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PRICING TERM SHEETIssuer:Principal Financial Group, Inc.Title of Securities:6.05% Senior Notes due 2036Offering Size:Coupon:6.05% per annum, payable semi-annuallyTrade Date:November 28, 2006Settlement Date:December 5, 2006Maturity:October 15, 2036Treasury Benchmark:4.500% due February, 2036US Treasury Spot:98-12+US Treasury Yield:4.600%Spread to Treasury:109 basis pointsRe-offer Yield:5.690%Price to Public:105.134% plus accrued interest from October 16, 2006
to settlement dateGross Proceeds:$105,134,000 plus accrued interest from October 16, 2006
to settlement dateNet Proceeds to Issuer
(after expenses):$104,249,000 plus accrued interest from October 16, 2006
to settlement dateOptional Redemption:Make-whole redemption at any time at a discount rate of Treasury plus 20 basis
pointsMinimum Denomination:$2,000 x $1,000Expected Credit Ratings:A2/A*Interest Payment Dates:each April 15th and October 15thFirst Pay Date:April 15, 2007Day Count Convention:30/360CUSIP:74251V AA 0PK ! Z( docProps/app.xml
Microsoft Excel0falseWorksheets1pricing term sheetfalsefalsefalse12.0000PK ! !:P P docProps/core.xml
2020-02-07T09:57:04Z2020-02-07T09:57:04ZPK ! a]I: [Content_Types].xml
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