þ Fixed Rate Note |
o Floating Rate Note | |
þ Book Entry Note |
o Certificated Note | |
Issue Price (as a percentage of principal amount): |
100% | |
Net Proceeds to Issuer: |
$24,812,500 | |
Original Issue Date: |
March 22, 2006 | |
Maturity Date: |
March 15, 2036 | |
Redemption: |
þ Optional Redemption: | ||||
Type: | þ Make-whole redemption at any time on or after March 22, 2006 | |||
Make-Whole Premium: 20 bps | ||||
o Other Redemption | ||||
Initial Redemption Price: _________ | ||||
Initial Redemption Date: _________ | ||||
Percentage amount by which Initial
Redemption Price decreases each year: _________ |
o Other Redemption | ||
Type: ___________________________________
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Redemption price: _______________ |
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Redemption dates: Each payment date beginning _______________ |
Base Rate:
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Maximum Interest Rate: | |||||
o Commercial Paper Rate
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Minimum Interest Rate: | |||||
o Prime Rate
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Interest Reset Dates: | |||||
o CD Rate
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Interest Reset Period: | |||||
o Federal Funds Effective Rate
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Interest Payment Dates: | |||||
o LIBOR
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Interest Payment Period: | |||||
o Treasury Rate
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Interest Determination Dates: | |||||
o Other Rate |
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Initial Interest Rate: |
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Index Maturity: |
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Spread (plus or minus): |
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Spread Multiplier: |
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