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Ally Financial Inc. — Regulatory Filings 2018
Jun 4, 2018
30503_prs_2018-06-04_c488c553-4642-4a1f-a3f8-8e0e3a1c1aa1.zip
Regulatory Filings
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424B2 1 tv495810_424b2.htm PRELIMINARY PRICING SUPPLEMENT
Filed under Rule 424(b)(2), Registration Statement No. 333-206284
Preliminary Pricing Supplement No. 163 - Dated Monday, June 4, 2018 (To: Prospectus dated August 10, 2015)
| CUSIP | Principal | Selling | Gross | Net | Coupon | Coupon | Coupon | Maturity | 1st
Coupon | 1st
Coupon | Survivor's | Product |
| --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- |
| Number | Amount | Price | Concession | Proceeds | Type | Rate | Frequency | Date | Date | Amount | Option | Ranking |
| 02006DPP0 | [] | 100.00 % (0) | 1.125 % | [] | Fixed | 3.800 % | Monthly | 06/15/2021 | 7/15/2018 | $3.27 | Yes | Senior Unsecured Notes |
| Redemption
Information: Callable at 100% on 6/15/2019 and Monthly thereafter with 30 Calendar Days Notice. | | | | | | | | | | | | |
| 02006DPQ8 | [] | 100.00 % (0) | 1.700 % | [] | Fixed | 4.200 % | Monthly | 06/15/2023 | 7/15/2018 | $3.62 | Yes | Senior Unsecured Notes |
| Redemption
Information: Callable at 100% on 6/15/2019 and Monthly thereafter with 30 Calendar Days Notice. | | | | | | | | | | | | |
| Ally
Financial Inc. | Ally
Financial Inc. |
| --- | --- |
| Trade
Date: Monday, June 11, 2018 @ 12:00 PM ET | Ally
Financial Term Notes, Series A |
| Settle
Date: Thursday, June 14, 2018 | Prospectus
dated August 10, 2015 |
| 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 | |
| Except
for Notes sold to level-fee accounts, Notes offered to the public will be offered at the public offering price set forth in
this Pricing Supplement. Selected dealers purchasing Notes on an agency basis for non-level fee client accounts shall purchase
Notes at the public offering price. Notes purchased by the selected dealers for their own account may be purchased at the
public offering price less the applicable concession. Notes purchased by the selected dealers on behalf of level-fee accounts
may be sold to such accounts at the applicable concession to the public offering price, in which case, such selected dealers
will not retain any portion of the sales price as compensation. | |
| 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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