with them and discuss the proposed zoning amendment. The 45-day public engagement was extended for a week due to the holidays and ended on February 16th, 2025. Public Open House: An online open house was held from December 31st, 2024, to February 16th, 2025. No public comment was received. Planning Commission Meeting: The Planning Commission held a public hearing on March 12th, 2025. The Planning Commission forwarded a positive recommendation to City Council on the proposed amendment. Historic Landmark Commission Meeting: The Historic Landmark Commission held a public hearing on April 3rd, 2025. The Historic Landmark Commission forwarded a positive recommendation to City Council on the proposed text amendment. Planning Commission (PC) Records a) PC Agenda of March 12th, 2025 (Click to Access) b) PC Minutes of March 12th, 2025 (Click to Access) c) Planning Commission Staff Report of March 12th, 2025 (Click to Access Report) Historic Planning Commission (HLC) Records a) HLC Agenda of April 3rd, 2025 (Click to Access) b) HLC Minutes of April 3rd, 2025 (Click to Access) c) Historic Landmark Commission Staff Report of April 3rd, 2025 (Click to Access Report) EXHIBITS: 1) Ordinance – Version 1-B 2) Ordinance – Version 1-A 3) Project Chronology 4) Notice of City Council Public Hearing 5) Original Petition 6) Public Comment Received after the Planning Commission Staff Report was Published This page has intentionally been left blank 1. ORDINANCE Version 1-B V2 Project Title: Zoning Text Amendments - Utility Installation Exemptions 21A.02.050.B.2 Petition No.: PLNPCM2024-01352 Version: 1-B Date Prepared: July 23, 2025 Planning Commission Action: Recommended March 12, 2025; additional recommended language by Planning Staff is highlighted in yellow. This proposed ordinance makes the following amendments (for summary purposes only): • Amends Section 21A.02.050.B.2 to clarify exemptions for certain above-ground public utility structures. • Amends Section 21A.33.020, Table of Permitted and Conditional Uses in Residential Districts, to provide clearer and more consistent language regarding exemptions in footnotes. • Amends Section 21A.33.030, Table of Permitted and Conditional Uses for Mixed Use Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.040, Table of Permitted and Conditional Uses for Manufacturing Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.050, Table of Permitted and Conditional Uses for Downtown, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.060, Table of Permitted and Conditional Uses for Gateway Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.00, Table of Permitted and Conditional Uses for Special Purpose Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.34.020.F.1, Administrative Authority, to grant administrative authority to the planning director or designee for public utility buildings and structures when requiring a certificate of appropriateness. • Amends Section 21A.37.020, to exclude public utility buildings and structures from design review standards found in 21A.37. • Amends Table 21A.40.090: Wireless Telecommunication Facilities, by revising the second footnote to include a reference to the antenna exemptions in section 21A.02.050. • Amends Section 21A.55.020, to grant administrative authority to the planning director or designee when a public utility or structure is applying for a planned development and exempt these uses from minimum area requirements. • Amends Section 21A.62.040, Definitions, to redefine “Utility, Building or Structure” to encompass a broader range. Underlined text is new; text with strikethrough is proposed to be deleted. Modifications made as part of the Planning Commission recommendation are highlighted in yellow. All other text is existing with no proposed change. 1. Amends 21A.02.050. B.2 as follows: 1 2 APPROVED AS TO FORM Salt Lake City Attorney’s Office Date: 7/23/25______________________ By: _/s/ Courtney Lords________________ Courtney Lords, Senior City Attorney V2 2. Utility Installations: Equipment or structures for the provision of essential services to the 3 public as listed below: 4 a. Public utility infrastructure such as wWires, cables, poles, conduits, vaults, laterals, pipes, 5 mains, valves or other similar equipment for the distribution to consumers of telephone or 6 other telecommunications, electricity, gas or water, or the collection of, water, sewer 7 sewage, or stormwater, or transportation. Such infrastructure shall be when owned, 8 operated and/or maintained by a governmental entity or a public utility. Such installations 9 and shall comply with Federal Communications Commission and Federal Aviation 10 Administration rules and regulations and those of other authorities having jurisdiction. 11 b. This exemption includes gGround mounted utility boxes installed by a governmental 12 entity in the public right-of-way for public safety and management purposes, such as 13 traffic control devices, utility boxes for lighting and parking meters. All other ground 14 mounted utility boxes shall not be exempt from the regulations of this title and are subject 15 to section 21A.40.160, "Ground Mounted Utility Boxes", of this title. 16 c. Government owned and operated antennas, including communication towers, when 17 deemed by the planning director as critical infrastructure necessary to provide specific 18 utility needs to the public, except that: 19 i) If located within the Airport Flight Path Protection Overlay, the antenna shall 20 comply with the provisions in section 21A.34.040. 21 ii) Antennas are prohibited within the Eco-Industrial Buffer Area of the Northwest 22 Quadrant Overlay District. 23 d. Fences or walls only when necessary to restrict access and promote safety of public 24 utility land uses or structures. 25 e. All other utility land uses, buildings or structures, shall comply with the applicable 26 standards of this title. 27 28 2. Amends Section 21A.33.020 to make changes to the following existing footnote: 29 5. See subsection 21A.02.050.B for utility regulations. Certain utility installations may be exempt 30 from the regulations of this title. See Subsection 21A.02.050.B. 31 32 3. Amends Section 21A.33.030 to modify only the following rows in the table: 33 34 21A.33.030: TABLE OF PERMITTED AND CONDITIONAL USES FOR MIXED USE 35 DISTRICTS: 36 Use Permitted And Conditional Uses by District MU-2 MU-3 MU-5 MU-6 MU-8 MU-11 exceeding the maximum height in the 18. Certain utility installations may be exempt from the regulations of this title. See Subsection 37 21A.02.050.B. 38 39 4. Amends Section 21A.33.040 to modify the following table: 40 41 21A.33.040: TABLE OF PERMITTED AND CONDITIONAL USES FOR MANUFACTURING 42 DISTRICTS: 43 Use V2 Antenna, cCommunication tTower P1 P1 Antenna, cCommunication tTower exceeding the maximum building 1. See Subsection 21A.02.050.B of this title for utility regulations. Certain utility installations 44 may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 45 46 5. Amends Section 21A.33.050 to modify the following table: 47 48 21A.33.050: TABLE OF PERMITTED AND CONDITIONAL USES FOR DOWNTOWN 49 DISTRICTS 50 Use Antenna, cCommunication tTower P1 P1 P1 P1 Antenna, cCommunication tTower exceeding the maximum building height in the zoning district C1 C1 C1 C1 1. Subject to conformance to the provisions in subsection 21A.02.050B of this title. Certain utility 51 installations may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 52 53 6. Amends Section 21A.33.060 to modify the following table: 54 55 21A.33.060: TABLE OF PERMITTED AND CONDITIONAL USES FOR GATEWAY 56 DISTRICTS 57 Use Conditional Use By Antenna, cCommunication tTower P1 Antenna, cCommunication tTower exceeding the maximum building height in the zoning district C1 1. Subject to conformance to the provisions in subsection 21A.02.050B of this title. Certain utility 58 installations may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 59 60 7. Amends Section 21A.33.070 to modify the following table. 61 62 21A.33.070: TABLE OF PERMITTED AND CONDITIONAL USES FOR SPECIAL PURPOSE 63 DISTRICTS 64 Use Antenna, cCommunication tTower P1 P1 C1 P1 P1 P1 P1 P1,21 P1 Antenna, cCommunication tTower exceeding the maximum building height Permitted And Conditional Use By District V2 PL PL-2 I UI MH EI P1 C1 P1 P1 P1 P1,11 C1 C1 C1 65 1. Subject to conformance to the provisions in subsection 21A.02.050B of this title. Certain utility 66 installations may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 67 21. New antennase and telecommunication towers are allowed outside the telecommunication corridor in 68 the OS Open Space District for public safety, public security or Salt Lake City Public Utilities 69 Department purposes only., if not already exempted under section 21A.02.050 of this title. 70 71 8. Amends Section 21A.34.020.F.1 as follows: 72 73 1. Administrative Authority: The following may be decided by the planning director or designee: 74 a. Minor alteration of or addition to a landmark site or contributing building or structure; 75 b. Alteration of or addition to a noncontributing building or structure; 76 c. Partial demolition of either a landmark site or a contributing principal building or structure; 77 d. Demolition of an accessory building or structure; and 78 e. Demolition of a noncontributing building or structure.; and 79 f. New construction of a public utility building or structure necessary for the provision of 80 essential services to the public. 81 82 9. Amends Subsection 21A.37.020.D and adds E as follows: 83 84 D. Utility: Public utility buildings or structures necessary for the provision of essential services to 85 the public shall be exempt from this chapter. 86 87 E. Certificate of Appropriateness: All new construction, additions, exterior building work, 88 structure work, and site work on property in an H Historic Preservation Overlay District or a 89 landmark site remains subject to a certificate of appropriateness as required in 90 Subsection 21A.34.020.E of this title. 91 92 10. Amends Section 21A.40.090 to modify the following table: 93 94 TABLE 21A.40.090: WIRELESS TELECOMMUNICATIONS FACILITIES 95 Wall Mount3 Roof Mount3 Monopole With Antennas And Antenna Support Structure Less Than 2’ Wide3 Monopole With Antennas And Antenna Support Structure Greater Than 2’ Wide3 Lattice Tower Stealth District Height Limit But Not To Exceeding The Maximum Height Limit But Not To Exceeding The Maximum V2 60’ (Whichev er Is Less) The Zone Up To 30 Additional (Whichev er Is Less) Up To 30 Additional feet 2. New telecommunications towers are allowed outside the telecommunication corridor in the OS zone 96 for public safety, public security, or Salt Lake Public Utilities Department purposes only., if not already 97 exempted under section 21A.02.050 of this title. 98 99 11. Amends Section 21A.55.020.A as follows: 100 101 A. Administrative Review: The planning director may approve, approve with modifications, deny, 102 or refer to the planning commission modifications to specific zoning standards outlined in this 103 section. Subsection 21A.52.060.B.4.b for projects that meet the qualifying provisions in 104 Subsection 21A.52.060.B. The approval shall be in accordance with the standards and procedures 105 set forth in this chapter and other regulations applicable to the district in which the property is 106 located. 107 1. Specific zoning standards outlined in Subsection 21A.52.060.B.4.b for projects that meet 108 the qualifying provisions in Subsection 21A.52.060.B. 109 2. Dimensional standards to accommodate a public utility building or structure necessary 110 for the provision of essential services to the public. Additional building height shall be 111 limited to 5 feet. 112 113 12. Adds Subsection 21A.55.060.C as follows: 114 115 C. Exemption: Minimum area requirements do not apply when the planned development is for 116 public utility buildings or structures necessary for the provision of essential services to the public. 117 118 13. Amends the following definition in Section 21A.62.040: 119 120 UTILITY, BUILDING OR STRUCTURE: A building or structure owned, operated or maintained 121 by a governmental entity or a public utility and needed to provide distribution, transmittal and or 122 maintenance for the provision of public utility services for water, sewer and flood control 123 including wells, pumping stations, reservoirs, water treatment plant, water storage tanks, detention 124 basins, lift stations, regulators and other similar facilities unless exempted in section 21A.02.050 125 of this title. Utility, building or structure does not include offices or other uses otherwise defined in 126 the code. 127 128 [end] 129 This page has intentionally been left blank 2. ORDINANCE Version 1-A V2 Project Title: Zoning Text Amendments - Utility Installation Exemptions 21A.02.050.B.2 Petition No.: PLNPCM2024-01352 Version: 1-A Date Prepared: July 23, 2025 Planning Commission Action: Recommended March 12, 2025 This proposed ordinance makes the following amendments (for summary purposes only): • Amends Section 21A.02.050.B.2 to clarify exemptions for certain above-ground public utility structures. • Amends Section 21A.33.020, Table of Permitted and Conditional Uses in Residential Districts, to provide clearer and more consistent language regarding exemptions in footnotes. • Amends Section 21A.33.030, Table of Permitted and Conditional Uses for Mixed Use Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.040, Table of Permitted and Conditional Uses for Manufacturing Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.050, Table of Permitted and Conditional Uses for Downtown, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.060, Table of Permitted and Conditional Uses for Gateway Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.33.00, Table of Permitted and Conditional Uses for Special Purpose Districts, to add the utility exemptions footnote to Antenna land uses. • Amends Section 21A.34.020.F.1, Administrative Authority, to grant administrative authority to the planning director or designee for public utility buildings and structures when requiring a certificate of appropriateness. • Amends Section 21A.37.020, to exclude public utility buildings and structures from design review standards found in 21A.37. • Amends Section 21A.55.020, to grant administrative authority to the planning director or designee when a public utility or structure is applying for a planned development and exempt these uses from minimum area requirements. • Amends Section 21A.62.040, Definitions, to redefine “Utility, Building or Structure” to encompass a broader range. Underlined text is new; text with strikethrough is proposed to be deleted. Modifications made as part of the Planning Commission recommendation are highlighted in yellow. All other text is existing with no proposed change. 1. Amends 21A.02.050. B.2 as follows: 1 2 2. Utility Installations: Equipment or structures for the provision of essential services to the 3 public as listed below: 4 a. Public utility infrastructure such as wWires, cables, poles, conduits, vaults, laterals, pipes, 5 mains, valves or other similar equipment for the distribution to consumers of telephone or 6 APPROVED AS TO FORM Salt Lake City Attorney’s Office Date: __7/23/25___________________ By: _/s/ Courtney Lords________________ Courtney Lords, Senior City Attorney V2 other telecommunications, electricity, gas or water, or the collection of, water, sewer 7 sewage, or stormwater, or transportation. Such infrastructure shall be when owned, 8 operated and/or maintained by a governmental entity or a public utility. Such installations 9 and shall comply with Federal Communications Commission and Federal Aviation 10 Administration rules and regulations and those of other authorities having jurisdiction. 11 b. This exemption includes gGround mounted utility boxes installed by a governmental 12 entity in the public right-of-way for public safety and management purposes, such as 13 traffic control devices, utility boxes for lighting and parking meters. All other ground 14 mounted utility boxes shall not be exempt from the regulations of this title and are subject 15 to section 21A.40.160, "Ground Mounted Utility Boxes", of this title. 16 c. Government owned and operated antennas, including communication towers, for public 17 safety purposes, except when located within the Airport Flight Path Protection Overlay, 18 in which case, shall comply with the provisions in section 21A.34.040. 19 d. Fences or walls only when necessary to restrict access and promote safety of public 20 utility land uses or structures. 21 e. All other utility land uses, buildings or structures, shall comply with the applicable 22 standards of this title. 23 24 2. Amends Section 21A.33.020 to make changes to the following existing footnote: 25 5. See subsection 21A.02.050.B for utility regulations. Certain utility installations may be exempt 26 from the regulations of this title. See Subsection 21A.02.050.B. 27 28 3. Amends Section 21A.33.030 to add the following table: 29 30 21A.33.030: TABLE OF PERMITTED AND CONDITIONAL USES FOR MIXED USE 31 DISTRICTS: 32 Use Permitted And Conditional Uses by District MU-2 MU-3 MU-5 MU-6 MU-8 MU-11 exceeding the maximum height in the 18. Certain utility installations may be exempt from the regulations of this title. See Subsection 33 21A.02.050.B. 34 35 4. Amends Section 21A.33.040 to modify the following table: 36 37 21A.33.040: TABLE OF PERMITTED AND CONDITIONAL USES FOR MANUFACTURING 38 DISTRICTS: 39 Use Antenna, cCommunication tTower P1 P1 Antenna, cCommunication tTower exceeding the maximum building 1. See Subsection 21A.02.050.B of this title for utility regulations. Certain utility installations 40 may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 41 V2 42 5. Amends Section 21A.33.050 to add the following table: 43 44 21A.33.050: TABLE OF PERMITTED AND CONDITIONAL USES FOR DOWNTOWN 45 DISTRICTS 46 Use Antenna, cCommunication tTower P1 P1 P1 P1 Antenna, cCommunication tTower exceeding the maximum building height in the zoning district C1 C1 C1 C1 1. Subject to conformance to the provisions in subsection 21A.02.050B of this title. Certain utility 47 installations may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 48 49 6. Amends Section 21A.33.060 to add the following table: 50 51 21A.33.060: TABLE OF PERMITTED AND CONDITIONAL USES FOR GATEWAY 52 DISTRICTS 53 Use Conditional Use By Antenna, cCommunication tTower P1 Antenna, cCommunication tTower exceeding the maximum building height in the zoning district C1 1. Subject to conformance to the provisions in subsection 21A.02.050B of this title. Certain utility 54 installations may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 55 56 7. Amends Section 21A.33.070 to add the following footnotes: 57 58 21A.33.070: TABLE OF PERMITTED AND CONDITIONAL USES FOR SPECIAL PURPOSE 59 DISTRICTS 60 Use Antenna, cCommunication tTower P1 P1 C1 P1 P1 P1 P1 P1,21 P1 Antenna, cCommunication tTower exceeding the maximum building height Permitted And Conditional Use By District PL PL-2 I UI MH EI 61 1. Subject to conformance to the provisions in subsection 21A.02.050B of this title. Certain utility 62 installations may be exempt from the regulations of this title. See Subsection 21A.02.050.B. 63 64 8. Amends Section 21A.34.020.F.1 as follows: 65 V2 66 1. Administrative Authority: The following may be decided by the planning director or designee: 67 a. Minor alteration of or addition to a landmark site or contributing building or structure; 68 b. Alteration of or addition to a noncontributing building or structure; 69 c. Partial demolition of either a landmark site or a contributing principal building or structure; 70 d. Demolition of an accessory building or structure; and 71 e. Demolition of a noncontributing building or structure.; and 72 f. New construction of a public utility building or structure necessary for the provision of 73 essential services to the public. 74 75 9. Amends Subsection 21A.37.020.D and adds E as follows: 76 77 D. Utility: Public utility buildings or structures necessary for the provision of essential services to 78 the public shall be exempt from this chapter. 79 80 E. Certificate of Appropriateness: All new construction, additions, exterior building work, 81 structure work, and site work on property in an H Historic Preservation Overlay District or a 82 landmark site remains subject to a certificate of appropriateness as required in 83 Subsection 21A.34.020.E of this title. 84 85 10. Amends Section 21A.55.020.A as follows: 86 87 A. Administrative Review: The planning director may approve, approve with modifications, deny, 88 or refer to the planning commission modifications to specific zoning standards outlined in this 89 section. Subsection 21A.52.060.B.4.b for projects that meet the qualifying provisions in 90 Subsection 21A.52.060.B. The approval shall be in accordance with the standards and procedures 91 set forth in this chapter and other regulations applicable to the district in which the property is 92 located. 93 1. Specific zoning standards outlined in Subsection 21A.52.060.B.4.b for projects that meet 94 the qualifying provisions in Subsection 21A.52.060.B. 95 2. Dimensional standards to accommodate a public utility building or structure necessary 96 for the provision of essential services to the public. Additional building height shall be 97 limited to 5 feet. 98 99 11. Adds Subsection 21A.55.060.C as follows: 100 101 C. Exemption: Minimum area requirements do not apply when the planned development is for 102 public utility buildings or structures necessary for the provision of essential services to the public. 103 104 12. Amends the following definition in Section 21A.62.040: 105 106 UTILITY, BUILDING OR STRUCTURE: A building or structure owned, operated or maintained 107 by a governmental entity or a public utility and needed to provide distribution, transmittal and or 108 maintenance for the provision of public utility services for water, sewer and flood control 109 including wells, pumping stations, reservoirs, water treatment plant, water storage tanks, detention 110 basins, lift stations, regulators and other similar facilities unless exempted in section 21A.02.050 111 V2 of this title. Utility, building or structure does not include offices or other uses otherwise defined in 112 the code. 113 114 115 [end] 116 This page has intentionally been left blank 3. PROJECT CHRONOLOGY ERIN MENDENHALL DEPARTMENT of COMMUNITY Mayor and NEIGHBORHOODS Tammy Hunsaker Director Project Chronology Petition: PLNPCM2024-01352 November 12, 2024 Petition initiated by City Council. November 18, 2024 Petition was deemed complete. November 18, 2024 November 2024 – March 2025 Petition assigned to David Stuenzi, Associate Planner. Staff drafted language to support goals of the petition. December 26, 2024 Notice of petition sent to all city recognized community organizations. December 31, 2025 Petition posted to the Planning Division’s Online Open House webpage. Public comment period ended February 16th, 2024 February 27, 2025 Planning Commission agenda posted to the website and emailed to the listserv. March 6, 2025 March 12, 2025 Staff Report posted to Planning’s webpage. Planning Commission meeting and public hearing held. A positive recommendation was forwarded to the City Council. March 20, 2025 Historic Landmark Commission agenda posted to the website and emailed to the listserv. March 27, 2025 Staff Report posted to Planning’s webpage April 3, 2025 Historic Landmark Commission meeting and public hearing held. A positive recommendation was forwarded to the City Council. April 18th, 2025 Ordinance requested from City Attorney’s Office. July 22nd, 2025 Ordinance received from City Attorney’s Office. This page has intentionally been left blank 4. NOTICE OF CITY COUNCIL PUBLIC HEARING NOTICE OF CITY COUNCIL PUBLIC HEARING The Salt Lake City Council is considering Petition PLNPCM2024-01352. At the March 12th, 2024 Planning Commission Meeting, the Planning Commission voted unanimously to initiate a zoning text amendment to clarify the application of utility exemptions in 21A.02.050 and to standardize the footnotes in related land use tables. Related provisions in Title 21A may also be modified as part of this proposal. As part of their study, the City Council is holding an advertised public hearing to receive comments regarding the petition. During the hearing, anyone desiring to address the City Council concerning this issue will be given an opportunity to speak. The Council may consider adopting the ordinance the same night of the public hearing. The hearing will be held: DATE: TIME: 7:00 pm PLACE: Electronic and in-person options. 451 South State Street, Room 326, Salt Lake City, Utah ** This meeting will be held via electronic means, while also providing for an in -person that opportunity to attend or participate in the hearing at the City and County Building, located at 451 South State Street, Room 326, Salt Lake City, Utah. For more information, including WebEx connection information, please visit www.slc.gov/council/virtual-meetings. Comments may also be provided by calling the 24-Hour comment line at (801) 535-7654 or sending an email to council.comments@slcgov.com. All comments received through any source are shared with the Council and added to the public record. If you have any questions relating to this proposal or would like to review the file, please call David Stuenzi at (801) 535-6135 between the hours of 8:00 a.m. and 5:00 p.m., Monday through Friday, or via e-mail at david.stuenzi@slc.gov. The application details can be accessed at https://citizenportal.slcgov.com/, by selecting the “Planning” tab and entering the petition number PLNPCM2024-01352. People with disabilities may make requests for reasonable accommodation, which may include alternate formats, interpreters, and other auxiliary aids and services. Please make requests at least two business days in advance. To make a request, please contact the City Council Office at council.comments@slcgov.com, (801) 535-7600, or relay service 711. This page has intentionally been left blank 5. ORIGINAL PETITION To: Mayor Erin Mendenhall Cc: Rachel Otto, Chief of Staff; Jill Love, Chief Administrative Officer Tammy Hunsaker, Department of Community and Neighborhoods Director; Michaela Oktay, Deputy Planning Director. From: Nick Norris, Planning Director Date: November 12, 2024 Re: Initiation of a zoning text amendment to clarify zoning ordinance section 21A.02.050 Applicability and 21A.33 Land Use Tables. The Planning Division is requesting that you initiate a zoning text amendment to clarify zoning code section 21A.02.050 Applicability and the associated land use tables related to utility uses, buildings, and structures. Currently, 21A.02.050 exempts utility installations that include wires, cables, conduits, vaults, pipes, mains, valves or other similar items and equipment that are necessary to distribute water, electricity, communication, sewer, and stormwater when owned, operated, and/or maintained by a government entity or public utility. The land use tables found in 21A.33 include a footnote that references section 21A.02.050, but the footnote is listed for all utility buildings and uses as well. This has created some discrepancy in whether all utility structures are also exempt despite not being listed in 21A.02.050. The intent of this amendment is to clarify that the longstanding practice of the city to exempt the necessary equipment (as listed in 21A.01.050 and updated as needed), including fencing needed to secure some equipment, from zoning regulations but that utility uses (such as water treatment plants, electricity generating plants, etc.) are not exempt and must comply with the applicable zoning regulations. This will not impact cell antennae or structures. The public process will include a minimum 45-day public input period before the Planning Commission holds a public hearing. All registered recognized organizations will be notified of the proposal. This memo includes a signature block to initiate the petition if that is the decided course of action. If the decided course of action is to not initiate the application, the signature block can remain blank. Please notify the Planning Division when the memo is signed or if the decision is made to not initiate the petition. Please contact me at 801-535-6173 or nick.norris@slcgov.com if you have any questions. Thank you. Concurrence to initiate the zoning text amendment petition as noted above. 11/12/2024 Erin Mendenhall, Mayor Date SALT LAKE CITY CORPORATION 451 SOUTH STATE STREET, ROOM 406 WWW.SLC.GOV PO BOX 145480 SALT LAKE CITY, UT 84114-5480 TEL 801-535-7757 FAX 801-535-6174 PLANNING DIVISION DEPARTMENT of COMMUNITY and NEIGHBORHOODS Created: By: Status: 2024-11-12 Michaela Oktay (michaela.oktay@slc.gov) Clarifying utility related uses and structures that are exempt from zoning regulations (002) Final Audit Report 2024-11-13 "Clarifying utility related uses and structures that are exempt fro m zoning regulations (002)" History Document created by Michaela Oktay (michaela.oktay@slc.gov) 2024-11-12 - 8:54:32 PM GMT Document emailed to Erin Mendenhall (erin.mendenhall@slc.gov) for signature 2024-11-12 - 8:54:58 PM GMT Email viewed by Erin Mendenhall (erin.mendenhall@slc.gov) 2024-11-13 - 1:29:03 AM GMT Document e-signed by Erin Mendenhall (erin.mendenhall@slc.gov) Signature Date: 2024-11-13 - 1:32:23 AM GMT - Time Source: server Agreement completed. 2024-11-13 - 1:32:23 AM GMT This page has intentionally been left blank 6. PUBLIC COMMENT RECEIVED AFTER THE PLANNING COMMISSION STAFF REPORT WAS PUBLISHED Disclaimer: The Planning Division strives to give the best customer service possible and to respond to questions as accurately as possible based upon the information provided. However, answers given at the counter and/or prior to application are not binding and they are not a substitute for formal Final Action, which may only occur in response to a complete application to the Planning Division. Those relying on verbal input or preliminary written feedback do so at their own risk and do not vest any property with development rights.   This page has intentionally been left blank Item E1 CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 MOTION SHEET CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM: Austin Kimmel Public Policy Analyst DATE:September 2, 2025 RE: RESOLUTION: PUBLIC UTILITIES BOND ANTICIPATION NOTES, SERIES 2025B, AND REVENUE REFUNDING BONDS, SERIES 2025C MOTION 1 – ADOPT ORDINANCE I move that the Council adopt the Salt Lake City Public Utilities Bond Anticipation Notes, Series 2025B and Revenue Refunding Bonds, Series 2025C parameters resolution, and refer to the consent agenda for setting the date for a public hearing on the bond issuance for October 7, 2025. MOTION 2 – NOT ADOPT I move that the Council not adopt the resolution, and proceed to the next agenda item. CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 COUNCIL STAFF REPORT CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM: Austin Kimmel DATE:September 2, 2025 RE: RESOLUTION: PUBLIC UTILITIES BOND ANTICIPATION NOTES, SERIES 2025B, AND REVENUE REFUNDING BONDS, SERIES 2025C ISSUE AT-A-GLANCE Goal of the briefing: to learn about a parameters resolution that would authorize the Department of Public Utilities to proceed with the issuance and sale of up to $50,000,000 principal amount of Bond Anticipation Note (BAN) and up to $50,000,000 principal amount of Public Utilities Revenue Refunding Bonds, Series 2025 C. Item Schedule: Page | 2 POLICY QUESTIONS 1.Debt Financing Strategy: The Council may wish to ask the department to provide a detailed overview of its long-term capital financing plan, including how these two $50 million issuances fit within the department's overall debt management strategy. 2.Revenue Refunding Bond Sizing: The Council may wish to ask the department how it determined $50 million be used for the Revenue Refunding Bond, and reasons a larger amount was ultimately not chosen given favorable market conditions. 3.Workforce and Transition Planning: The Council may wish to ask the department if it anticipates needing additional staff to support its new campus development, manage the transition between facilities, and to guarantee the continuity of services during any relocation period. 4.Campus Consolidation: The Council may wish to ask how the new campus will improve operational efficiency and if any long-term operational savings or other benefits are anticipated from consolidating campuses. 5.Communication Strategy: The Council may wish to ask about the Department’s communications strategy for its eventual move to the new location, as well as how it plans to communicate that recent utility rate increases are not being used for property acquisition. The FY26 Council-adopted budget anticipated debt issuance for water, sewer, and stormwater. The Bond Anticipation Notes will require a budget amendment for proceeds up to $50 million and a corresponding increase in the department’s capital budget. The Revenue Refunding Bonds are anticipated to be reviewed as part of the Administration’s FY26 Budget Amendment No. 2. Aside from the funds proposed by this bond, Public Utilities has $1,090,275,000 (including a $348,635,000 WIFIA Loan) in outstanding bonds, which are secured by department revenues. Public Utilities has ratings from two bond rating agencies: AAA from Standard & Poor’s and AA1 from Moody’s rating protocol. Note: the BAN will not require a rating as the department is anticipating a private placement for this transaction. Bond Anticipation Notes (BANs): Purpose: to acquire a property for a new campus for the Department of Public Utilities. Amount: up to $50,000,000. If held until maturity, the total principal and interest cost is $58,472,222. Terms: maximum interest rate of 6% per annum with a price not less than 98% of the total principal amount and mature in not more than 10 years. Expected repayment: three to four years from property sales and other funding sources Page | 3 BANs typically carry higher interest rates than longer-term financing tools and are considered to carry higher credit risk if a municipality cannot secure the anticipated long-term bonds it expected. Revenue Refunding Bonds: Purpose: to refinance a portion of the department’s outstanding costs of the Public Utilities Revenue and Refunding Bonds, Series 2017. Amount: up to $50 million. If held until maturity, the total principal and interest cost is $58,848,815. Terms: maximum interest rate of 6% per annum with a price not less than 98% of the total principal amount and mature in not more than 15 years. Maintains the same 2037 final maturity date as the original 2017 bonds. Expected savings: approximately $4.5 million in net present value (NPV). BACKGROUND A. Bond Anticipation Notes (BANs) - $50 million The BAN would provide financing for a property acquisition of a new campus for the operation of the Department of Public Utilities, and would pay for interior and exterior building improvements necessary before Public Utilities can occupy the facility. The future campus is located near Salt Lake City International Airport and is intended to house the department's four divisions in one consolidated location where employees and vehicles can operate from a single campus. The purchase of real property is an administrative decision and the matter before the Council is specific to the financing of the property. The BAN would provide the department with short-term financing (estimated at approx. 3-4 years) while it awaits the proceeds from the sale of existing properties, which will eventually be used to pay down the BAN. The BAN is anticipated to cover. The proposed BAN financing provides Public Utilities with the necessary funds for the property purchase without the need to raise customer utility rates. Revenues received through recent utility rate increases will not be used for the purchase of the property or to pay for the BAN. Utah Code Title 11, Chapter 14, Part 3, Section 311 (Attachment C) regulates a municipality’s use of BANs. B. Revenue Refunding Bonds - $50 million The Revenue Refunding Bonds represent a separate transaction of $50,000,000 to refinance the departments’ outstanding Public Utilities Revenue and Refunding Bond, Series 2017. The refunding bond is paid from utility revenues, as is the case with the original 2017 bonds. The refunding bonds will also maintain the same final maturity date of 2037 as the original 2017 bonds. Public Utilities reports that based on current market conditions, the refunding is anticipated to generate approximately $4.5 million in net present value (NPV) savings. A Revenue Refunding Bond is essentially a municipal refinancing, when a city issues new bonds to pay off older, existing bonds early – similar to refinancing a mortgage. Page | 5 Utah code Title 11, Chapter 21, Utah Refunding Bond Act (Attachment D), regulates the use of Revenue Refunding Bonds. TIMELINE The Administrative transmittal contemplates the following timelines for the Bond Anticipation Notes and the Revenue Refunding Bonds. A complete, detailed calendars can be found on pages 201 (BAN) and 204 (Revenue Refunding Bonds) of the administration’s transmittal. Bond Anticipation Notes (BAN)Revenue Refunding Bonds Briefing to the Council: Sept. 2, 2025 Council Action: Sept. 2, 2025 Beginning of 30-day Contest Period: Sept. 7, 2025 End of 30-day Contest Period: Oct. 8, 2025 Bond Closing: Oct. 28, 2025 Briefing to the Council: Sept. 2, 2025 Council Action: Sept. 2, 2025 Beginning of 30-day Contest Period: Sept. 7, 2025 End of 30-day Contest Period: Oct. 8, 2025 Bond Closing: Nov. 27, 2025 ADDITIONAL & BACKGROUND INFORMATION A.Adopted Rates and Debt Service: As part of the City's annual budget, an updated water, sewer, and stormwater rate structure and design was adopted and went into effect July 1, 2025, the beginning of the 2025-26 Fiscal Year (FY26). The department's future anticipated revenue bonds, including this proposed series of Revenue Refunding Bonds, were factored into the comprehensive rate study which informed the new rates to ensure target revenues are adequate to cover all planned debt service payments. The table below shows the expected outstanding debt as of the projected closing dates of the 2025 series bonds: Water and Sewer Revenue Bonds Amount of Original Issue Final Maturity Date Principal Outstanding Series 2009 (Federally Taxable) $6,300,000 2/1/2031 $1,890,000 Series 2010 Revenue Bonds $12,000,000 2/1/2031 $4,135,000 Series 2011 Revenue Bonds $8,000,000 2/1/2027 $1,150,000 Series 2012 Improvement and Refunding Bonds $28,565,000 2/1/2027 $1,170,000 Series 2017 Improvement and Refunding Bonds $72,185,000 2/1/2037 $51,255,000 Series 2020 Improvement Bonds $157,390,000 2/1/2050 $154,215,000 Series 2020B Improvement Bonds (WIFIA loan) $348,635,000 8/1/2058 $165,664,361 Page | 6 Series 2022A Improvement Bonds $329,025,000 2/1/2052 $323,195,000 Series 2024A Improvement Bonds $39,525,000 2/1/2064 $20,175,000 Series 2025 Improvement Bonds $180,315,000 2/1/2052 $184,455,000 Total $907,304,361 B.Long-Term Financing Strategy: The Department of Public Utilities uses revenue bonds as a planned financing mechanism for its largest, multi-year infrastructure projects. A significant portion of those projects are necessitated by regulatory requirements from state and federal governments. The current proposed bond issuance is part of the department’s broader, long-term financing strategy. The department’s continued bonding strategy is essential for the rehabilitation and replacement of aging infrastructure, as the scope and scale of these projects cannot be sufficiently funded through revenue through rate increases alone. Revenue bonds allow the department to feasibly finance significant costs of major infrastructure improvement projects across multiple years while maintaining reasonable utility rates for its customers. Figure 1 - Public Utilities proposed debt service schedule and Metropolitan Water Assessment, from page 90 of the department's FY26 Budget Book, Attachment B ACRONYMS BAN - Bond Anticipation Note: Short-term municipal financing in anticipation of future long-term bond issuance NPV - Net Present Value: The current value of future cash flows, accounting for the time value of money Page | 7 FY - Fiscal Year: Salt Lake City's fiscal year runs from July 1 to June 30 WIFIA - Water Infrastructure Finance and Innovation Act: Federal loan program for water infrastructure projects ATTACHMENTS A.Administrative Transmittal B.Public Utilities Fiscal Year 2025-2026 Budget C.Utah State Code 11-14-311 D.Utah State Code 11-27 SALT LAKE CITY TRANSMITTAL To:  Salt Lake City Council Chair Submission Date: 08/12/2025 Date Sent to Council: 08/14/2025 From: Department * Public Utilities Employee Name: Tarufelli, Lisa E-mail lisa.tarufelli@slc.gov Department Director Signature Director Signed Date 08/13/2025 Chief Administrator Officer's Signature Chief Administrator Officer's Signed Date 08/13/2025 Subject: Salt Lake City Public Utilities Bond Anticipation Notes, Series 2025B; Salt Lake City Public Utilities Revenue Refunding Bonds, Series 2025C Additional Staff Contact: Laura Briefer, Directorlaura.briefer@ slc.gov Presenters/Staff Table Laura Briefer, Directorlaura.briefer@slc.govLisa M. Tarufelli, Finance Administratorlisa.tarufelli@slc.gov Document Type Resolution Budget Impact? Yes No Budget Impact: $50,000,000 Recommendation: Adopt bond parameters resolution. Additional recommendation information is attached. Background/Discussion See first attachment for Background/Discussion Will there need to be a public hearing for this item?* Yes No Public Process Post adoption publication of notice of obligations to be issued is required which begins the 30 day contest period. This page has intentionally been left blank ERIN MENDENHALL Ma or    LAURA BRIEFER, DIRECTOR De artment o Public Utilities   CITY COUNCIL TRANSMITTAL TO: Salt Lake City Council DATE: August 12, 2025 Chris Wharton, Chair FROM: Laura Briefer, Public Utilities Director SUBJECT: Salt Lake City Public Utilities Bond Anticipation Notes, Series 2025B Salt Lake City Public Utilities Revenue Refunding Bonds, Series 2025C STAFF CONTACT: Lisa M. Tarufelli, Finance Administrator, 801-483-6755 lisa.tarufelli@slc.gov Laura Briefer, Director, 801-483-6741 laura.briefer@slc.gov DOCUMENT TYPE: Briefing/Discussion RECOMMENDATION: That the City Council consider adopting a Bond Parameters Resolution for the issuance and sale of up to $50,000,000 principal amount of Salt Lake City Public Utilities Bond Anticipation Notes and up to $50,000,000 principal amount of Public Utilities Revenue Refunding Bonds Series 2025C. This includes as a recommendation to 1) hold a discussion on September 2, 2025 in anticipation of adopting a Bond Parameters Resolution for the aforementioned bond issue; and 2) adopt a Bond Parameters Resolution on September 2, 2025 approving the issuance and sale of up to $50,000,000 principal amount of Salt Lake City Public Utilities Revenue Bonds Series 2025B and up to $50,000,000 Public Utilities Revenue Refunding Bonds Series 2025C and give authority to certain officers to approve the final terms and provisions of and confirm the sale of the Bonds within certain parameters set forth in the attached Bond Parameters Resolution. BUDGET IMPACT: The FY26 budget anticipated debt issuances for water, sewer and stormwater. Proceeds, cost of issuance and interest were included in the budget presentation. The bond anticipation notes will require a budget amendment for proceeds of up to $50,000,000 and a corresponding increase in the capital budget. The refunding bond will be reviewed and the transactions will be included in budget amendment #2. BACKGROUND/DISCUSSION: In accordance with provisions of the Local Government Bonding Act, the City is required to publish a notice of obligations to be issued for the 30-day contest period. The financing team is requesting that the City Council approve the Bond Parameters Resolution on September 2, 2025 The Bond Parameters Resolution for the above referenced bond issue contemplates the issuance of 1) Notes of up to $50,000,000 bearing interest at a rate not to exceed 6% per annum with a price not less than 98% of the total principal amount and mature in not more than 10 years: and 2) Bonds of up to $50,000,000 bearing interest at a rate not to exceed 6% per annum with a price not less than 98% of the total principal amount and a bond period not to exceed 15 years. The Notes will finance the acquisition, construction, remodeling, and improvement of a campus for Salt Lake City Department of Public Utilities and paying the costs of issuance of the Notes. The Bonds will be issued for the purpose of refunding in advance of their maturity all or a portion of the currently outstanding Public Utilities Revenue and Refunding Bonds, Series 2017 and paying the costs of issuance of the Bonds. Draft copies of the Bond Parameters Resolution, Fourteenth Supplemental Trust Indenture, Bond Purchase Contract, Preliminary Official Statement, and preliminary calendars of events are included for your review. These documents are subject to change. Attachments: Bond Parameters Resolution Fourteenth Supplemental Trust Indenture Bond Purchase Contract Preliminary Official Statement Preliminary Calendar of Events (2) cc: Lisa Tarufelli, Sara Montoya, Carly Castle, Mark Kittrell, Marina Scott This page has intentionally been left blank Draft 8/12/25 SLC PU BAN Supplemental Indenture v2.docx 10000134/RDB/mo __________ SUPPLEMENTAL TRUST INDENTURE BETWEEN SALT LAKE CITY, UTAH AND U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, AS TRUSTEE DATED AS OF __________ 1, 202_ $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________ SERIES 202_ - i - __________ Supplemental Indenture TABLE OF CONTENTS SECTION PAGE ARTICLE I DEFINITIONS .................................................................................................2  Section 1.1 Definitions..............................................................................................2  Section 1.2. Authority for __________ Supplemental Indenture ..............................5  ARTICLE II AUTHORIZATION, TERMS AND ISSUANCE OF SERIES 202_ [BONDS][NOTES] 5  Section 2.1 Authorization of Bonds, Principal Amount, Designation and Series ....5  Section 2.2 Finding and Purpose ..............................................................................5  Section 2.3 Issue Date ...............................................................................................5  Section 2.4 Series 202_ [Bonds][Notes] ...................................................................5  Section 2.5 Registered Bonds; Denomination and Numbers ....................................6  Section 2.6 Paying Agent ..........................................................................................6  Section 2.7 Optional Redemption; Redemption Price ..............................................7  Section 2.8 Mandatory Sinking Fund Redemption ...................................................7  Section 2.9 Execution of Series 202_ [Bonds][Notes] .............................................8  Section 2.10 Delivery of Series 202_ [Bonds][Notes] ................................................8  Section 2.11 Book-Entry System ................................................................................8  ARTICLE III APPLICATION OF SERIES 202_ BOND PROCEEDS AND OTHER MONEYS; ESTABLISHMENT AND OPERATION OF ACCOUNTS AND SUBACCOUNTS .......10  Section 3.1 Interest During Construction ................................................................10  Section 3.2 Debt Service Reserve Account ............................................................11  Section 3.3 Renewal and Replacement Fund ..........................................................11  Section 3.4 Establishment of Series 202_ Project Account ....................................11  Section 3.5 Establishment of Series 202_ Bond Service Subaccount ....................11  Section 3.6 No Series 202_ Debt Service Reserve Subaccount ..............................11  Section 3.7 Application of Proceeds of Series 202_ [Bonds][Notes] and Certain Other Moneys.......................................................................................11  ARTICLE IV FORM OF SERIES 202_ [BONDS][NOTES] ....................................................12  ARTICLE V MISCELLANEOUS ........................................................................................20  Section 5.1 Arbitrage Covenant; Covenant to Maintain Tax-Exemption ...............20  Section 5.2 System of Registration .........................................................................21  Section 5.3 Article and Section Headings ...............................................................21  Section 5.4 Partial Invalidity...................................................................................21  Section 5.5 Counterparts .........................................................................................21  Section 5.6 Electronic Signatures ...........................................................................21  Section 5.7 Effective Date ......................................................................................22  Section 5.8 Confirmation of Master Indenture .......................................................22  SECTION PAGE - ii - __________ Supplemental Indenture Section 5.9 Representation Regarding Ethical Standards for City Officers and Employees and Former City Officers and Employees .........................22  __________ Supplemental Indenture __________ SUPPLEMENTAL TRUST INDENTURE THIS __________ SUPPLEMENTAL TRUST INDENTURE (the “__________ Supplemental Indenture”), dated as of __________ 1, 202_, between Salt Lake City, Utah, a municipal corporation and political subdivision of the State of Utah (the “City” or “Issuer”), and U.S. Bank Trust Company, National Association, as successor in interest to U.S. Bank National Association, a national banking association duly organized and qualified under the laws of the United States of America, authorized by law to accept and execute trusts and having an office in Salt Lake City, Utah (the “Trustee”): W I T N E S S E T H WHEREAS, the City has entered into a Master Trust Indenture, dated as of January 1, 2004, as amended and supplemented to the date hereof (the “Master Indenture” and, together with the __________ Supplemental Indenture, the “Indenture”), with the Trustee; WHEREAS, the City considers it necessary and desirable and for the benefit of the City and the users of the System to issue revenue [bonds][notes] pursuant to the Indenture and as hereinafter provided for the purpose of [(i) financing the acquisition, construction, remodeling and improvement of a campus for the Salt Lake City Department of Public Utilities and (ii) pay costs of issuance of the Notes,][(i) refunding in advance of their maturity all or a portion of the City’s currently outstanding Public Utilities Revenue and Refunding Bonds, Series 2017] pursuant to authority contained in the [Local Government Bonding Act, Chapter 14 of Title 11, Utah Code Annotated 1953, as amended][Utah Refunding Bond Act, Chapter 27 of Title 11, Utah Code Annotated 1953, as amended]; WHEREAS, the Series 202_ [Bonds][Notes] will be authorized, issued and secured under the Indenture on a parity with all other Bonds issued and outstanding from time to time thereunder; WHEREAS, the execution and delivery of the Series 202_ [Bonds][Notes] and of this __________ Supplemental Indenture have in all respects been duly authorized and all things necessary to make the Series 202_ [Bonds][Notes], when executed by the City and authenticated by the Trustee, the valid and binding legal obligations of the City and to make this __________ Supplemental Indenture a valid and binding agreement have been done; NOW, THEREFORE, THIS __________ SUPPLEMENTAL INDENTURE WITNESSETH: For and in consideration of the mutual covenants herein contained and of the purchase of the Series 202_ [Bonds][Notes] by the Bondholders thereof from time to time, and of the acceptance by the Trustee of the trusts hereby created, and intending to be legally bound hereby, the City has executed and delivered this __________ Supplemental Indenture, and by these presents does confirm the pledge provided for in the Master Indenture and to further secure the payment of the Series 202_ [Bonds][Notes] and all other Bonds now or hereafter Outstanding under the Indenture does hereby sell, assign, transfer, set over and pledge unto U.S. Bank Trust Company, National Association, as Trustee, its successors and trusts and its assigns forever, all right, title and interest of the City in and to (a) the proceeds of the sale of the Series 202_ - 2 - __________ Supplemental Indenture [Bonds][Notes], (b) the Revenues, (c) all moneys held by Trustee in funds and accounts established hereunder, including the investments, if any, thereof (except for any Rebate Fund), and (d) all other rights hereinafter granted for the future securing of such Series 202_ [Bonds][Notes] subject to the permitted applications thereof as provided in the Master Indenture. TO HAVE AND TO HOLD THE SAME unto the Trustee and its successors and its assigns in trust forever; IN TRUST, NEVERTHELESS, FIRST, for the equal and ratable benefit and security of all present and future Bondholders and Security Instrument Issuers without preference, priority, or distinction as to security or otherwise (except as otherwise specifically provided), of any of the Bonds or Security Instrument Repayment Obligations over any of the others by reason of time of issuance, sale, delivery, maturity or expiration thereof or otherwise for any cause whatsoever; and SECOND, for the equal and proportionate benefit, security and protection of all Reserve Instrument Issuers without preference, priority, or distinction as to lien or otherwise (except as otherwise specifically provided) of any Reserve Instrument Provider over any other Reserve Instrument Provider by reason of time of issuance, delivery or expiration thereof or otherwise for any cause whatsoever. ARTICLE I DEFINITIONS Section 1.1 Definitions.. (a) Except as provided in subparagraph (b) of this Section and as the same may be amended hereby, all defined terms contained in the Master Indenture when used in this __________ Supplemental Indenture shall have the same meanings as set forth in the Master Indenture. (b) As used in this __________ Supplemental Indenture, unless the context shall otherwise require, the following terms shall have the following meanings: [“Cede” means Cede & Co., the nominee of DTC, and any successor nominee of DTC with respect to the Series 202_ [Bonds][Notes] pursuant to Section 2.11 hereof.] “Code” means the Internal Revenue Code of 1986, as amended. [“Continuing Disclosure Undertaking” means the Continuing Disclosure Undertaking of the City entered into to satisfy the City’s obligations pursuant to Rule 15c2-12(b)(5) adopted by the United States Securities and Exchange Commission under the Securities Exchange Act of 1934 with respect to the Series 202_ [Bonds][Notes].] [“DTC” means The Depository Trust Company, New York, New York, and its successors and assigns.] [“Escrow Account” means that certain Escrow Account relating to the Refunded Bonds established pursuant to the Escrow Agreement.] - 3 - __________ Supplemental Indenture [“Escrow Agent” means U.S. Bank National Association, as escrow agent under the Escrow Agreement.] [“Escrow Agreement” means that certain Escrow Agreement, dated as of __________, 202_, between the City and the Escrow Agent, relating to the escrow of amounts sufficient to provide for the defeasance and refunding of the Refunded Bonds.] “Indenture” means the Master Indenture as amended and supplemented by this __________ Supplemental Indenture and as from time to time hereafter amended and supplemented by Supplemental Indentures. [“Letter of Representations” means the Blanket Issuer Letter of Representations, dated October 16, 2019, between the City and DTC, relating to a book-entry system for the Bonds and other obligations of the City.] “Master Indenture” means the Master Trust Indenture, dated as of January 1, 2004, as heretofore amended and supplemented, between the City and the Trustee, providing for the issuance of public utilities revenue bonds. “Outstanding Bonds” means, as of the date of execution and delivery of the Series 202_ [Bonds][Notes], the City’s (i) Taxable Water and Sewer Bonds, Series 2009, (ii) Water and Sewer Revenue Bonds, Series 2010, (iii) Water and Sewer Revenue Bonds, Series 2011, (iv) Water and Sewer Improvement and Refunding Revenue Bonds, Series 2012, (v) Public Utilities Revenue and Refunding Bonds, Series 2017, (vi) Public Utilities Revenue Bonds, Series 2020, (vii) Public Utilities Revenue Bond (WIFIA Loan), Series 2020B, (viii) Public Utilities Revenue Bonds, Series 2022, (ix) Public Utilities Revenue Bonds, Series 2024A and (x) Public Utilities Revenue Bonds, Series 2025. [“Participant” means those broker-dealers, banks and other financial institutions from time to time for which DTC holds Bonds as securities depository.] [“Purchase Contract” means the Bond Purchase Contract, dated __________, 202_, between the City and the Underwriters, pursuant to which the Series 202_ [Bonds][Notes] are to be sold by the City.] “Record Date” means the fifteenth day of the month next preceding any interest payment date. [“Refunded Bonds” means that portion of the City’s currently outstanding Series 2017 Bonds, in the aggregate principal amount of $__________ and maturing on February 1 of each of the years, in the principal amounts and bearing interest at the rates per annum, as follows: - 4 - __________ Supplemental Indenture SCHEDULED MATURITY (FEBRUARY 1) PRINCIPAL AMOUNT INTEREST RATE TOTAL: “Regulations” means the Treasury Regulations issued or proposed under Sections 103, 148 or 149 of the Code (26 CFR Part 2) or other Sections of the Code relating to “arbitrage bonds” or rebate, including without limitation Sections 1.103-13, 1.103-14, 1.103-15 and 1.103-15AT, and includes amendments thereto or successor provisions. “Renewal and Replacement Fund Reserve Requirement” means an amount equal to $-0-. [“Series 2017 Bonds” means the City’s Public Utilities Revenue and Refunding Bonds, Series 2017, originally issued in the aggregate principal amount of $72,185,000.] [“Series 2017 Bond Service Subaccount” means the Series Subaccount in the Bond Service Account established under the Indenture for the Series 2017 Bonds]. “Series 202_ [Bonds][Notes]” means the City’s Public Utilities Revenue __________, Series 202_, issued pursuant to this __________ Supplemental Indenture. “Series 202_ Bond Service Subaccount” means the Series Subaccount in the Bond Service Account established in Section 3.5. [“Series 202_ Cost of Issuance Fund” means the Series 202_ Cost of Issuance Fund established in Section 3.1 hereof.] “Series 202_ Debt Service Reserve Requirement” means an amount equal to $-0-. [“Series 202_ Project” means the acquisition, construction, remodeling and improvement of a campus for the Salt Lake City Department of Public Utilities.] “Series 202_ Project Account” means the Project Account in the Construction Fund established in Section 3.4. - 5 - __________ Supplemental Indenture “__________ Supplemental Indenture” means this __________ Supplemental Trust Indenture, dated as of __________ 1, 202_, between the City and the Trustee. [“Underwriters” means, collectively, __________ and __________, as the underwriters of the Series 202_ [Bonds][Notes] pursuant to the Purchase Contract.] The terms “hereby,” “hereof,” “hereto,” “herein,” “hereunder,” and any similar terms as used in this __________ Supplemental Indenture, refer to this __________ Supplemental Indenture. Section 1.2 Authority for __________ Supplemental Indenture. This __________ Supplemental Indenture is executed pursuant to the provisions of the Act and the Indenture. ARTICLE II AUTHORIZATION, TERMS AND ISSUANCE OF SERIES 202_ [BONDS][NOTES] Section 2.1 Authorization of Bonds, Principal Amount ,Designation and Series. In order to provide sufficient funds, together with other available moneys of the City, if any, for the (a) [financing of a portion of the Cost of Construction of the Series 202_ Project][refunding [and defeasing] in advance of the maturity the Refunded Bonds] and (b) paying all expenses properly incidental thereto and to the issuance of the Series 202_ [Bonds][Notes] and in accordance with and subject to the terms, conditions and limitations established in the Indenture, a Series of the City’s Public Utilities Revenue Bonds is hereby authorized to be issued in the aggregate principal amount of $__________ and designated “Public Utilities Revenue __________, Series 202_.” Section 2.2 Finding and Purpose. The Series 202_ [Bonds][Notes] are hereby authorized to be issued for the purposes sets forth in Section 2.1. Except for the City’s Outstanding Bonds and the Series 202_ [Bonds][Notes] authorized by this __________ Supplemental Indenture, the City has no outstanding bonds, notes or other obligations issued pursuant to the Indenture. Section 2.3 Issue Date. The Series 202_ [Bonds][Notes] shall be dated as of the date of delivery thereof. Section 2.4 Series 202_ [Bonds][Notes]. (a) The Series 202_ [Bonds][Notes] shall mature on the dates and in the principal amounts and shall bear interest from the date of delivery thereof (calculated on the basis of a 360-day year consisting of twelve 30-day months), payable semi-annually thereafter on February 1 and August 1 in each year, beginning __________ 1, 202- at the rates shown below: MATURITY DATE (FEBRUARY 1) PRINCIPAL AMOUNT INTEREST RATE - 6 - __________ Supplemental Indenture (b) Each Series 202_ Bond shall bear interest from the interest payment date next preceding the date of registration and authentication thereof unless it is registered as of an interest payment date, in which event it shall bear interest from the date thereof, or unless it is registered prior to the first interest payment date, in which event it shall bear interest from its date, or unless, as shown by the records of the Trustee, interest on the Series 202_ [Bonds][Notes] shall be in default, in which event it shall bear interest from the date to which interest has been paid in full. (c) Interest on the Series 202_ [Bonds][Notes] will be paid on each Interest Payment Date to the registered owner thereof [(initially DTC)] who is the registered owner at the close of business on the Record Date for such interest, which shall be the fifteenth day of the month next preceding such Interest Payment Date. Any such interest not so punctually paid or duly provided for shall forthwith cease to be payable to the registered owner of any Series 202_ [Bonds][Notes] on such Regular Record Date, and may be paid to the registered owner thereof at the close of business on a Special Record Date for the payment of such defaulted interest to be fixed by the Trustee, notice thereof to be given to such registered owner not less than ten days prior to such Special Record Date. The principal of and premium, if any, on the Series 202_ [Bonds][Notes] are payable upon presentation and surrender thereof at the principal corporate trust office of the Trustee. Interest shall be paid by check or draft mailed on each Interest Payment Date to the registered owner [(initially DTC)] of each of the Series 202_ [Bonds][Notes] as the name and address of such registered owner appear on the record date in the Register. Section 2.5 Registered Bonds; Denomination and Numbers. The Series 202_ [Bonds][Notes] shall be issued solely as fully registered Bonds, without coupons, in the denomination of $[5,000] or any integral multiple thereof; provided that no individual Series 202_ Bond shall represent more than one maturity of Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] shall be numbered from one (1) consecutively upwards with the prefix “R” preceding each number. Section 2.6 Paying Agent. U.S. Bank Trust Company, National Association, of Salt Lake City, Utah, is hereby appointed the Paying Agent for the Series 202_ [Bonds][Notes], pursuant and subject to Section 7.02 of the Master Indenture. Principal of the Series 202_ [Bonds][Notes] when due shall be payable at the principal corporate trust operations office of the Trustee, or of its successor as Paying Agent. Payment of interest on the Series 202_ [Bonds][Notes] shall be made to the registered owner thereof and shall be paid by check or draft mailed on the payment date to the person who is the registered owner of record as of the close of business on the Record Date at his address as it appears on the registration books of the Trustee or at such other address as is furnished in writing by such registered owner to the Trustee prior to the Record Date. In the written acceptance of each Paying Agent referred to in Section 7.02 of the Master Indenture, such - 7 - __________ Supplemental Indenture Paying Agent shall agree to take all action necessary for all representations of the City in the Letter of Representations with respect to the Paying Agent to at all times be complied with. [Section 2.7 Optional Redemption; Redemption Price. (a) The Series 202_ [Bonds][Notes] maturing on or after February 1, 20__ are subject to redemption, in whole or in part, at the election of the City, on any date on or after __________ 1, 20__ (if in part, such Series 202_ [Bonds][Notes] to be redeemed shall be selected from such maturities as shall be determined by the City in its discretion and within each maturity as selected by the Trustee), upon notice as provided in Section 4.03 of the Master Indenture, and at a Redemption Price equal to the principal amount thereof plus accrued interest to the redemption date. (b) With respect to any notice of optional redemption of Series 202_ [Bonds][Notes], unless upon the giving of such notice such Series 202_ [Bonds][Notes] shall be deemed to have been paid within the meaning of Article XI of the Indenture, such notice may state that such redemption shall be conditioned upon the receipt by the Trustee on or prior to the date fixed for such redemption of money sufficient to pay the Redemption Price of and interest on the Series 202_ [Bonds][Notes] to be redeemed, and that if such money shall not have been so received said notice shall be of no force and effect, and the City shall not be required to redeem such Series 202_ [Bonds][Notes] In the event that such notice of redemption contains such a condition and such money is not so received, the redemption shall not be made and the Trustee shall within a reasonable time thereafter give notice, in the manner in which the notice of redemption was given, that such money was not so received and that such redemption was not made. (c) In addition to the notice described in Section 4.03 of the Master Indenture, further notice of any redemption of the Series 202_ [Bonds][Notes] shall be given by the Trustee to the Municipal Securities Rule Making Board’s EMMA website, but no defect in such further notice nor any failure to give all or any portion of such further notice shall in any manner defeat the effectiveness of a call for redemption if notice thereof is given as described in Section 4.03 of the Master Indenture. (d) Upon the payment of the redemption price of the Series 202_ [Bonds][Notes] being redeemed, each check or other transfer of funds issued for such purpose shall bear the CUSIP number identifying, by issue and maturity, the Series 202_ [Bonds][Notes] being redeemed with the proceeds of such check or other transfer.] [Section 2.8 Mandatory Sinking Fund Redemption. (a) The Series 202_ [Bonds][Notes] maturing on February 1, 20__ and bearing interest at the rate of ___% (the “Term [Bond][Note]”) are subject to mandatory redemption from Sinking Fund Installments, by lot in such manner as the Trustee may determine, at a price equal to one hundred percent (100%) of the Principal amount thereof plus accrued interest to the redemption date, on the dates and in the principal amounts as follows: REDEMPTION DATE (FEBRUARY 1) PRINCIPAL AMOUNT - 8 - __________ Supplemental Indenture * ____________________ * Final Maturity (b) Upon redemption of any portion of the Term [Bond][Note], other than by application of such mandatory sinking fund redemption, an amount equal to the principal amount so redeemed will be credited toward a part or all of any one or more of such mandatory sinking fund redemption amounts for the Term [Bond][Note], respectively, in such order of mandatory sinking fund date as shall be directed by the City.] Section 2.9 Execution of Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] shall be executed on behalf of the City by the Mayor by his or her manual or facsimile signature, and attested and countersigned by the City Recorder by his or her manual or facsimile signature, and the City’s seal shall be affixed or a facsimile thereof shall be imprinted upon the Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] shall then be delivered to the Trustee and manually authenticated by it. Section 2.10 Delivery of Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] shall be delivered to the Underwriters, upon compliance with the provisions of Section 3.02 of the Master Indenture, at such time and place as provided in, and subject to, the provisions of the Purchase Contract. [Section 2.11 Book-Entry System. (a) Except as provided in paragraph (b) of this Section 2.11 the Registered Owner of all Series 202_ [Bonds][Notes] shall be, and the Series 202_ [Bonds][Notes] shall be registered in the name of, Cede, as nominee of DTC (together with any substitute securities depository appointed pursuant to paragraph (b)(ii) of this Section 2.11). Payment of the interest on any Series 202_ Bond shall be made in accordance with the provisions of this __________ Supplemental Indenture to the account of Cede on the Interest Payment Dates for the Bonds at the address indicated for Cede in the registration books of the Bond Registrar. (b) The Series 202_ [Bonds][Notes] shall be initially issued in the form of a separate single fully registered Bond in the amount of each separate stated maturity of the Series 202_ [Bonds][Notes]. Upon initial issuance, the ownership of each such Series 202_ Bond shall be registered in the registration books of the Issuer kept by the Bond Registrar, in the name of Cede, as nominee of DTC. With respect to Series 202_ [Bonds][Notes] so registered in the name of Cede, the Issuer, the Bond Registrar and any Paying Agent shall have no responsibility or obligation to any DTC participant or to any beneficial owner of any of such Series 202_ [Bonds][Notes]. Without limiting the immediately preceding sentence, the Issuer, the Bond Registrar and any Paying Agent shall have no responsibility or obligation with respect to (i) the accuracy of the records of DTC, Cede or any DTC participant with respect to any beneficial ownership interest in the Series 202_ [Bonds][Notes], (ii) the delivery to any DTC participant, beneficial owner or other person, other than DTC, of any notice with respect to the Series 202_ [Bonds][Notes], including any notice of redemption, or (iii) the payment to any DTC participant, beneficial owner or other person, other than DTC, of any amount with respect to the principal or - 9 - __________ Supplemental Indenture redemption price of, or interest on, any of the Series 202_ [Bonds][Notes]. The Issuer, the Bond Registrar and any Paying Agent may treat DTC as, and deem DTC to be, absolute owner of each Series 202_ Bond for all purposes whatsoever, including (but not limited to) (1) payment of the principal or redemption price of, and interest on, each Series 202_ Bond, (2) giving notices of redemption and other matters with respect to such Series 202_ [Bonds][Notes] and (3) registering transfers with respect to such Bonds. So long as the Series 202_ [Bonds][Notes] are registered in the name of Cede, the Paying Agent shall pay the principal or redemption price of, and interest on, all Series 202_ [Bonds][Notes] only to or upon the order of DTC, and all such payments shall be valid and effective to satisfy fully and discharge the Issuer’s obligations with respect to such principal or redemption price, and interest, to the extent of the sum or sums so paid. Except as provided in paragraph (b) of this Section 2.11, no person other than DTC shall receive a Series 202_ Bond evidencing the obligation of the Issuer to make payments of principal or redemption price of, and interest on, any such Bond pursuant to this __________ Supplemental Indenture. Upon delivery by DTC to the Bond Registrar of written notice to the effect that DTC has determined to substitute a new nominee in place of Cede, and subject to the transfer provisions of this __________ Supplemental Indenture, the word “Cede” in this __________ Supplemental Indenture shall refer to such new nominee of DTC. Except as provided in paragraph (b)(iii) of this Section 2.11, and notwithstanding any other provisions of this __________ Supplemental Indenture, the Series 202_ [Bonds][Notes] may be transferred, in whole but not in part, only to a nominee of DTC, or by a nominee of DTC to DTC or a nominee of DTC, or by DTC or a nominee of DTC to any successor securities depository or any nominee thereof. (c) (i) DTC may determine to discontinue providing its services with respect to the Series 202_ [Bonds][Notes] at any time by giving written notice to the City, the Trustee, and the Paying Agent, which notice shall certify that DTC has discharged its responsibilities with respect to the Series 202_ [Bonds][Notes] under applicable law. (ii) The City, in its sole discretion and without the consent of any other person, may, by notice to the Trustee, terminate the services of DTC with respect to the Series 202_ [Bonds][Notes] if the City determines that the continuation of the system of book- entry- only transfers through DTC is not in the best interests of the beneficial owners of the Series 202_ [Bonds][Notes] or the City; and the City shall, by notice to the Trustee, terminate the services of DTC with respect to the Series 202_ [Bonds][Notes] upon receipt by the City, the Trustee, and the Paying Agent of written notice from DTC to the effect that DTC has received written notice from DTC participants having interests, as shown in the records of DTC, in an aggregate principal amount of not less than fifty percent (50%) of the aggregate principal amount of the then Outstanding Series 202_ [Bonds][Notes] to the effect that: (1) DTC is unable to discharge its responsibilities with respect to the Series 202_ [Bonds][Notes]; or (2) a continuation of the requirement that all of the Outstanding Series 202_ [Bonds][Notes] be registered in the registration books kept by the Trustee in the name of Cede, as nominee of DTC, is not in the best interests of the beneficial owners of the Series 202_ [Bonds][Notes]. - 10 - __________ Supplemental Indenture (iii) Upon the termination of the services of DTC with respect to the Series 202_ [Bonds][Notes] pursuant to subsection (c)(ii)(2) hereof, or upon the discontinuance or termination of the services of DTC with respect to the Series 202_ [Bonds][Notes] pursuant to subsection (c)(i) or subsection (c)(ii)(1) hereof the City may within 90 days thereafter appoint a substitute securities depository which, in the opinion of the City, is willing and able to undertake the functions of DTC hereunder upon reasonable and customary terms. If no such successor can be found within such period, the Series 202_ [Bonds][Notes] shall no longer be restricted to being registered in the registration books kept by the Trustee in the name of Cede, as nominee of DTC. In such event, the City shall execute and the Trustee shall authenticate Series 202_ Bond certificates as requested by DTC of like principal amount, maturity and Series, in authorized denominations to the identifiable beneficial owners in replacement of such beneficial owners’ beneficial interest in the Series 202_ [Bonds][Notes]. (iv) Notwithstanding any other provision of this __________ Supplemental Indenture to the contrary, so long as any Series 202_ Bond is registered in the name of Cede, as nominee of DTC, all payments with respect to the principal or redemption price of, and interest on, such Series 202_ Bond and all notices with respect to such Series 202_ Bond shall be made and given, respectively, to DTC. (v) In connection with any notice or other communication to be provided to Holders of Series 202_ [Bonds][Notes] registered in the name of Cede pursuant to this __________ Supplemental Indenture by the Issuer or the Bond Registrar with respect to any consent or other action to be taken by such Holders, the Issuer shall establish a record date for such consent or other action by such Holders and give DTC notice of such record date not less than fifteen (15) days in advance of such record date to the extent possible.] ARTICLE III APPLICATION OF SERIES 202_ [BOND][NOTE] PROCEEDS AND OTHER MONEYS; ESTABLISHMENT AND OPERATION OF ACCOUNTS AND SUBACCOUNTS [Section 3.1 Interest During Construction. The amount to be deposited from the proceeds of the Series 202_ [Bonds][Notes] into the Construction Fund to pay interest on the Series 202_ [Bonds][Notes] estimated to fall due during the period of construction of the Series 202_ Project, as set forth in the Written Certificate of the City estimating the cost of construction of the Series 202_ Projects and the estimated date of completion thereof as required by Section 2.03(c)(1) of the Master Indenture is $-0-.] [Section 3.1. Series 202_ Cost of Issuance Fund. (a) There is hereby established a separate fund to be held by the Trustee designated as the “Series 202_ Cost of Issuance Fund.” Moneys in the Series 202_ Cost of Issuance Fund shall, to the extent available, be used for the payment of costs of issuance of the Series 202_ Bonds. Any moneys remaining in the Series 202_ Cost of Issuance Fund on the earlier of (a) __________, 202_, or (b) the date of the full and final payment of all costs of issuance of the Series 202_ Bonds, shall be transferred promptly by the Trustee and - 11 - __________ Supplemental Indenture deposited into the Series 202_ Bond Service Subaccount and applied to the payment of interest on the Series 202_ Bonds due on the next following Interest Payment Date.] Section 3.2 Debt Service Reserve Account. The amount to be deposited from the proceeds of the Series 202_ [Bonds][Notes] into the Debt Service Reserve Account is $-0-. Section 3.3 Renewal and Replacement Fund. The amount to be deposited from the proceeds of the Series 202_ [Bonds][Notes] into the Renewal and Replacement Fund is $-0-. [Section 3.4 Establishment of Series 202_ Project Account. There is hereby established a Project Account in the Construction Fund designated as the “Series 202_ Project Account.” Moneys in the Series 202_ Project Account shall be used for the purposes and as authorized by Section 5.03 of the Master Indenture to pay the Cost of Construction of the Series 202_ Project.] Section 3.5 Establishment of Series 202_ [Bond][Note] Service Subaccount. Pursuant to Section 5.06(a) of the Master Indenture, there is hereby established a separate Series Subaccount in the Bond Service Account in the Principal and Interest Fund designated as the “Series 202_ [Bond][Note] Service Subaccount.” Moneys shall be deposited into and paid from the Series 202_ [Bond][Note] Service Subaccount in accordance with Section 5.06 of the Master Indenture to pay Principal of and interest on the Series 202_ [Bonds][Notes]. Section 3.6 No Series 202_ Debt Service Reserve Subaccount. No Series Subaccount in the Debt Service Reserve Account shall be established for the Series 202_ [Bonds][Notes] and no Debt Service Reserve Requirement is required for the Series 202_ [Bonds][Notes]. Section 3.7 Application of Proceeds of Series 202_ [Bonds][Notes] and Certain Other Moneys. Proceeds of the Series 202_ [Bonds][Notes] in the amount of $__________ (being the principal amount of the Series 202_ [Bonds][Notes] plus $__________ of premium less $__________ of Underwriters’ discount) shall be paid to the Trustee for deposit as follows: [(a) into the Series 202_ Project Account the amount of $__________.] [(a) into the Escrow Account the amount of $__________; and] [(a) into the Series 2017 Bond Service Subaccount the amount of $_________; and] [(b) the balance of the proceeds of the sale of the Series 202_ Bonds shall be deposited into the Series 202_ Cost of Issuance Fund.] [Section 3.8. Transfer of Moneys in the Prior Bond Service Subaccounts. Any moneys remaining in the Bond Service Subaccount for the Refunded Bonds (consisting of moneys set aside to pay debt service on the Series 20__ Bonds) following the redemption of the Series 2017 Bonds shall be transferred to the Series 202_ Bond Service Subaccount and used to pay debt service on the Series 202_ Bonds.] - 12 - __________ Supplemental Indenture [Section 3.9. Redemption of the Refunded Bonds. The Refunded Bonds are hereby irrevocably called for redemption on [February 1, 2026], at the Redemption Price of one hundred percent (100%) of the Principal amount of each such Refunded Bond so called for redemption plus accrued interest thereon to the date fixed for redemption. Notice