Newcourt Financial - Excel

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					Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE1
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                               Securities to be Issued Under the Indentures to be Qualified

   Title of Class
   Series A Secured Notes
   Series B Secured Notes


                       Approximate date of proposed public offering: As soon as practicable after the
   date of this Application for Qualification.

   Name and address of agent for
   service:
   Robert J. Ingato, Esq.
   Executive Vice President and
   General Counsel
   CIT Group Inc.
   505 Fifth Avenue
   New York, New York 10017
   (212) 771-0505
e Issued Under the Indentures to be Qualified

             Amount
              $                                            22,075,000,000
              $                                             2,150,000,000


oposed public offering: As soon as practicable after the


             Copies to be sent to:

             Andrea Nicolas, Esq.
             Skadden, Arps, Slate, Meagher & Flom LLP

             Four Times Square
             New York, New York 10036
             (212) 735-3000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE2
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                    Outstanding Principal
              Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

        6.88% Notes due November 1, 2009            USD 300,000,000         12560PCL3
        4.13% Notes due November 3, 2009            USD 500,000,000         125581AM0
        3.85% Notes due November 15, 2009           USD 1,959,000           12557WJP7
        4.63% Notes due November 15, 2009           USD 1,349,000           12557WLV1
        5.05% Notes due November 15, 2009           USD 2,800,000           12557WPC9
        5.00% Notes due November 15, 2009           USD 4,217,000           12557WB26
        5.00% Notes due November 15, 2009           USD 5,083,000           12557WB59
        5.00% Notes due November 15, 2009           USD 6,146,000           12557WB83
        3.95% Notes due December 15, 2009           USD 3,314,000           12557WJV4
        4.80% Notes due December 15, 2009           USD 2,073,000           12557WMB4
        4.70% Notes due December 15, 2009           USD 285,000             12557WPL9
        4.85% Notes due December 15, 2009           USD 582,000             12557WPU9
        6.25% Notes due December 15, 2009           USD 63,703,000          12557WSJ1
        6.50% Notes due December 15, 2009           USD 40,994,000          12557WSM4
        Floating Rate Notes due December 21, 2009   USD 113,000,000         12560PDL2
        4.25% Notes due February 1, 2010            USD 750,000,000         125581AQ1
        4.05% Notes due February 15, 2010           USD 4,172,000           12557WKE0
        5.15% Notes due February 15, 2010           USD 1,918,000           12557WQC8
        5.05% Notes due February 15, 2010           USD 1,497,000           12557WQL8
        6.50% Notes due February 15, 2010           USD 58,219,000          12557WSX0
        6.25% Notes due February 15, 2010           USD 44,138,000          12557WTE1
           Floating Rate Notes due March 1, 2010    CHF 100,000,000         CH0029382659
        2.75% Notes due March 1, 2010               CHF 50,000,000          CH0029407191
          Floating Rate Notes due March 12, 2010    USD 1,000,000,000       125581CX4
        4.30% Notes due March 15, 2010              USD 1,822,000           12557WKL4
        5.05% Notes due March 15, 2010              USD 4,241,000           12557WMH1
        5.15% Notes due March 15, 2010              USD 6,375,000           12557WMP3
        4.90% Notes due March 15, 2010              USD 297,000             12557WQU8
        4.85% Notes due March 15, 2010              USD 784,000             12557WRC7
        6.50% Notes due March 15, 2010              USD 33,677,000          12557WTL5
          Floating Rate Notes due March 22, 2010    USD 150,000,000         12560PFN6
        4.45% Notes due May 15, 2010                USD 3,980,000           12557WKS9
        5.25% Notes due May 15, 2010                USD 2,414,000           12557WMV0
        5.38% Notes due June 15, 2010               GBP 300,000,000         XS0276327342
        4.30% Notes due June 15, 2010               USD 1,013,000           12557WKX8
4.35%   Notes due June 15, 2010        USD 1,419,000    12557WLE9
5.30%   Notes due June 15, 2010        USD 2,622,000    12557WNB3
4.60%   Notes due August 15, 2010      USD 1,131,000    12557WLL3
5.45%   Notes due August 15, 2010      USD 11,920,000   12557WNH0
5.50%   Notes due August 15, 2010      USD 1,511,000    12557WA92
4.25%   Notes due September 15, 2010   USD 295,000      12557WLS8
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE3
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                     Outstanding Principal
              Title of Old Notes to be Tendered      Amount                  CUSIP/ISIN

        5.25% Notes due September 15, 2010           USD 11,403,000          12557WNR8
        5.20% Notes due November 3, 2010             USD 500,000,000         125577AS5
         Floating Rate Notes due November 3, 2010    USD 474,000,000         125577AT3
        5.05% Notes due November 15, 2010            USD 9,054,000           12557WLY5
        5.25% Notes due November 15, 2010            USD 6,349,000           12557WNZ0
        5.25% Notes due November 15, 2010            USD 12,292,000          12557WC33
        5.25% Notes due November 15, 2010            USD 1,686,000           12557WC74
        4.75% Notes due December 15, 2010            USD 750,000,000         12560PDB4
        5.00% Notes due December 15, 2010            USD 5,842,000           12557WME8
        5.05% Notes due December 15, 2010            USD 5,926,000           12557WPH8
        4.90% Notes due December 15, 2010            USD 3,188,000           12557WPR6
        5.25% Notes due December 15, 2010            USD 807,000             12557WSE2
        6.50% Notes due December 15, 2010            USD 12,177,000          12557WSR3
        6.50% Notes due January 15, 2011             USD 17,752,000          12557WSV4
        4.72% Notes due February 10, 2011            CAD 400,000,000         125581AU2
        5.15% Notes due February 15, 2011            USD 2,158,000           12557WPZ8
        5.15% Notes due February 15, 2011            USD 1,458,000           12557WQH7
        6.60% Notes due February 15, 2011            USD 25,229,000          12557WTB7
         Floating Rate Notes due February 28, 2011   GBP 70,000,000          XS0245933121
        5.05% Notes due March 15, 2011               USD 1,560,000           12557WML2
        5.00% Notes due March 15, 2011               USD 1,001,000           12557WQR5
        4.90% Notes due March 15, 2011               USD 806,000             12557WQZ7
        5.00% Notes due March 15, 2011               USD 1,589,000           12557WRH6
        6.75% Notes due March 15, 2011               USD 7,604,000           12557WTJ0
        6.50% Notes due March 15, 2011               USD 6,187,000           12557WTQ4
        5.15% Notes due April 15, 2011               USD 957,000             12557WMS7
           Floating Rate Notes due April 27, 2011    USD 280,225,000         125581BA5
        5.60% Notes due April 27, 2011               USD 750,000,000         125581AZ1
        5.40% Notes due May 15, 2011                 USD 1,283,000           12557WMY4
        5.35% Notes due June 15, 2011                USD 558,000             12557WNE7
            Floating Rate Notes due July 28, 2011    USD 669,500,000         125581BE7
        5.80% Notes due July 28, 2011                USD 550,000,000         125581BF4
        5.35% Notes due August 15, 2011              USD 2,254,000           12557WNM9
        5.20% Notes due September 15, 2011           USD 2,685,000           12557WNV9
        Floating Rate Notes due September 21, 2011   GBP 40,000,000          XS0268935698
4.25%   Notes due September 22, 2011   EUR 750,000,000   XS0201605192
5.20%   Notes due November 15, 2011    USD 7,392,000     12557WPD7
5.25%   Notes due November 15, 2011    USD 4,427,000     12557WB34
5.25%   Notes due November 15, 2011    USD 5,175,000     12557WB67
5.25%   Notes due November 15, 2011    USD 4,944,000     12557WB91
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$   800   2.04
$   800   2.04
$   800   2.04
$   800   2.04
$   800   2.04
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE4
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                     Outstanding Principal
             Title of Old Notes to be Tendered       Amount                  CUSIP/ISIN

        Floating Rate Notes due November 30, 2011    EUR 500,000,000         XS0275670965
        4.85% Notes due December 15, 2011            USD 482,000             12557WPM7
        5.00% Notes due December 15, 2011            USD 1,685,000           12557WPV7
        5.40% Notes due February 13, 2012            USD 479,996,000         125581CT3
         Floating Rate Notes due February 13, 2012   USD 654,250,000         125581CU0
        5.25% Notes due February 15, 2012            USD 2,937,000           12557WQD6
        5.15% Notes due February 15, 2012            USD 1,532,000           12557WQM6
        7.25% Notes due February 15, 2012            USD 30,577,000          12557WSY8
        7.00% Notes due February 15, 2012            USD 17,676,000          12557WTF8
        5.00% Notes due March 15, 2012               USD 482,000             12557WQV6
        5.00% Notes due March 15, 2012               USD 1,059,000           12557WRD5
        7.25% Notes due March 15, 2012               USD 13,609,000          12557WTM3
        7.75% Notes due April 2, 2012                USD 259,646,000         125581AB4
        5.75% Notes due August 15, 2012              USD 466,000             12557WA68
        3.80% Notes due November 14, 2012            EUR 450,000,000         XS0234935434
        5.50% Notes due November 15, 2012            USD 2,711,000           12557WC41
        5.50% Notes due November 15, 2012            USD 1,381,000           12557WC82
        7.63% Notes due November 30, 2012            USD 1,277,653,000       125577AZ9
        5.50% Notes due December 15, 2012            USD 495,000             12557WSF9
        7.00% Notes due December 15, 2012            USD 36,343,000          12557WSK8
        7.25% Notes due December 15, 2012            USD 19,425,000          12557WSN2
        7.30% Notes due December 15, 2012            USD 11,775,000          12557WSS1
        Floating Rate Notes due December 21, 2012    USD 290,705,000         12560PEP2
        6.15% Notes due January 15, 2013             USD 29,038,000          12557WAZ4
        6.25% Notes due January 15, 2013             USD 62,461,000          12557WBC4
        6.15% Notes due January 15, 2013             USD 52,560,000          12557WBF7
        6.25% Notes due January 15, 2013             USD 53,967,000          12557WBJ9
        7.50% Notes due January 15, 2013             USD 27,292,000          12557WSW2
        6.25% Notes due February 15, 2013            USD 22,781,000          12557WBM2
        6.20% Notes due February 15, 2013            USD 24,387,000          12557WBQ3
        6.00% Notes due February 15, 2013            USD 22,368,000          12557WBT7
        7.60% Notes due February 15, 2013            USD 23,615,000          12557WTC5
        6.15% Notes due February 15, 2013            USD 23,318,000          12557WBW0
        5.40% Notes due March 7, 2013                USD 483,516,000         125581AX6
        7.75% Notes due March 15, 2013               USD 18,242,000          12557WTK7
7.90%   Notes due March 15, 2013   USD 17,591,000   12557WTN1
7.25%   Notes due March 15, 2013   USD 5,350,000    12557WTR2
6.00%   Notes due March 15, 2013   USD 26,178,000   12557WBZ3
6.00%   Notes due March 15, 2013   USD 27,547,000   12557WCC3
6.10%   Notes due March 15, 2013   USD 27,499,000   12557WCF6
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE5
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                   Outstanding Principal
              Title of Old Notes to be Tendered    Amount                  CUSIP/ISIN

        6.25% Notes due March 15, 2013             USD 26,121,000          12557WCJ8
        6.15% Notes due April 15, 2013             USD 24,593,000          12557WCM1
        6.15% Notes due April 15, 2013             USD 28,983,000          12557WCQ2
        6.05% Notes due April 15, 2013             USD 19,386,000          12557WCT6
        6.05% Notes due May 15, 2013               USD 44,494,000          12557WCW9
        4.95% Notes due May 15, 2013               USD 9,133,000           12557WCZ2
        4.95% Notes due May 15, 2013               USD 11,492,000          12557WDC2
        4.88% Notes due June 15, 2013              USD 6,237,000           12557WDF5
        4.85% Notes due June 15, 2013              USD 7,956,000           12557WDJ7
        4.60% Notes due June 15, 2013              USD 9,421,000           12557WDM0
        4.45% Notes due June 15, 2013              USD 5,051,000           12557WDQ1
           Floating Rate Notes due June 20, 2013   EUR 500,000,000         XS0258343564
        5.05% Notes due July 15, 2013              USD 5,228,000           12557WEF4
        4.65% Notes due July 15, 2013              USD 9,267,000           12557WDT5
        4.75% Notes due July 15, 2013              USD 2,318,000           12557WDW8
        5.00% Notes due July 15, 2013              USD 15,182,000          12557WDZ1
        4.75% Notes due July 15, 2013              USD 5,779,000           12557WEC1
        5.30% Notes due August 15, 2013            USD 7,479,000           12557WEJ6
        5.50% Notes due August 15, 2013            USD 2,903,000           12557WEM9
        5.50% Notes due August 15, 2013            USD 6,810,000           12557WEQ0
        5.40% Notes due September 15, 2013         USD 2,445,000           12557WET4
        5.50% Notes due September 15, 2013         USD 4,171,000           12557WEW7
        5.25% Notes due September 15, 2013         USD 4,374,000           12557WEZ0
        5.20% Notes due September 15, 2013         USD 4,378,000           12557WFC0
        5.20% Notes due October 15, 2013           USD 5,497,000           12557WFF3
        5.20% Notes due October 15, 2013           USD 8,130,000           12557WFJ5
        5.25% Notes due October 15, 2013           USD 3,359,000           12557WFM8
        5.30% Notes due November 15, 2013          USD 3,146,000           12557WFQ9
        5.10% Notes due November 15, 2013          USD 7,480,000           12557WFT3
        5.40% Notes due December 15, 2013          USD 5,783,000           12557WFW6
        5.20% Notes due December 15, 2013          USD 7,241,000           12557WFZ9
        5.10% Notes due January 15, 2014           USD 2,897,000           12557WGC9
        4.85% Notes due January 15, 2014           USD 1,333,000           12557WGF2
        5.00% Notes due February 13, 2014          USD 671,749,000         125581AH1
        5.00% Notes due February 15, 2014          USD 5,957,000           12557WGJ4
4.90%   Notes due February 15, 2014   USD 1,958,000    12557WGM7
7.85%   Notes due February 15, 2014   USD 23,034,000   12557WSZ5
7.65%   Notes due February 15, 2014   USD 10,897,000   12557WTG6
4.80%   Notes due March 15, 2014      USD 4,492,000    12557WGQ8
4.60%   Notes due March 15, 2014      USD 4,211,000    12557WGT2
7.85%   Notes due March 15, 2014      USD 4,573,000    12557WTS0
4.80%   Notes due April 15, 2014      USD 2,177,000    12557WGW5
5.10%   Notes due April 15, 2014      USD 5,735,000    12557WGZ8
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE6
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                  Outstanding Principal
              Title of Old Notes to be Tendered   Amount                  CUSIP/ISIN

        5.00%   Notes due May 13, 2014            EUR 463,405,000         XS0192461837
        5.25%   Notes due May 15, 2014            USD 4,898,000           12557WHC8
        5.80%   Notes due May 15, 2014            USD 11,357,000          12557WHF1
        5.70%   Notes due June 15, 2014           USD 8,890,000           12557WHJ3
        5.75%   Notes due June 15, 2014           USD 10,815,000          12557WHM6
        5.75%   Notes due June 15, 2014           USD 1,930,000           12557WRU7
        5.85%   Notes due June 15, 2014           USD 1,593,000           12557WRX1
        6.00%   Notes due June 15, 2014           USD 10,892,000          12557WSA0
        5.65%   Notes due July 15, 2014           USD 8,504,000           12557WHQ7
        5.30%   Notes due July 15, 2014           USD 10,005,000          12557WHT1
        5.20%   Notes due August 15, 2014         USD 5,691,000           12557WHW4
        5.30%   Notes due August 15, 2014         USD 3,915,000           12557WHZ7
        6.00%   Notes due August 15, 2014         USD 2,555,000           12557WA27
        6.00%   Notes due August 15, 2014         USD 2,389,000           12557WA76
        5.25%   Notes due September 15, 2014      USD 16,332,000          12557WJC6
        5.05%   Notes due September 15, 2014      USD 17,112,000          12557WJF9
        5.13%   Notes due September 30, 2014      USD 638,267,000         125581AK4
        4.90%   Notes due October 15, 2014        USD 5,520,000           12557WJJ1
        5.10%   Notes due October 15, 2014        USD 13,944,000          12557WJM4
        5.05%   Notes due November 15, 2014       USD 7,238,000           12557WJQ5
        5.50%   Notes due December 1, 2014        GBP 480,000,000         XS0207079764
        5.13%   Notes due December 15, 2014       USD 7,632,000           12557WJT9
        5.10%   Notes due December 15, 2014       USD 18,101,000          12557WJW2
        5.05%   Notes due January 15, 2015        USD 6,302,000           12557WJZ5
        5.00%   Notes due February 1, 2015        USD 671,141,000         125581AR9
        4.95%   Notes due February 15, 2015       USD 6,678,000           12557WKC4
        4.90%   Notes due February 15, 2015       USD 6,848,000           12557WKF7
        7.90%   Notes due February 15, 2015       USD 24,329,000          12557WTD3
        5.10%   Notes due March 15, 2015          USD 12,247,000          12557WKJ9
        5.05%   Notes due March 15, 2015          USD 2,575,000           12557WKM2
        4.25%   Notes due March 17, 2015          EUR 412,500,000         XS0215269670
        5.38%   Notes due April 15, 2015          USD 6,369,000           12557WKQ3
        5.25%   Notes due May 15, 2015            USD 15,954,000          12557WKT7
        5.30%   Notes due May 15, 2015            USD 27,090,000          12557WKW0
        5.10%   Notes due June 15, 2015           USD 14,930,000          12557WKZ3
5.05%   Notes due June 15, 2015        USD 10,912,000   12557WLA7
5.20%   Notes due June 15, 2015        USD 8,322,000    12557WLF6
5.30%   Notes due August 15, 2015      USD 10,741,000   12557WLJ8
5.38%   Notes due August 15, 2015      USD 15,892,000   12557WLM1
5.25%   Notes due September 15, 2015   USD 11,241,000   12557WLQ2
5.10%   Notes due September 15, 2015   USD 4,898,000    12557WLT6
5.50%   Notes due November 15, 2015    USD 4,016,000    12557WLW9
5.80%   Notes due November 15, 2015    USD 7,456,000    12557WLZ2
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE7
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                    Outstanding Principal
              Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

