Issuer:
|
PepsiCo, Inc. | |||||
Ratings (Moodys / S&P):
|
Aa3 / A- (stable outlook / stable outlook) | |||||
Trade Date:
|
October 19, 2010 | |||||
Settlement Date (T+5):
|
October 26, 2010 | |||||
Title of Securities:
|
0.875% Senior Notes due 2013 | 3.125% Senior Notes due 2020 | 4.875% Senior Notes due 2040 | |||
Aggregate Principal Amount Offered: |
$500,000,000 | $1,000,000,000 | $750,000,000 | |||
Maturity Date:
|
October 25, 2013 | November 1, 2020 | November 1, 2040 | |||
Interest Payment Dates:
|
Semi-annually on each April 25 and October 25, commencing on April 25, 2011 | Semi-annually on each May 1 and November 1, commencing on May 1, 2011 | Semi-annually on each May 1 and November 1, commencing on May 1, 2011 | |||
Benchmark Treasury:
|
0.500% due October 15, 2013 | 2.625% due August 15, 2020 | 4.375% due May 15, 2040 | |||
Benchmark Treasury Yield: |
0.540% | 2.473% | 3.917% | |||
Spread to Treasury:
|
35 bps | 75 bps | 97 bps | |||
Re-offer Yield:
|
0.890% | 3.223% | 4.887% | |||
Coupon:
|
0.875% | 3.125% | 4.875% | |||
Price to Public:
|
99.956% | 99.167% | 99.811% | |||
Optional Redemption:
|
Make-whole call at Treasury rate plus 5 basis points |
Make-whole call at Treasury rate plus 10 basis points |
Make-whole call at Treasury rate plus 15 basis points |
|||
Daycount Fraction:
|
30 / 360 | 30 / 360 | 30 / 360 | |||
CUSIP/ISIN:
|
713448BQ0 / US713448BQ07 | 713448BR8 / US713448BR89 | 713448BS6 / US713448BS62 |
Minimum Denomination:
|
$2,000 and integral multiples of $1,000 | |||||
Joint Bookrunners:
|
J.P. Morgan Securities LLC BNP Paribas Securities Corp. UBS Securities LLC |
|||||
Co-Managers:
|
ANZ Securities, Inc. BBVA Securities Inc. Deutsche Bank Securities Inc. HSBC Securities (USA) Inc. TD Securities (USA) LLC U.S. Bancorp Investments, Inc. |
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