of such redemption shall be given as provided in the Indenture and in accordance with the provisions of the Escrow Agreement, as applicable.] ARTICLE IV FORM OF SERIES 202_ [BONDS][NOTES] Subject to the provisions of the Indenture, each Series 202_ [Bond][Note] shall be in substantially the following form, with such insertions or variations as to any redemption or amortization provisions and such other insertions or omissions, endorsements and variations as may be required or permitted by the Indenture: - 13 - __________ Supplemental Indenture FORM OF [BOND][NOTE] [Unless this certificate is presented by an authorized representative of The Depository Trust Company (55 Water Street, New York, New York) to the issuer or its agent for registration of transfer, exchange or payment, and any certificate issued is registered in the name of Cede & Co. or such other name as requested by an authorized representative of The Depository Trust Company and any payment is made to Cede & Co., ANY TRANSFER, PLEDGE OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL since the registered owner hereof, Cede & Co., has an interest herein.] _________________________ REGISTERED REGISTERED UNITED STATES OF AMERICA SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________ SERIES 202_ No. R-_____ $________________ INTEREST RATE MATURITY DATE DATED DATE CUSIP _____% February 1, 20__ __________, 202_ 795604 ___ REGISTERED OWNER: __________ PRINCIPAL AMOUNT: ------------------------------------- DOLLARS ----------------------------------------- KNOW ALL MEN BY THESE PRESENTS that Salt Lake City, Utah (the “City”), a duly organized and existing municipal corporation and political subdivision of the State of Utah, located in Salt Lake County, Utah, acknowledges itself indebted and for value received hereby promises to pay, in the manner and from the source hereinafter provided, to the registered owner identified above, or registered assigns, on the maturity date identified above, upon presentation and surrender hereof, the principal amount identified above, and to pay, in the manner and from the source hereinafter provided, the registered owner hereof interest on the balance of said principal amount from time to time remaining unpaid from the interest payment date next preceding the date of registration and authentication of this [Bond][Note], unless this [Bond][Note] is registered and authenticated as of an interest payment date, in which event this [Bond][Note] shall bear interest from such interest payment date, or unless this [Bond][Note] is registered and authenticated prior to the first interest payment date, in which event this [Bond][Note] shall bear interest from the dated date specified above, or unless, as shown by the records of the hereinafter referred to Trustee, interest on the hereinafter referred to Series 202_ [Bonds][Notes] shall be in default, in which event this [Bond][Note] shall bear interest from the date to which interest has been paid in full, at the rate per annum specified above (calculated on the basis of a year of 360 days comprised of - 14 - __________ Supplemental Indenture twelve 30-day months), payable in each year on February 1 and August 1, beginning __________ 1, 202_, until payment in full of such principal amount, except as the provisions hereinafter set forth with respect to redemption prior to maturity may become applicable hereto. This [Bond][Note], as to principal when due, will be payable at the principal corporate trust operations office of U.S. Bank Trust Company, National Association, in St. Paul, Minnesota, as paying agent of the City, or its successor as such paying agent. Payment of the interest hereon shall be made to the registered owner hereof and shall be paid by check or draft mailed to the person who is the registered owner of record as of the close of business on the fifteenth day of the month next preceding each interest payment date (the “Record Date”) at his or her address as it appears on the registration books of the Trustee or at such other address as is furnished in writing by such registered owner to the Trustee prior to the Record Date. Principal and interest are payable in any coin or currency of the United States of America which at the time of payment is legal tender for the payment of public and private debts. The Bonds (defined below) are special limited obligations of the City, payable solely from the Net Revenues, moneys, securities, and funds pledged therefor in the Indenture. Neither the credit nor the taxing power of the City, the State or any agency, instrumentality, or political subdivision thereof is pledged for the payment of the principal of, premium, if any, or interest on the Bonds. The Bonds are not general obligations of the City or the State or any agency, instrumentality, or political subdivision thereof. The issuance of the Bonds shall not directly, indirectly, or contingently obligate the City or the State or any agency, instrumentality, or political subdivision thereof to levy any form of taxation therefor or to make any appropriation for the payment of the Bonds. THE CITY IS OBLIGATED TO PAY PRINCIPAL OF, REDEMPTION PRICE OF, AND INTEREST ON THIS [BOND][NOTE] SOLELY FROM THE REVENUES (AFTER PAYMENT OF OPERATION AND MAINTENANCE COSTS) AND OTHER FUNDS OF THE CITY PLEDGED THEREFOR UNDER THE TERMS OF THE INDENTURE (AS DEFINED BELOW). THIS [BOND][NOTE] IS NOT A DEBT OF THE CITY WITHIN THE MEANING OF ANY CONSTITUTIONAL OR STATUTORY LIMITATIONS OF INDEBTEDNESS OR PROVISIONS THEREFOR. PURSUANT TO THE INDENTURE, SUFFICIENT REVENUES HAVE BEEN PLEDGED AND WILL BE SET ASIDE INTO SPECIAL FUNDS BY THE CITY TO PROVIDE FOR THE PROMPT PAYMENT OF THE PRINCIPAL OF AND INTEREST ON THIS [BOND][NOTE] AND ALL [BONDS][NOTES] OF THE SERIES OF WHICH IT IS A PART. This [Bond][Note] and the issue of [Bonds][Notes] of which it is a part are issued in conformity with and after full compliance with the Constitution of the State of Utah and pursuant to the provisions of the [Local Government Bonding Act, Chapter 14 of Title 11][Utah Refunding Bond Act, Chapter 27 of Title 11], Utah Code Annotated 1953, as amended (the “Act”), and all other laws applicable thereto. This [Bond][Note]is a special obligation of the City and is one of the [public utilities revenue bonds of the City (the “Bonds”)] issued under and by virtue of the Act and under and pursuant to a Master Trust Indenture, dated as of January 1, 2004, and heretofore amended and supplemented (the “Master Indenture”), between the City and U.S. Bank Trust Company, National Association, as trustee (said trustee and any successor thereto under the Master Indenture being herein referred to as the “Trustee”), as further amended and supplemented by an - 15 - __________ Supplemental Indenture __________ Supplemental Trust Indenture, dated as of __________ 1, 202_ (the “__________ Supplemental Indenture”), between the City and the Trustee (such Master Indenture, as amended and supplemented by the __________ Supplemental Indenture and as hereafter amended and supplemented, being herein referred to as the “Indenture”), for the purpose of (a) [financing the acquisition, construction, remodeling and improvement of a campus for the Salt Lake Department of Public Utilities][refunding in advance of their maturity [all][a portion of] the City’s certain outstanding Public Utilities Revenue and Refunding Bonds, Series 2017] and (b) paying of all expenses incident thereto and to the issuance of the Series 202_ [Bonds][Notes] described below. As provided in the Indenture, Bonds may be issued from time to time in one or more series in various principal amounts, may mature at different times, may bear interest at different rates, and may otherwise vary as provided in the Indenture, and the aggregate principal amount of Bonds which may be issued is not limited. All Bonds issued and to be issued under the Indenture are and will be equally and ratably secured by the pledge and covenants made therein, except as otherwise expressly provided or permitted in or pursuant to the Indenture. This [Bond][Note] is one of a Series of Bonds designated as “Public Utilities Revenue __________, Series 202_” (the “Series 202_ [Bonds][Notes]”), limited to the aggregate principal amount of $__________, dated as of the dated date identified above, and duly issued under and by virtue of the Act and under and pursuant to the Indenture and a Resolution of the City Council of the City adopted on _________, 2025. Copies of the Indenture are on file at the office of the City Recorder in Salt Lake City, Utah, and at the principal corporate trust office of the Trustee, in Salt Lake City, Utah, and reference to the Indenture and the Act is made for a description of the pledge and covenants securing the Series 202_ [Bonds][Notes], the nature, manner and extent of enforcement of such pledge and covenants, the terms and conditions upon which the Series 202_ [Bonds][Notes] are issued and additional Bonds may be issued thereunder, and a statement of the rights, duties, immunities and obligations of the City and of the Trustee. Such pledge and other obligations of the City under the Indenture may be discharged at or prior to the maturity or redemption of the Series 202_ [Bonds][Notes] upon the making of provision for the payment thereof on the terms and conditions set forth in the Indenture. Pursuant to the Indenture, the definition of the System is subject to including additional systems of the City by Supplemental Indenture, without the consent of the holders of Outstanding Bonds. To the extent and in the respects permitted by the Indenture, the Indenture may be modified, supplemented or amended by action on behalf of the City taken in the manner and subject to the conditions and exceptions prescribed in the Indenture. The holder or owner of this [Bond][Note] shall have no right to enforce the provisions of the Indenture or to institute action to enforce the pledge or covenants made therein or to take any action with respect to an event of default under the Indenture or to institute, appear in, or defend any suit or other proceeding with respect thereto, except as provided in the Indenture. This [Bond][Note] is transferable, as provided in the Indenture, only upon the books of the City kept for that purpose at the principal corporate trust office of the Trustee, by the registered owner hereof in person or by his attorney duly authorized in writing, upon surrender hereof together with a written instrument of transfer satisfactory to the Trustee, duly executed by the registered owner or such duly authorized attorney, and thereupon the City shall issue in the name - 16 - __________ Supplemental Indenture of the transferee a new registered [Bond][Note] or [Bonds][Notes] of the same aggregate principal amount and series, designation, maturity and interest rate as the surrendered [Bond][Note], all as provided in the Indenture and upon the payment of the charges therein prescribed. The City and the Trustee may treat and consider the person in whose name this [Bond][Note] is registered as the holder and absolute owner hereof for the purpose of receiving payment of, or on account of, the principal hereof and interest due hereon and for all other purposes whatsoever. The Series 202_ [Bonds][Notes] are issuable solely in the form of fully registered [Bonds][Notes], without coupons, in the denomination of $[5,000], or any integral multiple of $[5,000]. The Series 202_ [Bonds][Notes] are subject to redemption prior to maturity at the times, in the amounts and with notice, all as provided in the Indenture. Except as otherwise provided herein and unless the context clearly indicates otherwise, words and phrases used herein shall have the same meanings as such words and phrases in the Indenture. It is hereby certified and recited that all conditions, acts and things required by the Constitution or statutes of the State of Utah or by the Act, or the Indenture to exist, to have happened or to have been performed precedent to or in the issuance of this [Bond][Note] exist, have happened and have been performed and that the issue of [Bonds][Notes], together with all other indebtedness of the City, is within every debt and other limit prescribed by said Constitution and statutes. This [Bond][Note] shall not be valid until the Certificate of Authentication hereon shall have been signed by the Trustee. (Signature page follows.) - 17 - __________ Supplemental Indenture IN WITNESS WHEREOF, SALT LAKE CITY, UTAH, has caused this [Bond][Note] to be signed in its name and on its behalf by the signature of its Mayor (or her designee), and its corporate seal to be impressed or imprinted hereon, and attested and countersigned by the signature of its City Recorder (the signatures of said Mayor and City Recorder being by facsimile or manual signature), all as of the dated date specified above. SALT LAKE CITY, UTAH By ____________________________________ Mayor [SEAL] ATTEST AND COUNTERSIGN: By _________________________________ City Recorder APPROVED AS TO FORM: By ____________________________________ Senior City Attorney - 18 - __________ Supplemental Indenture [FORM OF TRUSTEE’S CERTIFICATE OF AUTHENTICATION] This [Bond][Note] is one of the [Bonds][Notes] described in the within mentioned Indenture and is one of the Public Utilities Revenue __________, Series 202_ of Salt Lake City, Utah. U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee By ____________________________________ Authorized Officer Date of registration and authentication: _______________________. - 19 - __________ Supplemental Indenture [FORM OF ASSIGNMENT] The following abbreviations, when used in the inscription on the face of the within Bond, shall be construed as though they were written out in full according to applicable laws or regulations. TEN COM — as tenants in common TEN ENT — as tenants by the entirety JT TEN — as joint tenants with right of survivorship and not as tenants in common UNIF TRAN MIN ACT— _______ Custodian _______ (Cust) (Minor) under Uniform Transfers to Minors Act of _________________________________ (State) Additional abbreviations may also be used though not in the above list. FOR VALUE RECEIVED the undersigned sells, assigns and transfers unto Insert Social Security or Other Identifying Number of Assignee ______________________________________________________________________________ (Please Print or Typewrite Name and Address of Assignee) the within Bond of SALT LAKE CITY, UTAH, and hereby irrevocably constitutes and appoints _________________________________________________________ attorney to register the transfer of the Bond on the books kept for registration thereof, with full power of substitution in the premises. DATED: ______________________ SIGNATURE: ____________________________ SIGNATURE GUARANTEED: _______________________________ NOTICE: Signature(s) must be guaranteed by an “eligible guarantor institution” meeting the requirements of the Bond Registrar, which requirements include membership or participation in STAMP or such other “signature guarantee program” as may be determined by the Bond Registrar in addition to, or in substitution for, STAMP, all in accordance with the Securities and Exchange Act of 1934, as amended. NOTICE: The signature to this assignment must correspond with the name as it appears upon the face of the within Bond in every particular, without alteration or enlargement or any change whatever. - 20 - __________ Supplemental Indenture ARTICLE V MISCELLANEOUS Section 5.1 Arbitrage Covenant; Covenant to Maintain Tax-Exemption. (a) The City covenants and certifies to and for the benefit of the purchasers and Holders from time to time of the Series 202_ [Bonds][Notes] that no use will be made of the proceeds of the issue and sale of the Series 202_ [Bonds][Notes], or any funds or accounts of the City which may be deemed to be proceeds of the Series 202_ [Bonds][Notes], pursuant to Section 148 of the Code and applicable Regulations proposed or promulgated thereunder, if such use, had it been reasonably expected on the date of issuance of the Series 202_ [Bonds][Notes], would have caused the Series 202_ [Bonds][Notes] to be classified as “arbitrage bonds” within the meaning of Section 148 of the Code. Pursuant to this covenant, the City obligates itself to comply throughout the term of the Series 202_ [Bonds][Notes] with the requirements of Section 148 of the Code and the Regulations proposed or promulgated thereunder. (b) The City further covenants and agrees to and for the benefit of the purchasers and Holders from time to time of the Series 202_ [Bonds][Notes] that the City (i) will not take any action that would cause interest on the Series 202_ [Bonds][Notes] to be or to become ineligible for the exclusion from gross income of the Holders of the Series 202_ [Bonds][Notes] as provided in Section 103 of the Code, (ii) will not omit to take or cause to be taken, in timely manner, any action, which omission would cause interest on the Series 202_ [Bonds][Notes] to be or to become ineligible for the exclusion from gross income of the Holders of the Series 202_ [Bonds][Notes] as provided in Section 103 of the Code and (iii) without limiting the generality of the foregoing, (A) will not take any action which would cause the Series 202_ [Bonds][Notes], or any Series 202_ Bond, to be a “private activity bond” within the meaning of Section 141 of the Code or to fail to meet any applicable requirement of Section 149 of the Code and (B) will not omit to take or cause to be taken, in timely manner, any action, which omission would cause the Series 202_ [Bonds][Notes], or any Series 202_ Bond, to be a “private activity bond” or to fail to meet any applicable requirement of Section 149 of the Code. (c) The City covenants and certifies to and for the benefit of the purchasers and Holders from time to time of the Series 202_ [Bonds][Notes] that: (i) the City will at all times comply with the provisions of any Tax Certificates and the rebate requirements contained in Section 148(f) of the Code, including, without limitation, entering into any necessary rebate calculation agreement to provide for the calculations of amounts required to be rebated to the United States, the keeping of records necessary to enable such calculations to be made and the timely payment to the United States of all amounts, including any applicable penalties and interest, required to be rebated except to the extent that the Series 202_ [Bonds][Notes] are exempt from such arbitrage rebate requirements as provided in the Code; and (ii) no bonds or other evidences of indebtedness of the City have been or will be issued, sold or delivered within a period beginning 15 days prior to the sale of the Series 202_ [Bonds][Notes] and ending 15 days following the date of delivery of and payment for the Series 202_ [Bonds][Notes] pursuant to a common plan of financing with the plan for the issuance of the Series 202_ [Bonds][Notes] and payable out of substantially the same source of revenues. - 21 - __________ Supplemental Indenture (d) The City hereby covenants to adopt, make, execute and enter into (and to take such actions, if any, as may be necessary to enable it to do so) any Indenture or Tax Certificate necessary to comply with any changes in law or regulations in order to preserve the excludability of interest on the Series 202_ [Bonds][Notes] from gross income of the Holders thereof for federal income tax purposes to the extent that it may lawfully do so. The City further covenants to (i) impose such limitations on the investment or use of moneys or investments related to the Series 202_ [Bonds][Notes], (ii) make such payments to the United States Treasury, (iii) maintain such records, (iv) perform such calculations and (v) perform such other acts as may be necessary to preserve the excludability of interest on the Series 202_ [Bonds][Notes] from gross income of the Holders thereof for federal income tax purposes to the extent that the City may lawfully do so. (e) Pursuant to these covenants, the City obligates itself to comply throughout the term of the issue of the Series 202_ [Bonds][Notes] with the requirements of Section 103 of the Code and the Regulations proposed or promulgated thereunder. Section 5.2 System of Registration. The Indenture shall constitute a system of registration within the meaning and for all purposes of the Registered Public Obligations Act, Chapter 7 of Title 15, Utah Code Annotated 1953, as amended. Section 5.3 Article and Section Headings. The headings or titles of the several articles and sections hereof, and any table of contents appended to copies hereof, shall be solely for convenience of reference and shall not affect the meaning, construction or effect of this __________ Supplemental Indenture. Section 5.4 Partial Invalidity. In any one or more of the covenants or agreements, or portions thereof, provided in this __________ Supplemental Indenture to be performed shall be contrary to law (other than the provisions of the Indenture limiting the liability of the City to make payments on the Bonds solely from Revenues and other amounts pledged therefor by the Indenture), 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 __________ Supplemental Indenture or of the Series 202_ [Bonds][Notes]; but the Holders of the Series 202_ [Bonds][Notes] and any other Security Instrument Issuer and any Reserve Instrument Issuer shall retain all the rights and benefits accorded to them under the Act or any other applicable provisions of law. Section 5.5 Counterparts. This __________ Supplemental Indenture may be executed in multiple counterparts, each of which shall be regarded for all purposes as an original; and such counterparts shall constitute but one and the same instrument. Section 5.6 Electronic Signatures. Pursuant to the Uniform Electronic Transactions Act, Title 46, Chapter 4 of the Utah Code Annotated 1953, as amended, all parties, including the Trustee, have agreed and consented to the use of electronic signatures in connection with all documents executed in connection with the Series 202_ [Bonds][Notes], including this __________ Supplemental Indenture. - 22 - __________ Supplemental Indenture Section 5.7 Effective Date. This __________ Supplemental Indenture shall take effect immediately. Section 5.8 Confirmation of Master Indenture. As supplemented and amended by this __________ Supplemental Indenture, and except as provided herein, the Master Indenture is in all respects ratified and confirmed, and the Master Indenture and this __________ Supplemental Indenture shall be read, taken and construed as one and the same instrument so that all of the rights, remedies, terms, conditions, covenants and agreements of the Master Indenture shall apply and remain in full force and effect with respect to this __________ Supplemental Indenture and to any revenues, receipts and moneys to be derived therefrom. Section 5.9 Representation Regarding Ethical Standards for City Officers and Employees and Former City Officers and Employees. The Trustee represents that it has not: (a) provided an illegal gift or payoff to a City officer or employee or former City officer or employee, or his or her relative or business entity; (b) retained any person to solicit or secure this contract upon an agreement or understanding for a commission, percentage, or brokerage or contingent fee, other than bona fide employees or bona fide commercial selling agencies for the purpose of securing business; (c) knowingly breached any of the ethical standards set forth in the City’s conflict of interest ordinance, Chapter 2.44, Salt Lake City Code; or (d) knowingly influenced, and hereby promises that it will not knowingly influence, a City officer or employee or former City officer or employee to breach any of the ethical standards set forth in the City’s conflict of interest ordinance, Chapter 2.44, Salt Lake City Code. S-1 __________ Supplemental Indenture IN WITNESS WHEREOF, the City has caused this __________ Supplemental Indenture to be executed by the Mayor (or her designee) and countersigned by the City Recorder, and its official seal to be hereunto affixed and attested by the City Recorder, and to evidence its acceptance of the trusts hereby created, U.S. Bank Trust Company, National Association has caused this __________ Supplemental Indenture to be executed by its Vice President, all as of the date hereof. SALT LAKE CITY, UTAH By ____________________________________ Mayor [SEAL] ATTEST AND COUNTERSIGN: By _________________________________ City Recorder APPROVED AS TO FORM: By ____________________________________ Senior City Attorney U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee By ____________________________________ Vice President This page has intentionally been left blank Draft 8/12/25 SLC PU BAN Bond Purchase Contract v2.docx 10000134/RDB/mo BOND PURCHASE CONTRACT $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________, SERIES 202_ _________, 202_ Salt Lake City 451 South State Street Salt Lake City, Utah 84111 Ladies and Gentlemen: The undersigned ______________ (the [“Representative”), acting on behalf of and as the representative of itself and ______________ (collectively, the] “Underwriter[s]”), offers to enter into this bond purchase contract (the “Purchase Contract”) with Salt Lake City, Utah (the “City”), which will be binding upon the City and the Underwriter[s] upon the acceptance hereof by the City. This offer is made subject to its acceptance by the City by execution of this Purchase Contract and its delivery to the Underwriter[s] on or before 5:00 p.m., Utah time, on the date hereof. All terms used herein and not otherwise defined shall have the meanings given to such terms in the hereinafter defined Official Statement. Section 1. Purchase and Sale. Upon the terms and conditions and upon the basis of the representations, warranties and agreements hereinafter set forth, the Underwriter[s] hereby agree to purchase, and the City hereby agrees to cause to be delivered to the Underwriter[s], all (but not less than all) of the City’s $__________ aggregate principal amount of Public Utilities Revenue __________, Series 202__ (the “[[Bonds][Notes]”) at a purchase price of $__________ (representing the par amount of the [Bonds][Notes], plus $__________ of net original issue premium and less $__________ of Underwriter[s]’[s] discount). Section 2. Description and Purpose of the [Bonds][Notes]. The [Bonds][Notes] will be dated the date of Closing (as hereinafter defined) and will be executed by the City and will be authenticated and delivered by U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the “Trustee”), pursuant to the Master Trust Indenture dated as of January 1, 2004, as heretofore amended and supplemented (the “Master Trust Indenture”), and as further supplemented by the __________ Supplemental Trust Indenture, dated as of __________, 2025 (the “__________ Supplemental Indenture” and together with the Master Trust Indenture, the “Indenture”), each between the City and the Trustee. The [Bonds][Notes] shall mature on the dates and in the amounts and shall bear interest as set forth on Exhibit A hereto and shall be as more particularly described in the Indenture and the Official Statement dated __________, 202_, relating to the [Bonds][Notes] (which, together with all exhibits and appendices included therein or attached thereto and such amendments or supplements thereto which shall be approved by the [Representative][Underwriter], is hereinafter called the “Official Statement”). - 2 - The [Bonds][Notes] are being executed and delivered to (a) [finance the acquisition, construction, remodeling and improvement of a campus for the Salt Lake City Department of Public Utilities (the “Series 202_ Project”)][refund in advance of their maturity [all][a portion] of the City’s currently outstanding Public Utilities Revenue and Refunding Bonds, Series 2017] and (b) pay costs of issuance of the [Bonds][Notes]. Section 3. Public Offering. The Underwriter[s] agree[s] to make an initial public offering of all the [Bonds][Notes] at the public offering prices (or yields) set forth in the Official Statement. Subsequent to the initial public offering, the Underwriter[s] reserve[s] the right to change the public offering prices (or yields) as [it][they] deem necessary in connection with the marketing of the [Bonds][Notes], provided that the Underwriter[s] shall not change the interest rates set forth on Exhibit A. The [Bonds][Notes] may be offered and sold to certain dealers at prices lower than such initial public offering price or prices set forth in the Official Statement. The Underwriter[s] also reserve[s] the right (i) to engage in transactions that stabilize, maintain or otherwise affect the market price of the [Bonds][Notes] at a level above that which might otherwise prevail in the open market and (ii) to discontinue such transactions, if commenced, at any time. Section 4. Establishment of Issue Price. (a) The [Representative][Underwriter][, on behalf of the Underwriter[s],] agrees to assist the City in establishing the issue price of the [Bonds][Notes] and shall execute and deliver to the City at Closing 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 [Representative][Underwriter], the City and Bond Counsel (as hereinafter defined), to accurately reflect, as applicable, the sales price or prices or the initial offering price or prices to the public of the [Bonds][Notes]. (b) Except for any Hold-the-Price Maturities described in subsection (c) below and Exhibit A attached hereto, the City will treat the first price at which 10% of each maturity of the [Bonds][Notes] (the “10% test”) is sold to the public as the issue price of that maturity (if different interest rates apply within a maturity, each separate CUSIP number within that maturity will be subject to the 10% test). Exhibit A attached hereto sets forth the maturities of the [Bonds][Notes] for which the 10% test has been satisfied as of the date of this Purchase Contract (the “10% Test Maturities”) and the prices at which the Underwriter[s] [has][have] sold such 10% Test Maturities to the public. (c) With respect to any maturities of the [Bonds][Notes] that are not 10% Test Maturities, as described in Exhibit A attached hereto (the “Hold-the-Price Maturities”), the [Representative][Underwriter] confirms that the Underwriter[s] [has][have] offered such maturities of the [Bonds][Notes] to the public on or before the date of this Purchase Contract at the offering price or prices (the “initial offering price”), or at the corresponding yield or yields, set forth in Exhibit A attached hereto. The City and the [Representative][Underwriter][, on behalf of the Underwriter[s],] agree that the (i) the [Representative][Underwriter] shall retain the unsold [Bonds][Notes] of each Hold-the-Price Maturity and shall not allocate any such [Bonds][Notes] to any other underwriter and (ii) the restrictions set forth in the next sentence shall apply to the Hold- - 3 - the-Price Maturities, which will allow the City 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 Hold-the-Price Maturities, the [Representative][Underwriter] will neither offer nor sell unsold [Bonds][Notes] of such maturity of the Hold-the-Price Maturities 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: (i) the close of the fifth (5th) business day after the sale date; or (ii) the date on which the [Representative][Underwriter] has sold at least 10% of that maturity of the Hold-the-Price Maturities to the public at a price that is no higher than the initial offering price to the public. The [Representative][Underwriter] shall advise the City promptly after the close of the fifth (5th) business day after the sale date whether it has sold 10% of that maturity of the Hold-the-Price Maturities to the public at a price that is no higher than the initial offering price to the public. (d) The [Representative][Underwriter] confirms that: (i) any agreement among underwriters, any selling group agreement and each third-party distribution agreement (to which the [Representative][Underwriter] is a party) relating to the initial sale of the [Bonds][Notes] to the public, together with the related pricing wires, contains or will contain language obligating each underwriter, each dealer who is a member of the selling group and each broker-dealer that is a party to such third- party distribution agreement, as applicable: (A) (i) to report the prices at which it sells to the public the unsold [Bonds][Notes] of each maturity allocated to it, whether or not the Closing Date (as hereinafter defined) has occurred, until either all [Bonds][Notes] of that maturity allocated to it have been sold or it is notified by the [Representative][Underwriter] that the 10% test has been satisfied as to the [Bonds][Notes] of that maturity, provided that, the reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the [Representative][Underwriter], and (ii) to comply with the hold-the-offering-price rule, if applicable, if and for so long as directed by the [Representative][Underwriter] and as set forth in the related pricing wires, (B) to promptly notify the [Representative][Underwriter] of any sales of [Bonds][Notes] that, to its knowledge, are made to a purchaser who is a related party to an underwriter participating in the initial sale of the [Bonds][Notes] to the public (each such term being used as defined below), and (C) to acknowledge that, unless otherwise advised by the underwriter, dealer or broker-dealer, the [Representative][Underwriter] shall assume that each - 4 - order submitted by the underwriter, dealer or broker-dealer is a sale to the public; and (ii) any agreement among underwriters or selling group agreement relating to the initial sale of the [Bonds][Notes] to the public, together with the related pricing wires, contains or will contain language obligating each underwriter or dealer that is a party to a third-party distribution agreement to be employed in connection with the initial sale of the [Bonds][Notes] to the public to require each broker-dealer that is a party to such third-party distribution agreement to (A) report the prices at which it sells to the public the unsold [Bonds][Notes] of each maturity allocated to it, whether or not the Closing Date has occurred, until either all [Bonds][Notes] of that maturity allocated to it have been sold or it is notified by the [Representative][Underwriter] or such underwriter or dealer that the 10% test has been satisfied as to the [Bonds][Notes] of that maturity, provided that, the reporting obligation after the Closing Date may be at reasonable periodic intervals or otherwise upon request of the [Representative][Underwriter] or such underwriter or dealer, and (B) comply with the hold-the-offering-price rule, if applicable, if and for so long as directed by the [Representative][Underwriter] or the underwriter or the dealer and as set forth in the related pricing wires. (e) The City acknowledges that, in making the representations set forth in this subsection, the [Representative][Underwriter] will rely on (i) the agreement of each underwriter to comply with the requirements for establishing the issue price of the [Bonds][Notes], including, but not limited to, its agreement to comply with the hold-the-offering-price rule, if applicable to the [Bonds][Notes], as set forth in an agreement among underwriters and the related pricing wires, (ii) in the event a selling group has been created in connection with the initial sale of the [Bonds][Notes] 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 [Bonds][Notes], including, but not limited to, its agreement to comply with the hold-the-offering-price rule, if applicable to the [Bonds][Notes], as set forth in a selling group agreement and the related pricing wires, and (iii) in the event that an underwriter or dealer who is a member of the selling group is a party to a third- party distribution agreement that was employed in connection with the initial sale of the [Bonds][Notes] to the public, the agreement of each broker-dealer that is a party to such agreement to comply with the requirements for establishing the issue price of the [Bonds][Notes], including, but not limited to, its agreement to comply with the hold-the-offering-price rule, if applicable to the [Bonds][Notes], as set forth in the third-party distribution agreement and the related pricing wires. The City further acknowledges that each underwriter shall be solely liable for its failure to comply with its agreement to adhere to the requirements for establishing issue price of the [Bonds][Notes], including, but not limited to, its agreement to comply with the hold-the-offering- price rule, if applicable to the [Bonds][Notes], and that no underwriter shall be liable for the failure of any other underwriter, or of any dealer who is a member of a selling group, or of any broker- dealer that is a party to a third-party distribution agreement, to comply with its corresponding agreement to comply with the requirements for establishing the issue price of the [Bonds][Notes], - 5 - including, but not limited to, its agreement to comply with the hold-the-offering-price rule, if applicable to the [Bonds][Notes]. (f) The Underwriter[s] acknowledge[s] that sales of any [Bonds][Notes] to any person that is a related party to an underwriter participating in the initial sale of the [Bonds][Notes] 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 City (or with the lead underwriter to form an underwriting syndicate) to participate in the initial sale of the [Bonds][Notes] 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 [Bonds][Notes] 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 [Bonds][Notes] to the public), (iii) a purchaser of any of the [Bonds][Notes] 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 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 Contract by all parties. Section 5. Delivery of Official Statement. Pursuant to the authorization of the City, the Underwriter[s] have distributed copies of the Preliminary Official Statement dated __________, 202_, relating to the [Bonds][Notes], which, together with the cover page and appendices thereto, is herein called the “Preliminary Official Statement.” By its acceptance of this proposal, the City hereby approves and ratifies the distribution and use by the Underwriter[s] of the Preliminary Official Statement. The City agrees to execute and deliver a final Official Statement in substantially the same form as the Preliminary Official Statement with such changes as may be made thereto, with the consent of the City and the [Representative][Underwriter], and to provide copies thereof to the Underwriter[s] as set forth in Section 7(n) hereof. The City hereby authorizes the Underwriter[s] to use and distribute, in connection with the offer and sale of the [Bonds][Notes]: the Preliminary Official Statement, the Official Statement, the Indenture, and the Continuing Disclosure Undertaking (as hereinafter defined) and other documents or contracts to which the City is a party in connection with the transactions contemplated by this Purchase Contract, including this Purchase Contract and all information contained herein, and all other - 6 - documents, certificates and statements furnished by the City to the Underwriter[s] in connection with the transactions contemplated by this Purchase Contract. Section 6. The Closing. At _____ a.m., Utah time, on __________, 202_, or at such other time or on such earlier or later business day as shall have been mutually agreed upon by the City and the [Representative][Underwriter] (the “Closing Date”), the City will cause to be executed and delivered (i) the [Bonds][Notes] in book-entry form through the facilities of The Depository Trust Company, or its agent, on behalf of the Underwriter[s], and (ii) the closing documents hereinafter mentioned at the offices of Chapman and Cutler LLP (“Bond Counsel”) in Salt Lake City, Utah, or another place to be mutually agreed upon by the City and the [Representative][Underwriter]. The Underwriter[s] will accept such delivery of the [Bonds][Notes] and pay the purchase price of such [Bonds][Notes] as set forth in Section 1 hereof in immediately available funds to the order of the City. This payment for and delivery of the [Bonds][Notes], together with the execution and delivery of the aforementioned documents, is herein called the “Closing.” Section 7. City Representations, Warranties and Covenants. The City represents, warrants and covenants to the Underwriter[s] that: (a) Due Organization, Existence and Authority. The City is a municipality and a public body corporate and politic duly organized and existing under the laws of the State of Utah (the “State”) with full right, power and authority to execute, deliver and perform its obligations under this Purchase Contract, the Indenture, and the Continuing Disclosure Undertaking (collectively, the “City Documents”) and to carry out and consummate the transactions contemplated by the City Documents and the Official Statement. (b) Due Authorization and Approval. By all necessary official action of the City, the City has duly authorized and approved the execution and delivery of, and the performance by the City of the obligations contained or described in, the Preliminary Official Statement, the Official Statement and the City Documents, and 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 the authorization, execution and delivery by the other parties thereto, each City Document and the [Bonds][Notes] will constitute the legally valid and binding obligation of the City enforceable in accordance with their terms, except as enforcement may be limited by bankruptcy, insolvency, reorganization, moratorium, fraudulent conveyance or similar laws or equitable principles relating to or affecting creditors’ rights generally or by the exercise of judicial discretion in appropriate cases or by limitations on legal remedies against public agencies in the State. (c) Official Statement Accurate and Complete. The Preliminary Official Statement was as of its date, and the Official Statement is as of the date hereof, true and correct in all material respects, and the Preliminary Official Statement and the Official Statement contain no misstatement of any material fact and do not omit any statement necessary to make the statements contained therein, in the light of the circumstances in - 7 - which such statements were made, not misleading (except no representation is made with respect to information relating to DTC and DTC’s book-entry system). (d) Underwriter[s]’[s] Consent to Amendments and Supplements to Official Statement. The City will advise the [Representative][Underwriter] promptly of any proposal to amend or supplement the Official Statement and will not effect or consent to any such amendment or supplement without the consent of the [Representative][Underwriter], which consent will not be unreasonably withheld. The City will advise the [Representative][Underwriter] promptly of the institution of any proceedings known to it by any governmental agency prohibiting or otherwise affecting the use of the Official Statement in connection with the offering, sale or distribution of the [Bonds][Notes]. (e) City Agreement to Amend or Supplement Official Statement. If after the date of this Purchase Contract and until 25 days after the end of the “underwriting period” (as defined in Section 240 15c2-12 in Chapter II of Title 17 of the Code of Federal Regulations (“Rule 15c2-12”)), any event occurs as a result of which the Official Statement as then amended or supplemented would include an untrue statement of a material fact, or omit to state any material fact necessary in order to make the statements contained therein, in the light of the circumstances under which they were made, not misleading, and, in the reasonable opinion of the [Representative][Underwriter], an amended or supplemented Official Statement should be delivered in connection with the offers or sales of the [Bonds][Notes] to reflect such event, the City promptly will prepare at its expense an amendment or supplement which will correct such statement or omission and the City shall promptly furnish to the Underwriter[s] a reasonable number of copies or an electronic version acceptable to the Underwriter[s] of such amendment or supplement. The Underwriter[s] hereby agree to deposit the Official Statement with the Municipal Securities Rulemaking Board (the “MSRB”). The Underwriter[s] acknowledge that the end of the “underwriting period” will be the Closing Date. (f) No Material Change in Finances. Except as otherwise described in the Official Statement, there have not been any material adverse changes in the financial condition of the City since June 30, 202_. (g) No Breach or Default. As of the time of acceptance hereof, (A) the City is not in default, nor has it been in default, as to principal or interest with respect to an obligation issued by the City, and (B) the City is not, in any manner which would materially adversely affect the transactions contemplated by the City Documents, in breach of or in default under any applicable constitutional provision, law or administrative rule or regulation of the State or the United States, or any applicable judgment or decree or any material trust agreement, loan agreement, bond, note, resolution, ordinance, agreement or other instrument to which the City is a party or is otherwise subject, and no event has occurred and is continuing which, with the passage of time or the giving of notice, or both, would constitute, in any manner which would materially adversely affect the transactions contemplated by the City Documents, a default or event of default under any such instrument; and, as of such time, the authorization, execution and delivery of the City - 8 - Documents and compliance with the provisions of each of such agreements or instruments do not in any manner which would materially adversely affect the transactions contemplated by the City Documents, conflict with or constitute a breach of or default under any applicable constitutional provision, law or administrative rule or regulation of the State or the United States, or any applicable judgment, decree, license, permit, trust agreement, loan agreement, bond, note, resolution, ordinance, agreement or other instrument to which the City (or any of its officers in their respective capacities as such) is subject, or by which it or any of its properties is bound, nor will any such authorization, execution, delivery 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 its assets or properties or under the terms of any such law, regulation or instrument, except as may be provided by the City Documents. (h) No Litigation. As of the time of acceptance hereof, no litigation, with merit, in the State or federal court has been served on the City or, to the best knowledge of the City after due investigation, is threatened (A) in any way questioning the corporate existence of the City or the titles of the officers of the City to their respective offices; (B) affecting, contesting or seeking to prohibit, restrain or enjoin the execution or delivery of any of the [Bonds][Notes], or in any way contesting or affecting the validity of the [Bonds][Notes] or the City Documents or the consummation of the transactions contemplated thereby, or contesting the exclusion of the interest on the [Bonds][Notes] from gross income for federal income tax purposes or contesting the powers of the City to enter into the City Documents; (C) which, except as described in the Official Statement, may result in any material adverse change to the financial condition of the City or to its ability to pay the debt service payments on the [Bonds][Notes] when due; or (D) 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 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, and there is no basis for any action, suit, proceeding, inquiry or investigation of the nature described in clauses (A) through (D) of this sentence. (i) No Prior Liens on Revenues. Except for the Outstanding Parity Bonds (as described in the Official Statement), the City will not have outstanding any indebtedness which indebtedness is secured by a lien on the Net Revenues superior to or on a parity with the lien of the [Bonds][Notes] on the Net Revenues. (j) Further Cooperation: Blue Sky. The City will furnish such information, execute such instruments and take such other action in cooperation with the Underwriter[s] as the Underwriter[s] may reasonably request in order (A) to qualify the [Bonds][Notes] for offer and sale under the Blue Sky or other securities laws and regulations of such states and other jurisdictions of the United States as the Underwriter[s] may designate and (B) to determine the eligibility of the [Bonds][Notes] for investment under the laws of such states and other jurisdictions, and will use its best efforts to continue such qualifications in effect so long as required for the distribution of the [Bonds][Notes]; provided, however, that the - 9 - City shall not be required to execute a general or special consent to service of process or qualify to do business in connection with any such qualification or determination in any jurisdiction. (k) Consents and Approvals. All authorizations, approvals, licenses, permits, consents and orders of or filings with any governmental authority, legislative body, board, agency or commission having jurisdiction in the matters which are required for the due authorization of, 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 made, except as may be required under the Blue Sky or securities laws of any state in connection with the offering and sale of the [Bonds][Notes]. (l) No Other Obligations. Between the date of this Purchase Contract and the date of Closing and except as otherwise disclosed in the Official Statement, the City will not, without the prior written consent of the [Representative][Underwriter], offer or issue any [Bonds][Notes], notes or other obligations for borrowed money, or incur any material liabilities, directly or contingently payable from the Revenues. (m) Certificates. Any certificate signed by any official of the City and delivered to the Underwriter[s] shall be deemed to be a representation and warranty by the City to the Underwriter[s] as to the statements made therein. (n) Compliance with Rule 15c2-12. The Preliminary Official Statement heretofore delivered to the Underwriter[s] is hereby deemed final by the City as of its date and as of the date hereof, except for the omission of such information as is permitted to be omitted in accordance with paragraph (b)(i) of Rule 15c2-12. The City hereby covenants and agrees that, within seven business days from the date hereof, the City shall cause a final form of the Official Statement to be delivered to the Underwriter[s] in sufficient quantity to comply with paragraph (b)(4) of Rule 15c2-12 and Rules of the Municipal Securities Rulemaking Board, with such additional copies as shall reasonably be requested by the Underwriter[s]. (o) Continuing Disclosure. Except as noted in the Official Statement, within the last five years the City has been in compliance with all continuing disclosure undertakings that it has entered into pursuant to Rule 15c2-12. The City will undertake, pursuant to a Continuing Disclosure Undertaking (the “Continuing Disclosure Undertaking”), to provide annual reports and notices of certain events in accordance with the requirements of Rule 15c2-12. A form of the Continuing Disclosure Undertaking is set forth as Appendix F to the Official Statement. Section 8. Closing Conditions. The Underwriter[s] have entered into this Purchase Contract in reliance upon the representations, warranties and covenants herein and the performance by the City of its obligations hereunder, both as of the date hereof and as of the Closing Date. The Underwriter[s]’[s] obligations under this Purchase Contract are and shall be subject to the following additional conditions: - 10 - (a) Bring-Down Representation. The representations, warranties and covenants of the City contained herein, shall be true, complete and correct at the date hereof and at the time of the Closing, as if made on the Closing Date. (i) Executed Agreements and Performance Thereunder. At the time of the Closing (a) the City Documents shall be in full force and effect, and shall not have been amended, modified or supplemented except with the written consent of the [Representative][Underwriter], (b) there shall be in full force and effect such resolutions (collectively, the “Resolution”) as, in the opinion of Bond Counsel, shall be necessary in connection with the transactions contemplated by the Official Statement and the City Documents, (c) the City shall perform or have performed its obligations required or specified in the City Documents to be performed at or prior to Closing, and (d) the Official Statement shall not have been supplemented or amended, except pursuant to paragraphs 7(d) and 7(e) hereof or as otherwise may have been agreed to in writing by the [Representative][Underwriter]. (ii) No Default. At the time of the Closing, no default, or any event that with the passage of time would be reasonably likely to result in default, shall have occurred or be existing under the Resolution, the City Documents, or any other agreement or document pursuant to which any of the City’s financial obligations was issued and the City shall not be in default in the payment of principal or interest on any of its financial obligations which default would materially adversely impact the ability of the City to pay debt service on the [Bonds][Notes]. (b) Termination Events. The Underwriter[s] shall have the right to terminate this Purchase Contract, without liability therefor, by written notification to the City if at any time at or prior to the Closing: (i) any event shall occur which causes any statement contained in the Official Statement to be materially misleading or results in a failure of the Official Statement 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; or (ii) the marketability of the [Bonds][Notes] or the market price thereof, or the ability of the Underwriter[s] to enforce contracts for the sale at the initial offering prices set forth in the Official Statement, in the opinion of the Underwriter[s], have 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 Contract 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 - 11 - 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; or (iii) any legislation, ordinance, rule or regulation shall be introduced in, or be enacted by any governmental body, department or agency of the State, or a decision by any court of competent jurisdiction within the State or any court of the United States shall be rendered which, in the reasonable opinion of the Underwriter[s], materially adversely affects the market price of the [Bonds][Notes]; or (iv) legislation shall be enacted by the Congress of the United States, or a decision by a court of the United States shall be rendered, or a stop order, ruling, regulation or official statement by, or on behalf of, the Securities and Exchange Commission or any other governmental agency having jurisdiction of the subject matter shall be issued or made to the effect that the execution, delivery, offering or sale of obligations of the general character of the [Bonds][Notes], or the execution, delivery, offering or sale of the [Bonds][Notes], including all underlying obligations, as contemplated hereby or by the Official Statement, is in violation or would be in violation of, or that obligations of the general character of the [Bonds][Notes], or the [Bonds][Notes], are not exempt from registration under, any provision of the federal securities laws, including the Securities Act of 1933, as amended and as then in effect, or that the Indenture needs to be qualified under the Trust Indenture Act of 1939, as amended and as then in effect; or (v) additional material restrictions not in force as of the date hereof shall have been imposed upon trading in securities generally by any governmental authority or by any national securities exchange which restrictions materially adversely affect the Underwriter[s]’[s] ability to trade the [Bonds][Notes]; or (vi) a general banking moratorium shall have been established by federal or state authorities, or a major financial crisis or any material disruption in commercial banking or securities settlement or clearance services shall have occurred; or (vii) there shall have occurred (a) any new outbreak or escalation of hostilities, declaration by the United States of a national or international emergency or war or other calamity or crisis in financial markets, (b) a downgrade of the sovereign debt rating of the United States by any major credit rating agency or payment default on United States Treasury obligations, or (c) a default with respect to the debt obligations of, or the institution of proceedings under any federal bankruptcy laws by or against any state of the United States or any city, county or other political subdivision located in the United States having a population of over 1,000,000; or - 12 - (viii) the withdrawal or downgrading of any rating of the [Bonds][Notes] or other debt securities of the City by Moody’s Investors Service, Inc. (“Moody’s”) or S&P Global Ratings (“S&P”), or any formal statement shall be published, such as being placed on “credit watch” with negative implications or “negative outlook” or similar qualification, with respect to the [Bonds][Notes] or other debt securities of the City; or (ix) any event occurring, or information becoming known that, in the judgment of the Underwriter[s], makes untrue in any material respect any statement or information contained in the Official Statement or has the effect that the Official Statement contains any untrue statement of material fact or omits 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; or (x) any litigation or proceedings shall be pending or threatened contesting the completeness or accuracy of the Official Statement or any supplement or amendment thereto or asserting that the Official Statement contained any untrue statement of material fact or omitted to state any material fact required to be stated therein or necessary to make the statements therein, in the light of the circumstances under which there were made, not misleading; or (xi) there shall be in force a general suspension of trading on the New York Stock Exchange, which suspension materially adversely affects the ability of the Underwriter[s] to market, sell or deliver the [Bonds][Notes]; or (xii) there shall have occurred any materially adverse change in the financial condition of the City. (c) Closing Documents. At or prior to the Closing, the Underwriter[s] shall receive with respect to the [Bonds][Notes] the following documents: (ii) Approving Opinion. An approving opinion of Bond Counsel dated the Closing Date and substantially in the form included as [Appendix D] to the Official Statement, together with a letter from such counsel, dated the Closing Date and addressed to the Underwriter[s], to the effect that the foregoing opinion addressed to the City may be relied upon by the Underwriter[s] to the same extent as if such opinion were addressed to them. (ii) Disclosure Counsel Opinion and Negative Assurances Letter. The opinion and negative assurances letter of Chapman and Cutler LLP, as disclosure counsel to the City, in form and substance acceptable to the Underwriter[s], and dated the Closing Date substantially to the following effect: (A) The Purchase Contract has been duly authorized, executed and delivered by the City and, assuming due authorization, execution and delivery by the other parties thereto, is a valid and binding agreement of the City enforceable in accordance with its terms, except that the rights and obligations under the - 13 - Purchase Contract 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; (B) The statements contained in the Preliminary Official Statement and the Official Statement on the cover page and under the captions “INTRODUCTION,” “THE SERIES 202_ [BONDS][NOTES],” “SECURITY AND SOURCES OF PAYMENT FOR THE [BONDS][NOTES],” and “TAX MATTERS,” and in [APPENDIX B] and [APPENDIX D] thereto, insofar as such statements purport to summarize certain provisions of the [Bonds][Notes], the Indenture, State law and Bond Counsel’s opinions concerning certain federal and State tax matters relating to the [Bonds][Notes], present a fair and accurate summary of such provisions; and (C) While such counsel has not verified and is not passing upon and does not assume responsibility for, the accuracy, completeness or fairness of the statements contained in the Preliminary Official Statement or the Official Statement, such counsel has participated in conferences with representatives of and counsel for the City and representatives of the Underwriter[s] at which the contents of the Preliminary Official Statement and the Official Statement were discussed and revised. Based on such counsel’s role as disclosure counsel in connection with the issuance of the [Bonds][Notes], no facts came to the attention of the attorneys in such firm rendering legal services in connection with such representation which caused such counsel to believe that the Preliminary Official Statement contained as of its date or the Official Statement contained as of its date or as of the Closing Date contains any untrue statement of a material fact or omitted or omits to state a material fact required to be stated therein or necessary in order to make the statements therein, in light of the circumstances under which they were made, not misleading in any material respect (except that no opinion or belief is expressed as to (i) the expressions of opinion, the assumptions, the projections, the financial statements, or other financial, numerical, economic, demographic or statistical data contained in the Official Statement, (ii) the information with respect to DTC and DTC’s book-entry system, and (iii) the information contained in Appendices [A, C, E and F] to the Preliminary Official Statement and the Official Statement). (iii) City Attorney Opinion. An opinion of the City Attorney dated the Closing Date and addressed to the Underwriter[s], in form and substance acceptable to Bond Counsel and the Underwriter[s] substantially to the following effect: (A) The City is a municipality and a public body corporate and politic duly organized and existing under the laws of the State; (B) The City Documents have been duly authorized, executed and delivered by the City and, assuming the validity thereof against the other parties thereto, constitute the valid, legal and binding agreements of the City enforceable - 14 - against the City in accordance with their respective terms except as enforcement may be limited by bankruptcy, insolvency, reorganization, moratorium, fraudulent conveyance or similar laws or equitable principles relating to or affecting creditors’ rights generally or by the exercise of judicial discretion in appropriate cases or by limitations on legal remedies against public agencies in the State, and the City has full right, power and authority to carry out and consummate all transactions contemplated by the City Documents as of the date of the Official Statement and as of the Closing Date; (C) Except for the Outstanding Parity Bonds, the City will not have outstanding any indebtedness which indebtedness is secured by a lien on the Net Revenues superior to or on a parity with the lien of the [Bonds][Notes] on the Net Revenues; (D) The resolution of the City approving and authorizing the execution and delivery of the City Documents, and approving the Official Statement, has been duly adopted at a meeting of the governing body of the City, which was called and held pursuant to law and with all public notice required by law and at which a quorum was present and acting throughout and the resolution is in full force and effect and has not been modified, amended or rescinded; (E) To the best knowledge of such counsel, the execution and delivery of the City Documents and compliance with the provisions thereof, under the circumstances contemplated thereby, do not and will not, in any respect which will have a material adverse impact on the transactions contemplated by the City Documents conflict with, or constitute, or with the giving of notice or the passage of time would constitute, on the part of the City a breach of or default under, any material agreement or other instrument to which the City is a party or by which it is bound or any existing law, administrative rule, regulation, order, decree, judgment, license or permit to which the City is subject (excluding, however, any opinion as to compliance with any applicable federal securities laws); or by which the City or any of its property is bound; (F) The Preliminary Official Statement and the Official Statement has been prepared by, or on behalf of, the City under the supervision of authorized officials of the City, and executed on its behalf by authorized officers of the City; (G) The information in the Preliminary Official Statement and the Official Statement under the captions “THE SYSTEM,” “THE CITY,” and LEGAL MATTERS—LITIGATION” is true and accurate to the best of such counsel’s knowledge at and as of the date of the Preliminary Official Statement and the Official Statement and at and as of the Closing Date; (H) To the best of such counsel’s knowledge, no additional authorization, approval, consent, waiver or any other action by any person, board or body, public or private, not previously obtained is required as of the Closing - 15 - Date for the City to enter into the City Documents or to perform its obligations thereunder; and (I) No litigation, with merit, in the State or federal court has been served on the City or, to such counsel’s best knowledge, is threatened, 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 payment of debt service on the [Bonds][Notes] or in any way contesting or affecting the validity of the City Documents or any of the transactions referred to therein or contemplated thereby or contesting the authority of the City to enter into or perform its obligations under any of the City Documents, or, except as described in the Official Statement, under which a determination adverse to the City would have a material adverse effect upon the financial condition or the revenues of the City, or which, in any manner, questions or affects the right or ability of the City to enter into the City Documents or affects in any manner the right or ability of the City to make payments of principal and interest on the [Bonds][Notes] from Net Revenues. (iv) Underwriter[s]’[s] Counsel Opinion. An opinion of ___________________, counsel to the Underwriter[s] (“Underwriter[s]’[s] Counsel”), dated the Closing Date and addressed to the Underwriter[s] to the effect that: (A) Such counsel is of the opinion that the [Bonds][Notes] 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; (B) While such counsel is not passing upon, and does not assume responsibility for, the accuracy, completeness or fairness of the statements contained in the Preliminary Official Statement and the Official Statement, and makes no representation that they have independently verified the accuracy, completeness or fairness of any such statements, such counsel has participated in conferences with representatives of and counsel for the City and Bond Counsel and representatives of the Underwriter[s] at which the contents of the Preliminary Official Statement and the Official Statement were discussed and revised. Based on such counsel’s representation of the Underwriter[s] in connection with the issuance of the [Bonds][Notes], without independent verification, such counsel advises the Underwriter[s] as a matter of fact and not opinion that nothing has come to the attention of the attorneys in such firm rendering legal services in connection with such representation which caused such counsel to believe that the Preliminary Official Statement (apart from (i) CUSIP numbers, (ii) the information relating to The Depository Trust Company and its book entry only system, (iii) the financial statements or other financial, operating, statistical, numerical or accounting data contained or incorporated therein, and (vii) the information describing the opinion of Bond Counsel in “TAX MATTERS” and the form of opinion of Bond Counsel in [APPENDIX D], as to all of which such counsel does not express any conclusion or belief) contained as of its date and the Official Statement (apart from (i) CUSIP - 16 - numbers, (ii) the information relating to The Depository Trust Company and its book entry only system, (iii) the financial statements or other financial, operating, statistical, numerical or accounting data contained or incorporated therein, and (vii) the information describing the opinion of Bond Counsel in “TAX MATTERS” and the form of opinion of Bond Counsel in [APPENDIX D], as to all of which such counsel does not express any conclusion or belief) contained as of its date or as of the Closing Date contains any untrue statement of a material fact or omitted or omits to state a material fact necessary in order to make the statements therein, in light of the circumstances under which they were made, not misleading; and (C) The provisions of the Continuing Disclosure Undertaking, comply with the provisions of Rule 15c2-12 under the Securities Exchange Act of 1934, as amended. (v) City Certificate. A certificate of the City, dated the Closing Date, signed on behalf of the City by the Mayor, Treasurer, and City Recorder or other duly authorized officers of the City to the effect that: (A) The representations, warranties and covenants of the City contained in the Purchase Contract are true and correct in all material respects on and as of the Closing Date as if made on the Closing Date and the City has complied with all of the terms and conditions of the Purchase Contract required to be complied with by the City at or prior to the Closing Date; (B) No event affecting the City has occurred since the date of the Official Statement which has not been disclosed therein or in any supplement or amendment thereto which event should be disclosed in the Official Statement in order to make the statements therein, in the light of the circumstances under which they were made, not misleading (except no representation is made with respect to information relating to DTC and DTC’s book-entry system); and (C) No event has occurred and is continuing which, with the passage of time or the giving of notice, or both, would constitute an event of default under the City Documents. (vii) Trustee’s Certificate. A certificate, dated the Closing Date, signed by a duly authorized official of the Trustee satisfactory in form and substance to the Underwriter[s], to the effect that: (A) The Trustee is duly organized and existing as a national banking association under the laws of the United States of America, having the full corporate power and authority to enter into and perform its duties under the Indenture; (B) The Trustee is duly authorized to enter into the Indenture and has duly executed and delivered the Indenture, and assuming due authorization and - 17 - execution by the other party thereto, the Indenture is legal, valid and binding upon the Trustee, and enforceable against the Trustee in accordance with its terms; (C) The Trustee has duly authenticated the [Bonds][Notes] under the Indenture and delivered the [Bonds][Notes] to or upon the order of the Underwriter[s]; and (D) No consent, approval, authorization or other action by any governmental or regulatory authority having jurisdiction over the banking or trust powers of the Trustee that has not been obtained is or will be required for the authentication and delivery of the [Bonds][Notes] or the consummation by the Trustee of its obligations under the Indenture. (vii) Transcript. A transcript of all proceedings relating to the authorization, execution and delivery of the [Bonds][Notes]. (viii) Official Statement. The Official Statement and each supplement or amendment, if any, thereto, executed on behalf of the City by duly authorized officers of the City. (ix) Documents. An executed copy of each of the City Documents. (x) City Resolution. A copy of the Resolution, certified by the City Recorder. (xi) 15c2-12 Certificate of the City. A certificate of the City “deeming final” the Preliminary Official Statement for purposes of Rule 15c2-12. (xii) 8038-G. Evidence that the federal tax information form 8038-G relating to the [Bonds][Notes] has been prepared for filing. (xiii) Tax Certificate. A tax exemption certificate and agreement relating to the [Bonds][Notes] in form satisfactory to Bond Counsel. (xiv) Ratings. Evidence from S&P and Moody’s that the [Bonds][Notes] have been assigned ratings of “___” and “___,” respectively, from S&P and Moody’s. (xv) Continuing Disclosure Undertaking. An executed copy of the Continuing Disclosure Undertaking. [(xvi) Net Revenues Certificate. A written certificate meeting the requirements of Section 2.03(c)(3) of the Master Trust Indenture, as required by the Master Trust Indenture.] (xvii) Additional Documents. Such additional certificates, instruments and other documents as the Underwriter[s] may reasonably deem necessary. - 18 - If the City shall be unable to satisfy the conditions contained in this Purchase Contract, or if the obligations of the Underwriter[s] shall be terminated for any reason permitted by this Purchase Contract, this Purchase Contract shall terminate and neither the Underwriter[s] nor the City shall be under further obligation hereunder, except as further set forth in Section 9 hereof. Section 9. Expenses. The Underwriter[s] shall be under no obligation to pay and the City shall pay or cause to be paid the expenses incident to the performance of the obligations of the City hereunder including but not limited to (a) the costs of the preparation and printing, or other reproduction (for distribution on or prior to the date hereof) of the City Documents and the cost of preparing, printing, issuing and delivering the [Bonds][Notes]; (b) the fees and disbursements of any counsel, financial advisors, accountants or other experts or consultants retained by the City; (c) the fees and disbursements of Bond Counsel, Disclosure Counsel, and counsel to the City; (d) the fees and disbursements of the rating agencies; (e) the cost of printing and distributing the Preliminary Official Statement and any supplements and amendments thereto and the cost of printing and distributing the Official Statement and any supplements and amendments thereto, including a reasonable number of copies thereof for distribution by the Underwriter[s]; (f) expenses (included in the expense component of the Underwriter[s]’[s] spread) incurred on behalf of the City’s officers or employees which are incidental to implementing this Purchase Contract, including, but not limited to, meals, transportation, lodging, and entertainment of those officers or employees; (g) CUSIP Service Bureau fees and charges; and (h) Trustee fees. The City acknowledges that it has had an opportunity, in consultation with such advisors as it may deem appropriate, if any, to evaluate and consider the fees and expenses being incurred as part of the issuance of the [Bonds][Notes]. Section 10. Representation Regarding Ethical Standards for City Officers and Employees and Former City Officers and Employees. The Underwriter[s] have not: (i) provided an illegal gift or payoff to a City officer or employee or former City officer or employee, or his or her relative or business entity; (ii) retained any person to solicit or secure this Purchase Contract upon an agreement or understanding for a commission, percentage, or brokerage or contingent fee, other than bona fide employees or bona fide commercial selling agencies for the purpose of securing business; (iii) knowingly breached any of the ethical standards set forth in the City’s conflict of interest ordinance, Chapter 2.44, Salt Lake City Code; or (iv) knowingly influenced, and hereby promises that the Underwriter[s] will not knowingly influence, a City officer or employee or former City officer or employee to breach any of the ethical standards set forth in the City’s conflict of interest ordinance, Chapter 2.44, Salt Lake City Code. Section 11. Notice. Any notice or other communication to be given to the City under this Purchase Contract may be given by delivering the same in writing to Salt Lake City Corporation, 1530 South West Temple, Salt Lake City, Utah 84115, Attention: Director, Department of Public Utilities, with a copy to Salt Lake City Corporation, 451 South State Street, Room 505A, PO Box 145478, Salt Lake City, Utah 84111, Attention: City Attorney. Any notice or other communication to be given to the Underwriter[s] under this Purchase Contract may be given by delivering the same in writing to the [Representative][Underwriter], ____________________, ____________________, __________, __________ _____, Attention: ___________. - 19 - Section 12. Entire Agreement. This Purchase Contract, when accepted by the City, shall constitute the entire agreement between the City and the Underwriter[s] with respect to the subject matter hereof and is made solely for the benefit of the City and the Underwriter[s] (including the successors of the Underwriter[s]). No other person shall acquire or have any right hereunder by virtue hereof, except as provided herein. All of the City’s representations, warranties and agreements in this Purchase Contract shall remain operative and in full force and effect except as otherwise provided herein, regardless of any investigations made by or on behalf of the Underwriter[s] and shall survive the delivery of and payment for the [Bonds][Notes]. Section 13. No Advisory or Fiduciary Role. The City acknowledges and agrees that (i) the purchase and sale of the [Bonds][Notes] pursuant to this Purchase Contract is an arm’s-length commercial transaction between the City and the Underwriter[s]; (ii) in connection therewith and with the discussions, undertakings and procedures leading up to the consummation of such transaction, the Underwriter[s] are and have been acting solely as a principal and are not acting as the agent, advisor or fiduciary of the City; (iii) the Underwriter[s] have not assumed an advisory or fiduciary responsibility in favor of the City with respect to the offering contemplated hereby or the discussions, undertakings and procedures leading thereto (irrespective of whether the Underwriter[s] have provided other services or are currently providing other services to the City on other matters) and the Underwriter[s] have no obligation to the City with respect to the offering contemplated hereby except the obligations expressly set forth in this Purchase Contract; (iv) the Underwriter[s] are not acting as municipal advisor (as defined in Section 15B of the Securities Exchange Act of 1934, as amended); and (v) the City has consulted its own legal, financial and other advisors to the extent it deemed appropriate in connection with the offering of the [Bonds][Notes]. Section 14. Compliance with Public Contract Boycott Restrictions. [The Underwriter][The Representative, on behalf of each of the Underwriters,] hereby certifies and agrees that: a. the [Underwriter is][Underwriters are] not currently engaged in (i) a boycott of the State of Israel; or (ii) an economic boycott; b. the [Underwriter][Underwriters] agree[s] not to engage in a boycott of the State of Israel for the duration of this Purchase Contract; and c. the [Underwriter][Underwriters] agree to notify the Issuer in writing if the [Underwriter][Underwriters] begin engaging in an economic boycott (which notice may be grounds for termination of this Purchase Contract). For purposes of this certification: i. “Boycott action” means refusing to deal, terminating business activities, or limiting commercial relations. ii. “Boycott of the State of Israel” means engaging in a boycott action targeting (A) the State of Israel; and (B)(I) companies or individuals doing business in or with the - 20 - State of Israel; or (II) companies authorized by, licensed by, or organized under the laws of the State of Israel to do business. iii. “Boycotted company” means a company that (A) engages in the exploration, production, utilization, transportation, sale, or manufacture of fossil fuel-based energy, timber, mining, or agriculture; (B) engages in, facilitates, or supports the manufacture, distribution, sale, or use of firearms; (C) does not meet or commit to meet environmental standards, including standards for eliminating, reducing, offsetting, or disclosing greenhouse gas-emissions, beyond applicable state and federal law requirements; or (C) does not facilitate or commit to facilitate access to abortion or sex characteristic surgical procedures. iv. “Economic boycott” means, without an ordinary business purpose (A) engaging in a boycott action targeting (I) a boycotted company; or (II) another company because the company does business with a boycotted company; or (B) taking an action intended to penalize, inflict economic harm to, or change or limit the activities of (I) a boycotted company; or (II) another company because the company does business with a boycotted company. Section 15. Counterparts; Electronic Signatures. This Purchase Contract and all documents necessary or required to complete the sale of the [Bonds][Notes] may be executed in multiple counterparts, all of which taken together will constitute one and the same instrument. Pursuant to the Uniform Electronic Transactions Act, Title 46, Chapter 4 Utah Code Annotated 1953, as amended, the Underwriter[s] and the City hereby agree and consent to the use of electronic signatures and electronic records in connection with the Bond transaction; provided, however, that such consent and agreement only permits the use of, but does not require, electronic signatures or electronic records, including on documents delivered in counterparts. Section 16. 