Title of Each Class of Securities Offered | Maximum Aggregate Offering Price | Amount of Registration Fee(1) | ||||||
Senior Notes
|
$ | 250,000,000 | $ | 17,825 |
(1) | Calculated in accordance with Rule 457(r) of the Securities Act of 1933. |
CUSIP No.:
|
91159HGV6 | |
Series: |
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þ Series R (Senior) |
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o Series S (Subordinated) |
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Form of Note: |
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þ Book-Entry |
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o Certificated |
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Principal Amount:
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$250,000,000 | |
Trade Date:
|
March 3, 2010 | |
Original Issue Date:
|
March 8, 2010 | |
Maturity Date:
|
April 1, 2015 | |
Base Rate (and, if applicable, related Interest
Periods): |
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þ Fixed Rate Note |
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o Commercial Paper Note |
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o Federal Funds Note |
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o LIBOR Note |
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o EURIBOR Note |
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o Prime Rate Note |
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o CD Rate Note |
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o Treasury Rate Note |
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o CMT Rate Note |
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o Other Base Rate |
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o Zero Coupon Note |
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Agents Commission:
|
$347,500.00 |
Amount:
|
$249,797,500 / 99.919% | |
Net Proceeds to the Company:
|
$249,450,000 | |
Interest Rate/Initial Interest Rate:
|
3.125% | |
Interest Payment Dates:
|
April 1 and October 1, | |
beginning October 1, 2010 | ||
Regular Record Date:
|
15 Calendar Days prior to | |
each Interest Payment Date | ||
Interest Determination Date: |
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Interest Reset Date: |
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Index Source: |
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Index Maturity: |
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Spread: |
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Spread Multiplier: |
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Maximum Interest Rate: |
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Day Count:
|
30/360 | |
Minimum Interest Rate: |
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For Original Issue Discount Notes: |
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Original Issue Discount %: |
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Yield to Maturity: |
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Original Issue Discount Notes: |
o | Subject to special provisions set forth therein with respect to the principal amount thereof payable upon any redemption or acceleration of the maturity thereof. | |
o | For Federal income tax purposes only. |