Issuer: |
Popular North America, Inc. | |
Medium-Term Note Series: |
F | |
Principal Amount: |
$250,000,000 | |
Rank: |
Senior | |
Issue Price to Investors: |
$249,850,000 plus accrued interest, if any, from December 12, 2005 | |
Purchase Price: |
$249,225,000 | |
Proceeds to the Issuer:
|
$249,225,000 | |
Trade Date:
|
December 7, 2005 | |
Settlement Date:
|
December 12, 2005 | |
Maturity Date:
|
December 12, 2007 | |
Redemption/Repayment Provisions (if any):
|
None, except as described in the last paragraph in Description of Debt Securities We May Offer Redemption and Repayment in the Prospectus | |
Annual Interest Rate:
|
5.20% | |
Regular Record Dates:
|
May 28 and November 27 of each year | |
Interest Payment Dates:
|
Semi-annually in arrears on June 12 and December 12 of each year, commencing on June 12, 2006 | |
Form:
|
Book-Entry | |
CUSIP Number:
|
73318EAN3 | |
ISIN Number:
|
US73318EAN31 | |
Underwriters:
|
Credit Suisse First Boston LLC | |
Banc of America Securities LLC | ||
Cohen Bros. & Company, LLC | ||
Issuer: | Popular North America, Inc. | |
Medium-Term Note Series: | F | |
Principal Amount: | $150,000,000 | |
Rank: | Senior | |
Issue Price to Investors:
|
$150,000,000 plus accrued interest, if any, from December 12, 2005 | |
Purchase Price:
|
$149,625,000 | |
Proceeds to the Issuer:
|
$149,625,000 | |
Trade date:
|
December 7, 2005 | |
Settlement date:
|
December 12, 2005 | |
Maturity date: |
December 12, 2007 | |
Redemption/Repayment Provisions (if any):
|
None, except as described in the last paragraph in Description of Debt Securities We May Offer Redemption and Repayment in the Prospectus | |
Interest Rate Basis: |
LIBOR | |
Reference Page: |
Moneyline Telerate LIBOR Page | |
Index Maturity: |
Three-month | |
Index Currency: |
U.S. Dollars | |
Spread: |
0.35% | |
Interest Reset Dates: | March 12, June 12, September 12 and December 12, commencing on December 12, 2005, subject to adjustment as described in the Pricing Supplement | |
Interest Determination Dates: | Two London Banking Days prior to the applicable Interest Reset Date | |
Regular Record Dates: |
February 25, May 28, August 28 and November 27 of each year | |
Interest Payment Dates:
|
Quarterly in arrears on March 12, June 12, September 12 and December 12 of each year, commencing on March 12, 2006, subject to adjustment as described in the Pricing Supplement | |
Form: | Book-Entry | |
CUSIP Number: | 73318EAM5 | |
ISIN Number: | US73318EAM57 | |
Underwriters | Credit Suisse First Boston LLC | |
Banc of America Securities LLC | ||
Cohen Bros. & Company, LLC | ||