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 17. STATE LAW GOVERNS. THE VALIDITY, INTERPRETATION AND PERFORMANCE OF THIS PURCHASE CONTRACT SHALL BE GOVERNED BY THE LAWS OF THE STATE. Section 18. No Assignment. The rights and obligations created by this Purchase Contract shall not be subject to assignment by the Underwriter[s] or the City without the prior written consent of the other party hereto. S-1 _______________[, as Representative of itself and ____________________] By: ____________________________________ Its_________________________________ Accepted as of the date first stated above: Time of acceptance: __________ [a.m./p.m.] M.T. This __________, 202_. SALT LAKE CITY, UTAH By: ____________________________________ Mayor [SEAL] ATTEST: By: City Recorder APPROVED AS TO FORM: By: Senior City Attorney A-1 EXHIBIT A $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________, SERIES 202_ Maturity Date (February 1) Principal Amount Interest Rate Yield Hold-the- Offering-Price Maturity c Yield to optional call on February 1, 20__. [(There were no Hold-the-Price Maturities.)] B-1 EXHIBIT B UNDERWRITER[S]’[S] RECEIPT OF [BONDS][NOTES] AND ISSUE PRICE CERTIFICATE $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________, SERIES 202_ The undersigned, on behalf of _______________[, and as [underwriter][representative] (the “[Purchaser][Representative]”) and of _______________ (collectively, the “Original Purchaser Group”)], hereby certifies as set forth below with respect to the sale and issuance of the above-captioned obligations (the “[Bonds][Notes]”). 1. Receipt of the [Bonds][Notes]. The [Representative][Purchaser] hereby acknowledges receipt of the [Bonds][Notes] pursuant to the Bond Purchase Contract (the “Purchase Contract”) by and between the [Purchaser][Original Purchaser Group] and Salt Lake City, Utah (the “Issuer”), dated __________, 202_ (the “Sale Date”). The [Bonds][Notes] are issued as fully registered [Bonds][Notes], and are dated, mature on the dates, bear interest at the rates per annum, and are numbered as set forth in the Indenture (as defined in the Purchase Contract.) 2. General. The [Purchaser][Representative] and the Issuer have executed the Purchase Contract in connection with the [Bonds][Notes] on the Sale Date. The Purchase Contract has not been modified since its execution on the Sale Date. 3. Price. (a) [As of the date of this certificate, for each Maturity of the [Bonds][Notes], the first price at which at least 10% of such Maturity of the [Bonds][Notes] was sold to the Public is the respective price listed in Schedule A.][ 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 of the [Bonds][Notes] was sold to the Public is the respective price listed in Schedule A.] [(b) The [Purchaser][Original Purchaser Group] 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 [Bonds][Notes] is attached to this certificate as Schedule B. As set forth in the Purchase Contract, the [Purchaser][the members of the Original Purchaser Group] [has][have] agreed in writing that, (i) for each Maturity of the Hold-the- Offering-Price Maturities, [it][they] would neither offer nor sell any of the [Bonds][Notes] 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 would contain the agreement of each dealer who is a member of the selling group, and any retail distribution agreement would contain the agreement of each broker-dealer who is a party to the retail distribution agreement, to comply with the hold-the-offering-price rule. B-2 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 during the Holding Period. 4. Defined Terms. “General Rule Maturities” means those Maturities of the [Bonds][Notes] not listed in Schedule A hereto as the “Hold-the-Offering-Price Maturities.” “Hold-the-Offering-Price Maturities” means those Maturities of the [Bonds][Notes] listed in Schedule A hereto as the “Hold-the-Offering-Price Maturities.” “Holding Period” means with respect to each Hold-the-Offering-Price Maturity the period starting on the Sale Date and ending on the earlier of: (1) the close of the fifth (5th) business day after the Sale Date; or (2) the date on which the [Purchaser][Original Purchaser Group] [has][have] sold at least 10% of that 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. “Maturity” means [Bonds][Notes] with the same credit and payment terms. [Bonds][Notes] with different maturity dates, or [Bonds][Notes] with the same maturity date but different stated interest rates, are treated as separate maturities. “Public” means any person (including an individual, trust, estate, partnership, association, company, or corporation) other than an Underwriter or a Related Party to an Underwriting Firm. A person is a “Related Party” to an Underwriter if the Underwriter and the person 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 partnership (including direct ownership of the applicable stock or interests by one entity of the other). “Underwriter” means (a) any person that agrees pursuant to a written contract with the Issuer (or with the [Purchaser][Representative] to form an underwriting syndicate) to participate in the initial sale of the [Bonds][Notes] to the Public, and (b) any person that agrees pursuant to a written contract directly or indirectly with a person described in clause (a) of this definition to participate in the initial sale of the [Bonds][Notes] 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 [Bonds][Notes] to the Public). B-3 All terms not defined herein shall have the same meanings as in the Tax Exemption Certificate and Agreement with respect to the [Bonds][Notes], to which this Certificate is attached. The representations set forth in this certificate are limited to factual matters only. Nothing in this certificate represents the Purchaser’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 its documents and with respect to compliance with the federal income tax rules affecting the [Bonds][Notes], and by Chapman and Cutler LLP in connection with rendering its opinion that the interest on the [Bonds][Notes] is excluded from gross income for federal income tax purposes, the preparation of Internal Revenue Service Form 8038-G, and other federal income tax advice it may give to the Issuer from time to time relating to the [Bonds][Notes]. _______________[, as Representative of the Original Purchaser Group] By: ____________________________________ Its_________________________________ _______________[, as representative of the Dated: __________, 202_. To Be Attached: SCHEDULE A — Sale Prices [Same as Exhibit A to the Bond Purchase Contract] SCHEDULE B — Final Pricing Wire This page has intentionally been left blank Draft 8/12/25 PRELIMINARY OFFICIAL STATEMENT DATED __________, 202_ Th i s P r e l i m i n a r y O f f i c i a l S t a t e m e n t a n d t h e i n f o r m a t i o n c o n t a i n e d h e r e i n a r e s u b j e c t to c o m p l e t i o n , a m e n d m e n t o r o t h e r c h a n g e w i t h o u t a n y n o t i c e . U n d e r n o c i r c u m s t a n c e s sh a l l t h i s P r e l i m i n a r y O f f i c i a l S t a t e m e n t co n s t i t u t e a n o f f e r t o s e l l o r t h e s o l i c it a t i o n o f a n o f f e r t o b u y , n o r s h a l l t h e r e be a n y s a l e o f t h e s e s e c u r i t i e s i n a n y j u r i s d i c t i o n i n w h i c h s u c h o f f e r , s o l i c i t a t i o n o r s a l e w ou l d b e u n l a w f u l p r i o r t o r e g i s t r a t i o n o r q u a l i f i c a t i o n NEW ISSUE—Issued in Book-Entry Only Form Ratings: S&P “AAA” Moody’s “Aa1” (See “BOND RATINGS” herein.) Subject to compliance by the City with certain covenants, in the opinion of Chapman and Cutler LLP, Bond Counsel, under present law, interest on the Series 202_ [Bonds][Notes] is excludible from gross income of the owners thereof for federal income tax purposes and is not includible as an item of tax preference in computing the federal alternative minimum tax for individuals. Interest on the Series 202_ [Bonds][Notes] may affect the corporate alternative minimum tax for certain corporations. In the opinion of Bond Counsel, under the existing laws of the State of Utah, as presently enacted and construed, interest on the Series 202_ [Bonds][Notes] is exempt from taxes imposed by the Utah Individual Income Tax Act. See “TAX MATTERS” herein for a more complete discussion. $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________, SERIES 202_ Dated: Date of Initial Delivery Due: February 1, as shown on the inside cover The $__________ Public Utilities Revenue __________, Series 202_, (the “Series 202_ [Bonds][Notes]”), are issuable by Salt Lake City, Utah (the “City”), as fully registered bonds and when initially issued will be registered in the name of Cede & Co., as nominee of The Depository Trust Company, New York, New York, which will act as securities depository for the Series 202_ [Bonds][Notes]. Purchases of Series 202_ [Bonds][Notes] will be made in book-entry form only, in the principal amount of $[5,000] or any integral multiple thereof, through brokers and dealers who are, or who act through, DTC participants. Owners of the Series 202_ [Bonds][Notes] will not be entitled to receive physical delivery of bond certificates so long as DTC or a successor securities depository acts as the securities depository with respect to the Series 202_ [Bonds][Notes]. Interest on the Series 202_ [Bonds][Notes] is payable on February 1 and August 1 of each year, commencing __________ 1, 202_, through U.S. Bank Trust Company, National Association, as Paying Agent, all as more fully described herein. So long as DTC or its nominee is the registered owner of the Series 202_ [Bonds][Notes], payments of the principal of, premium, if any, and interest on such Series 202_ [Bonds][Notes] will be made directly to DTC or its nominee. Disbursement of such payments to DTC participants is the responsibility of DTC and disbursement of such payments to the beneficial owners is the responsibility of DTC participants. See “THE SERIES 202_ [BONDS][NOTES]—Book-Entry Only System” herein. The Series 202_ [Bonds][Notes] are issued for the purpose of (i) [financing the acquisition, construction, remodeling and improvement of a campus for the Salt Lake Department of Public Utilities (the “Series 202_ Project”)][refunding in advance of their maturity [all][or a portion] of the City’s currently outstanding [Public Utilities Revenue and Bonds, Series 2017 (the “Refunded Bonds”)] and (ii) paying costs associated with the issuance of the Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] are subject to optional and mandatory sinking fund redemption prior to maturity as described herein. See “THE SERIES 202_ [BONDS][NOTES]—Redemption” herein. The Series 202_ [Bonds][Notes] are special limited obligations of the City, payable solely from a pledge and assignment of Net Revenues and moneys on deposit in certain funds and accounts established in the Indenture (defined herein) between the City and U.S. Bank Trust Company, National Association, as trustee. Neither the credit nor the taxing power of the City or the State of Utah or any agency, instrumentality, or political subdivision thereof is pledged for the payment of the principal of, premium, if any, or interest on the Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] are not general obligations of the City or the State of Utah or any agency, instrumentality, or political subdivision thereof. The issuance of the Series 202_ [Bonds][Notes] shall not directly, indirectly, or contingently obligate the City or the State of Utah or any agency, instrumentality, or political subdivision thereof to levy any form of taxation therefor or to make any appropriation for the payment of the Series 202_ [Bonds][Notes]. See “SECURITY AND SOURCES OF PAYMENT FOR THE BONDS” herein. This cover page contains certain information for quick reference only. It is not a summary of this issue. Investors must read this Official Statement in its entirety to obtain information essential to making an informed investment decision. The Series 202_ [Bonds][Notes] are offered when, as and if issued by the City and received by the Underwriters, and subject to the approval of their legality and certain other legal matters by Chapman and Cutler LLP, Salt Lake City, Utah, as Bond Counsel to the City, and certain other conditions. Certain matters will be passed upon for the City by the City Attorney and certain matters relating to disclosure will be passed upon by Chapman and Cutler LLP., disclosure counsel to the City. Certain matters will be passed upon for the Underwriters by __________. Stifel, Nicolaus & Company, Incorporated is acting as municipal advisor to the City in connection with the issuance of the Series 202_ [Bonds][Notes]. It is expected that the Series 202_ [Bonds][Notes] in book entry form will be available for delivery to The Depository Trust Company or its agent on or about __________, 202_. This Official Statement is dated __________, 202_, and the information contained herein speaks only as of that date. [UNDERWRITERS] $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________, SERIES 202_ MATURITIES, AMOUNTS, INTEREST RATES, AND PRICES OR YIELDS DUE (FEBRUARY 1) PRINCIPAL AMOUNT INTEREST RATE YIELD CUSIP* $__________ ____% Term Bond Due February 1, 20__; Price _____%c CUSIP* 795604 ___ ____________________ c Yield/priced to optional call on February 1, 20__. * The above-referenced CUSIP number(s) have been assigned by an independent company not affiliated with the parties to this bond transaction and are included solely for the convenience of the holders of the Series 202_ [Bonds][Notes]. Neither the City, the Trustee nor the Underwriters are responsible for the selection or uses of such CUSIP numbers, and no representation is made as to its correctness on the Series 202_ [Bonds][Notes] or as indicated above. The CUSIP number for a specific maturity is subject to being changed after the issuance of the Series 202_ [Bonds][Notes] 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 certain maturities. -i- The information contained in this Official Statement has been furnished by the City, DTC and other sources that are believed to be reliable. No dealer, broker, salesperson or any other person has been authorized by the City or the Underwriters to give any information or to make any representations other than those contained in this Official Statement in connection with the offering contained herein, and, if given or made, such information or representations must not be relied upon as having been authorized by the City or the Underwriters. This Official Statement does not constitute an offer to sell or solicitation of an offer to buy, nor shall there be any sale of the Series 202_ [Bonds][Notes] by any person in any jurisdiction in which it is unlawful for such person to make such offer, solicitation or sale. The information and expressions of opinion herein are subject to change without notice, and neither delivery of this Official Statement nor any sale made thereafter shall under any circumstances create any implication that there has been no change in the affairs of the City or in any other information contained herein, since the date of this Official Statement. The Underwriters have provided the following sentence for inclusion in this Official Statement: The Underwriters have reviewed the information in this Official Statement in accordance with, and as part of, their responsibilities to investors under the federal securities laws as applied to the facts and circumstances of this transaction, but the Underwriters do not guarantee the accuracy or completeness of such information. The Series 202_ [Bonds][Notes] have not been registered under the Securities Act of 1933, as amended, in reliance upon exemptions contained in such act. Any registration or qualification of the Series 202_ [Bonds][Notes] in accordance with applicable provisions of the securities laws of the states in which the Series 202_ [Bonds][Notes] have been registered or qualified and the exemption from registration or qualification in other states cannot be regarded as a recommendation thereof. IN CONNECTION WITH THIS OFFERING, THE UNDERWRITERS MAY ENGAGE IN TRANSACTIONS THAT STABILIZE, MAINTAIN OR OTHERWISE AFFECT THE MARKET PRICES OF THE SERIES 202_ [BONDS][NOTES]. SUCH TRANSACTIONS, IF COMMENCED, MAY BE DISCONTINUED AT ANY TIME. THESE SECURITIES HAVE NOT BEEN APPROVED OR DISAPPROVED BY THE SECURITIES AND EXCHANGE COMMISSION OR ANY STATE SECURITIES COMMISSION, NOR HAS THE SECURITIES AND EXCHANGE COMMISSION OR ANY STATE SECURITIES COMMISSION PASSED UPON THE ACCURACY OR ADEQUACY OF THIS OFFICIAL STATEMENT. ANY REPRESENTATION TO THE CONTRARY IS A CRIMINAL OFFENSE. This Official Statement contains “forward-looking statements” within the meaning of the federal securities laws. These forward-looking statements include, among others, statements concerning expectations, beliefs, opinions, future plans and strategies, anticipated events or trends and similar expressions concerning matters that are not historical facts. The forward-looking statements in this Official Statement are subject to risks and uncertainties that could cause actual results to differ materially from those expressed in or implied by such statements. The City maintains a website. However, the information presented on that website is not a part of this Official Statement and should not be relied upon in making an investment decision with respect to the Series 202_ [Bonds][Notes]. Any references in this Official Statement to the “Issuer” mean the City of Salt Lake, Utah and references to “Bonds” or “Securities” mean the Public Utilities Revenue __________, Series 202_ offered hereby. -ii- $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________ SERIES 202_ Salt Lake City City and County Building 451 South State Street Salt Lake City, Utah 84111 (801) 535-7946 CITY COUNCIL Chris Wharton .......................................................................................................................................... Council Chair Alejandro Puy ................................................................................................................................... Council Vice Chair Eva Lopez Chavez ................................................................................................................................ Council Member Dan Dugan ............................................................................................................................................ Council Member Darin Mano ........................................................................................................................................... Council Member Victoria Petro ........................................................................................................................................ Council Member Sarah Young ......................................................................................................................................... Council Member CITY ADMINISTRATION Erin J. Mendenhall ................................................................................................................................................ Mayor Rachel Otto ................................................................................................................................................ Chief of Staff Mark E. Kittrell ......................................................................................................................................... City Attorney Keith Reynolds ......................................................................................................................................... City Recorder Marina Scott ............................................................................................................................................. City Treasurer DEPARTMENT OF PUBLIC UTILITIES PUBLIC UTILITIES ADVISORY COMMITTEE Laura Briefer, MPA ............................................... Director Kathryn Floor ....................................................... Chair Jesse Stewart, PG ...................................... Deputy Director Christopher Shope ....................................... Vice Chair Jason Brown, PE ENV-SP ........................ Deputy Director Ted Boyer ........................................................ Member Lisa Tarufelli, MBA ....................... Finance Administrator Dani Cepernich ................................................ Member Tamara Wambeam, GISP ........................ GIS & IT Admin Tom Godfrey ................................................... Member Jamey West ........................... Water Reclamation Manager Roger Player .................................................... Member Jeff Grimsdell ....................... Maintenance Superintendent Vacant ............................................................. Member Jason Draper, PE CFM ............................... Chief Engineer Vacant ............................................................. Member Teresa Gray, LEHS .... Water Quality & Treatment Admin Vacant ............................................................. Member Kristeen Beitel PE CFM ..... Development Services Admin BOND COUNSEL INDEPENDENT AUDITORS Chapman and Cutler LLP Eide Bailly LLP 215 South State, Suite 560 5 Triad Center, Suite 600 Salt Lake City, Utah 84111 Salt Lake City, Utah 84180 (801) 533-0066 (801) 532-2200 MUNICIPAL ADVISOR TRUSTEE Stifel, Nicolaus & Company, Incorporated U.S. Bank Trust Company, National Association 15 West South Temple, Suite 1090 170 South Main Street, Suite 200 Salt Lake City, Utah 84101 Salt Lake City, Utah 84101 (385) 799-7231 (801) 534-6083 -iii- TABLE OF CONTENTS PAGE INTRODUCTION .................................................................................................................................1  The City ..................................................................................................................................1  The System..............................................................................................................................2  Authorization and Purpose of the Series 202_ [Bonds][Notes] ..............................................2  Security and Sources of Payment for the Series 202_ [Bonds][Notes] ..................................2  Redemption Provisions ...........................................................................................................3  Registration, Denominations, Manner of Payment .................................................................4  Transfer of Exchange ..............................................................................................................4  Tax-Exempt Status ..................................................................................................................5  Conditions of Delivery, Anticipated date, Manner and Place of Delivery .............................5  Continuing Disclosure ............................................................................................................5  Basic Documentation ..............................................................................................................5  Contact Persons .......................................................................................................................6  Additional Information ...........................................................................................................6  THE SERIES 202_ [BONDS][NOTES] ..................................................................................................7  General ....................................................................................................................................7  Redemption .............................................................................................................................7  Transfer, Exchange and Payment of the Series 202_ [Bonds][Notes] ....................................9  Book-Entry Only System ........................................................................................................9  THE SERIES 202_ PROJECT ..............................................................................................................10  PLAN OF REFUNDING ......................................................................................................................10  ESTIMATED SOURCES AND USES OF FUNDS ....................................................................................12  DEBT SERVICE SCHEDULE FOR THE SERIES 202_ [BONDS][NOTES] AND THE OUTSTANDING PARITY BONDS .............................................................................................................................13  SECURITY AND SOURCES OF PAYMENT FOR THE BONDS .................................................................14  General ..................................................................................................................................14  No Debt Service Reserve Requirement ................................................................................14  Flow of Funds .......................................................................................................................14  Rate Covenant .......................................................................................................................15  Outstanding Parity Bonds .....................................................................................................15  Additional Bonds ..................................................................................................................16  THE SYSTEM ...................................................................................................................................18  The Department of Public Utilities .......................................................................................18  Public Utilities Advisory Committee ....................................................................................19  Management Personnel .........................................................................................................19  Utility Rates ..........................................................................................................................21  Billing and Collection Procedures ........................................................................................21  Water Utility .........................................................................................................................22  Sewer Utility .........................................................................................................................30  Stormwater Utility ................................................................................................................32  -iv- Street Lighting Utility ...........................................................................................................33  System Capital Financing Programs .....................................................................................34  Five-Year Financial Summaries of the System ....................................................................36  HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT REVENUES AND EXPENSES ...........39  THE CITY ........................................................................................................................................42  City Officials .........................................................................................................................42  City Administration ..............................................................................................................42  Employee Workforce and Retirement System ......................................................................43  Retirement Liability ..............................................................................................................43  No Other Post-Employment Benefits ...................................................................................44  DEBT STRUCTURE OF SALT LAKE CITY, UTAH ...............................................................................45  Outstanding Debt Issues .......................................................................................................45  Future Debt Plans ..................................................................................................................46  Recent Developments ...........................................................................................................47  No Defaulted Obligations .....................................................................................................47  FINANCIAL INFORMATION REGARDING THE CITY ...........................................................................47  Fund Structure (Accounting Basis) .......................................................................................47  Financial Controls .................................................................................................................48  Budget and Appropriation .....................................................................................................48  Insurance Coverage ...............................................................................................................49  Investment policy ..................................................................................................................50  INVESTMENT CONSIDERATION ........................................................................................................51  Series 202_ [Bonds][Notes] are Limited Obligations ...........................................................51  Climate Change .....................................................................................................................52  Cybersecurity ........................................................................................................................52  TAX MATTERS ................................................................................................................................53  Federal53  State of Utah .........................................................................................................................55  LEGAL MATTERS ............................................................................................................................56  Litigation ...............................................................................................................................56  Approval of Legal Proceedings ............................................................................................56  CONTINUING DISCLOSURE UNDERTAKING ......................................................................................56  UNDERWRITING ..............................................................................................................................57  BOND RATINGS ...............................................................................................................................58  ESCROW VERIFICATION ..................................................................................................................58  MUNICIPAL ADVISOR ......................................................................................................................58  INDEPENDENT AUDITORS ................................................................................................................59  MISCELLANEOUS ............................................................................................................................59  -v- Additional Information .........................................................................................................59  APPENDIX A — SALT LAKE CITY WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (ENTERPRISE FUNDS OF SALT LAKE CITY CORPORATION) INDEPENDENT AUDITOR’S REPORT AND COMBINED FINANCIAL STATEMENTS AS OF JUNE 30, 2024 ...................................................... A-1 APPENDIX B — EXCERPTS OF CERTAIN PROVISIONS OF THE MASTER INDENTURE ................................................... B-1 APPENDIX C — DEMOGRAPHIC AND ECONOMIC INFORMATION REGARDING THE CITY AND SALT LAKE COUNTY ... C-1 APPENDIX D — PROPOSED FORM OF OPINION OF BOND COUNSEL ........................................................................... D-1 APPENDIX E — PROVISIONS REGARDING BOOK-ENTRY ONLY SYSTEM ................................................................... E-1 APPENDIX F — FORM OF CONTINUING DISCLOSURE UNDERTAKING ....................................................................... F-1 -1- OFFICIAL STATEMENT RELATING TO $__________ SALT LAKE CITY, UTAH PUBLIC UTILITIES REVENUE __________, SERIES 202_ INTRODUCTION This Official Statement, including the cover page, introduction and appendices, provides information regarding (i) the issuance and sale by Salt Lake City, Utah (the “City”), a political subdivision of the State of Utah (the “State”), of its $__________ Public Utilities Revenue __________, Series 202_ (the “Series 202_ [Bonds][Notes]”), initially issued in book-entry form only; (ii) the City; and (iii) the sewer system (the “Sewer Utility”), the water system (the “Water Utility”), the stormwater system (the “Stormwater Utility”), and the street lighting system (the “Street Lighting Utility,” and collectively with the Sewer Utility, the Water Utility, and the Stormwater Utility, the “System”) owned and operated by the City. This introduction is not a summary of this Official Statement. It is only a brief description of and guide to, and is qualified by more complete and detailed information contained in, the entire Official Statement, including the cover page and appendices hereto, and the documents summarized or described herein. A full review should be made of the entire Official Statement. The offering of Series 202_ [Bonds][Notes] to potential investors is made only by means of the entire Official Statement. Capitalized terms used herein and not otherwise defined shall have the meanings given such terms in “APPENDIX B—EXCERPTS OF CERTAIN PROVISIONS OF THE MASTER INDENTURE.” See also the following appendices attached hereto: “APPENDIX A—SALT LAKE CITY WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (ENTERPRISE FUNDS OF SALT LAKE CITY CORPORATION) INDEPENDENT AUDITOR’S REPORT AND COMBINED FINANCIAL STATEMENTS AS OF JUNE 30, 2024”; “APPENDIX B—EXCERPTS OF CERTAIN PROVISION OF THE MASTER INDENTURE”; “APPENDIX C—DEMOGRAPHIC AND ECONOMIC INFORMATION REGARDING THE CITY AND SALT LAKE COUNTY”; “APPENDIX D—PROPOSED FORM OF OPINION OF BOND COUNSEL”; “APPENDIX E—PROVISIONS REGARDING BOOK-ENTRY ONLY SYSTEM”; and “APPENDIX F—FORM OF CONTINUING DISCLOSURE UNDERTAKING.” THE CITY The City is a municipal corporation and political subdivision of the State and is the capital of the State. The City is the most populous city in the State with an estimated population of 209,593 residents in 2023. The City has a council-mayor form of government. For more information with respect to the City, see “THE CITY,” “DEBT STRUCTURE OF THE CITY,” “FINANCIAL INFORMATION REGARDING THE CITY,” and “APPENDIX C—DEMOGRAPHIC AND ECONOMIC INFORMATION REGARDING THE CITY AND SALT LAKE COUNTY. -2- THE SYSTEM The System consists of the Water Utility, the Sewer Utility, the Stormwater Utility, and the Street Lighting Utility. The Water Utility includes three primary water sources (streams, reservoirs, and groundwater), three water treatment plants, seven raw water storage reservoirs, 22 distribution reservoirs, ten storage tanks, 26 deep groundwater wells, and an interconnecting network of approximately 1,320 miles of distribution and transmission lines. The Sewer Utility consists of 44 lift stations and approximately 680 miles of 3-inch to 78-inch interceptors and collectors. The Sewer Utility also includes a water reclamation facility which receives sewage through the collection system and treats sewage to meet water quality requirements prior to discharge. The Stormwater Utility consists of a combination of collection lines, curbs and gutters, canals, and other facilities. The Street Lighting Utility consists of approximately 15,950 street lights, with approximately 10,500 energy efficient lights and approximately 4,090 enhanced or decorative street lights for which property owners in the area pay an additional street lighting charge. The System is managed and operated by the Department of Public Utilities of the City (the “Department”). For additional details regarding the System, see “THE SYSTEM” herein. AUTHORIZATION AND PURPOSE OF THE SERIES 202_ [BONDS][NOTES] The Series 202_ [Bonds][Notes] are being issued pursuant to (i) the [Local Government Bonding Act, Title 11, Chapter 14][Utah Refunding Bond Act, Title 11, Chapter 27], Utah Code Annotated 1953, as amended (the “Utah Code”), and other applicable provisions of law (collectively, the “Act”); (ii) a resolution adopted on __________, 2025 (the “Resolution”) by the City Council of the City (the “City Council”); and (iii) a Master Trust Indenture, dated as of January 1, 2004, as heretofore amended and supplemented (the “Master Indenture”), and as further amended and supplemented by a __________ Supplemental Trust Indenture, dated as of __________ 1, 202_ (the “__________ Supplemental Indenture” and together with the Master Indenture, the “Indenture”), each between the City and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the “Trustee”). The Series 202_ [Bonds][Notes] are issued for the purpose of (i) [financing the acquisition, construction, remodeling and improvement of a campus for Department (the “Series 202_ Project”)][refunding in advance of their maturity [all][a portion] of the City’s currently outstanding Public Utilities Revenue and Bonds, Series 2017 (the “Refunded Bonds”)] and that are more particularly described herein under the heading “THE SERIES 202_ PROJECT” and (ii) paying costs associated with the issuance of the Series 202_ [Bonds][Notes] [and the refunding of the Refunded Bonds (defined below)]. See “THE SERIES 202_ PROJECT” and “ESTIMATED SOURCES AND USED OF FUNDS” herein. SECURITY AND SOURCES OF PAYMENT FOR THE BONDS The Series 202_ [Bonds][Notes] are payable solely from and secured solely by a pledge and assignment of the Net Revenues derived by the City from the System. “Net Revenues” means, for any period, the Revenues for such period less the Operation and Maintenance Costs (as defined in APPENDIX B). “Revenues” means all revenues, connection fees, income, rents and receipts derived by the City from or attributable to the System, including all interest, profits or other income -3- derived from the investment of any moneys held pursuant to the Indenture and the proceeds of any interest subsidy with respect to the Bonds. Revenues do not include proceeds received on insurance resulting from casualty damage to assets of the System or the proceeds of sale of bonds, notes or other obligations issued for System purposes. The Series 202_ [Bonds][Notes] will be issued on parity with any other Bonds that have been issued under the Master Indenture, including but not limited to the City’s outstanding (i) Taxable Water and Sewer Revenue Bonds, Series 2009, currently outstanding in the aggregate principal amount of $_________ (the “Series 2009 Bonds”); (ii) Water and Sewer Revenue Bonds, Series 2010, currently outstanding in the aggregate principal amount of $__________ (the “Series 2010 Bonds”); (iii) Water and Sewer Revenue Bonds, Series 2011, currently outstanding in the aggregate principal amount of $__________ (the “Series 2011 Bonds”); (iv) Water and Sewer Improvement and Refunding Revenue Bonds, Series 2012, currently outstanding in the aggregate principal amount of $__________ (the “Series 2012 Bonds”); (v) Public Utilities Revenue and Refunding Bonds, Series 2017, currently outstanding in the aggregate principal amount of $54,445,000 (the “Series 2017 Bonds”); (vi) Public Utilities Revenue Bonds, Series 2020, currently outstanding in the aggregate principal amount of $__________ (the “Series 2020 Bonds”); (vii) a draw down loan with the United States Environmental Protection Agency (the “EPA”) for up to $348,635,000 under the Water Infrastructure Finance and Innovation Act (“WIFIA”) executed on September 15, 2020 (the “WIFIA Loan” or the “Series 2020B Bonds”); (viii) Public Utilities Revenue Bonds, Series 2022, currently outstanding in the aggregate principal amount of $__________ (the “Series 2022 Bonds”); (vi) Public Utilities Revenue Bonds, Series 2024A, currently outstanding in the aggregate principal amount of $__________ (the “Series 2024A Bonds”); and (vii) Public Utilities Revenue Bonds, Series 2025, currently outstanding in the aggregate principal amount of $_________ (the “Series 2025 Bonds” and, collectively with the Series 2009 Bonds, the Series 2010 Bonds, the Series 2011 Bonds, the Series 2012 Bonds, the Series 2017 Bonds, the Series 2020 Bonds, the Series 2020B Bonds, the Series 2022 Bonds, the Series 2024A Bonds and the Series 2025 Bonds, the “Outstanding Parity Bonds”). The City may issue additional Bonds payable on a parity with the Series 202_ [Bonds][Notes] and the Outstanding Parity Bonds (the “Additional Bonds”) upon complying with certain requirements set forth in the Indenture and in the WIFIA Loan Agreement dated as of September 15, 2020 that evidences the WIFIA Loan (the “WIFIA Loan Agreement”) by and between the City and the EPA. Such Additional Bonds together with the Series 202_ [Bonds][Notes] and the Outstanding Parity Bonds are sometimes collectively referred to herein as the “Bonds.” See “SECURITY AND SOURCES OF PAYMENT FOR THE BONDS—Additional Bonds” below. REDEMPTION PROVISIONS The Series 202_ [Bonds][Notes] are subject to optional and mandatory sinking fund redemption prior to maturity. See “THE SERIES 202_ [BONDS][NOTES]—Redemption” below. -4- REGISTRATION, DENOMINATIONS, MANNER OF PAYMENT The Series 202_ [Bonds][Notes] are issuable only as fully-registered Series 202_ [Bonds][Notes] and, when issued, will be registered in the name of Cede & Co., as nominee for The Depository Trust Company, New York, New York (“DTC”), which will act as securities depository of the Series 202_ [Bonds][Notes]. Purchases of Series 202_ [Bonds][Notes] will be made in book-entry only form, in the principal amount of $[5,000] or any integral multiple thereof, through brokers and dealers who are, or who act through, DTC participants. Beneficial owners of the Series 202_ [Bonds][Notes] will not be entitled to receive physical delivery of bond certificates so long as DTC or a successor securities depository acts as the securities depository with respect to the Series 202_ [Bonds][Notes]. So long as Cede & Co. is the registered Owner of the Series 202_ [Bonds][Notes], as nominee of DTC, references herein and in the Indenture to the bondowners or registered Owners of the Series 202_ [Bonds][Notes] shall mean Cede & Co. and shall not mean the beneficial owners of the Series 202_ [Bonds][Notes]. Principal of and interest on the Series 202_ [Bonds][Notes] (interest payable February 1 and August 1 of each year, commencing __________ 1, 202_) are payable by U.S. Bank Trust Company, National Association, Salt Lake City, Utah, as Paying Agent, to the registered owners of the Series 202_ [Bonds][Notes], initially Cede & Co., as nominee of DTC. See “THE SERIES 202_ [BONDS][NOTES]—Book-Entry Only System” below. TRANSFER OR EXCHANGE Except as described under “THE SERIES 202_ [BONDS][NOTES] —Book-Entry Only System” below, in all cases in which the privilege of exchanging or transferring the Series 202_ [Bonds][Notes] is exercised, the City shall execute, and the Trustee shall authenticate and deliver, the Series 202_ [Bonds][Notes] in accordance with the provisions of the Indenture. For every such exchange or transfer of the Series 202_ [Bonds][Notes], the City or the Trustee may make a charge sufficient to reimburse it for any tax, fee, or other governmental charge required to be paid with respect to such exchange or transfer of the Series 202_ [Bonds][Notes] but may impose no other charge therefor. The Trustee, shall not be required to transfer or exchange any Series 202_ Bond during the period from and including any Record Date, to and including the next succeeding Interest Payment Date. In addition, the City, the Trustee and any Transfer Agent shall not be required (a) to issue, register the transfer of or exchange any Bond during a period beginning at the opening of business 15 days before the date of the mailing of a notice of redemption of Series 202_ [Bonds][Notes] selected for redemption under the Indenture and ending at the close of business on the day of such mailing, or (b) to register the transfer of or exchange any Series 202_ Bond so selected for redemption in whole or in part, except the unredeemed portion of Series 202_ [Bonds][Notes] being redeemed in part. -5- TAX-EXEMPT STATUS Subject to compliance by the City with certain covenants, in the opinion of Chapman and Cutler LLP, Bond Counsel, under present law, interest on the Series 202_ [Bonds][Notes] is excludible from gross income of the owners thereof for federal income tax purposes and is not includible as an item of tax preference in computing the federal alternative minimum tax for individuals. Interest on the Series 202_ [Bonds][Notes] may affect the corporate alternative minimum tax for certain corporations. In the opinion of Bond Counsel, under the existing laws of the State of Utah, as presently enacted and construed, interest on the Series 202_ [Bonds][Notes] is exempt from taxes imposed by the Utah Individual Income Tax Act. See “TAX MATTERS” herein for a more complete discussion. CONDITIONS OF DELIVERY, ANTICIPATED DATE, MANNER AND PLACE OF DELIVERY The Series 202_ [Bonds][Notes] are offered, subject to prior sale, when, as and if issued and received by __________ and __________ (collectively, the “Underwriters”), subject to the approval of the legality of the Series 202_ [Bonds][Notes] by Chapman and Cutler LLP, Bond Counsel to the City, and certain other conditions. Certain matters relating to disclosure will be passed upon for the City by Chapman and Cutler LLP as disclosure counsel to the City. Certain legal matters will be passed on for the City by the City Attorney. Certain matters will be passed upon for the Underwriters by __________. It is expected that the Series 202_ [Bonds][Notes], in book-entry form only, will be available for delivery through the facilities of DTC on or about __________, 202_. CONTINUING DISCLOSURE The City will execute a Continuing Disclosure Undertaking for the benefit of the beneficial owners of the Series 202_ [Bonds][Notes] to enable the Underwriters to comply with the requirements of Rule 15c2-12 under the Securities Exchange Act of 1934, as amended. See CONTINUING DISCLOSURE UNDERTAKING” and “APPENDIX F—FORM OF CONTINUING DISCLOSURE UNDERTAKING.” BASIC DOCUMENTATION This Official Statement speaks only as of its date and the information contained herein is subject to change. Brief descriptions of the System, the City, the Series 202_ [Bonds][Notes], and the Indenture are included in this Official Statement. Such descriptions do not purport to be comprehensive or definitive. Descriptions of the Series 202_ [Bonds][Notes] are qualified by reference to bankruptcy laws1 affecting the remedies for the enforcement of the rights and security provided therein and the effect of the exercise of the police power by any entity having jurisdiction. The “basic documentation,” which includes the Indenture and other documentation authorizing the issuance of the Series 202_ [Bonds][Notes] and establishing the rights and responsibilities of the 1 There is currently no specific authorization under the Utah Code for the City to file bankruptcy under Chapter 9 of the U.S. Bankruptcy Code. -6- City and other parties to the transaction, may be obtained from the Municipal Advisor as indicated below. CONTACT PERSONS The primary contact for the City in connection with the issuance of the Series 202_ [Bonds][Notes] is: Lisa M. Tarufelli Finance Administrator Department of Public Utilities Salt Lake City Corporation 1530 South West Temple Salt Lake City, Utah 84115 (801) 483-6755 lisa.tarufelli@slc.gov Additional requests for information may be directed to the City’s Municipal Advisor as follows: John Crandall, Executive Managing Director Elizabeth Read, Director Stifel, Nicolaus & Company, Incorporated 15 West South Temple, Suite 1090 Salt Lake City, Utah 84101 (385) 799-7231 crandallj@stifel.com reade@stifel.com ADDITIONAL INFORMATION In preparing this Official Statement, the City has relied upon information furnished by DTC and others. This Official Statement also includes summaries of the terms of the Series 202_ [Bonds][Notes], certain provisions of the Act and the Utah Code. The summaries of and references to all documents and statutes referred to herein do not purport to be complete, comprehensive or definitive, and each such summary and reference is qualified in its entirety by reference to each such document or statute. Any statements in this Official Statement involving matters of opinion, whether or not expressly so stated, are intended as such and not as representations of fact. This Official Statement is not to be construed as a contract or agreement between the City and the purchasers or owners of any of the Series 202_ [Bonds][Notes]. -7- THE SERIES 202_ [BONDS][NOTES] GENERAL The Series 202_ [Bonds][Notes] are dated the date of their initial delivery and, except as otherwise provided in the Indenture, shall bear interest from said date. Interest on the Series 202_ [Bonds][Notes] will be payable semiannually on February 1 and August 1 of each year commencing __________ 1, 202_. Interest on the Series 202_ [Bonds][Notes] will be computed on the basis of a 360-day year consisting of twelve 30-day months. The Series 202_ [Bonds][Notes] will be issued as fully registered Series 202_ [Bonds][Notes], initially in book- entry form, in denominations of $[5,000] or any integral multiple thereof, not exceeding the amount of each maturity. The Series 202_ [Bonds][Notes] shall bear interest at the rates and shall mature annually in each of the years as set forth inside the front cover of this Official Statement. The Series 202_ [Bonds][Notes] are special limited obligations of the City, payable solely from the Net Revenues, moneys, securities, and funds pledged therefor in the Indenture. Neither the credit nor the taxing power of the City, the State or any agency, instrumentality, or political subdivision thereof is pledged for the payment of the principal of, premium, if any, or interest on the Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] are not general obligations of the City or the State or any agency, instrumentality, or political subdivision thereof. The issuance of the Series 202_ [Bonds][Notes] shall not directly, indirectly, or contingently obligate the City or the State or any agency, instrumentality, or political subdivision thereof to levy any form of taxation therefor or to make any appropriation for the payment of the Series 202_ [Bonds][Notes]. Interest on the Series 202_ [Bonds][Notes] will be paid on each Interest Payment Date to the registered owner thereof (initially DTC) who is the registered owner at the close of business on the Record Date for such interest, which shall be the fifteenth day of the month next preceding such Interest Payment Date. Any such interest not so punctually paid or duly provided for shall forthwith cease to be payable to the registered owner of any Series 202_ [Bonds][Notes] on such Regular Record Date, and may be paid to the registered owner thereof at the close of business on a Special Record Date for the payment of such defaulted interest to be fixed by the Trustee, notice thereof to be given to such registered owner not less than ten days prior to such Special Record Date. The principal of and premium, if any, on the Series 202_ [Bonds][Notes] are payable upon presentation and surrender thereof at the principal corporate trust office of the Trustee. Interest shall be paid by check or draft mailed on each Interest Payment Date to the registered owner (initially DTC) of each of the Series 202_ [Bonds][Notes] as the name and address of such registered owner appear on the record date in the Register. REDEMPTION Optional Redemption. The Series 202_ [Bonds][Notes] maturing on or after February 1, 20__, are subject to redemption at the election of the City on any date on or after __________ 1, 20__, in whole or in part (if in part, such Series 202_ [Bonds][Notes] to be redeemed will be selected from such maturities as are determined by the City in its discretion and within each -8- maturity as selected by the Trustee), upon notice as provided below. Such optional redemption of the Series 202_ [Bonds][Notes] will be at the Redemption Price equal to the principal amount thereof, but without premium, plus accrued interest thereon to the redemption date. Mandatory Sinking Fund Redemption. The Series 202_ [Bonds][Notes] maturing on February 1, 20__ and bearing interest at ____% (the “Term [Bond][Note]”), are subject to mandatory sinking fund redemption at a redemption price equal to 100% of the principal amount thereof plus accrued interest thereon to the redemption date on the dates and in the principal amounts as follows: MANDATORY SINKING FUND REDEMPTION DATE (FEBRUARY 1) MANDATORY SINKING FUND REDEMPTION AMOUNT * ____________________ * Final Maturity Date. Upon redemption of any portion of the Term Bond, other than by application of such mandatory sinking fund redemption, an amount equal to the principal amount so redeemed will be credited toward a part or all of any one or more of such mandatory sinking fund redemption amounts for the Term Bond in such order of mandatory sinking fund date as shall be directed by the City. Notice of Redemption. Notice of redemption will be given by first class mail, not less than 30 nor more than 45 days prior to the redemption date, to the registered owner of a Series 202_ [Bond][Note], at such owner’s address as it appears on the bond registration books of the Trustee or at such address as it may have filed with the Trustee for that purpose. Each notice of redemption will state the redemption date, the place of redemption, the source of the funds to be used for such redemption, the principal amount and, if less than all of the Series 202_ [Bonds][Notes] of like maturity are to be redeemed, the distinctive numbers of the Series 202_ [Bonds][Notes] to be redeemed, and will also state that the interest on the Series 202_ [Bonds][Notes] in such notice designated for redemption will cease to accrue from and after such redemption date and that on said date there will become due and payable on each of such Series 202_ [Bonds][Notes] the Redemption Price thereof and interest accrued thereon to the redemption date. If at the time of mailing of the notice of optional redemption there has not been deposited with the Trustee moneys sufficient to redeem all Series 202_ [Bonds][Notes] called for redemption, which moneys are or will be available for redemption of Series 202_ [Bonds][Notes], such notice may state that such redemption is conditioned upon the receipt by the Trustee on or prior to the date fixed for such redemption of money sufficient to pay the Redemption Price of and interest on the Series 202_ [Bonds][Notes] to be redeemed, and that if such money has not been so received said notice is of no force and effect, and the City is not required to redeem such Series -9- 202_ [Bonds][Notes]. In the event that such notice of redemption contains such a condition and such money is not so received, the redemption will not be made and the Trustee will, as soon as possible after the redemption date, give notice, in the manner in which the notice of redemption was given, that such money was not so received and that such redemption was not made. TRANSFER, EXCHANGE AND PAYMENT OF THE SERIES 202_ [BONDS][NOTES] In the event that the book-entry only system has been terminated, any Series 202_ [Bond][Note] may, in accordance with its terms, be transferred upon the books required to be kept pursuant to the provisions of the Indenture, by the person in whose name it is registered, in person or by such person’s duly authorized attorney, upon surrender of such Series 202_ [Bond][Note] for cancellation, accompanied by delivery of a written instrument of transfer in a form approved by the Trustee, duly executed. Whenever any Series 202_ [Bond][Note] or [Bonds][Notes] are surrendered for transfer, the Trustee will authenticate and deliver a new fully registered Series 202_ [Bond][Note] or [Bonds][Notes] duly executed by the City for like aggregate principal amount. The Trustee will require the payment by the Bondholder requesting such transfer of any tax or other governmental charge required to be paid with respect to such transfer. In the event that the book-entry only system has been terminated, any Series 202_ [Bond][Note] may be exchanged at the principal corporate trust operations office of the Trustee for a like aggregate principal amount of Series 202_ [Bonds][Notes] of the same series and maturity of authorized denominations. The Trustee will require the payment by the Bondholder requesting such exchange of any tax or other governmental charge required to be paid with respect to such exchange. No such exchange will be required to be made during the 15 days preceding each interest payment date. The principal of, and premium, if any, and interest on, the Series 202_ [Bonds][Notes] is payable in lawful money of the United States of America. In the event that the book-entry only system has been terminated, principal of and premium, if any, on the Series 202_ [Bonds][Notes] when due will be payable at the principal corporate trust operations office of the Trustee, or of its successor as Paying Agent for the Series 202_ [Bonds][Notes]. In the event that the book-entry only system has been terminated, payment of interest on the Series 202_ [Bonds][Notes] will be paid by check or draft mailed to the registered owner of record as of the close of business on the Record Date at such owner’s address as it appears on the registration books of the Trustee or at such other address as is furnished in writing by such registered owner to the Trustee prior to the Record Date. BOOK-ENTRY ONLY SYSTEM The Series 202_ [Bonds][Notes] originally will be issued solely in book-entry form to DTC or its nominee, Cede & Co., to be held in DTC’s book-entry only system. So long as such Series 202_ [Bonds][Notes] are held in the book-entry only system, DTC or its nominee will be the registered owner or Holder of such Series 202_ [Bonds][Notes] for all purposes of the Indenture, the Series 202_ [Bonds][Notes] and this Official Statement. Purchases of beneficial ownership interests in the Series 202_ [Bonds][Notes] may be made in the denominations described above. -10- For a description of the book-entry system for the Series 202_ [Bonds][Notes], see “APPENDIX E—PROVISIONS REGARDING BOOK-ENTRY ONLY SYSTEM.” [THE SERIES 202_ PROJECT A portion of the proceeds from the Series 202_ [Notes] will be used to finance the acquisition, construction, remodeling and improvement of a campus for the Department. The new campus will consolidate services, staff and departmental functions currently operating at separate location. The Series 202_ Project will include remodeling of an existing building and construction of additional facilities and other improvements and will provide adjacencies for various functions in the Department.] [PLAN OF REFUNDING The Series 202_ Bonds are being issued for the purpose of effecting an advanced refunding prior to their maturity of [all][a portion] of the Refunded Bonds (as defined below). Proceeds from the Series 202_ Bonds in the amount of $__________ will be deposited in the bond service subaccount for the Series 2017 Bonds and will be used to refund the Series 2017 Bonds maturing on and after February 1, 2026 (the “Refunded Bonds”). The Refunded Bonds will be called for redemption on or about __________, 202_, at a redemption price of one hundred percent (100%) of the principal amount thereof plus accrued interest thereon to the redemption date. The Refunded Bonds are scheduled to mature on the dates and in the amounts, and bear interest at the rates, as follows: SCHEDULED MATURITY (FEBRUARY 1) PRINCIPAL AMOUNT INTEREST RATE TOTAL:] [Proceeds from the Series 202_ Bonds in the amount of $__________ will be deposited with U.S. Bank Trust Company, National Association, as escrow agent (the “Escrow Agent”), pursuant to an Escrow Agreement, dated as of __________, 202_ (the “Escrow Agreement”), to -11- establish an irrevocable trust escrow account (the “Escrow Account”), consisting of cash and noncallable direct full faith and credit obligations of the United States of America. Funds in the Escrow Account will be used to refund the Series 2017 Bonds maturing on and after February 1, 202_ (the “Refunded Bonds”). The Refunded Bonds will be called for redemption on or about February 1, 2026, at a redemption price of one hundred percent (100%) of the principal amount thereof plus accrued interest thereon to the redemption date. The Refunded Bonds are scheduled to mature on the dates and in the amounts, and bear interest at the rates, as follows: SCHEDULED MATURITY (FEBRUARY 1) PRINCIPAL AMOUNT INTEREST RATE TOTAL: The cash and investments held in the Escrow Account will bear interest and mature in amounts sufficient to pay the interest falling due on the Refunded Bonds through February 1, 2026 and the redemption price of the Refunded Bonds on February 1, 2026. Certain mathematical computations regarding the sufficiency of the investments held in the Escrow Account will be verified by __________, __________, __________, independent Certified Public Accountants. See “ESCROW VERIFICATION” below.]] -12- ESTIMATED SOURCES AND USES OF FUNDS The sources and uses of funds in connection with the issuance of the Series 202_ [Bonds][Notes] are estimated to be as follows: SOURCES: Par amount of the Series 202_ [Bonds][Notes] $ Reofferin Premium TOTAL $ USES: [Series 202_ Project $ ] [Deposit to Escrow Account $ ] [Deposit to Series 2017 Bond service subaccount $ ] Costs of issuance(1) TOTAL $ _________________________ (1) Includes Underwriters’ discount, legal, and Trustee fees and expenses, and other costs incurred in connection with the issuance of the Series 202_ [Bonds][Notes] [and the refunding of the Refunded Bonds]. -13- DEBT SERVICE SCHEDULE FOR THE SERIES 202_ [BONDS][NOTES] AND THE OUTSTANDING PARITY BONDS The following table sets forth the debt service requirements of the Series 202_ [Bonds][Notes], the Series 2020B Bonds (WIFIA Loan), and the Outstanding Parity Bonds (other than the Series 2020B Bonds).(1) FISCAL SERIES 202_ [BONDS][NOTES] SERIES OUTSTANDING FISCAL YEAR PRINCIPAL INTEREST PERIOD TOTAL 2020B BONDS(2) PARITY BONDS(3) TOTAL 2026 -$ - $ 39,969,675 2027 - 39,963,274 2028 - 38,769,053 2029 14,723,236 38,773,539 2030 14,723,236 39,206,516 2031 14,723,236 39,214,852 2032 14,723,236 38,138,151 2033 14,723,236 38,142,561 2034 14,723,236 38,144,366 2035 14,723,236 38,136,566 2036 14,723,236 38,137,411 2037 14,723,236 38,139,151 2038 14,723,236 32,448,986 2039 14,723,236 32,449,516 2040 14,723,236 32,447,926 2041 14,723,236 32,443,341 2042 14,723,236 32,448,301 2043 14,723,236 32,451,166 2044 14,723,236 32,449,111 2045 14,723,236 32,450,605 2046 14,723,236 32,449,610 2047 14,723,236 32,447,368 2048 14,723,236 32,447,886 2049 14,723,236 32,444,498 2050 14,723,236 32,446,474 2051 14,723,236 21,995,659 2052 14,723,236 21,996,678 2053 14,723,236 744,905 2054 14,723,236 745,560 2055 14,723,236 745,065 2056 14,723,236 745,435 2057 14,723,236 744,655 2058 14,723,236 744,740 2059 - 744,675 2060 - 745,460 2061 - 745,080 2062 - 745,550 2063 - 744,855 2064 - 745,010 Total(1) $441,697,068 $939,493,231 ____________________ (1) Totals may not total because amounts have been rounded. (2) Debt service on Series 2020B Bonds (WIFIA Loan), based on anticipated draws per the City’s fiscal year 2025 budget. (3) Debt service on Outstanding Parity Bonds, not including the estimated debt service on the Series 2020B Bonds [and assuming the Refunded Bonds have been refunded]. (Source: The Municipal Advisor.) -14- SECURITY AND SOURCES OF PAYMENT FOR THE BONDS GENERAL The Series 202_ [Bonds][Notes] and all other Bonds issued under the Master Indenture will be secured equally and ratably by the Net Revenues and funds pledged therefor pursuant to the Master Indenture. The Series 202_ [Bonds][Notes] are special obligations of the City, payable exclusively from the Revenues, moneys, securities and funds pledged therefor in the Indenture, after the payment from such Revenues of Operation and Maintenance Costs of the System. “Revenues” means all revenues, connection fees, income, rents and receipts derived by the City from or attributable to the System, including all interest, profits or other income derived from the investment of any moneys held pursuant to the Indenture and the proceeds of any interest subsidy with respect to the Bonds. Revenues do not include proceeds received on insurance resulting from casualty damage to assets of the System or the proceeds of sale of bonds, notes or other obligations issued for System purposes. “Net Revenues” means, for any period, the Revenues for such period less the Operation and Maintenance Costs (as defined in APPENDIX B). In the case of an Event of Default under the Indenture, the Series 202_ [Bonds][Notes] are not subject to acceleration. NEITHER THE FAITH AND CREDIT NOR THE TAXING POWER OF THE CITY IS PLEDGED AS SECURITY FOR THE SERIES 202_ [BONDS][NOTES], AND THE SERIES 202_ [BONDS][NOTES] DO NOT CONSTITUTE GENERAL OBLIGATIONS OF THE CITY OR OF ANY OTHER ENTITY OR BODY, MUNICIPAL, STATE OR OTHERWISE. THE INDENTURE DOES NOT MORTGAGE OR OTHERWISE PLEDGE ANY SYSTEM PROPERTIES. NO DEBT SERVICE RESERVE REQUIREMENT The __________ Supplemental Indenture provides that there will be no Debt Service Reserve Requirement for the Series 202_ [Bonds][Notes]. Certain of the Outstanding Parity Bonds have a covenant to fund a debt service reserve fund for the related bonds under certain circumstances. However, if funded, such debt service reserves will not secure the Series 202_ [Bonds][Notes]. FLOW OF FUNDS The Revenues are to be deposited by the City in the Revenue Fund. On or before the fourth Business Day prior to the end of each month, after the payment of unpaid Operation and Maintenance Costs then due, the City will transfer from the Revenue Fund, to the extent of money available therein, and deposit into the following Fund and Accounts the amounts set forth below: (a) in the Principal and Interest Fund (i) for credit to the Bond Service Account, the amount, if any, required so that the balance therein meets the Debt Service requirements on any outstanding Bonds (provided that if there are not sufficient moneys in the Revenue Fund to satisfy the requirements of this provision (i) with respect to all Series Subaccounts in the Bond Service Account, all moneys available for distribution among such Series Subaccounts will be deposited into the Bond Service Account and distributed pro rata based -15- on the amount of the deficiencies to the deficient Series Subaccounts in the Bond Service Account, and provided further, there shall be allowances for amounts transferred from the Construction Fund to pay capitalized interest); and (ii) for credit to the Debt Service Reserve Account, such amounts as are required by the Master Indenture and any Supplemental Indenture for each Series of Bonds (provided that if there are not sufficient moneys in the Revenue Fund to satisfy the requirements of this provision (ii) all moneys available for distribution among the Series Subaccounts in the Debt Service Reserve Account will be deposited into the Debt Service Reserve Account and distributed pro rata based on the amount of deficiencies to the deficient Series Subaccounts in the Debt Service Reserve Account) (see “APPENDIX B—Flow of Funds”); and (b) in the Renewal and Replacement Fund the amounts necessary to fund the Renewal and Replacement Fund Reserve Requirement. The Renewal and Replacement Fund Reserve Requirement currently is $0. Notwithstanding the foregoing, no deposits will be required into the Principal and Interest Fund so long as there is held in the Principal and Interest Fund an amount sufficient to pay in full all outstanding Bonds in accordance with their terms. Amounts remaining in the Revenue Fund at the end of each month after payment of the amounts set forth above may be applied by the City, free and clear of the lien of the Indenture, to any lawful purpose of the City. It has been the City Council’s practice to keep such amounts for use within the System. For a more detailed discussion of the flow of funds under the Indenture, please see “Flow of Funds” in APPENDIX B. RATE COVENANT The City covenants in the Master Indenture that for so long as any Bonds remain outstanding the City will establish and collect rates and charges for System services that, together with other available income from the System, are reasonably expected to produce Net Revenues for the forthcoming Fiscal Year (i) equal to at least (a) 1.25 times the Aggregate Debt Service for such forthcoming Fiscal Year on all Bonds outstanding and (b) the Repayment Obligations, if any, that are due and payable during the forthcoming Fiscal Year and (ii) sufficient to fund the Debt Service Reserve Account at the times, rates and in the manner specified in the Master Indenture (collectively, the “Rate Covenant Requirement”). See “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES” herein. OUTSTANDING PARITY BONDS The Outstanding Parity Bonds are outstanding under the Master Indenture in the total aggregate principal amount of $__________, which includes $__________ of the total $348.635 million WIFIA Loan (Series 2020B Bonds) which has been drawn to date. The City anticipates drawing the remainder of the WIFIA Loan over the next [two] years. -16- The Series 202_ [Bonds][Notes], the Outstanding Parity Bonds, and any Additional Bonds hereafter issued pursuant to the provisions of the Master Indenture are equally and ratably secured under the terms of the Master Indenture. ADDITIONAL BONDS Additional Bonds may be issued under the Master Indenture by the City only upon the satisfaction of various conditions specified in the Master Indenture. The amount of Additional Bonds that may be issued under the Master Indenture is not limited by law or the Master Indenture. In connection with the issuance of Additional Bonds to finance the construction of a Project, the City is required to file, among other things, the following documents with the Trustee: (a) a certificate of the City setting forth the then estimated completion date and the then estimated cost of construction of the Project being financed by the Additional Bonds; (b) either: (i) a certificate of the City either for the City’s most recent Fiscal Year or for any Year during the most recent 18 months showing that the Net Revenues for such period would not be less than the Rate Covenant Requirement with respect to all Bonds to be outstanding at any time during the Year next following the issuance of the Additional Bonds and the Repayment Obligations to be outstanding at any time during the Year next following the issuance of the Additional Bonds; or (ii) (A)(I) an Accountant’s Certificate, (II) an Engineer’s Certificate or (III) any combination of (I) and (II) setting forth the Estimated Net Revenues (assuming the completion of the Project on its then estimated completion date) for whichever of the following periods shall extend until the latest date: (1) if the Supplemental Indenture authorizing the Additional Bonds requires that interest on the Additional Bonds be capitalized until a certain date in accordance with the Indenture, for each of the two Fiscal Years succeeding such date, or (2) if the Supplemental Indenture authorizing the Additional Bonds does not require that interest on the Additional Bonds be capitalized, for the then current Fiscal Year and each succeeding Fiscal Year to and including the third Fiscal Year succeeding the date of issuance of the Additional Bonds; and (B) a certificate of the City showing the Aggregate Debt Service for each of the Fiscal Years set forth in the certificate or certificates described in subparagraph (A) above and showing that the Estimated Net Revenues as shown in such certificate or certificates for each of such Fiscal Years are not less than the Rate Covenant Requirement for each of such Fiscal Years after the issuance of the Additional Bonds. -17- In connection with the issuance of Additional Bonds to refund all or a part of the outstanding Bonds of one or more series, the City is required to deliver to the Trustee: (a) a certificate of the City stating that the issuance of such Additional Bonds complies with the requirements of the Indenture and either (i) a Certificate of the City setting forth the Aggregate Debt Service for each Fiscal Year to and including the Fiscal Year in which occurs the latest maturity of the Bonds to be refunded or the Additional Bonds, whichever is later, (A) with respect to the Bonds to be refunded and (B) with respect to the Additional Bonds, and stating that the Aggregate Debt Service for any Fiscal Year set forth pursuant to clause (B) is no greater than the Aggregate Debt Service for any Fiscal Year set forth pursuant to clause (A); or (ii) an Accountant’s Certificate (A) setting forth for the latest Fiscal Year preceding the delivery of the Additional Bonds for which Fiscal Year an audited financial report is available, the Net Revenues for such period, and (B) showing that such Net Revenues for such year would not be less than the Rate Covenant Requirement (for each Fiscal Year to and including the Fiscal Year in which occurs the latest maturity of the Additional Bonds). (b) irrevocable instructions to the Trustee to give notice of redemption of all of the Bonds to be refunded on the redemption date or dates specified in such instructions; (c) if the Bonds to be refunded are not by their terms subject to redemption within the next 60 days, irrevocable instructions to the Trustee to mail notice to the holders of the Bonds being refunded pursuant to the Indenture; (d) either (i) moneys in an amount sufficient to effect payment at the applicable Redemption Price of the Bonds to be refunded, together with accrued interest on such Bonds to the redemption date, or (ii) Investment Securities in such principal amounts, of such maturities and bearing such interest as shall be sufficient together with the moneys, if any, deposited at the same time, to pay when due the principal or Redemption Price, if applicable, and interest due and to become due on the Bonds to be refunded on and prior to the redemption date or maturity date thereof as the case may be; and (e) if the Additional Bonds to be issued are Cross-Over Refunding Bonds, the Supplemental Indenture providing for the issuance of the Additional Bonds shall, in addition to all other requirements of paragraphs (a), (b), (c) and (d), provide: (i) that until the Cross-Over Date neither principal of nor interest on the Cross-Over Refunding Bonds shall be payable from or secured by a pledge of the Revenues, but shall be payable solely from the escrow provided for under the Utah Refunding Bond Act; and (ii) there shall be filed with the Trustee an Accountant’s Certificate demonstrating the sufficiency of the moneys and investments in the escrow provided for under the Utah Refunding Bond Act to pay principal of and interest on the Cross-Over Refunding Bonds to the Cross-Over Date (which Cross-Over Date may, at the option of the City, be extended as provided in the Supplemental -18- Indenture providing for the issuance of the Cross-Over Refunding Bonds, but only upon filing a revised Accountant’s Certificate which demonstrates that the moneys and investments then in the escrow will be sufficient to pay principal of and interest on the Cross-over Refunding Bonds to the extended Cross-Over Date). In addition, one or more Series of Bond Anticipation Notes, payable on a parity with all Outstanding Bonds (except as provided below), may be authenticated and delivered upon original issuance from time to time in such Principal amount for each such Series as may be determined by the City for the purpose of paying or providing for the payment of all or a portion of the Cost of Construction of a Project, or the refunding of Bond Anticipation Notes, or a combination of such purpose. Each Supplemental Indenture authorizing the issuance of a Series of Bond Anticipation Notes (i) shall specify the Project for which the proceeds of such Series of Bond Anticipation Notes will be applied, and (ii) may require the City to deposit a specified amount of money from the proceeds of the sale of such Series of Bond Anticipation Notes into a Project Account in the Construction Fund to pay when due all or a portion of the interest on such Series of Bond Anticipation Notes accrued and to accrue to the Estimated Completion, plus interest to accrue on such Series of Bond Anticipation Notes after the Estimated Completion Date for up to one Year (or such different period as may then be permitted by law. If so provided in the Supplemental Indenture providing for the issuance of any Series of Bond Anticipation Notes, the payment of the Principal Installments on such Bond Anticipation Notes shall be subject to the prior lien and charge created in the Indenture for the payment of the Bonds out of the Principal and Interest Fund. As of the date of issuance of any Series of Bond Anticipation Notes, the aggregate Principal amount of all outstanding Bond Anticipation Notes (including such Series) shall never exceed the Principal amount of a hypothetical Series of Bonds which could be issued by the City on such date in compliance with the provisions described above for construction Bonds, having an assumed final maturity of 30 years, bearing an assumed rate of interest equal to the highest rate then borne by any outstanding Bond Anticipation Notes and having Debt Service due in each Fiscal Year in approximately equal amounts; provided that if no Series of Bond Anticipation Notes are then Outstanding under the Indenture, the interest rate used for purposes of the calculation shall be the interest rate borne by the Series of Bond Anticipation Notes to be issued. For a discussion on plans for the issuance of Additional Bonds, please see “THE CITY – Future Debt Plans” herein. THE SYSTEM {TO BE UPDATED.