        5.75% Notes due December 15, 2015           USD 8,155,000           12557WMC2
        5.80% Notes due December 15, 2015           USD 12,621,000          12557WMF5
        5.40% Notes due January 30, 2016            USD 604,263,000         125581AW8
        5.85% Notes due March 15, 2016              USD 14,372,000          12557WMJ7
        5.80% Notes due March 15, 2016              USD 11,705,000          12557WMM0
        6.00% Notes due March 15, 2016              USD 69,046,000          12557WMQ1
        5.88% Notes due April 15, 2016              USD 4,888,000           12557WMT5
        6.05% Notes due May 15, 2016                USD 14,943,000          12557WMW8
        6.15% Notes due May 15, 2016                USD 18,636,000          12557WMZ1
        6.10% Notes due June 15, 2016               USD 15,478,000          12557WNC1
        6.10% Notes due June 15, 2016               USD 17,660,000          12557WNF4
        6.20% Notes due August 15, 2016             USD 37,135,000          12557WNJ6
        6.13% Notes due August 15, 2016             USD 36,401,000          12557WNN7
        5.85% Notes due September 15, 2016          USD 391,533,000         125581CS5
        6.05% Notes due September 15, 2016          USD 31,772,000          12557WNS6
        5.95% Notes due September 15, 2016          USD 11,219,000          12557WNW7
        4.65% Notes due September 19, 2016          EUR 474,000,000         XS0268133799
        6.00% Notes due November 15, 2016           USD 29,155,000          12557WPA3
        5.95% Notes due November 15, 2016           USD 13,264,000          12557WPE5
        Floating Rate Notes due December 14, 2016   USD 34,452,000          12560PDK4
        5.80% Notes due December 15, 2016           USD 35,842,000          12557WPJ4
        5.65% Notes due December 15, 2016           USD 8,701,000           12557WPN5
        5.70% Notes due December 15, 2016           USD 9,571,000           12557WPS4
        5.70% Notes due December 15, 2016           USD 9,817,000           12557WPW5
        5.50% Notes due December 20, 2016           GBP 367,400,000         XS0278525992
        5.65% Notes due February 13, 2017           USD 548,087,000         125577AY2
        5.85% Notes due February 15, 2017           USD 7,724,000           12557WQA2
        5.95% Notes due February 15, 2017           USD 11,074,000          12557WQE4
        5.85% Notes due February 15, 2017           USD 6,471,000           12557WQJ3
        5.80% Notes due February 15, 2017           USD 7,792,000           12557WQN4
          Floating Rate Notes due March 15, 2017    USD 50,000,000          12560PDR9
        5.75% Notes due March 15, 2017              USD 6,741,000           12557WQS3
        5.75% Notes due March 15, 2017              USD 13,498,000          12557WQW4
        5.70% Notes due March 15, 2017              USD 9,533,000           12557WRA1
        5.65% Notes due March 15, 2017              USD 5,935,000           12557WRE3
5.75%   Notes due March 15, 2017   USD 10,298,000   12557WRJ2
5.75%   Notes due May 15, 2017     USD 2,708,000    12557WRL7
5.80%   Notes due May 15, 2017     USD 3,779,000    12557WRN3
5.80%   Notes due May 15, 2017     USD 5,038,000    12557WRQ6
6.00%   Notes due June 15, 2017    USD 23,842,000   12557WRS2
6.00%   Notes due June 15, 2017    USD 8,205,000    12557WRV5
6.10%   Notes due June 15, 2017    USD 6,648,000    12557WRY9
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE8
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                               Outstanding Principal
                       Title of Old Notes to be Tendered       Amount

             6.25%   Notes due June 15, 2017                   USD 10,535,000
             6.25%   Notes due August 15, 2017                 USD 1,190,000
             6.25%   Notes due November 15, 2017               USD 8,958,000
             6.25%   Notes due November 15, 2017               USD 11,778,000
             6.25%   Notes due November 15, 2017               USD 6,339,000
             6.40%   Notes due November 15, 2017               USD 3,404,000
             6.50%   Notes due November 15, 2017               USD 2,197,000
                      10-Year Forward Rate Bias Notes due
                              December 11, 2017                USD 500,000,000
             6.50%   Notes due December 15, 2017               USD 556,000
             7.50%   Notes due December 15, 2017               USD 24,275,000
             7.75%   Notes due December 15, 2017               USD 14,936,000
             7.80%   Notes due December 15, 2017               USD 8,731,000
             5.80%   Senior Notes due October 1, 2036          USD 316,015,000
            12.00%   Subordinated Notes due
                              December 18, 2018                USD 1,117,448,000
            12.00%   Subordinated Notes due
                              December 18, 2018                USD 31,559,000
             6.10%   Junior Subordinated Notes due March 15,
              2067                                             USD 750,000,000
             Consideration per US$1,000
                                                Principal Amount of
             Old Notes Tendered
                                                Number of
             Principal                          Shares of
             Amount                             New Preferred
             of New Notes                       Stock
CUSIP/ISIN   to be Issued                       to be Issued(1)

12557WSB8    $                            700                         3.26
12557WA35    $                            700                         3.26
12557WB42    $                            700                         3.26
12557WB75    $                            700                         3.26
12557WC25    $                            700                         3.26
12557WC58    $                            700                         3.26
12557WC90    $                            700                         3.26

N/A          $                            700                         3.26
12557WSG7    $                            700                         3.26
12557WSL6    $                            700                         3.26
12557WSP7    $                            700                         3.26
12557WST9    $                            700                         3.26
12560PFP1    $                            700                         3.26

125581FS2    $0                                                       4.07

U17186AF1    $0                                                       4.07

125577AX4    $0                                                       2.04
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE9
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                Delaware Funding Outstanding Notes




                                                     Outstanding Principal
   Title         of Old Notes to be Tendered         Amount

           4.65% Notes due July 1, 2010              USD 1,000,000,000
           5.60% Notes due November 2, 2011          USD 487,000,000
           5.20% Notes due June 1, 2015              USD 657,408,000
                      Consideration per
                                             US$1,000 Principal
                      Amount of
                                             Old Notes Tendered
                                             Number of
                      Principal              Shares of
                      Amount                 New Preferred
                      of New Notes           Stock
CUSIP/ISIN            to be Issued           to be Issued

125568AA3/125568AB1   $              1,000                        0
125568AE5             $              1,000                        0
125568AC9/125568AD7   $              1,000                        0
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE10
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   AFFILIATIONS
   3. Affiliates.
                        The following is a list of entities that may be deemed affiliates of the
                 Corporation and Delaware Funding as of the date of this Application. The voting
                   securities of each of these entities are owned 100% by its immediate parent
               unless otherwise indicated. Where an immediate parent owns less than 100% of the
                     stock of its subsidiary, the remainder of the stock is owned by unaffiliated
   third parties, unless otherwise indicated.

