Pricing
Supplement Dated December 12, 2006
|
Filed Pursuant to Rule 424(b)(2) | |||||
(To
Prospectus dated February 16, 2006, and |
Registration Statement Nos. 333-129763 | |||||
Prospectus
Supplement dated February 16, 2006)
|
and 333-129763-01 | |||||
CUSIP: 74254PPQ9 |
Principal Life Insurance Company
Secured Medium-Term Notes (that are also Asset-Backed Securities)
Issued Through and Obligations of
Principal Life Income Fundings Trust 26 (the Trust and
the Issuing Entity)
1. The Notes
Principal Amount: |
$250,000,000 | Purchasing Agent(s) Discount: | 0% | |||||||
Issue Price: |
100% | Original Issue Date: | December 19, 2006 | |||||||
Net Proceeds to the Trust:
|
$250,000,000 | Stated Maturity Date: | July 21, 2008 | |||||||
Specified Currency: |
U.S. Dollars | |||||||||
Interest Payment Dates:
|
January 21, April 21, July 21 and October 21 of each year | |||||||||
Initial Interest Payment Dates:
|
April 21, 2007 | |||||||||
Regular Record Date:
|
15 calendar days prior to the Interest Payment Date | |||||||||
Type of Interest Rate: |
o Fixed Rate | x Floating Rate | ||||||||
Fixed Rate Notes: |
o Yes | x No. | If, Yes, | |||||||
Interest Rate: |
||||||||||
Floating Rate Notes: |
x Yes | o No. | If, Yes, | |||||||
Regular Floating Rate Notes: |
x Yes | o No. | If, Yes, | |||||||
Interest Rate: |
3-Month LIBOR - .055% | |||||||||
Interest Rate Basis(es): |
See below | |||||||||
Floating Rate/Fixed Rate Note:
|
o Yes | x No. | If, Yes, | |||||||
Floating Interest Rate: |
||||||||||
Interest Rate Basis(es): |
||||||||||
Fixed Interest Rate: |
||||||||||
Fixed Rate Commencement Date:
|
Inverse Floating Rate Note:
|
o Yes | x No. | If, Yes, | |||||||
Fixed Interest Rate: |
||||||||||
Floating Interest Rate: |
||||||||||
Interest Rate Basis(es): |
||||||||||
Initial Interest Rate, if any: |
3-Month LIBOR - ..055% determined on the second business day preceding the Original Issue Date. | |||||||||
Initial Interest Reset Date: |
April 21, 2007 |
Interest Rate Basis(es). Check all that apply:
|
||||||
o CD Rate | o Commercial Paper Rate | |||||
o CMT Rate | o Eleventh District Cost of Funds Rate | |||||
o Constant Maturity Swap Rate | o Federal Fund Open Rate | |||||
x LIBOR | o Federal Funds Rate | |||||
o EURIBOR | o Treasury Rate | |||||
o Prime Rate | o Other (See Attached) | |||||
If LIBOR: |
o LIBOR Reuters | x LIBOR Moneyline Telerate Page 3750 | ||||
LIBOR Currency: U.S. Dollars | ||||||
If CMT Rate: |
||||||
Designated CMT Telerate Page: |
||||||
If 7052: |
o Weekly Average | o Monthly Average | ||||
Designated CMT Maturity Index: |
||||||
Index Maturity: |
3-Month | |||||
Spread (+/-): |
- .055% | |||||
Spread Multiplier: |
Not Applicable | |||||
Interest Reset Date(s): |
Each Interest Payment Date | |||||
Interest Rate Determination Date(s): |
The second business day preceding the Interest Reset Date | |||||
Maximum Interest Rate, if any: |
Not Applicable | |||||
Minimum Interest Rate, if any: |
Not Applicable |
Calculation Agent:
|
Citibank, N.A. | |||||
Exchange
Rate Agent:
|
Not Applicable | |||||
Computation of Interest (not applicable unless different than as
specified in the prospectus
and prospectus supplement):
|
||||||
Day Count Convention (not applicable unless different than as specified in the prospectus and prospectus supplement): | ||||||
Amortizing Notes:
|
o Yes | x No. | If, Yes, | |||
Amortizing Schedule: |
||||||
Additional/Other Terms: |
||||||
Discount Note:
|
o Yes | x No. | If, Yes, | |||
Total Amount of Discount: |
||||||
Initial Accrual Period of Discount: |
||||||
Additional/Other Terms: |
||||||
Redemption Provisions:
|
o Yes | x No. | If, Yes, | |||
Initial Redemption Date: |
||||||
Initial
Redemption Percentage: |
||||||
Annual
Redemption Percentage Reduction (if any): |
||||||
Redemption:
|
o In whole only and not in part | |||||
o May be in whole or in part | ||||||
Additional Other Terms: |
Repayment:
|
o Yes | x No. | If, Yes, | |||
Repayment Date(s): |
||||||
Repayment Price: |
||||||
Repayment:
|
o In whole only and not in part | |||||
o May be in whole or in part | ||||||
Additional/Other Terms: |
||||||
Sinking Fund (not applicable unless specified): |
||||||
Additional Amounts to be Paid for Withholding Tax (not applicable unless specified): |
||||||
Securities Exchange Listing:
|
o Yes | x No. | If Yes, Name of Exchange: | |||
Authorized Denominations:
|
$1,000 |
Ratings: The Notes issued under the Program are rated AA by Standard & Poors Ratings Services, a division of The McGraw-Hill Companies, Inc. (S&P). Principal Life expects the Notes to be rated Aa2 by Moodys Investors Service, Inc. (Moodys).
