Issuer: | Swift Energy Company |
|
Guarantor: | Swift Energy Operating, LLC |
|
Security Description: | Senior Notes |
|
Distribution: | SEC Registered |
|
Face: | $250,000,000 |
|
Gross Proceeds: | $250,000,000 |
|
Coupon: | 7.125% |
|
Maturity: | June 1, 2017 |
|
Offering Price: | 100.000% |
|
Yield to Maturity: | 7.125% |
|
Spread to Treasury: | +237 basis points |
|
Benchmark: | UST 4.5% due 5/15/2017 |
|
Ratings: | B1/BB- |
|
Interest Pay Dates: | June 1 and December 1 |
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Beginning: | December 1, 2007 |
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Equity Clawback: | Up to 35% at 107.125% |
|
Until: | June 1, 2010 |
|
Optional redemption: | Makewhole call @ T+50bps prior to June 1,
2012, then: |
On or after: | Price: | |||
June 1, 2012
|
103.563 | % | ||
June 1, 2013
|
102.375 | % | ||
June 1, 2014
|
101.188 | % | ||
June 1, 2015 and thereafter
|
100.000 | % |
Change of control:
|
Put @ 101% of principal plus accrued interest | |
Trade Date:
|
May 17, 2007 | |
Settlement Date: (T+10)
|
June 1, 2007 | |
CUSIP:
|
870738AF8 | |
ISIN:
|
US870738AF81 | |
Denominations:
|
2,000x1,000 | |
Bookrunners:
|
JPMorgan | |
Credit Suisse | ||
Co-Managers:
|
Jefferies & Company | |
UBS Investment Bank | ||
Natexis Bleichroeder Inc. | ||
BNP PARIBAS | ||
Calyon Securities (USA) | ||
Comerica Securities | ||
SOCIETE GENERALE | ||
Wells Fargo Securities |