SECURITIES
AND EXCHANGE COMMISSION
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WASHINGTON,
D.C. 20549
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Schedule
TO
Amendment
No. 5
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Tender
Offer Statement under Section
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14(d)(1)
or 13(e)(1) of the Securities Exchange Act of
1934
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CME
GROUP INC.
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(Name
of Issuer)
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CME
GROUP INC. (Issuer)
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(Name
of Filing Person (Identifying Status as Offeror, Issuer or Other
Person))
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Class
A Common Stock, par value $0.01 per share (including the associated
preferred stock purchase rights)
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(Title
of Class of Securities)
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12572Q105
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(CUSIP
Number of Class of Securities)
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Kathleen
M. Cronin, Esq.
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Managing
Director, General Counsel and Corporate
Secretary
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CME
Group Inc.
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20
South Wacker Drive
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Chicago,
Illinois 60606
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(312)
930-1000
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(Name,
Address and Telephone Number of Person Authorized to
Receive
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Notices
and Communications on Behalf of Filing
Persons)
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Copy
to:
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Rodd
M. Schreiber, Esq.
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Susan
S. Hassan, Esq.
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Skadden,
Arps, Slate, Meagher & Flom LLP
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333
West Wacker Drive
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Chicago,
Illinois 60606
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Telephone:
(312) 407-0700
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CALCULATION
OF FILING FEE
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Transaction
Valuation*
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Amount
of Filing Fee**
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$3,500,000,000
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$ 107,450
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*
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Calculated
solely for the purpose of determining the amount of the filing
fee. This
amount is based upon the purchase of 6,250,000 outstanding shares
of Class
A Common Stock at a price of $560.00 per share.
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**
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Calculated
pursuant to Section 13(e) of the Securities Exchange Act of 1934,
SEC
Release No. 34-53737 and SEC press release number 2007-24 (dated
February
16, 2007) as 0.0000307 multiplied by the transaction
valuation.
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T
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Check
the box if any part of the fee is offset as provided by Rule 0-11(a)(2)
and identify the filing with which the offsetting fee was previously
paid.
Identify the previous filing by registration statement number,
or the Form
or Schedule and the date of its filing.
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Amount
Previously Paid: $107,450
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Form
of Registration No.: Schedule TO-I
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Filing
Party: CME Group Inc.
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Date
Filed: August 1, 2007
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G
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Check
the box if the filing relates solely to preliminary communications
made
before the commencement of a tender offer.
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Check
the appropriate boxes below to designate any transactions to which
the
statement relates:
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G
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third-party
tender offer subject to Rule 14d-1
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T
|
issuer
tender offer subject to Rule 13e-4
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G
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going-private
transaction subject to Rule 13e-3
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G
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amendment
to Schedule 13D under Rule 13d-2
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Check
the following box if the filing is a final amendment reporting
the results
of the tender offer: T
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(a)(5)(viii)
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Press
release issued on September 5,
2007.
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Exhibit
Number
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Description
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(a)(1)(i)*
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Offer
to Purchase, dated August 1, 2007.
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(a)(1)(ii)*
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Letter
of Transmittal.
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(a)(1)(iii)*
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Notice
of Guaranteed Delivery.
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(a)(1)(iv)*
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Form
of Letter to Clients for use by Brokers, Dealers, Commercial Banks,
Trust
Companies and Other Nominees.
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(a)(1)(v)*
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Letter
to Brokers, Dealers, Commercial Banks, Trust Companies and Other
Nominees,
dated August 1, 2007.
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(a)(2)
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None.
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(a)(3)
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Not
applicable.
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(a)(4)
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Not
applicable.
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(a)(5)(i)*
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Form
of summary advertisement.
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(a)(5)(ii)*
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Press
release issued August 1, 2007.
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(a)(5)(iii)**
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FAQ
on the tender offer.
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(a)(5)(iv)**
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Press
release issued on August 8, 2007.
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(a)(5)(v)**
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Press
release issued on August 8, 2007.
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(a)(5)(vi)****
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Memorandum
to clearing firms, dated August 23, 2007.
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(a)(5)(vii)*****
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Press
release issued on August 30, 2007.
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(a)(5)(viii)
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Press
release issued on September 5, 2007.
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(b)*
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364-Day
Revolving Credit Agreement, dated as of July 27, 2007, among
CME Group Inc., as Borrower, the Lenders party thereto, and Lehman
Commercial Paper Inc., as Administrative Agent.
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(b)(1)(i)***
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Commercial
Paper Dealer Agreement, dated as of August 16, 2007, between CME
Group
Inc., as Issuer, and Lehman Brothers Inc., as Dealer (incorporated
by
reference to Exhibit 10.1 to the Company’s Form 8-K filed with the SEC on
August 20, 2007, File No. 000-33379).
