Issuer:
|
Canadian Pacific Railway Company | |
Trade Date:
|
May 14, 2008 | |
Settlement Date:
|
May 20, 2008 |
Notes Due 2013 | Notes Due 2018 | |||
Principal Amount: |
$400,000,000 | $300,000,000 | ||
Coupon: |
5.75% | 6.50% | ||
Maturity Date: |
May 15, 2013 | May 15, 2018 | ||
Public Offering Price: |
99.625% | 99.588% | ||
Benchmark: |
UST 3.125% due April 30, 2013 | UST 3.875% due May 15, 2018 | ||
Benchmark Yield: |
3.238% | 3.957% | ||
Spread: |
+260 bps | +260 bps | ||
Yield to Maturity: |
5.838% | 6.557% | ||
Optional Redemption: |
Make whole call UST +40 bps | Make whole call UST +40 bps | ||
Interest Payment Dates: |
May 15 and November 15, beginning November 15, 2008 | May 15 and November 15, beginning November 15, 2008 | ||
CUSIP: |
13645R AG9 | 13645R AH7 | ||
ISIN: |
US13645RAG92 | US13645RAH75 | ||
Joint Bookrunning Managers: | Morgan Stanley & Co.
Incorporated RBC Capital Markets Corporation |
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Co-Managers: |
Banc of America Securities LLC |
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CIBC World Markets Corp. |
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J.P. Morgan Securities Inc. |
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Scotia Capital (USA) Inc. |
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TD Securities (USA) LLC |