424B3 1 a42599.htm AMERICAN EXPRESS CREDIT CORP.

Pricing Supplement No. 108 Dated: August 14, 2006 Filed Pursuant to Rule 424(b)(3)
(To Prospectus dated June 8, 2006 and Prospectus Supplement dated June 13, 2006)

File No. 333-134864

 

CALCULATION OF REGISTRATION FEE

Class of securities offered

Medium-Term Senior Notes, Series C

Aggregate offering price

$400,000,000

Amount of registration fee

$42,800*

 

*The filing fee of $42,800 is calculated in accordance with Rule 457( r ) of the Securities Act of 1933.

 

This Pricing Supplement consists of 3 page(s)

 

AMERICAN EXPRESS CREDIT CORPORATION

Medium-Term Senior Notes, Series C

Due Nine Months or More from Date of Issue

 

Principal Amount or Face Amount:

$400,000,000

 

Issue Price: 100.000%

 

Proceeds to Company on original issuance: $399,880,000

 

Commission: $120,000

 

Agent:

SABN AMRO Incorporated

£ Deutsche Bank Securities Inc.

 

£ Banc of America Securities LLC

£ J. P. Morgan Securities Inc.

 

£ Barclays Capital Inc.

£ Lehman Brothers Inc.

 

£ BNP Paribas Securities Corp.

£ Utendahl Capital Partners, L.P.

 

£ Credit Suisse Securities (USA) LLC

£ Wachovia Capital Markets LLC

 

£ Citigroup Global Markets Inc.

£ Other:

 

Agent

Amount

ABN AMRO Incorporated

$400,000,000

 

 

 

 

 

 

Total

$400,000,000

 

Agent's capacity on original issuance:

S As Agent

 

 

£ As principal

 

 

If as principal:

 

£

The Notes are being offered at varying prices related to prevailing market prices at the time of resale.

 

£

The Notes are being offered at a fixed initial public offering price of 100 % of Principal Amount or Face Amount.

 



 

Form of Note: S Global £ Definitive

 

Original Issue Date: August 17, 2006  

 

Stated Maturity:   

May 18, 2009

 

Specified Currency (If other than U.S. Dollars):

 

Authorized Denominations (If other than as set forth in the Prospectus Supplement):

 

Interest Payment Dates: Monthly on the 18th day of each month

First Interest Payment Date: September 18, 2006

Accrue to Pay: S Yes £ No

Indexed Principal Note:

£ Yes (See Attached)     S No

Type of Interest Rate: £ Fixed Rate S Floating Rate £ Indexed Rate (See Attached)

Interest Rate (Fixed Rate Notes):   

 

Initial Interest Rate (Floating Rate Notes): 5.39%

Base Rate:

£ CD Rate

£ Commercial Paper Rate

 

£ EURIBOR

£ Federal Funds Rate

 

 

S LIBOR

£ Treasury Rate

 

 

£ Prime Rate

£ Other (See Attached)

 

Calculation Agent: J.P. Morgan Trust Company, N.A.

 

Computation of Interest (If other than as set forth in the Prospectus Supplement):

 

£ 30 over 360

£ Actual over Actual

 

 

S Actual over 360

£ Other (See Attached)

 

Interest Reset Dates: Monthly on the 18th day of each month

Rate Determination Dates (If other than as set forth in the Prospectus Supplement):

Index Maturity:

Spread (+/-): +6.0 basis points

Spread Multiplier: none

Change in Spread, Spread Multiplier or Fixed Interest Rate prior to Stated Maturity:

 

£ Yes (See Attached)

S No

 

Maximum Interest Rate: none

 

Minimum Interest Rate: none

 

 

Amortizing Note:   

£ Yes (See Attached)    S No

 

Optional Redemption:      £ Yes       S No

 

 

 

 

Optional Redemption Dates:

 

 

Redemption Prices:

 

 

Redemption:

£ In whole only and not in part

 

 

£ May be in whole or in part

 

 

 



 

Optional Repayment:

£ Yes

S No

 

Optional Repayment Dates:

 

 

Optional Repayment Prices:

 

 

Discount Note:

£ Yes

S No

 

 

Total Amount of OID:

 

 

Bond Yield to Call:

 

 

Bond Yield to Maturity:

 

Yield to Maturity:

 

 

CUSIP:  0258M0CP2

ISIN:   US0258M0CP29

 

 

DESCRIPTION OF THE NOTES:

 

The description in this Pricing Supplement of the particular terms of the Medium-Term Senior Notes offered hereby supplements, and to the extent inconsistent therewith replaces, the description of the general terms and provisions of the Notes set forth in the accompanying Prospectus and Prospectus Supplement, to which reference is hereby made.