} THE DEPARTMENT OF PUBLIC UTILITIES General. The Department is responsible for the administration and maintenance of the System, which, for purposes of the Indenture, consists of the following utilities and their separate -19- systems: water, sewer, stormwater, and street lighting. Each utility serves as a separate enterprise fund; provided, however, under the Indenture the combined revenues of each of the utilities have been pledged for the payment of the Bonds. The Department is under the administration of the Mayor, who receives input from the Public Utilities Advisory Committee. PUBLIC UTILITIES ADVISORY COMMITTEE Policy input is provided to the Mayor by a nine-member Public Utilities Advisory Committee (“PUAC”), which was formed in 1980. Committee members represent City and County customers with regard to rate structures, annual budgets, capital improvements and watershed protection. PUAC provides citizen input on both operations and policies. Members of the PUAC are entitled to a stipend per meeting, subject to an annual maximum for any individual, which stipend may be declined. There are currently two vacancies on the PUAC. MANAGEMENT PERSONNEL The System is administered by the Department, which includes the following personnel: Laura Briefer, MPA, Director, has overall responsibility for the Department. Ms. Briefer has worked at the Department for more than 15 years in various areas of the organization and has 27 years professional experience in natural resource and environmental professions in the public, private, and non-profit sectors. Ms. Briefer was appointed as the City’s Public Utilities Director in 2016. She holds a bachelor’s degree in environmental studies from the University of California at Santa Barbara, and a Master of Public Administration from the University of Utah. Ms. Briefer serves on the Utah Water Task Force, on the board of directors of the Provo River Water Users Association, the National Association of Clean Water Agencies, and the Water Research Foundation. Jesse Stewart, P.G., Deputy Director, is responsible for the Department’s Water Reclamation, Water Quality and Treatment, Water Resources, Street Lighting, Safety, and Operations and Maintenance Divisions. Mr. Stewart joined the Department in August 2013. He graduated from the University of Wyoming in 1989 with a bachelor’s degree in business administration and from Weber State University in 2001 with a degree in environmental geosciences. Mr. Stewart is a registered professional geologist in the State of Utah. Prior to coming to the Department, Mr. Stewart was a principal level project manager and hydrogeologist with a worldwide engineering and environmental firm. Mr. Stewart serves on the board of directors for the Utah Lake Water Users Association. Jason Brown, PE ENV-SP, Deputy Director, is responsible for the Graphic Information System/Information Management System, Development Services, and Engineering Divisions within the Department of Public Utilities. Mr. Brown is a licensed professional Engineer with over 25 years of engineering experience. He has been with the Department for over 18 years and has served in various roles including Development Review, Water System Program Manager, Capital Improvements Program Manager and Chief Engineer. He is a member of American Water -20- Works Association (AWWA), American Society of Civil Engineers (ASCE) and is a Envision Sustainable Professional (ENV-SP). Lisa M. Tarufelli, MBA, Finance Administrator, is responsible for the Department’s accounting, budgeting, customer service, billing and metering technology sections. Ms. Tarufelli was appointed in January 2019 and has more than 35 years of professional, municipal government experience, working extensively in all aspects of municipal finance. Ms. Tarufelli received a Bachelor of Science in accounting as well as a Master of Business Administration from the University of Utah. She is a member of the Government Finance Officer of America (GFOA) and has been a licensed Certified Public Accountant in the State of Wyoming for 40 years. Tamara Wambeam, MS, GIS and IT Administrator, is responsible for all information management, information technology and mapping needs of the Department, including all hardware, software, programming, mapping, surveying and pipe locating. Ms. Wambeam has been working in geographic information systems (“GIS”) and information technology (“IT”) for over 30 years. Ms. Wambeam has a Master of Science degree in geography with an emphasis in GIS and geomorphology from the University of Utah. Jamey West, Water Reclamation Manager, is responsible for the City’s water reclamation facility. Mr. West spent 20 years employed in almost all facets of the wastewater industry before becoming the Operations and Maintenance Manager at the SLCWRF in 2016. He soon after assumed the responsibilities as the facility manager in early 2017. He holds a Grade IV Wastewater Treatment certification as well as a Grade IV Wastewater Collections certification from the Utah Division of Water Quality and is a member in good standing of the Water Environment Federation. Jeff Grimsdell, Operations and Maintenance Superintendent, is responsible for the operation and maintenance of the City’s Water, Sewer and Stormwater system and facilities. Jeff has been with the Public Utilities Department for 35 years, he started with the department in the Watershed Division, then moved to the Meter Reading Division and then on to the Water Distribution Division. Through his career he has covered Valve Operator, Junior, and Senior Water Distribution Operator. Jeff has held other management positions such as Water Maintenance Supervisor, Water Distribution Supervisor and Water Distribution System Manager before becoming the Operations and Maintenance Superintendent. Jeff has held a Grade 4 Water Distribution System Operator license for 23 years; he is also a 20-year member of the American Water Works Association (AWWA). Jeff served as a union steward and local vice president for the American Federation of State and Municipal Employees Local 1004 representing City employees. Jason Draper, PE CFM, Chief Engineer, is responsible for the management and coordination of all engineering and engineering related functions at the Department. Mr. Draper is a licensed professional Engineer with over 20 years of engineering experience. He has been with the Department for over 14 years and has served in various roles including Development Review Engineer, Development Review Manager, Deputy Chief Engineer, Floodplain administrator and the Stormwater Quality Program Manager. He is a member of American Water Works Association (AWWA), American Public Works Association (APWA), and Association of State Floodplain Managers (ASFPM). -21- Teresa Gray, LEHS, Water Quality & Treatment Administrator, is responsible for overseeing water quality and treatment programs in the Department. This includes the management of three water treatment facilities, regulatory program management for the Safe Drinking Water Act, Clean Water Act, and Stormwater Quality programs. She is a graduate of Weber State University with a bachelor’s degree in Microbiology, and a minor in Chemistry. Teresa Gray is a Licensed Environmental Health Scientist with over 30 years of experience. Prior to coming to the Department, she was the Bureau Manager of Water Quality and Hazardous Waste for the Salt Lake County Health Department. Kristeen Beitel, PE CFM, Development Services Administrator, is responsible for all development review and construction permitting for the Department, ensuring all federal, state, and city regulations are met with new construction and development. Ms. Beitel has been in the civil engineering field for 14 years, including work in utility design, land development, capital improvements, and development review. Ms. Beitel has a Bachelor of Science in Civil and Environmental Engineering from the University of Utah and is an ASFPM Certified Floodplain Manager. UTILITY RATES The City Council has full and independent power to set rates for services provided by the System. The Department plans System rates on a five-year rolling basis after evaluating projected Revenues, long-term capital improvement plans, and other factors. Proposed rate increases are developed during the annual budget process in consultation with PUAC. Upon recommendation by PUAC, the annual budget including proposed rate increases is submitted to the Mayor for review and subsequent recommendation to the City Council for its approval. The Department solicits feedback from System customers regarding proposed rate increases and shares responses with the City Council. The Department’s proposed budget for fiscal year 2026 included implementation of a new rate structure for the Water and Sewer Utilities effective July 1, 2025. The proposed revenue change associated with the new structure is approximately 20% and 22%, respectively. A 5% rate increase for the Stormwater Utility and 15% rate increase for Street Lighting Utilitiy were also proposed. The budget as approved by the City Council and became effective on July 1, 2025. For historical and projected rate adjustments, see “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES.” The City Council has generally been supportive of previous System rate increases. However, the City cannot predict how the City Council will vote on future rate increases. BILLING AND COLLECTION PROCEDURES The Department bills for all services provided by the System in one combined, monthly bill. Also included in the monthly bill are other City services, such as garbage collection, recycling, transit passes, and applicable franchise fees. All payments from customers are allocated based on percentage of charges and customers cannot choose to pay one charge for any particular utility over another. By City ordinance, outstanding or delinquent customer accounts are considered water fees and as such, water service would be denied until delinquent customers bring their account balance current or fully paid. Historically, delinquent accounts (defined as -22- outstanding balances greater than 90 days) have averaged less than 1% of outstanding accounts receivable. WATER UTILITY General. In the 2024 calendar year, the Water Utility provided water to an equivalent population of more than 381,000 people through more than 88,300 connections with an approximate per capita consumption in the 2024 calendar year of 154 gallons per day. Unlike other parts of the System which only service the City, the Water Utility service area includes the corporate limits of the City and other portions of Salt Lake County covering an area of over 141 square miles. The service area outside the City begins at the southern corporate limits of the City and extends to the mouth of Little Cottonwood Canyon on the south and is bounded by the Wasatch Mountains on the east and approximately 1300 East Street on the west. The Water Utility includes three primary water sources (some with multiple subsources, including 26 deep wells, several streams, and reservoirs), three water treatment plants, seven raw water storage reservoirs with a collective capacity of approximately 22,100 acre-feet (“AF”), 22 distribution reservoirs with a collective capacity of approximately 96 million gallons (“MG”), 10 storage tanks which have a collective capacity of 7.6 MG, and an interconnecting network of approximately 1,320 miles of distribution and transmission lines to link the numerous facilities with the customers. The City estimates that the weighted average age of the water lines is about 56 years. Sources and Supplies of Water. The City obtains the principal portion of its water supply from (a) direct stream flows (Big Cottonwood Creek, Little Cottonwood Creek, Parley’s Creek and City Creek located adjacent or in close proximity to the City) and (b) reservoir storage in Deer Creek Reservoir on the Provo River in Wasatch County and Mountain Dell and Little Dell Reservoirs located in Parley’s Canyon in Salt Lake County. All the reservoirs store water collected from the watersheds and annual snowfall in the Wasatch Mountains directly east of the City. The Department also has ownership in wells and springs and other water rights and contracts such as the contract with Metropolitan Water District of Salt Lake and Sandy (“MWD”) pursuant to which MWD provides water for purchase to both the City and Sandy City, Utah (“Sandy”). The Central Utah Project (“CUP”), which is managed by the Central Utah Water Conservancy District, allows MWD to provide 20,000 AF each year to both the City and Sandy. Sandy can purchase up to 7,940 AF through MWD of the allotment. Direct Appropriations. The City has direct appropriation rights for water delivered out of City Creek, Red Butte, Emigration, Parleys, Mill Creek, Big Cottonwood, and Little Cottonwood Creeks and filings to 108 cubic feet per second of ground water in Salt Lake Valley (which is equal to a withdrawal rate of 18,000 AF per year). Approximately 9 to 15% of the City’s water comes from wells and springs depending on natural variability of stream flows, climate, and water demand each year. Water Right Purchases and Exchange Contracts. The City has acquired significant high priority water rights to the following streams through water rights purchases and water exchange contracts: Big Cottonwood Creek, Little Cottonwood Creek, Mill Creek, and Parley’s Creek. The exchange contracts convey the water rights of these streams to the City in exchange for providing -23- irrigation water during the irrigation season from water held by the City in Utah Lake and other sources. The City entered into the first exchange agreement in 1888 with owners of Parley’s Creek, providing non-culinary water from Utah Lake and other water sources through the Jordan and Salt Lake City Canal in exchange for the high-quality mountain water. Subsequently, similar exchanges were made with the previous water right holders of Mill Creek, Big Cottonwood Creek and Little Cottonwood Creek. The duration of each of these contracts is in perpetuity as long as the specified quantity of irrigation water is supplied during the irrigation season. Over time the City, through policy, has purchased irrigation companies or become the majority shareholder, which has reduced the City’s exchange contract obligations. The City continues to implement this policy. MWD Contracts. MWD was organized and functions as a wholesale provider of water to the City and Sandy. Accordingly, the City obtains treated water from MWD for distribution in the City’s service area. For more information regarding MWD, see “Metropolitan Water District of Salt Lake and Sandy” below. MWD’s primary sources of water are the Provo River Project (the “PRP”), the CUP, and the Little Dell Reservoir, each as more fully discussed below. MWD’s Little Cottonwood Treatment Plant also treats the City’s Little Cottonwood Creek water. MWD owns 61.7% of the issued and outstanding shares of Provo River Water Users Association (“PRWUA”) stock, which entitles it to 61.7% (approximately 61,700 AF) of the water available for allotment each water year to PRWUA shareholders from the PRP, a federal reclamation project. PRWUA shares are fully assessable and such assessments to the PRWUA shareholders are expected to increase in the future because of several significant PRWUA capital improvement projects. The projected PRWUA assessments were taken into account in projecting future MWD water rates, as described below. Sandy has the preferential right to purchase up to 7,940 AF of the water available to MWD under existing MWD rights to PRP and CUP water. The City has the preferential right to purchase all PRP and CUP water available under existing MWD rights that has not been allocated to Sandy. To the extent that either the City or Sandy does not exercise its preferential right to purchase MWD water, the other city has the right to do so in preference to all others. MWD may sell any surplus water to others. The City and MWD each own interests in water rights that allow water to be stored in the Little Dell Reservoir. The City treats and is entitled to all City and MWD water from Little Dell Reservoir. Existing Water Sources. The City’s existing water supply comes from a number of different sources. For planning purposes, the City’s sources have been grouped into two primary categories: (a) Surface Water Sources and (b) Ground Water Sources. Surface Water Sources. The City owns or controls water rights in several surface water sources. This includes surface water treated at the following City-owned and operated treatment plants: Big Cottonwood Water Treatment Plant (“BCWTP”), Parleys Water Treatment Plant (“Parleys WTP”), and City Creek Water Treatment Plant (“CCWTP”). The City also owns most of the water rights in Little Cottonwood Creek, which is treated at the MWD’s Little Cottonwood Water Treatment Plant (“LCWTP”). Based on the City’s current 40-year water supply and demand plan, the combined projected annual yield of these sources is 40,820 AF (dry year) and 59,500 AF (average year). -24- The City also holds surface water rights in Red Butte, Emigration, and Mill Creeks, Utah Lake, and the Jordan River. Those water rights are put to beneficial use to meet exchange contract deliveries for irrigation water. Mill Creek water rights are also held for future culinary water sources, as described below. Finally, the City has substantial interest in surface water sources via PRP and CUP through its contractual relationship with MWD. The yield of water stores in PRP is estimated to be 53,760 AF (average year) and 18,900 AF (dry year). The available CUP supply is 20,000 acre-feet in both average and dry years, which is contractually defined. The City also recently petitioned CUCWD for CUP water through the Utah Lake System (“ULS”) through MWD and began receiving 3,100 acre-feet of ULS water in 2021. City Groundwater Sources. The City owns water rights for a number of groundwater sources. For evaluation purposes, these sources have been broken into two categories: Base Wells and Springs – The City has a number of springs and artesian wells that require little or no pumping. Water from these sources is used year-round by the City. The estimated average annual production of these sources in an average year is 4,360 AF and 1,473 AF in dry water years. Peaking Wells – All remaining groundwater sources owned by the City are generally used only during the summer months to meet peak demands. Annual production from these wells will vary significantly based on needs. In average years, the estimated yield of these wells is 3,140 AF. The estimated production in a dry year is 16,427 AF. Potential New Water Sources. In 2019, the City completed an updated water supply and demand plan through the year 2060. The City is currently considering the following potential new sources: new well development, additional surface water development, managed aquifer recovery (MAR), and additional Little Dell water rights. The City has also included more aggressive water conservation goals and impacts of climate change to water supply and demand when considering both existing and new sources of water. New Groundwater Development. To meet future demands, the City has planned for the development of additional wells at various locations throughout its System and the rehabilitation of existing wells at higher capacities. The City estimates development of new groundwater sources will yield up to 17,000 AF annually of additional ground water in dry years. Additional Surface Water Development. Another potential new supply the City is exploring is development of additional surface water sources. This could include construction of a treatment plant to treat water from Millcreek Canyon. The City would like to develop additional surface water sufficient to produce at least 3,300 AF during dry years. Based on historical flow records for Millcreek, that development would equate to an estimated average year yield of 3,970 AF. -25- Wastewater Reuse. The City’s treated wastewater is discharged to the Great Salt Lake. As a result of recent drought concerns and drops in Great Salt Lake water levels, consumptive wastewater reuse has been removed as a future water source for the time being, allowing treated wastewater to contribute to Great Salt Lake levels. Managed Aquifer Recovery (“MAR”). The City, in conjunction with Sandy and MWD, is investigating the use of MAR. This option would use high spring runoff in the City’s water sources that currently arrives during a period when supply is in excess of demand (early spring). The water would be stored in the aquifer for use during dry years. The projected annual volume available to the City would be 5,900 AF in dry years. Estimated Total Dry Year Yield. The City estimates water yield based on conservatively calculated dry year production of each of its water sources, taking into account historic flows, available storage, and available treatment capacity for each of the water treatment plants. For current water sources, the estimated annual dry year yield is 100,720 AF. The estimated annual dry year yield by 2060 of current and future water sources is estimated to be over 126,120 AF. City water supplies have exceeded customer demands in the past and water supply is expected to meet the anticipated demands for future years. The table below summarizes the various sources of water used by the City for the last five fiscal years in acre feet (AF). FIVE-YEAR SUMMARY OF WATER DELIVERIES (AF) Fiscal Year Ended June 30, Water Source 2021 2022 2023 2024 2025 (AF) (AF) (AF) (AF) (AF) Direct Appropriations: Wells/Sprin s 9,873 7,927 5,547 6,897 5,724 Cit Cree 4,615 4,833 4,751 5,452 3,760 Total Direct Appropriations 14,488 12,760 10,298 12,349 9,484 Water Rights & Exchan e Contracts Bi Cottonwoo Cree 21,025 17,350 19,657 18,879 13,147 Little Cottonwoo Cree 10,103 9,514 6,146 15,044 15,854 Parle ’s Cree (1) 5,927 1,246 1,176 3,527 4,354 Total Exchan e Contracts 37,055 28,110 26,979 37,450 33,355 MWD Contracts Dee Cree 30,702 28,696 36,905 23,585 33,511 CUP 13,340 10,589 10,069 12,075 15,506 Total MWD Contracts 44,042 39,285 46,974 35,660 49,017 Total Water Sources 95,585 80,155 84,251 85,459 91,856 ____________________ (1) Includes Little Dell Reservoir and Mountain Dell Reservoir. -26- Metropolitan Water District of Salt Lake and Sandy. MWD is a metropolitan water district formed in 1935 under the Metropolitan Water District Act, Title 17B, Chapter 2a, Part 6, Utah Code, to provide supplemental wholesale water to the City and Sandy. The City was the sole member of MWD until Sandy became a part of MWD in 1990. MWD is governed by an independent, seven-person Board of Trustees, five of whom are appointed by the Salt Lake City Council and two of whom are appointed by Sandy. MWD owns and operates, or has capacity rights in, water treatment plants, aqueducts, a water reservoir and other facilities. MWD’s mission is to acquire water rights or acquire, construct or operate, control and use various facilities (each, a “MWD Project”) for the transportation or treatment of water for the benefit of the City and Sandy. The Board of Trustees of MWD, after consultation with the City and Sandy, determines the scope of any MWD Project, the costs of such MWD Project, and whether or not to proceed with an MWD Project. Depending on the nature of the MWD Project and subject to the 2001 Interlocal Agreement (as defined below), the costs of such MWD Project are recovered by MWD through (a) annual assessments charged to the City and Sandy or (b) from (i) the ad valorem property tax MWD is authorized to levy, (ii) the rates MWD charges the City and Sandy for the purchase of water, or (iii) any combination of (i) or (ii). Annual assessments are charged in proportion to the supply, treatment and/or conveyance capacities from an MWD Project that are committed on a preferential basis to the City and Sandy. Pursuant to an Interlocal Agreement, dated as of May 1, 2001 (the “2001 Interlocal Agreement”), among MWD, the City and Sandy have the first right to determine the allocation of the preferential rights to capacity or supply from an MWD Project. However, in the event that the City and Sandy cannot agree to such allocation, MWD will allocate the preferential rights from an MWD Project to the City and Sandy. The MWD Board of Trustees sets MWD water rates, after consultation with the City and Sandy. Preliminary projections of MWD’s water rates are based upon a number of assumptions regarding future contingencies, including assumptions regarding PRWUA assessments, MWD water sales, MWD tax revenues and costs of labor and supplies. The preliminary projections of MWD water rates have been included in the City’s estimated costs of sales and services contained under the caption “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES.” For further discussion of MWD’s water rights, certain proposed MWD Projects and currently anticipated annual assessments, see “Sources and Supplies of Water” above and “Water Treatment Capacity” below. Water Treatment Capacity. The following table shows the treatment capacity in million gallons per day (“MGD”) available to the City through its three water treatment plants (at City Creek, Parley’s Canyon, and Big Cottonwood Canyon), LCWTP, the City’s share of MWD’s Point of the Mountain Water Treatment Plant (“POMWTP”), MWD’s share of the capacity of the Jordan Valley Water Treatment Plant (“JVWTP”), which is operated by Jordan Valley Water Conservancy District, and wells and springs: -27- WATER TREATMENT CAPACITY Treatment Plant Treatment Capacity (MGD) Cit Cree 13 Parle ’s 35 Bi Cottonwoo 38 MWD: LCWTP(1) 150:125 POMWTP(1) 70:44 JVWTP(1) 180:46 Wells/Sprin s(2) 44 Total Cit Portio 345 _______________ (1) Amounts shown are total plant capacity and City portion of such total plant capacity (e.g. 150 MGD total treatment capacity, of which 125 MGD is available to the City), if such capacity is available. (2) Amount shown for wells/springs represents the amount of potable water available to the City from its wells and springs and does not require treatment. In 2007, MWD enlarged the water treatment capacity of LCWTP to approximately 150 MGD and finished construction of the POMWTP (70 MGD capacity). Pursuant to the 2001 Interlocal Agreement, the costs of enlarging the LCWTP were recovered by MWD through the ad valorem property tax that MWD levies and through charges (based on water rates) to the City and Sandy. Also pursuant to the 2001 Interlocal Agreement, MWD charges the City and Sandy an annual assessment for certain new capital improvements, including POMWTP, the Point of the Mountain Aqueduct (“POMA”) which connects LCWTP and POMWTP, and certain other improvements. The capacities committed to the City and Sandy are preferential rights. Neither the City nor Sandy has an ownership interest in the facilities providing such capacities. The projected charges have been incorporated in the System’s estimated operating expenses shown in the table under the caption “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES.” The City has a preferential right to 62.5% of POMWTP’s capacity and is responsible for 62.5% of the total annual assessment relating to such facility. The preferential capacity rights of each city in each section of POMA are described in the 2001 Interlocal Agreement. Currently, the City is being charged an annual assessment of approximately $7.1 million each year until 2034 for such capacity rights in POMWTP and POMA. The projected annual assessments have been incorporated in the System’s estimated operating expenses shown in the table under the caption “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES.” It is anticipated that annual assessments for POMWTP and POMA will be charged to the City regardless of the quantity of water purchased from MWD or the actual amount of capacity provided by POMWTP and POMA; provided, however, to the extent that MWD uses any of the excess capacity from POMWTP or POMA to provide water to others, the City will be credited for a portion of its annual assessment. Pursuant to the Indenture, any annual assessment charged to the City under the 2001 Interlocal Agreement will be treated as an Operations and Maintenance Cost. City Water Supply and Demand. The City projects culinary water demand based on a drought condition scenario and includes growth projections from the City and other governmental -28- agencies as well as other factors such as climate change. The City has projected culinary water production versus supply out to the year 2060. The City’s existing water resources, together with the potential new water sources discussed above will be sufficient to meet future demand scenarios. City Water Consumption. The following table summarizes City water demand for the last five fiscal years in terms of water consumption in millions of gallons (MG) and in acre-feet (AF), estimated equivalent population served, and the corresponding estimated per capita water consumption in gallons per day. Fiscal Year Total Consumption (MG/AF)(1) Estimated Equivalent Population Served Per Capita Consumption (Gallons Per Day) 2020 24,425/74,956 360,654 186 2021 25,128/77,116 364,982 188 2022 21,196/65,071 369,382 157 2023 22,845/70,134 376,008 166 2024 21,492/65,956 381,174 154 (1) One million gallons is equivalent to 3.069 acre-feet. Major Water Facility Users. The following table summarizes the City’s top ten water users for fiscal year 2025 in terms of water charges and percentage of total water sales: User Type Annual Billing % of Total Annual Billing Salt Lake City General Fund Municipal Government $ 5,181,420 5.28% University of Utah School, Hospital 3,920,959 4.00 Church of Jesus Christ of LDS Church 2,844,851 2.90 Tesoro Petroleum Industrial 2,441,320 2.49 Salt Lake City School District School 1,557,445 1.59 Granite School District School 1,328,794 1.35 Canyons School District School 962,924 0.98 Brookstone Management Business 690,604 0.70 Utah Department of Corrections State Government 661,285 0.67 Sugarhouse Park Authority Miscellaneous 629,926 0.64 Total $20,219,528 20.60% Water Rates. Water rates are calculated on a monthly service charge based on meter size plus a winter months usage rate or a summer months four-tiered (for single residential accounts) usage rate. During the summer months, each usage tier or “block” or usage rate is based on the amount of water used measured in units of one-hundred cubic feet or “ccf” (equivalent to 748 gallons of water). The City’s current water rates for users within and outside the City boundaries, which have been in effect since July 2025, are summarized below. Water rate for fiscal year 2026 are now calculated on a monthly service fee based on meter size plus year-round volumetric rates on a four-tiered structure for single, duplex and triplex residential accounts. Commercial, institutional and industrial accounts are calculated on a monthly service charge based on meter -29- size plus a seasonal volumetric rate. For historical and projected rate adjustments, see “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES.” Water Rates – Single Residential Accounts Within City Boundaries Outside City Boundaries Monthly service charge(1) $22.48 $30.35 Usage rate per ccf Block 1: 1-5 ccf 2.84 3.83 Block 2: 6-10 ccf 3.49 4.71 Block 3: 11-40 ccf 4.46 6.03 Block 4: Over 40 ccf 4.92 6.65 (1) Based on a 3/4” meter size. Water Rates – Commercial and Industrial Accounts Within City Boundaries Outside City Boundaries Monthly service charge(1) $61.85 $83.50 Usage rate per ccf (Nov. – March) 2.18 2.94 Usage rate per ccf (April – Oct) 3.53 4.77 (1) Based on a 2” meter size. (2) Average Winter Water consumption, which varies for each commercial and industrial customer. Water Utility Connection Fees. The City charges a fee to connect to the Water Utility, which includes connection-related fees and an impact fee. A schedule of the fees is shown below. These charges may change from time to time as capital improvement or other programs are implemented at the various entities. -30- Water Utility –Connection Fees(1) Classification Dwelling Meter Size Within City Boundaries Outside City Boundaries Residential Single family 3/4 inch $1,871.00 $1,952.00 Single family 1 inch 3,297.00 3,494.00 Duplex 1 inch 2,234.00 2,432.00 Triplex 1 inch 2,371.00 2,492.00 Fourplex 1 inch 3,401.00 3,580.00 Commercial/Industrial Culinary 3/4 inch 2,000.00 2,125.00 Culinary 1 inch 3,830.00 4,213.00 Culinary 1.5 inch 7,584.00 8,322.00 Culinary 2 inch 11,776.00 12,834.00 Culinary 3 inch 23,678.00 25,838.00 Culinary 4 inch(2) 27,359.00 27,359.00 Culinary 6 inch 54,718.00 54,718.00 Culinary 8 inch 87,549.00 87,549.00 Fire Meter(3) 4 – 10 inch Price determined upon request Price determined upon request ____________________ (1) Connection fee shown is the impact fee. Meter hardware cost, meter construction costs, labor costs and one inspection are assessed at actual costs. (2) For meters 4 inches and larger a water resource fee is added which is based on the ratio of the projected usage (gpd) to the equivalent residential unit amount of 449 gpd multiplied by $106. (3) Non-culinary use only – cost will include hardware cost, meter construction costs, labor costs and one inspection. SEWER UTILITY General. Created by the City in 1979 to meet EPA regulations and address infrastructure needs, the Sewer Utility serves approximately 112 square miles of the City. The Sewer Utility presently contains over 683 miles of sanitary sewer pipe, various sewage lift stations and a pretreatment and biological treatment plant. The City estimates that the weighted average age of the sewer lines in the Sewer Utility is over 65 years. The SLCWRF, portions of which are over 60 years old, was constructed with a capacity of 45 MGD and was upgraded to 56 MGD in 1986. The SLCWRF currently provides wastewater treatment to EPA secondary effluent standards by incorporating a “Trickling Filter/Activated Sludge” process and chlorine disinfection. Following treatment, water is discharged into the City’s Northwest Drain Canal and flows directly to Farmington Bay of the Great Salt Lake. At the 2023 National Association of Clean Water Agencies (NACWA) Utility Leadership Conference, the SLCWRF was recognized for 29 years of complete and consistent National Pollutant Discharge Elimination System (“NPDES”) permit compliance. The Sewer Utility serves an estimated population of approximately 209,593 within the municipal corporate limits of the City through approximately 50,900 connections. The daytime population increases significantly to over 300,000 with non-residents coming into the City for work. By industry standards, the calculated population equivalent served by the Sewer Utility and SLCWRF is more than 346,800. The SLCWRF treated a monthly average flow of 30.06 MGD -31- and a monthly peak flow of 46.36 MGD in the fiscal year ended June 30, 2025 and is currently in compliance with its NPDES Permit. The SLCWRF currently has a 48 MGD capacity. The City believes that the SLCWRF has adequate capacity to meet the City’s present needs and is planning to meet future demand. See “System Capital Financing Programs–Sewer Capital Financing Program” herein. City Wastewater Treatment. The following chart shows the wastewater treatment at the Treatment Plant for each of the past five fiscal years: Fiscal Year Flow Average (MGD) TBOD (1) (mg per liter) TSS (2) (mg per liter) 2025 30.60 7.5 9.2 2024 32.20 8.3 11.6 2023 32.54 9.2 13.2 2022 29.99 8.7 12.8 2021 28.78 7.7 10.8 (1) Total Biochemical Oxygen Demand (“TBOD”) represents the amount of oxygen used by microorganisms in the aerobic biological process as they consume organic material. The TBOD test measures the amount of dissolved oxygen needed by aerobic decomposers to break down the organic materials in each volume of wastewater over a period of five days. The City’s current effluent permit limit for TBOD is 25 milligrams per liter (“mg/L”). (2) The City’s current effluent permit limit for Total Suspended Solids (“TSS”) is 25 mg/L. Major Sewer Facility Users. The following table summarizes the City’s top ten Sewer Utility users for fiscal year 2024 in terms of sewer charges and percentage of total sewer sales: User Type Annual Billing % of Total Annual Billing Universit of Utah School, Hospital $ 4,433,690 5.69% Tesoro Petroleu Industrial 3,941,606 5.05 Meadow Gold Dairies Business 2,088,486 2.68 Sweet Cand Compan Business 1,983,939 2.54 Church of Jesus Christ of LDS Church 1,439,893 1.85 Pool 5 Industrial UT LLC Business 1,249,027 1.60 The Sun Products Corp Industrial 1,139,573 1.46 Utah Department of Corrections State Governmen 1,129,798 1.45 Horizon Or anic Dair , LLC Business 1,113,710 1.43 Grand America Hotel Hotel 922,732 1.18 Total $19,442,454 24.93% Sewer Rates. The City’s current sewer rates, which have been in effect since July 2025, are summarized below. For historical and projected rate adjustments, see “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES.” (a) Sewer rates are based on a monthly charge of $3.70 per dwelling unit, or equivalent dwelling unit for commercial customers plus a volumetric rate of $8.56 per ccf for residential and $9.54 per ccf for commercial accounts. The volumetric rate for single, duplex and triplex residential accounts is calculated as Average Monthly Winter Consumption for the months of -32- December through February. The volumetric rate for commercial accounts is calculated as 70% of monthly usage. (b) Monitored commercial customers discharging greater than 360 mg/l of biological oxygen demand, 290 mg/l of total suspended solids, 32 mg/l of ammonia or 7mg/l of phosphorus will be charged an additional rate based on actual pounds of the associated pollutant. (c) Users having more than one water meter, one or more of which measures water eventually discharged into the Sewer Facility and one or more other meters measuring water not entering the Sewer Facility, will be charged per ccf for all water used which may enter the sewer, but will not be assessed a sewer charge on water meter(s) which measure water, no part of which flows into the sewer system. (d) For those not using City water or using some City water, the City may require a City- approved meter, at the sewer user’s expense, on the well(s) or other source(s) of water supply for measurement by the City during said months, the average of which shall become the basis for sewer billings for said period. Sewer Utility Connection Fees. The City charges a fee to connect to the Sewer Facilities. A schedule of such fees is shown below. These charges may change from time to time as capital improvement or other programs are implemented at the various entities. Sewer Utility – Connection Fees Type Fee Residential single dwelling, and condominium, per connection or unit $545 Multi-family dwellings: Duplex 818 Triplex 1,226 Townhouse (apartment) per unit 409 Commercial/Industrial Per dwelling unit without kitchen or restaurant 273 Per dwelling unit with a kitchen and/or restaurant 363 General commercial and industrial uses, per each equivalent fixture unit 27 Trailer parks, per equivalent fixture unit (3 trailer spaces equal 1 equivalent fixture unit) 545 Recreation parks, per equivalent fixture unit (6 trailer spaces equal 1 equivalent fixture unit) 545 Special industrial and commercial uses (including car washes, laundromats, etc.), per equivalent fixture unit, as specified in the Uniform Plumbing Code 27 STORMWATER UTILITY General. In June 1991, the City Council created the Stormwater Utility to improve drainage and to meet EPA rules and regulations. The Stormwater Utility is a drainage system physically separate and distinct from the Sewer Utility. The Stormwater Utility includes -33- approximately 350 miles of storm drain pipe, 45 miles of open channel ditches and 26 pump stations. The Department has completed Part 1 and Part 2 of the Utah Pollution Discharge Elimination System (MS4) permit application for discharges from municipal separate storm sewer systems in accordance with EPA regulations 40 CFR Section 122.21 and 122.26. Major Stormwater Facility Users. The following table summarizes the City’s top ten Stormwater Facility users for fiscal year 2025 in terms of stormwater charges and percentage of total stormwater sales: User Type Annual Billing % of Total Annual Billing University of Utah School, Hospital $ 597,318 4.05% Church of Jesus Christ of LDS Church 367,491 2.49 SLC Department of Airports Municipal Business 351,227 2.38 Salt Lake City School District School 263,942 1.79 Salt Lake City General Fund Municipal Government 157,457 1.07 VA Medical Center Hospital 84,729 0.57 Utah Power Business 82,604 0.56 Union Pacific Railroad Business 76,341 0.52 Utah State Fair Corp Business 73,902 0.50 SLC Port Phase 1A, LLC Business 67,090 0.45 State of Utah State Government 66,814 0.45 Total $2,188,915 14.83% Stormwater Rates. Single family homes provide the basis for the rate in that the average amount of impervious area on a single-family residence is 2,500 square feet or 1 equivalent service unit. The City’s current stormwater rate, in effect since July 2025, charges single-family homes a rate of $8.75 per month. All non-single-family parcels pay a multiple of this base rate according to their measured impervious area. Businesses, industrial, commercial and tax-exempt properties pay a multiple of the single-family fee. The amount depends upon the impervious area (such as parking lots, roofs and pavement). The City also charges $374 per 1/4 acre for connection to the Stormwater Utility on all new development within City boundaries. This connection fee must be paid prior to the issuance of a building permit. STREET LIGHTING UTILITY The Street Lighting Utility consists of approximately 15,950 street lights. The City provides a “base level” of lighting, which includes standard light poles placed at the end of each block and mid-block section. This is funded through a fee (the “Basic Service Fee”) charged to properties on City utility bills. The Basic Service Fee is assessed monthly to each property and is based on the number of Equivalent Residential Units (ERUs) for each property. Based on the average residential street frontage of 75 feet, all residential, duplex, and triplex properties are assessed one ERU. Commercial and institutional properties are assessed one ERU for every 75 -34- feet of street frontage. As of June 30, 2025, there are approximately 81,275 ERUs in the City subject to the Basic Service Fee. In addition to the Basic Service Fee, some areas of the City, such as the Central Business District, have a higher level of service. These areas are considered to have an “enhanced” level of service and this higher level of service is paid for by the property owners who are benefitted by it. “Enhanced Lighting Fees” were established July 1, 2016. As of June 30, 2025, there were approximately 3,700 Enhanced Lighting Fee accounts and approximately 4,700 enhanced service ERUs. As of July 1, 2025, the average monthly charge for an Enhanced Lighting customer is $25.73. The Enhanced Lighting Fee ensures that decorative lights are properly and regularly maintained, that they are upgraded for energy efficiency, and that costs are paid for by the property owners in those areas. The Enhanced Lighting Fee includes three types of service groups based on type of light and anticipated needed capital expenditures as shown below. Street Lighting Rates Service Fee Note Basic Service Fee City-wide $5.19 Per ERU Per month. No bills shall be less than 1 ERU Enhanced Lighting Fees Group 1 Decorative Lights – High Efficiency(1) $7.89 per ERU Per month – residential Group 2 Decorative Lights(2) $22.17 per ERU Per month – residential Group 3 Decorative Multi-Head Lights(3) $60.97 per ERU Per month – commercial (1) Group 1 rates apply to the existing, predominantly residential properties with a number of enhanced decorative lights; lights are generally energy efficient and large capital expenditures are not expected within the year. (2) Group 2 rates apply to the existing, predominantly residential properties with a number of enhanced decorate lights; many lights require energy efficiency upgrades and large capital expenditures are scheduled within the year. (3) Group 3 rates apply to the existing properties in the predominantly commercial areas with a number of enhanced decorative lights; many lights require energy efficiency upgrades and large capital expenditures are scheduled within the year. SYSTEM CAPITAL FINANCING PROGRAMS Water Capital Financing Program. The water capital financing program has funded more than $490 million in improvements since 2001, primarily on a pay-as-you-go basis. Major capital improvements have included waterline replacements, groundwater well rehabilitation, upgrades to existing treatment plants, and upgrading existing reservoirs and storage tanks to meet current seismic standards. As a result of these ongoing capital investments, the City has been able to accommodate continuous growth, address aging and new infrastructure needs, and manage its water resources effectively. In addition, these improvements help the City to continue to exceed all Safe Drinking Act requirements from the source water to the distribution system. The City plans to continue a robust capital improvement program for the Water Utility funded primarily by proceeds from rate increases. In 2001, the City Council adopted a six-year, $57 million capital improvement program to upgrade the SLCWRF and sewage collection system. The projects were initially funded with -35- approximately $22 million of bonds in 2004 (which were refunded by the Series 2012 Bonds) with additional funding coming from cash reserves and approved sewer rate increases on a pay-as- you- go basis. Improvements exceeding $373 million have been funded on a pay-as-you go-basis since 2001. The Series 2009 Bonds were issued as part of economic stimulus funding by the State which funded the replacement of the digester cover and walls at the SLCWRF. In addition to refunding certain outstanding bonds, the Series 2012 Bonds also funded over $6.0 million in improvements to the reclamation facility and the collections system. In December 2016, final review was completed of an extensive water reclamation facility master plan update. Due to the new State nutrient treatment requirements and the age of the existing facility, the master plan developed a path forward to comply with the new requirements while replacing much of the almost 60-year old SLCWRF with an updated treatment process. The Series 2017 Bonds were used to facilitate the expansion of the capacity of the sewer collection system by allowing flow balancing within the system and construction of master planned projects. The Series 2020, Series 2022 Bonds and the Series 2025 are funding a portion of the SLCWRF master plan implementation. Approximately 49% of the improvements to the SLCWRF are being funded from the WIFIA Loan (Series 2020B Bonds). Stormwater Capital Financing Program. The stormwater capital program has funded over $72 million in capital improvements since 2002. Most of these improvements have been funded on a pay-as-you-go basis; however, bonds issued in 2004 (refunded by the Series 2012 Bonds) were issued to fund a new stormwater trunk line, and the Series 2011 Bonds funded the Folsom Avenue stormwater project and other various stormwater improvements. Proceeds of the Series 2020 Bonds financed the City’s road reconstruction program including investment in green infrastructure and stormwater improvements. Street Lighting Capital Financing Program. Accounting for City street lighting was removed from the City’s general fund and established as a separate enterprise fund in January 2013. This restructuring provides reliable funding for the Street Lighting Utility. Since becoming an enterprise fund the Department has improved the overall condition of this Utility. More than 60% of the City streetlights are now considered energy efficient. A Street Lighting Master Plan was completed and adopted by the City Council in December 2021. It provides guidance for future streetlight installations based on street type and locations in the City. Improvements exceeding $9.9 million have been funded since 2013. The Series 2017 Bonds financed wiring replacements and upgrades to high efficiency lamps in the enhanced service areas. No new bond monies are requested for this utility at this time. The Department will continue system improvements from pay-as-you-go rate revenues with plans to eventually spend about $2.2 million annually on Street Lighting improvements to enhance service and energy savings over the next four fiscal years beginning in fiscal year 2025. A rate study is planned to address additional funding needs to implement some master plan elements. -36- Historical and Projected Capital Project Expenditures. Set forth below is a table showing a five-fiscal year historical and five fiscal-year projection of costs of capital projects (for additional information see “THE CITY—Future Debt Plans” below): FISCAL YEAR WATER UTILITY SEWER UTILITY STORMWATER UTILITY STREET LIGHTING UTILITY TOTALS Historical 2021 $42,650,789 $ 84,089,346 $3,738,898 $1,037,034 131,516,067 2022 46,011,928 73,669,370 3,750,339 206,398 123,638,035 2023 37,881,993 128,805,671 5,327,104 199,606 172,214,374 2024 38,054,826 229,918,867 4,367,506 1,175,622 273,516,821 2025 75,291,019 219,036,783 7,116,175 1,032,485 302,476,462 Projected 2026 $80,350,000 $73,230,324 $7,634,000 $1,440,000 $162,654,324 2027 88,920,000 33,021,765 6,374,000 1,140,000 129,455,765 2028 84,700,000 28,400,000 6,910,000 1,140,000 121,150,000 2029 70,700,000 34,400,000 5,290,000 1,240,000 111,630,000 2030 77,990,000 32,350,000 10,007,000 1,340,000 121,687,000 FIVE-YEAR FINANCIAL SUMMARIES OF THE SYSTEM The following summaries regarding the financial operations of the System were extracted from the Department’s audited general purpose financial statements for the years shown in such tables. These summaries have not been audited. See “APPENDIX A—SALT LAKE CITY WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (ENTERPRISE FUNDS OF SALT LAKE CITY CORPORATION) INDEPENDENT AUDITOR’S REPORT AND COMBINED FINANCIAL STATEMENTS AS OF JUNE 30, 2024” herein. (The remainder of this page intentionally left blank.) -37- SALT LAKE CITY CORPORATION, UTAH COMBINED STATEMENT OF NET POSITION WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (FISCAL YEARS ENDED JUNE 30) Unaudited FISCAL YEAR ENDED JUNE 30 2024 2023 2022 2021 2020 ASSETS & DEFERRED OUTFLOWS: Current assets: Cash and cash equivalents ...................... $ 57,143,074 $ 93,153,879 $ 34,126,274 $ 46,070,636 $ 38,645,615 Investments ............................................. 15,574,619 14,786,298 14,513,159 14,859,452 14,792,111 Accounts receivable, net ........................ 27,509,676 19,778,064 17,846,567 18,532,539 19,889,140 Other receivables .................................... 978,660 1,010,814 402,567 436,390 307,848 Prepaids .................................................. 630,816 497,693 505,189 517,323 510,460 Supplies inventories ............................... 9,638,084 7,144,918 5,916,198 4,812,982 4,066,913 Total current assets ..................... 111,474,929 136,371,666 73,310,314 85,229,322 78,212,087 Noncurrent assets: Restricted cash for Revenue bond debt service..................... 17,180,814 14,258,560 7,615,047 7,603,240 4,558,927 Capital improvements ............................ 84,681,501 247,495,729 415,006,673 121,030,702 – Construction bonds ................................. 6,207,305 6,097,521 3,836,626 3,662,208 2,104,365 Customer deposits .................................. 619,178 588,458 567,998 564,206 567,493 Watershed ............................................... - - 9,617,008 8,611,714 Impact fees ............................................. 17,179,036 12,733,768 8,389,014 10,320,125 12,918,013 Total restricted cash .................... 125,867,834 281,138,036 435,415,358 152,797,489 28,760,512 Capital assets, at cost: Land and water rights ............................. 70,416,833 70,416,218 69,566,218 68,541,890 67,098,536 Infrastructure .......................................... 853,969,028 816,819,450 753,284,300 - - Buildings ................................................ 259,737,070 258,642,735 247,820,517 209,283,134 194,793,412 Improvements other than buildings ....... 27,877,651 26,464,572 26,234,453 764,885,266 714,930,062 Machinery and equipment ...................... 73,271,844 69,810,851 76,052,631 74,735,045 73,810,594 Intangible subscription assets ................. 1,573,053 1,573,053 - - - Construction in progress ........................ 669,392,323 418,224,528 316,749,506 238,456,880 167,800,040 Total capital assets 1,956,237,802 1,661,951,407 1,489,707,625 1,355,902,215 1,218,432,644 Less accumulated depreciation and amortization ......................................... (418,727,438) (393,570,940) (380,432,227) (364,694,961) (347,111,278) Net capital assets ........................... 1,537,510,364 1,268,380,467 1,109,275,398 991,207,254 871,321,366 Other assets: Leases receivable .................................... 3,449,365 3,492,952 1,973,717 - - Net pension asset .................................... - - 11,323,641 587,777 - Investments in water company stock, at cost ....................................................... 3,202,862 3,202,862 3,198,112 3,194,77 3,114,987 Total other assets ........................ 6,652,227 6,695,814 16,495,470 3,782,564 3,164,987 Total noncurrent assets ............... 1,670,030,425 1,556,214,317 1,561,186,226 1,147,787,307 903,246,865 Deferred Outflows of Resources: Deferred outflows related to pensions .. . 7,378,893 6,009,598 4,441,649 3,353,474 3,428,579 Deferred outflows on the refunding of debt ................................................... - 15,270 39,300 62,880 86,460 Total deferred outflows of resources ................................. 7,378,893 6,025,318 4,480,949 3,416,354 3,515,039 Total assets and deferred outflows …. $1,788,884,247 $1,698,611,301 $1,638,977,489 $1,236,432,983 $ 984,973,991 continued (Source: Information is taken from the City’s audited financial statements. This summary itself has not been audited.) -38- SALT LAKE CITY CORPORATION, UTAH COMBINED STATEMENT OF NET POSITION WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (FISCAL YEARS ENDED JUNE 30) Unaudited FISCAL YEAR ENDED JUNE 30 2024 2023 2022 2021 2020 LIABILITIES, DEFERRED INFLOWS, & NET POSITION: Current liabilities: Accounts payable ................................... $ 45,837,204 $ 33,115,802 $ 30,332,530 $ 31,940,957 $ 21,106,669 Accrued compensation ........................... 5,375 711,536 555,134 415,117 299,030 Current portion of subscription obligations ............................................ 162,773 166,287 - - - Current portion of long-term compensation liability .......................... 675,175 749,247 919,189 1,097,607 793,273 Current revenues collected in advance .. 2,606,093 2,616,787 2,335,585 2,161,196 2,151,663 Current portion of note payable ............. - - - - 2,125,000 Current maturities of long-term obligations ............................................ 7,668,338 4,415,528 4,484,786 4,342,411 4,219,772 Total current liabilities ................ 56,954,958 41,775,187 38,627,224 39,957,288 30,695,407 Liabilities payable from restricted assets Current maturities of long-term obligations: Revenue bonds ....................................... 6,596,662 3,559,472 3,230,214 3,112,589 3,015,228 Accrued interest ...................................... 10,584,152 10,699,088 4,384,833 4,490,652 1,544,344 Construction bonds ................................. 6,207,305 6,097,521 3,836,262 3,662,208 2,104,365 Customer deposits .................................. 619,178 588,458 567,998 564,206 567,493 Total liabilities payable from restricted assets ...................... 24,007,297 20,944,539 12,019,671 11,829,655 7,231,430 Long term obligations Revenue bonds less current maturities ... 596,956,915 613,781,052 624,341,895 284,650,069 95,814,082 Loan from federal program .................... 13,445,566 13,267,190 13,112,999 - - Long-term compensation liability .......... 3,286,677 3,401,409 3,287,224 3,244,955 2,938,889 Long-term interest accrued .................... 4,114,382 74,075 51,250 - - Net subscription obligation .................... 847,141 1,113,381 - - - Net pension liability ............................... 75,071 3,320,696 - 962,043 - Note payable – less current portion ....... - - - - - Revenues collected in advance .............. 5,934,543 6,957,138 7,979,733 9,002,327 10,024,921 Total liabilities payable from restricted assets & long-term liabilities 648,667,592 662,859,480 660,792,772 309,689,049 123,051,618 Total liabilities ............................ 705,622,550 704,634,667 699,419,996 349,646,337 153,747,025 Deferred Inflows of Resources: Deferred inflows related to leases ........ . 3,449,365 3,492,952 1,973,717 - - Deferred inflows related to pensions .... . 44,553 73,672 14,594,362 8,002,132 4,368,454 Total deferred inflows ................ 3,493,918 3,566,624 16,568,079 8,002,132 4,368,454 NET POSITION: Net investment in capital assets ............... 963,176,071 881,038,403 879,100,227 820,195,767 766,233,744 Restricted .................................................. 17,179,036 14,733,7678 8,389,014 22,414,407 24,544,310 Unrestricted ............................................... 99,412,672 94,637,839 35,500,173 36,174,340 36,080,458 Total net position ........................ 1,079,767,779 990,410,010 922,989,414 878,784,514 826,858,512 TOTAL LIABILITIES, DEFERRED INFLOWS, & NET POSITION $1,788,884,247 $1,698,611,301 $1,638,977,489 $1,236,432,983 $984,973,991 (Source: Information is taken from the City’s audited financial statements. This summary itself has not been audited.) -39- SALT LAKE CITY CORPORATION, UTAH COMBINED STATEMENT OF REVENUES, EXPENSES AND CHANGES IN NET POSITION WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (FISCAL YEARS ENDED JUNE 30) Unaudited Fiscal Year Ended June 30, 2024 2023 2022 2021 2020 OPERATING REVENUES Water sales $108,901,068 $ 87,539,609 $ 73,636,959 $ 83,177,848 $ 81,253,393 Charges for sewer services 81,664,901 69,251,092 57,696,096 50,708,746 45,040,074 Stormwater fees 15,401,464 13,848,374 11,915,488 10,696,303 10,719,864 Street lighting fees 4,766,960 4,288,019 4,264,579 4,230,395 4,258,440 Other 7,440,399 6,389,882 4,884,623 4,757,047 3,842,677 Total operating revenues 218,174,792 181,316,976 152,397,745 153,570,339 145,114,448 OPERATING EXPENSES Costs of sales and services 84,914,082 76,949,884 73,341,990 70,823,559 67,631,714 General and administrative 22,757,695 22,121,510 12,804,596 17,394,889 17,975,515 Depreciation 25,348,728 23,829,923 22,081,444 20,987,238 19,877,591 Total operating expenses 133,020,505 122,901,317 108,169,715 109,205,686 105,484,820 OPERATING INCOME (LOSS) 85,154,287 58,415,659 44,169,715 44,364,653 39,629,628 NONOPERATING REVENUE (EXPENSE) Interest & financial charges (23,230,921) (23,559,478) (10,260,209) (8,932,886) (3,240,546) Investment income, net 18,051,107 13,077,136 (318,081) 1,240,813 2,254,167 Gain on disposition of property and equipment 198,472 488,150 349.,788 733,946 224,931 Net nonoperating expense (4,981,342) (9,994,192) (10,228,502) (6,958,116) (761,448) Transfers in 200,000 2,300,000 154,443 846,809 - Legal settlement - 5,780,176 - - - Capital contributions/grants 8,984,824 10,918,953 10,109,244 13,672,656 12,793,781 CHANGES IN NET POSITION 89,357,769 67,420,596 44,204,900 51,926,002 51,661,961 NET POSITION Beginning of year 990,410,010 922,989,414 878,784,514 826,558,512 775,196,551 End of year $1,079,767,779 $990,410,010 $922,989,414 $878,484,514 $826,858,512 (Source: Information is taken from the City’s audited financial statements. This summary itself has not been audited.) HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES The following table sets forth the historical and projected revenues and expenses for the Department for the fiscal years shown. -40- The Department does not as a matter of course make public projections as to future revenues, expenses, debt service, or other results. However, the management of the Department has prepared the prospective financial information set forth below to present the projected revenues, expenses, debt service, and debt service coverage after the issuance of the Series 202_ [Bonds][Notes]. The accompanying prospective financial information was not prepared with a view toward complying with the guidelines established by the American Institute of Certified Public Accountants with respect to prospective financial information, but, in the view of the Department’s management, was prepared on a reasonable basis, reflects the best currently available estimates and judgments, and presents, to the best of management’s knowledge and belief, the expected course of action and the expected future financial performance of the Department. However, this information is not fact and should not be relied upon as being necessarily indicative of future results, and readers of this Official Statement are cautioned not to place undue reliance on the prospective financial information. Neither the Department’s independent auditors, nor any other independent accountants, have compiled, examined, or performed any procedures with respect to the prospective financial information contained herein, nor have they expressed any opinion or any other form of assurance on such information or its achievability, and assume no responsibility for, and disclaim any association with, the prospective financial information. (The remainder of this page has been intentionally left blank.) -41- -42- THE CITY {TO BE UPDATED.} CITY OFFICIALS The City has a Council-Mayor form of government. The City Council consists of seven members, who are elected by voters within seven geographic districts of approximately equal population. The Mayor is elected at large by the voters of the City and is charged with the executive and administrative duties of the government. The seven-member, part-time City Council is charged with the responsibility of performing the legislative functions of the City. The City Council performs three primary functions: it passes laws for the City, adopts the City budget and provides administrative oversight by conducting management and operational audits of City departments. Term information concerning the Mayor and the members of the City Council is set forth below: OFFICE DISTRICT PERSON YEARS IN SERVICE EXPIRATION OF CURRENT TERM Mayor — Erin J. Mendenhall 4(1) January 2028 Council Chair #3 Chris Wharton 6 January 2026 Council Vice Chair #2 Alejandro Puy(2) 4 January 2028 Council Member #4 Eva Lopez Chavez -- January 2028 Council Member #6 Dan Dugan 4 January 2028 Council Member #5 Darin Mano(3) 4 January 2026 Council Member #1 Victoria Petro(4) 2 January 2026 Council Member #7 Sarah Young(5) 1 January 2026 ____________________ (1) Mayor Mendenhall previously served 6 years as a council member before being elected mayor. (2) Council Member Puy was elected to serve a two-year term beginning January 3, 2022. (3) Council Member Mano was selected to fill the vacancy in District 5 from 2020-2022; then was duly elected to serve a four- year term beginning January 3, 2022. (4) Council Member Petro was selected on November 9, 2021 to fill the seat of James Rogers who resigned effective October 4, 2021; then was duly elected to serve a four-year term beginning January 3, 2022. (5) Council Member Young was selected on July 13, 2023 to fill the seat of Amy Fowler who resigned effective July 2, 2023; then was duly elected to serve a two-year term beginning January 2, 2024. CITY ADMINISTRATION The offices of Chief of Staff, City Attorney, City Recorder and City Treasurer are appointed offices. Rachel Otto, Chief of Staff, was appointed to her position in November 2019. Before becoming Mayor Mendenhall’s chief of staff Ms. Otto worked as Government Relations Director -43- for the Utah League of Cities and Towns. In that capacity, she developed policy and advocated for local government at the State Legislature. Ms. Otto, trained as an attorney, also served as a deputy city attorney for West Jordan, assistant city attorney for South Jordan, and worked in private practice for several years after graduating from the University of Utah’s College of Law in 2008. Mark E. Kittrell, City Attorney, was selected to serve as Acting City Attorney on December 14, 2024. Mr. Kittrell received his law degree from the University of Utah S.J. Quinney College of Law in 2003 and received his undergraduate degree from Northwestern University in 1998. Mr. Kittrell served as Deputy City Attorney from 2020-2024, and as Senior City Attorney from 2014- 2020. Mr. Kittrell was a shareholder at Fabian & Clendenin (now Fabian VanCott) prior to joining the Salt Lake City Attorney’s office. Keith Reynolds, City Recorder, was appointed as City Recorder on January 22, 2025. Prior to this position, Mr. Reynolds was the Deputy City Recorder where he oversaw records management and GRAMA requests for the City. Mr. Reynolds has worked as a records manager for the City in various capacities for over 9 years and prior to that worked as an archivist at the University of Wyoming. Mr. Reynolds received his undergraduate degree from Northern Arizona University in 2004 and completed a Master of Arts degree in public history from the University of Wyoming in 2011. Marina Scott, City Treasurer, was appointed to her position on June 4, 2013. From December 2006 until her appointment, Ms. Scott was Deputy Treasurer for the City; and from September 2005 until December 2006 she served as an Accountant III for the Public Services Department. Ms. Scott holds a Bachelor of Science degree in Accounting, and a Master of Professional Accountancy from Weber State University. She also holds a Master of Arts in Library and Information Science from Vilnius State University. EMPLOYEE WORKFORCE AND RETIREMENT SYSTEM The City currently employs approximately ____ full-time employees and approximately _____ hourly and part-time employees for a total employment of approximately _____ employees. Through the Utah Retirement System (“URS”), the City participates in six separate pension trust funds consisting of (a) three multiple employer public employees retirement systems or funds, (b) one multiple-employer agent system or fund and (c) two multiple employer cost sharing public employees retirement systems or funds, each of which is a defined benefit retirement plan covering public employees of the State and employees of participating local governmental entities (the “Funds”). The Funds are administered under the direction of the Utah State Retirement Board whose members are appointed by the Governor of the State. The City also participates in four defined contribution savings plans with URS, including a 401(k) plan, a 457(b) plan, a Roth IRA plan and a traditional IRA plan. RETIREMENT LIABILITY URS is funded and administered by the State. Each year, as approved by the State Legislature, URS sets rates, enacts rules, and implements policies related to the pensions and -44- benefits the City retirees receive through each of the Funds. Starting in Fiscal Year 2015, GASB Statement Number 68 requires URS to pass on pension and retirement liability to public entities it serves, including the City. Working with the City’s independent auditors and State specialists, the City’s financial statements for the Fiscal Year ending June 30, 2024 show a net pension liability in the amount of $42,605,189 for one of the Funds and total net pension assets in the other five Funds of $91,004,989. As each Fund is a separate trust fund, the assets in one Fund cannot be used to cover the liabilities in another. Additional information regarding the City’s retirement system can be found in the City’s financial statements, which are available on the City’s website. NO OTHER POST-EMPLOYMENT BENEFITS The City does not offer post-employment benefits; however, the City’s library system (the “Library”) provides certain employees with post-employment health care benefits through a single employer defined benefit plan. The benefits are paid on a “pay-as-you-go” basis from the Library’s general fund and can be amended or terminated at any time. -45- DEBT STRUCTURE OF SALT LAKE CITY, UTAH OUTSTANDING DEBT ISSUES (EXPECTED AS OF CLOSING DATE OF THE SERIES 202_ [BONDS][NOTES]) (1) AMOUNT OF ORIGINAL ISSUE FINAL MATURITY DATE PRINCIPAL OUTSTANDING General Obligation Bonds: Series 2010B (Public Safety Facilities) $100,000,000 6/15/2031 $ 39,915,000 Series 2015A Refunding (Federally Taxable Sports Complex) 14,615,000 6/15/2028 4,655,000 Series 2017B Refunding (Refunded portion of Series 2010A) 12,920,000 6/15/2030 8,410,000 Series 2019 Improvement and Refunding (Refunded a portion of Series 2017A) 22,840,000 6/15/2039 13,475,000 Series 2020 (Streets) 17,745,000 6/15/2040 11,700,000 Series 2021 (Streets) 20,660,000 6/15/2041 15,620,000 Series 2022 (Streets) 21,785,000 6/15/2042 18,715,000 Series 2023 (Federally Taxable) 24,765,000 6/15/2043 23,850,000 Total $136,340,000 Water and Sewer Revenue Bonds: Series 2009 (Federally Taxable) $ 6,300,000 2/1/2031 $ 1,890,000 Series 2010 Revenue Bonds 12,000,000 2/1/2031 4,135,000 Series 2011 Revenue Bonds 8,000,000 2/1/2027 1,150,000 Series 2012 Improvement and Refunding Bonds 28,565,000 2/1/2027 1,170,000 Series 2017 Improvement and Refunding Bonds 72,185,000 2/1/2037 51,255,000 Series 2020 Improvement Bonds 157,390,000 2/1/2050 154,215,000 Series 2020B Improvement Bonds (WIFIA loan) (2) 348,635,000 8/1/2058 96,707,839 Series 2022A Improvement Bonds 329,025,000 2/1/2052 323,195,000 Series 2024A Improvement Bonds 39,525,000 2/1/2064 39,525,000 Series 2025 Improvement Bonds 184,455,000 2/1/2055 184,455,000 Series 202_ [Improvement Notes][Refunding Bonds] (3) Total $ Sales and Excise Tax Revenue Bonds: Series 2014B $10,935,000 10/1/2034 $ 6,410,000 Series 2016A 21,715,000 10/1/2028 9,565,000 Series 2019A 2,620,000 4/1/2027 975,000 Series 2019B (Federally Taxable) 58,540,000 4/1/2038 56,300,000 Series 2021 (Federally Taxable) 15,045,000 10/1/2034 13,065,000 Series 2022A 8,900,000 10/1/2032 7,050,000 Series 2022B 40,015,000 10/1/2042 40,015,000 Series 2022C (Federally Taxable) 24,240,000 10/1/2032 20,295,000 Total $153,675,000 Airport Revenue Bonds: Series 2017A $826,210,000 7/1/2047 $ 801,860,000 Series 2017B 173,790,000 7/1/2047 168,635,000 Series 2018A 753,855,000 7/1/2048 721,855,000 Series 2018B 96,695,000 7/1/2048 96,695,000 Series 2021A 776,925,000 7/1/2051 776,080,000 Series 2021B 127,645,000 7/1/2051 126,055,000 Series 2023 600,000,000 7/1/2053 600,000,000 Total $3,291,180,000 Local Building Authority Lease Revenue Bonds(4): Series 2016A $6,755,000 4/15/2037 $ 4,940,000 Series 2017A 8,115,000 4/15/2038 6,630,000 Total $11,570,000 ______________________________ (1) The Redevelopment Agency of Salt Lake City, a separate entity, has issued bonds, but such bonds are not obligations of the City and are therefore not included in this table. See “APPENDIX B—SALT LAKE CITY CORPORATION FINANCIAL STATEMENTS FOR THE FISCAL YEAR ENDED JUNE 30, 2022—Notes to the Financial Statements—Note 6–Long-Term Obligations.” (2) Amount shown is the amount drawn down from the WIFIA Loan as of the date of this Official Statement. (3) For the purposes of this Official Statement, the Series 202_ [Bonds][Notes] are considered issued and outstanding. (4) The Local Building Authority of Salt Lake City is a separate entity. Lease Revenue Bonds are not obligations of the City, but are paid from annually appropriated rental payments made by the City. In addition to the outstanding debt listed in the table above, in 2021 the City received a $7,000,000 infrastructure loan to finance a portion of the cost of a neighborhood parking structure -46- through a revolving fund called the Utah State Infrastructure Bank Fund. The loan bears interest at rate of 1.96%, and the term is 15 years. To secure the repayment of the loan, the City pledged the funds allocated by the State pursuant to Section 72-2-121(4) of the Utah Code and the City’s innkeepers tax if the State fails to make its annual payments to the City. Recent System Debt. Additionally, the City recently issued the Series 2024A Bonds in the aggregate principal amount of $39,525,000; however, $19,350,000 will be treated as a grant and forgiven for work performed in certain census tracts. The Series 2024A Bonds secure a loan under that State’s Revolving Loan Fund and, instead of bearing interest, are charged a 1.5% per annum assessment fee. Proceeds from the Series 2024A Bonds will be used by the Department to assist with meeting regulatory requirements, in particular lead service line identification and replacement and water main replacement as needed. Line replacements will focus on, among other things, known lead service lines or galvanized lines requiring replacement, addressing vulnerable populations to lead exposure and sample results and customer participation. FUTURE DEBT PLANS System Debt. Additional Bonds in the amount of approximately $259 million are expected to be issued over the next five years to fund the Department’s capital improvement program. A major focus of the Department’s budget is the rehabilitation and replacement of aging infrastructure. The Additional Bonds will fund improvements to three water treatment plants, phased construction of a new water conveyance line to expand service and provide redundancy, and water, sewer and stormwater utility infrastructure work necessitated by street improvement projects. As discussed herein, any Additional Bonds are secured by and payable from Net Revenues on a parity with the Series 202_ [Bonds][Notes] and the Outstanding Parity Bonds. Other City Debt. A special bond election held on November 8, 2022 gave voter authorization to the City to issue up to $85 million in general obligation bonds to fund all or a portion of the costs of improving, renovating and upgrading various parks, trails, open space and related facilities and recreational amenities. The City has issued $24.765 million par amount of bonds from such authorization. The City anticipates issuing the second tranche of approximately $35 million within the next 12-24 months. City administration continuously evaluates the City’s funding of its Capital Improvement Program, and the proceeds of lease revenue bonds and sales tax revenue bonds will be considered as one of the sources for funding the City’s capital infrastructure. The City analyzes the potential value of refunding bond issues, particularly during periods when debt service savings can be realized or on an as needed basis. The City plans to issue approximately $506 million in additional general airport revenue bonds in the future to complete the $5.1 billion airport reconstruction program. The reconstruction program is currently expected to be completed by 2027. Such bonds will be secured by and payable from revenues of the City’s airport system and not Net Revenues. -47- RECENT DEVELOPMENTS General Fund. Overall revenue for fiscal year 2024 is projected to be $19.2 million over budget. All tax categories were higher than expected by $12 million (personal property tax $4.3 million, sales tax $5.8 million, franchise tax $1.9 million). Higher market interest rates are increasing interest income which is expected to exceed budget by $5.9 million. Permit revenue continues to lag due to slower construction activity. Fiscal year 2024 budget increased by approximately 5.4%, an increase of $22.9 million as compared to the previous year. Major changes to expenses include salary, pension and benefit increases totaling $12.9 million. The budget included the addition of 66.5 FTEs at an anticipated cost of approximately $6.5 million. Fiscal year 2024 general fund expenses are expected to end close to budget. General Fund expense budget for FY25 increased by $31.8 million, a 7.0% over fiscal year 2024. Fund balance for the end of fiscal year 2023 was $179 million or 38.05% of total revenues for the year. The City Council and administration have an internal goal to keep the fund balance above 13% of total revenue for each fiscal year. In fiscal year 2022 the total fund balance was $125 million (30.98%). Fiscal year 2025 total adopted budget in the general fund is $448,514,918. NO DEFAULTED OBLIGATIONS The City has never failed to pay principal and interest when due on any of its bonds, notes or other financial obligations. FINANCIAL INFORMATION REGARDING THE CITY FUND STRUCTURE (ACCOUNTING BASIS) The accounts of the City are organized on the basis of funds, each of which is considered to be a separate accounting entity. The operations of each fund are accounted for by providing a separate set of self-balancing accounts that comprise its assets, liabilities, fund balance or net assets, revenues, and expenditures or expenses. The various funds are grouped by type in the basic financial statements. Revenues and expenditures are recognized using the modified accrual basis of accounting in all governmental funds. Revenues are recognized in the accounting period in which they become both measurable and available. “Measurable” means that amounts can be reasonably determined within the current period. “Available” means that amounts are collectible within the current period or soon enough thereafter to be used to pay liabilities of the current period. The City uses 60 days as a cutoff for meeting the available criterion. Property taxes are considered “measurable” when levied and available when collected and held by Salt Lake County. Any amounts not available are recorded as delayed revenue. Franchise taxes are considered “measurable” when collected and held by the utility company and are recognized as revenue at that time. Other revenues that are determined to be susceptible to accrual include grants-in-aid -48- earned and other intergovernmental revenues, charges for services, interest, assessments, interfund service charges, and proceeds of the sale of property. Property taxes and assessments are recorded as receivables when assessed; however, they are reported as delayed revenue until the “available” criterion has been met. Sales and use taxes collected by the State and remitted to the City within the “available” time period are recognized as revenue. Revenues collected in advance are delayed and recognized in the period to which they apply. In proprietary funds, revenues and expenses are recognized using the accrual basis of accounting. Revenues are recognized in the accounting period in which they are earned and become measurable and expenses are recognized in the period incurred. FINANCIAL CONTROLS The City utilizes a computerized financial accounting system, which includes a system of budgetary controls. State law requires budgets to be controlled by individual departments, but the City also maintains computerized control by major categories within departments. These computerized controls are such that a requisition cannot be entered into the purchasing system unless the appropriated funds are available. The system checks for sufficient funds again, prior to the purchase order being issued, and again before the payment check is issued. Voucher payments are also controlled by the computer for sufficient appropriations. BUDGET AND APPROPRIATION PROCESS The budget and appropriation process of the City is governed by the Uniform Fiscal Procedures Act for Utah Cities, Title 10, Chapter 6, of the Utah Code (the “Fiscal Procedures Act”). Pursuant to the Fiscal Procedures Act, the budget officer of the City is required to prepare budgets for the General Fund, Special Revenue Funds, Debt Service Funds and Capital Improvement Fund. These budgets are to provide a complete financial plan for the budget (ensuing fiscal) year. Each budget is required to specify, in tabular form, estimates of anticipated revenues and appropriations for expenditures. Under the Fiscal Procedures Act, the total of anticipated revenues must equal the total of appropriated expenditures. On or before the first regular meeting of the City Council in May of each year, the budget officer is required to submit to the City Council tentative budgets for all funds for the fiscal year commencing July 1. Various actual and estimated budget data are required to be set forth in the tentative budgets. The budget officer may revise the budget request submitted by the heads of City departments but must file these submissions with the City Council together with the tentative budget. The budget officer is required to estimate in the tentative budget the revenue from nonproperty tax sources available for each fund and the revenue from general property taxes required by each fund. The tentative budget is then provisionally adopted by the City Council, with any amendments or revisions that the City Council deems advisable prior to the public hearings on the tentative budget. After public notice and hearing, the tentative budget is adopted by the City Council, subject to further amendment or revisions by the City Council prior to adoption of the final budget. -49- Prior to June 30th of each year, the final budgets for all funds are adopted by the City Council. The Fiscal Procedures Act prohibits the City Council from making any appropriation in the final budget of any fund in excess of the estimated expendable revenue of such fund. The adopted final budget is subject to amendment by the City Council during the fiscal year. However, in order to increase the budget total of any fund, public notice and hearing must be provided. Intra- and inter-department transfers of appropriation balances are permitted upon compliance with the Fiscal Procedures Act. The amount set forth in the final budget as the total amount of estimated revenue from property taxes constitutes the basis for determining the property tax levy to be set by the City Council for the succeeding tax year. INSURANCE COVERAGE The City is largely self-insured for general liability exposures, except for liability incurred on premises owned, rented, or occupied by the Department of Airports (the “Airport”) and cyber liability insurance. The Airport carries commercial general liability insurance with a $500,000,000 policy limit and no deductible. The Governmental Immunity Fund (an internal service fund) has been established to pay liability claims other than those covered by the Airport policy, along with certain litigation expenses. The City carries an all risk property insurance policy (the “Policy”) with a $500,000,000 aggregate limit and a $100,000 deductible, except for earthquake, which carries a 1% deductible per location; and flood, which carries a $250,000 or $500,000 deductible, depending on location. Sub-limits include: (1) earthquake limit of $125,000,000 aggregate; (2) flood limit of $100,000,000 aggregate; (3) dams and appurtenant structures limit of $30,000,000 aggregate except for Mountain Dell, which carries a $60,000,000 aggregate limit; (4) business interruption and extra expense are covered at $10,000,000; and (5) terrorism loss is covered at $5,000,000. The City is self-insured for property loss above the limits and below the deductibles. The