Issuer: Public Service Electric and Gas Company Trade Date: November 3, 2015 Original Issue Date/Settlement Date: November 6, 2015 Principal Amount: $250,000,000 Price to Public: 99.898% of Principal Amount, plus accrued interest, if any, from November 6, 2015 if settlement occurs after that date Interest Rate: 4.15% per annum Interest Payment Dates: May 1 and November 1, commencing May 1, 2016 Redemption: As specified in Preliminary Pricing Supplement dated November 3, 2015. Make Whole amount during the Make Whole Redemption Period to be determined at a discount rate equal to the Treasury Rate plus 20 basis points (0.20%). | Maturity Date: November 1, 2045 CUSIP: 74456QBN5 Joint Book-Running Managers: Credit Suisse Securities (USA) LLC ($65,000,000) RBC Capital Markets, LLC ($65,000,000) Wells Fargo Securities, LLC ($65,000,000) Co-Managers: Citigroup Global Markets Inc. ($22,500,000) Credit Agricole Securities (USA) Inc. ($22,500,000) MFR Securities, Inc. ($10,000,000) |