0001193125-11-156758.txt : 20110602 0001193125-11-156758.hdr.sgml : 20110602 20110602091542 ACCESSION NUMBER: 0001193125-11-156758 CONFORMED SUBMISSION TYPE: 424B3 PUBLIC DOCUMENT COUNT: 2 FILED AS OF DATE: 20110602 DATE AS OF CHANGE: 20110602 FILER: COMPANY DATA: COMPANY CONFORMED NAME: WHIRLPOOL CORP /DE/ CENTRAL INDEX KEY: 0000106640 STANDARD INDUSTRIAL CLASSIFICATION: HOUSEHOLD APPLIANCES [3630] IRS NUMBER: 381490038 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 424B3 SEC ACT: 1933 Act SEC FILE NUMBER: 333-157392 FILM NUMBER: 11887190 BUSINESS ADDRESS: STREET 1: WHIRLPOOL CNTR 2000 M 63 STREET 2: C/O CORPORATE SECRETARY CITY: BENTON HARBOR STATE: MI ZIP: 49022-2692 BUSINESS PHONE: 6169235000 MAIL ADDRESS: STREET 1: WHIRLPOOL CTR 2000 M 63 STREET 2: C/O CORPORATE SECRETARY CITY: BENTON HARBOR STATE: MI ZIP: 49022-2692 FORMER COMPANY: FORMER CONFORMED NAME: WHIRLPOOL SEEGER CORP DATE OF NAME CHANGE: 19710824 424B3 1 d424b3.htm PRELIMINARY PRICING SUPPLEMENT NO. 1 Preliminary Pricing Supplement No. 1

Filed Pursuant to Rule 424(b)(3)
Registration No. 333-157392

This preliminary pricing supplement relates to an effective registration statement under the Securities Act of 1933, but is not complete and may be changed. We are not using this preliminary pricing supplement or the accompanying prospectus or prospectus supplement to offer to sell these securities or to solicit offers to buy these securities in any place where the offer or sale is not permitted.

 

SUBJECT TO COMPLETION, DATED JUNE 2, 2011

 

Preliminary Pricing Supplement No. 1

 

(To Prospectus Supplement dated June 2, 2011 and Prospectus Dated February 19, 2009)

 

Investors should read this Preliminary Pricing Supplement in conjunction with the Prospectus and the Prospectus Supplement.

 

LOGO

$            

            % Notes due

 

Issuer:

   Whirlpool Corporation

Principal Amount:

   $

Interest Rate:

       %

Interest Payment Dates:

   Semi annually             on             and of each year, beginning             , 2011

Trade Date:

   June     , 2011

Settlement Date:

   June     , 2011

Maturity Date:

  

Issue Price:

       % of the principal amount

Underwriters’ Discount:

       % of the principal amount
Net Proceeds to Whirlpool (after deduction of expenses and underwriting discount):        % of the principal amount

Use of Proceeds:

   General corporate purposes, including the repayment of indebtedness that matures on June 15, 2011 and bears an interest rate of 6.125%

CUSIP:

  
Change of Control Provisions Applicable:    Yes

Optional Repayment:

   No

 

Optional Redemption:    We may, at our option, redeem the notes in whole at any time or in part from time to time at a redemption price equal to the greater of (1) 100% of the principal amount of the notes to be redeemed and (2) as determined by the Quotation Agent (as defined in Annex A), the sum of the present values of the remaining scheduled payments of principal and interest in respect of the notes to be redeemed (not including any portion of those payments of interest accrued as of the date of redemption) discounted to the date of redemption (the “Redemption Date”) on a semi-annual basis (assuming a 360-day year consisting of twelve 30-day months) at the Adjusted Treasury Rate (as defined in Annex A) plus              basis points plus accrued and unpaid interest to the Redemption Date.
Sinking Fund:    No

 

Joint Book-Running Managers

 

BNP PARIBAS

  

Citi

  

J.P. Morgan

  

RBS

 

PPS-1


Plan of Distribution

Under the terms and subject to the conditions of the Selling Agency Agreement dated June     , 2011 among Whirlpool Corporation (“Whirlpool”) and BNP Paribas Securities Corp., Citigroup Global Markets Inc., J.P. Morgan Securities LLC and RBS Securities Inc. as well as under the terms of the Terms Agreement dated June     , 2011 among Whirlpool and BNP Paribas Securities Corp., Citigroup Global Markets Inc., J.P. Morgan Securities LLC and RBS Securities Inc., as representatives of the underwriters named below (collectively, the “Underwriters”), the Underwriters have agreed severally to purchase and Whirlpool has agreed to sell the         % Notes due 20     (the “Notes”) to the Underwriters in the respective principal amounts set forth below:

 

Underwriters

   Principal Amount

BNP Paribas Securities Corp.

   $        

Citigroup Global Markets Inc.

  

J.P. Morgan Securities LLC

  

RBS Securities Inc.

  
  
  
    

Total

   $        
    

The Underwriters are committed to take and pay for all of the Notes if any are taken.

The Underwriters have advised Whirlpool that they propose initially to offer part of the Notes directly to the public at the issue price set forth on the first page of this Preliminary Pricing Supplement.

Each Underwriter and certain of its affiliates may from time to time engage in transactions with, and perform investment banking and commercial lending and banking services for, Whirlpool and certain of its affiliates in the ordinary course of business for which they have received, or may receive, customary fees and expenses.

 

PPS-2


Annex A

For purposes of the foregoing discussions of “Optional Redemption,” the following definitions are applicable:

Adjusted Treasury Rate” means, with respect to any Redemption Date, the rate per year equal to the semi-annual equivalent yield to maturity of the Comparable Treasury Issue, assuming a price for the Comparable Treasury Issue (expressed as a percentage of its principal amount) equal to the Comparable Treasury Price for that Redemption Date.

Comparable Treasury Issue” means the United States Treasury security selected by the Quotation Agent as having a maturity comparable to the remaining term of the notes to be redeemed that would be utilized, at the time of selection and in accordance with customary financial practice, in pricing new issues of corporate debt securities of comparable maturity to the remaining term of those notes.

Comparable Treasury Price” means, with respect to any Redemption Date, (1) the average of the Reference Treasury Dealer Quotations for that Redemption Date, after excluding the highest and lowest Reference Treasury Dealer Quotations, or (2) if the Quotation Agent obtains fewer than four Reference Treasury Dealer Quotations, the average of all Reference Treasury Dealer Quotations so received.

Quotation Agent” means the Reference Treasury Dealer appointed by us.

Reference Treasury Dealer” means each of any four primary U.S. Government securities dealers in the United States of America selected by us.

Reference Treasury Dealer Quotations” means, with respect to each Reference Treasury Dealer and any Redemption Date, the average, as determined by the Quotation Agent, of the bid and asked prices for the Comparable Treasury Issue (expressed in each case as a percentage of its principal amount) quoted in writing to the Quotation Agent by that Reference Treasury Dealer at 5:00 p.m., New York City time, on the third business day preceding that Redemption Date.

 

PPS-3

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