operating departments of the General Fund or proprietary funds assume financial responsibility for risk retained by the City for property damage. The Airport is covered by a separate all risk property insurance policy with a $1,000,000,000 limit, subject to sub-limits and a $100,000 deductible. Locations covered include Salt Lake City International Airport, South Valley Regional Airport, and Tooele Valley Airport. Boiler and machinery carry a deductible of $100,000. Flood carries a sub-limit of $150,000,000 and Earth movement carries sub-limit of $100,000,000 with a 2% deductible per unit, subject to a $100,000 minimum and $5,000,000 maximum in any one occurrence (defined as a 168-hour period). Windstorm or hail carries a $1,000,000,000 limit, subject to a minimum $100,000 deductible per occurrence. Time element including business interruption, extra expense, rental value, and rental income is covered at $200,000,000 with a $100,000 deductible. Sub-limits apply for debris removal ($25,000,000), valuable papers and records ($25,000,000), errors and omissions ($10,000,000), and named storm ($1,000,000,000). The Treasurer, Deputy Treasurer, and Chief Financial Officer are each covered under $10,000,000 public official bonds. The City also has a government crime policy covering (1) -50- employee theft with a $1,000,000 limit and $20,000 deductible; (2) forgery or alteration with a $25,000 limit and $1,000 deductible; (3) theft of money and securities with a $50,000 limit and $2,500 deductible; (4) robbery or safe burglary with a $50,000 limit and $2,500 deductible; (5) money orders and counterfeit money with a $50,000 limit and $2,500 deductible; and (6) computer fraud and funds transfer fraud, each carrying $1,000,000 limits and $20,000 deductibles. The City purchases workers’ compensation insurance with statutory limits for all City employees. Further, the City is self-insured for unemployment. The Risk Management Fund (an internal service fund) has been established to pay these claims along with health insurance premiums and certain administrative expenses. INVESTMENT POLICY City Policy. It is the policy of the City to invest public funds in accordance with the principles of sound treasury management and in compliance with State and local laws, regulations, and other policies governing the investment of public funds, specifically, according to the terms and conditions of the State Money Management Act, Title 51, Chapter 7 of the Utah Code (the “Money Management Act”) and Rules of the State Money Management Council as currently amended, and the City’s own written investment policy. The following investment objectives, in order of priority, are met when investing public funds: safety of principal, need for liquidity, and maximum yield on investments consistent with the first two objectives. The City may use investment advisers to conduct investment transactions on its behalf as permitted by the Money Management Act and local ordinance or policy. Investment advisers must be certified by the Director of the Utah State Division of Securities of the Department of Commerce (the “Director”). Broker/dealers and agents who desire to become certified dealers must be certified by the Director and meet the requirements of the Money Management Act. Only qualified depositories as certified by Utah’s Commissioner of Financial Institutions are eligible to receive and hold deposits of public funds. The State Money Management Council issues a quarterly list of certified investment advisers, certified dealers, and qualified depositories authorized by State statute to conduct transactions with public treasurers. Transactions involving authorized deposits or investments of public funds may be conducted only through issuers of securities authorized by Section 51-7-11(3) of the Utah Code, qualified depositories included in the current State list, and certified dealers included in the current State list. The City Treasurer must take delivery of all investments purchased, including those purchased through a certified investment adviser. This may be accomplished by the City Treasurer taking physical delivery of the security or delivering the security to a bank or trust company designated by the City Treasurer for safekeeping. The City Treasurer may use a qualified depository bank for safekeeping securities or maintain an account with a money center bank for the purpose of settling investment transactions and safekeeping and collecting those investments. City policy provides that not more than 25% of total City funds or 25% of the qualified depository’s allotment, whichever is less, can be invested in any one qualified depository. Not more than 20% of total City funds may be invested in any one certified out-of-state depository institution. However, there is no limitation placed on the amount invested with the Utah Public -51- Treasurer’s Investment Fund (“PTIF”) and other money market mutual funds, provided that the overall standards of investments achieve the City’s policy objectives. All funds pledged or otherwise dedicated to the payment of interest on and principal of bonds or notes issued by the City are invested in accordance with the terms and borrowing instruments applicable to such bonds or notes. City policy also provides that the remaining term to maturity of an investment may not exceed the period of availability of the funds invested. The investment of City funds cannot be of a speculative nature. The City’s entire portfolio is currently in compliance with all of the provisions of the Money Management Act. The Utah Public Treasurers’ Investment Fund. The PTIF is a local government investment fund, established in 1981, and managed by the State Treasurer. Generally, a substantial portion of the City’s funds are on deposit in the PTIF (currently approximately $1.1 billion). All investments in the PTIF must comply with the Money Management Act and rules of the State Money Management Council. The PTIF invests primarily in money market securities. Securities in the PTIF include certificates of deposit, commercial paper, short-term corporate notes, obligations of the U.S. Treasury and securities of certain agencies of the federal government. By policy, the maximum weighted average adjusted life of the portfolio is not to exceed 90 days and the maximum final maturity of any security purchased by the PTIF is limited to five years. Safekeeping and audit controls for all investments owned by the PTIF must comply with the Money Management Act. All securities purchased are delivered versus payment to the custody of the State Treasurer or the State Treasurer’s safekeeping bank, assuring a perfected interest in the securities. Securities owned by the PTIF are completely segregated from securities owned by the State. The State has no claim on assets owned by the PTIF except for any investment of State moneys in the PTIF. Deposits are not insured or otherwise guaranteed by the State. Investment activity of the State Treasurer in the management of the PTIF is reviewed monthly by the State Money Management Council and is audited by the State Auditor. The information in this section concerning the current status of the PTIF has been obtained from sources the City believes to be reliable, but the City takes no responsibility for the accuracy thereof. INVESTMENT CONSIDERATIONS SERIES 202_ [BONDS][NOTES] ARE LIMITED OBLIGATIONS The Series 202_ [Bonds][Notes] are special limited obligations of the City, payable solely from the Revenues, moneys, securities and funds pledged therefor in the Indenture. The Revenues consist of the revenues, fees and other income received by the City from the operation of the System. See “SECURITY AND SOURCES OF PAYMENT FOR THE BONDS—General” herein. The -52- Series 202_ [Bonds][Notes] do not constitute a general obligation indebtedness nor are they secured by a pledge of the ad valorem taxing power or the full faith and credit of the City and are not obligations of the State or any other agency or other political subdivision or entity of the State. The City will not mortgage or grant any security interest in the improvements financed with the proceeds of the Series 202_ [Bonds][Notes] or any portion thereof to secure payment of the Series 202_ [Bonds][Notes]. CLIMATE CHANGE Climate change caused by human activities may have adverse effects on the System, including on each of the wet utilities the Department manages. As greenhouse gas emissions continue to accumulate in the atmosphere as a result of economic activity, climate change is expected to intensify, increasing the frequency, severity and timing of extreme weather events such as aridification, drought, wildfires, floods and heat waves, and water quality concerns such as harmful algal blooms. The future fiscal impact of climate change on the System is difficult to predict, but it could be significant, and it could have a material adverse effect on the City’s finances by requiring greater expenditures to counteract the effects of climate change or by changing the business and activities of City customers. The City considers the potential effects of climate change in its planning. The Department anticipates and plans for climate change impacts in several ways. The most recent water supply and demand plan includes consideration of impacts to water supply availability and water demand changes in the long-range projections. This informs water resource management, including water conservation goals. A watershed management plan is being updated to include climate change impacts to water quality, vegetation and wildfire risk in source water areas. An update to the Department’s stormwater management plan is also ongoing, including consideration of storm intensification impacts to flood risk. The Department has also contracted with the University of Utah to conduct an iterative assessment of localized climate data, projected impacts, and adaptation measures. This information is used to guide short- and long-term decisions regarding water resources, capital investments, and planning. The Department is additionally addressing its role in greenhouse gas mitigation. A renewable energy plan and wire to water efficiency study were developed to inform capital and operational decisions to reduce the Department’s own operational greenhouse gas emissions. CYBERSECURITY The risk of cyberattacks against enterprises, including those operated for a governmental purpose, has become more prevalent in recent years. At least one of the rating agencies factors the risk of such an attack into its ratings analysis, recognizing that a cyberattack could affect liquidity, public policy and constituent confidence, and ultimately credit quality. A cyberattack could cause the informational systems of the Department and the City to be compromised and could limit operational capacity, for short or extended lengths of time and could bring about the release of sensitive and private information. Additionally, other potential negative consequences include data loss or compromise, diversion of resources to prevent future incidences and reputational damage. The City believes it has made all reasonable efforts to ensure that any such attack is not successful and that the information systems of the City are secure. The Department -53- closely watches for events that can increase cyberthreat activity through WaterISAC, intelligence briefings, and industry collaborations. For instance, the Russian-Ukrainian conflict has resulted in increased national and statewide cyberthreat monitoring. The Department and the City routinely check system security and conduct regular employee training to help protect against cyberattacks and have participated in two CISA cybersecurity assessments in the last year. The City recently updated its cybersecurity incident response plan. However, there can be no assurance that a cyberattack will not occur in a manner resulting in damage to the City’s information systems or other challenges. The City has insurance coverage for cyber liability and has a company on retainer for incident response. The Airport became aware of a limited network incident in mid-December 2024. Steps have been taken to address the incident and a full investigation remains ongoing. TAX MATTERS FEDERAL Federal tax law contains a number of requirements and restrictions which apply to the Series 202_ [Bonds][Notes], including investment restrictions, periodic payments of arbitrage profits to the United States, requirements regarding the proper use of bond proceeds and the facilities financed therewith, and certain other matters. The City has covenanted to comply with all requirements that must be satisfied in order for the interest on the Series 202_ [Bonds][Notes] to be excludible from gross income for federal income tax purposes. Failure to comply with certain of such covenants could cause interest on the Series 202_ [Bonds][Notes] to become includible in gross income for federal income tax purposes retroactively to the date of issuance of the Series 202_ [Bonds][Notes]. Subject to City’s compliance with the above-referenced covenants, under present law, in the opinion of Bond Counsel, interest on the Series 202_ [Bonds][Notes] is excludible from the gross income of the owners thereof for federal income tax purposes and is not includible as an item of tax preference in computing the federal alternative minimum tax for individuals under the Internal Revenue Code of 1986, as amended (the “Code”). Interest on the Series 202_ [Bonds][Notes] may affect the corporate alternative minimum tax for certain corporations. In rendering its opinion, Bond Counsel will rely upon certifications of the City with respect to certain material facts solely within the City’s knowledge. Bond Counsel’s opinion represents its legal judgment based upon its review of the law and the facts that it deems relevant to render such opinion and is not a guarantee of a result. Ownership of the Series 202_ [Bonds][Notes] may result in collateral federal income tax consequences to certain taxpayers, including, without limitation, corporations subject to the branch profits tax, financial institutions, certain insurance companies, certain S corporations, individual recipients of Social Security or Railroad Retirement benefits and taxpayers who may be deemed to have incurred (or continued) indebtedness to purchase or carry tax-exempt obligations. Prospective purchasers of the Series 202_ [Bonds][Notes] should consult their tax advisors as to applicability of any such collateral consequences. -54- The issue price for original issue discount (as further discussed below) and market discount purposes (the “OID Issue Price”) for each maturity of the Series 202_ [Bonds][Notes] is the price at which a substantial amount of such maturity of the Series 202_ [Bonds][Notes] is first sold to the public (excluding bond houses and brokers and similar persons or organizations acting in the capacity of underwriters, placement agents or wholesalers). The OID Issue Price of a maturity of the Series 202_ [Bonds][Notes] may be different from the price set forth, or the price corresponding to the yield set forth, on the cover page hereof. If the OID Issue Price of a maturity of the Series 202_ [Bonds][Notes] is less than the principal amount payable at maturity, the difference between the OID Issue Price of each such maturity, if any, of the Bonds (the “OID Bonds”) and the principal amount payable at maturity is original issue discount. For an investor who purchases an OID Bond in the initial public offering at the OID Issue Price for such maturity and who holds such OID Bond to its stated maturity, subject to the condition that the Issuer and the Board of Education comply with the covenants discussed above, (a) the full amount of original issue discount with respect to such OID Bond constitutes interest which is excludible from the gross income of the owner thereof for federal income tax purposes; (b) such owner will not realize taxable capital gain or market discount upon payment of such OID Bond at its stated maturity; (c) such original issue discount is not included as an item of tax preference in computing the alternative minimum tax for individuals under the Code; and (d) the accretion of original issue discount in each year may result in certain collateral federal income tax consequences in each year even though a corresponding cash payment may not be received until a later year. Owners of OID Bonds should consult their own tax advisors with respect to the state and local tax consequences of original issue discount on such OID Bonds. Owners of Series 202_ [Bonds][Notes] who dispose of Series 202_ [Bonds][Notes] prior to the stated maturity (whether by sale, redemption or otherwise), purchase Series 202_ [Bonds][Notes] in the initial public offering, but at a price different from the OID Issue Price or purchase Series 202_ [Bonds][Notes] subsequent to the initial public offering should consult their own tax advisors. If a Series 202_ Bond is purchased at any time for a price that is less than the Series 202_ Bond’s stated redemption price at maturity or, in the case of an OID Bond, its OID Issue Price plus accreted original issue discount (the “Revised Issue Price”), the purchaser will be treated as having purchased a Series 202_ Bond with market discount subject to the market discount rules of the Code (unless a statutory de minimis rule applies). Accrued market discount is treated as taxable ordinary income and is recognized when a Series 202_ Bond is disposed of (to the extent such accrued discount does not exceed gain realized) or, at the purchaser’s election, as it accrues. The applicability of the market discount rules may adversely affect the liquidity or secondary market price of such Series 202_ Bond. Purchasers should consult their own tax advisors regarding the potential implications of market discount with respect to the Series 202_ [Bonds][Notes]. An investor may purchase a Series 202_ Bond at a price in excess of its stated principal amount. Such excess is characterized for federal income tax purposes as “bond premium” and must be amortized by an investor on a constant yield basis over the remaining term of the Series -55- 202_ Bond in a manner that takes into account potential call dates and call prices. An investor cannot deduct amortized bond premium relating to a tax-exempt bond. The amortized bond premium is treated as a reduction in the tax-exempt interest received. As bond premium is amortized, it reduces the investor’s basis in the Series 202_ Bond. Investors who purchase a Series 202_ Bond at a premium should consult their own tax advisors regarding the amortization of bond premium and its effect on the Series 202_ Bond’s basis for purposes of computing gain or loss in connection with the sale, exchange, redemption or early retirement of the Series 202_ Bond. There are or may be pending in the Congress of the United States legislative proposals, including some that carry retroactive effective dates, that, if enacted, could alter or amend the federal tax matters referred to above or adversely affect the market value of the Series 202_ [Bonds][Notes]. It cannot be predicted whether or in what form any such proposal might be enacted or whether, if enacted, it would apply to Series 202_ [Bonds][Notes] issued prior to enactment. Prospective purchasers of the Series 202_ [Bonds][Notes] should consult their own tax advisors regarding any pending or proposed federal tax legislation. Bond Counsel expresses no opinion regarding any pending or proposed federal tax legislation. The Internal Revenue Service (the “Service”) has an ongoing program of auditing tax-exempt obligations to determine whether, in the view of the Service, interest on such tax-exempt obligations is includible in the gross income of the owners thereof for federal income tax purposes. It cannot be predicted whether or not the Service will commence an audit of the Series 202_ [Bonds][Notes]. If an audit is commenced, under current procedures the Service may treat the Issuer as a taxpayer and the Bondholders may have no right to participate in such procedure. The commencement of an audit could adversely affect the market value and liquidity of the Series 202_ [Bonds][Notes] until the audit is concluded, regardless of the ultimate outcome. Payments of interest on, and proceeds of the sale, redemption or maturity of, tax-exempt obligations, including the Series 202_ [Bonds][Notes], are in certain cases required to be reported to the Service. Additionally, backup withholding may apply to any such payments to any Bond owner who fails to provide an accurate Form W-9 Request for Taxpayer Identification Number and Certification, or a substantially identical form, or to any Series 202_ Bond owner who is notified by the Service of a failure to report any interest or dividends required to be shown on federal income tax returns. The reporting and backup withholding requirements do not affect the excludability of such interest from gross income for federal tax purposes. STATE OF UTAH In the opinion of Bond Counsel, under the laws of the State of Utah, as presently enacted and construed, interest on the Series 202_ [Bonds][Notes] is exempt from taxes imposed by the Utah Individual Income Tax Act. Bond Counsel expresses no opinion with respect to any other taxes imposed by the State of Utah or any political subdivision thereof. Ownership of the Series 202_ [Bonds][Notes] may result in other state and local tax consequences to certain taxpayers. Bond Counsel expresses no opinion regarding any such collateral consequences arising with respect to the Series 202_ [Bonds][Notes]. Prospective purchasers of the Series 202_ [Bonds][Notes] should consult their tax advisors regarding the applicability of any such state and local taxes. -56- LEGAL MATTERS LITIGATION The City Attorney reports the following matters involving potential financial liability of the City: Lawsuits are periodically filed against the City and/or its employees, involving tort and civil rights matters. The City has a statutory obligation to defend and indemnify its officers and employees in relation to lawsuits arising from acts or failures to act of the officers or employees while in the scope and course of employment. The City maintains a governmental immunity fund for claims against the City. In the event the fund is not sufficient to pay any outstanding judgment or judgments, the City has the ability under State law to levy a limited ad valorem tax to pay such judgments. This tax levy is separate and apart from the other taxing powers of the City. The City also has contract claims, condemnation proceedings and environmental matters, none of which is expected to materially adversely affect the City’s financial condition. A non-litigation certificate or opinion executed by the City Attorney, dated the date of closing, will be provided stating, among other things, that to the best of her knowledge, after due inquiry, no litigation, with merit, in the State or federal court has been served on the City or is, to the best of her knowledge, threatened, challenging the creation, organization or existence of the City, or the titles of its officers to their respective offices, or seeking to restrain or enjoin the issuance, sale or delivery of the Series 202_ [Bonds][Notes], or for the purpose of restraining or enjoining the levy and collection of taxes or assessments by the City, or directly or indirectly contesting or affecting the proceedings or the authority by which the Series 202_ [Bonds][Notes] are issued, the legality of the purpose for which the Series 202_ [Bonds][Notes] are issued, or the validity of the Series 202_ [Bonds][Notes], or the issuance thereof. APPROVAL OF LEGAL PROCEEDINGS The authorization and issuance of the Series 202_ [Bonds][Notes] are subject to the approval of Chapman and Cutler LLP, Bond Counsel. Certain legal matters will be passed upon for the City by the City Attorney. The approving opinion of Bond Counsel will be delivered with the Series 202_ [Bonds][Notes]. A copy of the opinion of Bond Counsel in substantially the form set forth in APPENDIX D of this Official Statement will be made available upon request from the contact persons as indicated under “INTRODUCTION—Contact Persons.” CONTINUING DISCLOSURE UNDERTAKING The City will undertake for the benefit of the Bondholders and the beneficial owners of the Series 202_ [Bonds][Notes] to provide certain annual financial information and operating data and notice of certain material events to the Municipal Securities Rulemaking Board, all in order to -57- assist the Underwriters in complying with Rule 15c2-12(b)(5) of the Securities and Exchange Commission. See “APPENDIX F” attached hereto and incorporated herein by reference for a form of the Continuing Disclosure Undertaking (the “Disclosure Agreement”) that will be executed and delivered by the City. The City has entered into a number of Continuing Disclosure Undertakings pursuant to the Rule with respect to the bonds it has issued and has contracted with a number of dissemination agents to file annual information and notices of certain events on behalf of the City. In the previous five years the City provided its annual financial information and audited financial statements to the applicable dissemination agent in advance of the deadline specified in the applicable Continuing Disclosure Undertaking. Dissemination agents for certain of the City’s bonds filed such information late; however, the information was filed within 10 days of the deadline. Additionally, with respect to certain of the Bonds, during the previous five years the City filed the audited financial statements of the City’s utilities system, but did not include the audited financial statements of the City. Corrective filings have been made and the City has taken steps to ensure that in the future the City’s audited financial statements will be filed for such Bonds as required. At the time of the initial corrective filings the City determined that such filings were immaterial with respect to certain maturities of the Bonds that had already matured, and corrective filing were not made for such maturities. In connection with a prior purchase of certain of the City’s general obligation bonds, the purchaser requested that corrective filings be made for such previously matured Bonds. The City complied with such request despite having determined that such filings were not material. A failure by the City to comply with the Disclosure Agreement will not constitute a default under the Indenture and Beneficial Owners of the Series 202_ [Bonds][Notes] are limited to the remedies described in the Disclosure Agreement. A failure by the City to comply with the Disclosure Agreement must be reported in accordance with the Rule and must be considered by any broker, dealer or municipal securities dealer before recommending the purchase or sale of the Series 202_ [Bonds][Notes] in the secondary market. Consequently, such a failure may adversely affect the transferability and liquidity of the Series 202_ [Bonds][Notes] and their market price. See the FORM OF CONTINUING DISCLOSURE UNDERTAKING attached hereto as APPENDIX F for the information to be provided, the events which will be noticed on an occurrence basis and the other terms of the Disclosure Agreement, including termination, amendment and remedies. UNDERWRITING The Underwriters have agreed, subject to certain conditions, to purchase all of the Series 202_ [Bonds][Notes] from the City at an aggregate price of $__________ (which consists of the principal amount of the Series 202_ [Bonds][Notes], plus original issue premium of $__________ and less an Underwriters’ discount of $__________). The Underwriters have advised the City that the Series 202_ [Bonds][Notes] may be offered and sold to certain dealers (including dealers depositing the Series 202_ [Bonds][Notes] into investment trusts) at prices lower than the initial public offering prices set forth on the inside front cover page of the Official Statement and that such public offering prices may be changed from time to time. -58- The Underwriters and their respective affiliates are full-service financial institutions engaged in various activities that may include securities trading, commercial and investment banking, municipal advisory, brokerage, and asset management. In the ordinary course of business, the Underwriter and its respective affiliates may actively trade debt and, if applicable, equity securities (or related derivative securities) and provide financial instruments (which may include bank loans, credit support or interest rate swaps). The Underwriters and their respective affiliates may engage in transactions for their own accounts involving the securities and instruments made the subject of this securities offering or other offering of the City. The Underwriters and their respective affiliates may make a market in credit default swaps with respect to municipal securities in the future. The Underwriters and their respective affiliates may also communicate independent investment recommendations, market color or trading ideas and publish independent research views in respect of this securities offering or other offerings of the City. BOND RATINGS S&P Global Ratings (“S&P”) and Moody’s Investors Service, Inc. (“Moody’s”) have assigned municipal bond ratings of “___” and “___,” respectively, to the Series 202_ [Bonds][Notes]. Any explanation of the significance of such ratings may only be obtained from the rating service furnishing the same. There is no assurance that the ratings given will be maintained for any period of time or that the ratings will not be revised downward or withdrawn entirely by the rating agency if, in its judgment, circumstances so warrant. Any such downward revision or withdrawal of such rating may have an adverse effect on the market price of such outstanding obligations. [ESCROW VERIFICATION __________, __________, __________, Certified Public Accountants, will verify the accuracy of the mathematical computations concerning the adequacy of the maturing principal amounts of and interest earned on the obligations of the United States of America, together with other escrowed moneys, to pay when due pursuant to prior redemption the Principal and Redemption Price of, and interest on, the Refunded Bonds. Such verification shall be based in part upon information supplied by the Underwriter.] MUNICIPAL ADVISOR The City has entered into an agreement with Stifel, Nicolaus & Company, Incorporated (the “Municipal Advisor”) whereunder the Municipal Advisor provides financial recommendations and guidance to the City with respect to preparation for sale of the Series 202_ [Bonds][Notes], timing of the sale, bond market conditions, costs of issuance and other factors related to the sale of the Series 202_ [Bonds][Notes]. The Municipal Advisor has participated in the preparation of and provided information for certain portions of the Official Statement, but has not audited, authenticated or otherwise verified the information set forth in the Official Statement, or any other related information available to the City, with respect to accuracy and completeness -59- of disclosure of such information, and the Municipal Advisor makes no guaranty, warranty or other representation respecting accuracy and completeness of the Official Statement or any other matter related to the Official Statement. The Municipal Advisor fees are contingent upon the sale and delivery of the Series 202_ [Bonds][Notes]. INDEPENDENT AUDITORS The basic financial statements of Salt Lake City Water, Sewer, Stormwater, and Street Lighting Utilities (Enterprise Funds of Salt Lake City Corporation) as of and for the year ended June 30, 2024, included in APPENDIX A to this Official Statement, have been audited by Eide Bailly LLP, independent accountants, as stated in their report appearing in APPENDIX A herein. Copies of the City’s comprehensive annual financial report may be obtained on the City’s website. MISCELLANEOUS ADDITIONAL INFORMATION All quotations from and summaries and explanations of the State Constitution, statutes, programs, laws of the State, court decisions, and the Indenture, which are contained herein, do not purport to be complete, and reference is made to said Constitution, statutes, programs, laws, court decisions, and the Indenture for full and complete statements of their respective provisions. Any statement in this Official Statement involving matters of opinion, whether or not expressly so stated, is intended as such and not as a representation of fact. The appendices attached hereto are an integral part of this Official Statement, and should be read in conjunction with the foregoing material. This Preliminary Official Statement is in form deemed final for purposes of paragraph (b)(1) of Rule 15c2-12 of the Securities and Exchange Commission. The delivery of the Official Statement and its distribution and use has been duly authorized by the City. SALT LAKE CITY, UTAH A-1 APPENDIX A SALT LAKE CITY WATER, SEWER, STORMWATER, AND STREET LIGHTING UTILITIES (ENTERPRISE FUNDS OF SALT LAKE CITY CORPORATION) INDEPENDENT AUDITOR’S REPORT AND COMBINED FINANCIAL STATEMENTS AS OF JUNE 30, 2024 B-1 APPENDIX B EXCERPTS OF CERTAIN PROVISIONS OF THE MASTER INDENTURE The following are certain of the definitions contained in the Master Indenture and extracts of certain provisions of the Master Indenture, as heretofore amended and supplemented and as further amended and supplemented by the __________ supplemental indenture to be executed with the issuance of the Series 202_ [Bonds][Notes]. Reference is hereby made to the actual Indenture for a complete recital of its terms. During the period of the offering of the Series 202_ [Bonds][Notes], copies of the Master Indenture and the __________ supplemental indenture will be available from the Municipal Advisor. Subsequent to the offering of the Series 202_ [Bonds][Notes], copies of the Master Indenture and __________ supplemental indenture may be obtained from the Trustee. DEFINITIONS “Accountant’s Certificate” means a certificate signed by a Qualified Public Accountant. “Accreted Amount” means, with respect to Capital Appreciation Bonds of any Series and as of the date of calculation, the amount established pursuant to the Supplemental Indenture authorizing such Capital Appreciation Bonds as the amount representing the initial public offering price, plus the accumulated and compounded interest on such Bonds. “Accrued Debt Service” means, as of any date of calculation, the amount of Debt Service that has accrued with respect to any Series of Bonds and any related Security Instrument Repayment Obligations, calculating the Debt Service that has accrued with respect to each Series of Bonds and any related Security Instrument Repayment Obligations as an amount equal to the sum of (a) the interest on the Bonds of such Series and on any related Security Instrument Repayment Obligations that has accrued and is unpaid and that will have accrued by the end of the then-current calendar month, and (b) that portion of all Principal Installments payable within the 12-month period following the date of calculation for the Bonds of such Series (other than Subordinated Bond Anticipation Notes) and on any related Security Instrument Repayment Obligations that would have accrued, if deemed to accrue in the same manner as interest accrues, by the end of the then current calendar month. “Act” means the Utah Municipal Bond Act, Chapter 14 of Title 11, Utah Code Annotated 1953, as amended, and, to the extent applicable, the Registered Public Obligations Act, Chapter 7 of Title 15, Utah Code Annotated 1953, as amended, and the Utah Refunding Bond Act, Chapter 27 of Title 11, Utah Code Annotated 1953, as amended, and all laws amendatory thereof or supplemental thereto. “Agent” or “Agents” means the Trustee, the Paying Agents, any Transfer Agent, any Depositary, or any or all of them, as may be appropriate. B-2 “Aggregate Debt Service” means, as of any date of calculation and with respect to any period, the sum of the amounts of Debt Service for (a) all Series of Bonds then Outstanding and (b) any Repayment Obligations then outstanding. “Amortized Value” means par, if an obligation was purchased at par or, when used with respect to an obligation purchased at a premium above par or at a discount below par, means the value as of any given date obtained by dividing the total amount of the premium or discount at which such obligation was purchased by the number of days remaining to the maturity of such obligation on the date of such purchase and by multiplying the amount thus calculated by the number of days having passed since the date of such purchase and: (a) in the case of an obligation purchased at a premium, by subtracting the product thus obtained from the purchase price to obtain Amortized Value, or (b) in the case of an obligation purchased at a discount, by adding the product thus obtained to the purchase price to obtain Amortized Value. “Authorized Amount” means, with respect to a Commercial Paper Program, the maximum principal amount of commercial paper which is then authorized by the City to be outstanding at any one time pursuant to such Commercial Paper Program. “Authorized Officer” means the Director, the Deputy Director and the Finance Administrator of the Department, the Mayor, the City Treasurer, the City Recorder and any other person duly authorized to perform the act or sign the document in question. “Balloon Bonds” means Bonds, other than Bonds which mature within one year of the date of issuance thereof, 25% or more of the Principal Installments on which (a) are due or, (b) at the option of the Holder thereof, may be redeemed during any period of a Year; provided, however, that to constitute Balloon Bonds the City must designate such Bonds as Balloon Bonds. “Bond Anticipation Notes” means Bonds issued by the City pursuant to the Indenture in advance of the permanent financing of the City for a Project pursuant to the provisions of the Act. “Bond Service Account” means the Bond Service Account in the Principal and Interest Fund established in the Indenture. “Bondholder” or “Holder”, or any similar term, means the owner of any Bond or Bonds. In the case of a fully-registered Bond, Bondholder means the registered owner of such Bond. “Bonds” means bonds, notes, commercial paper or other obligations (other than Repayment Obligations) authorized by and at any time Outstanding pursuant to the Indenture. “Business Day” means a day of the year which is not a Saturday, Sunday or legal holiday in New York, New York, or a day on which the Trustee, any Depositary and any Security Instrument Issuer are authorized or obligated to close. “Calendar Year” means the period commencing on January 1 of each year and terminating on the next succeeding December 31. B-3 “Capital Appreciation Bonds” means Bonds the interest on which (a) is compounded and accumulated at the rates and on the dates set forth in the Supplemental Indenture authorizing the issuance of such Bonds and designating them as Capital Appreciation Bonds, and (b) is payable upon maturity or redemption of such Bonds. “City” means Salt Lake City, Utah, a municipal corporation and political subdivision of the State, and its successors and assigns. “City Recorder” means the City Recorder of the City, or in the event of his or her disability or absence, a Deputy City Recorder or other person duly authorized to perform the duties of the City Recorder. “City Treasurer” means the City Treasurer of the City, or in the event of his or her disability or absence, the Deputy City Treasurer or other person duly authorized to perform the duties of the City Treasurer. “Code” means the Internal Revenue Code of 1986, as amended and supplemented from time to time. Each reference to a section of the Code shall be deemed to include the United States Treasury Regulations, including temporary and proposed regulations, relating to such section which are applicable to tax-exempt bonds. “Commercial Paper Program” means commercial paper obligations with maturities of not more than one Year from the dates of issuance thereof which are issued and reissued by the City from time to time pursuant to the Indenture and are outstanding up to an Authorized Amount. “Construction Bonds” means all Bonds, whether issued in one or more Series, authenticated and delivered pursuant to the Indenture to pay all or a portion of (a) the Cost of Construction of a Project, (b) Principal, Redemption Price and interest on Bond Anticipation Notes or (c) any combination of (a) and (b), and any Bonds thereafter authenticated and delivered in lieu thereof or in substitution therefor pursuant to the Indenture. “Construction Fund” means the fund by that name established in the Indenture. “Cost of Construction” means the costs of the City properly attributable to the acquisition of any Project and all expenses preliminary and incidental thereto incurred by the City in connection therewith and in the issuance of the Bonds, including all engineering, fiscal, underwriting, financing and legal expenses and costs of issuance, printing and advertising, for which funds may be disbursed from the Construction Fund and interest during construction, including but not limited to: (a) Payment of the acquisition or construction costs of a Project. (b) Payment of the initial or acceptance fee of the Trustee. B-4 (c) Payment to the City of such amounts, if any, as shall be necessary to reimburse the City in full for advances and payments theretofore made or costs theretofore incurred by the City for any item of Cost of Construction. (d) Costs for the obtaining of any insurance policy or policies or surety bonds with respect to a Project by the City during the construction of such Project. (e) Payment of audit fees and expenses for maintenance of construction records required to be kept with respect to a Project. (f) Payment of the costs of any necessary litigation and the obtaining of all necessary permits and rulings. (g) Payment of the costs of issuance of the Bonds including legal, accounting and fiscal agent and underwriting fees and expenses, payments and fees due under any agreement pursuant to which any Series of Bonds is sold, bond discount, printing and engraving costs and fees of rating agencies, incurred in connection with the authorization, sale and issuance of the Bonds and preparation of the Indenture and Supplemental Indenture pursuant to which the Bonds will be issued. (h) Payment of interest on the Bonds during the period of construction of a Project and for 12 months thereafter (or such different period as may then be permitted by law). (i) The amount, if any, to be deposited into the Debt Service Reserve Account pursuant to the Indenture. (j) Payment of any other costs and expenses during the construction period of a Project and relating to the Project, including Security instrument Costs, Reserve Instrument Costs, and fees and expenses of the Trustee and of professional services to comply with the rebate requirements of the Code. “Council” means the City Council of the City, or any other governing body of the City hereafter provided for pursuant to law. “Cross-over Date” means with respect to Cross-over Refunding Bonds the date on which the Principal portion of the related Cross-over Refunded Bonds is to be paid or redeemed from the proceeds of such Cross-over Refunding Bonds. “Cross-over Refunded Bonds” means Bonds refunded by Cross-over Refunding Bonds. “Cross-over Refunding Bonds” means Refunding Bonds if the proceeds of such Cross- over Refunding Bonds are irrevocably deposited in escrow to secure the payment on an applicable redemption date or maturity date of the Cross-over Refunded Bonds (subject to possible use to pay Principal of the Cross-over Refunding Bonds under certain circumstances) and the earnings on such escrow deposit are required to be applied to pay interest on the Cross-over Refunding Bonds until the Cross-over Date. B-5 “Current Interest Bonds” means Bonds not constituting Capital Appreciation Bonds. Interest on Current Interest Bonds shall be payable periodically on the interest payment dates provided therefor in a Supplemental Indenture. “Debt Service” means, for any particular Fiscal Year and for any Series of Bonds and any Repayment Obligations, an amount equal to the sum of: (a) all interest (net of any interest subsidy with respect to Bonds paid or payable to or for the account of the City by any governmental body or agency and net of any amounts deposited with the Trustee pursuant to the Indenture and available to pay interest on Bonds) payable during such Fiscal Year on such Bonds then Outstanding and such Repayment Obligations then outstanding, plus (b) the Principal Installments payable during such Fiscal Year on (i) such Bonds Outstanding (other than Subordinated Bond Anticipation Notes), calculated on the assumption that Bonds Outstanding on the day of calculation cease to be Outstanding by reason of, but only by reason of, payment either upon maturity or application of any Sinking Fund Installments required by the Indenture, and (ii) such Repayment Obligations then outstanding; provided, however that (1) for purposes of the issuance of Construction Bonds or Refunding Bonds under the Indenture, when calculating the Principal Installments payable during such Fiscal Year, there shall be treated as payable in such Fiscal Year the amount of Principal Installments which would have been payable during such Fiscal Year had the Principal of each Series of Balloon Bonds Outstanding been amortized, from their date of issuance over a period of 30 years, on a level debt service basis at an interest rate equal to the rate borne by such Balloon Bonds on the date of calculation, provided (A) that if the date of calculation is within twelve months before the actual maturity of such Balloon Bonds, the full amount of Principal payable at maturity shall be included in such calculation, and (B) that if there is any Security Instrument Repayment Obligation relating to such Balloon Bonds, the amount of Principal to be taken into account shall be the principal component of such Security Instrument Repayment Obligation; (2) when calculating interest payable during such Fiscal Year for any Series of Variable Rate Bonds or Repayment Obligations bearing interest at a variable rate that cannot be ascertained for any particular Fiscal Year, (A) it shall be assumed that such Series of Variable Rate Bonds or Repayment Obligations will bear interest at the average of the variable rates applicable to such Series of Variable Rate Bonds or Repayment Obligations during any consecutive 12-month period during the immediately preceding 24 months (or a shorter period, commencing on the date of issuance of the Series of Variable Rate Bonds or the date of incurring such Repayment Obligations and ending within 30 days prior to the date of computation), or, (B) with respect to any Series of Variable Rate Bonds or Repayment Obligations for which such an average of variable rates cannot be determined, (i) at a rate equal to 110% of the most recent Bond Market Association Municipal Swap Index theretofore published in The Bond Buyer, or (ii) if The Bond Buyer is no longer published or no longer publishes the Bond Market Association Municipal Swap Index, at a rate certified by the City’s financial advisor, underwriter or other agent, including a Remarketing B-6 Agent, to be the rate of interest such Series of Variable Rate Bonds or Repayment Obligations would bear if issued on the date of computation in the same amount, with the same maturity or maturities, with the same security, and bearing interest at a variable rate; (3) when calculating interest payable during such Fiscal Year for any Variable Rate Bonds that are issued with an Interest Rate Swap in which the City has agreed to pay a fixed rate, such Series of Variable Rate Bonds shall be deemed to bear interest at such fixed rate as a result of such Interest Rate Swap; provided that such fixed rate may be utilized so long as such Interest Rate Swap is contracted to remain in full force and effect; (4) when calculating interest payable during such Fiscal Year for any Bonds which are issued with a fixed interest rate and with respect to which an Interest Rate Swap is in effect in which the City has agreed to pay a variable rate, such Series of Bonds shall be deemed to be Variable Rate Bonds bearing interest at such variable rate as a result of such Interest Rate Swap; provided that such amounts may be utilized only so long as such Interest Rate Swap is contracted to remain in full force and effect; (5) when calculating interest payable during such Fiscal Year with respect to any Commercial Paper Program, “Debt Service” shall mean an amount equal to the sum of all principal and interest payments that would be payable during such Fiscal Year assuming that the Authorized Amount of such Commercial Paper Program is amortized on a level debt service basis over a period of 30 years beginning on the date of calculation or the period during which obligations can be issued under such Commercial Paper Program, and bearing interest (A) at an interest rate equal to the average of the interest rates applicable to such Commercial Paper Program during any consecutive 12-month period during the immediately preceding 24 months (or a shorter period, commencing on the date obligations are first issued under the Commercial Paper Program) ending within 30 days prior to the date of computation, or (B) with respect to any Commercial Paper Program for which such an average of the interest rates cannot be determined, (i) at a rate equal to 110% of the most recent Bond Market Association Municipal Swap Index theretofore published in The Bond Buyer, or (ii) if The Bond Buyer is no longer published or no longer publishes the Bond Market Association Municipal Swap Index, at an interest rate certified by the City’s financial advisor, underwriter or other agent, including a Remarketing Agent, to be the rate of interest that obligations of the Commercial Paper Program would bear if issued on the date of computation in the Authorized Amount, with the same security, bearing interest at a variable rate and maturing over a period of 30 years beginning on the date of calculation; and (6) when calculating interest payable on Bonds that are Paired Obligations, the interest rate on such Bonds shall be the resulting linked rate or effective fixed interest rate to be paid by the City with respect to such Paired Obligations; and further provided, however, that there shall be excluded from “Debt Service” (l) interest on Bonds (whether Cross-over Refunding Bonds or Cross-over Refunded Bonds) to the extent that Escrowed Interest is available to pay such interest, (2) Principal on Cross-over Refunded Bonds to the extent that the proceeds of Cross-over Refunding Bonds are on deposit in an irrevocable escrow in satisfaction of the requirements of Section 11-27-3, Utah Code Annotated 1953, as amended, and such proceeds or the earnings thereon are required to be applied to pay such Principal (subject B-7 to the possible use to pay the Principal of the Cross-over Refunding Bonds under certain circumstances) and such amounts so required to be applied are sufficient to pay such Principal, (3) Repayment Obligations to the extent that payments on Pledged Bonds relating to such Repayment Obligations satisfy the City’s obligation to pay such Repayment Obligations, and (4) any termination payments with respect to an Interest Rate Swap. “Debt Service Reserve Account” means the Debt Service Reserve Account in the Principal and Interest Fund established in the Indenture. “Debt Service Reserve Requirement” means, with respect to any Series Subaccount that has been established in the Debt Service Reserve Account, the amount specified in a Supplemental Indenture as being required to be on deposit in such Series Subaccount. “Department” means the Department of Public Utilities of the City. “Depositary” means any bank or trust company selected by the City as a depositary of moneys and securities held under the provisions of the Indenture and may include the Trustee. “Director” means the Director of the Department, or in the event of his or her disability or absence, the Deputy Director of the Department or other person duly authorized to perform the duties of the Director. “Engineer’s Certificate” means a certificate or opinion signed by a Qualified Engineer. “Escrowed Interest” means amounts irrevocably deposited in escrow in accordance with the requirements of Section 11-27-3, Utah Code Annotated 1953, as amended, in connection with the issuance of Bonds or Cross-over Refunding Bonds secured by such Cross-over Refunding Bonds or earnings on such amounts which are required to be applied to pay interest on such Cross- over Refunding Bonds or the related Cross-over Refunded Bonds. “Estimated Completion Date” means the estimated date upon which a Project will have been substantially completed in accordance with the plans and specifications applicable thereto as that date shall be set forth in a Written Certificate of the City. “Estimated Net Revenues” means, for any Year, the estimated Net Revenues for such Year. “Event of Default” has the meaning specified in the Indenture. See “EVENTS OF DEFAULT AND REMEDIES OF BONDHOLDERS” below. “Fiscal Year” means the annual accounting period of the City as from time to time in effect, initially a period commencing on July 1 of each Calendar Year and ending on the next succeeding June 30. “Fitch” means Fitch Ratings, a corporation organized and existing under the laws of the State of New York, its successors and assigns, and, if such corporation shall no longer perform the B-8 functions of a securities rating agency, “Fitch” shall be deemed to refer to another nationally recognized securities rating agency, if any, designated by the City. “Fund” means one of the funds confirmed or established pursuant to the Indenture, including the Construction Fund, the Principal and Interest Fund, the Renewal and Replacement Fund and the Revenue Fund. “Government Obligations” means: (i) Direct obligations of or obligations guaranteed by the United States of America; (ii) Any other evidences of an ownership interest in obligations or in specified portions thereof (which may consist of specified portions of the interest thereon) of the character described in clause (i) above; and (iii) Any bonds or other obligations of any state of the United States of America or of any agency, instrumentality or local governmental unit of any such state (a) which are not callable at the option of the obligor or otherwise prior to maturity or as to which irrevocable notice has been given by the obligor to call such bonds or obligations on the date specified in the notice, (b) which are fully secured as to principal and interest and redemption premium, if any, by a fund consisting only of cash or bonds or other obligations of the character described in clause (i) or clause (ii) above, which fund may be applied only to the payment of interest when due, principal of and redemption premium, if any, on such bonds or other obligations on the maturity date or dates thereof or the specified redemption date or dates pursuant to such irrevocable instructions, as appropriate, and (c) as to which the principal of and interest on the bonds and obligations of the character described in clause (i) or clause (ii) above, which have been deposited in such fund along with any cash on deposit in such fund is sufficient to pay interest when due, principal of and redemption premium, if any, on the bonds or other obligations described in this clause (iii) on the maturity date or dates thereof or on the redemption date or dates specified in the irrevocable instructions referred to in subclause (a) of this clause (iii), as appropriate. “Indenture” means the Master Trust Indenture providing for the issuance of Public Utility Revenue Bonds, as from time to time amended or supplemented by Supplemental Indentures. “Information Services” means Financial Information, Inc.’s “Daily Called Bond Service,” 30 Montgomery Street, 10th Floor, Jersey City, New Jersey 07302, Attention: Editor; Standard & Poor’s J. J. Kenny’s “Called Bond Service,” 55 Water Street, 45th Floor, New York, New York 10041; Mergent’s “Municipal and Government Manual,” 60 Madison Avenue, New York, New York 10010, Attention: Customer Service and the Municipal Securities Rulemaking Board, CDI, 1900 Duke Street, Alexandria, Virginia 22314, Attention: MSIL Dept.; or, in accordance with then-current guidelines of the Securities and Exchange Commission, such other addresses and/or such other services providing information with respect to called bonds, or no such services, as the City may designate in a certificate delivered to the Trustee. “Interest Rate Swap” means an “interest rate contract” within the meaning of the State Money Management Act or other similar agreement related to Bonds of one or more Series, B-9 provided that such agreement satisfies the requirements of the State Money Management Act or other applicable provision of State law. “2001 Interlocal Agreement” means the Interlocal Agreement Relating to Metropolitan Water District of Salt Lake & Sandy Capacity Capital Improvements and New Water Supply, dated as of May 1, 2001, by and among the Metropolitan Water District of Salt Lake & Sandy, the City and Sandy City, Utah, as from time to time amended and supplemented. “Investment Securities” means any of the following securities, if and to the extent that the same are at the time legal for investment of City funds: (i) any investment authorized from time to time by the provisions of the State Money Management Act, including without limitation the Treasurer’s Investment Fund; (ii) The following investments fully insured by the Federal Deposit Insurance Corporation: (a) certificates of deposit, (b) savings accounts, (c) deposit accounts, or (d) depository receipts of a bank, savings and loan associations and mutual savings banks; (iii) Certificates of deposit properly secured at all times by collateral security consisting of Government Obligations; (iv) Government Obligations; (v) Bonds, debentures or notes or other evidence of indebtedness issued by any one or a combination of any of the following federal agencies: the Export-Import Bank of the United States; the Government National Mortgage Association; the Federal Financing Bank; the Farmer’s Home Administration; the Federal Housing Administration; the Maritime Administration; or the Public Housing Authority; (vi) Repurchase agreements collateralized by Government Obligations or obligations described in clause (v) of this definition with any registered broker/dealer subject to Securities Investors’ Protection Corporation jurisdiction, which has an uninsured, unsecured and unguaranteed obligation rated “Prime-1” or “A3” or better by Moody’s and “A-1” or “A” or better by S&P Corporation, or any commercial bank with the above ratings, provided: (a) a master repurchase agreement or specific written repurchase agreement governs the transaction, (b) the securities are held free and clear of any lien by the Trustee or an independent third party acting solely as agent for the Trustee, and such third party is (1) a Federal Reserve Bank, (2) a bank which is a member of the Federal Deposit Insurance Corporation and which has combined capital, surplus and undivided profits of not less than $25,000,000, or (3) a bank approved in writing for such purpose by each Security Instrument Issuer which at the time has a Security Instrument outstanding on which there is no payment default, and the Trustee shall have received written confirmation from such third party that it holds such securities, free and clear of any lien, as agent for the Trustee, B-10 (c) a perfected first security interest under the Uniform Commercial Code, or book entry procedures prescribed at 31 CFR 306.1 et seq. or 31 CFR 350.0 et seq. (or similar successor provision of law) in such securities is created for the benefit of the Trustee, (d) the repurchase agreement has a term of 30 days or less, or the Trustee will value the collateral securities no less frequently than monthly and will liquidate the collateral securities if any deficiency in the required collateral percentage is not restored within two business day of such valuation, (e) the repurchase agreement matures at least ten days (or other appropriate liquidation period) prior to the date when liquidation is required, and (f) the fair market value of the securities in relation to the amount of the repurchase obligation is equal to at least 100%; (vii) Money market funds rated AAA by Fitch or Aaa by Moody’s or AAA by S&P, including such funds from which the Trustee or its affiliates derive a fee for investment advisory or other services to the fund; (viii) Direct and general obligations of any state within the territorial United States of America, to the payment of the principal of and interest on which the full faith and credit of such state is pledged, provided that at the time of their purchase under the Indenture, such obligations are rated in either of the two highest rating categories by a Rating Agency; (ix) Commercial paper rated “first tier” by two Ratings Agencies, one of which must be Moody’s or S&P, and having a remaining term to maturity of 270 days or less; (x) Refunded municipal obligations rated at the time of purchase in the highest rating category by a Rating Agency; and (xi) Investment agreements permitted by the State Money Management Act. “Issue Date” means (i) the first day of any calendar month, or (ii) any other date, established in a Supplemental Indenture with respect to a Series of Bonds. “Mayor” means the Mayor of the City, or in the event of his or her disability or absence, the Deputy Mayor or other person duly authorized to perform the duties of the Mayor. “Moody’s” means Moody’s Investors Service Inc., its successors and assigns, and, if such corporation shall no longer perform the functions of a securities rating agency, “Moody’s” shall be deemed to refer to another nationally recognized securities rating agency, if any, designated by the City. “Net Revenues” means, for any period, the Revenues during such period less the Operation and Maintenance Costs during such period. B-11 “NRMSIRs” means the Municipal Securities Rulemaking Board’s Electronic Municipal Market Access system or any successor system. “Operation and Maintenance Costs” means all actual operation and maintenance costs related to the System incurred by the City in any particular Fiscal Year or period to which said term is applicable or charges made therefor during such Fiscal Year or period. Such Operation and Maintenance Costs include, but are not limited to, amounts paid by the City for improvement, repair, replacement or for the acquisition of any item of equipment related to the System; salaries and wages; employees’ health, hospitalization, pension and retirement expenses; fees for services, materials and supplies; rents; administrative and general expenses; insurance expenses; Trustee, Paying Agent, legal, engineering, accounting and financial advisory fees and expenses and costs of other consulting and technical services; training of personnel; taxes, payments in lieu of taxes and other governmental charges (including franchise fees imposed by the City for the use of public streets and rights-of-way); fuel and electricity costs; payments for the purchase of water or the treatment or transmission of water for distribution in the System; payments for the treatment, transmission or disposal of sewage; payments pursuant to any Resource Purchase Agreement; and any other current expenses or obligations required to be paid by the City under the provisions of the Indenture or by law, all to the extent properly allocable to the System. Operation and Maintenance Costs do not include depreciation or obsolescence charges or reserves therefor; amortization of intangibles or other bookkeeping entries of a similar nature; interest charges and charges for the payment of principal, or amortization, of bonded or other indebtedness of the City, or costs or charges made therefor; and losses from the sale, abandonment, reclassification, revaluation or other disposition of any properties. “Opinion of Bond Counsel” means an Opinion of Counsel from counsel of nationally recognized standing in the field of law relating to municipal bonds. “Opinion of Counsel” means a written opinion of counsel selected by the City and satisfactory to the Trustee. Any Opinion of Counsel may be based, insofar as it relates to factual matters, on information with respect to which is in the possession of the City, upon a Written Certificate of the City, unless such counsel knows, or in the exercise of reasonable care should have known, that such Written Certificate is erroneous. “Outstanding” means with respect to the Bonds, as of any date of calculation (subject to the provisions of the Indenture), all Bonds which have been duly authenticated and delivered by the Trustee except: (a) Bonds theretofore cancelled by the Trustee or delivered to the Trustee for cancellation; (b) Bonds for the payment or redemption of which cash funds or Investment Securities shall have theretofore been deposited with the Trustee (whether upon or prior to the maturity or redemption date of any such Bonds), provided that, if such Bonds are to be redeemed, notice of such redemption has been duly given pursuant to the provisions of the Indenture or arrangements satisfactory to the Trustee shall have been made therefor, or waiver of such notice satisfactory in form to the Trustee shall have been filed with the Trustee; (c) Bonds in exchange for or in lieu of which other Bonds have been authenticated or delivered pursuant to the Indenture; B-12 and (d) the Principal amount of any Bond issued pursuant to a Supplemental Indenture authorizing partial payment without cancellation if payment is noted on a payment record attached to such Bond provided that such payment has been made and duly noted on the payment record attached to such Bond. “Paired Obligations” means any Series (or portion thereof) of Bonds designated as Paired Obligations in the Supplemental Indenture authorizing the issuance or incurrence thereof, which are simultaneously issued or incurred and (i) the principal of which is of equal amount maturing and to be redeemed (or cancelled after acquisition thereof) on the same dates and in the same amounts, and (ii) the interest rates which, taken together, result in an irrevocably fixed interest rate obligation of the City for the terms of such Bonds. “Paying Agent” means any bank or trust company designated as paying agent for the Bonds of any Series, and its successor or successors hereinafter appointed in the manner provided in the Indenture. “Pledged Bonds” means any Bonds that have been pledged or in which any interest has otherwise been granted to a Security Instrument Issuer as collateral security for Security Instrument Repayment Obligations. “Principal” means (a) with respect to any Capital Appreciation Bond, the Accreted Amount thereof (the difference between the stated amount to be paid at maturity and the Accreted Amount being deemed unearned interest), except as used in connection with the authorization and issuance of Bonds and with the order of priority of payment of Bonds after an Event of Default, in which case “Principal” means the initial public offering price of a Capital Appreciation Bond (the difference between the Accreted Amount and the initial public offering price being deemed interest), and (b) with respect to any Current Interest Bond, the principal amount of such Bond payable at maturity. “Principal and Interest Fund” means the fund by that name established in the Indenture. “Principal Installment” means, as of any date of calculation, (a) with respect to any Series of Bonds, so long as any Bonds thereof are Outstanding, (1) the Principal amount of Bonds of such Series due on a certain future date for which no Sinking Fund Installments have been established, or (2) the unsatisfied balance (determined as provided in the definition of “Sinking Fund Installment” below) of any Sinking Fund Installment due on a certain future date for Bonds of such Series, plus the amount of the sinking fund redemption premiums, if any, which would be applicable upon redemption of such Bonds on such future date in a Principal amount equal to such unsatisfied balance of such Sinking Fund Installment, or (3) if such future dates coincide as to different Bonds of such Series, the sum of such Principal amount of Bonds and of such unsatisfied balance of such Sinking Fund Installment due on such future date plus such applicable redemption premiums, if any, and (b) with respect to any Repayment Obligations, the principal amount of such Repayment Obligations due on a certain future date. “Prior Lien Resolution” means Resolution No. 100 of 1981 adopted by the Council of the City on November 3, 1981, as supplemented and amended from time to time. B-13 “Project” means the acquisition of additions, improvements and extensions to the public utility of the City comprising the System if and to the extent that the same shall be designated by the City as a Project in a Supplemental Indenture. “Project Account” means the separate account for each Project in the Construction Fund pursuant to the Indenture. “Put Bond” means any Bond which is part of a Series of Bonds which is subject to purchase by the City, its agent or a third party from the Holder of the Bond pursuant to provisions of the Supplemental Indenture authorizing the issuance of the Bond and designating it as a “Put Bond.” “Qualified Engineer” means (a) the Public Utilities Chief Engineer of the City or (b) any registered or licensed engineer or architect and engineer or firm of such engineers or architects and engineers generally recognized to be well qualified in engineering matters relating to construction and maintenance of municipal water, sewer and stormwater systems and/or street lighting systems or other systems included in the definition of System hereunder, appointed by the City. The Trustee shall be entitled to rely on the written statement of a registered or licensed engineer or architect and engineer or firm of such engineers or architects and engineers as to his or its compliance with the terms of this definition. “Qualified Public Accountant” means (a) the Finance Administrator of the Department or (b) any certified public accountant or firm of such accountants appointed by the City. The Trustee shall be entitled to rely on the written statement of a certified public accountant or firm of such accountants as to his or its compliance with the terms of this definition. “Rate Covenant Requirement” has the meaning specified in the Indenture. See “COVENANTS OF THE CITY—Rates and Charges” below. “Rating Agency” means Fitch, Moody’s or S&P. “Rating Category” means one or more of the generic rating categories of a Rating Agency, without regard to any refinement or gradation of such rating category or categories by a numerical modifier or otherwise. “Rebate Fund” means any fund established with respect to a Series of Bonds issued under the Indenture to provide for the payment of arbitrage rebate pursuant to the Code. “Record Date” means, with respect to any interest payment date for any Series of Bonds, the date specified as the Record Date in the Supplemental Indenture authorizing the issuance of such Series of Bonds. B-14 “Redemption Price” means, with respect to any Bond, the Principal thereof plus the applicable premium, if any, payable upon redemption thereof pursuant to any Supplemental Indenture. “Refunded Debt” has the meaning set forth in the Indenture. “Refunding Bonds” means all Bonds, whether issued in one or more Series, authenticated and delivered pursuant to the Indenture to provide the City with sufficient funds to accomplish the refunding of all or part of the Outstanding Bonds of one or more Series or all or part of any other borrowing of the City payable in whole or in part from the Revenues, and any Bonds thereafter authenticated and delivered in lieu thereof or in substitution therefor pursuant to the Indenture. “Remarketing Agent” means a remarketing agent appointed by the City pursuant to the Indenture and its successors under the Indenture. “Renewal and Replacement Fund” means the fund by that name established in the Indenture. “Renewal and Replacement Fund Reserve Requirement” means the amount, if any, required to be on deposit in the Renewal and Replacement Fund from time to time by a Supplemental Indenture. “Repayment Obligations” means, collectively, all outstanding Security Instrument Repayment Obligations and Reserve Instrument Repayment Obligations. “Reserve Instrument” means an instrument or other device issued by a Reserve Instrument Issuer to satisfy all or any portion of the Debt Service Reserve Requirement, if any, for a Series of Bonds. The term “Reserve Instrument” includes, by way of example and not of limitation, letters of credit, bond insurance policies, standby bond purchase agreements, lines of credit and other security instruments and other devices; provided, however, that no such device or instrument shall be a “Reserve Instrument” for purposes of the Indenture unless specifically so designated in the Supplemental Indenture authorizing the use of such device or instrument. “Reserve Instrument Agreement” means any agreement entered into by the City and a Reserve Instrument Issuer pursuant to a Supplemental Indenture and providing for the issuance by such Reserve Instrument Issuer of a Reserve Instrument. “Reserve Instrument Costs” means, with respect to any Reserve Instrument, any fees, premiums, expenses and similar costs, other than Reserve Instrument Repayment Obligations, required to be paid to a Reserve Instrument Issuer pursuant to a Reserve Instrument Agreement or the Supplemental Indenture authorizing the use of such Reserve Instrument. Such Reserve Instrument Agreement or Supplemental Indenture shall specify any fees, premiums, expenses and costs constituting Reserve Instrument Costs. “Reserve Instrument Coverage” means, as of any date of calculation and with respect to any Reserve Instrument, the amount available to be paid under such Reserve Instrument into the B-15 related Series Subaccount in the Debt Service Reserve Account to satisfy all or any portion of the Debt Service Reserve Requirement. “Reserve Instrument Issuer” means any bank, savings and loan association, savings bank, thrift institution, credit union, insurance company, surety company or other institution issuing a Reserve Instrument. “Reserve Instrument Limit” means, as of any date of calculation and with respect to any Reserve Instrument, the maximum amount available to be paid under such Reserve Instrument into the related Series Subaccount in the Debt Service Reserve Account to satisfy all or any portion of the Debt Service Reserve Requirement, assuming for purposes of such calculation that the amount initially available under each Reserve Instrument has not been reduced or that the amount initially available under each Reserve Instrument has only been reduced as a result of the payment of Principal on the corresponding Series of Bonds. “Reserve Instrument Repayment Obligations” means, as of any date of calculation and with respect to any Reserve Instrument, any outstanding amounts payable by the City under the Reserve Instrument Agreement or the Supplemental Indenture authorizing the use of such Reserve Instrument to repay the Reserve Instrument Issuer for payments previously made by it pursuant to a Reserve Instrument. There shall not be included in the calculation of Reserve Instrument Repayment Obligations any Reserve Instrument Costs. Each Reserve Instrument Agreement or the Supplemental Indenture providing for the use of such Reserve Instrument shall specify any amounts payable under it which, when outstanding, shall constitute Reserve Instrument Repayment Obligations and shall specify the portions of any such amounts that are allocable as principal of and as interest on such Reserve Instrument Repayment Obligations. “Resource Purchase Agreement” means (a) any agreement (i) for the treatment, transmission or supply of water to or for the City or (ii) for capacity in facilities for the treatment, transmission or supply of water to or for the City and (b) any agreement (i) for the treatment, transmission or disposal of sewerage for the City or (ii) for capacity in facilities for the treatment, transmission or disposal of sewerage to or for the City. The 2001 Interlocal Agreement constitutes a Resource Purchase Agreement. “Revenue Fund” means the fund by that name established in the Indenture. “Revenues” means all revenues, connection fees, income, rents and receipts derived by the City from or attributable to the System, including the proceeds of any insurance covering business interruption loss. “Revenues” also includes all interest, profits or other income derived from the investment of any moneys held pursuant to the Indenture and required to be paid into the Revenue Fund and the proceeds of any interest subsidy with respect to the Bonds paid for or for the account of the City by any governmental body or agency. Revenues shall not include: (a) proceeds received on insurance resulting from casualty damage to assets of the System; or (b) the proceeds of sale of Bonds, notes or other obligations issued for System purposes. “S&P” means Standard & Poor’s Credit Market Services, a division of The McGraw-Hill Companies, Inc., its successors and assigns, and, if such corporation shall no longer perform the B-16 functions of a securities rating agency, “S&P” shall be deemed to refer to another nationally recognized securities rating agency, if any, designated by the City. “Security Instrument” means an instrument or other device issued by a Security Instrument Issuer to pay, or to provide security or liquidity for, a Series of Bonds. The term “Security Instrument” includes, by way of example and not of limitation, letters of credit, bond insurance policies, standby bond purchase agreements, lines of credit and other security instruments and credit enhancement or liquidity devices; provided, however, that no such device or instrument shall be a “Security Instrument” for purposes of this Indenture unless specifically so designated in a Supplemental Indenture authorizing the use of such device or instrument. “Security Instrument Agreement” means any agreement entered into by the City and a Security Instrument Issuer pursuant to a Supplemental Indenture providing for the issuance by such Security Instrument Issuer of a Security Instrument. “Security Instrument Costs” means, with respect to any Security Instrument, all fees, premiums, expenses and similar costs, other than Security Instrument Repayment Obligations, required to be paid to a Security Instrument Issuer pursuant to a Security Instrument Agreement or the Supplemental Indenture authorizing the use of such Security Instrument. Such Security Instrument Agreement or Supplemental Indenture shall specify any fees, premiums, expenses and costs constituting Security Instrument Costs. “Security Instrument Issuer” means any bank, savings and loan association, savings bank, thrift institution, credit union, insurance company, surety company or other institution issuing a Security Instrument that is in full force and effect with respect to any Series of Bonds Outstanding. “Security Instrument Repayment Obligations” means, as of any date of calculation and with respect to any Security Instrument, any outstanding amounts payable by the City under the Security Instrument Agreement or the Supplemental Indenture authorizing the use of such Security Instrument to repay the Security Instrument Issuer for payments previously or concurrently made by the Security Instrument Issuer pursuant to a Security Instrument. There shall not be included in the calculation of the amount of Security Instrument Repayment Obligations any Security Instrument Costs. Each Security Instrument Agreement or the Supplemental Indenture providing for the use of such Security Instrument shall specify any amounts payable under it which, when outstanding, shall constitute Security Instrument Repayment Obligations and shall specify the portions of any such amounts that are allocable as principal of and as interest on such Security Instrument Repayment Obligations. “Series” means all of the Bonds designated as being of the same Series authenticated and delivered on original issuance in a simultaneous transaction, and any Bonds thereafter authenticated and delivered in lieu thereof or in substitution therefor pursuant to the Indenture. “Series Subaccount” means the separate subaccount created for each Series of Bonds in the Bond Service Account or in the Debt Service Reserve Account, as appropriate, pursuant to the Indenture. B-17 “Sinking Fund Installment” means an amount so designated which is established pursuant to the Indenture. The portion of any such Sinking Fund Installment remaining after the deduction of any such amounts credited pursuant to the Indenture toward the same (or the original amount of any such Sinking Fund Installment if no such amounts shall have been credited toward the same) shall constitute the unsatisfied