Issuer: |
Watson Pharmaceuticals, Inc. | |
Size: |
$450,000,000 | |
Maturity: |
August 15, 2014 | |
Coupon (Interest Rate): |
5.000% | |
Yield to Maturity: |
5.095% | |
Spread to Benchmark Treasury: |
T + 262.5 basis points | |
Benchmark Treasury: |
UST 2.625% due 07/31/14 | |
Benchmark Treasury Price and Yield: |
Price: 100-23 | |
Yield: 2.470% | ||
Interest Payment Dates: |
February 15 and August 15 of each year, commencing February 15, 2010 | |
Redemption Provision: |
Make-whole + 40 basis points | |
Price to Public: |
99.589% | |
Settlement Date: |
August 24, 2009 | |
CUSIP/ISIN Number: |
942683 AD5/US942683 AD51 |
Issuer:
|
Watson Pharmaceuticals, Inc. | |
Size:
|
$400,000,000 | |
Maturity:
|
August 15, 2019 | |
Coupon (Interest Rate):
|
6.125% | |
Yield to Maturity:
|
6.153% | |
Spread to Benchmark Treasury:
|
T + 262.5 basis points | |
Benchmark Treasury:
|
UST 3.625% due 08/15/19 | |
Benchmark Treasury Price and Yield:
|
Price: 100-26 | |
Yield: 3.528% | ||
Interest Payment Dates:
|
February 15 and August 15 of each year, commencing February 15, 2010 | |
Redemption Provision:
|
Make-whole + 40 basis points | |
Price to Public:
|
99.796% | |
Settlement Date:
|
August 24, 2009 | |
CUSIP/ISIN Number:
|
942683 AE3/US942683 AE35 |