Pricing Supplement Dated
|
June 2, 2005 | Filed pursuant to Rule 424(b)(2) | ||||
(To Prospectus dated
March 5, 2004, and |
Registration Statement Nos. | 333-110499 and 333-110499-01 | ||||
Prospectus Supplement
dated March 5, 2004) |
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CUSIP: 74254PGC0 |
Principal Life Insurance
Company
Secured Medium-Term Notes
Issued Through
Principal Life Income
Fundings Trust 12 (the Trust)
The description of this pricing supplement of the particular terms of the Secured Medium-Term Notes offered hereby, and the Funding Agreement (specified below) issued by Principal Life Insurance Company (Principal Life) to the Trust, the payment obligations of which are fully and unconditionally guaranteed by the Guarantee (specified below) issued by Principal Financial Group, Inc. to the Trust, supplements the description of the general terms and provisions of the notes, the funding agreements and the guarantees set forth in the accompanying prospectus and prospectus supplement, to which reference is hereby made.
1. The Notes
Principal Amount: |
$ | 500,000,000 | Purchasing Agent(s) Discount: | Variable, depending on re-offer price | ||||||
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Issue Price: |
Variable Price Re-Offer | Original Issue Date: | June 9, 2005 | |||||||
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Net Proceeds to the Trust:
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$ | 500,000,000 | Stated Maturity Date: | December 7, 2007 | ||||||
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Specified
Currency: |
U.S. Dollars | |||||||||
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Interest Payment Dates:
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The seventh day of March, June, September and December of each year | |||||||||
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Initial Interest Payment
Date: |
September 7, 2005 | |||||||||
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Regular Record Date:
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15 calendar days prior to the Interest Payment Date | |||||||||
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Type of Interest
Rate: |
o Fixed Rate | x Floating Rate | ||||||||
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Fixed Rate
Notes: |
o Yes | x No. | If, Yes, | |||||||
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Interest Rate: |
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Floating Rate
Notes: |
x Yes | o No. | If, Yes, | |||||||
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Regular Floating Rate
Notes: |
x Yes | o No. | If, Yes, | |||||||
Interest Rate: |
3-Month LIBOR + .03% | |||||||||
Interest Rate
Basis(es): |
See below. | |||||||||
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Floating Rate/Fixed Rate
Note: |
o Yes | x No. | If, Yes, | |||||||
Floating Interest
Rate: |
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Interest Rate
Basis(es): |
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Fixed Interest
Rate: |
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Fixed Rate Commencement
Date: |
Inverse Floating Rate
Note: |
o Yes | x No. | If, Yes, | |||
Fixed Interest
Rate: |
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Floating Interest
Rate: |
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Interest Rate
Basis(es): |
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Initial Interest Rate, if
any: |
3-Month Libor + .03% determined on the second London Banking Day preceding the Original Issue Date | |||||
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Initial Interest Reset
Date: |
September 7, 2005 | |||||
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Interest Rate Basis(es).
