Series of Notes | |||||
CUSIP |
Outstanding |
Title of Notes to be Tendered |
Applicable Debt Instrument |
Shares of GM Common Stock Offered per 1,000 U.S. Dollar Equivalent |
Accrued Interest per 1,000 U.S. Dollar Equivalent as of June 30, 2009 (3) |
USD Notes | |||||
370442691 |
USD 1,001,600,875 |
1.50% Series D Convertible Senior Debentures due June 1, 2009 (2) |
1995 Indenture |
225 |
$7.50 (4) |
370442BB0 |
USD 1,500,000,000 |
7.20% Notes due January 15, 2011 |
1995 Indenture |
225 |
$33.00 |
37045EAS7 |
USD 48,175,000 |
9.45% Medium-Term Notes due November 1, 2011 |
1990 Indenture |
225 |
$11.81 |
370442BS3 |
USD 1,000,000,000 |
7.125% Senior Notes due July 15, 2013 |
1995 Indenture |
225 |
$32.66 |
370442AU9 |
USD 500,000,000 |
7.70% Debentures due April 15, 2016 |
1995 Indenture |
225 |
$16.04 |
370442AJ4 |
USD 524,795,000 |
8.80% Notes due March 1, 2021 |
1990 Indenture |
225 |
$29.09 |
37045EAG3 |
USD 15,000,000 |
9.4% Medium-Term Notes due July 15, 2021 |
1990 Indenture |
225 |
$11.75 |
370442AN5 |
USD 299,795,000 |
9.40% Debentures due July 15, 2021 |
1990 Indenture |
225 |
$43.08 |
370442BW4 |
USD 1,250,000,000 |
8.25% Senior Debentures due July 15, 2023 |
1995 Indenture |
225 |
$37.81 |
370442AV7 |
USD 400,000,000 |
8.10% Debentures due June 15, 2024 |
1995 Indenture |
225 |
$43.88 (5) |
370442AR6 |
USD 500,000,000 |
7.40% Debentures due September 1, 2025 |
1990 Indenture |
225 |
$24.46 |
370442AZ8 |
USD 600,000,000 |
6 3/4% Debentures due May 1, 2028 |
1995 Indenture |
225 |
$11.06 |
370442741 |
USD 39,422,775 |
4.50% Series A Convertible Senior Debentures due March 6, 2032 (2) |
1995 Indenture |
225 |
$14.88 |
370442733 |
USD 2,600,000,000 |
5.25% Series B Convertible Senior Debentures due March 6, 2032 (2) |
1995 Indenture |
225 |
$17.35 |
370442717 |
USD 4,300,000,000 |
6.25% Series C Convertible Senior Debentures due July 15, 2033 (2) |
1995 Indenture |
225 |
$28.65 |
370442BT1 |
USD 3,000,000,000 |
8.375% Senior Debentures due July 15, 2033 |
1995 Indenture |
225 |
$38.39 |
370442AT2 |
USD 377,377,000 (1) |
7.75% Discount Debentures due March 15, 2036 |
1995 Indenture |
225 |
n/a |
370442816 |
USD 575,000,000 |
7.25% Quarterly Interest Bonds due April 15, 2041 |
1995 Indenture |
225 |
$15.10 |
370442774 |
USD 718,750,000 |
7.25% Senior Notes due July 15, 2041 |
1995 Indenture |
225 |
$15.10 |
370442121 |
USD 720,000,000 |
7.5% Senior Notes due July 1, 2044 |
1995 Indenture |
225 |
$18.54 |
370442725 |
USD 1,115,000,000 |
7.375% Senior Notes due May 15, 2048 |
1995 Indenture |
225 |
$9.22 |
370442BQ7 |
USD 425,000,000 |
7.375% Senior Notes due May 23, 2048 |
1995 Indenture |
225 |
$7.58 |
370442766 |
USD 690,000,000 |
7.375% Senior Notes due October 1, 2051 |
1995 Indenture |
225 |
$18.23 |
370442758 |
USD 875,000,000 |
7.25% Senior Notes due February 15, 2052 |
1995 Indenture |
225 |
$9.06 |
Euro Notes | |||||
XS0171942757 |
EUR 1,000,000,000 |
7.25% Notes due July 3, 2013 |
July 3, 2003 FPAA |
225 |
$71.81 |
XS0171943649 |
EUR 1,500,000,000 |
8.375% Notes due July 5, 2033 |
July 3, 2003 FPAA |
225 |
$82.49 |
GM Nova Scotia Notes | |||||
XS0171922643 |
GBP 350,000,000 |
8.375% Guaranteed Notes due December 7, 2015 |
July 10, 2003 FPAA |
225 |
$47.02 |
XS0171908063 |
GBP 250,000,000 |
8.875% Guaranteed Notes due July 10, 2023 |
July 10, 2003 FPAA |
225 |
$86.20 |