balance of such Sinking Fund Installment for the purpose of calculation of Sinking Fund Installments due on a future date. “State” means the State of Utah. “State Money Management Act” means the State Money Management Act, Title 51, Chapter 7, Utah Code Annotated 1953, as amended, and any applicable regulations and rules promulgated thereunder. “Subordinated Bond Anticipation Notes” means Bond Anticipation Notes, the Principal Installments on which have been subordinated pursuant to the Indenture. “Supplemental Indenture” means any indenture supplemental to the Indenture or amendatory of the Indenture that is in full force and effect and has been duly executed and delivered by the City and the Trustee in accordance with the provisions of the Indenture. “System” means the complete combined waterworks plant and system, sewerage collection, treatment and disposal plant and system, stormwater system and street lighting system of the City, including all improvements, extensions, and additions thereto which may be made while any of the Bonds remain Outstanding, and including all property, real, personal and mixed, of every nature now or hereafter owned by the City and used or useful in the operation of its waterworks, sewerage, stormwater or street lighting properties. The City may, without the consent of Bond Holders, further amend the definition of System by adding additional systems, properties and improvements and the revenues therefrom by Supplemental Indenture. “Tax Certificate” means any agreement or certificate of the City that the City may execute in order to establish and maintain the excludability of interest on a Series of Bonds from gross income of the owners thereof for federal income tax purposes. “Transfer Agent” means, as the agent of the City, the Trustee and each and every additional agent appointed from time to time as the agent of the City pursuant to the Indenture for the transfer and authentication of Bonds for so long as such appointment shall continue in effect. “Treasurer’s Investment Fund” means the fund held by the Treasurer of the State and commonly known as the Utah State Public Treasurer’s Investment Fund. “Trust Estate” has the meaning specified in the Granting Clause of the Indenture. “Trustee” means the trustee identified in the preamble of the Indenture and appointed by the City pursuant to the Indenture, its successors and assigns, and any other corporation or association which may at any time be substituted in its place as provided in the Indenture. B-18 “Variable Rate Bonds” means, as of any date of calculation, Bonds the terms of which on such date of calculation are such that interest thereon for any future period of time is expressed to be calculated at a rate which is not susceptible of a precise determination. “Written Certificate of the City,” “Written Request of the City” and “Written Statement of the City” means an instrument in writing signed on behalf of the City by an Authorized Officer thereof. Any such instrument and any supporting opinions or certificates may, but need not, be combined in a single instrument with any other instrument, opinion or certificate, and the two or more so combined shall be read and construed so as to form a single instrument. Any such instrument may be based, insofar as it relates to legal, accounting or engineering matters, upon the opinion or certificate of counsel, consultants, accountants or engineers, unless the Authorized Officer signing such Written Certificate or Request or Statement knows, or in the exercise of reasonable care should have known, that the opinion or certificate with respect to the matters upon which such Written Certificate or Request or Statement may be based, as aforesaid, is erroneous. The same Authorized Officer, or the same counsel, consultant, accountant or engineer, as the case may be, need not certify to all of the matters required to be certified under any provision of the Indenture, but different Authorized Officers, counsel, consultants, accountants or engineers may certify to different facts, respectively. Every Written Certificate or Request or Statement of the City, and every certificate or opinion of counsel, consultants, accountants or engineers provided for in the Indenture shall include: (a) a statement that the person making such certificate, request, statement or opinion has read the pertinent provisions of the Indenture to which such certificate, request, statement or opinion relates; (b) a brief statement as to the nature and scope of the examination or investigation upon which the certificate, request, statement or opinion is based; (c) a statement that, in the opinion of such person, he has made such examination or investigation as is necessary to enable him to express an informed opinion with respect to the subject matter referred to in the instrument to which his signature is affixed; and (d) with respect to any statement relating to compliance with any provision hereof, a statement whether or not, in the opinion of such person, such provision has been complied with. “Year” means any period of twelve consecutive months. PLEDGE OF REVENUES; USE OF FUNDS THE PLEDGE EFFECTED BY THE INDENTURE The Bonds and the Repayment Obligations are special obligations of the City payable from and secured by the Revenues, moneys, securities and funds pledged therefor. There are pledged by the Indenture for the payment of Principal, Redemption Price and interest on the Bonds and of Repayment Obligations in accordance with their terms and the provisions of the Indenture, subject B-19 only to the provisions of the Indenture permitting the application thereof for the purposes and on the terms and conditions set forth in the Indenture, (1) the proceeds of sale of the Bonds, (2) the Revenues, and (3) the Construction Fund, Principal and Interest Fund, Renewal and Replacement Fund, Revenue Fund and any other Funds hereafter established or confirmed by the Indenture (except for any Rebate Fund) and pledged for the payment of Principal, Redemption Price and interest on the Bonds and of Repayment Obligations, including the investments, if any, thereof, subject to any required rebate of all or a portion of the earnings on such investments to the United States of America pursuant to the requirements of Section 148(f) of the Code. USE OF CONSTRUCTION FUND (a) There shall be paid into the Construction Fund the amounts required to be so paid by the provisions of the Indenture or any Supplemental Indenture. (b) The Trustee shall establish within the Construction Fund a separate Project Account for each Project and may establish one or more subaccounts in each Project Account. (c) The proceeds of insurance maintained in connection with a Project during the period of construction of such Project against physical loss of or damage to properties of the System, or of contractors’ performance bonds with respect thereto, pertaining to the period of construction thereof, shall be paid into the appropriate Project Account in the Construction Fund. (d) Amounts in each Project Account established for a Project shall be applied to pay the Cost of Construction of the Project. In the event and to the extent that proceeds of the sale of Bonds were deposited in a Project Account pursuant to the Indenture to provide for the payment of capitalized interest, the Trustee shall, during the period for which such interest was capitalized, transfer from such Project Account, to the appropriate Series Subaccount in the Bond Service Account, the amounts required to pay interest on the Bonds when due, subject to any limitations contained in the Supplemental Indenture authorizing such Bonds. (e) Before any payment is made from any Project Account by the Trustee (except for transfers into Series Subaccounts in the Bond Service Account to pay interest on the Bonds as contemplated in (d) above), the City shall file with the Trustee a Written Request of the City, showing with respect to each payment to be made, the name of the person to whom payment is due and the amount to be paid with payment instructions, and stating that the obligation to be paid was incurred and is a proper charge against the Project Account. Each such Written Request shall be sufficient evidence to the Trustee: (A) that obligations in the stated amounts have been incurred by the City and that each item thereof is a proper charge against the applicable Project Account; and (B) that there has not been filed with or served upon the City notice of any lien, right to lien or attachment upon, or claim affecting the right to receive payment of, any of the moneys payable to any of the persons named in such Written Request which has not been released or will not be released simultaneously with the payment of such obligation other than materialmen’s or mechanics’ liens accruing by mere operation of law. (f) Upon receipt of each such Written Request, the Trustee shall pay the amounts set forth therein as directed by the terms thereof. B-20 (g) The City shall maintain on file with the Trustee a schedule of dates on which the City estimates that money in each Project Account will be expended and the amounts estimated to be required on those dates. The City may revise such schedule at any time to reflect changes in the estimated dates and amounts. Amounts in the Construction Fund shall be invested and reinvested by the Trustee, in accordance with instructions received from an Authorized Officer of the City, to the fullest extent practicable in Investment Securities (or, to the extent permitted by a Supplemental Indenture executed and delivered pursuant to the Indenture, in other investments) maturing in such amounts and at such times as may be necessary to make funds available when needed. The Trustee may, and to the extent required for payments from the Construction Fund shall, sell any such Investment Securities at any time, and the proceeds of such sale, and of all payments at maturity and upon redemption of such investments, shall be held in the applicable Project Account in the Construction Fund. (h) Unless otherwise provided in a Supplemental Indenture authorizing a Series of Construction Bonds, all net income earned on any moneys or investments in the Project Account established in the Construction Fund for a Project shall be held in such Project Account and applied to pay Costs of Construction of the Project. (i) The substantial completion of construction of each Project shall be evidenced by a Written Certificate of the City, which shall be filed with the Trustee stating (1) that such Project has been substantially completed in accordance with the plans and specifications applicable thereto, (2) the date of such substantial completion and (3) the amounts, if any, required in the opinion of the signer or signers for the payment of any remaining part of the Cost of Construction of such Project. Upon the filing of such Certificate, the balance in the Project Account in the Construction Fund in excess of the amount, if any, stated in such Certificate shall, to the extent permitted under applicable law and covenants, including any covenants contained in any Tax Certificate, regarding the use of proceeds of the Bonds, and as directed in such Written Certificate or in a Supplemental Indenture, be (i) used to purchase Bonds as provided in the Indenture, (ii) deposited into the Debt Service Reserve Account to fund any amounts required to be deposited therein, (iii) deposited into the Bond Service Account, (iv) transferred into another Project Account to pay Costs of Construction of a Project or (v) used for any other purpose for which proceeds of Bonds may be used under applicable law and covenants regarding the use of proceeds of Bonds. If subsequent to the filing of such Certificate, a supplemental Written Certificate of the City is filed with the Trustee stating that the balance of the money remaining in the Construction Fund is no longer needed to pay Costs of Construction of such Project, any remaining balance in the Project Account in the Construction Fund shall, to the extent permitted under applicable law and covenants, including any covenants contained in any Tax Certificate, regarding the use of proceeds of the Bonds and as directed in such supplemental Written Certificate or in a Supplemental Indenture, be (i) used to purchase Bonds as provided in the Indenture, (ii) deposited into the Debt Service Reserve Account to fund any amounts required to be deposited therein, (iii) deposited into the Bond Service Account, (iv) transferred into another Project Account to pay Costs of Construction of a Project or (v) used for any other purpose for which proceeds of Bonds may be used under applicable law and covenants regarding the use of proceeds of Bonds. B-21 REVENUES; REVENUE FUND; PAYMENT OF OPERATION AND MAINTENANCE COSTS (a) All Revenues shall be promptly deposited by the City to the credit of the Revenue Fund, except that the proceeds of any interest subsidy with respect to the Bonds received by the City from any governmental body or agency may be deposited directly into the Principal and Interest Fund for credit to the Bond Service Account. There shall also be deposited into the Revenue Fund all amounts required to be so deposited by the Indenture. (b) The Operation and Maintenance Costs shall be paid by the City from time to time as they become due and payable as a first charge on the Revenue Fund. (c) There shall be retained in the Revenue Fund, to the extent such amounts are not otherwise required to be transferred from the Revenue Fund pursuant to the provisions of the Indenture, the amount required to be deposited into the Principal and Interest Fund in the next succeeding month. FLOW OF FUNDS (a) On or before the fourth Business Day prior to the end of each month, after payment of unpaid Operation and Maintenance Costs then due, the City shall transfer from the Revenue Fund, to the extent of moneys available therein, and deposit, in the following order: Into the following Funds and Accounts, the amounts set forth below: (A) Into the Principal and Interest Fund: (i) for credit to the Bond Service Account, the amount, if any, required so that the balance in each of the Series Subaccounts in the Bond Service Account shall equal the Accrued Debt Service on the Series of Bonds and, to the extent required by the Supplemental Indenture creating such Series Subaccount, on any Security Instrument Obligations for which such Series Subaccount was established; provided that if there are not sufficient moneys to satisfy the requirements of this subsection (A) with respect to all Series Subaccounts in the Bond Service Account, all moneys available for distribution among such Series Subaccounts shall be deposited into the Bond Service Account and distributed on a pro rata basis to the deficient Series Subaccounts in the Bond Service Account, such distribution to be determined by multiplying the amount available for distribution by the proportion that the deficiency for each Series Subaccount bears to the total deficiency for all Series Subaccounts; and provided further, that in the event and to the extent moneys have been deposited in any Project Account pursuant to the Indenture to pay capitalized interest, such moneys shall be transferred from the appropriate Project Account and deposited into the appropriate Series Subaccount in the Bond Service Account in an amount sufficient to cause the balance in such Series Subaccount to equal the interest component of Accrued Debt Service on the Series of Bonds; and (ii) for credit to the Debt Service Reserve Account, without priority or preference as between subsections (A) or (B): B-22 (A) if, after the issuance of a Series of Bonds, an amount equal to the Debt Service Reserve Requirement is not on deposit in the Series Subaccount established in the Debt Service Reserve Account for such Series of Bonds because sufficient moneys for that purpose were not required by a Supplemental Indenture to be deposited into the Debt Service Reserve Account pursuant to the Indenture, such amount as shall be required by the Supplemental Indenture authorizing such Series of Bonds, in not to exceed sixty (60) approximately equal monthly installments commencing no later than the business day immediately preceding the first interest payment date of such Series of Bonds, computed as of the contemplated date of issuance of such Series of Bonds, necessary to cause the balance in such Series Subaccount to equal the Debt Service Reserve Requirement; (B) if moneys shall ever have been paid out of any Series Subaccount in the Debt Service Reserve Account for the purpose specified in the Indenture or if for any other reason moneys in any Series Subaccount in the Debt Service Reserve Account shall have been removed and in either case if such moneys shall not have been replaced from any source, such amount as shall be necessary to cause either the amount so paid out of or removed from such Series Subaccount in the Debt Service Reserve Account to be replaced, or the amount to be on deposit in such Series Subaccount to be equal to the Debt Service Reserve Requirement attributable to the corresponding Series of Bonds, whichever is less; and (C) with respect to a Series of Bonds for which a Debt Service Reserve Requirement has been established pursuant to a Supplemental Indenture and for which the Debt Service Reserve Requirement has been increased because of a decline in the amount by which Net Revenues exceeded Aggregate Debt Service, such amount, in monthly installments, as shall be required by the Supplemental Indenture authorizing such Series of Bonds to cause the balance in such Series Subaccount to equal the Debt Service Reserve Requirement then existing for such Series of Bonds; provided that if there are not sufficient moneys in the Revenue Fund to satisfy the requirements of this subsection (ii), all moneys available for distribution among the Series Subaccounts in the Debt Service Reserve Account shall be deposited into the Debt Service Reserve Account and distributed pro rata based on the amount of the deficiencies to the deficient Series Subaccounts in the Debt Service Reserve Account. (B) Into the Renewal and Replacement Fund: (i) if the Renewal and Replacement Fund Reserve Requirement shall ever be increased in accordance with the Indenture, the amount specified in a Written Certificate of the City identifying a schedule of sixty (60) approximately equal monthly deposits into the Renewal and Replacement Fund sufficient to cause the balance in the Renewal and Replacement Fund to equal the increased Renewal and Replacement Fund Reserve Requirement as required in the Indenture; and (ii) if moneys shall ever have been paid out of the Renewal and Replacement Fund and shall not have been replaced from any source, the amount B-23 of money necessary, in not to exceed one hundred twenty (120) approximately equal monthly installments, to cause the amount so paid out of the Renewal and Replacement Fund to be replaced, or to cause to be on deposit in the Renewal and Replacement Fund an amount equal to the Renewal and Replacement Fund Reserve Requirement, whichever is less; provided, however, that so long as there shall be held in the Principal and Interest Fund, excluding any Reserve Instrument Coverage, an amount sufficient to pay in full all Outstanding Bonds and all outstanding Repayment Obligations in accordance with their terms (including Principal or applicable sinking fund Redemption Price and interest thereon), no deposits shall be required to be made into the Principal and Interest Fund. (b) Amounts remaining in the Revenue Fund at the end of each month after payment of the amounts required by subsection (a) of this Section may be applied by the City, free and clear of the lien of the Indenture, to any one or more of the following, to the extent permitted by law: (1) the purchase or redemption of any Bonds and payment of expenses in connection therewith; (2) payments of principal or redemption price of and interest on any bonds, including general obligation or junior lien revenue bonds of the City, issued to acquire improvements or extensions to the System; (3) payments into any Project Account or Accounts established in the Construction Fund for application to the purposes of such Accounts; (4) payment of the costs of capital improvements to the System; and (5) any other lawful purpose of the City. (c) Upon any purchase or redemption, pursuant to subsection (b) of this Section, of Bonds of any Series and maturity for which Sinking Fund Installments shall have been established, the principal amount of such Bonds shall be credited toward such Sinking Fund Installments in such order of their due dates as directed by the City, unless the City shall elect to have the Sinking Fund Installments next due credited as provided in the Indenture. PRINCIPAL AND INTEREST FUND - BOND SERVICE ACCOUNT (a) Each Supplemental Indenture providing for the issuance of a Series of Bonds shall establish a separate Series Subaccount in the Bond Service Account for each such Series of Bonds issued provided, however, that such a separate Series Subaccount need not be established in the Principal and Interest Fund for a Series of Bonds if such Series of Bonds is secured by Series Subaccount in the Debt Service Reserve Account that also secures one or more other Series of Bonds as contemplated by the Indenture (in which case the Supplemental Indenture may provide for the payment of principal and interest on such Series of Bonds from the same Series Subaccount in the Principal and Interest Fund as the principal and interest on such other Series of Bonds are payable from). There shall be deposited into each Series Subaccount the amounts required to be so deposited pursuant to the Indenture. Any payments made by a Security Instrument Issuer with respect to a Series of Bonds shall be deposited into the Series Subaccount in the Bond Service Account relating to such Series of Bonds, subject to the provisions of the Supplemental Indenture authorizing the issuance of such Series of Bonds. (b) The Trustee shall pay out of the appropriate Series Subaccount in the Bond Service Account to the respective Paying Agent (1) on or before each interest payment date for each Series B-24 of Bonds, the amount required for the interest payable on such date; (2) on or before each Principal Installment due date, the amount required for the Principal Installment payable on such due date; and (3) on or before any redemption date for each Series of Bonds, the amount required for the payment of Redemption Price of and accrued interest on such Bonds then to be redeemed. Such amounts shall be applied by the Paying Agents to pay Principal Installments and Redemption Price of, and interest on the related Series of Bonds. The Trustee shall pay out of the appropriate Series Subaccount in the Bond Service Account to the Security Instrument Issuer, if any, that has issued a Security Instrument with respect to such Series of Bonds an amount equal to any Security Instrument Repayment Obligation then due and payable to such Security Instrument Issuer. If payment is so made on Pledged Bonds held for the benefit of the Security Instrument Issuer, a corresponding payment on the Security Instrument Repayment Obligation shall be deemed to have been made (without requiring an additional payment by the City) and the Trustee shall keep its records accordingly. (c) Except as otherwise provided in a Supplemental Indenture authorizing a Series of Bonds, amounts accumulated in any Series Subaccount in the Bond Service Account with respect to any Sinking Fund Installment (together with amounts accumulated therein with respect to interest on the Bonds for which such Sinking Fund Installment was established) shall, if so directed by the City in a Written Request not less than 30 days before the due date of such Sinking Fund Installment, be applied by the Trustee to (1) the purchase of Bonds of the Series and maturity for which such Sinking Fund Installment was established, (2) the redemption at the applicable sinking fund Redemption Price of such Bonds, if then redeemable by their terms, or (3) any combination of (1) and (2). All purchases of any Bonds pursuant to this subsection (c) shall be made at prices not exceeding the applicable sinking fund Redemption Price of such Bonds plus accrued interest, and such purchases shall be made in such manner as the City shall direct the Trustee. The applicable sinking fund Redemption Price (or Principal amount of maturing Bonds) of any Bonds so purchased or redeemed shall be deemed to constitute part of the Bond Service Account until such Sinking Fund Installment date for the purpose of calculating the amount of such Account. As soon as practicable after the 60th day preceding the due date of any such Sinking Fund Installment, the Trustee shall proceed to call for redemption on such due date, by giving notice as required by the Indenture, Bonds of the Series and maturity for which such Sinking Fund Installment was established (except in the case of Bonds maturing on a Sinking Fund Installment date) in such amount as shall be necessary to complete the retirement of the unsatisfied balance of such Sinking Fund Installment. The Trustee shall pay out of the appropriate Series Subaccount in the Bond Service Account to the appropriate Paying Agents, on or before such redemption date (or maturity date), the amount required for the redemption of the Bonds so called for redemption (or for the payment of such Bonds then maturing), and such amount shall be applied by such Paying Agents to such redemption (or payment). All expenses in connection with the purchase or redemption of Bonds shall be paid by the City as an Operation and Maintenance Cost. PRINCIPAL AND INTEREST FUND - DEBT SERVICE RESERVE ACCOUNT (a) Each Supplemental Indenture providing for the issuance of a Series of Bonds may establish in the Debt Service Reserve Account a separate Series Subaccount for each such Series of Bonds issued and, if established, shall specify the Debt Service Reserve Requirement to be on deposit in such Series Subaccount. B-25 (b) If on the third Business Day prior to the end of any month, after the deposit of moneys required by the Indenture the amount in any Series Subaccount in the Bond Service Account shall be less than the amount required to be in such Series Subaccount, the Trustee shall (1) apply amounts from the corresponding Series Subaccount, if any, in the Debt Service Reserve Account to the extent necessary to make good the deficiency; and (2) to the extent that moneys and investments available in the corresponding Series Subaccount, if any, in the Debt Service Reserve Account are not sufficient to eliminate the deficiency in the Series Subaccount in the Bond Service Account and Reserve Instruments are in effect for the corresponding Series of Bonds, immediately make a demand for payment on all such Reserve Instruments, to the maximum extent authorized by such Reserve Instruments, in the amount necessary to make up such deficiency, and immediately deposit such payment upon receipt thereof in the appropriate Series Subaccount in the Bond Service Account. (c) Whenever the moneys on deposit in a Series Subaccount in the Debt Service Reserve Account, including investment earnings and Reserve Instrument Coverage with respect thereto, shall exceed the Debt Service Reserve Requirement for such Series Subaccount, such excess shall be transferred by the Trustee to the corresponding Series Subaccount in the Bond Service Account and shall be used to pay Debt Service on the related Bonds, subject to any limitations contained in the Tax Certificate relating to such Bonds. (d) Whenever the amount in a Series Subaccount in the Debt Service Reserve Account, excluding any Reserve Instrument Coverage, together with the amount in the corresponding Series Subaccount in the Bond Service Account for a Series of Bonds, is sufficient to pay in full all Outstanding Bonds of such Series and related Repayment Obligations in accordance with their terms (including Principal or applicable sinking fund Redemption Price and interest thereon), the funds on deposit in such Series Subaccount in the Debt Service Reserve Account shall be transferred to the corresponding Series Subaccount in the Bond Service Account and no deposits shall be required to be made into such Series Subaccount in the Debt Service Reserve Account. (e) Unless otherwise provided in a Supplemental Indenture authorizing a Series of Bonds, in calculating the amount on deposit in a Series Subaccount in the Debt Service Reserve Account, the amount of the Reserve Instrument Coverage for the corresponding Series of Bonds will be treated as an amount on deposit in such Series Subaccount in the Debt Service Reserve Account. So long as any Series of Bonds rated by a Rating Agency is Outstanding, the City agrees that it will not invest moneys held in a Series Subaccount in the Debt Service Reserve Account in a Reserve Instrument without providing notice of such investment to such Rating Agency. (f) Unless otherwise specified in the Supplemental Indenture authorizing a Series of Bonds, no Reserve Instrument for such Series of Bonds shall be allowed to expire unless and until cash has been deposited into the appropriate Series Subaccount in the Debt Service Reserve Account, or a new Reserve Instrument has been issued in place of the expiring Reserve Instrument, in an amount or to provide coverage at least equal to the Debt Service Reserve Requirement for the corresponding Series of Bonds. B-26 RENEWAL AND REPLACEMENT FUND (a) The amounts in the Renewal and Replacement Fund shall, from time to time, be applied by the City to the payment of extraordinary Operation and Maintenance Costs, and contingencies, including the prevention or correction of any unusual loss or damage to the System to the extent not covered by the proceeds of insurance or other moneys recoverable as a result thereof. (b) If on the third Business Day prior to the end of any month the amount in any Series Subaccount in the Bond Service Account shall be less than the amount required to be in such Series Subaccount in the Bond Service Account pursuant to the Indenture, and there shall not be on deposit in the corresponding Series Subaccount in the Debt Service Reserve Account sufficient moneys to cure such deficiency, the Trustee shall request that the City transfer from the Renewal and Replacement Fund and deposit into such Series Subaccount in the Bond Service Account the amount necessary (or all the moneys in the Renewal and Replacement Fund, if less than the amount necessary) to make up such deficiency; provided that to the extent that such deficiencies occur in more than one Series Subaccount in the Bond Service Account and there are insufficient moneys available in the Renewal and Replacement Fund to make up such deficiencies, the amount transferred and deposited from the Renewal and Replacement Fund shall be distributed on a pro rata basis to the deficient Series Subaccounts in the Bond Service Account based on the proportion that the total funds available to remedy the total deficiency bears to the deficiency for each Series of Bonds. (c) At the end of each Fiscal Year any balance of moneys or Investment Securities in the Renewal and Replacement Fund in excess of the Renewal and Replacement Fund Reserve Requirement and not required to meet any deficiency in the Bond Service Account or needed for any of the purposes for which the Renewal and Replacement Fund was established, shall be transferred by the City and deposited into the Revenue Fund. Purchase of Bonds The City may, to the extent permitted under applicable law and covenants, including any covenants contained in any Tax Certificate, purchase Bonds of any Series from any available funds at public or private sale, as and when and at such prices as the City may in its discretion determine. All Bonds so purchased shall at such times as shall be selected by the City be delivered to and cancelled by the Trustee or any Registrar and shall thereafter be delivered to, or upon the order of, the City, and no Bonds shall be issued in place thereof. In the case of the purchase of Bonds of a Series and maturity for which Sinking Fund Installments shall have been established, the City shall, by a Written Request of the City delivered to the Trustee, elect the manner in which the Principal amount of such Bonds shall be credited toward Sinking Fund Installments, consistent with the procedures specified in the use of the Bond Service Account. B-27 COVENANTS OF THE CITY PUNCTUAL PAYMENT OF BONDS The City will punctually pay or cause to be paid the Principal, Redemption Price and interest on the Bonds and any Repayment Obligations in strict conformity with the terms of the Bonds, any Security Instrument Agreement, any Reserve Instrument Agreement and the Indenture, and the City will punctually pay or cause to be paid all Sinking Fund Installments which may be established for any Series of Bonds. CONSTRUCTION OF PROJECTS If the City undertakes the acquisition or construction of a Project, the City shall cause the acquisition or construction to be accomplished in a sound and economic manner and as expeditiously as is practicable. AGAINST ENCUMBRANCES The City will not create, and will use its good faith efforts to prevent the creation of, any mortgage or lien upon the System or any property essential to the proper operation of the System or to the maintenance of the Revenues. The City will not create, or permit the creation of, any pledge, lien, charge or encumbrance upon the Revenues except only as provided in or permitted by the Indenture. AGAINST SALE OR OTHER DISPOSITION OF PROPERTY EXCEPT UNDER CONDITIONS The City will not sell or otherwise dispose of any property essential to the proper operation of the System or the maintenance of the Revenues, provided that this covenant shall not be construed to prevent the disposal by the City of property which in its judgment has become inexpedient to use in connection with the System when other property of equal value is substituted therefor. The City will not enter into any lease or other agreement which impairs or impedes the operation of the System or which impairs or impedes the rights of the Bondholders with respect to the Revenues. The Trustee shall have no responsibility with respect to any such leases or agreements entered into by the City. OPERATION AND MAINTENANCE The City will cause the System to be operated continuously, to the extent practicable under conditions as they may from time to time exist, in an efficient and economical manner, and will at all times cause to be maintained, preserved and kept, the System, including all parts thereof and appurtenances thereto, in good repair, working order and condition, and in such manner that the operating efficiency thereof will be of high character, and the City will from time to time cause to be made all necessary and proper repairs and replacements so that the rights and security of the Holders of the Bonds may be fully protected and preserved. B-28 QUALIFIED ENGINEER The City will at all times have under engagement a Qualified Engineer to assist it as appropriate, who shall advise the City concerning matters affecting the general operation of the System and make recommendations regarding said operations and construction of improvements and extensions thereto. POWER TO OWN THE SYSTEM AND COLLECT RATES AND FEES The City has, and will have so long as any Bonds are Outstanding or Repayment Obligations are outstanding, good, right and lawful power to own the System and to fix and collect rates, fees and other charges in connection with the System. MAINTENANCE OF REVENUES (a) The City will at all times: (1) faithfully and punctually perform all duties with reference to the System required by the Constitution and laws of the State; and (2) comply with all terms, covenants and provisions, express and implied, of all contracts and agreements entered into by it for System use and services and all other contracts or agreements affecting or involving the System or the business of the City with respect thereto. The City shall promptly collect all charges due for System use and service supplied by it as the same become due, and shall at all times maintain and enforce its rights against any person who does not pay such charges. To the extent permitted by law the City will bill each customer receiving water, sewer, stormwater, street lighting and other public utilities services included in the System in a single bill, will refuse to accept payment for any of such services unless payment for the other services is also made, and if payment for any of such service is permitted to become delinquent and remain so for the period established by the City, will, if practicable, discontinue the service of water to any premises the owner, tenant or occupant of which shall be so delinquent, and will not recommence the supply of water to such premises until all delinquent charges with penalties shall have been paid in full. This paragraph shall not be construed as requiring the City to refuse partial payment of any bill for services of the System, so long as such payment is applied proportionately to charges for each of such services. (b) The City will do, execute, acknowledge and deliver, or cause to be done, executed, acknowledged and delivered, such Supplemental Indentures and such further accounts, instruments and transfers as the Trustee may reasonably require for the better assuring, pledging and confirming to the Trustee all and singular the Revenues and the other amounts pledged hereby to the payment of the principal of, Redemption Price and interest on the Bonds. The City will not sell, convey, mortgage, encumber or otherwise dispose of any part of the Revenues, except as otherwise permitted hereunder. B-29 (c) Except under contractual arrangements in effect on the date of the execution and delivery of the Indenture, the City will not permit service to be supplied by the System to the City or any department thereof, or to any person, firm, corporation, public or private, or to any public agency or instrumentality without due consideration to be received in exchange. All payments so made shall be considered Revenues and shall be applied in the manner hereinabove provided for the application of the other Revenues. (d) The City, so far as it legally may, covenants and agrees for the protection and security of the Bonds and the Bondholders from time to time that it will not grant a franchise for the operation of any competing System in the boundaries of the City until all the Bonds shall have been retired. OBSERVANCE OF LAWS AND REGULATIONS The City will well and truly keep, observe and perform all valid and lawful obligations or orders or regulations now or hereafter imposed on it by contract, or prescribed by any law of the United States of America or of the State, or by any officer, board or commission having jurisdiction or control, as a condition of the continued enjoyment of any and every right, privilege, license or franchise now owned or hereafter acquired by the City, including its right to exist and carry on business, to the end that such rights, privileges, licenses and franchises shall be maintained and preserved, and shall not become abandoned, forfeited or in any manner impaired; provided, however, that the City shall not be required to comply with any such orders so long as the validity or application thereof shall be contested in good faith. PAYMENT OF TAXES AND CLAIMS The City will, from time to time, duly pay and discharge, or cause to be paid and discharged, any taxes, assessments or other governmental charges lawfully imposed upon any of the properties of the System or upon the Revenues, when the same shall become due, and will duly observe and conform to all valid requirements of any governmental authority relative to any such properties. The City will keep the System and all parts thereof free from judgments, mechanics’ and materialmen’s liens (except those arising by mere operation of law from the construction of any Project and other improvements of the System which are paid in due course) and free from all other liens, claims, demands and encumbrances of whatsoever prior nature or character, to the end that the priority of the lien of the Indenture on the Revenues may at all times be maintained and preserved, and be free from any claim or liability which might embarrass or hamper the City in conducting its business. INSURANCE Subject in each case to the condition that insurance is obtainable at reasonable rates and upon reasonable terms and conditions: (a) The City will procure and maintain, or cause to be procured and maintained, at all times while any Bonds shall be Outstanding, insurance on the System and public liability insurance B-30 in such amounts and against such risks as are usually insurable in connection with similar facilities and are normally carried by municipalities engaged in the operation of similar properties, such insurance shall be maintained with responsible insurers or shall be self-insurance in the manner and to the extent authorized or permitted by law; and (b) The City will secure and maintain adequate fidelity insurance or bonds on all officers and employees handling or responsible for funds of the City related to the System. provided, however, that nothing in this Section shall be construed in such manner as to result in making the Bonds an indebtedness of the City, and if it shall ever be held by any court of competent jurisdiction that any or all of the provisions of this Section are invalid or that the enforcement of the provisions of this Section would make the Bonds invalid or unenforceable, said provisions of this Section shall be considered to be null and void. The Trustee shall have no duty to verify the insurance or to determine if such insurance is sufficient for purposes of this Section. ACCOUNTS AND REPORTS (a) The City will at all times keep, or cause to be kept, proper books of record and accounts, separate and apart from all other records and accounts of the City, in which complete and accurate entries shall be made of all transactions relating to the System and the Revenues. Such books of record and accounts shall at all times during business hours be subject to the inspection of the Trustee, any Security Instrument Issuer or the Holders of not less than five percent (5%) of the Bonds then Outstanding, or their representatives authorized in writing. (b) The City will place on file with the Trustee and with any Security Instrument Issuer annually within two hundred ten (210) days after the close of each Fiscal Year, so long as any Bonds are Outstanding, a financial statement in reasonable detail for the preceding Fiscal Year showing the Revenues, all expenditures from the Revenues for Operation and Maintenance Costs and other expenditures from the Revenues applicable to the System and the resulting Net Revenues available for Debt Service, together with a balance sheet in reasonable detail reflecting the financial condition of the System, including the balances of all Funds relating to the System as of the end of each Fiscal Year, which financial statement and balance sheet shall be accompanied by an Accountant’s Certificate. Each such audit, in addition to whatever matters may be thought proper by the Qualified Public Accountant to be included therein, shall include the following: (1) Comments regarding the manner in which the City has carried out the requirements of this Indenture and recommendations for any change or improvement in the accounting operations of the System. (2) A statement as to whether or not the Net Revenues for such Fiscal Year were equal to at least 1.25 times the aggregate Debt Service for such Fiscal Year. Simultaneously with the filing of such financial statement, there shall be filed with the Trustee and with any Security Instrument Issuer whose Security Instrument is in full force and effect with respect to any Series of Bonds Outstanding a report of indenture compliance conducted B-31 by the firm of Qualified Public Accountants which signed the Accountants’ Certificate attached to such financial statement. (c) The reports, statements and other documents required to be furnished to the Trustee pursuant to any provisions of the Indenture shall be available for inspection by Bondholders at the principal corporate trust office of the Trustee and shall be mailed to each Bondholder, investment banker, security dealer or other person interested in the Bonds, at their cost, who shall file a Written request therefor with the City. (d) The City shall file with the Trustee and with any Security Instrument Issuer: (i) forthwith upon becoming aware of any event of default under the Indenture or other default in the performance by the City of any covenant, agreement or condition contained in the Indenture, a Written Certificate of the City specifying such default; and (ii) not later than two hundred ten (210) days following the end of each Fiscal Year a Written Certificate of the City stating that, to the best of the knowledge and belief of the Authorized Officer of the City executing such Written Certificate, except for any default then existing which shall have been specified in the Written Certificate of the City referred to in (i) above, the City has kept, observed, performed and fulfilled each and every one of its covenants and obligations contained in the Indenture and there does not exist at the date of such Written Certificate any default by the City under the Indenture or other event which, with the lapse of time specified in the Indenture, would become an event of default under the Indenture, or, if any such default or event of default under the Indenture or other event shall so exist, specifying the same and the nature and status thereof. RATES AND CHARGES (a) In order to assure full and continuous performance of the covenants contained in the Indenture with a margin for contingencies and temporary unanticipated reduction in Revenues, the City covenants and agrees to establish, fix, prescribe, continue and collect (directly or through leases, use agreements or other agreements, or licenses or ordinances) rates and charges for the sale or use of the System services furnished by the City which, together with other income, are reasonably expected to yield Net Revenues at least equal to the Rate Covenant Requirement for the forthcoming Fiscal Year. The term “Rate Covenant Requirement” shall mean an amount equal to at least (1) 125% of the Aggregate Debt Service excluding amounts payable on Repayment Obligations for the Fiscal Year, (2) 100% of the Repayment Obligations, if any, which will be due and payable during the forthcoming Fiscal Year and (3) 100% of the amounts, if any, then required by the Indenture to be deposited into the Debt Service Reserve Account during the forthcoming Fiscal Year. (b) If the annual financial statement made in accordance with the Indenture relating to Revenues discloses that during the period covered by such financial statement the Net Revenues were not at least equal to the Rate Covenant Requirement, the City shall not be in default under this Section if, within 60 days after the date of such financial statement (1) the City obtains recommendations from a Qualified Engineer as to the revision of the rates, charges and fees necessary to produce Net Revenues at least equal to the Rate Covenant Requirement and (2) the City, on the basis of such recommendations, revises the schedule of rates, charges and fees insofar B-32 as is practicable and revises Operation and Maintenance Costs so as to produce Net Revenues at least equal to the Rate Covenant Requirement. MAINTENANCE OF PAYING AGENTS The City shall cause the Trustee to pay to the Paying Agents, to the extent of the moneys held by the Trustee for such payment, funds for the prompt payment of any Principal, Redemption Price and interest on the Bonds to be paid by such Paying Agents. EMINENT DOMAIN If all or any part of the System shall be taken by eminent domain proceedings or conveyance in lieu thereof, the net proceeds realized by the City therefrom shall be deposited with the Trustee in a special fund in trust and shall be applied and disbursed by the Trustee subject to the following conditions: (a) If such funds are sufficient to provide for the payment of the entire amount of Principal due or to become due upon all of the Outstanding Bonds and outstanding Repayment Obligations, together with all of the interest due or to become due thereon and any redemption premiums thereon, so as to enable the City to retire all of the Bonds then Outstanding, either by call and redemption at the then current Redemption Prices or by payment at maturity or partly by redemption prior to maturity and partly by payment at maturity, and to pay all Repayment Obligations, the Trustee shall apply such moneys to such retirement or payment, as appropriate, and to the payment of such interest. Pending the application of such proceeds for such purpose, such moneys shall be invested by the Trustee, at the Written Request of the City, in Government Obligations. The balance of such moneys, if any, shall be transferred to the City. (b) If such proceeds are insufficient to provide the moneys required for the purposes set forth in subsection (a) of this Section, the City shall file with the Trustee a Written Request of the City requesting the Trustee to apply such proceeds for one of the following purposes: (1) If such Written Request requests the Trustee to apply such proceeds to the purchase, redemption or retirement of Bonds, the Trustee shall apply such proceeds to the purchase, redemption or retirement of Bonds then Outstanding and Repayment Obligations then outstanding. If more than one Series of Bonds is then Outstanding, such proceeds shall be applied pro rata among each such Series to the purchase, redemption or retirement of the Bonds of each such Series and the payment of Repayment Obligations in the proportion which the Principal amount of Bonds of each such Series then Outstanding and Repayment Obligations then outstanding bears to the aggregate Principal amount of all Bonds then Outstanding and Repayment Obligations then outstanding. Pending the application of such proceeds for such purpose, such moneys shall be invested by the Trustee, at the Written Request of the City, in Government Obligations. (2) If such Written Request requests the Trustee to deliver such proceeds to the City to apply to the cost of additions, improvements or extensions to the System, the City shall also file with the Trustee an Engineer’s Certificate showing the loss in annual B-33 Revenues if any, suffered, or to be suffered, by the City by reason of such eminent domain proceedings, together with a general description of the additions, improvements or extensions to the System then proposed to be acquired or constructed by the City from such proceeds. If, in the opinion of the City (evidenced by a Written Certificate of the City filed with the Trustee), which shall be final, the additional Revenues to be derived from such additions or improvements will sufficiently offset the loss of Revenues resulting from such eminent domain proceedings so that the ability of the City to meet its obligations hereunder will not be substantially impaired, the Trustee shall pay such proceeds to the City. The City, in reaching such determination, may rely upon the Engineer’s Certificate. The City shall hold such proceeds in trust and apply them to the acquisition or construction of the additions, improvements or extensions substantially in accordance with such Engineer’s Certificate. The City shall acquire or construct such additions or improvements in a sound and economic manner and as expeditiously as is practicable. Any balance of such proceeds not required by the City for such additions, improvements or extensions shall be deposited into the Revenue Fund. (3) If such Written Request requests the Trustee to transfer such proceeds to the City for deposit into the Revenue Fund upon the basis that such eminent domain proceedings have had no effect, or at the most a relatively immaterial effect, upon the security of the Bonds, the City shall also file with the Trustee an Engineer’s Certificate stating that such eminent domain proceedings have not substantially impaired or affected the operation of the System or the ability of the System to produce Net Revenues at least equal to the Rate Covenant Requirement. Upon receipt of such Written Request and such Engineer’s Certificate, the Trustee shall transfer such proceeds to the City for deposit into the Revenue Fund. RECONSTRUCTION OF THE SYSTEM; APPLICATION OF INSURANCE PROCEEDS If any useful portion of the System shall be damaged or destroyed, the City shall, as expeditiously as is practicable, continuously and diligently prosecute or cause to be prosecuted the reconstruction or replacement thereof, unless the City shall file with the Trustee an Engineer’s Certificate to the effect that such reconstruction or replacement is not in the interests of the City and the Bondholders. The proceeds of any insurance paid on account of such damage or destruction, other than business interruption loss insurance or public liability insurance, shall, if the appropriate Project Account in the Construction Fund has not been closed, be paid into the Construction Fund as provided in the Indenture, or if the Construction Fund has been closed, shall be held by the Trustee in a special account and made available for, and to the extent necessary applied to, the cost of such reconstruction or replacement, if any. Pending such application, which shall be made in accordance with the Indenture, such proceeds may be invested by the Trustee at the Written Request of the City in Investment Securities which mature not later than such times as shall be necessary to provide moneys when needed to pay such cost of reconstruction or replacement. Subject to the provisions of the Prior Lien Resolution, any balance of such proceeds of insurance not needed to pay such cost of reconstruction or replacement shall be applied in the same manner as provided in the Indenture. B-34 COMPLIANCE WITH INDENTURE The City will not issue, or permit to be issued, any Bonds in any manner other than in accordance with the provisions of the Indenture and will not suffer or permit any default to occur under the Indenture, but will faithfully observe and perform all the covenants, conditions and requirements of the Indenture. The City will make, execute and deliver any and all such further indentures, resolutions, instruments and assurances as may be reasonably necessary or proper to carry out the intention or to facilitate the performance of the Indenture, and for the better assuring and confirming unto the Holders of the Bonds, the Security Instrument Issuers and the Reserve Instrument Issuers of the rights, benefits and security provided in the Indenture. The City for itself, its successors and assigns, represents, covenants and agrees with the Holders of the Bonds, as a material inducement to the purchase of the Bonds, and with the Security Instrument Issuers and Reserve Instrument Issuers as a material inducement to the issuance of Security Instruments and Reserve Instruments, that it will faithfully perform all of the covenants and agreements contained in the Indenture and the Bonds. POWER TO ISSUE BONDS AND PLEDGE REVENUES AND OTHER FUNDS The City is duly authorized under all applicable laws to create and issue the Bonds and to execute and deliver the Indenture and to pledge the Revenues and other moneys, securities and funds purported to be pledged by the Indenture in the manner and to the extent provided in the Indenture. The Bonds and the provisions of the Indenture are and will be the valid and legally enforceable obligations of the City in accordance with their terms and the terms of the Indenture. The City shall at all times, to the extent permitted by law, defend, preserve and protect the pledge of the Revenues and other moneys, securities and Funds pledged under the Indenture and all the rights of the Bondholders, the Security Instrument Issuers and the Reserve Instrument Issuers under the Indenture against all claims and demands of all persons whomsoever. EXISTENCE OF CITY The City will maintain its corporate identity and shall make no attempt to cause its corporate existence to be abolished and shall resist all attempts by other municipalities to annex all or any part of the territory now or hereafter in the City. GENERAL (a) The City shall do and perform or cause to be done and performed all acts and things required to be done or performed by or on behalf of the City under the provisions of the Act and the Indenture. (b) Upon the date of issuance and delivery of any of the Bonds, all acts, conditions and things required by law and the Indenture to exist, to have happened and to have been performed precedent to and in connection with the issuance of such Bonds shall exist, have happened and have been performed in regular and in due time, form and manner as required by law and the City will have duly and regularly complied with all applicable provisions of law and will be duly B-35 authorized to issue the Bonds under the Act in the manner and upon the terms as in the Indenture provided. THE TRUSTEE TRUSTEE (a) The City appoints U.S. Bank Trust Company, National Association as the initial Trustee under the Indenture to act as the legal depositary of the City for the purpose of receiving all moneys which the City is required to pay to the Trustee under the Indenture and to hold, allocate, use and apply the same as provided in the Indenture. The Trustee accepts and agrees to execute the trusts created by the Indenture upon the terms set forth therein. The Trustee shall act as the legal depositary of the City for the purpose of receiving all moneys which the City is required to pay to the Trustee under the Indenture, and to hold, allocate, use and apply the same as provided in the Indenture. The Trustee shall also act as registrar and Transfer Agent for the Bonds, with the duties provided in the Indenture, and shall also act in accordance with the duties specified elsewhere in the Indenture. In acting as registrar and Transfer Agent, the Trustee shall be the agent of the City. (b) The Trustee may at any time resign or be discharged of its duties and obligations created by the Indenture by giving not less than 60 days’ written notice to the City, specifying the date when such resignation shall take effect, and mailing notice thereof, to the Holders of all Bonds then Outstanding, and such resignation shall take effect on the day specified in such notice unless previously a successor shall have been appointed as hereinafter provided, in which event such resignation shall take effect immediately upon the appointment of such successor; provided, however, that such resignation of the Trustee shall in no event take effect until such successor shall have been appointed and accepted the duties of Trustee. (c) The City may at any time remove the Trustee initially appointed or any successor thereto by a written direction providing for such removal, for the appointment of a successor, and for the effective date of the change of Trustee; provided, however, that such removal of the Trustee shall in no event take effect until such successor shall have been appointed and accepted the duties of Trustee by the execution of a Supplemental Indenture. A copy of such resolution shall be mailed by first class mail to the Trustee. (d) Notice of the resignation or removal of the Trustee and the appointment of a successor shall be mailed by first class mail to the registered Holders of all Bonds then Outstanding, the Information Services, the NRMSIRs and to each Security Instrument Issuer and Reserve Instrument Issuer then having a Security Instrument or Reserve Instrument outstanding, within 30 days after adoption by the Council of the resolution providing for such appointment. Any successor Trustee appointed by resolution adopted subsequent to the issuance of the first Series of Bonds issued hereunder shall be a bank or trust company with a capital, undivided profits and surplus of not less than $50,000,000. B-36 (e) If no successor Trustee shall have been appointed and shall have accepted appointment within 45 days of giving notice of the resignation or removal of the Trustee as aforesaid, the Trustee or any Bondholder (on behalf of himself and all other Bondholders) may petition any court of competent jurisdiction for the appointment of a successor Trustee, and such court may thereupon, after such notice (if any) as it may deem proper, appoint such successor Trustee. PAYING AGENTS; APPOINTMENT AND ACCEPTANCE OF DUTIES; REMOVAL The City shall appoint Paying Agents for the Bonds of each Series pursuant to Supplemental Indentures. Each Paying Agent shall signify its acceptance of the duties and obligations imposed upon it by the Indenture by executing and delivering to the City and to the Trustee a written acceptance thereof. The City may remove any Paying Agent and any successor thereto, and appoint a successor or successors thereto; provided, however, that any such Paying Agent designated by the City shall continue to be a Paying Agent of the City for the purpose of paying the Principal and Redemption Price of and interest on the Bonds until the designation of a successor as such Paying Agent. Each Paying Agent is authorized by the Indenture to redeem Bonds when duly presented to it for payment or redemption, which Bonds shall thereafter be delivered to the Trustee for cancellation. TERMS AND CONDITIONS OF THE TRUSTS Notwithstanding any other provision of the Indenture to the contrary, the Trustee shall, prior to an Event of Default, and after the curing of all Events of Default which may have occurred, perform such duties and only such duties as are specifically set forth in the Indenture, and no implied covenants or obligations of the Trustee shall be read into the Indenture. Subject to the Indenture provisions described under the heading “EVENTS OF DEFAULT AND REMEDIES OF BONDHOLDERS” and paragraph (l) below, the Trustee shall, during the existence of any Event of Default (which has not been cured), exercise such of the rights and powers vested in it by this Indenture, and use the same degree of care and skill in their exercise, as a prudent person would exercise or use under the circumstances in the conduct of his own affairs. The Trustee shall perform such duties, rights and powers only upon and subject to the following express terms and conditions: (a) The Trustee shall perform such duties and only such duties as are specifically set forth in the Indenture. The duties and obligations of the Trustee shall be determined solely by the express provisions of the Indenture, and the Trustee shall not be liable except for the performance of such duties and obligations as are specifically set forth in the Indenture, and no implied covenants or obligations shall be read into the Indenture against the Trustee. (b) The Trustee may execute any of the trusts or powers hereof and perform any of its duties by or through attorneys, agents, receivers or employees but shall not be answerable for the conduct of any of the same who have been selected by it with ordinary care in accordance with the standard specified above, and shall be entitled to advice of counsel concerning all matters of trusts of the Indenture and the duties thereunder, and may in all cases pay such reasonable compensation to all such attorneys, agents, receivers and employees as may reasonably be employed in connection with the trusts of the Indenture. The Trustee may act upon the opinion or advice of any B-37 attorney for the City or any other attorneys, if, in the case of such other attorneys, they are approved by the Trustee in the exercise of reasonable care. The Trustee shall not be responsible for any loss or damage resulting from any action or non-action in good faith in reliance upon such opinion or advice. The Trustee shall not be liable for any error of judgment made in good faith by any of its officers or employees unless it shall be proved that the Trustee was negligent in ascertaining pertinent facts. (c) The Trustee shall not be responsible for any recital in the Indenture, or in the Bonds (except in respect to the certificate of authentication of the Trustee endorsed on the Bonds), or for the sufficiency of the security for the Bonds issued under the Indenture or intended to be secured by the Indenture, and the Trustee shall not be bound to ascertain or inquire as to the performance or observance of any covenants, conditions or agreements on the part of the City set forth in the Indenture; but the Trustee may require of the City full information and advice as to the performance of the covenants, conditions and agreements aforesaid. The Trustee shall have no obligation to perform any of the duties of the City under the Indenture. (d) The Trustee shall not be accountable for the use of any Bonds authenticated or delivered under the Indenture. The Trustee may become the owner or pledgee of Bonds secured by the Indenture with the same rights which it would have if not Trustee. To the extent permitted by law, the Trustee may also receive tenders and purchase in good faith Bonds from itself, including any department, affiliate or subsidiary, with like effect as if it were not Trustee. (e) The Trustee shall be protected in acting upon any notice, request, consent, certificate, order, affidavit, letter, telegram or other paper or document believed by it to be genuine and correct and to have been signed or sent by the proper person or persons. Any action taken by the Trustee pursuant to the Indenture, 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 liable with respect to any action taken or omitted to be taken by it in good faith in accordance with the direction of the Holders of not less than a majority in Principal amount of the Bonds at the time Outstanding relating to the time, method and place of conducting any proceeding for any remedy available to the Trustee, or exercising any trust or power conferred upon the Trustee, under the Indenture. (f) As to the existence or non-existence of any fact or as to the sufficiency or validity of any instrument, paper or proceeding, the Trustee shall be entitled to rely upon a Written Certificate of the City as sufficient evidence of the facts therein contained and shall also be at liberty to accept a similar Written Certificate to the effect that any particular dealing, transaction or action is necessary or expedient, but may at its discretion secure such further evidence deemed necessary or advisable, but shall in no case be bound to secure the same. The Trustee may accept a certificate of the City Recorder to the effect that a resolution in the form therein set forth has been adopted by the City as conclusive evidence that such resolution has been duly adopted, and is in full force and effect. B-38 (g) The permissive right of the Trustee to do things enumerated in the Indenture shall not be construed as a duty and it shall not be answerable for other than its gross negligence or willful default. (h) The Trustee shall not be required to take notice or be deemed to have notice of any default under the Indenture except: (1) Failure by the City to cause to be made any of the payments to the Trustee required to be made pursuant to the Indenture; (2) Failure of the City to file with the Trustee any document required by the Indenture to be so filed prior to or subsequent to the issuance of the Bonds; or (3)Any default with respect to a Security Instrument Agreement or a Reserve Instrument Agreement as to which any of the parties thereto has notified the Trustee in writing; provided that the Trustee shall be required to take notice or be deemed to have notice of any default hereunder if specifically notified in writing of such default by the Holders of not less than 10% in aggregate Principal amount of Bonds then Outstanding, by any Security Instrument Issuer or by any Reserve Instrument Issuer, and all notices or other instruments required by the Indenture to be delivered to the Trustee must, in order to be effective, be delivered at the principal corporate trust office of the Trustee and in the absence of such notice, the Trustee may conclusively assume there is no default except as aforesaid. (i) At any and all reasonable times the Trustee, and its duly authorized agents, attorneys, experts, engineers, accountants and representatives, shall have the right fully to inspect any and all books, papers and records of the City pertaining to the System and the Bonds, and to take such memoranda from and in regard thereto as may be desired. (j) The Trustee shall not be required to give any bond or surety in respect of the execution of the said trusts and powers or otherwise in respect of the premises. (k) Notwithstanding anything elsewhere in the Indenture contained, the Trustee shall have the right, but shall not be required, to demand, in respect of the authentication of any Bonds or any action whatsoever within the purview of the Indenture, any showings, certificates, opinions, appraisals or other information, or corporate action or evidence thereof, in addition to that required by the terms of the Indenture, as a condition of such action by the Trustee reasonably deemed desirable by it for the purpose of establishing the right of the City to the authentication of any Bonds or the taking of any other action by the Trustee. (l) The Trustee shall be under no obligation to exercise any of the trusts or powers vested in it by the Indenture at the request, order or direction of any of the Bondholders, Security Instrument Issuers or Reserve Instrument Issuers pursuant to the provisions of the Indenture, unless such Bondholders, Security Instrument Issuers or Reserve Instrument Issuers shall have offered to the Trustee reasonable security or indemnity against the costs, expenses and liabilities which might be incurred therein or thereby. B-39 (m) All moneys received by the Trustee shall, until used or applied or invested as provided in the Indenture, 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 mandatory provisions of law. (n) 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, consent, order, approval, appraisal, Bond or other paper or document, unless requested in writing to do so by (i) the Holders of not less than 25% in aggregate Principal amount of the Bonds then Outstanding, (ii) any Security Instrument Issuer of a Security Instrument then in full force and effect and not in default on a payment obligation or (iii) any Reserve Instrument Issuer of a Reserve Instrument then in full force and effect and not in default on a payment obligation; provided, that, if the payment within a reasonable time to the Trustee of the costs, expenses or liabilities likely to be incurred by it in the making of such investigation is, in the opinion of the Trustee, not reasonably assured to the Trustee by the security afforded to it by the terms of the Indenture, the Trustee may require reasonable indemnity against such expenses or liabilities as a condition to so proceeding. The reasonable expense of every such inquiry or examination shall be paid by the City or, if paid by the Trustee, shall be repaid by the City. (o) The Trustee shall not be liable for any action taken by it in good faith and reasonably believed by it to be authorized or within the discretion, rights or powers conferred upon it by the Indenture. (p) None of the provisions contained in the Indenture shall require the Trustee to expend or risk its own funds or otherwise incur personal financial liability in the performance of any of its duties or in the exercise of any of its rights or powers, if there is reasonable ground for believing that the repayment of such funds or liability is not reasonably assured to it. (q) The Trustee shall not be obligated to take or omit to take any action under the Indenture if, upon the basis of advice of counsel selected by it, the Trustee determines it would be unlawful to take or omit to take such action. (r) The Trustee shall have no responsibility with respect to any information, statement or recital in any offering memorandum or other disclosure material prepared or distributed with respect to any Series of Bonds. (s) The Trustee shall not be liable for actions taken at the direction of Bondholders or Security Instrument Issuer pursuant to the provisions relating to Events of Default and Remedies of Bondholders in the Indenture. INTERVENTION BY THE TRUSTEE In any judicial proceeding to which the City is a party and which in the opinion of the Trustee has a substantial bearing on the interests of Holders of the Bonds, the Trustee may intervene on behalf of Bondholders and shall do so if requested in writing by (i) the Holders of a majority of the aggregate Principal amount of Bonds then Outstanding or (ii) any Security Instrument Issuer of a Security Instrument then in full force and effect and not in default on a B-40 payment obligation. The rights and obligations of the Trustee under this Section are subject to the approval of a court of competent jurisdiction. SUCCESSOR TRUSTEE Any corporation or association into which the Trustee may be converted or merged, or with which it may be consolidated, or to which it may sell or transfer its corporate trust business or assets as a whole or substantially as a whole, or any corporation or association resulting from any such conversion, sale, merger, consolidation or transfer to which it is a party, shall be and become a successor Trustee under the Indenture and vested with all the trusts, powers, discretions, immunities, privileges and all other matters as was its predecessor, without the execution or filing of any instrument or any further act, deed or conveyance on the part of the Trustee or the City, anything in the Indenture to the contrary notwithstanding. CONCERNING ANY SUCCESSOR TRUSTEE Every successor Trustee appointed under the Indenture shall execute, acknowledge and deliver to its or his predecessor and also to the City a Supplemental Indenture accepting such appointment 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 predecessor; but such predecessor shall, nevertheless, on the Written Request of the City, or of its successor, execute and deliver an instrument transferring to such successor Trustee all the estates, properties, rights, powers and trusts of such predecessor under the Indenture; and every predecessor Trustee shall deliver all securities and moneys held by it as Trustee under the Indenture to its or his successor. Should any instrument in writing from the City be required by any successor Trustee for more fully and certainly vesting in such successor the estates, properties, rights, powers, trusts, duties and obligations by the Indenture vested or intended to be vested in the predecessor, any and all such instruments in writing shall, on request, be executed, acknowledged and delivered by the City. Any Trustee ceasing to act shall, nevertheless, retain a lien upon all property or funds held or collected by such Trustee to secure any amounts then due it pursuant to the provisions of the Indenture. COMPENSATION OF THE TRUSTEE AND ITS LIEN The City covenants and agrees to pay to the Trustee from time to time and the Trustee shall be entitled to, reasonable compensation and, except as otherwise expressly provided, the City covenants and agrees to pay or reimburse the Trustee upon its request for all reasonable expenses, disbursements and advances incurred or made by the Trustee in accordance with any of the provisions of the Indenture (including the reasonable compensation and the expenses and disbursements of its counsel and of all persons not regularly in its employ including but not limited to any Paying Agent, Transfer Agent or Depository) except any such expense, disbursement or advance as may arise from its negligence or bad faith. The City also covenants to indemnify the Trustee for, and to hold it harmless against, any loss, liability or expense incurred without negligence or bad faith on the part of the Trustee, arising out of or in connection with the acceptance or administration of this trust, including the costs and expenses of defending itself B-41 against any claim of liability in the premises. The obligations of the City under this Section to compensate and indemnify the Trustee and to pay or reimburse the Trustee for expenses, disbursements and advances shall constitute additional indebtedness under the Indenture and shall survive the satisfaction and discharge of the Indenture. Such additional indebtedness shall be secured by a lien prior to that of the Bonds upon all property and funds held or collected by the Trustee as such, except funds held in trust for the benefit of the Holders of particular Bonds. APPOINTMENT OF CO-TRUSTEE It is the purpose of the 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 case of litigation under the Indenture, and in particular in case of the enforcement thereof 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 granted to the Trustee in the Indenture or hold title to the properties, in trust, as granted in the Indenture, or take any action which may be desirable or necessary in connection therewith, it may be necessary that the Trustee appoint an additional individual or institution as a separate or co-trustee. The following provisions of this Section are adapted to these ends. In the event that the Trustee appoints an additional individual or institution as a separate or co-trustee, each and every remedy, power, right, claim, demand, cause of action, immunity, estate, title, interest and lien expressed or intended by the 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 or co-trustee but only to the extent necessary to enable such separate or co-trustee to exercise such powers, rights and remedies, and every covenant and obligation necessary to the exercise thereof by such separate or co-trustee shall run to and be enforceable by either of them. Should any instrument in writing from the City be required by the separate trustee or co- trustee so appointed by the Trustee for more fully and certainly vesting in and confirming to him or it such estates, properties, rights, powers, trusts, duties and obligations, any and all such instruments in writing shall, on request, be executed, acknowledged and delivered by the City. In case any separate trustee or co-trustee, or a successor to either of them shall die, become incapable of acting, resign or 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. APPOINTMENT, DUTIES AND TERM OF REMARKETING AGENT The City may pursuant to a Supplemental Indenture appoint one or more Remarketing Agents from time to time to purchase or remarket Put Bonds. B-42 APPOINTMENT, DUTIES AND TERM OF ADDITIONAL TRANSFER AGENTS The City may appoint one or more Transfer Agents from time to time in addition to the Trustee to transfer and authenticate Bonds. Each appointment of a Transfer Agent other than the Trustee shall be made by a Supplemental Indenture which shall, among other things, specify the duties, qualifications and term of such Transfer Agent and the conditions under which such Transfer Agent may resign, be removed or be replaced. Each Transfer Agent other than the Trustee shall signify its acceptance of the duties imposed upon it pursuant to the Indenture by depositing with the City and the Trustee a written acceptance of such duties, together with a certificate stating that the Transfer Agent is duly qualified to perform such duties under the terms of the Indenture and under all applicable local, state and federal laws. MODIFICATION OR AMENDMENT OF INDENTURE AMENDMENTS PERMITTED (a) The Indenture or any Supplemental Indenture and the rights and obligations of the City and of the Holders of the Bonds may be modified or amended at any time by a Supplemental Indenture and pursuant to the affirmative vote at a meeting of Bondholders, or with the written consent without a meeting, (1) of the Holders of at least a majority in Principal amount of the Bonds then Outstanding, and (2) in case less than all of the several Series of Bonds then Outstanding are affected by the modification or amendment, of the Holders of at least a majority in Principal amount of the Bonds of each Series so affected and then Outstanding, and (3) in case the modification or amendment changes the terms of any Sinking Fund Installment, of the Holders of at least a majority in Principal amount of the Bonds of the particular Series and maturity entitled to such Sinking Fund Installment and then Outstanding; provided, however, that if such modification or amendment will, by its terms, not take effect so long as any Bonds of any specified Series remain Outstanding, the consent of the Holders of Bonds of such Series shall not be required and Bonds of such Series shall not be deemed to be Outstanding for the purpose of any calculation of Outstanding Bonds under this Section. (b) The Indenture or any Supplemental Indenture and the rights and obligations of the City, the Holders of the Bonds, the Security Instrument Issuers and the Reserve Instrument Issuers may also be modified or amended at any time by a Supplemental Indenture, without the consent of any Bondholders for any of the following