Issuer: |
CMS Energy Corporation | |||
Security:
|
4.25% Senior Notes due 2015 | |||
Aggregate Principal Amount Offered: |
$250,000,000 | |||
Maturity:
|
September 30, 2015 | |||
Annual Interest Rate:
|
4.25% | |||
Yield to Maturity:
|
4.274% | |||
Spread to Treasury:
|
285 basis points | |||
Benchmark Treasury Security:
|
1.25% due August 31, 2015 | |||
Benchmark Treasury Yield:
|
1.424% | |||
Interest Payment Dates:
|
March 30 and September 30 | |||
First Interest Payment Date:
|
March 30, 2011 | |||
Public Offering Price:
|
99.892% | |||
Optional Redemption:
|
Make-whole call at any time at Treasury rate plus 50 basis points | |||
Trade Date:
|
September 20, 2010 | |||
Settlement Date:
|
September 23, 2010 (T+3) | |||
Ratings:
|
Ba1 / BB+ / BB+ (Moodys / S&P / Fitch) Note: A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time |
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Joint Book-Running Managers:
|
J.P. Morgan Securities LLC Banc of America Securities LLC Barclays Capital Inc. Citigroup Global Markets Inc. Deutsche Bank Securities Inc. |
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Co-Managers:
|
KeyBanc Capital Markets Inc. SunTrust Robinson Humphrey, Inc. |
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CUSIP/ISIN:
|
125896BF6 / US125896BF61 |