Securities:
|
Class A Pass Through Certificates,
Series 2010-1 ("Class A Certificates")
|
Class B Pass Through Certificates,
Series 2010-1 ("Class B Certificates")
|
Amount:
|
$362,659,000
|
$64,492,000
|
CUSIP:
|
21079V AA1
|
21079V AB9
|
ISIN:
|
US21079VAA17
|
US21079VAB99
|
Coupon:
|
4.750%
|
6.000%
|
Make-Whole Spread over Treasuries:
|
0.500%
|
0.500%
|
Available Amount under Liquidity Facility at July 12, 2011:
|
$25,839,454
|
$5,804,280
|
Initial Maximum Commitment Amount Under Liquidity Facility:
|
$27,753,488
|
$6,234,227
|
Public Offering Price:
|
100%
|
100%
|
Underwriting:
|
||
Morgan Stanley & Co. Incorporated
|
$72,531,800
|
$12,898,400
|
Credit Suisse Securities (USA) LLC
|
$72,531,800
|
$12,898,400
|
Goldman, Sachs & Co.
|
$72,531,800
|
$12,898,400
|
Deutsche Bank Securities Inc.
|
$72,531,800
|
$12,898,400
|
J.P. Morgan Securities LLC
|
$72,531,800
|
$12,898,400
|
Concession to Selling Group Members:
|
0.500%
|
0.500%
|
Discount to Broker/Dealers:
|
0.250%
|
0.250%
|
Underwriting Commission:
|
$5,339,388
|
|
Continental’s Transaction Expenses:
|
$2,400,000
|
Underwriting Agreement:
|
Dated November 17, 2010
|
Settlement:
|
December 2, 2010 (T+10) closing date, the 10th business day following the date hereof
|
Preliminary Prospectus Supplement:
|
Continental has prepared a Preliminary Prospectus Supplement, dated November 17, 2010, which includes additional information regarding the Class A and Class B Certificates
|