Issuer:
|
Goodrich Corporation | |
Size:
|
$600,000,000 | |
Security Type:
|
Senior Note | |
Maturity:
|
February 1, 2021 | |
Coupon:
|
3.60% | |
Price to Public:
|
99.788% of face amount | |
Yield to maturity:
|
3.625% | |
Spread to Benchmark Treasury:
|
T + 100 bps | |
Benchmark Treasury:
|
2.625% notes due August 15, 2020 | |
Benchmark Treasury Spot and Yield:
|
100-00 and 2.625% | |
Interest Payment Dates:
|
February 1 and August 1, commencing February 1, 2011 | |
Redemption Provisions: |
||
Make-whole call
|
At any time before 3 months prior to maturity at a discount rate of Treasury plus 15 basis points | |
Par call
|
At any time on or after 3 months prior to maturity | |
Trade Date:
|
September 8, 2010 | |
Settlement Date:
|
September 13, 2010 (T+3) |
CUSIP:
|
382388 AX4 | |
Ratings:
|
Baa2/BBB+/BBB+ | |
Underwriters:
|
Banc of America Securities LLC Citigroup Global Markets Inc. UBS Securities LLC Wells Fargo Securities, LLC BNY Mellon Capital Markets, LLC Credit Agricole Securities (USA) Inc. Credit Suisse Securities (USA) LLC Deutsche Bank Securities Inc. J.P. Morgan Securities LLC RBS Securities Inc. |