Registration No.:
|
333-136021 | |||
File Pursuant to Rule:
|
424(b)(3) | |||
Pricing Supplement No:
|
9 | |||
(To Prospectus dated May 17, 2007) |
||||
Date of this Pricing Supplement
|
July 20, 2007 | |||
Trade Date:
|
July 26, 2007 | |||
Issue Date:
|
July 31, 2007 |
CUSIP | ||||||||||||||
or | Stated Interest | Maturity | Price to | Selling | ||||||||||
Common Code | Rate | Date | Public (1) | Concession | ||||||||||
3704A0Q70
|
6.50 | % | 1/15/09 | 100 | % | 0.1250 | % | |||||||
3704A0Q88
|
6.65 | % | 7/15/09 | 100 | % | 0.3000 | % | |||||||
3704A0Q96
|
7.15 | % | 7/15/12 | 100 | % | 0.7500 | % |
Subject to | ||||||
Redemption | ||||||
Payment | Survivor's | or Repayment | ||||
Date and terms of redemption or | ||||||
Frequency | Option | Yes/No | repayment (if applicable) | |||
Monthly
|
YES | NO | N/A | |||
Monthly
|
YES | NO | N/A | |||
Monthly
|
YES | NO | N/A |
(1) | Expressed as a percentage of aggregate principal amount. Actual price to public may be less, and will be determined by prevailing market prices at the time of purchase. |