Issuer:
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Toyota Motor Credit Corporation
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Security:
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Fixed Rate Medium-Term Notes, Series B
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Title:
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0.800% Fixed Rate Medium-Term Notes, Series B due May 17, 2016
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Issuer Senior Long-Term Debt Ratings:
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Moody’s Investors Service, Inc.: Aa3 (negative outlook)
Standard & Poor’s Ratings Services: AA- (stable outlook)
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CUSIP/ISIN:
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89236TAL9/US89236TAL98
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Pricing Date:
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May 14, 2013
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Settlement Date:
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May 17, 2013
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Maturity Date:
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May 17, 2016
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Principal Amount:
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$750,000,000
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Benchmark Treasury:
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UST 0.250% due May 2016
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Treasury Yield:
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0.394%
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Spread to Treasury:
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+42 basis points
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Price to Public:
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99.959%
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Commission:
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0.225%
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Net Proceeds to Issuer:
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99.734% / $748,005,000
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Coupon:
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0.800% per annum
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Yield:
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0.814%
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Interest Payment Frequency:
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Semi-annual
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Interest Payment Dates:
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Each May 17 and November 17 beginning on November 17, 2013
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Day Count Convention:
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30/360
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Business Day Convention:
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Following, Unadjusted
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Business Days:
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New York
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Governing Law:
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New York
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Minimum Denominations:
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$2,000 and $1,000 increments thereafter
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Joint Book-Running Managers:
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BNP Paribas Securities Corp.
Citigroup Global Markets Inc.
J.P. Morgan Securities LLC
RBS Securities Inc.
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Co-Managers:
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Apto Partners, LLC
Mitsubishi UFJ Securities (USA), Inc.
Mizuho Securities USA Inc.
Muriel Siebert & Co., Inc.
SMBC Nikko Capital Markets Limited
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DTC Number:
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274
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