Obbligazione NaviCorp 6.15% ( US78442FDV76 ) in USD

Emittente NaviCorp
Prezzo di mercato 100 USD  ⇌ 
Paese  Stati Uniti
Codice isin  US78442FDV76 ( in USD )
Tasso d'interesse 6.15% per anno ( pagato 2 volte l'anno)
Scadenza 10/03/2021 - Obbligazione è scaduto



Prospetto opuscolo dell'obbligazione Navient US78442FDV76 in USD 6.15%, scaduta


Importo minimo 1 000 USD
Importo totale 25 000 000 USD
Cusip 78442FDV7
Standard & Poor's ( S&P ) rating N/A
Moody's rating N/A
Descrizione dettagliata Navient è una società statunitense che fornisce servizi di gestione prestiti agli studenti e di riscossione crediti.

The Obbligazione issued by NaviCorp ( United States ) , in USD, with the ISIN code US78442FDV76, pays a coupon of 6.15% per year.
The coupons are paid 2 times per year and the Obbligazione maturity is 10/03/2021







http://www.sec.gov/Archives/edgar/data/1032033/000110465906016013/a06-6783_1424b3.htm
424B3 1 a06-6783_1424b3.htm PRICING SUPPLEMENT FILED PURSUANT TO RULE 424(B)(3)
Pricing Supplement No. 10 dated March 2, 2006
Filed under Rule 424(b)(3)

(to Prospectus dated January 5, 2005
File No. 333-107132

and Prospectus Supplement dated June 9, 2005)



SLM Corporation
Medium Term Notes, Series A
Due 9 Months or Longer From the Date of Issue
Principal Amount: $25,000,000 Floating Rate Notes: o
Fixed Rate Notes: ý



Original Issue Date: March 10,
Closing Date: March 10, 2006
CUSIP Number: 78442F DV 7
2006



Maturity Date: March 10,
Option to Extend
Specified Currency: U.S.
2021
ý No
Dollars
Maturity: Yes
If Yes, Final Maturity
Date:




Redeemable in whole or in part at the o No Redemption Price:

100% of the principal amount
option of the Company:
ý Yes
of the Notes plus accrued and
unpaid interest to the date fixed
for redemption.




Redemption Dates:

March 10, 2009 and each

March 10th and September 10th
thereafter during the term of
the Notes upon at least 20
business days written notice to
holders of the Notes.





Repayment at the option of the Holder: ý No Repayment Price:

Not Applicable.








o Yes Repayment Dates:

Not Applicable.

Applicable to Fixed Rate Notes Only:










Interest Rate: 6.15%.



Interest Payment Dates: Each March 10th and

September 10th during the
term of the Notes, unless
earlier redeemed, beginning
September 10, 2006, subject to
adjustment in accordance with
the following business day
convention.





Interest Accrual Method: 30/360



Interest Periods:

From and including the

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http://www.sec.gov/Archives/edgar/data/1032033/000110465906016013/a06-6783_1424b3.htm
Closing Date or each March
10th and September 10th
thereafter, as the case may be,
to and including the next
succeeding March 9th and
September 9th, as the case may
be, unless earlier redeemed,
with no adjustment to period
end dates for accrual purposes.

Morgan Keegan & Company, Inc.

March 2, 2006

http://www.sec.gov/Archives/edgar/data/1032033/000110465906016013/a06-6783_1424b3.htm (2 of 3)3/14/2006 11:09:11 AM


http://www.sec.gov/Archives/edgar/data/1032033/000110465906016013/a06-6783_1424b3.htm

Form:
Book-entry.



Denominations:
$1,000 minimum and integral multiples of $1,000 in excess thereof.



Trustee:
JPMorgan Chase Bank, National Association formerly known as JPMorgan Chase Bank and
The Chase Manhattan Bank.



Agent:
Morgan Keegan & Company, Inc. is acting as underwriter in connection with this issuance.



Issue Price:
100.0%.



Agent's
0.60%.
Commission:



Net Proceeds:
$24,850,000.



Concession:
N/A.



Reallowance:
N/A.



CUSIP Number:
78442F DV 7.



ISIN Number:
US78442FDV76.




Obligations of SLM Corporation and any subsidiary of SLM Corporation are not guaranteed
by the full faith and credit of the United States of America. Neither SLM Corporation
nor any subsidiary of SLM Corporation is a government-sponsored enterprise
or an instrumentality of the United States of America.

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