                                                                                     Jurisdiction of
   Name of Company                                                                   Organization
   1143986 Ontario Limited (67)                                                      Can-Ont
   1243029 Ontario Inc. (67)                                                         Can-Ont
   1244771 Ontario Limited (86)                                                      Can-Ont
   1309673 Ontario Limited (69)                                                      Can-Ont
   1641964 Ontario Limited (67)                                                      Can-Ont
   3068234 Canada Inc. (71)                                                          Canada
   3918041 Canada Inc. (67)                                                          Canada
   505 CLO I Ltd. (25)                                                               Cayman Islands
   505 CLO II Ltd. (25)                                                              Cayman Islands
   505 CLO III Ltd. (25)                                                             Cayman Islands
   505 CLO IV Ltd. (25)                                                              Cayman Islands
   544211 Alberta Ltd. (67)                                                          Can-Alb
   555565 Alberta Ltd. (67)                                                          Can-Alb
   555566 Alberta Ltd. (67)                                                          Can-Alb
   991102 Alberta Ltd. (67)                                                          Can-Alb
   991122 Alberta Ltd. (81)                                                          Can-Alb
   Adams Capital Limited (75)                                                        Barbados
   Aireal Technologies of Harrisburg, LLC (105)                                      U.S.-DE
   AlphaGen Power LLC (33)                                                           U.S.-DE
   Arrendadora Capita Corporation, S.A. de C.V. (93)                                 Mexico
   ATMOR Properties Inc. (102)                                                       U.S.-DE
   Avion Capital Limited (62)                                                        Ireland
   Baffin Shipping Co., Inc. (20)                                                    U.S.-DE
   Balfour Capital Inc. (77)                                                         Canada
   Banco Commercial Investment Trust do Brasil S.A. - Banco                          Brazil
   Múltiplo (89)
   Barrow Capital Limited (75)                                                       Barbados
   Broad River OL-1 LLC (114)                                                        U.S.-DE
   Broad River OL-2 LLC (117)                                                        U.S.-DE
   Broad River OL-3 LLC (120)                                                        U.S.-DE
   Broad River OL-4 LLC (123)                                                        U.S.-DE
   BRSP, LLC (105)                                                                   U.S.-DE
   BRT Colt LLC (105)                                                                U.S.-DE
Bunga Bebaru, Ltd. (20)                           Bermuda
C.I.T. Foreign Sales Corporation One, Ltd. (37)   Barbados
C.I.T. Leasing Corporation (23)                   U.S.-DE
Canadian Income Partners I LP (78)                Can-Alb
Canadian Income Partners II LP (79)               Can-Alb
Canadian Income Partners III LP (80)              Can-Alb
Capita Canadian Trust (1)                         Canada
Capita Colombia Holdings Corp. (89)               U.S.-DE
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE11
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                           Jurisdiction of
   Name of Company                                         Organization
   Capita Corporation (83)                                 U.S.-DE
   Capita Funding de Mexico, S.A. de C.V. (93)             Mexico
   Capita International L.L.C. (89)                        U.S.-DE
   Capita Preferred Trust (1)                              U.S.-DE
   Capita Premium Corporation (89)                         U.S.-DE
   Capita Servicios S.A. de C.V. (94)                      Mexico
   Capital Partners Fund I (68)                            Can-Ont
   Capital Syndication Corporation (89)                    U.S.-DE
   CCG Trust Corporation (76)                              Barbados
   Centennial Aviation (Bermuda), Ltd. I (39)              Bermuda
   Centennial Aviation (France) 1, Sarl (39)               France
   Centennial Aviation (France) 2, Sarl (39)               France
   Centennial Aviation (Ireland) 1, Limited (46)           Ireland
   Centennial Aviation (Ireland) 6, Limited (46)           Ireland
   Centennial Aviation (Ireland) 7, Ltd. (46)              Ireland
   CFHE Funding Company LLC (11)                           U.S.-DE
   Chessman S.a.r.l. (1)                                   Luxembourg
   CIT (France) S.A. (50)                                  France
   CIT (France) SAS (51)                                   France
   CIT (PL) Limited (58)                                   U.K.
   CIT (UK) Unit Investment Holdings LLC (105)             U.S.-DE
   CIT Aerospace (Australia) Pty Ltd. (52)                 Australia
   CIT Aerospace Asia Pte Ltd. (46)                        Singapore
   CIT Aerospace International (45)                        Ireland
   CIT Aerospace International (Aruba) A.V.V. (46)         Aruba
   CIT Aerospace International (Australia) Pty Ltd. (46)   Australia
   CIT Aerospace International Leasing II (46)             Ireland
   CIT Aerospace Sweden AB (46)                            Sweden
   CIT Aerospace, Belgium Sprl (46)                        Belgium
   CIT Asset Finance (UK) Limited (57)                     U.K.
   CIT Asset Management LLC (103)                          U.S.-DE
   CIT Aviation Finance I (France) Sarl (47)               France
   CIT Aviation Finance I (Ireland) Limited (47)           Ireland
   CIT Aviation Finance I (UK) Ltd. (47)                   U.K.
   CIT Aviation Finance I Ltd. (44)                        Bermuda
   CIT Aviation Finance II (France) Sarl (48)              France
   CIT Aviation Finance II (Ireland) Limited (48)          Ireland
   CIT Aviation Finance II (UK) Ltd. (48)                  U.K.
   CIT Aviation Finance II Ltd. (44)                       Bermuda
   CIT Aviation Note Purchasing Ltd. (43)                  Bermuda
   CIT Bank (1)                                            U.S.-UT
   CIT Bank Limited (9)                                    U.K.
CIT Blue Water Haas Drive, LLC (102)                 U.S.-MI
CIT Brisk Winds Aircraft Leasing, Limited (63)       Ireland
CIT Broad River LLC (105)                            U.S.-DE
CIT Business Credit Canada Inc. (67)                 Canada
CIT Canada Equip REC Trust (1)                       Canada
CIT Canada Funding ULC (67)                          Can-Alb
CIT Canadian Funding Trust (1)                       Canada
CIT Capita Colombia S.A Compañía de Financiamiento   Colombia
Comercial (93)
CIT Capital Aviation (UK) Limited (46)               U.K.
CIT Capital Finance (Ireland) Limited (39)           Ireland
CIT Capital Finance (UK) Limited (55)                U.K.
CIT Capital Funding Inc. (20)                        U.S.-DE
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE12
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                        Jurisdiction of
   Name of Company                                      Organization
   CIT Capital Securities LLC (105)                     U.S.-DE
   CIT Capital Trust I (1)                              U.S.-DE
   CIT Capital USA Inc. (83)                            U.S.-DE
   CIT Cayman Blue Lagoon Leasing, Ltd. (37)            Cayman Island
   CIT Cayman Coconut Palm Leasing, Ltd. (16)           Cayman Island
   CIT Cayman Sandy Keys Leasing, Ltd. (46)             Cayman Island
   CIT China 12, Inc. (20)                              U.S.-DE
   CIT China 13, Inc. (20)                              U.S.-DE
   CIT China 2, Inc. (20)                               U.S.-DE
   CIT China 3, Inc. (20)                               U.S.-DE
   CIT China 6, Inc. (20)                               U.S.-DE
   CIT China 7, Inc. (20)                               U.S.-DE
   CIT CLO Holding Corporation (1)                      U.S.-DE
   CIT CLO Holdings II, Ltd. (20)                       Cayman Islands
   CIT CLO Holdings, Ltd. (20)                          Cayman Islands
   CIT Commercial (UK) Limited (57)                     U.K.
   CIT Commercial Real Estate Brokerage LLC (105)       U.S.-DE
   CIT Commercial Services (Europe) GmbH (60)           Germany
   CIT Commercial Services-Pan Pacific, Ltd. (20)       U.S.-DE
   CIT Communications Finance Corporation (89)          U.S.-DE
   CIT CRE LLC (39)                                     U.S.-DE
   CIT Credit Finance Corp. (20)                        U.S.-DE
   CIT Credit Group USA Inc. (64)                       U.S.-DE
   CIT Credit Pty Limited (52)                          Australia
   CIT DCC Inc. (83)                                    U.S.-DE
   CIT Destin White Sands Aircraft Leasing, Inc. (38)   U.S.-DE
   CIT DFS Inc. (83)                                    U.S.-DE
   CIT DPA Trust II (1)                                 U.S.-DE
   CIT Education Loan Trust 2005-1 (4)                  U.S.-DE
   CIT Education Loan Trust 2007-1 (4)                  U.S.-DE
   CIT Education Loan Trust 2008-BBC (6)                U.S.-DE
   CIT Education Loan Trust 2009-1 (8)                  U.S.-DE
   CIT Emerald Isle Leasing, Limited (62)               Ireland
   CIT Equipment Finance (UK) Limited (57)              U.K.
   CIT Equipment Trust VFC Series II (1)                U.S.-DE
   CIT Equipment Trust VFC Series III (1)               U.S.-DE
   CIT Equipment Trust VFC Series V (99)                U.S.-DE
   CIT Finance & Leasing Corporation (89)               China (PRC)
   CIT Finance No. 1 (Ireland) Limited (62)             Ireland
   CIT Finance No. 2 (Ireland) Limited (62)             Ireland
   CIT Financial (Alberta) ULC (67)                     Can-Alb
   CIT Financial (Barbados) Srl (65)                    Barbados
CIT Financial (Bermuda) Limited (1)       Bermuda
CIT Financial (Hong Kong) Limited (1)     Hong Kong
CIT Financial (Korea) Ltd. (50)           Korea
CIT Financial de Puerto Rico, Inc. (89)   Puerto Rico
CIT Financial II (Barbados) Srl (64)      Barbados
CIT Financial Ltd. (66)                   Can-Ont
CIT Financial Ltd. of Puerto Rico (91)    U.S.-DE
CIT Financial USA, Inc. (89)              U.S.-DE
CIT FSC Eight, Ltd. (39)                  Bermuda
CIT FSC Eighteen, Ltd. (20)               Bermuda
CIT FSC Four, Ltd. (37)                   Bermuda
CIT FSC Nine, Ltd. (37)                   Bermuda
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE13
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                          Jurisdiction of
   Name of Company                        Organization
   CIT FSC Nineteen, Ltd. (20)            Bermuda
   CIT FSC Six, Ltd. (39)                 Bermuda
   CIT FSC Sixteen, Ltd. (20)             Bermuda
   CIT FSC Ten, Ltd. (37)                 Bermuda
   CIT FSC Thirty, Ltd. (37)              Bermuda
   CIT FSC Three, Ltd. (37)               Bermuda
   CIT FSC Twelve, Ltd. (20)              Bermuda
   CIT FSC Twenty, Ltd. (39)              Bermuda
   CIT FSC Twenty-Eight, Ltd. (37)        Bermuda
   CIT FSC Twenty-Five, Ltd. (37)         Bermuda
   CIT FSC Twenty-Four, Ltd. (37)         Bermuda
   CIT FSC Twenty-Nine, Ltd. (37)         Bermuda
   CIT FSC Twenty-One, Ltd. (37)          Bermuda
   CIT FSC Twenty-Seven, Ltd. (37)        Bermuda
   CIT FSC Twenty-Six, Ltd. (37)          Bermuda
   CIT FSC Twenty-Three, Ltd. (37)        Bermuda
   CIT FSC Twenty-Two, Ltd. (37)          Bermuda
   CIT FSC Two, Ltd. (37)                 Bermuda
   CIT Funding (Barbados) Srl (45)        Barbados
   CIT Funding (Ireland) Limited          Ireland
   CIT Funding (Nederland) B.V. (45)      Netherlands
   CIT Funding Company II, LLC (97)       U.S.-DE
   CIT Funding Company III, LLC (97)      U.S.-DE
   CIT Funding Company IV, LLC (95)       U.S.-DE
   CIT Funding Company V, LLC (97)        U.S.-DE
   CIT Funding Company VI, LLC (20)       U.S.-DE
   CIT Funding Company VII, LLC (20)      U.S.-DE
   CIT Funding Company VIII, LLC (97)     U.S.-DE
   CIT Funding Company, LLC (97)          U.S.-DE
   CIT Funding Pty Limited (52)           Australia
   CIT Funds LLC (105)                    U.S.-DE
   CIT Global Vendor Services S.A. (92)   Colombia
   CIT Group (Australia) Limited (50)     Australia
   CIT Group (Austria) GmbH (50)          Austria
   CIT Group (Belgium) NV (50)            Belgium
   CIT Group (Germany) GmbH (14)          Germany
   CIT Group (Hungary) Ltd. (1)           Hungary
   CIT Group (Nederland) B.V. (54)        Netherlands
   CIT Group (New Zealand) Limited (1)    New Zealand
   CIT Group (NFL) Limited (55)           U.K.
   CIT Group (NJ) LLC (1)                 U.S.-DE
   CIT Group (Nordic) AB (50)             Sweden
CIT Group (Portugal) - Renting, Lda. (61)             Portugal
CIT Group (Singapore) Pte Ltd. (50)                   Singapore
CIT Group (Switzerland) AG (50)                       Switzerland
CIT Group (Taiwan) Limited (1)                        Taiwan
CIT Group (UK) Funding Public Limited Company (55)    U.K.
CIT Group (UK) Limited (55)                           U.K.
CIT Group (UK) Property Limited (55)                  U.K.
CIT Group (UK) Services Limited (56)                  U.K.
CIT Group (UK) Vendor Services Limited (55)           U.K.
CIT Group Beteiligungs (Germany) AG (50)              Germany
CIT Group Capital Finance (Singapore) Pte Ltd. (39)   Singapore
CIT Group Finance (Ireland) (18)                      Ireland
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE14
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                               Jurisdiction of
   Name of Company                                             Organization
   CIT Group Financial (Ireland) Limited (19)                  Ireland
   CIT Group Funding Company of Delaware LLC (39)              U.S.-DE
   CIT Group Holding (Germany) GmbH (54)                       Germany
   CIT Group Holdings (UK) Limited (54)                        U.K.
   CIT Group Holdings BV (50)                                  Netherlands
   CIT Group Italy S.p.A. (54)                                 Italy
   CIT Group Location (France) SAS (54)                        France
   CIT Group Securities (Canada) Inc. (70)                     Can-Ont
   CIT Group SF Holding Co., Inc. (1)                          U.S.-DE
   CIT Healthcare LLC (20)                                     U.S.-DE
   CIT Holdings (Barbados) Srl (64)                            Barbados
   CIT Holdings (Ireland) Limited (50)                         Ireland
   CIT Holdings (No. 2) Ireland (1)                            Ireland
   CIT Holdings B.V. (49)                                      Netherlands
   CIT Holdings Canada ULC (43)                                Can-Alb
   CIT Holdings, LLC (39)                                      U.S.-DE
   CIT Home Lending Securitization Company, LLC (11)           U.S.-DE
   CIT Industrial Finance (UK) Limited (58)                    U.K.
   CIT Industrie Bank (Germany) GmbH (9)                       Germany
   CIT Industrie Leasing (Germany) GmbH (10)                   Germany
   CIT Insurance Agency, Inc. (1)                              U.S.-DE
   CIT International (Malaysia) Sdn. Bhd. (59)                 Malaysia
   CIT Lease Holdings Limited (55)                             U.K.
   CIT Leasing (Bermuda) Ltd. (46)                             Bermuda
   CIT Leasing (Germany) GmbH (60)                             Germany
   CIT Leasing Chile Ltda. (89)                                Chile
   CIT Leasing De Argentina Srl (90)                           Argentina
   CIT Lending Services Corporation (89)                       U.S.-DE
   CIT Lending Services Corporation (Illinois) (20)            U.S.-DE
   CIT Loan Corporation (1)                                    U.S.-DE
   CIT Lodi LLC (105)                                          U.S.-DE
   CIT Luxembourg Cobblestone Leasing S.a.r.l. (14)            Luxembourg
   CIT Luxembourg S.a.r.l. (15)                                Luxembourg
   CIT Malaysia One, Inc. (46)                                 Malaysia (Labuan)
   CIT Malaysia Two, Inc. (39)                                 Malaysia (Labuan)
   CIT Marquis Williamsburg RE Holding LLC (102)               U.S.-DE
   CIT Mezzanine Partners of Canada Limited (67)               Canada
   CIT Middle Market Funding Company, LLC (113)                U.S.-DE
   CIT Middle Market Holdings, LLC (102)                       U.S.-DE
   CIT Middle Market Loan Partnership Trust I (trust) (27)     U.S.-DE
   CIT Middle Market Loan Partnership Trust II (trust) (26)    U.S.-DE
   CIT Middle Market Loan Partnership Trust III (trust) (28)   U.S.-DE
CIT Middle Market Loan Trust I (trust) (30)     U.S.-DE
CIT Middle Market Loan Trust II (trust) (29)    U.S.-DE
CIT Middle Market Loan Trust III (trust) (31)   U.S.-DE
CIT Millbury Inc. (105)                         U.S.-DE
CIT Peakers LLC (91)                            U.S.-DE
CIT Programme Management (UK) Limited (58)      U.K.
CIT Project Finance CBO I, LLC (107)            U.S.-DE
CIT Project Finance Manager, L.L.C. (105)       U.S.-DE
CIT Project Finance, L.L.C. (106)               U.S.-DE
CIT Rail Leasing Trust I (1)                    U.S.-DE
CIT Real Estate Holding Corporation (20)        U.S.-DE
CIT Realty LLC (20)                             U.S.-DE
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE15
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                        Jurisdiction of
   Name of Company                                      Organization
   CIT SBL 2008-1, Ltd. (100)                           Cayman Islands
   CIT SBL Holdings, Ltd. (89)                          Cayman Islands
   CIT SBL Property Holdings Corporation (101)          U.S.-DE
   CIT SLX Issuer Holdings, Ltd. (7)                    Cayman Islands
   CIT SLX Residual Holdings, Ltd. (6)                  Cayman Islands
   CIT Small Business Lending Corporation (89)          U.S.-DE
   CIT Small Business Loan Trust 2008-1 (trust) (101)   U.S.-DE
   CIT Subordinated Debt Fund (II) Limited (82)         Canada
   CIT Subordinated Debt Fund (III) Limited (82)        Canada
   CIT Technologies Corporation (102)                   U.S.-MI
   CIT Technology Finance (Germany) GmbH (58)           Germany
   CIT Technology Financing Services I LLC (103)        U.S.-DE
   CIT Technology Financing Services II LLC (103)       U.S.-DE
   CIT Technology Financing Services, Inc. (102)        U.S.-MA
   CIT Transportation Holdings B.V. (42)                Netherlands
   CIT Vendor Finance (UK) Limited (55)                 U.K.
   CIT Vendor Finance Japan K.K. (1)                    Japan
   CIT Vendor Finance Trust 2009 (97)                   U.S.-DE
   CLM VII LLC (105)                                    U.S.-DE
   CLM VIII LLC (105)                                   U.S.-DE
   CMS Funding Company LLC (37)                         U.S.-DE
   Corporacion Financiera Atlas, S.A. (24)              Mexico
   Cummins Capital Limited (75)                         Barbados
   Dell Financial Services Canada Limited (67)          Can-Ont
   Durham Capital Limited (75)                          Barbados
   Edgeview Partners LLC (20)                           U.S.-NC
   Education Fund RSC IV (1)                            U.S.
   Education Funding Capital I, LLC (3)                 U.S.-DE
   Education Funding Capital Trust - II (4)             U.S.-DE
   Education Funding Capital Trust - III (4)            U.S.-DE
   Education Funding Capital Trust - IV (4)             U.S.-DE
   Education Funding Resources II, LLC (3)              U.S.-DE
   Education Funding Resources III, LLC (6)             U.S.-DE
   Education Funding Resources, LLC (5)                 U.S.-DE
   Education Lending Services, Inc. (2)                 U.S.-DE
   Education Loan Servicing Corporation (2)             U.S.-DE
   Emerald Funding (Netherlands) C.V. (41)              Netherlands
   Emerald Funding (No. 2) C.V. (41)                    Netherlands
   Emerald Funding (No. 3) C.V. (41)                    Netherlands
   Emerald Holdings C.V. (40)                           Netherlands
   Equipment Acceptance Corporation (12)                U.S.-DE
   Equipment Protection Services (Europe) Limited (1)   Ireland
Equipment Rental Billing Services Pty Ltd. (52)   Australia
ERF Leasing Limited (56)                          U.K.
Erie Capital Limited (75)                         Barbados
Essex Capital Limited (75)                        Barbados
FH Transaction Corp. (36)                         U.S.-DE
Flex Asset Management Corporation (34)            U.S.-DE
Flex Holdings, LLC (35)                           U.S.-DE
Flex Leasing Corporation (20)                     U.S.-DE
Flex Leasing I, LLC (36)                          U.S.-DE
Flex Leasing II, LLC (34)                         U.S.-DE
Flex Mexico Corp. (34)                            U.S.-DE
Flugzeug Limited (19)                             Ireland
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE16
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                         Jurisdiction of
   Name of Company                                       Organization
   Franchise Portfolio 1, Inc. (20)                      U.S.-DE
   Franchise Portfolio 2, Inc. (20)                      U.S.-DE
   Frontenac Capital Limited (75)                        Barbados
   GFSC Aircraft Acquisition Financing Corporation (1)   U.S.-DE
   Graybar Financial Services, LLC (104)                 U.S.-DE
   Grey Capital Limited (75)                             Barbados
   Groupe Financier Laplante (1997) Inc. (71)            Canada
   Hastings Transition Company, Inc. (102)               U.S.-DE
   Highlands Insurance Company Limited (96)              Barbados
   HNZF Pty Limited (17)                                 New Zealand
   Hudson Shipping Co., Inc. (1)                         U.S.-DE
   Hunter Leasing Limited (52)                           Australia
   Image Financial Services Inc. (72)                    Canada
   Ironbridge Capital Limited (75)                       Barbados
   Jam Funding Corp. (97)                                U.S.-DE
   Memphis Peaking Power LLC (105)                       U.S.-DE
   Millenium Leasing Company I, LLC (105)                U.S.-DE
   Millennium Leasing Company II LLC (112)               U.S.-DE
   Montana OL1 LLC (109)                                 U.S.-DE
   Montana OP1 LLC (108)                                 U.S.-DE
   Montana OPCM1A LLC (105)                              U.S.-DE
   Montana OPCM1B LLC (105)                              U.S.-DE
   MultiGen LLC (32)                                     U.S.-DE
   Namekeepers LLC (20)                                  U.S.-DE
   NCT Capital Inc. (83)                                 U.S.-DE
   NCT Receivables LLC (102)                             U.S.-DE
   New Broad River, LLC (110)                            U.S.-DE
   New Creditcorp SPC LLC (88)                           U.S.-DE
   Newcourt Common Holdings LLC (105)                    U.S.-DE
   Newcourt Financial (Australia) Pty Limited (53)       Australia
   Newcourt Financial CIS, LLC (1)                       Russia
   Newcourt Financial España S.A. (54)                   Spain
   Newcourt Financial Polska Sp. zo.o (1)                Poland
   Nobrega Gas Storage LLC (87)                          U.S.-DE
   North American Exchange, Inc. (1)                     U.S.-DE
   North Romeo Storage Corporation (83)                  U.S.-DE
   Owner-Operator Finance Company (97)                   U.S.-DE
   Pasadena Owner Participant LP (85)                    U.S.-DE
   RockGen OL-1 LLC (115)                                U.S.-DE
   RockGen OL-2 LLC (118)                                U.S.-DE
   RockGen OL-3 LLC (121)                                U.S.-DE
   RockGen OL-4 LLC (124)                                U.S.-DE
SBR OP-1, LLC (105)          U.S.-DE
SBR OP-2, LLC (105)          U.S.-DE
SBR OP-3, LLC (105)          U.S.-DE
SBR OP-4, LLC (105)          U.S.-DE
SE Holdco Inc. (67)          Can-Ont
Snap-On Credit LLC (84)      U.S.-DE
South Point OL-1 LLC (116)   U.S.-DE
South Point OL-2 LLC (119)   U.S.-DE
South Point OL-3 LLC (122)   U.S.-DE
South Point OL-4 LLC (125)   U.S.-DE
Sovereign AC, LLC (98)       U.S.-DE
Sovereign ACII, LLC (98)     U.S.-DE
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE17
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                           Jurisdiction of
   Name of Company                                         Organization
   Sovereign BP, LLC (98)                                  U.S.-DE
   Sovereign BW, LLC (98)                                  U.S.-DE
   Sovereign FT, LLC (98)                                  U.S.-DE
   Sovereign JCS, LLC (98)                                 U.S.-DE
   Sovereign JCSII, LLC (98)                               U.S.-DE
   Sovereign JO, LLC (98)                                  U.S.-DE
   Sovereign LS, LLC (98)                                  U.S.-DE
   Sovereign LSII, LLC (98)                                U.S.-DE
   Sovereign LSIII, LLC (98)                               U.S.-DE
   Sovereign SP, LLC (98)                                  U.S.-DE
   Sovereign Ventures NNN, LLC (22)                        U.S.-DE
   Sovereign WW, LLC (98)                                  U.S.-DE
   Sovereign WWII, LLC (98)                                U.S.-DE
   Student Loan Xpress Foundation (2)                      U.S.-OH
   Student Loan Xpress, Inc. (1)                           U.S.-DE
   SW Holding Corp. (105)                                  U.S.-DE
   TCC Attala OL LLC (126)                                 U.S.-DE
   TCC Attala OP LLC (105)                                 U.S.-DE
   The Capita Corporation de Mexico S.A. de C.V., SOFOM,   Mexico
   E.N.R. (93)
   The Capita Corporation do Brasil Ltda. (89)             Brazil
   The CIT GP Corporation (1)                              U.S.-IL
   The CIT GP Corporation II (1)                           U.S.-DE
   The CIT GP Corporation III (1)                          U.S.-DE
   The CIT GP Corporation V (1)                            U.S.-DE
   The CIT Group Securitization Corporation (1)            U.S.-DE
   The CIT Group Securitization Corporation II (1)         U.S.-DE
   The CIT Group Securitization Corporation III (1)        U.S.-DE
   The CIT Group Securitization Corporation IV (1)         U.S.-DE
   The CIT Group/BC Securities Investment, Inc. (21)       U.S.-NJ
   The CIT Group/Business Credit, Inc. (20)                U.S.-NY
   The CIT Group/Capital Finance, Inc. (1)                 U.S.-DE
   The CIT Group/Capital Transportation, Inc. (37)         U.S.-DE
   The CIT Group/CmS Securities Investment, Inc. (37)      U.S.-NJ
   The CIT Group/Commercial Services (Asia), Limited (1)   Hong Kong
   The CIT Group/Commercial Services, Inc. (20)            U.S.-NY
   The CIT Group/Commercial Services, Inc. (Va.) (37)      U.S.-DE
   The CIT Group/Consumer Finance, Inc.(NY) (1)            U.S.-NY
   The CIT Group/Consumer Finance, Inc.(TN) (1)            U.S.-DE
   The CIT Group/Corporate Aviation, Inc. (20)             U.S.-DE
   The CIT Group/Equipment Financing, Inc. (1)             U.S.-DE
   The CIT Group/Equity Investments, Inc. (1)              U.S.-NJ
The CIT Group/Factoring One, Inc. (37)               U.S.-NY
The CIT Group/FM Securities Investment, Inc. (1)     U.S.-NJ
The CIT Group/LsC Securities Investment, Inc. (39)   U.S.-NJ
The CIT Group/Securities Investment, Inc. (20)       U.S.-DE
The CIT Group/Venture Capital, Inc. (13)             U.S.-NJ
The Equipment Insurance Company (89)                 U.S.-VT
Torontosudden Limited (67)                           U.K.
Waste to Energy II LLC (111)                         U.S.-DE
Wellington Capital Corporation (74)                  Barbados
Western Star Finance, Inc. (83)                      U.S.-DE
Worrell Capital Limited (67)                         Barbados
Xerox Leasing de Mexico S.R.L. de C.V. (73)          Mexico
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE18
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Name
   Jeffrey M. Peek
   Michael A. Carpenter
   William M. Freeman
   Susan M. Lyne
   Marianne Miller Parrs
   John R. Ryan
   Christopher H. Shays
   Seymour Sternberg
   Peter J. Tobin
   Lois M. Van Deusen
   Usama Ashraf
   Michael Baresich
   Kathleen A. Beck
   Kenneth A. Brause
   Barbara Callahan
   Mark A. Carlson
Online, Inc.




wn
2009

               Office
               Chairman of the Board of Directors and Chief Executive Officer
               Director
               Director
               Director
               Director
               Director
               Director
               Director
               Director
               Director
               Senior Vice President - Treasury, Assistant Treasurer
               Executive Vice President and Global Chief Information Officer
               Vice President - Treasury
               Executive Vice President - Investor Relations
               Senior Vice President, Assistant Treasurer
               Senior Vice President, Assistant Treasurer
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE19
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Name
   Keith Cheses
   James J. Duffy
   Umar Farooq

   Nancy J. Foster
   Kelley J. Gipson

   Christopher J. Grimes

   William Hopf
   Robert J. Ingato
   Nicole L. Kelsey

   Stephen Klimas
   Joseph M. Leone
   Jonathan Macey
   Michael Magee
   Eric S. Mandelbaum

   Alexander T. Mason
   Jacqueline P. McCaulley

   Michael J. McConnell
   Larraine A. Milazzo
   Deborah Reperowitz

   Suzanne Ridgway
   James P. Shanahan

   John P. Sirico

   Edward K. Sperling
   Glenn A. Votek
ine, Inc.




