Issuer: |
Eaton Corporation | ||||
Securities Title: |
5.300% Notes due 2017 | ||||
Principal Amount: |
$250,000,000 | ||||
Maturity Date |
March 15, 2017 | ||||
Price to Public: |
99.640% of principal amount | ||||
Coupon: |
5.300% per annum | ||||
Benchmark Treasury: |
4.625% due February 15, 2017 | ||||
Benchmark Treasury Yield: |
4.497% | ||||
Spread to Benchmark Treasury: |
Plus 85 basis points | ||||
Yield
to Maturity: |
5.347% | ||||
Make-Whole Call: |
Treasury rate plus 15 basis points | ||||
Expected Settlement Date: |
T+3; March 16, 2007 | ||||
Interest Payment Dates: |
Semi-annually on March 15 and September 15, commencing on September 15, 2007 and ending on the Maturity Date | ||||
Underwriters: |
Citigroup Global Markets Inc. J.P. Morgan Securities Inc. UBS Securities LLC |
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Issuer: |
Eaton Corporation | ||||
Securities Title: |
5.800% Notes due 2037 | ||||
Principal Amount: |
$250,000,000 | ||||
Maturity Date: |
March 15, 2037 | ||||
Price to Public: |
99.620% of principal amount | ||||
Coupon: |
5.800% per annum | ||||
Benchmark Treasury: |
4.500% due February 15, 2036 | ||||
Benchmark Treasury Yield: |
4.677% | ||||
Spread to Benchmark Treasury: |
Plus 115 basis points | ||||
Yield
to Maturity: |
5.827% | ||||
Make-Whole Call: |
Treasury rate plus 20 basis points | ||||
Expected Settlement Date: |
T+3; March 16, 2007 | ||||
Interest Payment Dates: |
Semi-annually on March 15 and September 15, commencing on September 15, 2007 and ending on the Maturity Date | ||||
Underwriters: |
Citigroup Global Markets Inc. J.P. Morgan Securities Inc. Morgan Stanley & Co. Incorporated |
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