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(b)(1)(ii)***
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Commercial
Paper Dealer Agreement, dated as of August 16, 2007, among CME
Group Inc.,
as Issuer, and Merrill Lynch Money Markets Inc., as Dealer for
Notes with
maturities up to 270 days, and Merrill Lynch, Pierce, Fenner & Smith
Incorporated, as Dealer for Notes with maturities over 270 days
(incorporated by reference to Exhibit 10.2 to the Company’s Form 8-K filed
with the SEC on August 20, 2007, File No. 000-33379).
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(b)(1)(iii)***
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Issuing
and Paying Agency Agreement, dated as of August 16, 2007, between
CME
Group Inc. and JPMorgan Chase Bank, National Association, as issuing
and
paying agent (incorporated by reference to Exhibit 10.3 to the
Company’s
Form 8-K filed with the SEC on August 20, 2007, File
No. 000-33379).
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(d)(1)
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Rights
Agreement, dated as of November 30, 2001, between Chicago Mercantile
Exchange Holdings Inc. and Mellon Investor Services LLC (incorporated
by
reference to Exhibit 4.1 to the Company’s Form 8-A, filed with the SEC on
December 4, 2001, File No. 000-33379), including First Amendment
thereto,
dated as of November 13, 2002, between Chicago Mercantile Exchange
Holdings Inc., Mellon Investor Services, LLC and Computershare
Investor
Services, LLC (incorporated by reference to Exhibit 5 to the Company’s
Form 8-A, filed with the SEC on November 29, 2002, File No. 001-31553);
Second Amendment thereto, dated October 26, 2005, by and between
Chicago
Mercantile Exchange Holdings Inc. and Computershare Investor Services,
LLC
(incorporated by reference to Exhibit 4.1 to the Company’s Form 8-K filed
with the SEC on October 27, 2005, File No. 001-31553).
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(d)(2)(i)
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Agreement
and Plan of Merger, dated as of October 17, 2006, among Chicago
Mercantile
Exchange Holdings Inc., CBOT Holdings, Inc. and Board of Trade
of the City
of Chicago, Inc., as amended as of December 20, 2006 and May 11,
2007
(incorporated by reference to Annex A to the joint proxy
statement/prospectus that forms a part of the Company’s registration
statement on Form S-4 filed with the SEC on May 25, 2007, File
No.
333-143282).
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(d)(2)(ii)
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Amendment
No. 3 to the Agreement and Plan of Merger, dated as of June 14,
2007,
among Chicago Mercantile Exchange Holdings Inc., CBOT Holdings,
Inc. and
Board of Trade of the City of Chicago (incorporated by reference
to Annex
A to the first supplement to the joint proxy statement/prospectus
filed as
Exhibit 99.1 to the Company’s Current Report on Form 8-K, filed with the
SEC on June 18, 2007, File No. 000-33379).
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(d)(2)(iii)
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Amendment
No. 4 to the Agreement and Plan of Merger, dated as of July 6,
2007, among
Chicago Mercantile Exchange Holdings Inc., CBOT Holdings, Inc.
and Board
of Trade of the City of Chicago (incorporated by reference to Annex
A to
the second supplement to the joint proxy statement/prospectus that
forms a
part of the Company’s registration statement on Form S-4, filed with
the SEC on July 6, 2007, File No. 333-144371).
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(d)(3)
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Fourth
Amended and Restated Bylaws of CME Group Inc. (incorporated by
reference
to Exhibit 3.2 to the Company’s Form 8-K filed with the SEC on July 17,
2007, File No. 000-33379).
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(d)(4)
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Form
of Equity Grant Letter for Executive Officers (incorporated by
reference
to Exhibit 10.1 to the Company’s Form 10-Q, filed with the SEC on November
9, 2004, File No. 001-31553).
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(d)(5)
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2005
Director Stock Plan (incorporated by reference to Exhibit 99.1
to the
Company’s Form 8-K, filed with the SEC on April 28, 2005, File No.
001-31553).
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(d)(6)
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Form
of Equity Stipend Grant Letter for Non-Executive Directors (incorporated
by reference to Exhibit 99.2 to the Company’s Form 8-K, filed with the SEC
on April 28, 2005, File No. 001-31553).
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(d)(7)*
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Amended
and Restated Chicago Mercantile Holdings Inc. Employee Stock Purchase
Plan.
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(d)(8)(i)
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CBOT
Holdings, Inc. 2005 Long-Term Equity Incentive Plan (incorporated
by
reference to Exhibit 10.26 to CBOT Holdings Inc.’s Registration Statement
on Form S-1 (Registration No. 333-124730)).
