PROSPECTUS and |
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PRICING SUPPLEMENT NO. 15 |
PROSPECTUS SUPPLEMENT, each |
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Dated September 8, 2015 |
Dated April 17, 2014, as supplemented |
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Registration Statement No. 333-195332 |
by Supplement No. 1 dated September 10, 2014 |
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Filed Pursuant to Rule 424(b)(2) |
U.S. $17,150,000,000
JOHN DEERE CAPITAL CORPORATION
MEDIUM-TERM NOTES, SERIES F
Due 9 Months or More from Date of Issue
$325,000,000 2.450% Fixed Rate Senior Notes Due September 11, 2020
The Medium-Term Notes offered hereby will be Fixed Rate Notes and senior securities as more fully described in the accompanying Prospectus, Prospectus Supplement and Supplement No. 1 and will be denominated in U.S. Dollars.
CUSIP / ISIN: |
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24422ETB5 / US24422ETB55 | |
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Date of Issue: |
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September 11, 2015 | |
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Maturity Date: |
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September 11, 2020 | |
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Principal Amount: |
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$325,000,000 | |
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Price to Public: |
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99.935% plus accrued interest from September 11, 2015 | |
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Interest Payment Dates: |
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Semi-annually on March 11 and September 11, commencing on March 11, 2016 and ending on the maturity date | |
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Regular Record Dates: |
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The fifteenth day (whether or not a Business Day) next preceding the applicable Interest Payment Date | |
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Interest Rate: |
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2.450% per annum | |
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Redemption Provisions: |
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None | |
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Plan of Distribution: |
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Name |
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Principal Amount Of Notes |
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Citigroup Global Markets Inc. |
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$97,500,000 |
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Goldman, Sachs & Co. |
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97,500,000 |
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HSBC Securities (USA) Inc. |
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97,500,000 |
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BNP Paribas Securities Corp. |
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10,834,000 |
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Credit Agricole Securities (USA) Inc. |
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10,833,000 |
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U.S. Bancorp Investments, Inc. |
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10,833,000 |
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Total |
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$325,000,000 |
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The above Agents have severally agreed to purchase the respective principal amount of Notes, opposite their names as principal, at a price of 99.585% plus accrued interest from September 11, 2015 if settlement occurs after that date. |
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