9

            Office
            Vice President, BSA/AML Officer
            Executive Vice President - Human Resources
            Executive Vice President - Corporate Strategy and Chief
            Sales Officer
            Executive Vice President and Chief Risk Officer
            Executive Vice President - Brand Marketing and
            Communications
            Senior Vice President - Head of Enterprise Risk
            Management
            Senior Vice President - Human Resources
            Executive Vice President, General Counsel and Secretary
            Senior Vice President and Chief Counsel, Corporate
            Development
            Senior Vice President - Investor Relations
            Vice Chairman and Chief Financial Officer
            Senior Vice President and Acting Controller
            Executive Vice President - Tax
            Senior Vice President, Deputy General Counsel and
            Assistant Secretary
            President and Chief Operating Officer
            Senior Vice President and Interim Director of Internal
            Audit
            Vice President - Treasury
            Senior Vice President - Corporate Insurance
            Senior Vice President, Chief Counsel, Litigation and
            Preventative Law
            Vice President, OFAC Officer
            Senior Vice President, Chief Compliance Officer and
            Assistant Secretary
            Vice President, Associate General Counsel and Assistant
            Secretary
            Senior Vice President
            Executive Vice President and Treasurer
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE20
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Name                    Office
   Kathleen A. Beck        Vice President - Corporate Treasury
   Barbara Callahan        Senior Vice President - Corporate Treasury and Assistant
                           Treasurer
   Mark A. Carlson         Senior Vice President - Corporate Treasury and Assistant
                           Treasurer
   Robert J. Ingato        Executive Vice President and Assistant Secretary
   Michael C. Magee        Executive Vice President
   Eric S. Mandelbaum      Manager, Senior Vice President and Secretary
   Kathleen Nassaney       Vice President
   Frank Riepl             Vice President
   Kathleen M. Sawka       Assistant Vice President - Corporate Treasury
   Linda M. Seufert        Assistant Secretary
   Glenn A. Votek          Manager, Executive Vice President - Corporate Treasury
                           and Treasurer
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE21
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

               CAPITAL SECURITIES
         7.00 Capitalization.
            (a) The following tables set forth information with respect to each
          authorized class of securities of the applicants as of August 31, 2009.
               (i) Equity Securities

                                      Title of Class
             Common Stock, par value $0.01 per share, of the Corporation1
        6.35% Non-Cumulative Preferred Stock, Series A, par value
    $    0.01 per share, of the Corporation
              Non-Cumulative Preferred Stock, Series B, par value $0.01
                              per share, of the Corporation
        8.75% Non-Cumulative Preferred Stock, Series C, par value
    $    0.01 per share, of the Corporation
              Fixed Rate Cumulative Preferred Stock, Series D, par value
    $    0.01 per share, of the Corporation 2
                Junior Participating Preferred Stock, Series E, par value
    $    0.01 per share, of the Corporation
Amount Authorized     Amount Outstanding
          600,000,000              392,104,656

           14,000,000               14,000,000

            1,500,000                1,500,000

           11,500,000               11,500,000

            2,330,000                2,330,000

                 400                        0
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE22
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

              Title of Class3                                    Amount Authorized             Amount Outstanding
        4.65% Notes due July 1, 2010                       USD            1,000,000,000 USD
        5.60% Notes due November 2, 2011                   USD              487,000,000 USD
        5.20% Notes due June 1, 2015                       USD              657,408,000 USD


                    (iii) Debt Securities of the Corporation

                Title of Class3                                                                     Amount Authorized
        6.88% Notes due November 1, 2009                                                      USD
        4.13% Notes due November 3, 2009                                                      USD
        3.85% Notes due November 15, 2009                                                     USD
        4.63% Notes due November 15, 2009                                                     USD
        5.05% Notes due November 15, 2009                                                     USD
        5.00% Notes due November 15, 2009                                                     USD
        5.00% Notes due November 15, 2009                                                     USD
        5.00% Notes due November 15, 2009                                                     USD
        3.95% Notes due December 15, 2009                                                     USD
        4.80% Notes due December 15, 2009                                                     USD
        4.70% Notes due December 15, 2009                                                     USD
        4.85% Notes due December 15, 2009                                                     USD
        6.25% Notes due December 15, 2009                                                     USD
        6.50% Notes due December 15, 2009                                                     USD
        Floating Rate Notes due December 21, 2009                                             USD
        4.25% Notes due February 1, 2010                                                      USD
        4.05% Notes due February 15, 2010                                                     USD
        5.15% Notes due February 15, 2010                                                     USD
        5.05% Notes due February 15, 2010                                                     USD
        6.50% Notes due February 15, 2010                                                     USD
        6.25% Notes due February 15, 2010                                                     USD
           Floating Rate Notes due March 1, 2010                                              CHF
        2.75% Notes due March 1, 2010                                                         CHF
          Floating Rate Notes due March 12, 2010                                              USD
        4.30% Notes due March 15, 2010                                                        USD
        5.05% Notes due March 15, 2010                                                        USD
        5.15% Notes due March 15, 2010                                                        USD
        4.90% Notes due March 15, 2010                                                        USD
        4.85% Notes due March 15, 2010                                                        USD
        6.50% Notes due March 15, 2010                                                        USD
          Floating Rate Notes due March 22, 2010                                              USD
        4.45% Notes due May 15, 2010                                                          USD
Amount Outstanding
             1,000,000,000
               487,000,000
               657,408,000




   Amount Authorized               Amount Outstanding
              300,000,000    USD              300,000,000
              500,000,000    USD              500,000,000
                1,959,000    USD                 1,959,000
                1,349,000    USD                 1,349,000
                2,800,000    USD                 2,800,000
                4,217,000    USD                 4,217,000
                5,083,000    USD                 5,083,000
                6,146,000    USD                 6,146,000
                3,314,000    USD                 3,314,000
                2,073,000    USD                 2,073,000
                  285,000    USD                   285,000
                  582,000    USD                   582,000
               63,703,000    USD                63,703,000
               40,994,000    USD                40,994,000
              113,000,000    USD              113,000,000
              750,000,000    USD              750,000,000
                4,172,000    USD                 4,172,000
                1,918,000    USD                 1,918,000
                1,497,000    USD                 1,497,000
               58,219,000    USD                58,219,000
               44,138,000    USD                44,138,000
              100,000,000    CHF              100,000,000
               50,000,000    CHF                50,000,000
            1,000,000,000    USD            1,000,000,000
                1,822,000    USD                 1,822,000
                4,241,000    USD                 4,241,000
                6,375,000    USD                 6,375,000
                  297,000    USD                   297,000
                  784,000    USD                   784,000
               33,677,000    USD                33,677,000
              150,000,000    USD              150,000,000
                3,980,000    USD                 3,980,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE23
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                Title of Class3                            Amount Authorized
        5.25% Notes due May 15, 2010                 USD               2,414,000    USD
        5.38% Notes due June 15, 2010                GBP             300,000,000    GBP
        4.30% Notes due June 15, 2010                USD               1,013,000    USD
        4.35% Notes due June 15, 2010                USD               1,419,000    USD
        5.30% Notes due June 15, 2010                USD               2,622,000    USD
        4.60% Notes due August 15, 2010              USD               1,131,000    USD
        5.45% Notes due August 15, 2010              USD              11,920,000    USD
        5.50% Notes due August 15, 2010              USD               1,511,000    USD
        4.25% Notes due September 15, 2010           USD                  295,000   USD
        5.25% Notes due September 15, 2010           USD              11,403,000    USD
        5.20% Notes due November 3, 2010             USD             500,000,000    USD
         Floating Rate Notes due November 3, 2010    USD             474,000,000    USD
        5.05% Notes due November 15, 2010            USD               9,054,000    USD
        5.25% Notes due November 15, 2010            USD               6,349,000    USD
        5.25% Notes due November 15, 2010            USD              12,292,000    USD
        5.25% Notes due November 15, 2010            USD               1,686,000    USD
        4.75% Notes due December 15, 2010            USD             750,000,000    USD
        5.00% Notes due December 15, 2010            USD               5,842,000    USD
        5.05% Notes due December 15, 2010            USD               5,926,000    USD
        4.90% Notes due December 15, 2010            USD               3,188,000    USD
        5.25% Notes due December 15, 2010            USD                  807,000   USD
        6.50% Notes due December 15, 2010            USD              12,177,000    USD
        6.50% Notes due January 15, 2011             USD              17,752,000    USD
        4.72% Notes due February 10, 2011            CAD             400,000,000    CAD
        5.15% Notes due February 15, 2011            USD               2,158,000    USD
        5.15% Notes due February 15, 2011            USD               1,458,000    USD
        6.60% Notes due February 15, 2011            USD              25,229,000    USD
         Floating Rate Notes due February 28, 2011   GBP              70,000,000    GBP
        5.05% Notes due March 15, 2011               USD               1,560,000    USD
        5.00% Notes due March 15, 2011               USD               1,001,000    USD
        4.90% Notes due March 15, 2011               USD                  806,000   USD
        5.00% Notes due March 15, 2011               USD               1,589,000    USD
        6.75% Notes due March 15, 2011               USD               7,604,000    USD
        6.50% Notes due March 15, 2011               USD               6,187,000    USD
        5.15% Notes due April 15, 2011               USD                  957,000   USD
           Floating Rate Notes due April 27, 2011    USD             280,225,000    USD
        5.60% Notes due April 27, 2011               USD             750,000,000    USD
        5.40% Notes due May 15, 2011                 USD               1,283,000    USD
        5.35% Notes due June 15, 2011                USD                  558,000   USD
            Floating Rate Notes due July 28, 2011    USD             669,500,000    USD
        5.80% Notes due July 28, 2011                USD             550,000,000    USD
        5.35% Notes due August 15, 2011              USD               2,254,000    USD
        5.20% Notes due September 15, 2011           USD               2,685,000    USD
Floating Rate Notes due September 21, 2011   GBP    40,000,000   GBP
4.25% Notes due September 22, 2011           EUR   750,000,000   EUR
5.20% Notes due November 15, 2011            USD     7,392,000   USD
5.25% Notes due November 15, 2011            USD     4,427,000   USD
5.25% Notes due November 15, 2011            USD     5,175,000   USD
5.25% Notes due November 15, 2011            USD     4,944,000   USD
Floating Rate Notes due November 30, 2011    EUR   500,000,000   EUR
4.85% Notes due December 15, 2011            USD       482,000   USD
5.00% Notes due December 15, 2011            USD     1,685,000   USD
5.40% Notes due February 13, 2012            USD   500,000,000   USD
 Floating Rate Notes due February 13, 2012   USD   654,250,000   USD
Amount Outstanding
               2,414,000
             300,000,000
               1,013,000
               1,419,000
               2,622,000
               1,131,000
              11,920,000
               1,511,000
                 295,000
              11,403,000
             500,000,000
             474,000,000
               9,054,000
               6,349,000
              12,292,000
               1,686,000
             750,000,000
               5,842,000
               5,926,000
               3,188,000
                 807,000
              12,177,000
              17,752,000
             400,000,000
               2,158,000
               1,458,000
              25,229,000
              70,000,000
               1,560,000
               1,001,000
                 806,000
               1,589,000
               7,604,000
               6,187,000
                 957,000
             280,225,000
             750,000,000
               1,283,000
                 558,000
             669,500,000
             550,000,000
               2,254,000
               2,685,000
 40,000,000
750,000,000
  7,392,000
  4,427,000
  5,175,000
  4,944,000
500,000,000
    482,000
  1,685,000
479,996,000
654,250,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE24
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                Title of Class3                           Amount Authorized
        5.25% Notes due February 15, 2012           USD                2,937,000   USD
        5.15% Notes due February 15, 2012           USD                1,532,000   USD
        7.25% Notes due February 15, 2012           USD               30,577,000   USD
        7.00% Notes due February 15, 2012           USD               17,676,000   USD
        5.00% Notes due March 15, 2012              USD                  482,000   USD
        5.00% Notes due March 15, 2012              USD                1,059,000   USD
        7.25% Notes due March 15, 2012              USD               13,609,000   USD
        7.75% Notes due April 2, 2012               USD              259,646,000   USD
        5.75% Notes due August 15, 2012             USD                  466,000   USD
        3.80% Notes due November 14, 2012           EUR              450,000,000   EUR
        5.50% Notes due November 15, 2012           USD                2,711,000   USD
        5.50% Notes due November 15, 2012           USD                1,381,000   USD
        7.63% Notes due November 30, 2012           USD            2,000,000,000   USD
        5.50% Notes due December 15, 2012           USD                  495,000   USD
        7.00% Notes due December 15, 2012           USD               36,343,000   USD
        7.25% Notes due December 15, 2012           USD               19,425,000   USD
        7.30% Notes due December 15, 2012           USD               11,775,000   USD
        Floating Rate Notes due December 21, 2012   USD              290,705,000   USD
        6.15% Notes due January 15, 2013            USD               29,038,000   USD
        6.25% Notes due January 15, 2013            USD               62,461,000   USD
        6.15% Notes due January 15, 2013            USD               52,560,000   USD
        6.25% Notes due January 15, 2013            USD               53,967,000   USD
        7.50% Notes due January 15, 2013            USD               27,292,000   USD
        6.25% Notes due February 15, 2013           USD               22,781,000   USD
        6.20% Notes due February 15, 2013           USD               24,387,000   USD
        6.00% Notes due February 15, 2013           USD               22,368,000   USD
        7.60% Notes due February 15, 2013           USD               23,615,000   USD
        6.15% Notes due February 15, 2013           USD               23,318,000   USD
        5.40% Notes due March 7, 2013               USD              500,000,000   USD
        7.75% Notes due March 15, 2013              USD               18,242,000   USD
        7.90% Notes due March 15, 2013              USD               17,591,000   USD
        7.25% Notes due March 15, 2013              USD                5,350,000   USD
        6.00% Notes due March 15, 2013              USD               26,178,000   USD
        6.00% Notes due March 15, 2013              USD               27,547,000   USD
        6.10% Notes due March 15, 2013              USD               27,499,000   USD
        6.25% Notes due March 15, 2013              USD               26,121,000   USD
        6.15% Notes due April 15, 2013              USD               24,593,000   USD
        6.15% Notes due April 15, 2013              USD               28,983,000   USD
        6.05% Notes due April 15, 2013              USD               19,386,000   USD
        6.05% Notes due May 15, 2013                USD               44,494,000   USD
        4.95% Notes due May 15, 2013                USD                9,133,000   USD
        4.95% Notes due May 15, 2013                USD               11,492,000   USD
        4.88% Notes due June 15, 2013               USD                6,237,000   USD
4.85% Notes due June 15, 2013             USD     7,956,000   USD
4.60% Notes due June 15, 2013             USD     9,421,000   USD
4.45% Notes due June 15, 2013             USD     5,051,000   USD
  Floating Rate Notes due June 20, 2013   EUR   500,000,000   EUR
5.05% Notes due July 15, 2013             USD     5,228,000   USD
4.65% Notes due July 15, 2013             USD     9,267,000   USD
4.75% Notes due July 15, 2013             USD     2,318,000   USD
5.00% Notes due July 15, 2013             USD    15,182,000   USD
4.75% Notes due July 15, 2013             USD     5,779,000   USD
5.30% Notes due August 15, 2013           USD     7,479,000   USD
5.50% Notes due August 15, 2013           USD     2,903,000   USD
Amount Outstanding
               2,937,000
               1,532,000
              30,577,000
              17,676,000
                 482,000
               1,059,000
              13,609,000
             259,646,000
                 466,000
             450,000,000
               2,711,000
               1,381,000
           1,277,653,000
                 495,000
              36,343,000
              19,425,000
              11,775,000
             290,705,000
              29,038,000
              62,461,000
              52,560,000
              53,967,000
              27,292,000
              22,781,000
              24,387,000
              22,368,000
              23,615,000
              23,318,000
             483,516,000
              18,242,000
              17,591,000
               5,350,000
              26,178,000
              27,547,000
              27,499,000
              26,121,000
              24,593,000
              28,983,000
              19,386,000
              44,494,000
               9,133,000
              11,492,000
               6,237,000
  7,956,000
  9,421,000
  5,051,000
500,000,000
  5,228,000
  9,267,000
  2,318,000
 15,182,000
  5,779,000
  7,479,000
  2,903,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE25
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                Title of Class3                      Amount Authorized
        5.50%   Notes due August 15, 2013      USD               6,810,000   USD
        5.40%   Notes due September 15, 2013   USD               2,445,000   USD
        5.50%   Notes due September 15, 2013   USD               4,171,000   USD
        5.25%   Notes due September 15, 2013   USD               4,374,000   USD
        5.20%   Notes due September 15, 2013   USD               4,378,000   USD
        5.20%   Notes due October 15, 2013     USD               5,497,000   USD
        5.20%   Notes due October 15, 2013     USD               8,130,000   USD
        5.25%   Notes due October 15, 2013     USD               3,359,000   USD
        5.30%   Notes due November 15, 2013    USD               3,146,000   USD
        5.10%   Notes due November 15, 2013    USD               7,480,000   USD
        5.40%   Notes due December 15, 2013    USD               5,783,000   USD
        5.20%   Notes due December 15, 2013    USD               7,241,000   USD
        5.10%   Notes due January 15, 2014     USD               2,897,000   USD
        4.85%   Notes due January 15, 2014     USD               1,333,000   USD
        5.00%   Notes due February 13, 2014    USD             750,000,000   USD
        5.00%   Notes due February 15, 2014    USD               5,957,000   USD
        4.90%   Notes due February 15, 2014    USD               1,958,000   USD
        7.85%   Notes due February 15, 2014    USD              23,034,000   USD
        7.65%   Notes due February 15, 2014    USD              10,897,000   USD
        4.80%   Notes due March 15, 2014       USD               4,492,000   USD
        4.60%   Notes due March 15, 2014       USD               4,211,000   USD
        7.85%   Notes due March 15, 2014       USD               4,573,000   USD
        4.80%   Notes due April 15, 2014       USD               2,177,000   USD
        5.10%   Notes due April 15, 2014       USD               5,735,000   USD
        5.00%   Notes due May 13, 2014         EUR             463,405,000   EUR
        5.25%   Notes due May 15, 2014         USD               4,898,000   USD
        5.80%   Notes due May 15, 2014         USD              11,357,000   USD
        5.70%   Notes due June 15, 2014        USD               8,890,000   USD
        5.75%   Notes due June 15, 2014        USD              10,815,000   USD
        5.75%   Notes due June 15, 2014        USD               1,930,000   USD
        5.85%   Notes due June 15, 2014        USD               1,593,000   USD
        6.00%   Notes due June 15, 2014        USD              10,892,000   USD
        5.65%   Notes due July 15, 2014        USD               8,504,000   USD
        5.30%   Notes due July 15, 2014        USD              10,005,000   USD
        5.20%   Notes due August 15, 2014      USD               5,691,000   USD
        5.30%   Notes due August 15, 2014      USD               3,915,000   USD
        6.00%   Notes due August 15, 2014      USD               2,555,000   USD
        6.00%   Notes due August 15, 2014      USD               2,389,000   USD
        5.25%   Notes due September 15, 2014   USD              16,332,000   USD
        5.05%   Notes due September 15, 2014   USD              17,112,000   USD
        5.13%   Notes due September 30, 2014   USD             750,000,000   USD
        4.90%   Notes due October 15, 2014     USD               5,520,000   USD
        5.10%   Notes due October 15, 2014     USD              13,944,000   USD
5.05%   Notes due November 15, 2014   USD     7,238,000   USD
5.50%   Notes due December 1, 2014    GBP   480,000,000   GBP
5.13%   Notes due December 15, 2014   USD     7,632,000   USD
5.10%   Notes due December 15, 2014   USD    18,101,000   USD
5.05%   Notes due January 15, 2015    USD     6,302,000   USD
5.00%   Notes due February 1, 2015    USD   750,000,000   USD
4.95%   Notes due February 15, 2015   USD     6,678,000   USD
4.90%   Notes due February 15, 2015   USD     6,848,000   USD
7.90%   Notes due February 15, 2015   USD    24,329,000   USD
5.10%   Notes due March 15, 2015      USD    12,247,000   USD
5.05%   Notes due March 15, 2015      USD     2,575,000   USD
Amount Outstanding
               6,810,000
               2,445,000
               4,171,000
               4,374,000
               4,378,000
               5,497,000
               8,130,000
               3,359,000
               3,146,000
               7,480,000
               5,783,000
               7,241,000
               2,897,000
               1,333,000
             671,749,000
               5,957,000
               1,958,000
              23,034,000
              10,897,000
               4,492,000
               4,211,000
               4,573,000
               2,177,000
               5,735,000
             463,405,000
               4,898,000
              11,357,000
               8,890,000
              10,815,000
               1,930,000
               1,593,000
              10,892,000
               8,504,000
              10,005,000
               5,691,000
               3,915,000
               2,555,000
               2,389,000
              16,332,000
              17,112,000
             638,267,000
               5,520,000
              13,944,000
  7,238,000
480,000,000
  7,632,000
 18,101,000
  6,302,000
671,141,000
  6,678,000
  6,848,000
 24,329,000
 12,247,000
  2,575,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE26
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

