Issuer:
|
Central
Hudson Gas & Electric
Corporation
|
Market
Type:
|
Senior
Unsecured MTN
|
Ratings:
|
S&P
A, Moody’s A3, Fitch A
|
Principal
Amount:
|
$24,000,000
|
Trade
Date:
|
September
25, 2009
|
Settlement
Date:
|
September
30, 2009
|
Final
Maturity:
|
November
1, 2039
|
Interest
Payment Dates:
|
May
1 and November 1
|
1st
Coupon Payment Date:
|
November
1, 2009
|
Coupon:
|
5.80%
|
US
Treasury Benchmark:
|
UST
4.25% due May 15, 2039
|
US
Treasury Yield:
|
4.101%
|
Business
day convention:
|
30/360
|
Re-offer
Price:
|
100%
|
Redemption:
|
100%
|
Denomination:
|
$1,000
x $1,000
|
Joint
Bookrunners:
|
Banc
of America Securities LLC
|
$8,000,000
|
J.P.
Morgan Securities Inc.
|
$8,000,000
|
|
KeyBanc
Capital Markets Inc.
|
$8,000,000
|