Issuer:
|
Vale Overseas Limited | |
Guarantor:
|
Vale S.A. | |
Title of securities:
|
4.625% Guaranteed Notes due 2020 (the 2020 Securities). | |
Aggregate Principal Amount:
|
US$1,000,000,000 | |
Price to Public:
|
99.030% of principal amount, plus accrued interest, if any, from September 15, 2010. | |
Gross Proceeds:
|
US$990,300,000 | |
Annual Interest Rate:
|
4.625% | |
Maturity:
|
September 15, 2020 | |
Interest Payment Dates:
|
Payable semi-annually on March 15 and September 15, commencing on March 15, 2011. | |
Yield to Maturity:
|
4.748% | |
Benchmark:
|
UST 2.625% due August 15, 2020 | |
Benchmark Yield:
|
2.648% | |
Spread to Treasury:
|
UST + 210 bps | |
Pricing Date:
|
September 8, 2010 | |
Settlement Date:
|
September 15, 2010 (T+5) | |
Ratings*:
|
Baa2 / BBB+ / BBB+ / BBB (high) (Moodys / Standard & Poors / Fitch / DBRS) | |
Minimum Denominations:
|
US$2,000/US$1,000 | |
Make-Whole Call Spread:
|
UST + 30 bps | |
Joint Bookrunners:
|
Credit Suisse Securities (USA) LLC | |
J.P. Morgan Securities LLC | ||
Co-Managers:
|
Banco Bradesco S.A. Grand Cayman Branch | |
BB Securities Ltd. | ||
Format:
|
SEC-Registered | |
Underwriters Discount:
|
0.35% | |
CUSIP:
|
91911TAL7 | |
ISIN:
|
US91911TAL70 | |
Listing:
|
Issuer will apply to list the 2020 Securities on the New York Stock Exchange. |