Free Writing Prospectus | Filed Pursuant to Rule 433 | |
(To the Preliminary Prospectus | Registration Statement No. 333-108067 | |
Supplement dated September 28, 2006) |
$400,000,000 of 5.25% Senior Notes due October 15, 2011 | ||
$300,000,000 of 5.50% Senior Notes due October 15, 2016 | ||
$300,000,000 of 5.95% Senior Notes due October 15, 2036 |
Issuer: |
The Hartford Financial Services Group, Inc. | |
Security: |
SEC Registered Senior Unsecured Notes | |
Specified Currency: |
U.S. Dollars | |
Principal Amount: |
$400,000,000 | |
Trade Date: |
September 28, 2006 | |
Settlement Date (T+3): |
October 3, 2006 | |
Final Maturity: |
October 15, 2011 | |
Interest Rate: |
5.250% | |
Benchmark Treasury: |
4.625% UST due August, 2011 | |
Benchmark Treasury Price: |
100-07 | |
Benchmark Treasury Yield: |
4.574% | |
Spread to Treasury: |
+ 70 bps | |
Public Offering Price: |
99.893% Per Note; Total for 2011 Notes: $399,572,000 | |
Interest Payment Dates: |
Semi-annually in arrears on April 15 and | |
October 15, commencing April 15, 2007 | ||
Day Count Convention: |
30/360 | |
Optional Redemption: |
Make whole call at T+10 bps | |
Authorized Denominations: |
$2,000 and integral multiples of $1,000 in | |
excess thereof | ||
CUSIP: |
416515AQ7 | |
Book-Running Managers: |
Banc of America Securities LLC | |
Merrill Lynch & Co. | ||
Wachovia Securities |
Issuer: |
The Hartford Financial Services Group, Inc. | |
Security: |
SEC Registered Senior Unsecured Notes | |
Specified Currency: |
U.S. Dollars | |
Principal Amount: |
$300,000,000 | |
Trade Date: |
September 28, 2006 | |
Settlement Date (T+3): |
October 3, 2006 | |
Final Maturity: |
October 15, 2016 | |
Interest Rate: |
5.50% | |
Benchmark Treasury: |
4.875% UST due August, 2016 | |
Benchmark Treasury Price: |
101-31 | |
Benchmark Treasury Yield: |
4.624% | |
Spread to Treasury: |
+ 90 bps | |
Public Offering Price: |
99.814% Per Note; Total for 2016 Notes: $299,442,000 | |
Interest Payment Dates: |
Semi-annually in arrears on April 15 and | |
October 15, commencing April 15, 2007 | ||
Day Count Convention: |
30/360 | |
Optional Redemption: |
Make whole call at T+ 15 bps | |
Authorized Denominations: |
$2,000 and integral multiples of $1,000 in | |
excess thereof | ||
CUSIP: |
416515AR5 | |
Book-Running
Managers: |
Banc of America Securities LLC | |
Merrill Lynch & Co. | ||
Wachovia Securities |
Issuer: |
The Hartford Financial Services Group, Inc. | |
Security: |
SEC Registered Senior Unsecured Notes | |
Specified Currency: |
U.S. Dollars | |
Principal Amount: |
$300,000,000 | |
Trade Date: |
September 28, 2006 | |
Settlement Date (T+3): |
October 3, 2006 |
Final Maturity: |
October 15, 2036 | |
Interest Rate: |
5.95% | |
Benchmark Treasury: |
4.500% UST due February, 2036 | |
Benchmark Treasury Price: |
95-26 | |
Benchmark Treasury Yield: |
4.766% | |
Spread to Treasury: |
+ 123 bps | |
Public Offering Price: |
99.360% Per Note; Total for 2036 Notes: $298,080,000; | |
Interest Payment Dates: |
Semi-annually in arrears on April 15 and | |
October 15, commencing April 15, 2007 | ||
Day Count Convention: |
30/360 | |
Optional Redemption: |
Make whole call at T+20 bps | |
Authorized Denominations: |
$2,000 and integral multiples of $1,000 in | |
excess thereof | ||
CUSIP: |
416515AS3 | |
Book-Running
Managers: |
Banc of America Securities LLC | |
Merrill Lynch & Co. | ||
Wachovia Securities |
| our actual capitalization; and | ||
| our capitalization as adjusted to give effect to the consummation of the sale of the senior notes in the offerings and the application of the net proceeds from the offerings, as described under Use of Proceeds. |
As of June 30, 2006 | |||||||||
As | |||||||||
Actual | Adjusted | ||||||||
(unaudited, in millions) | |||||||||
Short-Term Debt |
|||||||||
Commercial Paper(1) |
$ | 984 | $ | 786 | |||||
Current maturities of long-term debt(2) |
400 | 400 | |||||||
Total Short-Term Debt |
1,384 | 1,186 | |||||||
Long-Term Debt |
|||||||||
Senior Notes (other than the notes offered
hereby) and Debentures(3) |
2,892 | 2,892 | |||||||
5.25% Senior Notes due October 15, 2011 |
| 400 | |||||||
5.50% Senior Notes due October 15, 2016 |
| 300 | |||||||
5.95% Senior Notes due October 15, 2036 |
| 300 | |||||||
Junior Subordinated Debentures |
488 | | |||||||
Total Long-Term Debt |
3,380 | 3,892 | |||||||
Total Debt |
4,764 | 5,078 | |||||||
Stockholders Equity |
|||||||||
Common Stock (par value $0.01 per share; 750
million shares authorized; 307 million
shares issued)(1) |
3 | 3 | |||||||
Additional paid-in capital(1) |
5,183 | 5,183 | |||||||
Retained earnings |
11,167 | 11,167 | |||||||
Treasury stock, at cost (3 million shares) |
(46 | ) | (46 | ) | |||||
Accumulated other comprehensive income (loss) |
(924 | ) | (924 | ) | |||||
Total Stockholders Equity |
15,383 | 15,383 | |||||||
Total Capitalization |
$ | 20,147 | $ | 20,461 | |||||