Final Term Sheet | ||
May 9, 2011 | ||
Issuer: |
CMS Energy Corporation | |
Security: |
2.75% Senior Notes due 2014 | |
Aggregate Principal Amount Offered: |
$250,000,000 | |
Maturity Date: |
May 15, 2014 | |
Coupon: |
2.75% | |
Yield to Maturity: |
2.77% | |
Spread to Treasury: |
185 basis points | |
Benchmark Treasury Security: |
1.25% due April 15, 2014 | |
Benchmark Treasury Yield: |
0.92% | |
Interest Payment Dates: |
May 15 and November 15 | |
First Interest Payment Date: |
November 15, 2011 | |
Public Offering Price: |
99.942% | |
Optional Redemption: |
Make-whole call at any time at Treasury rate plus 25 basis points | |
Trade Date: |
May 9, 2011 | |
Settlement Date: |
May 12, 2011 (T+3) | |
Ratings: |
Ba1 / BB+ / BB+ (Moodys / S&P / Fitch) | |
Note: A securities rating is not a recommendation to buy, sell or | ||
hold securities and may be subject to revision or withdrawal at any time | ||
Joint Book-Running Managers: |
Barclays Capital Inc. | |
Citigroup Global Markets Inc. | ||
Deutsche Bank Securities Inc. | ||
J.P. Morgan Securities LLC | ||
Merrill Lynch, Pierce, Fenner & Smith | ||
Incorporated |
||
Co-Managers: |
Comerica Securities, Inc. | |
Loop Capital Markets LLC | ||
MFR Securities, Inc. | ||
CUSIP/ISIN: |
125896 BH2 / US125896BH28 |