Purchasing
Agent(s) Purchasing Notes as Principal:
|
x Yes | o No. | If Yes, |
Purchasing Agent(s) |
Principal Amount |
|||
Wachovia Capital Markets, LLC |
$ | 250,000,000 | ||
Total: |
$ | 250,000,000 |
Purchasing
Agent(s) Acting as Agent :
|
o Yes | x No. | If, Yes: |
Purchasing Agent(s) |
Principal Amount |
|||
Total: |
State of Organization of the Trust:
|
New York | |||||||||
Additional/Other Terms:
|
||||||||||
Special Tax Considerations:
|
||||||||||
2.
The Funding Agreement |
||||||||||
Funding Agreement Issuer:
|
Principal Life Insurance Company | |||||||||
Funding Agreement No.:
|
4-54167 | |||||||||
Deposit Amount:
|
$250,000,015 | |||||||||
Net Deposit:
|
$250,000,000 | |||||||||
Effective Date:
|
December 19, 2006 | |||||||||
Stated Maturity Date:
|
July 21, 2008 | |||||||||
Specified Currency: |
U.S. Dollars | |||||||||
Interest Payment Dates:
|
January 21, April 21, July 21 and October 21 of each year | |||||||||
Initial Interest Payment Date:
|
April 21, 2007 | |||||||||
Type of Interest Rate: |
o Fixed Rate | x Floating Rate | ||||||||
Fixed Rate Funding Agreement: |
o Yes | x No. | If, Yes, |
Interest Rate: |
||||||||||
Floating Rate Funding Agreement: |
x Yes | o No. | If, Yes, | |||||||
Regular Floating Rate Funding Agreement: |
x Yes | o No. | If Yes, | |||||||
Interest Rate: |
3 Month LIBOR - .055% | |||||||||
Interest Rate Basis(es): |
See below | |||||||||
Floating Rate/Fixed Rate Funding Agreement:
|
o Yes | x No. | If, Yes, | |||||||
Floating Interest Rate: |
||||||||||
Interest Rate Basis(es): |
||||||||||
Fixed Interest Rate: |
||||||||||
Fixed Rate Commencement Date:
|
||||||||||
Inverse Floating Rate Funding Agreement:
|
o Yes | x No. | If, Yes, | |||||||
Fixed Interest Rate: |
||||||||||
Floating Interest Rate: |
||||||||||
Interest Rate Basis(es): |
||||||||||
Initial Interest Rate, if any: |
3-Month LIBOR - ..055% determined on the second business day preceding the Original Issue Date. | |||||||||
Initial Interest Reset Date: |
April 21, 2007 |
Interest Rate Basis(es). Check all that apply:
|
||||||
o CD Rate | o Commercial Paper Rate | |||||
o CMT Rate | o Eleventh District Cost of Funds Rate | |||||
o Constant Maturity Swap Rate | o Federal Funds Open Rate | |||||
x LIBOR | o Federal Funds Rate | |||||
o EURIBOR | o Treasury Rate | |||||
o Prime Rate | o Other (See Attached) | |||||
If LIBOR: |
o LIBOR Reuters Page | x LIBOR Moneyline Telerate Page 3750 | ||||
LIBOR Currency: U.S. Dollars | ||||||
If CMT Rate: |
||||||
Designated CMT Telerate Page: |
||||||
If 7052: |
o Weekly Average | o Monthly Average | ||||
Designated CMT Maturity Index: |
Index Maturity: |
3-Month | |||||
Spread (+/-): |
- .055% | |||||
Spread Multiplier: |
Not Applicable | |||||
Interest Reset Date(s): |
Each Interest Payment Date | |||||
Interest Rate Determination Date(s): |
The second business day preceding the related Interest Reset Date | |||||
Maximum Interest Rate, if any: |
Not Applicable | |||||
Minimum Interest Rate, if any: |
Not Applicable | |||||
Calculation of Interest (not applicable unless different than as
specified in the prospectus
and prospectus supplement):
|
||||||
Day Count Convention (not applicable unless different than as specified in the prospectus and prospectus supplement): | ||||||
Amortizing Funding Agreement:
|
o Yes | x No. | If, Yes, | |||
Amortizing Schedule: |
||||||
Additional/Other Terms: |
||||||
Discount Funding Agreement:
|
o Yes | x No. | If, Yes, | |||
Total Amount of Discount: |
||||||
Initial Accrual Period of Discount: |
||||||
Additional/Other Terms: |
||||||
Redemption Provisions:
|
o Yes | x No. | If, Yes, | |||||||
Initial Redemption Date: |
||||||||||
Initial Redemption Percentage: |
||||||||||
Annual Redemption Percentage Reduction (if any): |
||||||||||
Redemption:
|
o In whole only and not in part | |||||||||
o May be in whole or in part | ||||||||||
Additional Other Terms: |
||||||||||
Repayment:
|
o Yes | x No. | If, Yes, | |||||||
Repayment Date(s): |
||||||||||
Repayment Price: |
||||||||||
Repayment:
|
o In whole only and not in part | |||||||||
o May be in whole or in part | ||||||||||
Additional/Other Terms: |
||||||||||
Sinking Fund (not applicable unless specified): |
||||||||||
Additional Amounts to be Paid For Withholding Tax (not applicable unless specified): |
Ratings:
Additional/Other Terms if any:
|
||
Special Tax Considerations:
|
||
3. The Guarantee |
||
Guarantee Issuer:
|
Principal Financial Group, Inc. | |
Effective Date:
|
December 19, 2006 | |
Additional/Other
Terms if any:
|