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Ally Financial Inc. Regulatory Filings 2012

Dec 26, 2012

30503_prs_2012-12-26_746bf89e-6a19-4563-8216-761f335f6f0a.zip

Regulatory Filings

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424B2 1 v796753_424b2.htm 424B2

Filed under Rule 424(b)(2), Registration Statement No. 333-183535
Preliminary Pricing Supplement No. 8 - Dated Monday, December 24, 2012 (To: Prospectus dated August 24, 2012)
CUSIP Principal Gross Net Coupon Coupon Coupon Maturity 1st
Coupon 1st
Coupon Survivor's Product
Number Amount Selling
Price Concession Proceeds Type Rate Frequency Date Date Amount Option Ranking
02006DAT8 [] 100.000% 0.750% [] Fixed 2.400% Monthly 01/15/2015 02/15/2013 $2.73 No Senior Unsecured Notes
Redemption Information: Callable at 100% on 1/15/2014 and Monthly thereafter with 30 Calendar Days Notice.
02006DAU5 [] 100.000% 1.300% [] Fixed 3.400% Monthly 01/15/2017 02/15/2013 $3.87 No Senior Unsecured Notes
Redemption Information: Callable at 100% on 1/15/2014 and Monthly thereafter with 30 Calendar Days Notice.
Ally Financial Inc. Ally Financial Inc.
Trade Date: Monday, December 31, 2012 @ 12:00 PM ET Ally Financial Term Notes, Series A
Settle Date: Friday, January 4, 2013 Prospectus dated August 24, 2012
Minimum Denomination/Increments:$1,000.00/$1,000.00
Initial trades settle flat and clear SDFS: DTC Book Entry only DTC Number 0235 via RBC Dain Rauscher Inc
Agents: Incapital, LLC, Citigroup, RBC Capital Markets, Morgan Stanley,
J.P. Morgan
If the maturity date or an interest payment date for any note is
not a business day (as term is defined in prospectus), principal, premium, if any, and interest for that note is paid on the next business day, and no interest will
accrue from, and after, the maturity date or interest payment date.

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