Securities:
|
Class A Pass Through Certificates, Series 2009-1A (the Class A Certificates) |
Class B Pass Through Certificates, Series 2009-1B (the Class B Certificates) |
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Amount:
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$ | 568,796,000 | $ | 119,944,000 | ||||
Ratings: |
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Moodys
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Baa2 | Ba2 | ||||||
Standard & Poors
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A- | BBB- | ||||||
Public Offering Price:
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100% | 100% | ||||||
CUSIP:
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24736T AA5 | 24736U AA2 | ||||||
ISIN:
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US24736TAA51 | US24736UAA25 | ||||||
Coupon/Stated Interest Rate:
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7.75% | 9.75% | ||||||
Make-Whole Spread over Treasuries:
|
75 bps | 75 bps | ||||||
Amount Available under Liquidity Facilities at June 17, 20111:
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$ | 61,813,229.91 | $ | 12,204,666.89 | ||||
Initial Maximum Commitment under the Liquidity Facilities:
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$ | 68,938,865.19 | $ | 18,288,961.17 | ||||
Underwriters Purchase Commitments: |
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Goldman, Sachs & Co.:
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$ | 284,398,000 | $ | 59,972,000 | ||||
Morgan Stanley & Co. Incorporated:
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$ | 284,398,000 | $ | 59,972,000 | ||||
Underwriting Agreement:
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November 18, 2009 | |||||||
Settlement:
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November 24, 2009 (T+4) closing date, the 4th business day following the date hereof. |
1 | The first Regular Distribution Date to occur after the Outside Termination Date, which is the last date that all Aircraft may be subjected to the financing of this offering. |
Preliminary Prospectus: |
Delta has prepared and filed with the SEC a Preliminary Prospectus, dated November 18, 2009, which includes additional information regarding the Class A Certificates and Class B Certificates. |