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(d)(8)(ii)
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Form
of Restricted Stock Award (incorporated by reference to Exhibit
10.32 to
CBOT Holdings, Inc.’s Registration Statement on Form S-1 (Registration No.
333-124730)).
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(d)(8)(iii)
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Form
of Restricted Stock Award for Directors and Special Advisors (incorporated
by reference to Exhibit 10.33 to CBOT Holdings, Inc.’s Registration
Statement on Form S-1 (Registration No. 333-124730)).
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(d)(8)(iv)
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Form
of 2007 Non-Qualified Stock Option Award. (incorporated by reference
to
Exhibit 10.33 to CBOT Holdings, Inc.’s Annual Report on Form 10-K, filed
with the SEC on March 1, 2007).
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(d)(9)
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Chicago
Mercantile Exchange Inc. Supplemental Executive Retirement Plan
consisting
of the grandfathered Supplemental Retirement Plan, dated March
1, 2007,
and the Amended and Restated 409A Supplemental Executive Retirement
Plan,
effective January 1, 2005 (incorporated by reference to Exhibit
10.3 to
the Company’s Form 10-Q, filed with the SEC on May 7, 2007, File No.
000-33379).
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(d)(10)
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Chicago
Mercantile Exchange Inc. Senior Management Supplemental Deferred
Savings
Plan (SMSDSP) consisting of the grandfathered SMSDSP, dated March
1, 2007,
and the Amended and Restated 409A SMSDSP, effective January 1,
2005
(incorporated by reference to Exhibit 10.3 to the Company’s Form 10-Q,
filed with the SEC on May 7, 2007, File No. 000-33379).
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(d)(11)
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Chicago
Mercantile Exchange Holdings Inc. Amended and Restated Omnibus
Stock Plan,
amended and restated effective as of April 25, 2007 (incorporated
by
reference to Exhibit 10.1 to the Company’s Current Report on Form 8-K,
filed with the SEC on April 30, 2007, File No.
000-33379).
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(d)(12)
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Chicago
Mercantile Exchange Holdings Inc. Amended and Restated Annual Incentive
Plan, amended and restated effective as of April 25, 2007 (incorporated
by
reference to Exhibit 10.2 to the Company’s Current Report on Form 8-K,
filed with the SEC on April 30, 2007, File No.
000-33379).
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(d)(13)
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Employment
Agreement, dated April 3, 2006, between Chicago Mercantile Exchange
Inc.
and Craig S. Donohue (incorporated by reference to Exhibit 10.1
to the
Company’s Form 8-K, filed with the SEC on April 3, 2006, File No.
000-33379).
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(d)(14)
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Agreement,
dated November 7, 2003 between Chicago Mercantile Exchange Inc.
and
Phupinder Gill (incorporated by reference to Exhibit 10.19 to the
Company’s Form 10-K, filed with the SEC on March 11, 2004), including the
First Amendment thereto, effective as of December 20, 2005 (incorporated
by reference to Exhibit 10.1 to the Company’s Form 8-K, filed with the SEC
on December 23, 2005, File No. 000-33379).
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(d)(15)
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Agreement,
dated November 21, 2003, between Chicago Mercantile Exchange Inc.
and
James Krause (incorporated by reference to Exhibit 10.23 to the
Company’s
Form 10-K, filed with the SEC on March 11, 2004, File No. 001-31553),
including the First Amendment thereto, effective on June 1, 2004
(incorporated by reference to Exhibit 10.23 to the Company’s Form 10-K
filed with the SEC on March 6, 2006, File No.
000-33379).
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(d)(16)
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Employment
Agreement, dated February 3, 2006, between Chicago Mercantile Exchange
Inc. and John P. Davidson III (incorporated by reference to Exhibit
10.1
to the Company’s Form 8-K, filed with the SEC on February 8, 2006, File
No. 000-33379).
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(d)(17)
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Consulting
Agreement between Chicago Mercantile Exchange Holdings Inc. and
Jack
Sandner, dated October 10, 2005 (incorporated by reference to Exhibit
10.4
to the Company’s Form 10-Q, filed with the SEC on November 4, 2005, File
No. 000-33379).
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(d)(18)
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Consulting
Agreement between Chicago Mercantile Exchange Holdings Inc. and
Leo
Melamed, dated January 31, 2005 (incorporated by reference to Exhibit
99.1
to the Company’s Form 8-K, filed with the SEC on February 3, 2005, File
No. 001-31553).
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(d)(19)
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Consulting
Agreement between Chicago Mercantile Exchange Holdings Inc. and
Leo
Melamed, dated November 14, 2005 (incorporated by reference to
Exhibit
10.28 to the Company’s Form 10-K filed with the SEC on March 6, 2006, File
No. 000-33379).
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(g)
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None.
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(h)
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None.
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