Issuer: |
Aetna Inc. | |
Ratings (Moodys/S&P/Fitch) : |
A3/A-/A- | |
Note Type: |
Senior Notes | |
Legal Format: |
SEC Registered | |
Principal Amount: |
$500,000,000 | |
Trade Date: |
September 9, 2008 | |
Settlement Date (T+3 days): |
September 12, 2008 | |
Maturity Date: |
September 15, 2018 | |
Coupon: |
6.50% | |
Interest Payment Frequency: |
Semi-annual | |
Interest Payment Dates: |
March 15 and September 15 | |
First Pay Date: |
March 15, 2009 | |
Day Count: |
30/360 | |
Pricing Benchmark: |
4.00% due August 2018 | |
Benchmark Spot: |
103-13 | |
Benchmark Yield: |
3.589% | |
Reoffer Spread to Benchmark: |
+295 bps | |
Reoffer Yield: |
6.539% | |
Price to Public / Reoffer Price: |
99.716% | |
Underwriting Fees: |
0.65% | |
Use of Proceeds: |
Net proceeds will be used to repay outstanding commercial paper borrowings. | |
Optional Redemption: |
At the greater of 100% of the principal amount of the notes or at a make-whole using a discount rate of Treasury plus 45 basis points | |
Minimum Denomination: |
$2,000 x $1,000 | |
Joint Bookrunning Managers: |
Banc of America Securities LLC, Citigroup Global Markets Inc. and J.P. Morgan Securities Inc. | |
Senior Co-Managers: |
Barclays Capital Inc., Credit Suisse Securities (USA) LLC, Goldman, Sachs & Co., Morgan Stanley & Co. Incorporated, Greenwich Capital Markets, Inc., UBS Securities LLC, Wachovia Capital Markets, LLC |
Co-Managers: |
BNY Capital Markets, Inc., Fifth Third Securities, Inc., Lazard Capital Markets LLC, Lehman Brothers Inc., NatCity Investments, Inc., Piper Jaffray & Co., PNC Capital Markets LLC, SunTrust Robinson Humphrey, Inc., Wells Fargo Securities, LLC | |
CUSIP Number: |
008117 AM5 | |
ISIN Number: |
US008117AM56 |