Issuer:
|
Colgate-Palmolive
Company
|
Size:
|
€250,000,000
|
Maturity:
|
June
13, 2014
|
Coupon:
|
4.75%
annually, accruing from June 13, 2007
|
Price
to Public:
|
99.714%
of principal amount
|
Underwriting
Discount:
|
0.35%
of principal amount
|
Interest
Payment Dates:
|
June
13, commencing June 13, 2008
|
Denominations:
|
Multiples
of €50,000 principal amount
|
Settlement
Date:
|
June
13, 2007
|
Format:
|
SEC
Registered
|
Listing:
|
Application
will be made to list the Notes on the NYSE
|
Clearing
Systems:
|
Euroclear
and Clearstream (International global bond held at the common depositary);
DTC (DTC global bond)
|
CUSIP:
|
19416QDK3
|
Joint
Book-Running Managers:
|
BNP
Paribas
Citigroup
Global Markets Limited
Deutsche
Bank AG, London Branch
Merrill
Lynch International
|
Co-Managers:
|
Credit
Suisse Securities (Europe) Limited
Goldman
Sachs International
HSBC
Bank plc
J.P.
Morgan Securities Ltd.
Morgan
Stanley & Co. International plc
The
Royal Bank of Scotland plc
|