Pricing Supplement Number: 2 Dated: August 18, 2015 To Prospectus dated February 26, 2015 and Prospectus Supplement dated March 30, 2015 | For SEC Filing Purposes: Filing Under Rule 424(b)(2) Registration Number 333-200852 |
CANADA
CANADA NOTES
Due Nine Months or more from Date of Issue
Fixed Rate Note
Principal Amount: | U.S.$50,000,000.00 | |
Maturity Date: | August 25, 2019 | |
Settlement Date: | August 25, 2015 (T+5) | |
Date from which Interest Accrues (Issue Date): | August 25, 2015 | |
Trade Date: | August 18, 2015 | |
Interest Payment Dates: | Semi-annually, on February 25 and August 25 of each year | |
Regular Record Dates: | February 9 or August 9 next preceding such Interest Payment Date or Maturity Date | |
Interest Rate: | 1.454% | |
Issue Price: | 100.00% | |
Yield to Maturity: | 1.454% | |
Distributor’s Commission or Discount: | None | |
Net Proceeds to Canada: | U.S.$50,000,000.00 | |
Depositary: | DTC | |
CUSIP Number: | 135087E91 | |
ISIN: | US135087E913 | |
Common Code: | n/a |
Listing: | None | |
Luxembourg Listing and Paying Agent: | n/a | |
Callable: | No, unless any change in the laws or regulations of Canada that would require the payment by Canada of Additional Amounts on the notes as more fully described in the Prospectus Supplement. | |
Specified Currency: | U.S. Dollars | |
Minimum Denominations: | U.S.$5,000 and integral multiples of U.S.$5,000 | |
Type of Note(s): | ||
DTC Global Note | Yes | |
International Global Note | n/a | |
Syndicated Transactions: | No | |
Other Provisions: | n/a | |
Addendum Attached: | n/a | |
Distributor: | BMO Capital Markets Corp. | |
Intended to be held in a manner which would allow Eurosystem Eligibility: | No |