Issuer:
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Northern States Power Company (a Minnesota corporation)
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Issue Format:
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SEC Registered
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Expected Ratings*:
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Aa3/A/A+ (Stable/Stable/Stable) (Moody’s/Standard & Poor’s/Fitch)
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Security Type:
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First Mortgage Bonds
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Pricing Date:
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May 6, 2014
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Settlement Date:
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May 13, 2014 (T+5)
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Interest Payment Dates:
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Semi-annually on May 15 and November 15, commencing November 15, 2014
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Principal Amount:
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$300,000,000
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Maturity Date:
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May 15, 2044
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Reference Benchmark:
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3.75% due November 15, 2043
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Benchmark Price:
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107-01
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Benchmark Yield:
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3.372%
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Re-offer Spread:
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+77 bps
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Re-offer Yield:
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4.142%
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Coupon:
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4.125%
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Price to Public:
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99.709%
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Net Proceeds to Issuer:
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$296,502,000 (before transaction expenses)
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Make-Whole Call:
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Prior to November 15, 2043, T+15 bps
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Par Call:
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On or after November 15, 2043 at par
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CUSIP/ISIN:
Minimum Denominations:
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665772CL1/US665772CL17
$1,000
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Joint Book-Running Managers:
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BMO Capital Markets Corp.
J.P. Morgan Securities LLC
KeyBanc Capital Markets Inc.
Mizuho Securities USA Inc.
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