Senior Notes

Chesapeake has the following senior notes outstanding.  Information is as of September 30, 2015.

Percentage2.250%
IRS Form 8937
Date of Maturity12/15/2038
Date of Issuance5/27/2008
Interest Payment Dates6/15 & 12/15
Convertible? (Conversion Price)Yes ($80.1570)
Optional Redemption?Yes
Optional Redemption Dateson or after 12/15/2018 @ 100% of principal
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK38
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CB1
Percentage2.500%
IRS Form 8937
Date of Maturity5/15/2037
Date of Issuance5/15/2007
Interest Payment Dates5/15 & 11/15
Convertible? (Conversion Price)Yes ($47.5480)
Optional Redemption?Yes
Optional Redemption Dateson or after 05/15/2017 @ 100% of principal
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK37/CHK37A
CUSIP- 144An/a
CUSIP- Registered/Common Code165167BZ9/ 165167CA3
Percentage2.750%
Date of Maturity11/15/2035
Date of Issuance11/8/2005
Interest Payment Dates5/15 & 11/15
Convertible? (Conversion Price)Yes ($36.0123)
Optional Redemption?Yes
Optional Redemption Dateson or after 11/15/2015 @ 100% of principal
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK35
CUSIP- 144An/a
CUSIP- Registered/Common Code165167BW6
PercentageL +3.25%
IRS Form 8937
Date of Maturity4/15/2019
Date of Issuance4/24/2014
Interest Payment Dates1/15,4/15,7/15,&10/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to 4/15/2015,
on or after 4/15/2015 = 101%,
4/15/2016 & thereafter = 100%
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK19
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CM7
Percentage4.875%
IRS Form 8937
Date of Maturity4/15/2022
Date of Issuance4/24/2014
Interest Payment Dates4/15 & 10/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to 4/15/2017,
on or after 4/15/2017 = 103.656%,
on or after 4/15/2018 = 102.438%,
on or after 4/15/2019 = 101.219%,
4/15/2020 & thereafter = 100%
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK22
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CN5
Percentage5.375%
IRS Form 8937
Date of Maturity6/15/2021
Date of Issuance4/1/2013
Interest Payment Dates6/15 & 12/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to 6/15/2016,
on or after 6/15/2016 = 104.031%,
on or after 6/15/2017 = 102.688%,
on or after 4/15/2018 = 101.344%,
4/15/2019 & thereafter = 100%
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK21A
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CK1
Percentage5.750%
Date of Maturity3/15/2023
Date of Issuance4/1/2013
Interest Payment Dates3/15 & 9/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to maturity
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK23
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CL9
Percentage6.125%
IRS Form 8937
Date of Maturity2/15/2021
Date of Issuance2/11/2011
Interest Payment Dates2/15 & 8/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to maturity
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK21
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CG0
Percentage8.000%
Date of Maturity1/15/2025
Date of Issuance12/20/2016
Interest Payment Dates1/15 & 7/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption DatesMake whole call @ T + 50bps at any time prior to 1/15/2020
on or after 1/15;
2020 = 106%
2021 = 104%
2022 = 102%
2023 & thereafter = 100%
Listed on NYSE (Dublin)?No
NYSE Symboln/a
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CT2
PercentageL +7.500%
Date of Maturity8/23/2021
Date of Issuance8/23/2016
Interest Payment DatesAt borrower's option (i) last business day of
each Feb., May, Aug. and Nov.; OR
(ii) last day of elected interest period
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption DatesMake whole call @ T + 50bps at any time prior to 8/23/2018,
on or after 8/23 
2018 = 104.25%,
2019 = 102.125%,
2020 & thereafter = 100%
Listed on NYSE (Dublin)?No
NYSE Symboln/a
CUSIP- 144An/a
CUSIP- Registered/Common Code16516FAF6
Percentage6.625%
Date of Maturity8/15/2020
Date of Issuance8/17/2010
Interest Payment Dates2/15 & 8/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to maturity
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK20A
CUSIP- 144An/a
CUSIP- Registered/Common Code165167CF2
Percentage6.875%
Date of Maturity11/15/2020
Date of Issuance11/8/2005
Interest Payment Dates5/15 & 11/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to maturity
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK20
CUSIP- 144An/a
CUSIP- Registered/Common Code165167BU0
Percentage7.250%
IRS Form 8937
Date of Maturity12/15/2018
Date of Issuance5/27/2008
Interest Payment Dates6/15 & 12/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to maturity
Listed on NYSE (Dublin)?Yes
NYSE SymbolCHK18A
CUSIP- 144An/a
CUSIP- Registered/Common Code 165167CC9
Percentage8.000%
Date of Maturity12/15/2022
Date of Issuance12/31/2015
Interest Payment Dates6/15 & 12/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption Datesmake whole call @ T + 50bps at any time prior to 12/15/2018,
on or after 12/15/2018 = 104%,
2018 = 104%,
2019 = 102%,
2020 & thereafter = 100%
Listed on NYSE (Dublin)?No
NYSE SymbolN/A
CUSIP- 144A165167CQ8
CUSIP- Registered/Common Code U16450AT2
Percentage5.500%
Date of Maturity9/15/2026
Date of Issuance9/29/2016
Interest Payment Dates3/15 & 9/15
Convertible? (Conversion Price)Yes ($8.5680)
Optional Redemption?Yes
Optional Redemption DatesOn or after 9/15/2019 @ 100% of principal
Listed on NYSE (Dublin)?No
NYSE Symboln/a
CUSIP- 144An/a
CUSIP- Registered/Common Code 165167CR6
Percentage8.000%
Date of Maturity6/15/2027
Date of Issuance6/6/2017
Interest Payment Dates6/15 & 12/15
Convertible? (Conversion Price)No
Optional Redemption?Yes
Optional Redemption DatesMakes whole call @ T+50bps at any time prior to 6/15/2022, on or after 6/15:
2022 = 104.000%
2023 = 102.667%
2024 = 101.333%
2025 & thereafter = 100%
Listed on NYSE (Dublin)?No
NYSE Symboln/a
CUSIP- 144A165167 CV7
CUSIP- Registered/Common Code U16450 AV7