Free Writing Prospectus, dated February 8, 2022

Filed pursuant to Rule 433 under the Securities Act of 1933

Supplementing the Preliminary Prospectus, dated January 31, 2022

Registration Statement Nos. 333-260838 and 333-260838-01

SCE Recovery Funding LLC

(Issuing Entity)

PRICING TERM SHEET

$533,265,000 Senior Secured Recovery Bonds, Series 2022-A

 

Issuing Entity:    SCE Recovery Funding LLC
Sponsor, Depositor and Initial Servicer:    Southern California Edison Company
Trustee:    The Bank of New York Mellon Trust Company, N.A.
Joint Bookrunners:    RBC Capital Markets, LLC and Barclays Capital Inc.
Co-Managers:    Academy Securities, Inc., Siebert Williams Shank & Co., LLC and Telsey Advisory Group LLC
Expected Ratings (Moody’s/S&P):    Aaa (sf)/AAA (sf)
Closing Date / Settlement Date:    February 15, 2022(2)
Interest Payment Dates:    May 15 and November 15, commencing November 15, 2022
Applicable Time:    4:07 PM (Eastern time) on February 8, 2022
Proceeds:    The total initial price to the public is $533,224,956. The total amount of the underwriting discounts and commissions is $2,133,060. The total amount of proceeds to the Issuing Entity before deduction of expenses (estimated to be $5,664,614) is $531,091,896.

 

(1)

A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time.

(2)

The Issuing Entity expects to deliver the bonds against payment for the bonds on or about February 15, 2022, which will be the fifth business day following the date of pricing of the bonds. Since trades in the secondary market generally settle in two business days, purchasers who wish to trade bonds on the date of pricing or the succeeding two business days will be required, by virtue of the fact that the bonds initially will settle in T + 5, to specify alternative settlement arrangements to prevent a failed settlement.

 

Tranche

   Principal
Amount
Offered
     Expected
Weighted
Average
Life
(years)
     Scheduled
Final
Payment
Date
     Final
Maturity
Date
     Interest
Rate
    Initial
Price to
Public(3)
    Underwriting
Discounts
and
Commissions
    Proceeds to
Issuing Entity
(Before
Expenses)
 

A-1

   $ 100,000,000        3.76        11/15/2028        11/15/2030        1.977     99.99640     0.40   $ 99,596,400  

A-2

   $ 305,000,000        14.07        11/15/2042        11/15/2044        2.943     99.99208     0.40   $ 303,755,844  

A-3

   $ 128,265,000        22.82        11/15/2046        11/15/2048        3.240     99.99042     0.40   $ 127,739,652  

 

(3) 

Interest on the bonds will accrue from February 15, 2022 and must be paid by the purchaser if the bonds are delivered after that date.

 

     Tranche A-1    Tranche A-2    Tranche A-3

CUSIP

   78433L AD8    78433L AE6    78433L AF3

ISIN

   US78433LAD82    US78433LAE65    US78433LAF31


EXPECTED SINKING FUND SCHEDULE

 

