Issuer: |
Potash Corporation of Saskatchewan Inc. | |
Title of Securities: |
3.25% Notes due December 1, 2017 | |
Expected Ratings: |
Baa1 / A- (Positive/Negative) | |
Format: |
SEC Registered Registration Statement No. 333-167833 | |
Ranking: |
Senior Unsecured | |
Principal Amount: |
$500,000,000 | |
Expected Settlement Date: |
November 30, 2010 | |
Trade Date: |
November 22, 2010 | |
Maturity Date: |
December 1, 2017 | |
Interest Payment Dates: |
June 1 and December 1 of each year | |
First Payment Date: |
June 1, 2011 | |
Benchmark Treasury: |
1.875% due October 31, 2017 | |
Benchmark Treasury Price: |
9820+ | |
Benchmark Treasury Yield: |
2.086% | |
Spread to Benchmark Treasury: |
T + 122 basis points | |
Reoffer Yield: |
3.306% | |
Coupon: |
3.25% payable semi-annually | |
Price to Public: |
99.652% | |
Day Count: |
30/360 | |
Minimum Denominations: |
$2,000 x $1,000 | |
Redemption Make Whole: |
At any time at the adjusted treasury rate plus 20 basis points | |
CUSIP Number / ISIN Number: |
73755L AJ6 / US73755LAJ61 | |
Joint Book-Running Managers: |
Merrill Lynch, Pierce, Fenner &
Smith Incorporated |
|
Goldman, Sachs & Co. |
||
Morgan Stanley & Co. Incorporated |
||
RBC Capital Markets, LLC |
||
Scotia Capital (USA) Inc. | ||
Co-Managers: |
BMO Nesbitt Burns Inc. |
|
HSBC Securities (USA) Inc. |
||
Jefferies & Company, Inc. |
||
Rabo Securities USA, Inc. |
||
UBS Securities LLC | ||
CIBC World Markets Corp. |
||
Mitsubishi UFJ Securities (USA), Inc. |
Issuer: |
Potash Corporation of Saskatchewan Inc. | |
Title of Securities: |
5.625% Notes due December 1, 2040 | |
Expected Ratings: |
Baa1 / A- (Positive/Negative) | |
Format: |
SEC Registered Registration Statement No. 333-167833 | |
Ranking: |
Senior Unsecured | |
Principal Amount: |
$500,000,000 | |
Expected Settlement Date: |
November 30, 2010 | |
Trade Date: |
November 22, 2010 | |
Maturity Date: |
December 1, 2040 | |
Interest Payment Dates: |
June 1 and December 1 of each year | |
First Payment Date: |
June 1, 2011 | |
Benchmark Treasury: |
3.875% due August 15, 2040 | |
Benchmark Treasury Price: |
9414+ | |
Benchmark Treasury Yield: |
4.203% | |
Spread to Benchmark Treasury: |
T + 152 basis points | |
Reoffer Yield: |
5.723% | |
Coupon: |
5.625% payable semi-annually | |
Price to Public: |
98.602% | |
Day Count: |
30/360 | |
Minimum Denominations: |
$2,000 x $1,000 | |
Redemption Make Whole: |
At any time at the adjusted treasury rate plus 25 basis points | |
CUSIP Number / ISIN Number: |
73755L AK3 / US73755LAK35 | |
Joint Book-Running Managers: |
Merrill Lynch, Pierce, Fenner &
Smith Incorporated |
|
Goldman, Sachs & Co. |
||
Morgan Stanley & Co. Incorporated |
||
RBC Capital Markets, LLC |
||
Scotia Capital (USA) Inc. | ||
Co-Managers: |
BMO Nesbitt Burns Inc. |
|
HSBC Securities (USA) Inc. |
||
Jefferies & Company, Inc. |
||
Rabo Securities USA, Inc. |
||
UBS Securities LLC | ||
CIBC World Markets Corp. |
||
Mitsubishi UFJ Securities (USA), Inc. |