purposes: (1) to add to the covenants and agreements of the City contained in the Indenture, to add other covenants and agreements thereafter to be observed, to pledge or provide additional security hereunder or to surrender any right or power reserved to or conferred upon the City by the Indenture; (2) to make such provisions for the purpose of curing any ambiguity, or of curing or correcting any defective provision contained in the Indenture or in regard to questions arising under the Indenture, as the City may deem necessary or desirable, and which shall not adversely affect the interests of the Holders of the Bonds; B-43 (3) to provide for the issuance of a Series of Bonds in accordance with the provisions of authorization and issuance of Bonds under the Indenture; (4) to provide for the issuance of the Bonds pursuant to a book-entry system or as uncertificated registered public obligations pursuant to the provisions of the Registered Public Obligations Act, Chapter 7 of Title 15 of the Utah Code Annotated 1953, as amended, or any successor provision of law or to modify or eliminate the book-entry registration system for any of the Bonds; (5) to confirm, as further assurance, any pledge of or lien on the Revenues or any other moneys, securities or funds subject or to be subjected to the lien of this Indenture and to further modify the definition of the “System” as provided therein; (6) to comply with the requirements of the Trust Indenture Act of 1939, as from time to time amended; (7) to modify, alter, amend or supplement the Indenture or any Supplemental Indenture in any other respect which in the judgment of the Trustee is not materially adverse to the Holders of the Bonds; provided, however, that any such modification, alteration, amendment or supplement pursuant to this Section shall not take effect until the Security Instrument Issuers at the time providing Security Instruments which are in full force and effect and not in default on any payment obligation thereunder shall have consented in writing to such modification, alteration, amendment or supplement; provided further that in determining whether any such modification, alteration, amendment or supplement is materially adverse to the Holders of the Bonds, the Trustee shall consider the effect on the Holders as if there were no Security Instrument with respect to the Bonds; (8) to make any change which in the judgment of the Trustee shall not materially adversely affect the rights or interests of the Holders of any Outstanding Bonds requested by a Rating Agency in order to obtain or maintain any rating on the Bonds or by a Security Instrument Issuer or Reserve Instrument Issuer in order to insure or provide other security for any Bonds; (9) to make any change necessary (A) to establish or maintain the exemption from federal income taxation of interest on any Series of Bonds as a result of any modifications or amendments to Section 148 of the Code (or any successor provision of law) or interpretations thereof by the Internal Revenue Service, or (B) to comply with the provisions of Section 148(f) of the Code (or any successor provision of law), including provisions for the payment of all or a portion of the investment earnings of any of the Funds established hereunder to the United States of America; (10) if the Bonds affected by such change are rated by a Rating Agency, to make any change which does not result in a reduction of the rating applicable to any of the Bonds so affected, provided that if any of the Bonds so affected are secured by a Security Instrument, such change must be approved in writing by the related Security Instrument Issuer; B-44 (11) if the Bonds affected by such change are secured by a Security Instrument, to make any change approved in writing by the related Security Instrument Issuer, provided that if any of the Bonds so affected are rated by a Rating Agency, such change shall not result in a reduction of the rating applicable to any of the Bonds so affected; (12) to the extent permitted by a Supplemental Indenture authorizing a Series of Construction Bonds (or Bond Anticipation Notes), the designation of additions, improvements and extensions to the System as a Project by such Supplemental Indenture may be modified or amended if the City delivers to the Trustee an (a) an Accountant’s Certificate, (b) an Engineer’s Certificate or (c) any combination of (a) and (b) to the effect that such modification or amendment will not adversely impact the City’s ability to perform the covenants contained in the Indenture; (13) to provide for the appointment of a successor Trustee, a Paying Agent, a separate or co-trustee pursuant to the Indenture, a Remarketing Agent or a Transfer Agent; (14) to specify a schedule of monthly deposits into the Renewal and Replacement Fund pursuant to the Indenture; (15) to provide for uncertificated Bonds or for the issuance of coupons and bearer Bonds or Bonds registered only as to principal, but only to the extent that such would not adversely affect the Tax-Exempt status of the Bonds; (16) to provide the procedures required to permit any Holder to separate the right to receive interest on the Bonds from the right to receive principal thereof and to sell or dispose of such right as contemplated by Section 1286 of the Code; and (17) to provide for the appointment or replacement of a Security Instrument Issuer or a Reserve Instrument Issuer or for an additional Security Instrument Issuer or an additional Reserve Instrument Issuer following the occurrence of an event of default under the respective Security Instrument or Reserve Instrument, as applicable, or to provide for an additional Security Instrument Issuer following the withdrawal or suspension or reduction below the Rating Category of AAA, Aaa or any equivalent rating by any rating agency of the long-term ratings of the Security Instrument Issuer provided that the Security Instrument provided by the replacement or additional Security Instrument Issuer would result in a long-term rating on the Bonds equal to the Rating Category of AAA, Aaa or any equivalent rating by any Rating Agency. No modification or amendment shall be permitted pursuant to subparagraph (1), (7), (8), (10), (11), (12) or (16) unless the City delivers to the Trustee an Opinion of Counsel of nationally recognized standing in the field of law relating to municipal bonds to the effect that such modification or amendment will not adversely affect the tax-exempt status or validity of any Bonds affected by such modification or amendment. (c) No modification or amendment permitted by this Section shall (1) extend the fixed maturity of any Bond, or reduce the Principal amount or Redemption Price thereof, or reduce the B-45 rate or extend the time of payment of interest thereon, without the consent of the Holder of each Bond so affected, or (2) reduce the aforesaid percentage of Bonds required for the affirmative vote or written consent to an amendment or modification of the Indenture, without the consent of the Holders of all of the Bonds then Outstanding, or (3) without its written consent thereto, modify any of the rights or obligations of the Trustee. (d) Each Supplemental Indenture authorized by this Section shall become effective as of the date of its execution and delivery or such other date as shall be specified in such Supplemental Indenture. (e) No amendment shall be permitted pursuant to the Indenture which shall affect (1) the rights or duties of a Security Instrument Issuer or Reserve Instrument Issuer of a Security Instrument or a Reserve Instrument as the case may be, then in full force and effect and not in default on a payment obligation, or (2) the Series of Bonds for which a Security Instrument Issuer or Reserve Instrument Issuer provides security, without the consent of such Security Instrument Issuer or Reserve Instrument Issuer as the case may be. (f) Notwithstanding any provisions of the Indenture to the contrary, a Supplemental Indenture providing for the issuance by a Security Instrument Issuer of a Security Instrument in connection with a Series of Bonds issued under the Indenture may provide, among other provisions, that the Security Instrument Issuer shall at all times, so long as the Series of Bonds remains Outstanding, be deemed to be the exclusive owner of all of the Bonds of such Series for the purpose of consenting to the execution and delivery of a Supplemental Indenture pursuant to the provisions of (a) above. BONDHOLDERS’ MEETINGS (a) The Trustee may, and upon the Written Request of the City shall, at any time, call a meeting of the Holders of Bonds, to be held at such place as may be selected by the Trustee and specified in the notice calling such meeting. Written notice of such meeting, stating the time and place of the meeting and in general terms the business to be submitted, shall be mailed by the Trustee, postage prepaid, not less than 30 nor more than 60 days before such meeting, to any Security Instrument Issuer or Reserve Instrument Issuer that is in full force and effect with respect to any Series of Bonds Outstanding and to each registered owner of Bonds then Outstanding at his address, if any, appearing upon the Bond register of the City. The cost and expense of the giving of such notice shall be borne by the City, and the Trustee shall be reimbursed by the City for any expense incurred by it. (b) Prior to calling any meeting of the Holders of Bonds, the Trustee shall adopt regulations for the holding and conduct of such meeting, and copies of such regulations shall be filed at the principal corporate trust office of the Trustee and at the office of the City and shall be open to the inspection of all Bondholders. The regulations shall include such provisions as the Trustee may deem advisable for evidencing the ownership of Bonds, for voting in person or by proxy, for the selection of temporary and permanent officers to conduct the meeting and inspectors to tabulate and canvass the votes cast thereat, the adjournment of any meeting and the records to B-46 be kept of the proceedings of such meeting, including rules of order for the conduct of such meeting and such other regulations as, in the opinion of the Trustee, may be necessary or desirable. (c) No resolution adopted by such meeting of Bondholders shall be binding unless and until a valid Supplemental Indenture has been executed and delivered containing the modifications or amendments authorized by the resolution adopted at such meeting. Such Supplemental Indenture shall become effective upon the filing with the Trustee of the resolution adopted at such meeting and such Supplemental Indenture. AMENDMENT BY WRITTEN CONSENT The City may at any time execute and deliver a valid Supplemental Indenture amending the provisions of the Bonds or of the Indenture or any Supplemental Indenture, to the extent that such an amendment is permitted by the Indenture, to become effective when and as approved by written consent of the Bondholders, and any necessary Security Instrument Issuers and Reserve Instrument Issuers, and as provided in this Section. Such Supplemental Indenture shall not be effective unless there shall have been filed with the City or the Trustee the written consents of the necessary number of Holders of the Bonds then Outstanding and the consents of any necessary Security Instrument Issuers and Reserve Instrument Issuers, and a notice shall have been published as hereinafter in this Section provided. It shall not be necessary for any consent under this Section to approve the particular form of any proposed Supplemental Indenture, but it shall be sufficient if such consent shall approve the substance thereof. Each consent of a Bondholder shall be effective only if accompanied by proof of ownership of the Bonds for which such consent is given, which proof shall be such as is permitted by the Indenture. Any such consent shall be binding upon the Holder of the Bonds giving such consent and on any subsequent Holder thereof (whether or not such subsequent Holder has notice thereof) unless such consent is revoked in writing by the Holder of the Bonds giving such consent or a subsequent Holder thereof by filing such revocation with the City and the Trustee prior to the date when the notice hereinafter in this Section provided for has been mailed. Notice of the execution and delivery of such Supplemental Indenture shall be mailed by the City to Bondholders (but failure to mail copies of such notice shall not affect the validity of the Supplemental Indenture when assented to by the requisite percentage of the Holders of the Bonds as aforesaid) and to each Security Instrument Issuer and Reserve Instrument Issuer of a Security Instrument or a Reserve Instrument as the case may be, then in full force and effect and not in default in a payment obligation. DISQUALIFIED BONDS Bonds owned or held by or for the account of the City shall not be deemed Outstanding for the purpose of any vote, consent or other action or any calculation of Outstanding Bonds provided for in the Indenture, and neither the City nor any owner or Holder of such Bonds shall be entitled to vote or consent to, or to take, any other action provided for in the Indenture. Any Pledged Bonds shall be deemed Outstanding and, for the purposes of any vote, shall be considered to be owned by the appropriate Security Instrument Issuer. B-47 EFFECT OF MODIFICATION OR AMENDMENT When any Supplemental Indenture modifying or amending the provisions of the Indenture or any Supplemental Indenture shall become effective, as provided in the Indenture, the Indenture or such Supplemental Indenture shall be and be deemed to be modified and amended in accordance therewith and the respective rights, duties and obligations under the Indenture or such Supplemental Indenture of the City, the Trustee, any Security Instrument Issuer, any Reserve Instrument Issuer, and all Holders of Bonds Outstanding hereunder shall thereafter be determined, exercised and enforced under the Indenture subject in all respects to such modification and amendment, and all the terms and conditions of any such Supplemental Indenture shall be and be deemed to be part of the terms and conditions of the Indenture or the modified or amended Supplemental Indenture for any and all purposes. ENDORSEMENT OR REPLACEMENT OF BONDS ISSUED AFTER AMENDMENTS The City or the Trustee may determine that Bonds executed and delivered after the effective date of a Supplemental Indenture executed and delivered as provided in the Indenture shall bear a notation, by endorsement or otherwise, in form approved by the City, as to the modification or amendment provided for by such Supplemental Indenture. In that case, upon demand of the Holder of any Bond Outstanding at such effective date and presentation of his Bond for the purpose at the principal corporate trust operations office of the Trustee or at such other office as the Trustee may select and designate for that purpose, a suitable notation shall be made on such Bond. The City may determine that new Bonds, so modified as in the opinion of the City is necessary to conform to such Supplemental Indenture, shall be prepared, executed and delivered. In that case, upon demand of the Holder of any Bond then Outstanding, such new Bonds shall be exchanged at the principal corporate trust operations office of the Trustee without cost to any Bondholder, for Bonds then Outstanding, upon surrender of such Bonds. IRREVOCABLE CONSENT Subject to the Indenture provisions relating to amendments by written consent, any consent pursuant to the provisions of the Indenture by any Holder of a Bond shall be irrevocable, and shall be conclusive and binding upon all future Holders of the same Bond delivered on transfer thereof or in exchange therefor or in replacement thereof. EVENTS OF DEFAULT AND REMEDIES OF BONDHOLDERS EVENTS OF DEFAULT The occurrence of one or more of the following events shall constitute an “Event of Default”: (a) failure by the City to make the due and punctual payment of the Principal or Redemption Price of any Bond when and as the same shall become due and payable, whether at maturity as therein expressed, by proceedings for redemption or otherwise; B-48 (b) failure by the City to make the due and punctual payment of any installment of interest on any Bond or any Sinking Fund Installment when and as such interest installment or Sinking Fund Installment shall become due and payable; (c) failure by the City to observe any of the covenants, agreements or conditions on its part contained in the Indenture or in the Bonds contained, and failure to remedy the same for a period of 30 days after written notice thereof, specifying such failure and requiring the same to be remedied, shall have been given to the City by the Trustee, or to the City and the Trustee by the Holders of not less than 25% in aggregate principal amount of the Bonds at the time Outstanding; (d) bankruptcy, reorganization, arrangement, insolvency or liquidation proceedings, including without limitation proceedings under Chapter 9 of Title 11, United States Code (as the same may from time to time be hereafter amended), or other proceedings for relief under any federal or state bankruptcy law or similar law for the relief of debtors are instituted by or against the City and, if instituted against the City, said proceedings are consented to or are not dismissed within 30 days after such institution; or (e) any event specified in a Supplemental Indenture as constituting an Event of Default under the Indenture; provided that any failure by the City to make payment as described in subparagraph (a) or (b) of this Section shall not constitute an Event of Default with respect to any Bond if the Supplemental Indenture authorizing the issuance of such Bond provides that due and punctual payment by a Security Instrument Issuer or a Reserve Instrument Issuer shall not give rise to an Event of Default and such payment is, in fact, duly and punctually made. The Trustee shall give notice to any Security Instrument Issuer or Reserve Instrument Issuer of any Event of Default known to the Trustee within 30 days after it has knowledge thereof. REMEDIES (a) Upon the occurrence and continuance of an Event of Default: (i) the Trustee may proceed, and (ii) upon the written request of (x) the Holders of a majority of the Principal amount of the Outstanding Bonds, (y) Security Instrument Issuers at the time providing Security Instruments which are in full force and effect and not in default on any payment obligation and which secure a majority in aggregate Principal amount of the Bonds then Outstanding, or (z) any combination of Bondholders and Security Instrument Issuers described under clauses (x) and (y) representing a majority in aggregate Principal amount of the Bonds at the time Outstanding, shall proceed, to protect and enforce its rights and the rights under the Indenture of the Bondholders, the Security Instrument Issuers and the Reserve Instrument Issuers forthwith by any available remedy, including, without limitation, suit or suits in equity or at law, whether for the payment of any B-49 amount due under the Indenture or on the Bonds, or for the specific performance of any covenant contained in the Indenture, or in aid of the execution of any power granted in the Indenture or any remedy granted under the Act, or for an accounting against the City, as if the City were the trustee of an express trust, or in the enforcement of any other legal or equitable right, as the Trustee, being advised by counsel, shall deem most effectual to enforce any of its rights or to perform any of its duties under the Indenture. (b) All rights of action under the Indenture or under any of the Bonds may be enforced by the Trustee without the possession of any of the Bonds or the production thereof in any trial or other proceeding relating thereto. Any suit or proceeding instituted by the Trustee shall be brought in its name as Trustee without the necessity of joining any Holders or other parties as plaintiffs or defendants. (c) No delay in exercising or omission to exercise any remedy, right or power accruing upon any Event of Default shall impair that remedy, right or power or shall be construed to be a waiver of any default or Event of Default or acquiescence therein. Every remedy, right and power may be exercised from time to time and as often as may be deemed to be expedient. (d) In case the Trustee shall have proceeded to enforce any remedy, right or power under the Indenture in any suit, action or proceedings, and the suit, action or proceedings shall have been discontinued or abandoned for any reason, or shall have been determined adversely to the Trustee, then the Issuer, the Trustee, the Bondholders, the Security Instruments Issuers and the Reserve Instrument Issuers shall be restored to their former positions and rights under the Indenture, respectively, and all rights, remedies and powers of the Trustee shall continue as if no suit, action or proceedings had been taken. APPLICATION OF REVENUES AND OTHER MONEYS AFTER DEFAULT (a) During the continuance of an Event of Default, the Trustee shall apply Revenues and such moneys, securities and funds and the income therefrom as follows and in the following order, provided that moneys held in any Series Subaccount in the Bond Service Account or in the Debt Service Reserve Account or received under any Security Instrument shall not be used for purposes other than payment of the interest and Principal or Redemption Price then due on the Series of Bonds corresponding to such Series Subaccount or such Security Instrument in accordance with paragraph (3) of this Section : (1) to the payment of the reasonable and proper charges and expenses of the Trustee and the reasonable fees and disbursements of its counsel; (2) to the payment of the Operation and Maintenance Costs, as certified by the City as due and payable; (3) to the payment of the interest and Principal or Redemption Price then due on the Bonds and Security Instrument Repayment Obligations, as follows: B-50 FIRST: To the payment to the persons entitled thereto of all installments of interest then due on the Bonds and the Security Instrument Repayment Obligations in the order of the maturity of such installments, and, if the amount available shall not be sufficient to pay in full any installment or installments maturing on the same date, then to the payment thereof ratably, according to the amounts due thereon, to the persons entitled thereto, without any discrimination or preference; and SECOND: To the payment to the persons entitled thereto of the unpaid Principal or Redemption Price of any Bonds and Security Instrument Repayment Obligations which shall have become due, whether at maturity or by call for redemption, in the order of their due dates, and, if the amount available shall not be sufficient to pay in full all the Bonds and Security Instrument Repayment Obligations due on any date, then to the payment thereof ratably, according to the amounts of Principal, Redemption Price or Security Instrument Repayment Obligations due on such date, to the persons entitled thereto, without any discrimination or preference; and (4) to the payment of all obligations owed to all Reserve Instrument Issuers according to the amounts due without any discrimination or preference. (b) If and whenever all overdue installments of interest on all Bonds and Repayment Obligations, together with the reasonable and proper charges and expenses of the Trustee, and all other sums payable by the City under the Indenture, including the Principal and Redemption Price of and accrued unpaid interest on all Bonds and Repayment Obligations which shall then be payable, shall either be paid by or for the account of the City, or provision satisfactory to the Trustee shall be made for such payment, and all defaults under the Indenture or the Bonds shall be made good or secured to the satisfaction of the Trustee and the Repayment Obligations shall be made good or secured to the satisfaction of the Security Instrument Issuers and the Reserve Instrument Issuers as appropriate, or provision deemed by the Trustee and, in the case of Repayment Obligations, to the Security Instrument Issuers and the Reserve Instrument Issuers, as appropriate, to be adequate shall be made therefor, the Trustee shall pay over to the City all such Revenues then remaining unexpended in the hands of the Trustee (except Revenues deposited or pledged, or required by the terms of the Indenture to be deposited or pledged, with the Trustee), and thereupon the City and the Trustee shall be restored, respectively, to their former positions and rights under the Indenture, and all Revenues shall thereafter be applied as provided in the Indenture. No such payment over to the City by the Trustee or resumption of the application of Revenues as provided in the Indenture shall extend to or affect any subsequent default under the Indenture or impair any right consequent thereon. RIGHTS AND REMEDIES OF BONDHOLDERS (a) No Holder of any Bond, any Security Instrument Issuer or any Reserve Instrument Issuer shall have any right to institute any proceeding, judicial or otherwise, with respect to this Indenture, or for the appointment of a receiver or trustee, or for any other remedy hereunder, unless: B-51 (1) such Holder, Security Instrument Issuer or Reserve Instrument Issuer has previously given written notice to the Trustee of a continuing Event of Default; (2) either (x) the Holders of not less than 25% in aggregate Principal amount of the Outstanding Bonds, (y) Security Instrument Issuers at the time providing Security Instruments which are in full force and effect and not in default on any payment obligation and which secure 25% in aggregate Principal amount of the Bonds at the time Outstanding, or (z) any combination of Bondholders and Security Instrument Issuers described in clauses (x) and (y) representing not less than 25% in aggregate Principal amount of the Bonds at the time Outstanding, shall have made written request to the Trustee to institute proceedings in respect of such Event of Default in its own name as Trustee hereunder; (3) such Holders or Security Instrument Issuers have offered to the Trustee reasonable indemnity against the costs, expenses and liabilities to be incurred in compliance with such request; (4) the Trustee for 60 days after its receipt of such notice, request and offer of indemnity has failed to institute any such proceedings; and (5) no direction inconsistent with such written request has been given to the Trustee during such 60 day period by (1) the Holders of a majority in Principal amount of the Outstanding Bonds, (2) Security Instrument Issuers at the time providing Security Instruments which are in full force and effect and not in default on any payment obligation and which secure a majority in aggregate Principal amount of the Bonds then Outstanding, or (3) any combination of Bondholders and Security Instrument Issuers described in clauses (1) and (2) representing a majority in aggregate Principal amount of the Bonds at the time Outstanding; it being understood and intended that no one or more Holders of Bonds, Security Instrument Issuers or Reserve Instrument Issuers shall have any right in any manner whatever by virtue of, or by availing of, any provision of this Indenture to affect, disturb or prejudice the rights of any other such parties, or to obtain or to seek to obtain priority or preference over any other such parties or to enforce arty right under the Indenture, except in the manner provided in the Indenture and for the equal and ratable benefit of all such parties in accordance with the provisions of the Indenture. (b) Notwithstanding any other provision in the Indenture, the Holder of any Bond shall have the right which is absolute and unconditional to receive payment of the Principal of, Redemption Price and interest on such Bond on the respective stated maturities expressed in such Bond (or, in the case of redemption, on the redemption date of such Bond) and to institute suit for the enforcement of any such payment, subject only to any conditions of any Security Instrument Issuer providing a Security Instrument securing such Bond. Such right to receive payment shall not be impaired without the consent of such Holder. (c) (i) The Holders of a majority of the Principal amount of the Outstanding Bonds, (ii) Security Instrument Issuers at the time providing Security Instruments which are in full force and effect and not in default on any payment obligation and which secure a majority in aggregate B-52 Principal amount of the Bonds then Outstanding, or (iii) any combination of Bondholders and Security Instrument Issuers described under clauses (i) and (ii) representing a majority in aggregate Principal amount of the Bonds at the time Outstanding, shall have the right to direct the time, method and place of conducting any proceeding for any remedy available to the Trustee or exercising any trust or power conferred on the Trustee, provided that: (1) such direction shall not be in conflict with any rule of law or the Indenture, (2) the Trustee shall not determine that the action so directed would be unjustly prejudicial to the Holders and Security Instrument Issuers not taking part in such direction, and (3) the Trustee may take any other action deemed proper by the Trustee which is not inconsistent with such direction. APPOINTMENT OF RECEIVER Upon the occurrence of an Event of Default, and upon the filing of a suit or other commencement of judicial proceedings to enforce the rights of the Trustee and of the Bondholders, the Security Instrument Issuers and the Reserve Instrument Issuers, the Trustee shall be entitled, as a matter of right, to the appointment of a receiver or receivers of the trust estate created by the Indenture, including, without limitation, the proceeds of the sale of the Bonds, the Revenues and the Funds, including the investments, if any, thereof, pending such proceedings, with such powers as a court making such appointments shall confer. NON-WAIVER Nothing in the Indenture or in the Bonds shall affect or impair the obligation of the City, which is absolute and unconditional, to pay the Principal and Redemption Price of and interest on the Bonds and the Repayment Obligations to the respective Holders of the Bonds, the Security Instrument Issuers and the Reserve Instrument Issuers, as appropriate, at the respective dates of maturity, or upon call for redemption, as provided in the Indenture, out of the Revenues, Funds and other moneys, securities and funds pledged in the Indenture for such payment, or affect or impair the right of action, which is also absolute and unconditional, of such Holders, Security Instrument Issuers or Reserve Instrument Issuers, as appropriate, to institute suit to enforce such payment by virtue of the contract embodied in the Bonds and Repayment Obligations. No delay or omission of the Trustee or of any Holder of the Bonds or, with respect to Repayment Obligations, of any Security Instrument Issuer or Reserve Instrument Issuer as appropriate, to exercise any right or power arising upon the happening of any Event of Default shall impair any such right or power or shall be construed to be a waiver of any such Event of Default or an acquiescence therein, and every power and remedy given by the Indenture to the Trustee or to the Holders of Bonds or, with respect to Repayment Obligations, to Security Instrument Issuers and Reserve Instrument Issuers, as appropriate, may be exercised from time to time and as often as shall be deemed expedient by the Trustee, the Holders of the Bonds, the Security Instrument Issuers and the Reserve Instrument Issuers. B-53 REMEDIES NOT EXCLUSIVE No remedy in the Indenture conferred upon or reserved to the Trustee or to the Holders of Bonds or, with respect to Repayment Obligations, to Security Instrument Issuers and Reserve Instrument Issuers, as appropriate, is intended to be exclusive of any other remedy, and every such remedy shall be cumulative and shall be in addition to every other remedy given under the Indenture or now or hereafter existing, at law or in equity or by statute or otherwise, and may be exercised at any time or from time to time, and as often as may be necessary, by the Trustee, the Holder of any one or more of the Bonds or, with respect to Repayment Obligations, by Security Instrument Issuers and Reserve Instrument Issuers, as appropriate. Nothing contained in the Indenture shall permit the levy of any attachment or execution upon any of the properties of the City, nor shall any properties of the City be subject to forfeiture by reason of any default under the Indenture, it being expressly understood and agreed by each and every Bondholder by the acceptance of any Bond and by each and every Security Instrument Issuer and Reserve Instrument Issuer by entering into Security Instrument Agreements and Reserve Instrument Agreements, as appropriate, that the rights of all such Bondholders, Security Instrument Issuers and Reserve Instrument Issuers are limited and restricted to the use and application of Revenues, Funds and other moneys, securities and funds pledged under the Indenture in accordance with the terms of the Indenture. WAIVERS OF EVENTS OF DEFAULT The Trustee may waive, and upon the written direction of (x) the Holders of a majority of the Principal amount of the Outstanding Bonds, (y) Security Instrument Issuers at the time providing Security Instruments which are in full force and effect and not in default on any payment obligation and which secure a majority in aggregate Principal amount of the Bonds then Outstanding, or (z) any combination of Bondholders and Security Instrument Issuers described under clauses (x) and (y) representing a majority in aggregate Principal amount of the Bonds at the time Outstanding, shall waive, any Event of Default hereunder and its consequences; provided, however, that (x) there shall not be waived any Event of Default specified under (a) or (b) of “Events of Default” above unless prior to such waiver the City shall have caused to be deposited with the Trustee a sum sufficient to pay all matured installments of interest upon all Bonds and the Principal of any and all Bonds which shall have become due (with interest upon such Principal and, to the extent permissible by law, on overdue installments of interest, at the rate per annum specified in the Bonds) and (y) no Event of Default shall be waived unless (in addition to the applicable conditions as aforesaid) there shall have been deposited with the Trustee such amounts as shall be sufficient to cover reasonable compensation and reimbursement of expenses payable to the Trustee. No such waiver shall extend to or shall affect any subsequent default or Event of Default or shall impair any remedy, right or power consequent thereon. B-54 INVESTMENT FUNDS INVESTMENT OF FUNDS (a) Moneys held in any Fund or account shall be invested and reinvested by the City or the Trustee to the fullest extent practicable in Investment Securities which mature not later than such times as shall be necessary to provide moneys when needed for payments to be made from such Fund or account, subject to the following: (1) the Trustee shall make such investments only in accordance with written instructions received from an Authorized Officer of the City; (2) any Supplemental Indenture authorizing a Series of Bonds may impose additional restrictions on moneys held in any Fund or account; and (3) any Supplemental Indenture authorizing a Series of Bonds may authorize the investment of moneys to be held in any Project Account, Series Subaccount in the Bond Service Account or Series Subaccount in the Debt Service Account created by such Supplemental Indenture and relating to such Series of Bonds in such other investments as may be specified by the Supplemental Indenture. (b) Subject to any required rebate of earnings on investments in any Fund or account to the United States of America pursuant to Section 148(f) of the Code and except as otherwise provided in a Supplemental Indenture establishing a Project Account or a Series Subaccount: (i) all moneys earned as an investment of moneys in the Construction Fund shall be retained therein; (ii) net income earned on any moneys or investments in the Revenue Fund , the Bond Service Account and the Renewal and Replacement Fund shall remain in or be transferred to the Revenue Fund; (iii) whenever a Series Subaccount in the Debt Service Reserve Account is in its full required amount, net income earned on any moneys or investments in such Series Subaccount shall be transferred to the corresponding Series Subaccount in the Bond Service Account as provided in the Indenture, otherwise, to be retained therein. (c) The Trustee shall have no liability or responsibility for any loss or for failure to maximize earnings resulting from any investment made in accordance with the provisions of this Section. The Trustee shall be entitled to assume, absent receipt by the Trustee of written notice to the contrary, that any investment, which at the time of purchase is an Investment Security, remains an Investment Security thereafter. (d) The Trustee may make any and all investments permitted by the provisions of the Indenture through its own investment department or that of its affiliates. As and when any amount invested pursuant to the Indenture may be needed for disbursement, the Trustee may cause a sufficient amount of such investments to be sold and reduced to cash to the credit of such funds. The City acknowledges that to the extent that regulations of the Comptroller of the Currency or other applicable regulatory agency grant the City the right to receive brokerage confirmations of security transactions, the City waives receipt of such confirmations. The Trustee shall furnish to B-55 the City periodic statements, which include detail of all investment transactions, made by the Trustee. ARBITRAGE COVENANT The City covenants that moneys on deposit in any Fund, whether or not such moneys were derived from proceeds of sales of Bonds or from any other sources, will not be used in a manner which will cause any Bonds, the interest on which is to be exempt from federal income taxation under the Code, to be “arbitrage bonds” within the meaning of Section 148 of the Code; provided, however, that this covenant shall not prevent the issuance of a Series of Bonds the interest on which is subject to Federal income taxation under the Code. DEFEASANCE DISCHARGE OF INDEBTEDNESS If the City shall pay or cause to be paid, or there shall otherwise be paid, subject to any limitations contained in a Supplemental Indenture with respect to a Series of Bonds, to the Holders of all Bonds the Principal or Redemption Price, if applicable, and interest due or to become due thereon, at the times and in the manner stipulated therein and in the Indenture and if all Repayment Obligations owed to Security Instrument Issuers and Reserve Instrument Issuers shall have been paid in full, then the pledge of any Revenues and other moneys, securities and Funds pledged under the Indenture and all covenants, agreements and other obligations of the City to the Bondholders, Security Instrument Issuers and Reserve Instrument Issuers shall thereupon cease, terminate and become void and be discharged and satisfied. In such event, the Trustee shall cause an accounting for such period or periods as shall be requested by the City to be prepared and filed with the City and, upon the request of the City, shall execute and deliver to the City all such instruments as may be desirable to evidence such discharge and satisfaction, and the Agents shall pay over or deliver to the City all moneys or securities held by them pursuant to the Indenture which are not required for the payment of Principal or Redemption Price, if applicable, and interest on Bonds not theretofore surrendered for such payment or redemption. If the City shall pay or cause to be paid, or there shall otherwise be paid, to the Holders of any Outstanding Bonds the Principal or Redemption Price, if applicable, and interest due or to become due thereon, at the times and in the manner stipulated therein and in the Indenture, such Bonds shall cease to be entitled to any lien, benefit or security under the Indenture, and all covenants, agreements and obligations of the City to the Holders of such Bonds shall thereupon cease, terminate and become void and be discharged and satisfied. Bonds or interest installments for the payment or redemption of which moneys shall have been set aside and shall be held in trust by the Trustee (through deposit by the City of funds for such payment or redemption or otherwise) at the maturity or redemption date thereof shall be deemed to have been paid within the meaning and with the effect expressed in subsection (a) of this Section, unless otherwise provided in a Supplemental Indenture with respect to a Series of Bonds. Subject to any further conditions in a Supplemental Indenture with respect to a Series of Bonds, all Outstanding Bonds of any Series shall prior to the maturity or redemption date thereof B-56 be deemed to have been paid within the meaning and with the effect expressed in subsection (a) of this Section if (1) in case any of said Bonds are to be redeemed on any date prior to their maturity, the City shall have given to the Trustee in form satisfactory to it irrevocable instructions to mail as provided in the Indenture notice of redemption of such Bonds on said date, (2) there shall have been deposited with the Trustee either moneys in an amount which shall be sufficient, or noncallable Government Obligations (including any Government Obligations issued or held in book-entry form on the books of the Department of the Treasury of the United States of America) the principal of and the interest on which when due will provide moneys which, together with the moneys, if any, deposited with the Trustee at the same time, shall be sufficient, to pay when due the Principal or Redemption Price, if applicable, and interest due and to become due on said Bonds on and prior to the redemption date or maturity date thereof, as the case may be, and (3) in the event said Bonds are not by their terms subject to redemption within the next succeeding 60 days, the City shall have given the Trustee in form satisfactory to it irrevocable instructions to mail, first class postage prepaid, a notice to the Holders of such Bonds that the deposit required by (2) above has been made with the Trustee and that said Bonds are deemed to have been paid in accordance with this Section and stating such maturity or redemption date upon which moneys are to be available for the payment of the Principal or Redemption Price, if applicable, on said Bonds. Neither Government Obligations nor moneys deposited with the Trustee pursuant to this Section nor principal or interest payments on any such Government Obligations shall be withdrawn or used for any purpose other than, and shall be held in trust for, the payment of the Principal or Redemption Price, if applicable, and interest on said Bonds; provided that any cash received from such principal or interest payments on such Government Obligations deposited with the Trustee, if not then needed for such purpose, shall, to the extent practicable, be reinvested in Government Obligations maturing at times and in amounts sufficient to pay when due the Principal or Redemption Price, if applicable, and interest to become due on said Bonds on and prior to such redemption date or maturity date thereof, as the case may be, and interest earned from such reinvestments shall be paid over to the City, as received by the Trustee, free and clear of any trust, lien or pledge. UNCLAIMED MONEYS Anything in the Indenture to the contrary notwithstanding, any moneys held by an Agent in trust for the payment and discharge of any of the Bonds which remain unclaimed for four 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 Agent at such date, or for four years after the date of deposit of such moneys if deposited with the Agent after the said date when such Bonds become due and payable, shall, at the Written Request of the City, be repaid by the Agent to the City, as its absolute property and free from trust, and the Agent shall thereupon be released and discharged with respect thereto and the Bondholders shall look only to the City for the payment of such Bonds. C-1 APPENDIX C DEMOGRAPHIC AND ECONOMIC INFORMATION REGARDING THE CITY AND SALT LAKE COUNTY {TO BE UPDATED.} POPULATION YEAR THE CITY % INCREASE FROM PRIOR PERIOD SALT LAKE COUNTY % INCREASE FROM PRIOR PERIOD THE STATE % INCREASE FROM PRIOR PERIOD 2024 Estimate 217,783 3.91% 1,216,274 2.62% 3,503,613 7.10% 2023 Estimate 209,593 2.41% 1,185,813 (0.04)% 3,417,734 1.09 2022 Estimate 204,657 2.08 1,186,257 (0.01) 3,380,800 1.28 2021 Estimate 200,478 0.38 1,186,421 0.10 3,337,975 2.03 2020 Census 199,723 7.12 1,185,238 15.11 3,271,616 18.37 2010 Census 186,440 2.58 1,029,655 14.61 2,763,885 23.77 2000 Census 181,743 13.63 898,387 23.75 2,233,169 29.62 _________________________ (Source: U.S. Census Bureau, as revised and subject to periodic revision.) PROPERTY VALUE OF PRE-AUTHORIZED CONSTRUCTION IN THE CITY NEW ADDITIONS, ALTERATIONS AND REPAIRS TOTAL CONSTRUCTION Yea Number Dwelling Units Residential Value $000 Non- residential Value $000 Residential Value $000 Non- residential Value $000 Value $000 % Change from Prior Perio 2024* 1,223 $218,393.7 $107,165.2 $360,665.6 $994,293.9 $1,680,518.4 26.0% 2023 3,279 863,805.2 502,542.9 71,594.5 680,233.1 2,118,175.7 (15.8) 2022 2,679 518,120.9 740,274.3 51,594.8 472,957.5 1,782,947.5 12.1 2021 4,131 765,117.5 467,325.4 48,870.3 717,998.4 1,999,311.7 27.3 2020 2,282 309,034.0 418,296.0 105,562.2 620,532.8 1,453,425.0 2.6 2019 3,894 589,888.3 458,798.9 40,935.1 326,724.3 1,416,346.6 72.1 ____________________ * Through October 2024 (Source: Kem C. Gardner Policy Institute, University of Utah—Ivory-Boyer Construction Database.) SALES AND BUILDING IN SALT LAKE COUNTY SALES AND BUILDING 2024 2023 2022 2021 2020 Gross Taxable Sales (in $1,000s) $42,782,132 $41,950,608 $41,687,264 $37,173,705 $31,377,749 Local Sales and Use Tax Distribution $392,461,570 $361,431,047 $362,410,072 $319,489,062 $272,758,294 ____________________ (Source: Utah State Tax Commission.) C-2 INCOME AND WAGES IN SALT LAKE COUNTY INCOME AND WAGES 2023 2022 2021 2020 2019 Total Personal Income ($000) $85,126,342 $79,455,099 $74,207,465 $68,835,333 $64,341,937 Per Capita Income $71,787 $66,326 $62,547 $58,028 $55,446 Median Household Income Estimates $94,013 $91,713 $80,712 $77,128 $79,941 Average Monthly Nonfarm Wage $6,089 $5,812 $5,470 $5,154 $4,722 ____________________ (Source: Utah Department of Workforce Services.) BUSINESS AND INDUSTRY LOCAL OPTION SALES TAX ALLOCATION — THE CITY YEAR ENDED JUNE 30 LOCAL OPTION SALES TAXES RECEIVED % CHANGE OVER PRIOR YEAR 2024 $91,016,172* 0.84% 2023 90,254,122 4.30 2022 86,532,634 17.28 2021 73,780,199 11.18 2020 66,363,398 -- ____________________ * Source: Utah State Tax Commission. HISTORICAL CITY TAX RATES TAX RATE PURPOSE 2024 2023 2022 2021 2020 General Pur oses 0.002299 0.002456 0.002584 0.002854 0.002942 Interest & Sinking Fun 0.000365 0.000424 0.000460 0.000556 0.000583 Librar 0.000646 0.000587 0.000618 0.000652 0.000683 Tort Liabilit 0.000088 0.000095 0.000100 0.000000 0.000000 Judgment Recovery 0.000003 0.000037 0.000014 0.000014 0.000015 Total Lev 0.003401 0.003599 0.003776 0.004076 0.004223 C-3 COMPARATIVE PROPERTY TAX RATES WITHIN SALT LAKE COUNTY T AX R ATE Tax Levying Entity 2024 2023 2022 2021 2020 Alta Town 0.000990 0.001043 0.000682 0.000760 0.001260 Bluffdale Cit 0.000923 0.000976 0.001161 0.001519 0.001695 Cottonwood Hei hts Cit 0.001357 0.001422 0.001442 0.001740 0.001898 Draper Cit 0.001022 0.000896 0.000927 0.001141 0.001227 Herriman Cit 0.000187 0.000194 0.000194 0.001997 0.000280 Holladay (City of) 0.001436 0.001322 0.001330 0.001605 0.001169 Midvale Cit 0.000948 0.000892 0.000870 0.000987 0.001043 Millcreek Cit 0.001344 0.001431 0.001453 0.001699 0.001841 Murray Cit 0.001792 0.001844 0.001855 0.002026 0.002128 Riverton Cit 0.000000 0.000000 0.000000 0.000000 0.000000 Salt Lake City 0.003401 0.003012 0.003158 0.003424 0.003540 Sand Cit 0.001091 0.001057 0.000942 0.001174 0.001279 South Jordan City 0.001367 0.001425 0.001440 0.001628 0.001738 South Salt Lake Cit 0.002667 0.002381 0.002565 0.001536 0.001597 Taylorsville (City of) 0.000851 0.000731 0.000741 0.000825 0.000904 West Jordan Cit 0.001428 0.001499 0.001476 0.001788 0.001899 West Valley City 0.002586 0.002758 0.002800 0.002995 0.003263 ____________________ (Source: Property Tax Division, Utah State Tax Commission.) TAXABLE AND FAIR MARKET VALUE OF PROPERTY Excluding Fee-In-Lieu/Age Based Valuation YEAR TAXABLE VALUE % CHANGE OVER PRIOR YEAR FAIR MARKET VALUE % CHANGE OVER PRIOR YEAR 2023 $51,090,264,209 12.35% $67,444,015,248 10.09% 2022 45,473,564,309 21.32 61,263,585,394 22.93 2021 37,481,061,604 7.81 49,835,269,718 8.57 2020 34,767,046,397 10.24 45,901,481,982 10.62 2019 31,537,760,702 11.06 41,493,433,320 11.37 Including Fee-In-Lieu/Age Based Valuation YEAR TAXABLE VALUE % CHANGE OVER PRIOR YEAR FAIR MARKET VALUE % CHANGE OVER PRIOR YEAR 2023 $51,398,860,356 12.32% $67,752,611,396 10.08% 2022 45,759,266,797 21.18 61,549,287,882 20.41 2021 37,760,823,363 7.84 50,115,031,477 10.75 2020 35,017,043,338 10.02 46,151,478,923 10.45 2019 31,827,671,801 10.91 41,783,344,419 11.26 _________________________ Source: Property Tax Division, Utah State Tax Commission. C-4 HISTORICAL SUMMARIES OF TAXABLE VALUES OF PROPERTY 2023 2022 2021 2020 2019 TAXABLE VALUE % OF T.V. TAXABLE VALUE TAXABLE VALUE TAXABLE VALUE TAXABLE VALUE Set by State Tax Commission— Centrally Assessed Total centrally assessed .......... $ 1,947,387,915 3.8% $ 2,411,081,642 $ 2,419,066,942 $ 2,422,315,180 $ 2,175,533,785 Set by County Assessor—Locally ssessed Real property: Primary residential ...................... 19,985,359,626 38.9 19,296,323,875 15,096,889,577 13,605,944,285 12,165,153,807 Secondary residential .................. 310,602,750 0.6 324,325,220 253,010,810 233,713,080 205,015,920 Commercial and industrial .......... 24,149,057,180 47.0 19,788,465,340 16,263,210,490 15,289,711,240 13,909,955,600 Unimproved Non-FAA-Vacant .. 317,360 0.0 331,330 2,662,640 2,529,190 2,252,380 Agricultural ................................. 170,830 0.0 179,140 179,140 157,940 80,200 Total real property ..................... 44,445,507,746 86.5 39,409,625,805 31,615,952,657 29,132,055,735 26,282,457,907 Personal property: Primary mobile homes ................ 2,558,311 0.0 2,590,784 2,698,118 2,810,319 2,890,504 Secondary mobile homes ............ 8,809,921 0.0 8,641,732 6,997,215 7,231,872 7,231,515 Other business personal property 4,685,935,076 9.1 3,641,551,973 3,436,311,697 3,201,589,833 3,068,613,703 SCME (1) ...................................... 65,240 0.0 72,373 34,975 1,043,458 1,033,288 Total personal property ............. 4,697,368,548 9.1 3,652,856,862 3,446,042,005 3,212,675,482 3,079,769,010 Fee in lieu/age based property (2) ..... 308,596,147 0.6 285,702,488 279,761,759 249,996,942 289,911,099 Total locally assessed ................ 49,451,472,441 96.2 43,348,185,155 35,341,756,421 32,594,728,158 29,652,138,016 Total taxable value .................... 51,398,860,356 100.0 $45,759,266,797 $37,760,823,363 $35,017,043,338 $31,827,671,801 Total taxable value (less fee in lieu/age based property) .. $51,090,264,209 99.4% $45,473,564,309 $37,481,061,604 $34,767,046,397 $31,537,760,702 _________________________ (1) Semiconductor Manufacturing Equipment. (2) See “FINANCIAL INFORMATION REGARDING SALT LAKE CITY, UTAH — Property Tax Matters.” (Source: Property Tax Division, Utah State Tax Commission.) TAX COLLECTION RECORD FISCAL YEAR TOTAL TAX LEVY FOR COLLECTED WITHIN THE FISCAL YEAR OF THE LEVY(1) COLLECTION IN SUBSEQUENT TOTAL COLLECTIONS TO DATE ENDED JUNE 30 FISCAL YEAR ($000) AMOUNT ($000) PERCENTAGE OF LEVY YEARS ($000) AMOUNT ($000) PERCENTAGE OF LEVY 2024 $154,968 $151,900 98.02% $1,753 $153,654 99.15% 2023 144,867 141,598 97.74 2,804 144,402 99.68 2022 129,171 126,400 97.85 2,592 128,992 99.86 2021 124,272 121,630 97.87 2,593 124,222 99.96 2020 122,801 120,693 98.28 2,088 122,781 99.98 2019 113,989 111,402 97.73 2,466 113,867 99.89 _________________________ * Amounts expressed in thousands. (1) Property taxes are assessed January 1 and due by November 30. Payments are not considered delinquent until after November 30. C-5 RATE OF UNEMPLOYMENT — ANNUAL AVERAGE YEAR SALT LAKE COUNTY THE STATE UNITED STATES 2024 3.2% 3.3% 4.1% 2023 2.7 2.6 3.8 2022 2.4 2.4 3.5 2021 2.8 2.7 5.3 2020 5.1 4.7 8.1 ____________________ LABOR MARKET DATA OF SALT LAKE COUNTY 2024 2023 2022 2021 2020 Civilian Labor Force 693,444 693,701 678,077 683,817 642,357 Employed 671,267 675,303 662,608 635,656 609,766 Unemployed 22,177 18,398 15,468 18,161 32,591 Total private sector (average) 695,039 691,570 678,514 647,118 616,236 Agriculture, forestry, fishing and hunting 571 600 505 433 350 Mining 3,476 3,418 3,101 2,711 2,704 Utilities 1,460 1,425 1,406 1,331 1,422 Construction 54,868 53,863 52,027 49,157 45,874 Manufacturing 60,976 61,937 61,232 58,412 56,542 Wholesale trade 40,141 38,401 36,865 34,826 33,576 Retail trade 72,702 73,491 75,406 75,543 71,584 Transportation and warehousing 43,588 43,769 41,708 39,748 38,483 Information 23,085 23,953 24,250 21,275 20,175 Finance and insurance 51,115 50,456 50,915 51,178 49,823 Real estate and rental and leasing 12,889 12,594 12,329 11,964 11,559 Professional scientific & technical services 75,844 75,832 73,775 67,599 62,121 Management of companies and enterprises 16,896 16,777 16,336 16,041 16,543 Admin., support, waste mgmt., remediation 49,860 51,158 52,343 50,571 50,310 Education services 17,330 17,195 17,330 17,016 15,645 Health care and social assistance 78,178 76,103 72,299 70,187 67,650 Arts, entertainment, and recreation 11,837 10,932 10,133 8,609 7,150 Accommodation and food services 57,269 56,740 53,964 48,396 44,593 Other services 22,906 22,807 22,509 22,040 20,469 Unclassified establishments 48 60 80 82 17 Total public sector (average) 112,178 108,728 105,017 103,006 103,548 Federal 11,906 11,434 11,154q 11,444 11,689 State 53,094 50,727 48,847 47,882 48,830 Local 48,003 46,568 45,016 43,679 43,029 Total payroll (in millions) $62,019 $58,443 $54,649 $49,206 $44,452 Average monthly wage $6,396 $6,086 $5,812 $5,467 $5,146 Average employment 808,038 800,299 783,531 750,123 719,784 Establishments 67,102 65,056 69,744 62,346 50,584 ____________________ C-6 MAJOR EMPLOYERS IN SALT LAKE COUNTY The following is a list of some of the largest employers in Salt Lake County. RANK COMPANY INDUSTRY ANNUAL AVERAGE EMPLOYMENT 1 University Of Utah Higher Education 20000+ 2 Intermountain Health Care Health Care 15,000-19,999 3 State Of Utah State Government 15,000-19,999 4 Granite School District Public Education 10,000-14,999 5 Wal-Mart Associates Warehouse Clubs and Supercenters 10,000-14,999 6 Jordan School District Public Education 7,000-9,999 7 Smiths Food and Drug Grocery Stores 7,000-9,999 8 Zions Bancorporation, N.A. Financial Services 7,000-9,999 9 United Parcel Service Couriers 5,000-6,999 10 Salt Lake County Local Government 5,000-6,999 11 U.S. Postal Service Postal Service 5,000-6,999 12 Amazon Couriers 5,000-6,999 13 Delta Air Lines Air Transportation 5,000-6,999 14 The Canyons School District Public Education 5,000-6,999 15 ARUP Laboratories Medical Laboratories 4,000-4.999 16 Department Of Veterans Affairs Health Care 3,000-3,999 17 Salt Lake City Local Government 3,000-3,999 18 Biofire Diagnostics LLC Medical Research 3,000-3,999 19 Salt Lake City School District Public Education 3,000-3,999 20 Discover Products Financial Services 2,000-2,999 21 L3 Technologies Manufacturing 2,000-2,999 22 Salt Lake Community College Higher Education 2,000-2,999 23 SkyWest Airlines Air Transportation 2,000-2,999 24 Costco Wholesale Warehouse Clubs and Supercenters 2,000-2,999 25 Harmons Grocery Stores 2,000-2,999 26 Utah Transit Authority Public Transportation 2,000-2,999 27 Kennecott Utah Copper Mining 2,000-2,999 28 Wells Fargo Bank Financial Services 2,000-2,999 29 Department of Defense Federal Government 2,000-2,999 _____________________ (Source: Utah Department of Workforce Services. As of October 2023.) D-1 APPENDIX D PROPOSED FORM OF OPINION OF BOND COUNSEL Upon the delivery of the Bonds, Chapman and Cutler LLP, Bond Counsel, proposes to issue their final approving opinion in substantially the following form: [To come.] E-1 APPENDIX E PROVISIONS REGARDING BOOK-ENTRY ONLY SYSTEM DTC will act as securities depository for the Series 202_ [Bonds][Notes]. The Series 202_ [Bonds][Notes] 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 certificate will be issued for each maturity of the Series 202_ [Bonds][Notes], each in the aggregate principal amount of such maturity, and will be deposited with DTC. DTC, the world’s largest 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 U.S. 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 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 Series 202_ [Bonds][Notes] under the DTC system must be made by or through Direct Participants, which will receive a credit for the Series 202_ [Bonds][Notes] 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 Series 202_ [Bonds][Notes] are to be accomplished by entries made on the books of Direct and Indirect Participants acting on behalf of Beneficial Owners. Beneficial Owners will not receive certificates representing their ownership interests in Series 202_ [Bonds][Notes], except in the event that use of the book-entry system for the Series 202_ [Bonds][Notes] is discontinued. E-2 To facilitate subsequent transfers, all Series 202_ [Bonds][Notes] 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 Series 202_ [Bonds][Notes] with DTC and their registration in the name of Cede & Co. or such other nominee do not effect any change in beneficial ownership. DTC has no knowledge of the actual Beneficial Owners of the Series 202_ [Bonds][Notes]; DTC’s records reflect only the identity of the Direct Participants to whose accounts such Series 202_ [Bonds][Notes] 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 Series 202_ [Bonds][Notes] may wish to take certain steps to augment the transmission to them of notices of significant events with respect to the Series 202_ [Bonds][Notes], such as redemptions, tenders, defaults, and proposed amendments to the Bond documents. For example, Beneficial Owners of Series 202_ [Bonds][Notes] may wish to ascertain that the nominee holding the Series 202_ [Bonds][Notes] 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. Redemption notices shall be sent to DTC. If less than all of the Series 202_ [Bonds][Notes] are being redeemed, DTC’s practice is to determine by lot the amount of the interest of each Direct Participant in such issue to be redeemed. Neither DTC nor Cede & Co. (nor any other DTC nominee) will consent or vote with respect to Series 202_ [Bonds][Notes] unless authorized by a Direct Participant in accordance with DTC’s MMI Procedures. Under its usual procedures, DTC mails an Omnibus Proxy to the City 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 Series 202_ [Bonds][Notes] are credited on the record date (identified in a listing attached to the Omnibus Proxy). Redemption proceeds, distributions, and dividend payments on the Series 202_ [Bonds][Notes] 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 City or the Paying Agent, 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 Paying Agent, or the City, subject to any statutory or regulatory requirements as may be in effect from time to time. Payment of redemption proceeds, distributions, and interest payments to Cede & Co. (or such other nominee as may be requested by an authorized representative of DTC) is the responsibility of the City or the Paying Agent, disbursement of such payments to Direct E-3 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. DTC may discontinue providing its services as depository with respect to the Series 202_ [Bonds][Notes] at any time by giving reasonable notice to the City or the Paying Agent. Under such circumstances, in the event that a successor depository is not obtained, certificates are required to be printed and delivered. The City may decide to discontinue use of the system of book-entry-only transfers through DTC (or a successor securities depository). In that event, certificates will be printed and delivered to DTC. The information in this section concerning DTC and DTC’s book-entry system has been obtained from sources that the City believes to be reliable, but the City takes no responsibility for the accuracy thereof. F-1 APPENDIX F PROPOSED FORM OF CONTINUING DISCLOSURE UNDERTAKING CONTINUING DISCLOSURE AGREEMENT FOR THE PURPOSE OF PROVIDING CONTINUING DISCLOSURE INFORMATION UNDER PARAGRAPH (b)(5) OF RULE 15c2-12 [DATED THE CLOSING DATE] This Continuing Disclosure Undertaking (the or this “Agreement”), by Salt Lake City, Utah (the “City”), is executed in connection with the issuance by the City of its $__________ Public Utilities Revenue __________, Series 202_ (the “Series 202_ [Bonds][Notes]”). The Series 202_ [Bonds][Notes] are being issued pursuant to (i) the [Local Government Bonding Act, Title 11, Chapter 14][Utah Refunding Bond Act, Title 11, Chapter 27], Utah Code Annotated 1953, as amended; (ii) a resolution adopted by the City Council of the City on _________, 2025, which provides for the issuance and sale of the Series 202_ [Bonds][Notes]; and (iii) a Master Trust Indenture, dated as of January 1, 2004, as heretofore amended and supplemented, and as further amended and supplemented by a __________ Supplemental Trust Indenture, dated as of __________ 1, 202_(collectively, the “Indenture”), each between the City and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the “Trustee”). In consideration of the issuance of the Series 202_ [Bonds][Notes] by the City and the purchase of such Series 202_ [Bonds][Notes] by the beneficial owners thereof, the City covenants and agrees as follows: 1. PURPOSE OF THIS AGREEMENT. This Agreement is executed and delivered by the City as of the date set forth below, for the benefit of the beneficial owners of the Series 202_ [Bonds][Notes] and in order to assist the Participating Underwriter in complying with the requirements of the Rule (defined below). The City represents that it will be the only obligated person with respect to the Series 202_ [Bonds][Notes] at the time the Series 202_ [Bonds][Notes] are delivered to the Participating Underwriter and that no other person is expected to become so committed at any time after issuance of the Series 202_ [Bonds][Notes]. 2. DEFINITIONS. The terms set forth below shall have the following meanings in this Agreement, unless the context clearly otherwise requires. “Annual Financial Information” means the financial information and operating data described in Exhibit I. “Annual Financial Information Disclosure” means the dissemination of disclosure concerning Annual Financial Information and the dissemination of the Audited Financial Statements as set forth in Section 4. F-2 “Audited Financial Statements” means (1) the annual financial statements of the City’s Water, Sewer, Stormwater, and Street Lighting Utilities (the “System”) and (2) the audited financial statements of the City prepared pursuant to the standards and as described in Exhibit I. “Commission” means the Securities and Exchange Commission. “Dissemination Agent” means any agent designated as such in writing by the City and which has filed with the City a written acceptance of such designation, and such agent’s successors and assigns. “EMMA” means the MSRB through its Electronic Municipal Market Access system for municipal securities disclosure or through any other electronic format or system prescribed by the MSRB for purposes of the Rule. “Exchange Act” means the Securities Exchange Act of 1934, as amended. “Financial Obligation” means (a) a debt obligation, (b) a 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) a guarantee of (a) or (b) in this definition; provided however, the term Financial Obligation shall not include municipal securities as to which a final official statement has been provided to the MSRB consistent with the Rule. “MSRB” means the Municipal Securities Rulemaking Board. “Participating Underwriter” means each broker, dealer or municipal securities dealer acting as an underwriter in the primary offering of the Series 202_ [Bonds][Notes]. “Reportable Event” means the occurrence of any of the Events with respect to a series of the Series 202_ [Bonds][Notes] set forth in Exhibit II. “Reportable Events Disclosure” means dissemination of a notice of a Reportable Event as set forth in Section 5. “Rule” means Rule 15c2-12 adopted by the Commission under the Exchange Act, as the same may be amended from time to time. “State” means the State of Utah. “Undertaking” means the obligations of the City pursuant to Sections 4 and 5. 3. CUSIP NUMBER/FINAL OFFICIAL STATEMENT. The CUSIP Numbers of the Series 202_ [Bonds][Notes] are as follows: F-3 YEAR OF MATURITY (FEBRUARY 1) CUSIP NUMBER YEAR OF MATURITY (FEBRUARY 1) CUSIP NUMBER The Final Official Statement relating to the Series 202_ [Bonds][Notes] is dated __________, 202_ (the “Final Official Statement”). 4. ANNUAL FINANCIAL INFORMATION DISCLOSURE. Subject to Section 8 of this Agreement, the City hereby covenants that it will disseminate its Annual Financial Information and its Audited Financial Statements (in the form and by the dates set forth in Exhibit I) to EMMA in such manner and format and accompanied by identifying information as is prescribed by the MSRB or the Commission at the time of delivery of such information and by such time so that such entities receive the information by the dates specified. MSRB Rule G-32 requires all EMMA filings to be in word-searchable PDF format. This requirement extends to all documents to be filed with EMMA, including financial statements and other externally prepared reports. If any part of the Annual Financial Information can no longer be generated because the operations to which it is related have been materially changed or discontinued, the City will disseminate a statement to such effect as part of its Annual Financial Information for the year in which such event first occurs. If any amendment or waiver is made to this Agreement, the Annual Financial Information for the year in which such amendment or waiver is made (or in any notice or supplement provided to EMMA) shall contain a narrative description of the reasons for such amendment or waiver and its impact on the type of information being provided. 5. REPORTABLE EVENTS DISCLOSURE. Subject to Section 8 of this Agreement, the City hereby covenants that it will disseminate in a timely manner (not in excess of ten business days after the occurrence of the Reportable Event) Reportable Events Disclosure with respect to the applicable series of the Series 202_ [Bonds][Notes] to EMMA in such manner and format and accompanied by identifying information as is prescribed by the MSRB or the Commission at the time of delivery of such information. MSRB Rule G-32 requires all EMMA filings to be in word- searchable PDF format. This requirement extends to all documents to be filed with EMMA, including financial statements and other externally prepared reports. Notwithstanding the foregoing, notice of optional or unscheduled redemption of any Series 202_ [Bonds][Notes] or defeasance of any Series 202_ [Bonds][Notes] need not be given under this Agreement any earlier F-4 than the notice (if any) of such redemption or defeasance is given to the Bondholders pursuant to the Indenture. 6. CONSEQUENCES OF FAILURE OF THE CITY TO PROVIDE INFORMATION. The City shall give notice in a timely manner to EMMA of any failure to provide Annual Financial Information Disclosure when the same is due hereunder. In the event of a failure of the City to comply with any provision of this Agreement, the beneficial owner of any Series 202_ [Bond][Note] may seek mandamus or specific performance by court order, to cause the City to comply with its obligations under this Agreement. The beneficial owners of 25% or more in principal amount of the applicable series of the Series 202_ [Bonds][Notes] outstanding may challenge the adequacy of the information provided under this Agreement and seek specific performance by court order to cause the City to provide the information as required by this Agreement. A default under this Agreement shall not be deemed a default under the Indenture, and the sole remedy under this Agreement in the event of any failure of the City to comply with this Agreement shall be an action to compel performance. 7. AMENDMENTS; WAIVER. Notwithstanding any other provision of this Agreement, the City by resolution or ordinance authorizing such amendment or waiver, may amend this Agreement, and any provision of this Agreement may be waived, if: (a) (i) the amendment or waiver is made in connection with a change in circumstances that arises from a change in legal requirements, including without limitation, pursuant to a “no-action” letter issued by the Commission, a change in law, or a change in the identity, nature, or status of the City, or type of business conducted; or (ii) this Agreement, as amended, or the provision, as waived, would have complied with the requirements of the Rule at the time of the primary offering, after taking into account any amendments or interpretations of the Rule, as well as any change in circumstances; and (b) the amendment or waiver does not materially impair the interests of the beneficial owners of the Series 202_ [Bonds][Notes], as determined by parties unaffiliated with the City (such as bond counsel). In the event that the Commission or the MSRB or other regulatory authority shall approve or require Annual Financial Information Disclosure or Reportable Events Disclosure to be made to a central post office, governmental agency or similar entity other than EMMA or in lieu of EMMA, the City shall, if required, make such dissemination to such central post office, governmental agency or similar entity without the necessity of amending this Agreement. 8. TERMINATION OF UNDERTAKING. The Undertaking of the City with respect to the Series 202_ [Bonds][Notes] shall be terminated hereunder if the City shall no longer have any legal liability for any obligation on or relating to repayment of the applicable Series 202_ [Bonds][Notes] under the Indenture. The City shall give notice in a timely manner if this Section is applicable. F-5 9. DISSEMINATION AGENT. The City may, from time to time, appoint or engage a Dissemination Agent to assist it in carrying out its obligations under this Agreement, and may discharge any such Dissemination Agent, with or without appointing a successor Dissemination Agent. 10. ADDITIONAL INFORMATION. Nothing in this Agreement shall be deemed to prevent the City from disseminating any other information, using the means of dissemination set forth in this Agreement or any other means of communication, or including any other information in any Annual Financial Information Disclosure or notice of occurrence of a Reportable Event, in addition to that which is required by this Agreement. If the City chooses to include any information from any document or notice of occurrence of a Reportable Event in addition to that which is specifically required by this Agreement, the City shall have no obligation under this Agreement to update such information or include it in any future disclosure or notice of occurrence of a Reportable Event. 11. BENEFICIARIES. This Agreement has been executed in order to assist the Participating Underwriter in complying with the Rule; however, this Agreement shall inure solely to the benefit of the City, the Dissemination Agent, if any, and the beneficial owners of the Series 202_ [Bonds][Notes], and shall create no rights in any other person or entity. 12. RECORDKEEPING. The City shall maintain records of all Annual Financial Information Disclosure and Reportable Events Disclosure, including the content of such disclosure, the names of the entities with whom such disclosure was filed and the date of filing such disclosure. 13. ASSIGNMENT. The City shall not transfer its obligations under the Indenture unless the transferee agrees to assume all obligations of the City under this Agreement or to execute an Undertaking under the Rule. 14. GOVERNING LAW. This Agreement shall be governed by the laws of the State. F-6 DATED as of the day and year first above written. SALT LAKE CITY, UTAH By ____________________________________ Mayor Address: 451 South State Street Salt Lake City, Utah 84111 ATTEST AND COUNTERSIGN: _________________________________ City Recorder [SEAL] APPROVED AS TO FORM: By ____________________________________ Senior City Attorney F-7 EXHIBIT I ANNUAL FINANCIAL INFORMATION AND TIMING AND AUDITED FINANCIAL STATEMENTS “Annual Financial Information” means financial information and operating data of the type contained in the Official Statement under the following captions: “THE SYSTEM—Five-Year Summary of Water Deliveries,” “—City Water Consumption,” “—Water Rates,” “—Sewer Rates,” “—Stormwater Rates,” and “HISTORICAL AND PROJECTED SUMMARY OF THE DEPARTMENT’S REVENUES AND EXPENSES (as the same become historically available),” exclusive of Audited Financial Statements. All or a portion of the Annual Financial Information may be provided from the City’s Comprehensive Annual Financial Report or the Audited Financial Statements. All or a portion of the Annual Financial Information and the Audited Financial Statements as set forth below may be included by reference to other documents which have been submitted to EMMA or filed with the Commission. If the information included by reference is contained in a Final Official Statement, the Final Official Statement must be available on EMMA; the Final Official Statement need not be available from the Commission. The City shall clearly identify each such item of information included by reference. Annual Financial Information exclusive of Audited Financial Statements will be provided to EMMA, within 210 days after the last day of the City’s fiscal year, beginning with the fiscal year ending June 30, 202[5]. Audited Financial Statements as described below should be filed at the same time as the Annual Financial Information. If Audited Financial Statements are not available when the Annual Financial Information is filed, unaudited financial statements shall be included. Audited Financial Statements will be prepared pursuant to generally accepted accounting principles applicable to governmental units in general and Utah cities in particular. Audited Financial Statements will be provided to EMMA within 30 days after availability to City. If any change is made to the Annual Financial Information as permitted by Section 4 of the Agreement, the City will disseminate a notice of such change as required by Section 4. F-8 EXHIBIT II EVENTS WITH RESPECT TO THE SERIES 202_ [BONDS][NOTES] FOR WHICH MATERIAL EVENTS DISCLOSURE IS REQUIRED 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 security, or other material events affecting the tax status of the security 7. Modifications to the rights of security holders, if material 8. [Bond][Note] calls, if material, and tender offers 9. Defeasances 10. Release, substitution or sale of property securing repayment of the securities, if material 11. Rating changes 12. Bankruptcy, insolvency, receivership or similar event of the City 13. The consummation of a merger, consolidation, or acquisition involving the City or the sale of all or substantially all of the assets of the City, other than in the ordinary course of business, the entry into a definitive agreement to undertake such an action or the termination of a definitive agreement 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 the City, if material, or agreement to covenants, events of default, remedies, priority rights, or other similar terms of a Financial Obligation of the City, any of which affect security holders, if material 16. Default, event of acceleration, termination event, modification of terms, or other similar events under the terms of a Financial Obligation of the City, any of which reflect financial difficulties  This event is considered to occur when any of the following occur: the appointment of a receiver, fiscal agent or similar officer for the City 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 City, or if such jurisdiction has been assumed by leaving the existing governing body and officials or officers in possession but subject to the 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 City. This page has intentionally been left blank Calendar of Noting Events $50,000,000* Salt Lake City, Utah Public Utilities Bond Anticipation Notes, Series 2025B S M T W T F S S M T W T F S S M T W T F S S M T W T F S1234512123456123467891011123456789789101112135678910111314151617181910111213141516141516171819201213141516171820212223242526171819202122232122232425262719202122232425272829303124252627282930282930262728293031 City AttorneyCity Council - Salt Lake CityCity OfficialsCity Recorder's OfficeCity Treasurer's OfficeMunicipal Advisor - Stifel, Nicolaus & Company, Inc.MayorNewspaper -The Salt Lake TribuneNote/ Disclosure Counsel - Chapman and Cutler LLPPU:Public Utilities OfficeTrustee - US Bank October 15 October 10 Due date for bids from bank purchasers.October 9 Distribute bid packet / Request for Bids to bank purchasers.September 23 October 8 Public Utilities and Municipal Advisor review Bids via Conference call. Award bid to bank purchaser. Sept. 16-17 FOMC Meeting - September 2 September 7 Regular City Council Meeting: Note transaction briefing and Council adopts Parameters Resolution.CC, PU, MA September 1 Market Holiday: Labor Day.- MA, PU Final Publication of Notice of Bonds to Be Issued (begin 30-day contest period)CR, NC July 4 Market Holiday: 4th of July - August 12 Council Transmittal Packets (including Form of Parameters Resolution and Reimbursement Resolution) due to Mayor's Office for September 2 briefing and adoption of Parameters Resolution.PU, NC July 29 Parameters Resolution (includes refunding).NC July 29-30 FOMC Meeting - STATUS PARTICIPANTSDATEEVENT JULY AUGUST SEPTEMBER OCTOBER Week of Oct. 20 October 28 End of 30-day contest period. Execution of Note Purchase Agreement. Distribution of closing documents. Distribution of closing memo. Documents signed by Mayor. Note Closing. 9:30 AM via conference call. October 14 MA M ALL HANDS - NC M (or designee), P, NC MA PU, CT, MA PU, MA *Preliminary; Subject to Change $50,000,000* Salt Lake City, Utah ISSUER - SALT LAKE CITY CORPORATION MUNICIPAL ADVISOR (801) 483-6741 (385) 799-7233 E-mail: laura.briefer@slc.gov E-mail: crandallj@stifel.com (801) 483-6864 (385) 799-7232 E-mail: jesse.stewart@slc.gov E-mail: reade@stifel.com (801) 483-6888 Chapman and Cutler LLP E-mail: jason.brown@slc.gov Ryan Bjerke (801) 536-1426 E-mail: bjerke@chapman.com (801) 483-6755 E-mail: lisa.tarufelli@slc.gov (801) 536-1467 E-mail: orullian@chapman.com (801) 535-7633 TRUSTEE E-mail: mark.kittrell@slc.gov (801) 534-6083 (510) 847-0986 E-mail: laurel.bailey@usbank.com E-mail: sara.montoya@slc.gov (801) 535-7684 E-mail: carly.castle@slc.gov (801) 456-5456 E-mail: pskeen@eidebailly.com (801) 535-6565 TBD E-mail: marina.scott@slc.gov (801) 535-6468 E-mail: jared.jenkins@slc.gov Gaby Ewell, Cash & Investment Manager PURCHASER'S COUNSEL (801) 535-6020 TBD E-mail: gaby.ewell@slc.gov (801) 535-6093 UNDERWRITERS' COUNSEL , City Recorder (801) 535-6223 E-mail: keith.reynolds@slc.gov Thais Stewart, Deputy City Recorder Distribution List This page has intentionally been left blank Calendar of Bonding Events $44,310,000* Salt Lake City, Utah Public Utilities Revenue Refunding Bonds, Series 2025C S M T W T F S S M T W T F S S M T W T F S S M T W T F S S M T W T F S12345121234561234167891011123456789789101112135678910112345678131415161718191011121314151614151617181920121314151617189101112131415202122232425261718192021222321222324252627192021222324251617181920212227282930312425262728293028293026272829303123242526272829 Bond/ Disclosure Counsel - Chapman and Cutler LLPCity Attorney: (Mark Kittrell and Sara Montoya)City Council - Salt Lake CityCity OfficialsCity Recorder's OfficeCity Treasurer's OfficeMunicipal Advisor - Stifel, Nicolaus & Company, Inc.MayorNewspaper -The Salt Lake TribunePU:Public Utilities OfficeTrustee - US BankUnderwriters - TBDUnderwriter's Counsel - TBD PU, CO, CT, MA, UW PU, CO, CT, MA - PU, CO, CT, MA PU, MA UW Oct. 28-29 FOMC Meeting - PU, CO, CT, MA, UW UWOctober 28 Receive final ratings.October 27 Bond Counsel distributes next draft of the Indenture and Preliminary Official Statement.September 2 Sept. 16-17 FOMC Meeting Rating Zoom with S&P. September 30 Underwriting Proposals due. October 8 End of 30-day contest period. Final Preliminary Official Statement and Investor Presentation released to market. Pre-Pricing Conference Call or Zoom. Pricing: Bonds marketed to investors. Execution of Bond Purchase Agreement. Distribution of closing documents. Distribution of closing memo. Documents signed by Mayor. November 3 November 4 MA M PU, CO, CT, MA, UW ALL HANDS STATUS PARTICIPANTS AUGUST SEPTEMBER OCTOBER NOVEMBERJULY November 7 October 9 All final comments due on financing documents. July 30 UW BC CC, PU, MA PU, CO, CT, MARating Zoom with Moody's. Due Diligence and Document Review Call PU, CT, MA Notify underwriter of selection. DATE EVENT September 1 Market Holiday: Labor Day. - November 27 Market Holiday: Thanksgiving.