Attached files

file filename
8-K - SLM Student Loan Trust 2004-10v163993_8k.htm
Exhibit 99.1

 

REMARKETING TERMS SUMMARY

On October 21, 2009, the Class A-4 Notes were successfully remarketed.  On October 26, 2009, the Class A-4 Notes will be reset from their current terms to the following terms which will be applicable until the final maturity date for the Class A-4 Notes:


 
Original principal amount
$589,511,000
Current outstanding principal amount
$589,511,000
Principal amount being remarketed
$589,511,000
Remarketing Terms Determination Date
October 14, 2009
Notice Date
October 16, 2009
Spread Determination Date
October 21, 2009
Current reset date
October 26, 2009
All Hold Rate
N/A
Next applicable reset date
N/A
Interest rate mode
Floating
Index
Three-Month LIBOR
Spread
Plus 0.40%
Day-count basis
Actual/360