Issuer: | The Hartford Financial Services Group, Inc. |
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Remarketed Amount: | $689,825,000 |
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Maturity Date: | August 16, 2008 |
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First Interest Payment Date after the Remarketing: |
August 16, 2006 |
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Interest Payment Dates: | February 16, May 16, August 16 and November 16 of each year |
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Interest Rate: | 5.550% |
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Trade Date: | May 11, 2006 |
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Settlement Date: | May 16, 2006 |
Trade date + 3 days | ||||
Remarketing Price: | $1,000.0395 |
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Remarketing Fee: | $1,716,050 | |||||
Ranking: | Senior unsecured and unsubordinated obligations |
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Proceeds to Normal Unit holders: | $0.1244 per Normal Unit | |||||
Aggregate principal amount of Senior Notes purchased by the Issuer | $265,000,000 | |||||
Ratings (Moodys/S&P/Fitch):
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Moodys: A3 | S&P: A | Fitch: A | |||
Format: | SEC Registered |
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Denomination: | $1,000 principal amount and integral multiples thereof |
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CUSIP: |
416515AH7 |