               Title of Class3                            Amount Authorized
        4.25% Notes due March 17, 2015              EUR             412,500,000   EUR
        5.38% Notes due April 15, 2015              USD               6,369,000   USD
        5.25% Notes due May 15, 2015                USD              15,954,000   USD
        5.30% Notes due May 15, 2015                USD              27,090,000   USD
        5.10% Notes due June 15, 2015               USD              14,930,000   USD
        5.05% Notes due June 15, 2015               USD              10,912,000   USD
        5.20% Notes due June 15, 2015               USD               8,322,000   USD
        5.30% Notes due August 15, 2015             USD              10,741,000   USD
        5.38% Notes due August 15, 2015             USD              15,892,000   USD
        5.25% Notes due September 15, 2015          USD              11,241,000   USD
        5.10% Notes due September 15, 2015          USD               4,898,000   USD
        5.50% Notes due November 15, 2015           USD               4,016,000   USD
        5.80% Notes due November 15, 2015           USD               7,456,000   USD
        5.75% Notes due December 15, 2015           USD               8,155,000   USD
        5.80% Notes due December 15, 2015           USD              12,621,000   USD
        5.40% Notes due January 30, 2016            USD             750,000,000   USD
        5.85% Notes due March 15, 2016              USD              14,372,000   USD
        5.80% Notes due March 15, 2016              USD              11,705,000   USD
        6.00% Notes due March 15, 2016              USD              69,046,000   USD
        5.88% Notes due April 15, 2016              USD               4,888,000   USD
        6.05% Notes due May 15, 2016                USD              14,943,000   USD
        6.15% Notes due May 15, 2016                USD              18,636,000   USD
        6.10% Notes due June 15, 2016               USD              15,478,000   USD
        6.10% Notes due June 15, 2016               USD              17,660,000   USD
        6.20% Notes due August 15, 2016             USD              37,135,000   USD
        6.13% Notes due August 15, 2016             USD              36,401,000   USD
        5.85% Notes due September 15, 2016          USD             500,000,000   USD
        6.05% Notes due September 15, 2016          USD              31,772,000   USD
        5.95% Notes due September 15, 2016          USD              11,219,000   USD
        4.65% Notes due September 19, 2016          EUR             474,000,000   EUR
        6.00% Notes due November 15, 2016           USD              29,155,000   USD
        5.95% Notes due November 15, 2016           USD              13,264,000   USD
        Floating Rate Notes due December 14, 2016   USD              34,452,000   USD
        5.80% Notes due December 15, 2016           USD              35,842,000   USD
        5.65% Notes due December 15, 2016           USD               8,701,000   USD
        5.70% Notes due December 15, 2016           USD               9,571,000   USD
        5.70% Notes due December 15, 2016           USD               9,817,000   USD
        5.50% Notes due December 20, 2016           GBP             367,400,000   GBP
        5.65% Notes due February 13, 2017           USD             750,000,000   USD
        5.85% Notes due February 15, 2017           USD               7,724,000   USD
        5.95% Notes due February 15, 2017           USD              11,074,000   USD
        5.85% Notes due February 15, 2017           USD               6,471,000   USD
        5.80% Notes due February 15, 2017           USD               7,792,000   USD
  Floating Rate Notes due March 15, 2017   USD   50,000,000   USD
5.75% Notes due March 15, 2017             USD    6,741,000   USD
5.75% Notes due March 15, 2017             USD   13,498,000   USD
5.70% Notes due March 15, 2017             USD    9,533,000   USD
5.65% Notes due March 15, 2017             USD    5,935,000   USD
5.75% Notes due March 15, 2017             USD   10,298,000   USD
5.75% Notes due May 15, 2017               USD    2,708,000   USD
5.80% Notes due May 15, 2017               USD    3,779,000   USD
5.80% Notes due May 15, 2017               USD    5,038,000   USD
6.00% Notes due June 15, 2017              USD   23,842,000   USD
6.00% Notes due June 15, 2017              USD    8,205,000   USD
Amount Outstanding
             412,500,000
               6,369,000
              15,954,000
              27,090,000
              14,930,000
              10,912,000
               8,322,000
              10,741,000
              15,892,000
11, 241,000
               4,898,000
               4,016,000
               7,456,000
               8,155,000
              12,621,000
             604,263,000
              14,372,000
              11,705,000
              69,046,000
               4,888,000
              14,943,000
              18,636,000
              15,478,000
              17,660,000
              37,135,000
              36,401,000
             391,533,000
              31,772,000
              11,219,000
             474,000,000
              29,155,000
              13,264,000
              34,452,000
              35,842,000
               8,701,000
               9,571,000
               9,817,000
             367,400,000
             548,087,000
               7,724,000
              11,074,000
               6,471,000
               7,792,000
              50,000,000
6, 741,000
13, 498,000
               9,533,000
               5,935,000
10, 298,000
               2,708,000
               3,779,000
               5,038,000
              23,842,000
               8,205,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE27
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

               Title of Class3                                            Amount Authorized
        6.10% Notes due June 15, 2017                               USD
        6.25% Notes due June 15, 2017                               USD
        6.25% Notes due August 15, 2017                             USD
        6.25% Notes due November 15, 2017                           USD
        6.25% Notes due November 15, 2017                           USD
        6.25% Notes due November 15, 2017                           USD
        6.40% Notes due November 15, 2017                           USD
        6.50% Notes due November 15, 2017                           USD
            10-Year Forward Rate Bias Notes due December 11, 2017   USD
        6.50% Notes due December 15, 2017                           USD
        7.50% Notes due December 15, 2017                           USD
        7.75% Notes due December 15, 2017                           USD
        7.80% Notes due December 15, 2017                           USD
        5.80% Senior Notes due October 1, 2036                      USD
       12.00% Subordinated Notes due December 18, 2018              USD
       12.00% Subordinated Notes due December 18, 2018              USD
        6.10% Junior Subordinated Notes due March 15, 2067          USD
        0.95% Notes due October 1, 2009                             USD
        0.90% Notes due November 7, 2010                                  JPY 20,000,000,000
        7.75% Notes due November 17, 2010                           USD
        4.25% Notes due September 22, 2011                          EUR
        1.42% Notes due October 4, 2011                             USD
        5.15% Notes due December 11, 2017                           USD
        6.00% Notes due April 1, 2036                               USD
        3.70% Notes due October 15, 2009                            USD
        6.25% Notes due August 15, 2021                             USD
        6.25% Notes due September 15, 2021                          USD
        6.15% Notes due September 15, 2021                          USD
        6.25% Notes due November 15, 2021                           USD
        6.10% Notes due November 15, 2021                           USD
        6.00% Notes due December 15, 2021                           USD
        5.85% Notes due December 15, 2021                           USD
        5.88% Notes due December 15, 2021                           USD
        5.90% Notes due December 15, 2021                           USD
        6.00% Notes due February 15, 2022                           USD
        6.05% Notes due February 15, 2022                           USD
        6.00% Notes due February 15, 2022                           USD
        5.95% Notes due February 15, 2022                           USD
        5.90% Notes due March 15, 2022                              USD
        5.85% Notes due March 15, 2022                              USD
        5.85% Notes due March 15, 2022                              USD
        5.85% Notes due March 15, 2022                              USD
        5.95% Notes due March 15, 2022                              USD
6.00%   Notes due May 15, 2022        USD
6.00%   Notes due May 15, 2022        USD
6.00%   Notes due May 15, 2022        USD
6.15%   Notes due June 15, 2022       USD
6.20%   Notes due June 15, 2022       USD
6.25%   Notes due June 15, 2022       USD
6.50%   Notes due June 15, 2022       USD
6.50%   Notes due August 15, 2022     USD
6.50%   Notes due August 15, 2022     USD
6.70%   Notes due November 15, 2022   USD
6.75%   Notes due November 15, 2022   USD
6.75%   Notes due December 15, 2022   USD
 Amount Authorized              Amount Outstanding
              6,648,000   USD                 6,648,000
             10,535,000   USD                10,535,000
              1,190,000   USD                 1,190,000
              8,958,000   USD                 8,958,000
             11,778,000   USD                11,778,000
              6,339,000   USD                 6,339,000
              3,404,000   USD                 3,404,000
              2,197,000   USD                 2,197,000
            500,000,000   USD               500,000,000
                556,000   USD                   556,000
             24,275,000   USD                24,275,000
             14,936,000   USD                14,936,000
              8,731,000   USD                 8,731,000
            500,000,000   USD               316,015,000
          1,117,448,000   USD             1,117,448,000
             31,559,000   USD                31,559,000
            750,000,000   USD               750,000,000
          1,000,000,000   USD             1,000,000,000
JPY 20,000,000,000        JPY            20,000,000,000
            199,844,675   USD               199,844,675
            750,000,000   EUR               750,000,000
            100,000,000   USD               100,000,000
            500,000,000   USD               500,000,000
            309,021,000   USD               309,021,000
              1,802,000   USD                 1,802,000
             44,964,000   USD                43,904,000
             41,435,000   USD                39,924,000
             28,075,000   USD                27,437,000
             36,469,000   USD                35,172,000
             66,669,000   USD                63,647,000
             61,507,000   USD                58,477,000
             15,339,000   USD                14,571,000
             19,034,000   USD                18,181,000
             19,762,000   USD                18,463,000
             49,872,000   USD                48,666,000
             25,428,000   USD                24,566,000
             37,898,000   USD                36,857,000
             12,918,000   USD                12,386,000
              8,664,000   USD                 8,389,000
             12,828,000   USD                12,187,000
             16,435,000   USD                15,269,000
             20,459,000   USD                19,510,000
             29,733,000   USD                28,018,000
14,227,000   USD   13,726,000
18,705,000   USD   18,355,000
11,932,000   USD   11,441,000
31,354,000   USD   30,302,000
 6,921,000   USD    6,819,000
 4,816,000   USD    4,611,000
16,043,000   USD   15,036,000
 1,487,000   USD    1,457,000
   397,000   USD      397,000
 2,130,000   USD    1,930,000
 2,619,000   USD    2,609,000
   676,000   USD      676,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE28
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   List of Exhibits

   Exhibit T3A.1                       -



                                                                                      34

   -----------------------------------------------------------------------------------------------------------------------------------------------------------------




   Exhibit T3A.2 -


   Exhibit T3B.1 -



   Exhibit T3B.2 -


   Exhibit T3C.1 -



   Exhibit T3C.2 -


   Exhibit T3D -

   Exhibit T3E.1 -



   Exhibit T3E.2 -

   Exhibit T3E.3 -

   Exhibit T3F -
Exhibit 25.1 -
nline, Inc.




09



                 Second Restated Certificate of Incorporation of CIT Group Inc.
                 (filed as Exhibit 3.1 to CIT Group Inc.'s Quarterly Report on


                                                          34

-------------------------------------------------------------------------------------------------------------------------------------------------



                 Form 10-Q for the quarter ended June 30, 2003 and incorporated
                 by reference herein).

                 Certificate of Formation of CIT Group Funding Company of
                 Delaware LLC, dated as of December 28, 2007 (filed herewith).

                 Amended and Restated By-laws of CIT Group Inc. (filed as Exhibit
                 99.3 to CIT Group Inc.'s Current Report on Form 8-K filed on
                 January 17, 2008 and incorporated by reference herein).

                 Limited Liability Company Agreement of CIT Group Funding Company
                 of Delaware LLC, dated as of December 31, 2007 (filed herewith).

                 Form of Indenture between CIT Group Funding Company of Delaware
                 LLC and The Bank of New York Mellon, as Trustee (filed
                 herewith).

