Title of Each Class of | Maximum Aggregate | Amount of Registration | ||||||||||
Securities Offered | Offering Price | Fee(1) | ||||||||||
Senior Notes |
$ | 925,000,000 | $ | 36,352.50 | ||||||||
(1) | Calculated in accordance with Rule 457(r) of the Securities Act of 1933. |
CUSIP No.: |
91159HGP9 | Issue Price (Dollar Amount and Percentage of Principal Amout): | ||||||||||||||||
Series: | Amount: | $924,454,250.00 / | 99.9410 | % | ||||||||||||||
þ | Series R (Senior) | Proceeds to the Company: | $924,454,250.00 | |||||||||||||||
o | Series S (Subordinated) | |||||||||||||||||
Interest Rate/Initial Interest Rate: | ||||||||||||||||||
Form of Note: | ||||||||||||||||||
þ | Book-Entry | Interest Payment Dates: | Quarterly, on the 6th of each August, |
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November, February and May |
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o | Certificated | |||||||||||||||||
Principal Amount: | $925,000,000.00 | Regular Record Date: | 15 Calendar Days Prior |
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Trade Date: | Thursday, May 01, 2008 | Interest Determination Date: | 2 Business Days Prior | |||||||||||||||
Original Issue Date: |
Tuesday, May 06, 2008 | Interest Reset Date: | Quarterly, on the 6th of each August, |
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November, February and May |
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Maturity Date: |
Thursday, May 06, 2010 | |||||||||||||||||
Base Rate (and, if applicable, | ||||||||||||||||||
related Interest Periods): | Index Source: | LIBOR01 (Reuters) |
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o | Fixed Rate Note | Index Maturity: | 3 month |
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o | Commercial Paper Note | Spread: | 0.400% |
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o |
Federal Funds Note | |||||||||||||||||
þ | LIBOR Note | Spread Multiplier: | ||||||||||||||||
o | EURIBOR Note | Maximum Interest Rate: | ||||||||||||||||
o |
Prime Rate Note | |||||||||||||||||
o | CD Rate Note | Day Count: | Act/360 |
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o | Treasury Rate Note | Minimum Interest Rate: | ||||||||||||||||
o |
CMT Rate Note | |||||||||||||||||
o | Other Base Rate | For Original Issue Discount Notes: | ||||||||||||||||
o | Zero Coupon Note | Original Issue Discount %: | ||||||||||||||||
Agents Commission: | $545,750.00 | Yield to Maturity: | ||||||||||||||||
Redemption Terms: |
Not Applicable | Original Issue Discount Notes: | ||||||||||||||||
Other Terms: | ||||||||||||||||||
o | Subject to special provisions set forth therein with respect to the prinipal amount thereof payable upon any redemption or acceleration of the maturity thereof. | |||||||||||||||||
Name of Agent and Delivery Instructions: | ||||||||||||||||||
Wachovia Securities | o | For Federal income tax purposes only. | ||||||||||||||||
DTC# 250 | Signature | |||||||||||||||||
/s/ Kenneth D. Nelson | ||||||||||||||||||
(Authorized signature) | ||||||||||||||||||
/s/ Lynn D. Flagstad | ||||||||||||||||||
(Authorized signature) | ||||||||||||||||||