| Summary Of Senior Unsecured Notes |
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December 31,
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Effective
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2013
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2012
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Rate (1)
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4.600% Senior Unsecured Notes, due June 15, 2013 (2)
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-
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$
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99,987
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4.742
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%
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5.125% Senior Unsecured Notes, due February 15, 2014 (3)
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$
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200,030
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200,270
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5.110
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%
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5.125% Senior Unsecured Notes, due January 15, 2015
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149,902
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149,810
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5.297
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%
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5.800% Senior Unsecured Notes, due January 15, 2016
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200,161
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200,237
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5.806
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%
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2.500% Senior Unsecured Notes, due December 15, 2017
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248,855
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248,560
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2.803
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%
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7.750% Senior Unsecured Notes, due August 15, 2019
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248,799
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248,585
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8.017
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%
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4.500% Senior Unsecured Notes, due April 18, 2022
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299,505
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299,445
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4.612
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%
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3.150% Senior Unsecured Notes, due May 15, 2023
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269,323
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-
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3.517
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%
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Total senior unsecured notes
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$
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1,616,575
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$
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1,446,894
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(1)Includes the cost of terminated treasury lock agreements (if any), offering and other transaction costs and the discount/premium on the notes, as applicable.
(2)These notes were paid at maturity using available cash.
(3)These notes were paid at maturity, using available cash and borrowing on the Company’s unsecured revolving credit facility.
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