Obligation Caterpillar Financial Corp 5.5% ( US14912L2Y63 ) en USD

Société émettrice Caterpillar Financial Corp
Prix sur le marché 100 %  ⇌ 
Pays  Etas-Unis
Code ISIN  US14912L2Y63 ( en USD )
Coupon 5.5% par an ( paiement semestriel )
Echéance 15/03/2016 - Obligation échue



Prospectus brochure de l'obligation Caterpillar Financial Services Corp US14912L2Y63 en USD 5.5%, échue


Montant Minimal 1 000 USD
Montant de l'émission 250 000 000 USD
Cusip 14912L2Y6
Notation Standard & Poor's ( S&P ) A ( Qualité moyenne supérieure )
Notation Moody's A2 ( Qualité moyenne supérieure )
Description détaillée Caterpillar Financial Services Corp. est une filiale de Caterpillar Inc. qui offre une gamme de services financiers, notamment le financement d'équipements, le leasing, l'assurance et la gestion de flotte, principalement pour les clients de Caterpillar et les utilisateurs d'équipements lourds.

L'Obligation émise par Caterpillar Financial Corp ( Etas-Unis ) , en USD, avec le code ISIN US14912L2Y63, paye un coupon de 5.5% par an.
Le paiement des coupons est semestriel et la maturité de l'Obligation est le 15/03/2016

L'Obligation émise par Caterpillar Financial Corp ( Etas-Unis ) , en USD, avec le code ISIN US14912L2Y63, a été notée A2 ( Qualité moyenne supérieure ) par l'agence de notation Moody's.

L'Obligation émise par Caterpillar Financial Corp ( Etas-Unis ) , en USD, avec le code ISIN US14912L2Y63, a été notée A ( Qualité moyenne supérieure ) par l'agence de notation Standard & Poor's ( S&P ).







Fixed Rate Pricing Supplement 409
424B3 1 price409.htm FIXED RATE PRICING SUPPLEMENT 409




Filed Pursuant to Rule 424(b)(3)




Registration Statement No. 333-124310
PRICING SUPPLEMENT NO. 409







Dated March 7, 2006 to







PROSPECTUS SUPPLEMENT







Dated June 8, 2005 and







PROSPECTUS







Dated May 13, 2005















CATERPILLAR FINANCIAL SERVICES CORPORATION
MEDIUM-TERM NOTES, SERIES F, 5.5% NOTES DUE 2016















SUBJECT
FINAL PRICING DETAILS
Issuer:
Caterpillar Financial Services Corporation
Title of Securities:
Medium-Term Notes, Series F, 5.5%Notes Due 2016
Form of Security:
Global Note
Ratings:
A2/A
Format:
SEC Registered-Registration Statement Number 333-124310
Trade Date:
March 7, 2006
Settlement Date (Original Issue Date):
March 10, 2006
Maturity Date:
March 15, 2016
Principal Amount:
$250,000,000
Price to Public (Issue Price):
99.892%
Dealers' Commission:
00.475% (47.5 basis points)
All-in-price:
99.417%
Net Proceeds to Issuer:
$248,542,500
Pricing Benchmark:
UST 4.5% Notes due Febuary 15, 2016
UST Spot (Yield):
4.744%
Spread to Benchmark:
+ 77 basis points
Yield to Maturity:
5.514%
Coupon:
5.50%
Interest Rate Reset Option:
N/A
Optional Reset Dates (only applicable if
N/A
option to reset interest rates):
Basis for Interest Rate Reset (only
N/A
applicable if option to reset interest rates):
Stated Maturity Extension Option:
N/A
Extension Period(s) and Final Maturity
N/A
Date (only applicable if option to extend
stated maturity):
Basis for Interest Rate During Extension
N/A
Period (only applicable if option to extend
stated maturity):
Specified Currency:
U.S. Dollars
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Fixed Rate Pricing Supplement 409
Historical Exchange Rate (only applicable N/A
if Specified Currency other than U.S.
Dollars):
Option to Elect Payment in U.S. Dollars
N/A
(only applicable if Specified Currency is
other than U.S. Dollars):
Authorized Denominations (only applicable N/A
if Specified Currency is other than U.S.
Dollars):
Interest Payment Dates:
Interest will be paid semi-annually on the 15th of each March and
September
Redemption Date(s):
N/A
Redemption Price(s):
N/A
Repayment Date(s):
N/A
Repayment Price(s):
N/A
Original Issue Discount Note:
N/A
Total Amount of OID:
N/A
Day Count Convention:
30/360
Terms of Amortizing Notes:
N/A
Denominations:
Minimum denominations of $1,000 with increments of $1,000 thereafter
Dealers:
Banc of America Securities LLC ($125mm)

Barclays Capital Inc. ($125mm)
Exchange Rate Agent:
U.S. Bank Trust National Association
CUSIP:
14912L2Y6
Other Terms:
N/A
















CAPITALIZED TERMS USED HEREIN WHICH ARE DEFINED IN THE PROSPECTUS SUPPLEMENT
SHALL HAVE THE MEANINGS ASCRIBED THERETO IN THE PROPSECTUS SUPPLEMENT. THE
INTEREST RATES ON THE NOTES MAY BE CHANGED BY CATERPILLAR FINANCIAL SERVICES
CORPORATION FROM TIME TO TIME, BUT ANY SUCH CHANGE WILL NOT AFFECT THE
INTEREST RATE ON ANY NOTES OFFERED PRIOR TO THE EFFECTIVE DATE OF THE CHANGE.
AFTER THE ISSUANCE OF THE NOTES COVERED BY THIS PRICING SUPPLEMENT, $7,950 MM
PRINCIPAL AMOUNT OF NOTES REMAIN AVAILABLE FOR SALE PURSUANT TO THE
ACCOMPANYING PROSPECTUS SUPPLEMENT.
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Document Outline