Issuer: | The Bank of Nova Scotia (the Bank) |
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Title of Securities: | 2.250% Senior Notes due 2013 (the Three-Year Fixed Rate Notes) 3.400% Senior Notes due 2015 (the Five-Year Fixed Rate Notes) |
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Aggregate Principal Amount Offered: |
US$1,000,000,000 Three-Year Fixed Rate Notes (Re-Opening, Outstanding to be US$2,000,000,000) US$750,000,000 Five-Year Fixed Rate Notes (Re-Opening, Outstanding to be US $2,250,000,000) |
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Maturity Date: | January 22, 2013 (Three-Year Fixed Rate Notes) January 22, 2015 (Five-Year Fixed Rate Notes) |
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Price to Public: | 100.476% per Three-Year Fixed Rate Note, plus Accrued Interest from January 22, 2010 100.640% per Five-Year Fixed Rate Note, plus Accrued Interest from January 22, 2010 |
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Accrued Interest: | US$4,687,500 (Three-Year Fixed Rate Notes) US$5,312,500 (Five-Year Fixed Rate Notes) |
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Net Proceeds to the Bank after Underwriters Fee and Before Expenses: |
US$1,764,435,000 |
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Underwriters Fee: | 0.25% per note (Three-Year Fixed Rate Notes) 0.35% per note (Five-Year Fixed Rate Notes) |
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Coupon (Interest Rate): | 2.250% (Three-Year Fixed Rate Notes) 3.400% (Five-Year Fixed Rate Notes) |
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Re-offer Yield: | 2.073% (Three-Year Fixed Rate Notes) 3.254% (Five-Year Fixed Rate Notes) |
Spread to Benchmark Treasury: |
T + 50 basis points (Three-Year Fixed Rate Notes) T + 70 basis points (Five-Year Fixed Rate Notes) |
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Benchmark Treasury: | 1.375% due March 15, 2013 (Three-Year Fixed Rate Notes) 2.500% due March 31, 2015 (Five-Year Fixed Rate Notes) |
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Benchmark Treasury Yield: | 1.573% (1.375% due March 15, 2013) 2.554% (2.500% due March 31, 2015) |
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Interest Payment Dates: | January 22 and July 22 of each year, beginning on July 22, 2010 (Three-Year Fixed Rate Notes) January 22 and July 22 of each year, beginning on July 22, 2010 (Five-Year Fixed Rate Notes) |
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Trade Date: | March 31, 2010 |
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Settlement Date: | April 7, 2010; (T+4) |
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CUSIP: | 064149 A56 (Three-Year Fixed Rate Notes) 064149 A64 (Five-Year Fixed Rate Notes) |
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Underwriters: |
Principal | Principal | |||||||
Amount of | Amount of Five- | |||||||
Three-Year Fixed | Year Fixed Rate | |||||||
Rate Notes to Be | Notes To Be | |||||||
Underwriter | Purchased | Purchased | ||||||
Banc of America Securities LLC |
$ | 250,000,000 | $ | 187,500,000 | ||||
Citigroup Global Markets Inc. |
$ | 250,000,000 | $ | 187,500,000 | ||||
Morgan Stanley & Co. Incorporated |
$ | 250,000,000 | $ | 187,500,000 | ||||
Scotia Capital (USA) Inc. |
$ | 100,000,000 | $ | 75,000,000 | ||||
Barclays Capital Inc. |
$ | 100,000,000 | $ | 75,000,000 | ||||
HSBC Securities (USA) Inc. |
$ | 50,000,000 | $ | 37,500,000 | ||||
Total |
$ | 1,000,000,000 | $ | 750,000,000 |