                 Form of Indenture between CIT Group Inc. and The Bank of New
                 York Mellon, as Trustee (filed herewith).

                 Not applicable.

                 Offering Memorandum, Disclosure Statement and Solicitation of
                 Acceptances of a Prepackaged Plan of Reorganization (filed
                 herewith).

                 Ballot (filed herewith).

                 Letter of Transmittal and Ballot (filed herewith).

                 A cross reference sheet showing the location in the Indenture of
                 the provisions inserted therein pursuant to Section 310 through
318(a), inclusive, of the Trust Indenture Act (included as part
of Exhibit T3C herewith).

Form T-1s qualifying The Bank of New York Mellon as Trustee
under the Indentures to be qualified (filed herewith).
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE29
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   A. The Corporation.

   Underwriters
   ABN AMRO Incorporated                                     Common Stock
   540 W. Madison St.
   Chicago, IL 60661

   Banc of America Securities LLC                            Common Stock
   One Bryant Park                            7.63%
   New York, NY 10036                          2012
                                                               Equity Units
                                              6.10%
                                                              March 15, 2067
                                                Floating Rate Senior Notes due March 12,
                                               2010
                                              5.40%
                                                      Floating Rate Senior Notes due
                                                             February 13, 2012
                                              5.65%

                                                 The Senior Notes set forth in Exhibit 1
                                    hereto.

   Barclays Capital Inc.                                     Common Stock
   35th Floor                                 6.10%
   200 Park Avenue                                           March 15, 2067
   New York, NY 10166                           Floating Rate Senior Notes due March 12,
                                               2010

   Bear, Stearns & Co. Inc.                   6.10%
   Not applicable.                                           March 15, 2067
                                              5.40%
                                                      Floating Rate Senior Notes due
                                                             February 13, 2012
                                              5.65%

                                                 The Senior Notes set forth in Exhibit 1
                                    hereto.

   Blaylock & Company, Inc.                   6.10%
   780 3rd Ave., 44th Floor                                  March 15, 2067
   New York, NY 10017

   BMO Capital Markets Corp.                                 Common Stock
Three Times Square             5.40%
New York, NY 10036                     Floating Rate Senior Notes due
                                              February 13, 2012
                               5.65%

BNP Paribas Securities Corp.                   Common Stock
787 Seventh Avenue             7.63%
New York, NY 10019              2012
                                 Floating Rate Senior Notes due March 12,
                                2010
                               5.40%
                                       Floating Rate Senior Notes due
                                              February 13, 2012
                               5.65%

BNY Capital Markets, Inc.                     Common Stock
18th Floor                     5.40%
    Securities
             Common Stock



            Common Stock
    Senior Notes due November 30,

               Equity Units
     Junior Subordinated Notes due
             March 15, 2067
Floating Rate Senior Notes due March 12,

    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

 The Senior Notes set forth in Exhibit 1


             Common Stock
     Junior Subordinated Notes due
             March 15, 2067
Floating Rate Senior Notes due March 12,


    Junior Subordinated Notes due
            March 15, 2067
    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

 The Senior Notes set forth in Exhibit 1


    Junior Subordinated Notes due
            March 15, 2067


            Common Stock
    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

            Common Stock
    Senior Notes due November 30,

Floating Rate Senior Notes due March 12,

    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

            Common Stock
    Senior Notes due February 13, 2012
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE30
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Underwriters                         Securities
   One Wall Street                      Floating Rate Senior Notes due
   New York, NY 10005                   February 13, 2012
                                        5.65% Senior Notes due February 13, 2017

   Charles Schwab & Co., Inc.           The Senior Notes set forth in Exhibit 1
   101 Montgomery Street, Suite 200     hereto.
   San Francisco, CA 94104

   CIBC World Markets Corp.             Common Stock
   161 Bay St., Suite 700               5.40% Senior Notes due February 13, 2012
   Toronto ON M5J 2S8                   Floating Rate Senior Notes due
   Canada                               February 13, 2012
                                        5.65% Senior Notes due February 13, 2017

   Citigroup Global Markets Inc.        Common Stock
   388 Greenwich Street                 8.75% Non-Cumulative Preferred Stock,
   New York, NY 10013                   Series C, par value
                                        $0.01 per share
                                        7.625% Senior Notes due November 30,
                                        2012
                                        Equity Units
                                        6.10% Junior Subordinated Notes due
                                        March 15, 2067
                                        5.40% Senior Notes due February 13, 2012
                                        Floating Rate Senior Notes due
                                        February 13, 2012
                                        5.65% Senior Notes due February 13, 2017

                                        The Senior Notes set forth in Exhibit 1
                                        hereto.

   Credit Suisse Securities (USA) LLC   Common Stock
   11 Madison Avenue                    7.625% Senior Notes due November 30,
   New York, NY 10010                   2012
                                        Floating Rate Senior Notes due March 12,
                                        2010
                                        5.40% Senior Notes due February 13, 2012
                                        Floating Rate Senior Notes due
                                        February 13, 2012
                                        5.65% Senior Notes due February 13, 2017

   Daiwa Securities America Inc.        Common Stock
   Financial Square
32 Old Slip
New York, NY 10005-3538

Deutsche Bank Securities Inc.   Common Stock
60 Wall Street                  8.75% Non-Cumulative Preferred Stock,
New York, NY 10005              Series C, par value
                                $0.01 per share
                                5.40% Senior Notes due February 13, 2012
                                Floating Rate Senior Notes due
                                February 13, 2012
                                5.65% Senior Notes due February 13, 2017

Edward D. Jones & Co., LP       The Senior Notes set forth in Exhibit 1
12555 Manchester Road           hereto.
St. Louis, MO 63131

Fortis Securities LLC           Common Stock
3rd Floor
520 Madison Avenue
New York, NY 10022

Goldman, Sachs & Co.            Equity Units
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE31
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Underwriters
   85 Broad Street                             6.10%
   New York, NY 10004                                          March 15, 2067
                                                 Floating Rate Senior Notes due March 12,
                                                2010
                                               5.40%
                                                       Floating Rate Senior Notes due
                                                              February 13, 2012
                                               5.65%

   Greenwich Capital Markets, Inc.             8.75%
   (formerlyRBS Securities Inc.)                            Series C, par value
   600 Washington Boulevard          $          0.01
   Stamford, CT 06901                          5.40%
                                                       Floating Rate Senior Notes due
                                                              February 13, 2012
                                               5.65%

   HSBC Securities (USA) Inc.                                 Common Stock
   452 Fifth Avenue                            8.75%
   New York, NY 10018-2706                                    Series C, par value
                                     $          0.01
                                                 Floating Rate Senior Notes due March 12,
                                                2010
                                               5.40%
                                                       Floating Rate Senior Notes due
                                                              February 13, 2012
                                               5.65%

   Incapital LLC                                  The Senior Notes set forth in Exhibit 1
   200 S. Wacker Drive, Suite 3700   hereto.
   Chicago, IL 60606

   J.P. Morgan Securities Inc.                                Common Stock
   277 Park Avenue                             8.75%
   New York, NY 10172                                       Series C, par value
                                     $          0.01
                                               6.10%
                                                              March 15, 2067
                                               5.40%
                                                       Floating Rate Senior Notes due
                                                              February 13, 2012
                                               5.65%
Keefe, Bruyette & Woods, Inc.                               Common Stock
The Equitable Building
787 Seventh Avenue, 4th Floor
New York, NY 10019

LaSalle Financial Services, Inc.             5.40%
135 S. Lasalle St., Suite 2111                       Floating Rate Senior Notes due
Chicago, IL 60603-1000                                      February 13, 2012
                                             5.65%

Lehman Brothers Inc.                                        Common Stock
Not applicable.                              8.75%
                                                          Series C, par value
                                   $          0.01
                                             7.63%
                                              2012
                                                              Equity Units
                                                 Extendible Floating Rate Senior Notes
                                             6.10%
                                                            March 15, 2067

Merrill Lynch & Co., Inc.                        The Senior Notes set forth in Exhibit 1
4 World Financial Center #4        hereto.
New York, NY

Merrill Lynch, Pierce, Fenner &                             Common Stock
Smith
     Securities
     Junior Subordinated Notes due
             March 15, 2067
Floating Rate Senior Notes due March 12,

    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

    Non-Cumulative Preferred Stock,
           Series C, par value
    per share
    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

             Common Stock
     Non-Cumulative Preferred Stock,
           Series C, par value
     per share
Floating Rate Senior Notes due March 12,

    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

 The Senior Notes set forth in Exhibit 1



            Common Stock
    Non-Cumulative Preferred Stock,
           Series C, par value
    per share
    Junior Subordinated Notes due
            March 15, 2067
    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017
           Common Stock




   Senior Notes due February 13, 2012
   Floating Rate Senior Notes due
          February 13, 2012
   Senior Notes due February 13, 2017

           Common Stock
   Non-Cumulative Preferred Stock,
         Series C, par value
   per share
   Senior Notes due November 30,

             Equity Units
Extendible Floating Rate Senior Notes
   Junior Subordinated Notes due
           March 15, 2067

The Senior Notes set forth in Exhibit 1



           Common Stock
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE32
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Underwriters
   Incorporated                                  8.75%
   Four World Financial Center                                Series C, par value
   250 Vesey Street                    $          0.01
   New York, NY 10080                            7.63%
                                                  2012
                                                 6.10%
                                                                March 15, 2067
                                                   Floating Rate Senior Notes due March 12,
                                                  2010

   Mitsubishi UFJ Securities                                    Common Stock
   International plc                             8.75%
   4-1, Marunouchi 2-chome                                    Series C, par value
   Chiyoda-ku, Tokyo 100-6317          $          0.01
                                                 7.63%
                                                  2012

   Mizuho Securities USA Inc.                                   Common Stock
   1251 Avenue of The Americas, 33rd
   Floor
   New York, NY 10017

   Morgan Stanley & Co. Incorporated                            Common Stock
   1585 Broadway                                 8.75%
   New York, NY 10036                                         Series C, par value
                                       $          0.01
                                                                  Equity Units
                                                     Extendible Floating Rate Senior Notes
                                                 6.10%
                                                                March 15, 2067

                                                     The Senior Notes set forth in Exhibit 1
                                       hereto.

   National Australia Bank Limited               5.40%
   L 3 800 Bourke St.                                    Floating Rate Senior Notes due
   Melbourne, Australia                                         February 13, 2012
                                                 5.65%

   Raymond James & Associates, Inc.                  The Senior Notes set forth in Exhibit 1
   880 Carillon Parkway                hereto.
   Saint Petersburg, FL 33716
RBC Capital Markets Corporation                            Common Stock
One Liberty Plaza                           8.75%
165 Broadway                                               Series C, par value
New York, NY 10006-1404           $          0.01
                                            7.63%
                                             2012
                                              Floating Rate Senior Notes due March 12,
                                             2010
                                            5.40%
                                                    Floating Rate Senior Notes due
                                                           February 13, 2012
                                            5.65%

                                                The Senior Notes set forth in Exhibit I
                                  hereto.

Scotia Capital (USA) Inc.                                  Common Stock
Floor 24                                    5.40%
One Liberty Plaza                                   Floating Rate Senior Notes due
New York, NY 10006                                         February 13, 2012
                                            5.65%

SG Americas Securities, LLC                                Common Stock
6th Floor                                   8.75%
1221 Avenue of the Americas                              Series C, par value
New York, NY 10020                $          0.01
    Securities
    Non-Cumulative Preferred Stock,
          Series C, par value
    per share
    Senior Notes due November 30,

     Junior Subordinated Notes due
             March 15, 2067
Floating Rate Senior Notes due March 12,


            Common Stock
    Non-Cumulative Preferred Stock,
          Series C, par value
    per share
    Senior Notes due November 30,


            Common Stock




            Common Stock
    Non-Cumulative Preferred Stock,
          Series C, par value
    per share
              Equity Units
 Extendible Floating Rate Senior Notes
    Junior Subordinated Notes due
            March 15, 2067

 The Senior Notes set forth in Exhibit 1


    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

 The Senior Notes set forth in Exhibit 1
            Common Stock
    Non-Cumulative Preferred Stock,
          Series C, par value
    per share
    Senior Notes due November 30,

Floating Rate Senior Notes due March 12,

    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

  The Senior Notes set forth in Exhibit I


            Common Stock
    Senior Notes due February 13, 2012
    Floating Rate Senior Notes due
           February 13, 2012
    Senior Notes due February 13, 2017

            Common Stock
    Non-Cumulative Preferred Stock,
          Series C, par value
    per share
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE33
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Underwriters
   UBS Securities LLC                            6.10%
   677 Washington Boulevard                  March
   Stamford, CT 06901                            5.40%
                                                             Floating Rate Senior Notes due
                                                                    February 13, 2012
                                                  5.65%

                                                          The Senior Notes set forth in Exhibit I
                                             hereto.

   Wells Fargo Securities LLC (formerly                              Common Stock
   Wachovia Capital Markets, LLC)                 8.75%
   301 S. College Street                                           Series C, par value
   Charlotte, NC 28288                       $     0.01
                                                  6.10%
                                                                     March 15, 2067

   Wells Fargo Advisors (formerly Wachovia                The Senior Notes set forth in Exhibit I
   Securities)                               hereto.
   Wachovia Securities
   MO1100
   One North Jefferson
   St. Louis, MO 63103
Securities
Junior Subordinated Notes due
15, 2067
Senior Notes due February 13, 2012
  Floating Rate Senior Notes due
         February 13, 2012
Senior Notes due February 13, 2017

The Senior Notes set forth in Exhibit I


          Common Stock
Non-Cumulative Preferred Stock,
        Series C, par value
per share
Junior Subordinated Notes due
          March 15, 2067

The Senior Notes set forth in Exhibit I
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE34
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   B. Delaware Funding.

   Underwriters                              Securities
   BMO Capital Markets Corp.           5.60% Senior Notes due November 2
   Three Times Square
   New York, NY 10036

   CIBC World Markets Corp.            5.60% Senior Notes due November 2
   161 Bay St., Suite 700
   Toronto ON M5J 2S8

   Citigroup Global Markets Inc.       5.60% Senior Notes due November 2
   388 Greenwich Street
   New York, NY 10013

   Credit Suisse Securities (USA)      5.60% Senior Notes due November 2
   LLC
   11 Madison Avenue
   New York, NY 10010

   Morgan Stanley & Co. Incorporated   5.60% Senior Notes due November 2
   1585 Broadway
   New York, NY 10036

   RBC Dominion Securities Inc.        5.60% Senior Notes due November 2
   200 Bay St
   Toronto ON M5J 2W7
   Canada

   Scotia Capital (USA) Inc.           5.60% Senior Notes due November 2
   Floor 24
   One Liberty Plaza
   New York, NY 10006
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE35
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   MEMBER:
                 C.I.T. LEASING CORPORATION

   By:

   Name:         Eric S. Mandelbaum
   Title:        Senior Vice President & Secretary
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE36
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                          INDENTURE

               Dated as of October ___, 2009
                      Debt Securities




   -----------------------------------------------------------------


               Reconciliation and tie between
   Trust Indenture Act of 1939 (the "Trust Indenture Act")
                          and Indenture

   Trust Indenture                          Indenture Act
   Section                                  Section
   § 310(a)(1)                                          6.70
   (a)(2)                                               6.70
   (b)                                                  6.80
   § 311                                                6.40
   § 312(a)                                             7.10
   (b)                                                  7.20
   (c)                                                  7.20
   § 313
   (a)                                                      7.30
   (c)                                                      7.30
   (d)                                                      7.30
   § 314(a)                                                 7.40
   (c)(l)                                                   1.20
   (c)(2)                                                   1.20
   (e)                                      1.1, 1.2
   (f)                                                      1.20
   § 315(a)-(d)                                             3.30
   (b)                                                      6.20
   (c)                                      6.1(9)
   (d)                                      6.1(8)
   (e)                                                      5.15
   § 316(a)(last sentence)                                  1.10
   (a)(l)(A)                                                5.12
   (a)(1)(B)                                                5.13
   (b)                                                      5.80
   § 317(a)(1)                                              5.30
   (a)(2)                                                   5.40
(b)        10.30
§ 318(a)    1.80
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE37
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                    ARTICLE 12

                    SINKING FUNDS

   Section 12.1     Applicability of Article
   Section 12.2     Satisfaction of Sinking Fund Payments with Securities
   Section 12.3     Redemption of Securities for Sinking Fund

                    ARTICLE 13

                    REPAYMENT AT THE OPTION OF HOLDERS

   Section 13.1     Applicability of Article

                    ARTICLE 14

                    SECURITIES IN FOREIGN CURRENCIES

   Section 14.1     Applicability of Article

                    ARTICLE 15

                    MEETINGS OF HOLDERS OF SECURITIES

   Section 15.1     Purposes for Which Meetings May Be Called
   Section 15.2     Call, Notice and Place of Meetings
   Section 15.3     Persons Entitled to Vote at Meetings
   Section 15.4     Quorum; Action
   Section 15.5     Determination of Voting Rights; Conduct and Adjournment of
                    Meetings
   Section 15.6     Counting Votes and Recording Action of Meetings
   Section 15.7     Preservation of Rights of Trustee and Holders
74
74
75