Check all that apply: |
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o CD Rate | o Commercial Paper Rate | ||||
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o CMT Rate | o Eleventh District Cost of Funds Rate | ||||
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x LIBOR | o Federal Funds Rate | ||||
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o EURIBOR | o Treasury Rate | ||||
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o Prime Rate | o Other (See Attached) | ||||
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If LIBOR: |
o LIBOR Reuters Page | x LIBOR Moneyline Telerate Page 3750 | ||||
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LIBOR Currency: U.S. Dollars | |||||
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If CMT Rate: |
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Designated CMT Telerate
Page: |
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If 7052: |
o Weekly Average | o Monthly Average | ||||
Designated CMT Maturity
Index: |
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Index Maturity: |
3-Month | |||||
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Spread: |
+0.03% | |||||
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Spread
Multiplier: |
Not applicable | |||||
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Interest Reset
Date(s): |
Each Interest Payment Date | |||||
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Interest Rate
Determination Date(s): |
The second London Banking Day preceding the related Interest Reset Date | |||||
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Maximum Interest Rate, if
any: |
Not applicable | |||||
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Minimum Interest Rate, if
any: |
Not applicable |
Calculation Agent:
|
Citibank, N.A. | |||||||||
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Exchange Rate
Agent: |
Not applicable | |||||||||
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Computation of
Interest: |
(not applicable unless different than as specified in the prospectus and prospectus supplement): | |||||||||
Day Count Convention:
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(not applicable unless different than as specified in the prospectus and prospectus supplement): | |||||||||
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Amortizing Note: |
o Yes | x No. | If, Yes, | |||||||
Amortizing
Schedule: |
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Additional/Other
Terms: |
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Discount Note: |
o Yes | x No. | If, Yes, | |||||||
Total Amount of
Discount: |
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Initial Accrual Period of
Discount: |
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Additional/Other
Terms: |
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Redemption Provisions:
|
o Yes | x No. | If, Yes, | |||||||
Initial Redemption
Date: |
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Initial Redemption
Percentage: |
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Annual Redemption
Percentage Reduction (if any): | ||||||||||
Redemption: |
o In whole only and not in part | |||||||||
o May be in whole or in part | ||||||||||
Additional/Other
Terms: |
Repayment: |
o Yes | x No. | If, Yes, | |||
Repayment
Date(s): |
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Repayment Price: |
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Repayment: |
o In whole only and not in part | |||||
o May be in whole or in part | ||||||
Additional/Other
Terms: |
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Sinking Fund (not
applicable unless specified): |
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Additional Amounts to be
Paid for Withholding Tax (not applicable unless specified): | ||||||
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Securities Exchange
Listing: |
o Yes | x No. | If, Yes, Name of Exchange: | |||
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Authorized Denominations:
|
$100,000 and integral multiples of $1,000 |
Ratings:
Purchasing
Agents Purchasing Notes as Principal: |
x Yes | o No. | If, Yes: |
Purchasing Agent(s)
|
Principal Amount
| |||
Lehman Brothers
Inc. |
$ | 250,000,000 | ||
BNP Paribas
Securities Corp. |
$ | 250,000,000 | ||
Total: |
$ | 500,000,000 |
Purchasing Agents
Acting as Agent: |
o Yes | x No. | If, Yes: |
Purchasing Agent(s)
|
Principal Amount
| |||
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Total: |
State of Organization of
the Trust: |
New York | |||||||||
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Additional/Other Terms:
|
Not applicable | |||||||||
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Special Tax
Considerations: |
Interest payable on the Notes will be treated as qualified stated interest for United States federal income tax purposes, as it meets the specified criteria referenced in the prospectus supplement under the heading Material United States Federal Income Tax ConsiderationsU.S. HoldersInterest and Original Issue Discount. | |||||||||
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2. The Funding
Agreement |
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Funding Agreement Issuer:
|
Principal Life Insurance Company | |||||||||
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Funding Agreement No.:
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5-17648 | |||||||||
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Deposit: |
$500,000,015 | |||||||||
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Net Deposit: |
$500,000,000 | |||||||||
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Effective Date: |
June 9, 2005 | |||||||||
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Stated Maturity Date:
|
December 7, 2007 |
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Specified Currency: |
U.S. Dollars | |||||||||
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Interest Payment Dates: |
The seventh day of March, June, September and December of each year | |||||||||
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Initial Interest Payment
Date: |
September 7, 2005 | |||||||||
|
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Type of Interest
Rate: |
o Fixed Rate | x Floating Rate | ||||||||
|
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Fixed Rate Funding
Agreement: |
o Yes | x No. | If, Yes, | |||||||
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Interest Rate: |
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|
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Floating Rate Funding
Agreement: |
x Yes | o No. | If, Yes, | |||||||
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Regular Floating Rate
Funding Agreement: |
x Yes | o No. | If, Yes, | |||||||
Interest Rate: |
3-Month LIBOR + .03% | |||||||||
Interest Rate
Basis(es): |
See below | |||||||||
|
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Floating Rate/Fixed Rate
Funding Agreement: |
o Yes | x No. | If, Yes, | |||||||
Floating Interest
Rate: |
||||||||||
Interest Rate
Basis(es): |
||||||||||
Fixed Interest
Rate: |
||||||||||
Fixed Rate Commencement
Date: |
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|
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Inverse Floating Rate
Funding Agreement: |
o Yes | x No. | If, Yes, | |||||||
Fixed Interest
Rate: |
||||||||||
Floating Interest
Rate: |
||||||||||
Interest Rate
Basis(es): |
||||||||||
|
||||||||||
Initial Interest Rate, if
any: |
3-Month Libor + .03% determined on the second London Banking Day preceding the Original Issue Date | |||||||||
|
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Initial Interest Reset
Date: |
September 7, 2005 |
Interest Rate Basis(es).
