Filed pursuant to Rule 433
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File No. 333-188300
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May 16, 2013
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Issuer:
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Thomson Reuters Corporation
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CUSIP/ISIN:
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884903 BL8 / US884903BL82
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Current Ratings:
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Moody’s Investors Service, Inc.: Baa1(stable)
Standard & Poor’s Rating Services: A-(negative)
DBRS Limited: A(low)(stable)
Fitch Ratings Ltd.: A-(stable)
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Security Type:
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SEC Registered
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Principal Amount:
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$500,000,000
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Maturity Date:
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May 23, 2016
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Coupon:
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0.875%
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Public Offering Price:
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99.732%
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Yield to Maturity:
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0.966%
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Spread:
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+60 basis points
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Benchmark Treasury:
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UST 0.250% due May 15, 2016
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Treasury Yield/Price:
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0.366% / 99-21
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Trade Date:
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May 16, 2013
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Settlement Date:
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May 23, 2013 (T+5)
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Interest Payment Dates:
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May 23 & November 23, commencing November 23, 2013
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Optional Redemption:
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Until their maturity, the three-year notes will be redeemable in whole or in part at any time, at the Company’s option, at a redemption price equal to the greater of (i) 100% of the principal amount of such notes and (ii) the sum of the present values of the remaining scheduled payments of principal and interest thereon (exclusive of interest accrued to the redemption date) discounted to the redemption date on a semi-annual basis at the Treasury Rate plus 10 basis points for the three-year notes, in each case together with accrued interest thereon to the redemption date. Interest will be calculated on the basis of a 360-day year consisting of 12 30-day months.
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Joint Bookrunning Managers:
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Deutsche Bank Securities Inc.
HSBC Securities (USA) Inc.
Morgan Stanley & Co. LLC
RBS Securities Inc.
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Senior Co-Managers:
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Barclays Capital Inc.
Goldman, Sachs & Co.
Merrill Lynch, Pierce, Fenner & Smith
Incorporated
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Co-Managers:
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BMO Capital Markets Corp.
Citigroup Global Markets Inc.
J.P. Morgan Securities LLC
RBC Capital Markets, LLC
Standard Chartered Bank
TD Securities (USA) LLC
Wells Fargo Securities, LLC
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Issuer:
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Thomson Reuters Corporation
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CUSIP/ISIN:
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884903 BM6 / US884903BM65
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Current Ratings:
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Moody’s Investors Service, Inc.: Baa1(stable)
Standard & Poor’s Rating Services: A-(negative)
DBRS Limited: A(low)(stable)
Fitch Ratings Ltd.: A-(stable)
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Security Type:
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SEC Registered
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Principal Amount:
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$350,000,000
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Maturity Date:
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May 23, 2043
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Coupon:
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4.50%
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Public Offering Price:
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98.094%
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Yield to Maturity:
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4.618%
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Spread:
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+155 basis points
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Benchmark Treasury:
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UST 3.125% due February 15, 2043
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Treasury Yield/Price:
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3.068% / 101-03+
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Trade Date:
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May 16, 2013
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Settlement Date:
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May 23, 2013 (T+5)
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Interest Payment Dates:
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May 23 & November 23, commencing November 23, 2013
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Optional Redemption:
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Prior to November 23, 2042 (six months prior to their maturity date), the thirty-year notes will be redeemable in whole or in part at any time, at the Company’s option, at a redemption price equal to the greater of (i) 100% of the principal amount of such series and (ii) the sum of the present values of the remaining scheduled payments of principal and interest thereon (exclusive of interest accrued to the redemption date) discounted to the redemption date on a semi-annual basis at the Treasury Rate plus 25 basis points in the case of the thirty-year notes, in each case together with accrued interest thereon to the redemption date. Interest will be calculated on the basis of a 360-day year consisting of 12 30-day months.
In addition, on or after November 23, 2042 (six months prior to the maturity date), the thirty-year notes will be redeemable in whole or in part, at the Company’s option, at a Redemption Price equal to 100% of the principal amount of such Notes, together with the accrued interest thereon to the redemption date.
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Joint Bookrunning Managers:
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Deutsche Bank Securities Inc.
HSBC Securities (USA) Inc.
Morgan Stanley & Co. LLC
RBS Securities Inc.
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Senior Co-Managers:
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Barclays Capital Inc.
Goldman, Sachs & Co.
Merrill Lynch, Pierce, Fenner & Smith
Incorporated
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Co-Managers:
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BMO Capital Markets Corp.
Citigroup Global Markets Inc.
J.P. Morgan Securities LLC
RBC Capital Markets, LLC
Standard Chartered Bank
TD Securities (USA) LLC
Wells Fargo Securities, LLC
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