EX-99.G8 16 h97293exv99wg8.txt LONG-TERM DEBT AND PREFERRED SECURITIES OF SUB. EXHIBIT G-8 RELIANT ENERGY RESOURCES CORP.
SECURITY OUTSTANDING RATE MATURITY -------- ----------- ---- -------- Debentures $145,070,000 8.90% 12/15/06 Conv. Sub. Debentures $ 79,421,750 6.00% 03/15/12 Debentures $300,000,000 6.50% 02/01/08 TERMS $500,000,000 6.375% 11/01/03 Notes $325,000,000 8.125% 07/15/05 Notes $550,000,000 7.75% 02/15/11 6.25% Convertible Trust Preferred $ 421,500 6.25% 06/30/26