Issuer:
|
Duke Energy Corporation | ||||
Ratings (Moodys/ S&P):
|
Baa2/BBB+ | ||||
Settlement:
|
March 25, 2010 (T+3) | ||||
Trade Date:
|
March 22, 2010 | ||||
Interest Payment Dates:
|
Semi-annually on April 1 and October 1, commencing October 1, 2010 | ||||
Security Description:
|
3.35% Senior Notes due 2015 | ||||
Principal Amount:
|
$450,000,000 | ||||
Maturity:
|
April 1, 2015 | ||||
Coupon:
|
3.35% | ||||
Benchmark Treasury:
|
2.375% due 2/28/2015 | ||||
Benchmark Treasury Yield:
|
2.412% | ||||
Spread to Benchmark
Treasury:
|
+95 bps | ||||
Yield to Maturity:
|
3.362% | ||||
Initial Price to Public:
|
99.945% per Note | ||||
Redemption Provisions: |
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Make-Whole Call:
|
+15 bps | ||||
Denominations:
|
$2,000 or any integral multiple of $1,000 in excess thereof | ||||
CUSIP:
|
26441C AE5 | ||||
Joint Book-Running Managers:
|
Credit Suisse Securities (USA) LLC SunTrust Robinson Humphrey, Inc. UBS Securities LLC |
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Co-Managers:
|
BNY Mellon Capital Markets, LLC Mizuho Securities USA Inc. |
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