- BC - August 12 PU, NC September 7 Final Publication of Notice of Bonds to Be Issued (begin 30-day contest period)CR, NC September 22 Send out Underwriter RFP.MA October 3 Public Utilities and Municipal Advisor review Proposals via Conference Call. 13 *Preliminary; Subject to Change DRAFT This page has intentionally been left blank Draft 8/12/25 SLC PU BAN Resolution v2_SMM (Signed) 10000134/RDB/mo Resolution No. __________ A RESOLUTION OF THE CITY COUNCIL OF SALT LAKE CITY, UTAH, AUTHORIZING THE ISSUANCE AND SALE OF NOT MORE THAN $50,000,000 AGGREGATE PRINCIPAL AMOUNT OF PUBLIC UTILITIES REVENUE BOND ANTICIPATION NOTES AND $50,000,000 AGGREGATE PRINCIPAL AMOUNT OF PUBLIC UTILITIES REVENUE REFUNDING BONDS; FIXING THE MAXIMUM AGGREGATE PRINCIPAL AMOUNT OF SUCH OBLIGATIONS, THE MAXIMUM NUMBER OF YEARS OVER WHICH SUCH OBLIGATIONS MAY MATURE, THE MAXIMUM INTEREST RATE WHICH SUCH OBLIGATIONS MAY BEAR, AND THE MAXIMUM DISCOUNT FROM PAR AT WHICH SUCH OBLIGATIONS MAY BE SOLD; PROVIDING FOR THE PUBLICATION OF A NOTICE OF NOTES AND BONDS TO BE ISSUED; PROVIDING FOR THE RUNNING OF A CONTEST PERIOD; AUTHORIZING THE EXECUTION BY THE ISSUER OF A SUPPLEMENTAL INDENTURE, A BOND PURCHASE CONTRACT, AND OTHER DOCUMENTS REQUIRED IN CONNECTION THEREWITH; APPROVING AN OFFICIAL STATEMENT; AUTHORIZING THE TAKING OF ALL OTHER ACTIONS NECESSARY TO THE CONSUMMATION OF THE TRANSACTIONS CONTEMPLATED BY THIS RESOLUTION; AND RELATED MATTERS. WHEREAS, pursuant to the provisions of the Local Government Bonding Act, Title 11, Chapter 14, Utah Code Annotated 1953, as amended (the “Bond Act”), and the Utah Refunding Bond Act, Title 11, Chapter 27, Utah Code Annotated 1953, as amended (the “Refunding Act” and, collectively with the Bond Act, the “Acts”), Salt Lake City, Utah (the “Issuer’“), is authorized to issue public utilities revenue bond anticipation notes and revenue refunding bonds payable from the net revenues of its existing water, sewer, storm drain and street lighting systems (collectively, the “System”) for the municipal purposes set forth therein; WHEREAS, subject to the limitations set forth herein, the City Council of the Issuer (the “Council”) desires to authorize the issuance of the Issuer’s (a) Public Utilities Revenue Bond Anticipation Notes (to be issued in one or more series and with such other series or title designation(s) as may be determined by the Issuer) (the “Notes”) to (i) finance the acquisition, construction, remodeling and improvement of a campus for the Salt Lake City Department of Public Utilities (the “Project”) and (ii) pay costs of issuance of the Notes, and (b) Public Utilities Revenue Refunding Bonds (to be issued in one or more series and with such other series or title designation(s) as may be determined by the Issuer) (the “Bonds” and, collectively with the Notes, the “Obligations”) to (i) refund in advance of their maturity all or a portion of the City’s currently outstanding Public Utilities Revenue and Refunding Bonds, Series 2017 (the “Refunded Bonds”) and (ii) pay costs of issuance of the Bonds, in each case pursuant to this Resolution, the Bond Act, a Master Trust Indenture, dated as of January 1, 2004; as heretofore amended and supplemented (the “Master Indenture”), between the Issuer and U.S. Bank Trust Company, National Association (formerly known as U.S. Bank National Association), as trustee (the “Trustee’’), and one or more Supplemental Trust Indentures to be entered into between the Issuer and the Trustee (the “Supplemental Indenture” and collectively with the Master Indenture, the “Indenture”), in - 2 - Bond Resolution 9-2-25 substantially the form presented to the meeting at which this Resolution was adopted and which is attached hereto as Exhibit A; WHEREAS, the Acts provide that prior to issuing bonds or notes, an issuing entity must give notice of its intent to issue such bonds or notes; WHEREAS, the Council desires to approve and authorize the execution of one or more Bond Purchase Contracts (the “Bond Purchase Contract”), to be entered into between the Issuer and the underwriter(s) or the purchaser(s) selected by the Issuer for the Obligations (the “Underwriter/Purchaser”), in substantially the form attached hereto as Exhibit B; WHEREAS, in the event that the Designated Officers (defined below) determine that it is in the best interests of the Issuer to publicly offer the either of the Obligations, the Issuer desires to authorize the use and distribution of a Preliminary Official Statement (the “Preliminary Official Statement”), and to approve a final Official Statement (the “Official Statement”) in substantially the form attached hereto as Exhibit C, and other documents relating thereto; and WHEREAS, in order to allow the Issuer, in consultation with the Issuer’s Municipal Advisor, Stifel, Nicolaus & Company, Incorporated (the “Municipal Advisor”) flexibility in determining the method of sale and in setting the pricing date of the Obligations, the Council desires to grant to (a) the (i) Mayor of the Issuer; or (ii) in the event of the absence or incapacity of the Mayor, the Mayor’s Chief of Staff; or (iii) in the event of the absence or incapacity of both the Mayor and the Mayor’s Chief of Staff, the City Treasurer; or (iv) in the event of the absence or incapacity of the Mayor, the Mayor’s Chief of Staff and the City Treasurer, the Deputy Treasurer of the Issuer and (b) (i) the Chair of the Council; or (ii) in the event of the absence or incapacity of the Chair of the Council, the Vice Chair of the Council; or (iii) in the event of the absence or incapacity of both the Chair and Vice Chair of the Council, any other member of the Council (collectively, the “Designated Officers”), the authority to select the Underwriter/Purchaser, to approve the final interest rates, principal amounts, terms, maturities, redemption features, and purchase price at which the Obligations shall be sold, to determine whether the Obligations should be sold and the method of sale, and to make any changes with respect thereto from those terms which were before the Council at the time of adoption of this Resolution, provided such terms do not exceed the parameters set forth for such terms in this Resolution (the “Parameters”); NOW, THEREFORE, it is hereby resolved by the City Council of Salt Lake City, Utah, as follows: Section 1. (a) For the purpose of financing the Project and paying costs of issuance of the Notes, the Council hereby authorizes the issuance of the Issuer’s Notes which shall be designated “Salt Lake City, Utah Public Utilities Revenue Bond Anticipation Notes, Series 2025B” (to be issued from time to time as one or more series and with such other series or title designation(s) as may be determined by the Issuer) in the initial aggregate principal amount of not to exceed $50,000,000. The Notes shall mature in not more than ten (10) years from their date or dates, shall be sold at a price not less than ninety-eight percent (98%) of the total principal amount thereof, shall bear interest at a rate or rates not to exceed six percent (6.00%) per annum, and may be non-callable or subject to redemption, all as shall be approved by the Designated - 3 - Bond Resolution 9-2-25 Officers in consultation with the Issuer’s Municipal Advisor, all within the Parameters set forth herein. The Notes are being issued in anticipation of future Public Utilities Revenue Bonds that will be issued to pay off the Notes and provide long-term financing for the Project and/or other financial sources. (b) For the purpose of refunding the Refunded Bonds and paying costs of issuance of the Bonds, the Council hereby authorizes the issuance of the Issuer’s Bonds which shall be designated “Salt Lake City, Utah Public Utilities Revenue Refunding Bonds, Series 2025C” (to be issued from time to time as one or more series and with such other series or title designation(s) as may be determined by the Issuer) in the initial aggregate principal amount of not to exceed $50,000,000. The Bonds shall mature in not more than fifteen (15) years from their date or dates, shall be sold at a price not less than ninety-eight percent (98%) of the total principal amount thereof, shall bear interest at a rate or rates not to exceed six percent (6.00%) per annum, and may be non-callable or subject to redemption, all as shall be approved by the Designated Officers in consultation with the Issuer’s Municipal Advisor, all within the Parameters set forth herein. Section 2. The Supplemental Indenture and the Bond Purchase Contract, in substantially the forms presented at this meeting and attached hereto as Exhibits A and B respectively, are hereby authorized, approved, and confirmed. The Mayor or the Mayor’s Chief of Staff as the Mayor’s designee (collectively referred to herein as the “Mayor”) are hereby authorized to execute and deliver and the City Recorder or Deputy City Recorder (the “City Recorder”) to attest or countersign, the Supplemental Indenture and the Bond Purchase Contract, in substantially the forms and with substantially the content as the forms presented at this meeting for and on behalf of the Issuer, with final terms as may be established by the Designated Officers, in consultation with the Municipal Advisor, within the Parameters set forth herein, and with such alterations, changes or additions as may be necessary or as may be authorized by Section 4 hereof. The Designated Officers are each hereby authorized to select the Underwriter/Purchaser, to specify and agree as to the final principal amounts, terms, discounts, maturities, interest rates, redemption features, and purchase price with respect to the Obligations for and on behalf of the Issuer, provided that such terms are within the Parameters set by this Resolution. The execution of the Bond Purchase Contract by the Mayor and the approval of the Designated Officers of the terms included therein shall demonstrate the approval of the Designated Officers. Section 3. The Council hereby approves and authorizes the utilization of the Preliminary Official Statement in substantially the form attached hereto as Exhibit C in the marketing of the Obligations (as appropriate) and hereby approves the Official Statement in substantially the same form as the Preliminary Official Statement, with any necessary revisions and insertions to complete the same with the terms established for the applicable Obligations. The Mayor is hereby authorized to cause the Official Statement to be delivered to the Underwriter/Purchaser evidencing its approval by the Issuer. Section 4. The appropriate officials of the Issuer are authorized to make any alterations, changes, deletions or additions to the Supplemental Indenture, the Obligations, the Bond Purchase Contract, the Preliminary Official Statement, the Official Statement, or any other document herein authorized and approved which may be necessary to conform the same to the final terms of the Obligations (within the Parameters set by this Resolution), to conform to any applicable insurance - 4 - Bond Resolution 9-2-25 or to remove the same, to correct errors or omissions therein, to complete the same, to remove ambiguities therefrom, or to conform the same to other provisions of said instruments, to the provisions of this Resolution or any resolution adopted by the Council or the provisions of the laws of the State of Utah or the United States. The execution thereof by the Mayor on behalf of the Issuer shall conclusively establish such necessity, appropriateness, and approval with respect to all such additions, modifications, deletions, and changes incorporated therein. Section 5. The form, terms, and provisions of the Obligations and the provisions for the signatures, authentication, payment, registration, transfer, exchange, redemption, and number shall be as set forth in the Indenture. The Mayor and City Recorder are hereby authorized and directed to execute and seal the Obligations and to deliver said Obligations to the Trustee for authentication. The signatures of the Mayor and the City Recorder may be by facsimile or manual execution. Section 6. The appropriate officials of the Issuer are hereby authorized and directed to execute and deliver to the Trustee the written order of the Issuer for authentication and delivery of the Obligations in accordance with the provisions of the Indenture. Section 7. Upon their issuance, the Obligations wil1 constitute special limited obligations of the Issuer payable solely from and to the extent of the sources set forth in the Obligations and the Indenture. No provision of this Resolution, the Indenture, the Obligations, the Bond Purchase Contract, the Preliminary Official Statement, or any other instrument, shall be construed as creating a general obligation of the Issuer, or of creating a general obligation of the State of Utah or any political subdivision thereof, or as incurring or creating a charge upon the general credit of the Issuer or its taxing powers. Section 8. The appropriate officials of the Issuer, and each of them, are hereby authorized and directed to execute and deliver for and on behalf of the Issuer any or all additional certificates, documents and other papers (including, without limitation, any escrow agreement or any reserve instrument guaranty agreements permitted by the Indenture) and to perform all other acts they may deem necessary or appropriate in order to implement and carry out the matters authorized in this Resolution and the documents authorized and approved herein. Section 9. Pursuant to Section 11-14-316 of the Bond Act and Section 11-27-4 of the Refunding Act, the Issuer shall publish or cause to be published a notice of obligations to be issued (a) on the Utah Legal Notices website (www.utahlegals.com) created under Section 45-1-101, Utah Code Annotated 1953, as amended, which may require publication in The Salt Lake Tribune a newspaper of general circulation in the Issuer, (b) as a class A notice under Section 63G-30-102 (a) on the Utah Public Notice Website (utah.gov/pmn) created under Section 63A-16-601 Utah Code Annotated 1953, as amended, (c) on the Issuer’s website, and (d) in a public location within Salt Lake City, Utah, that is reasonably likely to be seen by residents of the Issuer. The City Recorder shall cause a copy of this Resolution (together with all exhibits hereto) to be kept on file in the Salt Lake City offices, or in the event such offices are closed for any reason, at 349 South 200 East, Salt Lake City, Utah, for public examination during the regular business hours of the Issuer until at least thirty (30) days from and after the date of publication thereof. The Issuer - 5 - Bond Resolution 9-2-25 directs its officers and staff to publish a “Notice of Obligations to be Issued” in substantially the following form: - 6 - Bond Resolution 9-2-25 NOTICE OF OBLIGATIONS TO BE ISSUED NOTICE IS HEREBY GIVEN pursuant to the provisions of the Local Government Bonding Act, Title 11, Chapter 14, Utah Code Annotated 1953, as amended (the “Bond Act”), and the Utah Refunding Bond Act, Title 11, Chapter 27, Utah Code Annotated 1953, as amended (the “Refunding Act” and, collectively with the Bond Act, the “Acts”) that on September 2, 2025, the City Council (the “Council”) of Salt Lake City, Utah (the “Issuer”), adopted a resolution (the “Resolution”) in which it authorized the issuance of the Issuer’s Public Utilities Revenue Bond Anticipation Notes (to be issued in one or more series and with such other series or title designation(s) as may be determined by the Issuer) (the “Notes”) and Public Utilities Revenue Refunding Bonds (to be issued in one or more series and with such other series or title designation(s) as may be determined by the Issuer) (the “Bonds” and, collectively with the Notes, the “Obligations”). PURPOSE FOR ISSUING THE OBLIGATIONS The Notes will be issued for the purpose of financing the acquisition, construction, remodeling and improvement of a campus for the Salt Lake City Department of Public Utilities (the “Project”) and paying costs of issuance of the Notes. The Bonds will be issued for the purpose of refunding in advance of their maturity all or a portion of the City’s currently outstanding Public Utilities Revenue and Refunding Bonds, Series 2017 (the “Refunded Bonds”) and paying costs of issuance of the Bonds. REVENUES TO BE PLEDGED The Obligations are special limited obligations of the Issuer payable from the revenues of the Issuer’s existing water, sewer, storm drain and street lighting systems (the “Revenues”). All or a portion of the Notes may be paid with other financial sources. PARAMETERS OF THE OBLIGATIONS The Issuer intends to issue the Notes in the aggregate principal amount of not more than Fifty Million Dollars ($50,000,000), to mature in not more than ten (10) years from their date or dates, to be sold at a price not less than ninety-eight percent (98%) of the total principal amount thereof and bearing interest at a rate or rates not to exceed six percent (6.00%) per annum. The Issuer intends to issue the Bonds in the aggregate principal amount of not more than Fifty Million Dollars ($50,000,000), to mature in not more than fifteen (15) years from their date or dates, to be sold at a price not less than ninety-eight percent (98%) of the total principal amount thereof and bearing interest at a rate or rates not to exceed six percent (6.00%) per annum. The Obligations are to be issued and sold by the Issuer pursuant to the Resolution, including as part of said Resolution, a Master Trust Indenture (the “Master Indenture”) and a Supplemental Trust Indenture (the “Supplemental Indenture” and collectively, the “Indenture”), which Supplemental Indenture was before the Council in substantially final form at the time of the adoption of the Resolution and said Supplemental Indenture is to be executed by the Issuer in such form and with such changes thereto as shall be approved by the Issuer; provided that the principal amount, interest - 7 - Bond Resolution 9-2-25 rate or rates, maturity, and discount of the Obligations will not exceed the maximums set forth above. OUTSTANDING BONDS SECURED BY REVENUES Other than the proposed Obligations, the Issuer currently has $1,090,275,000 (includes a $348,635,000 WIFIA Loan) of bonds outstanding (the “Outstanding Bonds”) secured by the Revenues (as more fully described in the Indenture). OTHER OUTSTANDING BONDS OF THE ISSUER Additional information regarding the Issuer’s Outstanding Bonds may be found in the Issuer’s financial report (the “Financial Report”) at: https://reporting.auditor.utah.gov/searchreports/s/. For additional information, including any information more recent than as of the date of the Financial Report, please contact Marina Scott, City Treasurer, at (801) 535-6565. TOTAL ESTIMATED COST Based on the Issuer’s current plan of finance and a current estimate of interest rates, the total principal and interest cost of the Notes to be issued if held until maturity is $58,472,222 and the total principal and interest cost of the Bonds to be issued if held until maturity is $58,848,815. A copy of the Resolution and the Indenture are on file in the office of the Salt Lake City Recorder, 451 South State Street, Room 415, Salt Lake City, Utah. The documents can be examined in person during business hours from 8:30 A.M. to 5 P.M., or online at any time at https://tinyurl.com/SLCAdoptedLegislation, for a period of at least thirty (30) days from and after the date of publication of this notice. NOTICE IS FURTHER GIVEN that a period of thirty (30) days from and after the date of the publication of this notice is provided by law during which any person in interest shall have the right to contest the legality of the Resolution, the Supplemental Indenture, or the Obligations, or any provision made for the security and payment of the Obligations, and that after such time, no one shall have any cause of action to contest the regularity, formality, or legality thereof for any cause whatsoever. DATED this September 2, 2025. SALT LAKE CITY, UTAH By ____________________________________ City Recorder - 8 - Bond Resolution 9-2-25 Section 10. The Issuer hereby declares its intention and reasonable expectation to use proceeds of tax-exempt notes to reimburse itself for initial expenditures for costs of the Project. The Notes are to be issued, and the reimbursements made, by the later of 18 months after the payment of the costs or after the Project is placed in service, but in any event, no later than three years after the date the original expenditure was paid. The maximum principal amount of the Notes which will be issued to finance the reimbursed costs of the Project is not expected to exceed $50,000,000. Section 11. Authorization of Redemption Prior to Maturity of Refunded Bonds. Upon the issuance of the Bonds, the Refunded Bonds shall be irrevocably called for redemption at the redemption price of one hundred percent (100%) of the principal amount of such Refunded Bond so called for redemption plus accrued interest thereon to the date fixed for redemption. Notice of such redemption shall be given as provided in the Indenture. Section 12. The Issuer hereby reserves the right to opt not to issue any or all of the Obligations for any reason. Section 13. All resolutions or parts thereof in conflict herewith are, to the extent of such conflict, hereby repealed and this Resolution shall be in full force and effect immediately upon its approval and adoption. Section 14. Upon the issuance of the first series of the Obligations, this Resolution shall be and remain irrepealable until the principal of, premium, if any, and interest on the Obligations are deemed to have been duly discharged in accordance with the terms and provisions of the Indenture. Bond Resolution 9-2-25 ADOPTED by the City Council of Salt Lake City, Utah, this 2nd day of September, 2025. SALT LAKE CITY, UTAH By ____________________________________ Chair Salt Lake City Council ATTEST AND COUNTERSIGN: By _________________________________ City Recorder [SEAL] APPROVED AS TO FORM By ______/s/ Sara Montoya _____________ Sara Montoya Senior City Attorney 2 PRESENTATION TO THE MAYOR The foregoing resolution was presented to the Mayor for her approval or disapproval on September 2, 2025. By:______________________________ Chair MAYOR’S APPROVAL OR DISAPPROVAL The foregoing resolution is hereby approved on this September 2, 2025. By: ______________________________ Mayor A-1 Bond Resolution 9-2-25 EXHIBIT A INDENTURE B-1 Bond Resolution 9-2-25 EXHIBIT B FORM OF BOND PURCHASE CONTRACT C-1 Bond Resolution 9-2-25 EXHIBIT C FORM OF PRELIMINARY OFFICIAL STATEMENT This page has intentionally been left blank CITY COUNCIL OF SALT LAKE CITY 451 SOUTH STATE STREET, ROOM 304 P.O. BOX 145476, SALT LAKE CITY, UTAH 84114-5476 SLCCOUNCIL.COM TEL 801-535-7600 FAX 801-535-7651 COUNCIL STAFF MEMO CITY COUNCIL of SALT LAKE CITY TO:City Council Members FROM: Allison Rowland DATE:September 2, 2025 RE: INFORMATIONAL: INITIAL DISCUSSION OF LEGISLATIVE INTENTS FOR FISCAL YEAR 2025-26 briefings on Legislative Intents, beginning with items for Fiscal Year 2025-26 (FY26). Legislative Intents are the Council’s formal requests to the Administration, and they are adopted as part of the annual budget. This first discussion, which is typically held in September (see Attachment C1), is envisioned as an informal “post-budget conversation” between the Council, the Mayor’s Office, and relevant department heads. The briefing is designed as an opportunity for the Mayor’s Office and department leaders to provide preliminary information and feedback on the intents, including how any might be refined according to a department’s expertise and previous experience. The Council also may make any desired editing changes to the Legislative Intents to clarify the requests. -A department may explain their ideas for how specific a legislative intent could be refined; -A department may share relevant information about requested items; or -If a particular item has been addressed in the months since the budget was adopted, the Council could indicate that the intent has been completed and no further Administration action is needed. Mayor’s Recommended Budget. Page | 2 ATTACHMENTS Attachment C1. Annual Schedule for Review of Legislative Intents. Attachment C2. Current Legislative Intents. Attachment C3. FY26 Consolidated Fee Schedule Increases and New Fees. Attachment C1. Annual Schedule for Review of Legislative Intents Briefing #1: Post-budget discussion Transmittal: n/a Work Session: September Purpose: o Q & A with department representatives o Workshop to refine the Legislative Intents o Receive information from the departments: what’s been tried and/or whether they would like to propose a better approach, etc. o Early status information, first-round thoughts, feedback Briefing #2: Mid-year status update – Timed to coincide with Budget Amendment 3 or 4 Transmittal: January - February Work Session: March Purpose: o Briefing from department representatives o Mid-year update on progress made, department response, impact to budget, if any, etc. o This is not expected to be a 100% complete report or close-out, but rather a mid-term update Briefing #3: Combined with annual budget report Transmittal: No separate transmittal; information and updates included in annual budget information Work Session: Intents would be discussed as part of department annual budget briefings Purpose: o Continue tracking legislative intents and close out as applicable o Refine status and next steps for the coming fiscal year Exceptions: Some items may have a separate timeline identified and those will be considered separately. Attachment C2. Current Legislative Intents Updated August 25, 2025 1. Attorney’s Office Title Staff Notes and Questions Status FY26 Court System Budget and Workload Evaluation. It is the intent of the Council that Council staff and Administration collaborate on an evaluation of the Justice Court system within the next six months, to prepare for future budget consideration. The items of interest include historic caseload data, alternative justice systems and support programs, consideration of new funding sources, options to address workload issues, space needs, and other related matters. The Council further requests the Administration report on caseloads monthly. Open. FY24 Department Role Clarity in Ordinance. It is the intent of the Council to ask the Attorney’s Office to propose updates to the City’s code that define and discuss the respective roles of City departments. This review should include, but not be limited to, the Sustainability, Economic Development, and Public Lands Departments. Per Council discussion, Sustainability is the priority. Would the Council like to change the last line of the intent to reflect that it prefers to continue moving through the departments, since the new Sustainability ordinance is already in progress? Open. FY23 Open and Public Meetings Act (OPMA). It is the intent of the Council to ask the Administration to ensure that any City loan or grant processes comply with the Open and Public Meetings Act (OPMA). The Council could request that the City Attorney’s Office develop an ordinance more specifically codifying this understanding. In its FY26 budget discussion, the Council requested the Administration comply with this intent by May 1, 2026. Open. FY21 Decriminalization Review of City Code. It is the intent of the Council that an in-depth review be conducted of the City Code to consider items that could be de-criminalized. Council staff could work with Council Members and the City Attorney’s Office to draft a scope and come back with a report on the timeline. In its FY26 budget discussion, the Attorney’s Office proposed small group meetings with Council Members to coordinate options and next steps. In one of these meetings, Council Chair Wharton discussed the option of closing this intent but keeping its purpose in mind as new sections of code are reviewed or proposed. If the Council supports that approach, the Intent could be marked as Close and Continue. Open. 2 2. Community and Neighborhoods Department Title Staff Notes and Questions Status FY26 Don’t Block the Box. It is the intent of the Council that the Administration evaluate options for the City to reinforce public compliance with the State ordinance on the “Don’t Block the Box” concept, referring to vehicles that block an intersection by entering them when traffic is backed up on the other side. The Council would like the Administration to suggest options to raise public awareness of this law. Open. FY26 Arts Council Funding and Programs. It is the intent of the Council that collaborative discussions be held with the Administration to help expand the number of art projects throughout the City. The discussions could include a shared understanding of the current funding, programming, and priorities of Arts Council work, new goals, and identifying ways to resolve budget and processes that hinder new art requests from moving ahead. Open. FY25 Neighborhood District Signs. It is the intent of the Council to request a future policy discussion with the Administration about establishing a standard process and broadening the City’s ability to respond to requests for neighborhood marking signs, including requests for historic district street signs. It would be helpful for the Administration to clarify the following information in the discussion: a. Could community and neighborhood identity signs be included, in addition to street signs that have historic designations? b. What are the differences between regular street signs and historic markers? c. What is the process for replacement of existing signs? d. How is the accuracy of the history portrayed in historic district signs ensured? In the discussion, the Administration may recommend: a. Exploring opportunities related to the 10-year plan for the Olympics, and b. Recommending whether the City should establish a pool of funding in the General Fund for this work, and how much should be included. Open. 3 FY23 Youth and Family Program Streamlining. It is the intent of the Council to ask the Administration to evaluate whether to consolidate all City youth and family programs into the Youth & Family Division. The purpose would be to increase efficiency and propose options for future budget discussions. Additionally, the Council would like the Administration to evaluate the City’s role in youth and family programming in relation to other community organizations to identify efficiencies and reduce duplication, factoring in overall community demand for those services. Step 1 of this multi-step process was completed in FY23. Other steps involve evaluating potential staffing redundancies and reviewing Fire Department and Police Department programs for potential changes. Open. 3. Department of Economic Development Title Staff Notes and Questions Status FY15 Maintenance of Business Districts. See description under Public Services Department. 4. Finance Department Title Staff Notes and Questions Status FY26 Evaluation of Non-Statutory City Services. The Council wishes to collaborate with the Administration to create an inventory of core and non- core City services and programs. The goal of this study is to inform future decisions about the optimal delivery model for certain community services, ensuring the best use of public resources while maintaining quality and equity in service delivery. Open. FY26 Consolidated Fee Schedule Review: Department of Public Lands Fees. It is the intent of the Council to review fees charged by the Department of Public Lands, as listed in the Consolidated Fee Schedule, to decide whether some of these fees could be reduced. In future years, the Council intends to review fees charged by one or more other City departments. This replaces an FY23 intent to review all fees charges by the City. Open. FY25 Policy Goals for Zero-Based Budgeting Exercise. a.Balancing Resources in the Public Lands Department. Request the Administration evaluate whether additional resources are needed in all areas of the Public Lands Department, or if there are Open. 4 resources that can be shifted within the Department to address the balance between new projects and ongoing responsibilities. The Council is interested in understanding how resources are allocated between new projects versus regular maintenance (like mowing and weeding) and deferred capital maintenance projects (like restroom repair or roof replacement). As a part of this evaluation, the Council requests Public Lands also evaluate whether deploying autonomous maintenance vehicles would assist in a more efficient use of resources. Alternatively, the Council could consider a stand-alone legislative intent on this topic. (In coordination with Department of Public Lands.) FY25 Consolidated Fee Schedule. Evaluate the CFS in the following areas: a. Sidewalk closures, lane closures and sidewalk fees, including potential fines for blocking sidewalks. Open. b. Reducing business license fees for push carts and other mobile vendors. Open. c. Providing 100% forgiveness of City playing-field fees for youth development teams (not competitive teams) in return for “sweat equity” at these locations. The City currently discounts up to 50% of recreation and facility reservation fees for youth teams that provide sweat equity. During the Council’s FY26 budget discussions, the Administration offered to research the potential revenue loss should the discount be raised to 100%. The Council requested that this research be done and the results reported. Open. d. The Council further requests an annual report be provided with the Mayor’s Recommended Budget which shows the percentage of the fully-loaded potential fee that is proposed, so the Council can consider adjusting on that basis. Council staff forwarded the Administration’s FY26 documents on these items in an email on June 2, 2025. They also are included here in Attachment C3. The Council may wish to Close and continue this intent. Open. FY24 Legal Defenders Association. It is the intent of the Council to request the Administration: a.shift funding for the Legal Defenders contract to Funding Our Future, under the policy umbrella of During its FY26 budget discussions, the Administration recommended against changes to the Legal Defenders Association Open. 5 Public Safety, with the rationale that these attorneys are an integral piece of the criminal justice system and often connect clients to resources and services to help them recover from an addiction or otherwise help them get back on their feet. contract arrangement or funding source at this time. The Council chose to keep the intent OPEN as a reminder for the body to consider sometime during the coming year, with the goal of b.discuss with Salt Lake County whether it would be more efficient for the County to manage the full contract, with the City contributing funding towards it. finding a better funding source for this. FY23 Grants and Ongoing Programs. It is the intent of the Council to ask the Administration to evaluate the extent to which new City programs have been created through grants whose costs have continued beyond the life of the grant. The Council will use this information to inform a policy or system for evaluating when and whether it is appropriate for the City to create new programs with grants. a.As a first step, would the Council like to ask the Finance Department how grant information is tracked and reported? Then it could propose a new method if needed and provide any policy recommendations. b. The Council could later schedule a policy discussion and briefing for Finance to provide this information and receive the Council’s further direction. Open. FY15 Maintenance of Business Districts. See description under Public Services Department. 5. Information Management Services Department Title Staff Notes and Questions Status FY26 Promoting mySLC. It is the intent of the Council to discuss brainstorming with the Administration and outreach team the next steps to promote and improve public use of a single point of access for constituents. The goal is to directly reach the department best able to help them, without waiting for the extra steps that traditionally happen when requests are routed through the Council Office. Open. 5. Mayor’s Office It is the intent of the Council that, in budget years when a property tax increase is proposed, 7 the Administration provide an evaluation rubric or matrix with the budget proposal on the extent to which factors within City control (like the provision or enhancement of non-core services, and operational efficiencies) and beyond its control (like current economic conditions, population growth, and State pre- emption and unfunded mandates) affect the proposal. The rubric or matrix could also propose strategies to minimize the impacts of tax increases on the most vulnerable community members. FY26 CIP Set-Aside for Community-Led Projects. It is the intent of the Council that the Administration evaluate the CIP program to determine whether to set aside a specific funding amount annually for community- led projects, as a category distinct from City department projects in overall CIP funding. The allocation could be a set dollar amount or a percentage of the total annual CIP budget. Open. FY26 Streets Bonds Funding Options. It is the intent of the Council that the Administration study and recommend funding options in time to place on the ballot, if necessary, that would return Salt Lake City streets to national standards. Open. FY26 Evaluating Efficiencies of All Diversified Response Teams. It is the intent of the Council to hold a series of briefings with the Administration, beginning in the first quarter of the FY26 fiscal year, to identify metrics for the various diversified response teams and evaluate their efficiency, including any potential overlap. The Council recognizes the consolidation of several response teams into Public Services, while several others remain in different departments, such as Fire (CHAT and MRT), Police (Social Worker Co-Responders and Community Response Team), CAN (Downtown Ambassadors), and Public Lands (Park Rangers program). Note: Similar Legislative Intents have been adopted in recent years. With this new Intent, those are considered closed. Council staff is working with the Administration to organize a series of briefings on this topic. Open. 7 FY25 Noise Enforcement (Vehicular and Non- Vehicular). It is the intent of the Council that the Administration prepare and transmit information about noise enforcement in the City and existing State law so that the Council can schedule a briefing on these issues. This include the City’s strategy and approach for noise enforcement, event noise waivers, and other similar issues that affect residents’ quality of life. Council staff would work with the Mayor’s Office to identify how to structure the meetings. Topics would include: a. noise enforcement for violations from both vehicle and non-vehicular sources; b. identification of additional resources needed to improve enforcement; c. policy regarding noise ordinance waivers; d. semi-annual reports on noise enforcement; e. consideration of increased fines as a deterrent; f. proactive work with any mass gathering or event spaces (including institutions that sponsor high- decibel events). The Administration reported that it plans to send transmittals on this issue soon. Open. 6. Police Department Title Staff Notes and Questions Status FY26 Police Camera/Body-Worn Camera/Drone Privacy. It is the intent of the Council that the Administration evaluate data privacy guardrails and best practices as additional safety cameras and drones are deployed to assist SLCPD’s public safety efforts. Potential language could include ensuring the REP Commission is included in policy discussions, and concerns about privacy, accountability, transparency, and civil rights protections. The Council further requests an annual report (written, if needed) on this information as well as small group meetings. See FY21 Police Department Reporting Ordinance, under Council-Led Intents, below. Open. 8 FY21 Police Department Role. It is the intent of the Council to re-evaluate the role the City asks the Police Department to play, and the budget to fulfill that role, and ask the Administration to evaluate moving certain programs out of the Police Department, like park rangers and social workers, and potentially add a function to the Human Resources Department to enhance the independence of the Internal Affairs unit. Note: Park rangers were shifted to the Public Lands Department in 2021. i. Social Workers. ii. Internal Affairs Unit. The Council suggested this response not be a top priority until the new Chief has more time in the position. iii. Police Community Response Team. As directed by the Council, the social worker component and PCRT will be incorporated into the Mayor’s Office evaluation of alternative response programs. The Council may choose to consider this request Closed and complete, or leave the inquiry about the Internal Affairs Unit open for future evaluation. Open. 7. Public Lands Department Title Staff Notes and Questions Status FY25 Balancing Resources in the Public Lands Department. See description under Finance Department. Open. FY24 Golf Fee Structure. It is the intent of the Council to ask the Administration to evaluate developing a program for the Golf Division that could provide discounted rates to reduce financial barriers for City residents, especially those with limited financial resources. The Golf Division reported in spring 2025 that external funding sources (like the General Fund) could be used to offset the membership cost for qualifying individuals, but that relying on Golf Enterprise Fund revenues would hinder the Division’s ongoing capital investment efforts. Another option for pursuing a discount program, would be to build upon existing programs, like the SLC Golf Club membership. The annual cost of a SLC Golf Club membership is $100, and additional staff would be needed to administer the program. The Council may wish to consider changing the status of this intent to Close and complete. Open. 10 8. Public Services Department It is the intent of the Council to hold a briefing regarding the costs of enhanced services provided to the Central Business District, in order to consider: a) revising how City services are provided and paid for, b) services that may be offered to other established or developing Business Districts in the City, and c) maintenance of amenity upgrades (such as lighting and benches). It is also the intent of the Council that this discussion happen in time to incorporate any changes into the renewal of the Central Business District agreement and Sugar House Business District. This Intent includes SAAs. The work should involve the Department of Economic Development and the Finance Department. The Public Services Department noted that it would need a special assessment specifically for enhanced maintenance and clean-up, since aside from the assessment for economic promotion conducted by the Downtown Alliance, there is no existing budget or other mechanism to pay for business district expenses. It is the intent of the Council that the Public Utilities Department facilitate discussions among City Departments (such as Sustainability and Public Lands) and State and Federal agencies (such as the Department of Water Quality and Environmental Protection Agency) to identify the best approaches to improving Jordan River water quality. The focus would be on the impacts of people experiencing homelessness who camp along the river. The Council may consider future funding requests based on these discussions. It is the intent of the Council to ask the Administration to evaluate water usage by the City and make recommendations for water conservation. This includes evaluation of water savings opportunities for CIP projects. In September 2024, the Council added an analysis of the water fee schedule as part of this intent. a.The Department of Public Utilities provided its most up-to-date information related to this intent in the City Property Water-Use Efficiency Executive Report, which was released in November 2023. b.During the FY26 budget discussions, a Council member requested 10 additional information on the measures that the Department of Public Lands is taking to reduce water use. Since DPL tracks its own water use, would the Council like to consider creating this as a separate intent, and moving it to DPL? 10. Council-Led Intents Title Staff Notes and Questions Status FY25 Council Member Compensation. The Council intends to evaluate the ordinance governing elected official compensation and have this conversation before the end of 2024. During the FY26 budget discussions, the Council agreed to leave this intent Open. The Council may wish to consider updating the language about timing and providing direction to Council staff on the potential next steps (for example, forming a subcommittee, exploring outside resources, etc.). Open. FY23 Rotating Outside Auditing of Each City Department. It is the intent of the City Council to re- establish its practice of conducting management and performance audits of City departments, divisions, and functions on a rotating basis in the coming years. These audits are in addition to the financial audit that the City Council oversees annually. The audits are intended to bring consultants in for an independent look at existing City services to identify opportunities for improved efficiencies. In addition to a focus on identifying potential efficiencies, the Council intends to ask the auditors to identify or evaluate professional best practices, definitions of success for each program, metrics associated with key functions, and any duplication that exists with other City departments and/or other levels of government. The Council intends for the audits to inform evaluations of how City services are meeting residents’ Open. 11 needs while being fiscally responsible with the taxpayer dollars. FY21 Police Department Reporting Ordinance. The Council intends to work with the Attorney’s Office to create an ordinance that establishes reporting requirements for internal information collected by and related to the Police Department. The Council adopted a body worn camera ordinance in 2020, but not broader reporting metrics. a. Initially, the Council also intended to create an ordinance that establishes reporting requirements for internal information collected by and related to the PD. b. The Council’s operational audit of the PD (Matrix Consulting) recommended expanding public reporting, such as metrics related to: i. internal affairs, ii. external complaints, iii. workforce demographics and vacancies, iv. body worn cameras (new software to facilitate review was funded), and use of force. The Council may wish to combine this intent with FY26 Police Camera/Body- Worn Camera/Drone Privacy. A draft of a potential combined intent is shown below. Open. STAFF DRAFT FY26 Police Reporting and Privacy Ordinance. The Council intends to work with the Attorney’s Office to create an ordinance that establishes reporting requirements and privacy guardrails for information collected by and related to the Police Department. a. Expanded public reporting requirements would include metrics related to: i. workforce demographics and vacancies, ii. internal affairs, iii. external complaints, iv. body worn cameras, other cameras, and the use of drones, and v. use of force. b.Privacy rules would be codified to ensure accountability, transparency, and civil rights protections for information gathered through the use of body worn cameras, other cameras, and the use of drones, based on nationwide best practices. i. Salt Lake City’s REP Commission would be included in policy discussions. 12 ii. The Ordinance would require an annual report from the Police Department on this information. Attachment C3. FY26 CFS Increases and New Fees Building Rental/Use: City and County Building Public Services Department Old Fee New Fee Increase Fully Loaded Cost Total Cost Covered Regular Janitorial Services $25.00 $25.00 100% Upholstery Cleaning $25.00 $25.00 100% Power Wash $30.00 $30.00 100% Carpet Cleaning (non-wool carpets)$300.00 $300.00 100% Carpet Cleaning (wool carpets)$500.00 $500.00 100% Painter $44.42 $44.42 100% Plumber $41.73 $41.73 100% Carpenter $42.25 $42.25 100% General Maintenance Worker $42.25 $42.25 100% Security Guard $33.33 $33.33 100% Damage to City Property Actual cost Actual cost 100% Business Licensing Transportation Division and Finance Department Old Fee New Fee Increase Fully Loaded Cost Total Cost Covered Shared Mobility per Device $30.00 $35.00 $5.00 $86.59 53.8% Shared Mobility per Ride $0.10 $0.20 $0.10 $0.30 53.8% Community and Neighborhoods (CAN) Old Fee New Fee Increase Fully Loaded Cost Total Cost Covered Identical Plan Review 30% of cost charged for Standard Plan Review Parking and Traffic Public Services Department Old Fee New Fee Increase Fully Loaded Cost Total Cost Covered Parking Meter Rate $2.25 $3.50 $1.25 $3.62 96.7% Police Old Fee New Fee Increase Fully Loaded Cost Total Cost Covered Community Response Team $52.00 $54.00 $2.00 $67.50 80.0% Barricade Fee $20.00 Pilot Program charged well below estimated cost. COUNCIL STAFF REPORT CITY COUNCIL of SALT LAKE CITY tinyurl.com/SLCFY26 TO:Council Members FROM: Lehua Weaver, Jennifer Bruno, Sylvia Richards, Kate Werrett Budget and Policy Analysts DATE: September 2, 2025 RE: Budget Amendment Number 1 of Fiscal Year (FY) 2026 All Budget Amendment items included in this transmittal are related to the City’s response to the Commercial Fire on the 300 South Block of Main Street In the aftermath of the August 11th fire on Main Street, the Administration has been actively exploring ways the City can support the property owners, business owners, and individual employees. Following are the requests which have a Council role. In addition to the proposals below from the General Fund, the Council – acting as the CRA Board of Directors – will also consider a new Disaster Loan Program and loan proposal during the September 9th CRA Meeting. Some summary information on this is provided below as “Additional Info” to give as much context to the proposals as possible. Budget Amendment Number One includes three proposed amendments. The amendment proposes changes in two funds. With the adoption of Budget Amendment #1, the available fund balance will be 12.89 percent of the FY 2026 Adopted Budget. If the items are adopted as proposed, then Fund Balance would be $580,933 below the minimum target. The Administration indicates a revenue update and projection will be provided with the second budget amendment of FY26. No updates or modifications from the FY26 Adopted Budget are proposed at this time. UPDATED Fund Balance Chart The table below presents updated Fund Balance numbers and percentages based on the proposed changes included in Budget Amendment #1. Project Timeline: Consent: Sept. 2, 2025 1st Briefing: Sept. 2, 2025 Public Hearing: September 9, 2025 Potential Adoption: Sept. 9 or October 7, 2025 With the complete adoption of Budget Amendment No. 1, the available fund balance will decrease slightly to 12.89%. For context, the fund balance at budget adoption was 12.93 percent. If all the items are adopted as proposed, then Fund Balance would be $580,933 below the minimum target of 13%. Item A-1: Emergency Loan Program ($600,000 combined from Emergency Loan Fund and General Fund Fund Balance) Summary Points: a. Who: Business Owners closed due to fire, adjacent business affected by the fire. b. Why: cover operational costs until the business can re-open somewhere c. Funding Source: $600,000 from the General Fund i. $327,000 from an "Emergency Loan Program" that was set up post-covid ii. $273,000 from the general fund fund balance this would leave fund balance at 12.9% (including GF and FoF) d. How much per business: $100,000 per business dislocated by the fire, the additional funding would be available for others affected, but not dislocated e. Terms: i. 5-year repayment ii. 0% interest iii. option to defer payments up to 2-years f. Loan application & Criteria: similar to other loan programs, especially post-COVID. Item A-2: Item withdrawn Item A-3: Public Right-of-Way Safety ($80,000 from General Fund) The Administration is requesting funding to expedite the placement of barriers for pedestrian safety. The barricades would divert pedestrians from the sidewalk into a protected path in the street. The City would seek reimbursement once development begins, since this is typically a property owner expense. Straw Poll: The Council may consider taking a straw poll on A-3 regarding barricades so that the safety measures are in place as quickly as possible. Item A-4: Rental Assistance ($100,000 from Funding Our Future RAFT Program) Summary Points: a. Who: Individual employees who worked for the businesses closed due to fire b. Why: Ensure they don’t lose housing due to lost income c. Funding Source: $100,000 from Funding our Future – Tenant Displacement funds i. The FOF Funds set aside through CDCU to help with Thriving in Place. ii. $700,000 in the fund, ~$300,000 already allocated to CDCU d. How much per employee: iii. $2,000 or one-month’s rent per full-time employee iv. $1,000 or one-month’s rent per part-time employee e. Terms: none; granted f. Application / Criteria: v. Application through CDCU – quickly processed vi. be an employee at time of the fire, lost income that makes up a quarter of their household income vii. residents of Salt Lake City with valid lease agreement viii. Combined household income of 80% AMI or below ADDITIONAL INFO: CRA Property Owner Loan – create new “Disaster Loan Program” – To be discussed on Sept 9 in the CRA Meeting. Summary Points: a. Who: Property Owners or long-term lease in CRA area b. Why: gap financing to help expedite reconstruction c. Funding Source: $14 m from commercial assistance program that’s come from all CRA project areas. $5m available in the CBD. d. How much per property: $1m each for 4 properties e. Terms: i. 0% and no payments for first 2 years, 2% in year 3 ii. 3 year term extendable to 5 yrs amortized over iii. 5% interest starting at year f. Loan application & Criteria: board approval, active fire insurance claim required. Policy Questions 1. The City has identified the importance of supporting this core block of Main Street to rebuild and re-activate as quickly as possible. Do the proposed funds target that goal and help the City, businesses, and property owners recover in the way they need? a. Are there conditions that could be added to the General Fund loans to the businesses to ensure that they find space nearby so that they are able to continue contributing to the vibrancy of Main Street / Downtown? b. Is there other support that would help ensure more activation on Main Street while these buildings are under construction? 2. The Council may wish to provide feedback about how any of the loans or donations are handled: a. Should the funding be given as a lump sum or as scheduled draws as criteria is met? b. Criteria for building or location to ensure the funding directly benefits Main Street. c. Other criteria or terms? 3. Does the Council want to request regular updates from the Administration on the progress for rebuilding, business recovery, and Main Street activity? 4. Will the Police Department take on more of a role with monitoring the vacant damaged property for trespassing or camping? 5. Council Members may want to request a future briefing with the Administration about the Funding our Future “RAFT” funding usage and outreach opportunities to improve its usage. Section B: Grants for Existing Resources (None) Section C: Grants for New Staff Resources (None) (None) (None) (None) (None) (None) SALT LAKE CITY TRANSMITTAL To:  Salt Lake City Council Chair Submission Date: 08/28/2025 Date Sent to Council: 08/28/2025 From: Department * Finance Employee Name: Hillier, Randy E-mail Randy.Hillier@slc.gov Department Director Signature Director Signed Date 08/28/2025 Chief Administrator Officer's Signature Chief Administrator Officer's Signed Date 08/28/2025 Subject: FY26 Budget Amendment #1 Third Retransmittal New transmittal or Revision New transmittal Revision Revision Updates: One item on the amendment was withdrawn and one item has been added. Additional Staff Contact: Greg Cleary, Mary Beth Thompson Presenters/Staff Table Greg Cleary: greg.cleary@slc.gov and Mary Beth Thompson: marybeth.thompson@slc.gov Document Type Ordinance Recommendation: The Administration recommends that subsequent to a public hearing, the City Council adopt the following amendments to the FY 2026 adopted budget. Background/Discussion The Administration is requesting a budget amendment totaling $353,000 in expenses in the general fund. The amendment proposes changes in two (2) funds, and the use of cash balance in the Emergency Loan Program totaling $327,000 and the additional $273,000 being transferred from the general fund to the ELF, resulting in an expense of $600,000 from the ELF. A summary spreadsheet outlining proposed budget changes is attached. The Administration requests this document be modi fied based on the decisions of the Council. Will there need to be a public hearing for this item?* Yes No Public Process Public Hearing This page has intentionally been left blank DEPARTMENT OF FINANCE POLICY AND BUDGET DIVISION 451 SOUTH STATE STREET PO BOX 145467, SALT LAKE CITY, UTAH 84114-5455 ERIN MENDENHALL Mayor MARY BETH THOMPSON Chief Financial Officer CITY COUNCIL TRANSMITTAL ___________________________________ Date Received: _______________ Jill Love, Chief Administrative Officer Date sent to Council: __________ ______________________________________________________________________________ TO: Salt Lake City Council DATE: August 28,2025 Chris Wharton, Chair FROM: Mary Beth Thompson, Chief Financial Officer SUBJECT: FY26 Budget Amendment #1 – Third Retransmittal SPONSOR: NA STAFF CONTACT: Mary Beth Thompson, Greg Cleary DOCUMENT TYPE: Budget Amendment Ordinance RECOMMENDATION: The Administration recommends that subsequent to a public hearing, the City Council adopt the following amendments to the FY 2026 adopted budget. BUDGET IMPACT: REVENUE EXPENSE GENERAL FUND $0.00 $353,000.00 EMERGENCY LOAN PROGRAM $273,000.00 $600,000.00 TOTAL $273,000.00 $953,000.00 BACKGROUND/DISCUSSION: Revenue for FY 2026 Budget Adjustments A revenue update and projection will be provided with the second budget amendment of FY26. No updates or modifications from the FY26 Adopted Budget are proposed at this time. The table below presents updated Fund Balance numbers and percentages, based on the proposed changes included in Budget Amendment #1. With the complete adoption of Budget Amendment #1, the available fund balance will adjust to 12.89 percent of the FY 2026 Adopted Budget. For context, at budget adoption fund balance was at 12.93 percent. FOF GF Only TOTAL FOF GF Only TOTAL Beginning Fund Balance 27,841,978 146,448,554 174,290,532 14,931,953 78,854,192 93,786,145 Prior Year Encumbrances (3,547,119) (18,657,815) (22,204,934) - - - Estimated Beginning Fund Balance 24,294,859$ 127,790,739$ 152,085,598$ 14,931,953$ 78,854,192$ 93,786,145$ Beginning Fund Balance Percent 39.57%30.50%31.66%25.42%17.38%18.30% Year End ACFR Adjustments Revenue Changes Expense Changes (Prepaids, Receivable, Etc.) (3,188,435) (3,188,435) Fund Balance w/ ACFR Changes 24,294,859 124,602,304 148,897,163 14,931,953 78,854,192 93,786,145 Final Fund Balance Percent 39.57% 29.74% 30.99% 25.42% 17.38% 18.30% Budgeted Change in Fund Balance (4,162,906) (36,664,442) (40,827,348) - (27,392,780) (27,392,780) Budget Amendment Use of Fund Balance BA#1 Revenue Adjustment 469,408 469,408 BA#1 Expense Adjustment (2,468,933) (2,468,933) (353,000) BA#2 Revenue Adjustment 102,000 102,000 BA#2 Expense Adjustment (3,407,524) (3,407,524) BA#3 Revenue Adjustment 3,904,861 3,904,861 BA#3 Expense Adjustment (3,959,861) (3,959,861) BA#4 Revenue Adjustment - - BA#4 Expense Adjustment - - BA#5 Revenue Adjustment 1,013,067 1,013,067 BA#5 Expense Adjustment (5,200,000) (4,736,688) (9,936,688) BA#6 Revenue Adjustment - BA#6 Expense Adjustment Change in Revenue Change in Expense Fund Balance Budgeted Increase Adjusted Fund Balance 14,931,953 78,854,192 93,786,145 14,931,953 51,461,412 66,040,365 Adjusted Fund Balance Percent 24.32% 18.82% 19.52% 25.42% 11.34% 12.89% Projected Revenue 61,397,384 419,006,975 480,404,359 58,749,999 453,721,525 512,471,524 TOTAL Fund Balance Projections FY2026 BudgetFY2025 Budget The Administration is requesting a budget amendment totaling $353,000 in expenses in the general fund. The amendment proposes changes in two (2) funds, and the use of cash balance in the Emergency Loan Program totaling $327,000 and the additional $273,000 being transferred from the general fund to the ELF, resulting in an expense of $600,000 from the ELF. A summary spreadsheet outlining proposed budget changes is attached. The Administration requests this document be modified based on the decisions of the Council. The budget amendment is separated in eight different categories: A. New Budget Items B. Grants for Existing Staff Resources C. Grants for New Staff Resources D. Housekeeping Items E. Grants Requiring No New Staff Resources F. Donations G. Council Consent Agenda Grant Awards I. Council Added Items PUBLIC PROCESS: Public Hearing This page has intentionally been left blank This page has intentionally been left blank Initiative Number/Name Fund Revenue Amount Expenditure Amount Revenue Amount Expenditure Amount Ongoing or One- time FTEs A-1 Business Support: Commercial Fire at 300 South Block of Main Street GF 0.00 273,000.00 One-Time - A-1 Business Support: Commercial Fire at 300 South Block of Main Street ELP 273,000.00 600,000.00 One-Time - A-2 Withdrawn Prior to Transmittal One-Time - A-3 Main Street Fire Public Right of Way GF 0.00 80,000.00 One-time - A-4 Relocation Assistance for Tenants (RAFT) Program GF 0.00 (100,000.00)One-time - A-4 Main Street Fire Rental Assistance Proposal GF 0.00 100,000.00 One-time - Section E: Grants Requiring No New Staff Resources Consent Agenda Total of Budget Amendment Items 273,000.00 953,000.00 0.00 0.00 - Initiative Number/Name Fund Revenue Amount Expenditure Amount Revenue Amount Expenditure Amount Ongoing or One- time FTEs Total by Fund, Budget Amendment #1: General Fund GF 0.00 353,000.00 0.00 0.00 - Emergency Loan Program Fund ELP 273,000.00 600,000.00 0.00 0.00 Total of Budget Amendment Items 273,000.00 953,000.00 0.00 0.00 - Administration Proposed Council Approved Fiscal Year 2025-26 Budget Amendment #1 - Third Retransmittal Council ApprovedAdministration Proposed Section I: Council Added Items Section A: New Items Section D: Housekeeping Section F: Donations Section G: Council Consent Agenda -- Grant Awards Section C: Grants for New Staff Resources Section B: Grants for Existing Staff Resources 1 Fiscal Year 2025-26 Budget Amendment #1 - Third Retransmittal Current Year Budget Summary, provided for information only FY 2025-26 Budget, Including Budget Amendments FY 2025-26 Adopted Budget BA #1 Total BA #2 Total BA #3 Total BA #4 Total BA #5 Total Total Revenue General Fund (FC 100)453,721,525.09 0.00 453,721,525.09 Debt Service Fund (FC 101)30,514,822.00 30,514,822.00 Other Improvement Fund (FC 150)3,000.00 3,000.00 Capital Improvement Fund (FC 300)41,675,084.00 41,675,084.00 Water Utility Fund (FC 400)192,010,432.00 192,010,432.00 Sewer Utility Fund (FC 410)357,160,859.00 357,160,859.00 Stormwater Utility Fund (FC 420)25,327,969.00 25,327,969.00 Street Lighting Utility Fund (FC 430)5,874,881.00 5,874,881.00 Department of Airports Fund (FC 540)606,598,500.00 606,598,500.00 Fleet Management Fund (FC 610)23,925,700.00 23,925,700.00 Risk Management Fund (FC 620)69,846,524.37 69,846,524.37 Governmental Immunity Fund (FC 630)4,529,865.00 4,529,865.00 Information Mgt Serv Fund (FC 650)43,052,934.00 43,052,934.00 Local Building Authority Fund (FC 660)1,172,525.00 1,172,525.00 Refuse Collection Fund (FC670)25,469,123.00 25,469,123.00 Golf Fund (FC 680)14,156,634.00 14,156,634.00 Housing and Loan Fund (FC 690)14,082,500.00 14,082,500.00 CDBG Fund (FC 710)4,885,779.00 4,885,779.00 Miscellaneous Grants Fund (FC 720)12,714,477.00 12,714,477.00 Demolition Weed and Forfeiture (FC 730)4,365,000.00 4,365,000.00 Emergency 911 Dispatch (FC 750)4,295,000.00 4,295,000.00 Downtown Alliance Fund (FC 760)1,700,000.00 1,700,000.00 Donations Fund (FC 770)500,000.00 500,000.00 Funding Our Future Fund (FC 780)58,749,999.00 58,749,999.00 Transportation Fund (FC 785)14,332,500.00 14,332,500.00 DEA Taskforce (FC 901)1,159,207.61 1,159,207.61 Community Reinvestment Agency Fund (FC 920)86,036,232.00 86,036,232.00 Sports Arena Fund (FC 740)79,512,660.00 79,512,660.00 Emergency Loan Program Fund - 273,000.00 273,000.00 Total of Budget Amendment Items 2,177,373,732.07 273,000.00 - - - - 2,177,646,732.07 2 Fiscal Year 2025-26 Budget Amendment #1 - Third Retransmittal Total Expense BA #1 Total BA #2 Total BA #3 Total BA #4 Total BA #5 Total Total Expense General Fund (FC 100)464,359,952.26 353,000.00 464,712,952.26 Debt Service Fund (FC 101)36,589,783.00 36,589,783.00 Other Improvement Fund (FC 150)3,000.00 3,000.00 Capital Improvement Fund (FC 300)48,175,084.00 48,175,084.00 Water Utility Fund (FC 400)216,611,815.00 216,611,815.00 Sewer Utility Fund (FC 410)159,022,034.00 159,022,034.00 Stormwater Utility Fund (FC 420)26,465,800.30 26,465,800.30 Street Lighting Utility Fund (FC 430)8,418,357.00 8,418,357.00 Department of Airports Fund (FC 540)476,954,577.00 476,954,577.00 Fleet Management Fund (FC 610)23,735,252.00 23,735,252.00 Risk Management Fund (FC 620)69,846,524.37 69,846,524.37 Governmental Immunity Fund (FC 630)4,302,013.00 4,302,013.00 Information Mgt Serv Fund (FC 650)43,052,934.00 43,052,934.00 Local Building Authority Fund (FC 660)1,172,525.00 1,172,525.00 Refuse Collection Fund (FC670)29,357,332.00 29,357,332.00 Golf Fund (FC 680)26,570,200.00 26,570,200.00 Housing and Loan Fund (FC 690)14,082,500.00 14,082,500.00 CDBG Fund (FC 710)4,885,779.00 4,885,779.00 Miscellaneous Grants Fund (FC 720)12,714,477.00 12,714,477.00 Demolition Weed and Forfeiture (FC 730)4,365,000.00 4,365,000.00 Emergency 911 Dispatch (FC 750)9,646,688.00 9,646,688.00 Downtown Alliance Fund (FC 760)1,700,000.00 1,700,000.00 Donations Fund (FC 770)500,000.00 500,000.00 Funding Our Future Fund (FC 780)48,111,571.83 48,111,571.83 Transportation Fund (FC 785)15,106,833.00 15,106,833.00 DEA Taskforce (FC 901)1,159,207.61 1,159,207.61 Community Reinvestment Agency Fund (FC 920)86,036,232.00 86,036,232.00 Sports Arena Fund (FC 740)79,512,660.00 79,512,660.00 Emergency Loan Program Fund - 600,000.00 600,000.00 - Total of Budget Amendment Items 1,912,458,131.37 953,000.00 - - - - 1,913,411,131.37 3 Fiscal Year 2025-26 Budget Amendment #1 - Third Retransmittal Finance Department City Council Office Contingent Appropriation / Notes 4 This page has intentionally been left blank Salt Lake City FY 2025-26 Budget Amendment #1 – Third Retransmittal Initiative Number/Name Fund One-time or Ongoing Amount 1 Section A: New Items A-1: Business Support: Commercial Fire at 300 South Block of Main Street GF One-time $273,000.00 ELP One-Time $600,000.00 Department: Administration Prepared By: Greg Cleary For questions, please include Jill Love and Mary Beth Thompson Following the commercial fire on the evening of Monday August 11, 2025 impacting businesses at the 300 South Block of Main Street, this budget amendment item is intended to provide short term financial support to the impacted businesses and provide temporary operational expenses while displaced. This item is intended to provide the five (5) directly impacted businesses up to $100,000 each. Additional funds in the amount of $100,000 are being requested at this time, as the full impacts following this event are unknown, and to allow some flexibility in supporting the impacted business community. The funding will be provided in the form of a loan, which include a 5-year repayment term with no interest. Borrowers will have the option to defer payments for up to 2 years, before payments begin . These efforts have a unique nature because of the size and scale of loss impacting a major ecosystem of business in Salt Lake City. The total loss of four consecutive businesses impacting more than 250 employees, as well as resulting impacts to neighboring businesses, creates a major gap in the commerce of a main downtown core block face. These are thriving businesses that drive traffic and activation that benefit the entire downtown ecosystem, including public safety. Because of these special, unprecedented circumstances, and in order to avoid a languishing block face on Main Street, the City needed to explore avenues expedite recovery and restoration. The Emergency Loan Program (ELP) will contribute $327,000 (cash balance) while the General Fund will contribute $273,000, totaling $600,000. Additionally, the CRA will bring a related item to the board, requesting funding assist property owners with the hope that it expedites rebuilding at the impacted site. This funding would be offered as a no -interest 2-year loan. Finally, assistance for individual employees is being handled in coordination with Downtown Alliance in a fundraising effort. This item is being requested as a straw poll to expedite the support. Withdrawn Prior to Transmittal A-3: Mainstreet Fire Public Right of Way GF One-time $80,000.00 Department: Non-Departmental Prepared By: Lynn Jacobs For questions, please Lynn Jacobs, Jon Larsen, Julianne Sabula The Administration is requesting funding for Transportation to erect barriers to allow safe pedestrian passage in front of the buildings burned in the recent fire on Main Street. These barriers would be used to create a path in front of the buildings that would reroute sidewalk traffic from the sidewalk to the street adjacent to the area in front of the building where metered parking spaces currently exist. The parking spaces would be bagged and not utilized for parking while the barriers are in place. Transportation wants to take the safest approach to keeping pedestrians safe while helping to keep the area walkable and vibrant. The sidewalk is currently closed, but most pedestrians are ignoring the closure and walking out in the street to get around the fencing surrounding the burned buildings. Salt Lake City FY 2025-26 Budget Amendment #1 – Third Retransmittal Initiative Number/Name Fund One-time or Ongoing Amount 2 To ensure the barriers are placed as quickly as possible, the city would need to rent them since the city doesn’t have any such barriers. The estimated cost to rent the barriers is $4,000 per week, or a cost of $48,000 over the 90-day period. However, since the cost of renting the barriers would be so high over the 90-day period, Transportation is working with suppliers on a potential rent-to-own arrangement. This would allow the city to have these barriers to use in other locations and circumstances. Transportation is requesting $80,000 for barrier rental/purchase. This amount will allow a cushion should the costs be higher than anticipated. This item is being requested as a straw poll to expedite the support. A-4: Relocation Assistance for Tenants (RAFT) Program GF One-time ($100,000.00) A-4: Main Street Fire Rental Assistance Proposal GF One-time $100,000.00 Department: CAN Prepared By: Tammy Hunsaker For questions, please include Tammy Hunsaker The Administration is proposing to allocate a portion of the funding currently appropriated to the Relocation Assistance for Tenants (RAFT) Program to a new program that will provide emergency rental assistance for employees that are financially impacted by the Main Street fires. The RAFT program is being administered by the Community Development Corporation of Utah. The Administration is proposing that up to $100,000 of the funding currently appropriated to RAFT be used for a Main Street Fire Rental Assistance Program. This item is to rescope Funding Our Future budget, which has been previously approved and allocated as part of the FY 2026 adopted budget. The RAFT program is intended to provide emergency rental assistance for those facing displacement due to redevelopment or rent increases. The new Main Street Fire Rental Assistance Program would be different than the RAFT program as it would assist employees who have lost income due to the fire. Funding is not intended to compensate for ongoing rent but is intended to provide a one-time payment to help stabilize renters. Amount of Assistance: • Full time employees: $2,000 or the amount of one month rent, whichever is lower • Part time employees: $1,000 or the amount of one month rent, whichever is lower • To be disbursed on a first-come, first-serve basis for eligible applicants, subject to funding availability. To be eligible: • Applicants must rent a house or apartment in Salt Lake City. • Applicants must have a valid lease agreement with a monthly rental payment. • Applicants must be on the lease. • Applicants must have a combined household income of 80% AMI or below. • Applicants must have lost income due to the Main Street fires, with the income loss equating to at least a quarter of the household income. Note: Persons are deemed ineligible if they live in public housing or have ongoing rental assistance (i.e. Section 8 or a Housing Choice, etc.) CAN will be amending the contract to match the requirements in th is budget amendment item. Once the amendment is adopted the contract will be modified as the Council has approved it for the new purpose. Salt Lake City FY 2025-26 Budget Amendment #1 – Third Retransmittal Initiative Number/Name Fund One-time or Ongoing Amount 3 Section B: Grants for Existing Staff Resources Section C: Grants for New Staff Resources Section D: Housekeeping Section E: Grants Requiring No New Staff Resources Section F: Donations Section G: Consent Agenda Section I: Council Added Items This page has intentionally been left blank Impact Fees (Page 1) Data pulled 04/30/2025 AAA BBB CCC DDD = AAA - BBB - CCC Fire Allocation Budget Amended Allocation Encumbrances YTD Expenditures Allocation Remaining Appropriation Budget Amount Values Description Cost Center 8484002 -$ -$ -$ -$ 8419202 3,079$ 3,021$ 3,021$ (2,963)$ 8423004 9,000$ -$ 1,540$ 7,460$ FY24B4A6-3036-Fire Station 1 Fencing 130,275$ -$ -$ 130,275$ B Grand Total Parks Allocation Budget Allocation Encumbrances YTD Expenditures Remaining Description Cost Center FY24CIP-3037-337 Park Development 550,000$ -$ -$ 550,000$ FY25CIP-3037-5th West Commons Conversation Center(s)50,000$ -$ -$ 50,000$ 8416005 1,733$ 855$ 1,733$ (855)$ 8423406 287,848$ 130$ 8,420$ 279,298$ 8420136 149,953$ -$ 162,067$ (12,114)$ FY25CIP-3037-Amplifying Our Jordan River Revitalization 1,300,000$ -$ -$ 1,300,000$ 8418005 262,043$ 262,043$ -$ -$ FY24CIP-3037-Cottonwood Park Trailhead and Parklet 648,000$ -$ -$ 648,000$ 8420424 240,239$ -$ 143,325$ 96,914$ 8418002 23,262$ -$ 19,638$ 3,624$ FY25CIP-3037-Equal Grounds Project (Calisthenics-Fitness Area)86,200$ -$ -$ 86,200$ FY25CIP-3037-Fairmont Park Basketball Court 678,600$ -$ -$ 678,600$ FY24CIP-3037-Fire Station No. 7 Tennis and Pickleball Court Restoration and Amenities 416,150$ -$ -$ 416,150$ 8421401 132,208$ 1,400$ 123,813$ 6,996$ FY FY25B1D15-3037-Folsom Trail Landscaping, Irrigation & Completing the Trail 1,000,000$ -$ -$ 1,000,000$ 8420430 125,740$ 66,901$ 58,839$ -$ 8423408 499,457$ -$ 5,511$ 493,946$ FY25B1D15-3037-Glendale Park Phase 2 Design & Construction 11,350,000$ 5,609,300$ 273,777$ 5,466,922$ 8423450 4,350,000$ 1,561,800$ 2,788,200$ -$ 8422406 2,246,982$ 1,228,956$ 1,018,027$ -$ 8422408 513,788$ 24,243$ 489,546$ 0$ C 8422410 315,770$ -$ 156,146$ 159,624$ 8420406 54,808$ -$ -$ 54,808$ 8423005 9,000$ -$ 1,540$ 7,460$ 8419103 6,398$ -$ -$ 6,398$ FY24CIP-3037-Jefferson Park Improvements 530,000$ -$ -$ 530,000$ 8420134 404,139$ 1,649$ 14,304$ 388,186$ 8422414 475,079$ 6,361$ 13,693$ 455,024$ 8417018 1,570$ -$ -$ 1,570$ 8417017 2,946$ -$ -$ 2,946$ FY25B1D15-3037-Liberty Park All Abilities Play Park & Playground 2,000,000$ -$ -$ 2,000,000$ 8423409 299,269$ -$ 220,000$ 79,269$ 8417011 60,928$ -$ 60,821$ 107$ 8423451 996,905$ -$ 429,207$ 567,698$ 8423407 864,449$ -$ -$ 864,449$ 8423452 450,000$ -$ 33,140$ 416,860$ 8423453 300,000$ -$ -$ 300,000$ Parks Bilingual Signage Installation FY24CIP-3037-Parks Bilingual Signage Installation 331,200$ -$ -$ 331,200$ Park's Consultant's Contract 8419204 2,638$ 2,596$ 2,596$ (2,554)$ Parley's Trail Design & Constr 8417012 327,678$ -$ -$ 327,678$ Pioneer Park 8419150 3,052,938$ 1,050,562$ 830,103$ 1,172,273$ Playground Shade FY25CIP-3037-Playground Shade 500,000$ -$ -$ 500,000$ Pocket Park Community Space - Jake Garn WFY25CIP-3037-Pocket Park Community Space - Jake Garn Way 330,000$ -$ -$ 330,000$ Poplar Grove Park Full Court Basketball Exp FY24CIP-3037-Poplar Grove Park Full Court Basketball Expansion 253,500$ -$ 8,182$ 245,319$ RAC Playground Phase II 8423405 521,564$ -$ -$ 521,564$ RAC Playground with Shade Sails 8422415 178,298$ 11,542$ 63,456$ 103,300$ Redwood Meadows Park Dev 8417014 9,350$ -$ -$ 9,350$ Rich Park Comm Garden 8420138 12,431$ -$ -$ 12,431$ Riverside Park Pathway Loop FY25CIP-3037-Riverside Park Pathway Loop 530,000$ -$ -$ 530,000$ Rose Park Neighborhood Center 8423403 157,280$ -$ 157,280$ -$ Rosewood Dog Park 8417013 1,056$ -$ -$ 1,056$ SLC Foothills Land Acquisition 8422413 319,139$ -$ 14,175$ 304,964$ SLC Foothills Trailhead Development 8422412 1,241,318$ 127,040$ 103,060$ 1,011,218$ Street Futsal Courts 1:1 Match FY25CIP-3037-Street Futsal Courts 1:1 Match 350,000$ -$ -$ 350,000$ Three Creeks West Bank New Park 8422403 150,736$ -$ -$ 150,736$ Trailhead Prop Acquisition 8421403 21,830$ -$ -$ 21,830$ UTGov Ph2 Foothill Trails 8420420 120,893$ -$ -$ 120,893$ Warm Springs & North Gateway Park FY25B1D15-3037-Warm Springs & North Gateway Park 1,000,000$ -$ -$ 1,000,000$ Wasatch Hollow Improvements 8420142 431,860$ 22,382$ 11,481$ 397,996$ Waterpark Redevelopment Plan 8421402 1,705$ 1,705$ -$ -$ Grand Total 9,160,648$ 8484003 $777,182 8484002 Impact Fees (Page 2)CONTINUED from PG1 Data pulled 04/30/2025 AAA BBB CCC DDD = AAA - BBB - CCC Police Allocation Allocation Encumbrances YTD Expenditures Allocation Remaining Appropriation Description Cost Center 8423003 9,000$ -$ 1,540$ 7,460$ FY24B5A6-3035-Police Impact Fee Refunds 47,592$ -$ -$ 47,592$ Grand Total Streets Allocation Budget Amended Allocation Encumbrances YTD Expenditures Allocation Remaining Appropriation Values Description Cost Center 8422622 35,300$ -$ -$ 35,300$ 8423602 252,000$ -$ 252,000$ -$ 8422602 37,422$ -$ 37,422$ -$ FY24B3A5-3038-2100 South Reconstruction (131,247)$ -$ (131,247)$ -$ 8423606 40,000$ 40,000$ -$ -$ 8422611 90,000$ 25,000$ -$ 65,000$ 8418016 22,744$ -$ -$ 22,744$ 8412001 11,703$ 5,685$ 6,018$ -$ D FY24B3A6-3038-600/700 North Reconstruction 3,204,371$ -$ -$ 3,204,371$ 8423305 (166)$ -$ (166)$ -$ FY24CIP-3038-75-Year-Old Traffic Signal Replacement 40,000$ -$ -$ 40,000$ 8422604 28,000$ -$ 28,000$ -$ 8418003 181,303$ -$ 136,936$ 44,367$ 8420120 18,699$ -$ -$ 18,699$ 8422608 25,398$ -$ 25,398$ -$ 8423625 (224,557)$ -$ (224,557)$ -$ 8406001 15,169$ 12,925$ 585$ 1,659$ 8412002 124,593$ -$ -$ 124,593$ 8422614 104,500$ -$ -$ 104,500$ FY24CIP-3038-Safer Crossings: Main St., Glendale Park, an 90,000$ -$ 1,418$ 88,582$ 8420125 (1,359,910)$ -$ (1,359,910)$ -$ 8421501 340,236$ -$ 53,109$ 287,127$ 8419008 (108,000)$ -$ (108,000)$ -$ 8420105 (200,000)$ -$ (200,000)$ -$ 8423608 110,000$ -$ 5,205$ 100,000$ FY24CIP-3038-Transit Capital for Frequent Transit Routes / 110,000$ -$ 513$ 109,488$ 8420110 46,883$ 11,820$ 5,480$ 29,583$ 8422620 6,316$ -$ -$ 6,316$ 8421500 241,135$ 2,558$ 118,188$ 120,388$ FY24B5A7-3038-Update of the Streets IFFP - Unappropriate 30,183$ -$ -$ 30,183$ FY24B5A7-3038-Update of the Streets IFFP (Rescope 8419 29,817$ 17,442$ -$ 12,374$ 8422619 6,500$ -$ -$ 6,500$ Grand Total Total E = A + B + C + D 15,372,660$ 3,799,855$ 8484005 UnAllocated Budget Amount 1,634,974$ 8484001 This page has intentionally been left blank SALT LAKE CITY BOARD MEMBER APPOINTMENT To:  Salt Lake City Council Chair Submission Date: 08/05/2025 Date Sent To Council: 08/13/2025 From:  Otto, Rachel Subject: Board Appointment Recommendation: Public Utilities Advisory Committee Recommendation:  The Administration recommends the Council approve the appointment of Sean McKelvie to the Public Utilities Advisory Committee for a 4 year term starting on the date of City Council advice and consent and ending on the third Monday in January. Approved:* Otto, Rachel SALT LAKE CITY BOARD MEMBER APPOINTMENT To:  Salt Lake City Council Chair Submission Date: 08/05/2025 Date Sent To Council: 08/13/2025 From:  Otto, Rachel Subject: Board Appointment Recommendation: Public Utilities Advisory Committee Recommendation:  The Administration recommends the Council approve the appointment of Kamiron Anderson to the Public Utilities Advisory Committee for a 4 year term starting on the date of City Council advice and consent and ending on the third Monday in January. Approved:* Otto, Rachel