PROSPECTUS and | PRICING SUPPLEMENT NO. 6 |
PROSPECTUS SUPPLEMENT, each | Dated March 1, 2021 |
Dated April 6, 2020 | Registration Statement No. 333-237579 |
| Filed Pursuant to Rule 424(b)(2) |
U.S. $19,100,000,000
JOHN DEERE CAPITAL CORPORATION
MEDIUM-TERM NOTES, SERIES H
Due 9 Months or More from Date of Issue
$600,000,000 0.250% Fixed Rate Senior Notes Due January 17, 2023
The Medium-Term Notes offered hereby will be Fixed Rate Notes and senior securities as more fully described in the accompanying Prospectus and Prospectus Supplement and will be denominated in U.S. Dollars.
CUSIP / ISIN: | | 24422EVM8 / US24422EVM82 |
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Date of Issue: | | March 4, 2021 |
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Maturity Date: | | January 17, 2023 |
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Principal Amount: | | $600,000,000 |
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Price to Public: | | 99.965% plus accrued interest, if any, from March 4, 2021 |
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Interest Payment Dates: | | Semi-annually on January 17 and July 17, commencing on July 17, 2021 (short first coupon) and ending on the maturity date |
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Regular Record Dates: | | The fifteenth day (whether or not a Business Day) next preceding the applicable Interest Payment Date |
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Interest Rate: | | 0.250% per annum |
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Redemption Provisions: | | None |
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Plan of Distribution: | | |
Name | Principal Amount Of Notes |
Deutsche Bank Securities Inc. | $127,500,000 |
Goldman Sachs & Co. LLC | $127,500,000 |
MUFG Securities Americas Inc. | $127,500,000 |
RBC Capital Markets, LLC | $127,500,000 |
BNP Paribas Securities Corp. | $18,000,000 |
Commerz Markets LLC | $18,000,000 |
Loop Capital Markets LLC | $18,000,000 |
Samuel A. Ramirez & Company, Inc. | $18,000,000 |
Santander Investment Securities Inc. | $18,000,000 |
Total | $600,000,000 |
The above Agents have severally agreed to purchase the respective principal amount of Notes, opposite their names as principal, at a price of 99.865% plus accrued interest, if any, from March 4, 2021. | |