Lead Managers
|
Banc of America Securities LLC | |||
Citigroup Global Markets Inc. | ||||
Credit Suisse Securities (USA) LLC | ||||
Co-Managers
|
Barclays Capital Inc. | |||
BNP Paribas Securities Corp. | ||||
Deutsche Bank Securities Inc. | ||||
Dresdner Kleinwort Securities LLC | ||||
UBS Securities LLC | ||||
Issuer
|
SLM Corporation | |||
Note Type
|
Medium Term Notes, Series A | |||
US MTN Program | ||||
Ratings
|
A2/A | |||
CUSIP
|
78442F ED 6 | |||
USD Amount
|
$600,000,000 | |||
Interest Rate
|
5.40% | |||
Issue Price
|
99.656% | |||
Commissions
|
0.300% | |||
Net Proceeds (%)
|
99.356% | |||
Net Proceeds ($)
|
$596,136,000 | |||
Announcement Date
|
October 11, 2006 | |||
Closing Date
|
October 17, 2006 | |||
Maturity Date
|
October 25, 2011 | |||
Interest Payment Dates
|
25th of each April and October during the term of the notes, subject to adjustment in accordance with Following Business Day Convention | |||
1st Payment Date
|
April 25, 2007 | |||
Reset Dates
|
N/A | |||
Rate Determination Date
|
N/A | |||
Daycount Fraction
|
30/360 | |||
Business Day Convention
|
Following Business Day Convention with no adjustment to period end dates | |||
Business Days
|
New York | |||
Minimum Denominations
|
$1,000 minimum and integral multiples of $1,000 in excess thereof | |||
Calculation Agent
|
SLM Corporation |