Obligation Deere Capital 0% ( US24422ESM20 ) en USD

Société émettrice Deere Capital
Prix sur le marché 100 %  ⇌ 
Pays  Etas-Unis
Code ISIN  US24422ESM20 ( en USD )
Coupon 0%
Echéance 12/04/2016 - Obligation échue



Prospectus brochure de l'obligation John Deere Capital US24422ESM20 en USD 0%, échue


Montant Minimal 1 000 USD
Montant de l'émission 750 000 000 USD
Cusip 24422ESM2
Notation Standard & Poor's ( S&P ) A ( Qualité moyenne supérieure )
Notation Moody's A2 ( Qualité moyenne supérieure )
Description détaillée John Deere Capital est la branche de financement de John Deere, offrant des solutions de financement et de gestion de location pour l'équipement agricole et de construction.

L'Obligation émise par Deere Capital ( Etas-Unis ) , en USD, avec le code ISIN US24422ESM20, paye un coupon de 0% par an.
Le paiement des coupons est semestriel et la maturité de l'Obligation est le 12/04/2016

L'Obligation émise par Deere Capital ( Etas-Unis ) , en USD, avec le code ISIN US24422ESM20, a été notée A2 ( Qualité moyenne supérieure ) par l'agence de notation Moody's.

L'Obligation émise par Deere Capital ( Etas-Unis ) , en USD, avec le code ISIN US24422ESM20, a été notée A ( Qualité moyenne supérieure ) par l'agence de notation Standard & Poor's ( S&P ).







http://www.sec.gov/Archives/edgar/data/27673/000110465914045137/a...
424B2 1 a14-15185_1424b2.htm 424B2

PROSPECTUS and
PRICING SUPPLEMENT NO. 1
PROSPECTUS SUPPLEMENT, each
Dated June 9, 2014
Dated April 17, 2014
Registration Statement No. 333-195332

Filed Pursuant to Rule 424(b)(2)


U.S. $24,000,000,000
JOHN DEERE CAPITAL CORPORATION

MEDIUM-TERM NOTES, SERIES F
Due 9 Months or More from Date of Issue

$750,000,000 Floating-Rate Senior Notes Due April 12, 2016

The Medium-Term Notes offered hereby will be Floating Rate Notes and senior securities as more fully described in the
accompanying Prospectus and Prospectus Supplement and will be denominated in U.S. Dollars.

The dollar amount above reflects the amount of Medium-Term Notes, Series F remaining prior to this issuance,
representing the $27,000,000,000 initial program amount reduced by $3,000,000,000 designated for issuance pursuant to
the Issuer's InterNotes® program described in the prospectus supplement for such program filed with Registration
Statement No. 333-195332.


CUSIP / ISIN:
24422ESM2 / US24422ESM20



Date of Issue:
June 12, 2014



Maturity Date:
April 12, 2016



Principal Amount:
$750,000,000



Interest Rate Basis:
USD-LIBOR-Reuters


(Reuters Page LIBOR01)



Index Maturity:
3 Month



Spread:
LIBOR + 10 bps



Initial Interest Determination Date:
June 10, 2014



Initial Interest Rate:
The interest rate in effect for the initial interest period is based on an
interpolated rate between 3-Month USD LIBOR and 6-Month USD LIBOR +
10 bps.



Day Count Convention:
Actual/360, Adjusted



Interest Reset Dates:
Quarterly on the 12 (o
th
r next business day), of January, April, July, and
October, commencing October 12, 2014.



Interest Determination Dates:
Two London Business Days preceding such Interest Reset Date



Interest Payment Dates:
Quarterly on the 12 (o
th
r next business day), of January, April, July, and
October, commencing October 12, 2014 (long first coupon).



Interest Payment Date Convention:
Modified Following, Adjusted



Redemption Provisions:
None



Price to Public:
100.000% plus accrued interest from June 12, 2014


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Plan of Distribution:
Name
Principal Amount Of Notes
Barclays Capital Inc.
$168,750,000
Citigroup Global Markets Inc.
168,750,000
HSBC Securities (USA) Inc.
168,750,000
Mitsubishi UFJ Securities (USA), Inc.
168,750,000
BNP Paribas Securities Corp.
25,000,000
RBC Capital Markets, LLC
25,000,000
The Wil iams Capital Group, L.P.
25,000,000
Total
$750,000,000
The above Agents have several y agreed to purchase
the respective principal amount of Notes, opposite their
names as principal, at a price of 99.900% plus accrued
interest from June 12, 2014 if settlement occurs after
that date.


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