ILS/CAT Bond Details

Northwind Holdings LLC

Description $800,000,000 Floating Rate Notes due 2037
Series
Coupon LIBOR 0.78
Coupon Frequency Quarterly
Maturity Date 01 Dec 2037
Issue Date 11 Dec 2007
Currency USD
Listed Amount Outstanding 800,000,000.00
Minimum Denomination 250,000.00
1st Interest Payment Date 01 Mar 2008
Listing Type Primary Listing on CSX
ISIN US668457AA26
ArrangerGoldman, Sachs & Co.

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