CNA Financial (CNA) FWPFree writing prospectus
Filed: 5 Aug 10, 12:00am
Issuer: | CNA Financial Corporation | |
Format: | SEC Registered | |
Securities: | 5.875% Notes due 2020 | |
Security Type: | Senior Unsecured Fixed Rate Notes | |
Trade Date: | August 5, 2010 | |
Settlement Date: | August 10, 2010 (T + 3) | |
Maturity Date: | August 15, 2020 | |
Principal Amount: | $500,000,000 | |
Price to Public: | 99.685% of principal amount | |
Spread to Treasury Benchmark: | 300 basis points | |
Treasury Benchmark: | 3.500% due May 15, 2020 | |
Treasury Benchmark Yield: | 2.917% | |
Coupon: | 5.875% | |
Yield to Maturity: | 5.917% | |
Interest Payment Dates: | Semi-annually on the 15th of each February and August, commencing on February 15th, 2011 | |
Optional Redemption: | Make-whole redemption at any time at a discount rate of US Treasury + 45 bps | |
CUSIP; ISIN: | 126117AQ3 ; US126117AQ37 | |
Book-Running Managers: | Banc of America Securities LLC | |
Barclays Capital Inc. | ||
Citigroup Global Markets Inc. | ||
Morgan Stanley & Co. Incorporated |