Issuer:
|
Potash Corporation of Saskatchewan Inc. | |
Title of Securities:
|
5.25% Notes due May 15, 2014 | |
Expected Ratings:
|
Baa1 / A- (Stable/Stable) | |
Format:
|
SEC Registered Registration Statement No. 333-148023 | |
Ranking:
|
Senior Unsecured | |
Principal Amount:
|
$500,000,000 | |
Expected Settlement Date:
|
May 1, 2009 | |
Trade Date:
|
April 28, 2009 | |
Maturity Date:
|
May 15, 2014 | |
Interest Payment Dates:
|
May 15 and November 15 of each year | |
First Payment Date:
|
November 15, 2009 | |
Benchmark Treasury:
|
1.75% due March 31, 2014 | |
Benchmark Treasury Price:
|
99-05 | |
Benchmark Treasury Yield:
|
1.930% | |
Spread to Benchmark Treasury:
|
T + 337.5 basis points | |
Reoffer Yield:
|
5.305% | |
Coupon:
|
5.25% payable semi-annually | |
Price to Public:
|
99.757% | |
Day Count:
|
30/360 | |
Minimum Denominations:
|
$2,000 x $1,000 | |
Redemption Make Whole:
|
At any time at the adjusted treasury rate plus 50 basis points | |
CUSIP Number / ISIN Number:
|
73755L AE7 / US73755LAE74 | |
Joint Book-Running Managers:
|
Banc of America Securities LLC HSBC Securities (USA) Inc. RBC Capital Markets Corporation |
|
Co-Managers:
|
BMO Capital Markets Corp. Scotia Capital (USA) Inc. CIBC World Markets Corp. Rabo Securities USA, Inc. Mitsubishi UFJ Securities (USA), Inc. Comerica Securities, Inc. SG Americas Securities, LLC Goldman, Sachs & Co. UBS Securities LLC |
Issuer:
|
Potash Corporation of Saskatchewan Inc. | |
Title of Securities:
|
6.50% Notes due May 15, 2019 | |
Expected Ratings:
|
Baa1 / A- (Stable/Stable) | |
Format:
|
SEC Registered Registration Statement No. 333-148023 | |
Ranking:
|
Senior Unsecured | |
Principal Amount:
|
$500,000,000 | |
Expected Settlement Date:
|
May 1, 2009 | |
Trade Date:
|
April 28, 2009 | |
Maturity Date:
|
May 15, 2019 | |
Interest Payment Dates:
|
May 15 and November 15 of each year | |
First Payment Date:
|
November 15, 2009 | |
Benchmark Treasury:
|
2.75% due February 15, 2019 | |
Benchmark Treasury Price:
|
97-25+ | |
Benchmark Treasury Yield:
|
3.011% | |
Spread to Benchmark Treasury:
|
T + 350 basis points | |
Reoffer Yield:
|
6.511% | |
Coupon:
|
6.50% payable semi-annually | |
Price to Public:
|
99.916% | |
Day Count:
|
30/360 | |
Minimum Denominations:
|
$2,000 x $1,000 | |
Redemption Make Whole:
|
At any time at the adjusted treasury rate plus 50 basis points | |
CUSIP Number / ISIN Number:
|
73755L AF4 / US73755LAF40 | |
Joint Book-Running Managers:
|
Banc of America Securities LLC HSBC Securities (USA) Inc. RBC Capital Markets Corporation |
|
Co-Managers:
|
BMO Capital Markets Corp. Scotia Capital (USA) Inc. CIBC World Markets Corp. Rabo Securities USA, Inc. Mitsubishi UFJ Securities (USA), Inc. Comerica Securities, Inc. SG Americas Securities, LLC Goldman, Sachs & Co. UBS Securities LLC |