Issuer:
|
Baxter International Inc. | |
Expected Ratings:
|
A3/A+/A (stable outlook / positive outlook / stable outlook) | |
Format:
|
SEC Registered | |
Ranking:
|
Senior Notes | |
Offering Size:
|
$350,000,000 | |
Trade Date:
|
February 23, 2009 | |
Settlement Date:
|
February 26, 2009 (T+3) | |
Maturity:
|
March 1, 2014 | |
Interest Payment Dates:
|
Semi-annually on each March 1st and September 1st | |
First Pay Date:
|
September 1, 2009 | |
Treasury Benchmark:
|
1.750% due 01/31/14 | |
UST Spot (PX / Yield):
|
99-18 / 1.843% | |
Spread to UST:
|
+222 bps | |
Re-offer Yield to Maturity:
|
4.063% | |
Coupon:
|
4.000% | |
Issue Price:
|
99.716% | |
Day Count Basis:
|
30/360 | |
Optional Redemption:
|
Make Whole + 35 bps | |
Minimum Denomination:
|
$2,000 x $1,000 |
CUSIP / ISIN:
|
071813AZ2 / US071813AZ23 | |
Bookrunners:
|
Deutsche Bank Securities Inc. UBS Securities LLC Citigroup Global Markets Inc. |
|
Co-manager:
|
Barclays Capital Inc. |