Issuer:
|
Baxter International Inc. | |
Expected Ratings:
|
Baa1/A-/A- (Stable/Watch Positive/Positive) | |
Format:
|
SEC Registered | |
Ranking:
|
Senior Unsecured | |
Offering Size:
|
$600,000,000 | |
Trade Date:
|
August 3, 2006 | |
Settlement Date:
|
August 8, 2006 (T+3) | |
Maturity:
|
10 years September 1, 2016 | |
Interest Payment Dates:
|
Payable semi-annually on March 1 and September 1 | |
First Pay Date:
|
March 1, 2007 | |
Treasury Benchmark:
|
UST 5.125% due May 15, 2016 | |
UST Spot (PX / Yield):
|
101-12+ / 4.943% | |
Spread to UST:
|
+ 100 bps | |
Re-offer Yield to Maturity:
|
5.943% | |
Coupon:
|
5.900% | |
Issue Price:
|
99.672% | |
Net Proceeds to Issuer:
|
$595,032,000 | |
Day Count Basis:
|
30 / 360 | |
Optional Redemption:
|
Make Whole + 15 bps | |
Minimum Denomination:
|
$2,000 x $2,000 | |
CUSIP:
|
071813 AW 9 | |
Bookrunners:
|
Goldman, Sachs & Co., J.P. Morgan Securities Inc. | |
Co-managers:
|
Banc of America Securities LLC, Credit Suisse Securities (USA) LLC, Deutsche Bank Securities Inc., UBS Securities LLC |