Check all that apply: |
||||||
|
o CD Rate | o Commercial Paper Rate | ||||
|
o CMT Rate | o Eleventh District Cost of Funds Rate | ||||
|
x LIBOR | o Federal Funds Rate | ||||
|
o EURIBOR | o Treasury Rate | ||||
|
o Prime Rate | o Other (See Attached) | ||||
|
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If LIBOR: |
o LIBOR Reuters Page | x LIBOR Moneyline Telerate Page 3750 | ||||
|
LIBOR Currency: | U.S. Dollars | ||||
|
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If CMT Rate: |
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Designated CMT Telerate
Page: |
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If 7052: |
o Weekly Average | o Monthly Average | ||||
Designated CMT Maturity
Index: |
Index Maturity: |
3-Month | |||||
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Spread: |
+0.03% | |||||
|
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Spread
Multiplier: |
Not applicable | |||||
|
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Interest Reset
Date(s): |
Each Interest Payment Date | |||||
|
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Interest Rate
Determination Date(s): |
The second London Banking Day preceding the related Interest Reset Date | |||||
|
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Maximum Interest Rate, if
any: |
Not applicable | |||||
|
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Minimum Interest Rate, if
any: |
Not applicable | |||||
|
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Computation of Interest:
|
(not applicable unless different than as specified in the prospectus and prospectus supplement): |
Day Count
Convention: |
(not applicable unless different than as specified in the prospectus and prospectus supplement): | ||||||||
|
|||||||||
Amortizing Funding
Agreement: |
o Yes | x No. | If, Yes, | ||||||
Amortizing
Schedule: |
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Additional/Other
Terms: |
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Discount Funding
Agreement: |
o Yes | x No. | If, Yes, | ||||||
Total Amount of
Discount: |
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Initial Accrual Period of
Discount: |
|||||||||
Additional/Other
Terms: |
|||||||||
|
|||||||||
Redemption Provisions:
|
o Yes | x No. | If, Yes, | ||||||
Initial Redemption
Date: |
|||||||||
Initial Redemption
Percentage: |
|||||||||
Annual Redemption
Percentage Reduction (if any): |
|||||||||
Redemption: |
o In whole only and not in part | ||||||||
o May be in whole or in part | |||||||||
Additional/Other
Terms: |
|||||||||
Repayment: |
o Yes | x No. | If, Yes, | ||||||
Repayment
Date(s): |
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Repayment Price: |
|||||||||
Repayment: |
o In whole only and not in part | ||||||||
o May be in whole or in part | |||||||||
Additional/Other
Terms: |
|||||||||
|
|||||||||
Sinking Fund (not
applicable unless specified): |
|||||||||
|
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Additional Amounts to be
Paid For Withholding Tax (not applicable unless specified): |
Ratings:
Additional/Other Terms:
|
Not applicable. | |
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Special Tax
Considerations: |
Not applicable. | |
|
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3. The
Guarantee |
||
|
||
Guarantee Issuer:
|
Principal Financial Group, Inc. | |
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Effective Date: |
June 9, 2005 | |
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Additional/Other Terms:
|
Not applicable |