Semi- Annual Payment Date

   Tranche A-1
Balance
     Tranche A-2
Balance
     Tranche A-3
Balance
 

11/15/2022

   $ 4,094,194      $ 0      $ 0  

5/15/2023

   $ 8,035,797      $ 0      $ 0  

11/15/2023

   $ 8,115,231      $ 0      $ 0  

5/15/2024

   $ 8,195,451      $ 0      $ 0  

11/15/2024

   $ 8,276,462      $ 0      $ 0  

5/15/2025

   $ 8,358,276      $ 0      $ 0  

11/15/2025

   $ 8,440,896      $ 0      $ 0  

5/15/2026

   $ 8,524,335      $ 0      $ 0  

11/15/2026

   $ 8,608,599      $ 0      $ 0  

5/15/2027

   $ 8,693,694      $ 0      $ 0  

11/15/2027

   $ 8,779,631      $ 0      $ 0  

5/15/2028

   $ 8,866,418      $ 0      $ 0  

11/15/2028

   $ 3,011,016      $ 5,943,046      $ 0  

5/15/2029

   $ 0      $ 9,071,279      $ 0  

11/15/2029

   $ 0      $ 9,204,762      $ 0  

5/15/2030

   $ 0      $ 9,340,210      $ 0  

11/15/2030

   $ 0      $ 9,477,652      $ 0  

5/15/2031

   $ 0      $ 9,617,115      $ 0  

11/15/2031

   $ 0      $ 9,758,631      $ 0  

5/15/2032

   $ 0      $ 9,902,229      $ 0  

11/15/2032

   $ 0      $ 10,047,940      $ 0  

5/15/2033

   $ 0      $ 10,195,796      $ 0  

11/15/2033

   $ 0      $ 10,345,827      $ 0  

5/15/2034

   $ 0      $ 10,498,066      $ 0  

11/15/2034

   $ 0      $ 10,652,545      $ 0  

5/15/2035

   $ 0      $ 10,809,297      $ 0  

11/15/2035

   $ 0      $ 10,968,356      $ 0  

5/15/2036

   $ 0      $ 11,129,756      $ 0  

11/15/2036

   $ 0      $ 11,293,529      $ 0  

5/15/2037

   $ 0      $ 11,459,714      $ 0  

11/15/2037

   $ 0      $ 11,628,344      $ 0  

5/15/2038

   $ 0      $ 11,799,455      $ 0  

11/15/2038

   $ 0      $ 11,973,083      $ 0  

5/15/2039

   $ 0      $ 12,149,268      $ 0  

11/15/2039

   $ 0      $ 12,328,044      $ 0  

5/15/2040

   $ 0      $ 12,509,451      $ 0  

11/15/2040

   $ 0      $ 12,693,528      $ 0  

5/15/2041

   $ 0      $ 12,880,313      $ 0  

11/15/2041

   $ 0      $ 13,069,847      $ 0  

5/15/2042

   $ 0      $ 13,262,170      $ 0  

11/15/2042

   $ 0      $ 990,747      $ 12,466,575  

5/15/2043

   $ 0      $ 0      $ 13,673,860  

11/15/2043

   $ 0      $ 0      $ 13,895,377  

5/15/2044

   $ 0      $ 0      $ 14,120,481  

11/15/2044

   $ 0      $ 0      $ 14,349,234  

5/15/2045

   $ 0      $ 0      $ 14,581,691  

11/15/2045

   $ 0      $ 0      $ 14,817,914  

5/15/2046

   $ 0      $ 0      $ 15,057,964  

11/15/2046

   $ 0      $ 0      $ 15,301,904  

Total Payments(4)

   $ 100,000,000      $ 305,000,000      $ 128,265,000  

 

(4) 

Totals may not add up due to rounding.


EXPECTED OUTSTANDING PRINCIPAL BALANCE PER TRANCHE

 

