Secondary Offering | | | March 26, 2024 |
| | Price to Public(1)(2) | | | Net Proceeds(3) | | | Remarketing Fee | |
Per $1,000 principal amount of Notes | | | % | | | % | | | % |
Total(3) | | | $ | | | $ | | | $ |
(1) | Plus accrued interest at an annual rate of 1.18% from and including March 15, 2024 to but excluding the Settlement Date (as defined herein). |
(2) | Plus accrued interest at an annual rate of % from and including the Settlement Date if actual settlement occurs after the Settlement Date. |
(3) | The Corporation will not directly receive any proceeds from the Remarketing. See “Use of Proceeds”. |
BofA Securities | | | CIBC Capital Markets | | | RBC Capital Markets |