Free Writing Prospectus | Filed Pursuant to Rule 433 | |
(To the Preliminary Prospectus | Registration Statement No. 333-142044 | |
Supplement dated May 7, 2008) |
Issuer: |
The Hartford Financial Services Group, Inc. | |||
Security: |
SEC Registered Senior Unsecured Notes | |||
Specified Currency:
|
U.S. Dollars | |||
Principal Amount: |
$500,000,000 | |||
Trade Date:
|
May 7, 2008 | |||
Settlement Date (T+3):
|
May 12, 2008 | |||
Final Maturity:
|
January 15, 2019 | |||
Interest Rate: |
6.000% | |||
Benchmark Treasury:
|
3.5% UST due February 15, 2018 | |||
Benchmark Treasury Price: |
96-21+ | |||
Benchmark Treasury Yield: |
3.913% | |||
Spread to Treasury: |
210 bps | |||
Re-offer Yield: |
6.013% | |||
Public Offering Price: |
99.878% Per Note | |||
Interest Payment Dates:
|
Semi-annually in arrears on January 15 and July 15, commencing January 15, 2009. Long first coupon. | |||
Day Count Convention: |
30/360 | |||
Optional Redemption:
|
Make whole call at T+ 35 bps | |||
Authorized Denominations:
|
$2,000 and integral multiples of $1,000 in excess thereof | |||
CUSIP:
|
416515AV6 | |||
Book-Running Managers:
|
Deutsche Bank
Securities Inc. Goldman, Sachs & Co. Merrill Lynch & Co. |