Lead Manager(s) | Morgan Stanley & Co. Incorporated Banc of America Securities LLC Merrill Lynch, Pierce, Fenner & Smith Incorporated |
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Co-Managers | Barclays Capital Inc. BNP Paribas Securities Corp. Deutsche Bank Securities Inc. HSBC Securities (USA) Inc. Wachovia Capital Markets, LLC |
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Issuer | SLM Corporation |
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Note Type | Medium Term Notes, Series A US MTN Program |
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Ratings | A2/A |
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CUSIP | 78442F EE 4 |
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USD Amount | $1,250,000,000.00 |
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Interest Rate | 3-month USD LIBOR Telerate + 0.230% |
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Issue Price | 100.00% |
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Commissions | 0.175% |
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Net Proceeds (%) | 99.825% |
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Net Proceeds ($) | $1,247,812,500 |
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Announcement Date | October 25, 2006 |
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Closing Date | October 31, 2006 |
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Maturity Date | October 25, 2011 |
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Call | N.A. |
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Call Dates | N.A. |
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Redemption Price | N.A. |
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Interest Payment Dates | 25th of each January, April, July and October during the term of the notes, subject to adjustment in accordance
with Following Business Day Convention |
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1st Payment Date | January 25, 2007 |
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Reset Dates | 25th of each January, April, July and October during the term of the notes, subject to adjustment in accordance
with Following Business Day Convention |
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Rate Determination Date | Two London and New York Business Days prior to the beginning of each interest period |
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Daycount Fraction | Actual/360 |
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Business Day Convention | Following Business Day Convention with adjustment to period end dates |
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Business Days | New York |
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Minimum Denominations | $1,000 minimum and integral multiples of $1,000 in excess thereof |
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Calculation Agent | SLM Corporation |
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Indenture Trustee | The Bank of New York |
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