75




76




76
76
77
77

78
79
79
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE38
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Officers' Certificate                    7
   Opinion of Counsel                       7
   Original Issue Discount Security         7
   Outstanding                              7
   Paying Agent                             9
   Person                                   9
   Place of Payment                         9
   Predecessor Security                     9
   Preferred Stock                          9
   Redemption Date                          9
   Redemption Price                         9
   Registered Security                      9
   Regular Record Date                      9
   Required Currency                  10   17
   Responsible Officer                     10
   Securities                         1    10
   Security                                10
   Security Register                       10
   Security Registrar                      10
   Special Record Date                     10
   Stated Maturity                         10
   Subsidiary                              10
   Trust Indenture Act                     11
   Trustee                            1    11
   U.S. Depository                         11
   United States                           11
   Vice President                          11
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE39
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

               CIT Outstanding Notes




                                                    Outstanding Principal
              Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

        6.88% Notes due November 1, 2009            USD 300,000,000         12560PCL3
        4.13% Notes due November 3, 2009            USD 500,000,000         125581AM0
        3.85% Notes due November 15, 2009           USD 1,959,000           12557WJP7
        4.63% Notes due November 15, 2009           USD 1,349,000           12557WLV1
        5.05% Notes due November 15, 2009           USD 2,800,000           12557WPC9
        5.00% Notes due November 15, 2009           USD 4,217,000           12557WB26
        5.00% Notes due November 15, 2009           USD 5,083,000           12557WB59
        5.00% Notes due November 15, 2009           USD 6,146,000           12557WB83
        3.95% Notes due December 15, 2009           USD 3,314,000           12557WJV4
        4.80% Notes due December 15, 2009           USD 2,073,000           12557WMB4
        4.70% Notes due December 15, 2009           USD 285,000             12557WPL9
        4.85% Notes due December 15, 2009           USD 582,000             12557WPU9
        6.25% Notes due December 15, 2009           USD 63,703,000          12557WSJ1
        6.50% Notes due December 15, 2009           USD 40,994,000          12557WSM4
        Floating Rate Notes due December 21, 2009   USD 113,000,000         12560PDL2
        4.25% Notes due February 1, 2010            USD 750,000,000         125581AQ1
        4.05% Notes due February 15, 2010           USD 4,172,000           12557WKE0
        5.15% Notes due February 15, 2010           USD 1,918,000           12557WQC8
        5.05% Notes due February 15, 2010           USD 1,497,000           12557WQL8
        6.50% Notes due February 15, 2010           USD 58,219,000          12557WSX0
        6.25% Notes due February 15, 2010           USD 44,138,000          12557WTE1
           Floating Rate Notes due March 1, 2010    CHF 100,000,000         CH0029382659
        2.75% Notes due March 1, 2010               CHF 50,000,000          CH0029407191
          Floating Rate Notes due March 12, 2010    USD 1,000,000,000       125581CX4
        4.30% Notes due March 15, 2010              USD 1,822,000           12557WKL4
        5.05% Notes due March 15, 2010              USD 4,241,000           12557WMH1
        5.15% Notes due March 15, 2010              USD 6,375,000           12557WMP3
        4.90% Notes due March 15, 2010              USD 297,000             12557WQU8
        4.85% Notes due March 15, 2010              USD 784,000             12557WRC7
        6.50% Notes due March 15, 2010              USD 33,677,000          12557WTL5
          Floating Rate Notes due March 22, 2010    USD 150,000,000         12560PFN6
        4.45% Notes due May 15, 2010                USD 3,980,000           12557WKS9
5.25%   Notes due May 15, 2010         USD 2,414,000     12557WMV0
5.38%   Notes due June 15, 2010        GBP 300,000,000   XS0276327342
4.30%   Notes due June 15, 2010        USD 1,013,000     12557WKX8
4.35%   Notes due June 15, 2010        USD 1,419,000     12557WLE9
5.30%   Notes due June 15, 2010        USD 2,622,000     12557WNB3
4.60%   Notes due August 15, 2010      USD 1,131,000     12557WLL3
5.45%   Notes due August 15, 2010      USD 11,920,000    12557WNH0
5.50%   Notes due August 15, 2010      USD 1,511,000     12557WA92
4.25%   Notes due September 15, 2010   USD 295,000       12557WLS8
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            900                         0.41
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
$   850   1.22
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE40
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                     Outstanding Principal
              Title of Old Notes to be Tendered      Amount                  CUSIP/ISIN

        5.25% Notes due September 15, 2010           USD 11,403,000          12557WNR8
        5.20% Notes due November 3, 2010             USD 500,000,000         125577AS5
         Floating Rate Notes due November 3, 2010    USD 474,000,000         125577AT3
        5.05% Notes due November 15, 2010            USD 9,054,000           12557WLY5
        5.25% Notes due November 15, 2010            USD 6,349,000           12557WNZ0
        5.25% Notes due November 15, 2010            USD 12,292,000          12557WC33
        5.25% Notes due November 15, 2010            USD 1,686,000           12557WC74
        4.75% Notes due December 15, 2010            USD 750,000,000         12560PDB4
        5.00% Notes due December 15, 2010            USD 5,842,000           12557WME8
        5.05% Notes due December 15, 2010            USD 5,926,000           12557WPH8
        4.90% Notes due December 15, 2010            USD 3,188,000           12557WPR6
        5.25% Notes due December 15, 2010            USD 807,000             12557WSE2
        6.50% Notes due December 15, 2010            USD 12,177,000          12557WSR3
        6.50% Notes due January 15, 2011             USD 17,752,000          12557WSV4
        4.72% Notes due February 10, 2011            CAD 400,000,000         125581AU2
        5.15% Notes due February 15, 2011            USD 2,158,000           12557WPZ8
        5.15% Notes due February 15, 2011            USD 1,458,000           12557WQH7
        6.60% Notes due February 15, 2011            USD 25,229,000          12557WTB7
         Floating Rate Notes due February 28, 2011   GBP 70,000,000          XS0245933121
        5.05% Notes due March 15, 2011               USD 1,560,000           12557WML2
        5.00% Notes due March 15, 2011               USD 1,001,000           12557WQR5
        4.90% Notes due March 15, 2011               USD 806,000             12557WQZ7
        5.00% Notes due March 15, 2011               USD 1,589,000           12557WRH6
        6.75% Notes due March 15, 2011               USD 7,604,000           12557WTJ0
        6.50% Notes due March 15, 2011               USD 6,187,000           12557WTQ4
        5.15% Notes due April 15, 2011               USD 957,000             12557WMS7
           Floating Rate Notes due April 27, 2011    USD 280,225,000         125581BA5
        5.60% Notes due April 27, 2011               USD 750,000,000         125581AZ1
        5.40% Notes due May 15, 2011                 USD 1,283,000           12557WMY4
        5.35% Notes due June 15, 2011                USD 558,000             12557WNE7
            Floating Rate Notes due July 28, 2011    USD 669,500,000         125581BE7
        5.80% Notes due July 28, 2011                USD 550,000,000         125581BF4
        5.35% Notes due August 15, 2011              USD 2,254,000           12557WNM9
        5.20% Notes due September 15, 2011           USD 2,685,000           12557WNV9
        Floating Rate Notes due September 21, 2011   GBP 40,000,000          XS0268935698
4.25%   Notes due September 22, 2011   EUR 750,000,000   XS0201605192
5.20%   Notes due November 15, 2011    USD 7,392,000     12557WPD7
5.25%   Notes due November 15, 2011    USD 4,427,000     12557WB34
5.25%   Notes due November 15, 2011    USD 5,175,000     12557WB67
5.25%   Notes due November 15, 2011    USD 4,944,000     12557WB91
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            850                         1.22
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$   800   2.04
$   800   2.04
$   800   2.04
$   800   2.04
$   800   2.04
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE41
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                     Outstanding Principal
             Title of Old Notes to be Tendered       Amount                  CUSIP/ISIN

        Floating Rate Notes due November 30, 2011    EUR 500,000,000         XS0275670965
        4.85% Notes due December 15, 2011            USD 482,000             12557WPM7
        5.00% Notes due December 15, 2011            USD 1,685,000           12557WPV7
        5.40% Notes due February 13, 2012            USD 479,996,000         125581CT3
         Floating Rate Notes due February 13, 2012   USD 654,250,000         125581CU0
        5.25% Notes due February 15, 2012            USD 2,937,000           12557WQD6
        5.15% Notes due February 15, 2012            USD 1,532,000           12557WQM6
        7.25% Notes due February 15, 2012            USD 30,577,000          12557WSY8
        7.00% Notes due February 15, 2012            USD 17,676,000          12557WTF8
        5.00% Notes due March 15, 2012               USD 482,000             12557WQV6
        5.00% Notes due March 15, 2012               USD 1,059,000           12557WRD5
        7.25% Notes due March 15, 2012               USD 13,609,000          12557WTM3
        7.75% Notes due April 2, 2012                USD 259,646,000         125581AB4
        5.75% Notes due August 15, 2012              USD 466,000             12557WA68
        3.80% Notes due November 14, 2012            EUR 450,000,000         XS0234935434
        5.50% Notes due November 15, 2012            USD 2,711,000           12557WC41
        5.50% Notes due November 15, 2012            USD 1,381,000           12557WC82
        7.63% Notes due November 30, 2012            USD 1,277,653,000       125577AZ9
        5.50% Notes due December 15, 2012            USD 495,000             12557WSF9
        7.00% Notes due December 15, 2012            USD 36,343,000          12557WSK8
        7.25% Notes due December 15, 2012            USD 19,425,000          12557WSN2
        7.30% Notes due December 15, 2012            USD 11,775,000          12557WSS1
        Floating Rate Notes due December 21, 2012    USD 290,705,000         12560PEP2
        6.15% Notes due January 15, 2013             USD 29,038,000          12557WAZ4
        6.25% Notes due January 15, 2013             USD 62,461,000          12557WBC4
        6.15% Notes due January 15, 2013             USD 52,560,000          12557WBF7
        6.25% Notes due January 15, 2013             USD 53,967,000          12557WBJ9
        7.50% Notes due January 15, 2013             USD 27,292,000          12557WSW2
        6.25% Notes due February 15, 2013            USD 22,781,000          12557WBM2
        6.20% Notes due February 15, 2013            USD 24,387,000          12557WBQ3
        6.00% Notes due February 15, 2013            USD 22,368,000          12557WBT7
        7.60% Notes due February 15, 2013            USD 23,615,000          12557WTC5
        6.15% Notes due February 15, 2013            USD 23,318,000          12557WBW0
        5.40% Notes due March 7, 2013                USD 483,516,000         125581AX6
        7.75% Notes due March 15, 2013               USD 18,242,000          12557WTK7
7.90%   Notes due March 15, 2013   USD 17,591,000   12557WTN1
7.25%   Notes due March 15, 2013   USD 5,350,000    12557WTR2
6.00%   Notes due March 15, 2013   USD 26,178,000   12557WBZ3
6.00%   Notes due March 15, 2013   USD 27,547,000   12557WCC3
6.10%   Notes due March 15, 2013   USD 27,499,000   12557WCF6
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            800                         2.04
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE42
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                   Outstanding Principal
              Title of Old Notes to be Tendered    Amount                  CUSIP/ISIN

        6.25% Notes due March 15, 2013             USD 26,121,000          12557WCJ8
        6.15% Notes due April 15, 2013             USD 24,593,000          12557WCM1
        6.15% Notes due April 15, 2013             USD 28,983,000          12557WCQ2
        6.05% Notes due April 15, 2013             USD 19,386,000          12557WCT6
        6.05% Notes due May 15, 2013               USD 44,494,000          12557WCW9
        4.95% Notes due May 15, 2013               USD 9,133,000           12557WCZ2
        4.95% Notes due May 15, 2013               USD 11,492,000          12557WDC2
        4.88% Notes due June 15, 2013              USD 6,237,000           12557WDF5
        4.85% Notes due June 15, 2013              USD 7,956,000           12557WDJ7
        4.60% Notes due June 15, 2013              USD 9,421,000           12557WDM0
        4.45% Notes due June 15, 2013              USD 5,051,000           12557WDQ1
           Floating Rate Notes due June 20, 2013   EUR 500,000,000         XS0258343564
        5.05% Notes due July 15, 2013              USD 5,228,000           12557WEF4
        4.65% Notes due July 15, 2013              USD 9,267,000           12557WDT5
        4.75% Notes due July 15, 2013              USD 2,318,000           12557WDW8
        5.00% Notes due July 15, 2013              USD 15,182,000          12557WDZ1
        4.75% Notes due July 15, 2013              USD 5,779,000           12557WEC1
        5.30% Notes due August 15, 2013            USD 7,479,000           12557WEJ6
        5.50% Notes due August 15, 2013            USD 2,903,000           12557WEM9
        5.50% Notes due August 15, 2013            USD 6,810,000           12557WEQ0
        5.40% Notes due September 15, 2013         USD 2,445,000           12557WET4
        5.50% Notes due September 15, 2013         USD 4,171,000           12557WEW7
        5.25% Notes due September 15, 2013         USD 4,374,000           12557WEZ0
        5.20% Notes due September 15, 2013         USD 4,378,000           12557WFC0
        5.20% Notes due October 15, 2013           USD 5,497,000           12557WFF3
        5.20% Notes due October 15, 2013           USD 8,130,000           12557WFJ5
        5.25% Notes due October 15, 2013           USD 3,359,000           12557WFM8
        5.30% Notes due November 15, 2013          USD 3,146,000           12557WFQ9
        5.10% Notes due November 15, 2013          USD 7,480,000           12557WFT3
        5.40% Notes due December 15, 2013          USD 5,783,000           12557WFW6
        5.20% Notes due December 15, 2013          USD 7,241,000           12557WFZ9
        5.10% Notes due January 15, 2014           USD 2,897,000           12557WGC9
        4.85% Notes due January 15, 2014           USD 1,333,000           12557WGF2
        5.00% Notes due February 13, 2014          USD 671,749,000         125581AH1
        5.00% Notes due February 15, 2014          USD 5,957,000           12557WGJ4
4.90%   Notes due February 15, 2014   USD 1,958,000    12557WGM7
7.85%   Notes due February 15, 2014   USD 23,034,000   12557WSZ5
7.65%   Notes due February 15, 2014   USD 10,897,000   12557WTG6
4.80%   Notes due March 15, 2014      USD 4,492,000    12557WGQ8
4.60%   Notes due March 15, 2014      USD 4,211,000    12557WGT2
7.85%   Notes due March 15, 2014      USD 4,573,000    12557WTS0
4.80%   Notes due April 15, 2014      USD 2,177,000    12557WGW5
5.10%   Notes due April 15, 2014      USD 5,735,000    12557WGZ8
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE43
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                  Outstanding Principal
              Title of Old Notes to be Tendered   Amount                  CUSIP/ISIN

        5.00%   Notes due May 13, 2014            EUR 463,405,000         XS0192461837
        5.25%   Notes due May 15, 2014            USD 4,898,000           12557WHC8
        5.80%   Notes due May 15, 2014            USD 11,357,000          12557WHF1
        5.70%   Notes due June 15, 2014           USD 8,890,000           12557WHJ3
        5.75%   Notes due June 15, 2014           USD 10,815,000          12557WHM6
        5.75%   Notes due June 15, 2014           USD 1,930,000           12557WRU7
        5.85%   Notes due June 15, 2014           USD 1,593,000           12557WRX1
        6.00%   Notes due June 15, 2014           USD 10,892,000          12557WSA0
        5.65%   Notes due July 15, 2014           USD 8,504,000           12557WHQ7
        5.30%   Notes due July 15, 2014           USD 10,005,000          12557WHT1
        5.20%   Notes due August 15, 2014         USD 5,691,000           12557WHW4
        5.30%   Notes due August 15, 2014         USD 3,915,000           12557WHZ7
        6.00%   Notes due August 15, 2014         USD 2,555,000           12557WA27
        6.00%   Notes due August 15, 2014         USD 2,389,000           12557WA76
        5.25%   Notes due September 15, 2014      USD 16,332,000          12557WJC6
        5.05%   Notes due September 15, 2014      USD 17,112,000          12557WJF9
        5.13%   Notes due September 30, 2014      USD 638,267,000         125581AK4
        4.90%   Notes due October 15, 2014        USD 5,520,000           12557WJJ1
        5.10%   Notes due October 15, 2014        USD 13,944,000          12557WJM4
        5.05%   Notes due November 15, 2014       USD 7,238,000           12557WJQ5
        5.50%   Notes due December 1, 2014        GBP 480,000,000         XS0207079764
        5.13%   Notes due December 15, 2014       USD 7,632,000           12557WJT9
        5.10%   Notes due December 15, 2014       USD 18,101,000          12557WJW2
        5.05%   Notes due January 15, 2015        USD 6,302,000           12557WJZ5
        5.00%   Notes due February 1, 2015        USD 671,141,000         125581AR9
        4.95%   Notes due February 15, 2015       USD 6,678,000           12557WKC4
        4.90%   Notes due February 15, 2015       USD 6,848,000           12557WKF7
        7.90%   Notes due February 15, 2015       USD 24,329,000          12557WTD3
        5.10%   Notes due March 15, 2015          USD 12,247,000          12557WKJ9
        5.05%   Notes due March 15, 2015          USD 2,575,000           12557WKM2
        4.25%   Notes due March 17, 2015(3)       EUR 412,500,000         XS0215269670
        5.38%   Notes due April 15, 2015          USD 6,369,000           12557WKQ3
        5.25%   Notes due May 15, 2015            USD 15,954,000          12557WKT7
        5.30%   Notes due May 15, 2015            USD 27,090,000          12557WKW0
        5.10%   Notes due June 15, 2015           USD 14,930,000          12557WKZ3
5.05%   Notes due June 15, 2015        USD 10,912,000   12557WLA7
5.20%   Notes due June 15, 2015        USD 8,322,000    12557WLF6
5.30%   Notes due August 15, 2015      USD 10,741,000   12557WLJ8
5.38%   Notes due August 15, 2015      USD 15,892,000   12557WLM1
5.25%   Notes due September 15, 2015   USD 11,241,000   12557WLQ2
5.10%   Notes due September 15, 2015   USD 4,898,000    12557WLT6
5.50%   Notes due November 15, 2015    USD 4,016,000    12557WLW9
5.80%   Notes due November 15, 2015    USD 7,456,000    12557WLZ2
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE44
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                    Outstanding Principal
              Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

