Issuer: FPL
Group Capital Inc
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Representatives:
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Co-Managers:
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Subordinated
Debentures:
|
|
Designation:
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Series
D Junior Subordinated Debentures due 2067
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Legal
Format:
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SEC
Registered
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Principal
Amount:
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$250,000,000
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Date
of
Maturity:
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September
1, 2067
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Interest
Rate
During Fixed Rate Period:
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From
Settlement Date to September 1, 2017, at the annual rate of 7.30%,
payable
semi-annually on March 1 and September 1 of each year, beginning on
March 1, 2008
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Interest
Rate
During Floating Rate Period:
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From
September 1, 2017 through maturity at a floating rate based on the
3-month
LIBOR Rate plus 334.75 basis points, reset quarterly, payable quarterly
on
March 1, June 1, September 1 and December 1 of each year, beginning
December 1, 2017
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Optional
Deferral:
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Maximum
of 10 consecutive years per deferral
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Price
to Public:
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99.775%
of the principal amount thereof
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Treasury
Benchmark:
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4.75%
due August 15, 2017
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Benchmark
Yield:
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4.333%
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Spread
to Benchmark Treasury:
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300
basis points
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Reoffer
Yield through Fixed Rate Period:
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7.333%
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Trade
Date:
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September
10, 2007
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Settlement
Date:
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September
17, 2007
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Make-Whole
Call:
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At
any time prior to September 1, 2017 at 100% of the principal amount
plus
accrued and unpaid interest plus Make-Whole Premium at discount rate
equal
to Treasury Yield plus 50 basis
points
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Tax
Event Call:
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At
any time prior to September 1, 2017 at 100% of the principal amount
plus
accrued and unpaid interest plus Tax Event Make-Whole Premium at
discount
rate equal to Treasury Yield plus 50 basis points
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Rating
Agency Event Call:
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At
any time prior to September 1, 2017 at 100% of the principal amount
plus
accrued and unpaid interest plus Rating Agency Event Make-Whole Premium
at
discount rate equal to Treasury Yield plus 50 basis
points
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Par
Call:
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At
any time on and after September 1, 2017 at 100% of the principal
amount
plus accrued and unpaid interest
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CUSIP
/
ISIN Number:
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302570
AY 2 / US302570AY26
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