Semi- Annual Payment Date

   Tranche A-1
Balance
     Tranche A-2
Balance
     Tranche A-3
Balance
 

Closing Date

   $ 100,000,000      $ 305,000,000      $ 128,265,000  

11/15/2022

   $ 95,905,806      $ 305,000,000      $ 128,265,000  

5/15/2023

   $ 87,870,009      $ 305,000,000      $ 128,265,000  

11/15/2023

   $ 79,754,778      $ 305,000,000      $ 128,265,000  

5/15/2024

   $ 71,559,327      $ 305,000,000      $ 128,265,000  

11/15/2024

   $ 63,282,865      $ 305,000,000      $ 128,265,000  

5/15/2025

   $ 54,924,589      $ 305,000,000      $ 128,265,000  

11/15/2025

   $ 46,483,693      $ 305,000,000      $ 128,265,000  

5/15/2026

   $ 37,959,358      $ 305,000,000      $ 128,265,000  

11/15/2026

   $ 29,350,759      $ 305,000,000      $ 128,265,000  

5/15/2027

   $ 20,657,065      $ 305,000,000      $ 128,265,000  

11/15/2027

   $ 11,877,434      $ 305,000,000      $ 128,265,000  

5/15/2028

   $ 3,011,016      $ 305,000,000      $ 128,265,000  

11/15/2028

   $ 0      $ 299,056,954      $ 128,265,000  

5/15/2029

   $ 0      $ 289,985,675      $ 128,265,000  

11/15/2029

   $ 0      $ 280,780,913      $ 128,265,000  

5/15/2030

   $ 0      $ 271,440,703      $ 128,265,000  

11/15/2030

   $ 0      $ 261,963,051      $ 128,265,000  

5/15/2031

   $ 0      $ 252,345,936      $ 128,265,000  

11/15/2031

   $ 0      $ 242,587,305      $ 128,265,000  

5/15/2032

   $ 0      $ 232,685,076      $ 128,265,000  

11/15/2032

   $ 0      $ 222,637,136      $ 128,265,000  

5/15/2033

   $ 0      $ 212,441,340      $ 128,265,000  

11/15/2033

   $ 0      $ 202,095,513      $ 128,265,000  

5/15/2034

   $ 0      $ 191,597,447      $ 128,265,000  

11/15/2034

   $ 0      $ 180,944,902      $ 128,265,000  

5/15/2035

   $ 0      $ 170,135,605      $ 128,265,000  

11/15/2035

   $ 0      $ 159,167,249      $ 128,265,000  

5/15/2036

   $ 0      $ 148,037,493      $ 128,265,000  

11/15/2036

   $ 0      $ 136,743,964      $ 128,265,000  

5/15/2037

   $ 0      $ 125,284,250      $ 128,265,000  

11/15/2037

   $ 0      $ 113,655,906      $ 128,265,000  

5/15/2038

   $ 0      $ 101,856,451      $ 128,265,000  

11/15/2038

   $ 0      $ 89,883,368      $ 128,265,000  

5/15/2039

   $ 0      $ 77,734,100      $ 128,265,000  

11/15/2039

   $ 0      $ 65,406,056      $ 128,265,000  

5/15/2040

   $ 0      $ 52,896,605      $ 128,265,000  

11/15/2040

   $ 0      $ 40,203,077      $ 128,265,000  

5/15/2041

   $ 0      $ 27,322,764      $ 128,265,000  

11/15/2041

   $ 0      $ 14,252,917      $ 128,265,000  

5/15/2042

   $ 0      $ 990,747      $ 128,265,000  

11/15/2042

   $ 0      $ 0      $ 115,798,425  

5/15/2043

   $ 0      $ 0      $ 102,124,565  

11/15/2043

   $ 0      $ 0      $ 88,229,188  

5/15/2044

   $ 0      $ 0      $ 74,108,707  

11/15/2044

   $ 0      $ 0      $ 59,759,473  

5/15/2045

   $ 0      $ 0      $ 45,177,782  

11/15/2045

   $ 0      $ 0      $ 30,359,868  

5/15/2046

   $ 0      $ 0      $ 15,301,904  

11/15/2046

   $ 0      $ 0      $ 0  


Subject to the terms and conditions in the underwriting agreement among us, SCE and the underwriters, for whom RBC Capital Markets, LLC and Barclays Capital Inc. are acting as representative, we have agreed to sell to the underwriters, and the underwriters have severally agreed to purchase, the principal amount of the bonds listed opposite each underwriter’s name below:

 

Underwriter

   Tranche A-1      Tranche A-2      Tranche A-3  

RBC Capital Markets, LLC

   $ 45,000,000      $ 137,250,000      $ 57,720,000  

Barclays Capital Inc.

   $ 40,000,000      $ 122,000,000      $ 51,306,000  

Academy Securities, Inc.

   $ 5,000,000      $ 15,250,000      $ 6,413,000  

Siebert Williams Shank & Co., LLC

   $ 5,000,000      $ 15,250,000      $ 6,413,000  

Telsey Advisory Group LLC

   $ 5,000,000      $ 15,250,000      $ 6,413,000  

Total

   $ 100,000,000      $ 305,000,000      $ 128,265,000  

The underwriters may allow, and dealers may reallow, a discount not to exceed the percentage listed below for each tranche:

 

     Selling
Concession
    Reallowance
Discount
 

Tranche A-1

     0.240     0.120

Tranche A-2

     0.240     0.120

Tranche A-3

     0.240     0.120

After the initial public offering, the public offering prices, selling concessions and reallowance discounts may change.

Southern California Edison Company and the Issuing Entity have filed a registration statement (including a prospectus) with the Securities and Exchange Commission (“SEC”) for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents Southern California Edison Company and the Issuing Entity have filed with the SEC as exhibits to the registration statement for more complete information about the Issuing Entity and this offering. You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov. Alternatively, Southern California Edison Company, the Issuing Entity, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling RBC Capital Markets, LLC toll-free at 1-866-375-6829 or Barclays Capital Inc. toll free at 1-888-603-5847.

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