Issuer Free WritingProspectus
(relating to Preliminary Prospectus Supplement dated
March 23, 2020 and Prospectus dated March 22, 2018)
Filed pursuant to Rule 433
Registration Number 333-223853
General Dynamics Corporation
Pricing Term Sheet
March 23, 2020
$750,000,000 3.250% Notes due 2025
$750,000,000 3.500% Notes due 2027
$1,000,000,000 3.625% Notes due 2030
$750,000,000 4.250% Notes due 2040
$750,000,000 4.250% Notes due 2050
Issuer: | General Dynamics Corporation (the “Company”) |
Guarantors: | American Overseas Marine Company, LLC; Bath Iron Works Corporation; Electric Boat Corporation; General Dynamics Government Systems Corporation; General Dynamics Land Systems Inc.; General Dynamics Ordnance and Tactical Systems, Inc.; General Dynamics-OTS, Inc.; Gulfstream Aerospace Corporation; and National Steel and Shipbuilding Company |
Expected Ratings:* | A2 (negative outlook) / A (CreditWatch negative) (Moody’s / S&P) |
Security Type: | Senior Unsecured Notes |
Securities: | 3.250% Notes due 2025 (the “2025 Notes”) |
3.500% Notes due 2027 (the “2027 Notes”)
3.625% Notes due 2030 (the “2030 Notes”)
4.250% Notes due 2040 (the “2040 Notes”)
4.250% Notes due 2050 (the “2050 Notes”)
Principal Amount: | 2025 Notes: $750,000,000 |
2027 Notes: $750,000,000
2030 Notes: $1,000,000,000
2040 Notes: $750,000,000
2050 Notes: $750,000,000
Maturity: | 2025 Notes: April 1, 2025 |
2027 Notes: April 1, 2027
2030 Notes: April 1, 2030
2040 Notes: April 1, 2040
2050 Notes: April 1, 2050
Coupon (Interest Rate): | 2025 Notes: 3.250% |
2027 Notes: 3.500%
2030 Notes: 3.625%
2040 Notes: 4.250%
2050 Notes: 4.250%