        5.75% Notes due December 15, 2015           USD 8,155,000           12557WMC2
        5.80% Notes due December 15, 2015           USD 12,621,000          12557WMF5
        5.40% Notes due January 30, 2016            USD 604,263,000         125581AW8
        5.85% Notes due March 15, 2016              USD 14,372,000          12557WMJ7
        5.80% Notes due March 15, 2016              USD 11,705,000          12557WMM0
        6.00% Notes due March 15, 2016              USD 69,046,000          12557WMQ1
        5.88% Notes due April 15, 2016              USD 4,888,000           12557WMT5
        6.05% Notes due May 15, 2016                USD 14,943,000          12557WMW8
        6.15% Notes due May 15, 2016                USD 18,636,000          12557WMZ1
        6.10% Notes due June 15, 2016               USD 15,478,000          12557WNC1
        6.10% Notes due June 15, 2016               USD 17,660,000          12557WNF4
        6.20% Notes due August 15, 2016             USD 37,135,000          12557WNJ6
        6.13% Notes due August 15, 2016             USD 36,401,000          12557WNN7
        5.85% Notes due September 15, 2016          USD 391,533,000         125581CS5
        6.05% Notes due September 15, 2016          USD 31,772,000          12557WNS6
        5.95% Notes due September 15, 2016          USD 11,219,000          12557WNW7
        4.65% Notes due September 19, 2016          EUR 474,000,000         XS0268133799
        6.00% Notes due November 15, 2016           USD 29,155,000          12557WPA3
        5.95% Notes due November 15, 2016           USD 13,264,000          12557WPE5
        Floating Rate Notes due December 14, 2016   USD 34,452,000          12560PDK4
        5.80% Notes due December 15, 2016           USD 35,842,000          12557WPJ4
        5.65% Notes due December 15, 2016           USD 8,701,000           12557WPN5
        5.70% Notes due December 15, 2016           USD 9,571,000           12557WPS4
        5.70% Notes due December 15, 2016           USD 9,817,000           12557WPW5
        5.50% Notes due December 20, 2016           GBP 367,400,000         XS0278525992
        5.65% Notes due February 13, 2017           USD 548,087,000         125577AY2
        5.85% Notes due February 15, 2017           USD 7,724,000           12557WQA2
        5.95% Notes due February 15, 2017           USD 11,074,000          12557WQE4
        5.85% Notes due February 15, 2017           USD 6,471,000           12557WQJ3
        5.80% Notes due February 15, 2017           USD 7,792,000           12557WQN4
          Floating Rate Notes due March 15, 2017    USD 50,000,000          12560PDR9
        5.75% Notes due March 15, 2017              USD 6,741,000           12557WQS3
        5.75% Notes due March 15, 2017              USD 13,498,000          12557WQW4
        5.70% Notes due March 15, 2017              USD 9,533,000           12557WRA1
        5.65% Notes due March 15, 2017              USD 5,935,000           12557WRE3
5.75%   Notes due March 15, 2017   USD 10,298,000   12557WRJ2
5.75%   Notes due May 15, 2017     USD 2,708,000    12557WRL7
5.80%   Notes due May 15, 2017     USD 3,779,000    12557WRN3
5.80%   Notes due May 15, 2017     USD 5,038,000    12557WRQ6
6.00%   Notes due June 15, 2017    USD 23,842,000   12557WRS2
6.00%   Notes due June 15, 2017    USD 8,205,000    12557WRV5
6.10%   Notes due June 15, 2017    USD 6,648,000    12557WRY9
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred
of New Notes                       Stock
to be Issued                       to be Issued(1)

$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$                            700                         3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
$   700   3.26
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE45
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                               Outstanding Principal
                       Title of Old Notes to be Tendered       Amount

             6.25%   Notes due June 15, 2017                   USD 10,535,000
             6.25%   Notes due August 15, 2017                 USD 1,190,000
             6.25%   Notes due November 15, 2017               USD 8,958,000
             6.25%   Notes due November 15, 2017               USD 11,778,000
             6.25%   Notes due November 15, 2017               USD 6,339,000
             6.40%   Notes due November 15, 2017               USD 3,404,000
             6.50%   Notes due November 15, 2017               USD 2,197,000
                      10-Year Forward Rate Bias Notes due
                              December 11, 2017                USD 500,000,000
             6.50%   Notes due December 15, 2017               USD 556,000
             7.50%   Notes due December 15, 2017               USD 24,275,000
             7.75%   Notes due December 15, 2017               USD 14,936,000
             7.80%   Notes due December 15, 2017               USD 8,731,000
             5.80%   Senior Notes due October 1, 2036          USD 316,015,000
            12.00%   Subordinated Notes due
                              December 18, 2018                USD 1,117,448,000
            12.00%   Subordinated Notes due
                              December 18, 2018                USD 31,559,000
             6.10%   Junior Subordinated Notes due March 15,
              2067                                             USD 750,000,000
             Consideration per US$1,000
                                                Principal Amount of
             Old Notes Tendered
                                                Number of
             Principal                          Shares of
             Amount                             New Preferred
             of New Notes                       Stock
CUSIP/ISIN   to be Issued                       to be Issued(1)

12557WSB8    $                            700                         3.26
12557WA35    $                            700                         3.26
12557WB42    $                            700                         3.26
12557WB75    $                            700                         3.26
12557WC25    $                            700                         3.26
12557WC58    $                            700                         3.26
12557WC90    $                            700                         3.26

N/A          $                            700                         3.26
12557WSG7    $                            700                         3.26
12557WSL6    $                            700                         3.26
12557WSP7    $                            700                         3.26
12557WST9    $                            700                         3.26
12560PFP1    $                            700                         3.26

125581FS2    $0                                                       4.07

U17186AF1    $0                                                       4.07

125577AX4    $0                                                       2.04
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE46
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                Delaware Funding Outstanding Notes




                                                     Outstanding Principal
   Title         of Old Notes to be Tendered         Amount                  CUSIP/ISIN

           4.65% Notes due July 1, 2010              USD 1,000,000,000       125568AA3
           5.60% Notes due November 2, 2011          USD 487,000,000         125568AE5
           5.20% Notes due June 1, 2015              USD 657,408,000         125568AC9
                  Consideration per
                  US$1,000 Principal
                  Amount of
                  Old Notes Tendered
                  Number of
Principal         Shares of
Amount            New Preferred
of New Notes      Stock
to be Issued      to be Issued(1)

$         1,000                        0
$         1,000                        0
$         1,000                        0
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE47
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                          INDENTURE

               Dated as of October ___, 2009
                      Debt Securities




   -----------------------------------------------------------------


               Reconciliation and tie between
   Trust Indenture Act of 1939 (the "Trust Indenture Act")
                          and Indenture

   Trust Indenture                          Indenture Act
   Section                                  Section
   § 310(a)(1)                                          6.70
   (a)(2)                                               6.70
   (b)                                                  6.80
   § 311                                                6.40
   § 312(a)                                             7.10
   (b)                                                  7.20
   (c)                                                  7.20
   § 313
   (a)                                                      7.30
   (c)                                                      7.30
   (d)                                                      7.30
   § 314(a)                                                 7.40
   (c)(l)                                                   1.20
   (c)(2)                                                   1.20
   (e)                                      1.1, 1.2
   (f)                                                      1.20
   § 315(a)-(d)                                             3.30
   (b)                                                      6.20
   (c)                                      6.1(9)
   (d)                                      6.1(8)
   (e)                                                      5.15
   § 316(a)(last sentence)                                  1.10
   (a)(l)(A)                                                5.12
   (a)(1)(B)                                                5.13
   (b)                                                      5.80
   § 317(a)(1)                                              5.30
   (a)(2)                                                   5.40
(b)        10.30
§ 318(a)    1.80
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE48
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                    ARTICLE 12

                    SINKING FUNDS

   Section 12.1     Applicability of Article
   Section 12.2     Satisfaction of Sinking Fund Payments with Securities
   Section 12.3     Redemption of Securities for Sinking Fund

                    ARTICLE 13

                    REPAYMENT AT THE OPTION OF HOLDERS

   Section 13.1     Applicability of Article

                    ARTICLE 14

                    SECURITIES IN FOREIGN CURRENCIES

   Section 14.1     Applicability of Article

                    ARTICLE 15

                    MEETINGS OF HOLDERS OF SECURITIES

   Section 15.1     Purposes for Which Meetings May Be Called
   Section 15.2     Call, Notice and Place of Meetings
   Section 15.3     Persons Entitled to Vote at Meetings
   Section 15.4     Quorum; Action
   Section 15.5     Determination of Voting Rights; Conduct and Adjournment of
                    Meetings
   Section 15.6     Counting Votes and Recording Action of Meetings
   Section 15.7     Preservation of Rights of Trustee and Holders
74
74
75




75




76




76
76
77
77

78
79
79
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE49
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Officers' Certificate                    7
   Opinion of Counsel                       7
   Original Issue Discount Security         7
   Outstanding                              7
   Paying Agent                             9
   Person                                   9
   Place of Payment                         9
   Predecessor Security                     9
   Preferred Stock                          9
   Redemption Date                          9
   Redemption Price                         9
   Registered Security                      9
   Regular Record Date                      9
   Required Currency                  10   17
   Responsible Officer                     10
   Securities                         1    10
   Security                                10
   Security Register                       10
   Security Registrar                      10
   Special Record Date                     10
   Stated Maturity                         10
   Subsidiary                              10
   Trust Indenture Act                     11
   Trustee                            1    11
   U.S. Depository                         11
   United States                           11
   Vice President                          11
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE50
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                    CIT Outstanding Notes




                                                    Outstanding Principal
             Title of Old Notes to be Tendered      Amount                  CUSIP/ISIN

        6.88% Notes due November 1, 2009            USD 300,000,000         12560PCL3
        4.13% Notes due November 3, 2009            USD 500,000,000         125581AM0
        3.85% Notes due November 15, 2009           USD 1,959,000           12557WJP7
        4.63% Notes due November 15, 2009           USD 1,349,000           12557WLV1
        5.05% Notes due November 15, 2009           USD 2,800,000           12557WPC9
        5.00% Notes due November 15, 2009           USD 4,217,000           12557WB26
        5.00% Notes due November 15, 2009           USD 5,083,000           12557WB59
        5.00% Notes due November 15, 2009           USD 6,146,000           12557WB83
        3.95% Notes due December 15, 2009           USD 3,314,000           12557WJV4
        4.80% Notes due December 15, 2009           USD 2,073,000           12557WMB4
        4.70% Notes due December 15, 2009           USD 285,000             12557WPL9
        4.85% Notes due December 15, 2009           USD 582,000             12557WPU9
        6.25% Notes due December 15, 2009           USD 63,703,000          12557WSJ1
        6.50% Notes due December 15, 2009           USD 40,994,000          12557WSM4
        Floating Rate Notes due December 21, 2009   USD 113,000,000         12560PDL2
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred                Plan of
of New Notes                       Stock                        Reorganization
to be Issued                       to be Issued(1)              Class

$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
$                            900                         0.41   Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE51
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                 Outstanding Principal
            Title of Old Notes to be Tendered    Amount                  CUSIP/ISIN

        4.25% Notes due
                    February 1, 2010             USD 750,000,000         125581AQ1
        4.05% Notes due February 15, 2010        USD 4,172,000           12557WKE0
        5.15% Notes due February 15, 2010        USD 1,918,000           12557WQC8
        5.05% Notes due February 15, 2010        USD 1,497,000           12557WQL8
        6.50% Notes due February 15, 2010        USD 58,219,000          12557WSX0
        6.25% Notes due February 15, 2010        USD 44,138,000          12557WTE1
         Floating Rate Notes due March 1, 2010   CHF 100,000,000         CH0029382659
        2.75% Notes due March 1, 2010            CHF 50,000,000          CH0029407191
        Floating Rate Notes due March 12, 2010   USD 1,000,000,000       125581CX4
        4.30% Notes due March 15, 2010           USD 1,822,000           12557WKL4
        5.05% Notes due March 15, 2010           USD 4,241,000           12557WMH1
        5.15% Notes due March 15, 2010           USD 6,375,000           12557WMP3
        4.90% Notes due March 15, 2010           USD 297,000             12557WQU8
        4.85% Notes due March 15, 2010           USD 784,000             12557WRC7
        6.50% Notes due March 15, 2010           USD 33,677,000          12557WTL5
        Floating Rate Notes due March 22, 2010   USD 150,000,000         12560PFN6
        4.45% Notes due May 15, 2010             USD 3,980,000           12557WKS9
        5.25% Notes due May 15, 2010             USD 2,414,000           12557WMV0
        5.38% Notes due June 15, 2010            GBP 300,000,000         XS0276327342
        4.30% Notes due June 15, 2010            USD 1,013,000           12557WKX8
        4.35% Notes due June 15, 2010            USD 1,419,000           12557WLE9
        5.30% Notes due June 15, 2010            USD 2,622,000           12557WNB3
        4.60% Notes due August 15, 2010          USD 1,131,000           12557WLL3
        5.45% Notes due
                    August 15, 2010              USD 11,920,000          12557WNH0
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred                Plan of
of New Notes                       Stock                        Reorganization
to be Issued                       to be Issued(1)              Class


$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7

$                            850                         1.22 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE52
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                       Outstanding Principal
              Title of Old Notes to be Tendered        Amount                  CUSIP/ISIN

        5.50% Notes due
                       August 15, 2010                 USD 1,511,000           12557WA92
        4.25% Notes due September 15, 2010             USD 295,000             12557WLS8
        5.25% Notes due September 15, 2010             USD 11,403,000          12557WNR8
        5.20% Notes due November 3, 2010               USD 500,000,000         125577AS5
         Floating Rate Notes due November 3, 2010      USD 474,000,000         125577AT3
        5.05% Notes due November 15, 2010              USD 9,054,000           12557WLY5
        5.25% Notes due November 15, 2010              USD 6,349,000           12557WNZ0
        5.25% Notes due November 15, 2010              USD 12,292,000          12557WC33
        5.25% Notes due November 15, 2010              USD 1,686,000           12557WC74
        4.75% Notes due December 15, 2010              USD 750,000,000         12560PDB4
        5.00% Notes due December 15, 2010              USD 5,842,000           12557WME8
        5.05% Notes due December 15, 2010              USD 5,926,000           12557WPH8
        4.90% Notes due December 15, 2010              USD 3,188,000           12557WPR6
        5.25% Notes due December 15, 2010              USD 807,000             12557WSE2
        6.50% Notes due December 15, 2010              USD 12,177,000          12557WSR3
        6.50% Notes due
                      January 15, 2011                 USD 17,752,000          12557WSV4
        4.72% Notes due February 10, 2011              CAD 400,000,000         125581AU2
        5.15% Notes due February 15, 2011              USD 2,158,000           12557WPZ8
        5.15% Notes due February 15, 2011              USD 1,458,000           12557WQH7
        6.60% Notes due February 15, 2011              USD 25,229,000          12557WTB7
        Floating Rate Notes due February 28, 2011(2)   GBP 70,000,000          XS0245933121
        5.05% Notes due
                       March 15, 2011                  USD 1,560,000           12557WML2
        5.00% Notes due
                       March 15, 2011                  USD 1,001,000           12557WQR5
        4.90% Notes due
                       March 15, 2011                  USD 806,000             12557WQZ7
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred                Plan of
of New Notes                       Stock                        Reorganization
to be Issued                       to be Issued(1)              Class


$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7
$                            850                         1.22   Class 7

$                            800                         2.04   Class 7
$                            800                         2.04   Class 7
$                            800                         2.04   Class 7
$                            800                         2.04   Class 7
$                            800                         2.04   Class 7
$                            800                         2.04   Class 7

$                            800                         2.04 Class 7

$                            800                         2.04 Class 7

$                            800                         2.04 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE53
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                            Outstanding Principal
   Title of Old Notes to be Tendered        Amount                  CUSIP/ISIN

   5.00% Notes due
   March 15, 2011                           USD 1,589,000           12557WRH6
   6.75% Notes due
   March 15, 2011                           USD 7,604,000           12557WTJ0
   6.50% Notes due
   March 15, 2011                           USD 6,187,000           12557WTQ4
   5.15% Notes due
   April 15, 2011                           USD 957,000             12557WMS7
   Floating Rate Notes due April 27, 2011   USD 280,225,000         125581BA5
   5.60% Notes due
   April 27, 2011                           USD 750,000,000         125581AZ1
   5.40% Notes due
   May 15, 2011                             USD 1,283,000           12557WMY4
   5.35% Notes due
   June 15, 2011                            USD 558,000             12557WNE7
   Floating Rate Notes due July 28, 2011    USD 669,500,000         125581BE7
   5.80% Notes due
   July 28, 2011                            USD 550,000,000         125581BF4
   5.35% Notes due
   August 15, 2011                          USD 2,254,000           12557WNM9
   5.20% Notes due September 15, 2011       USD 2,685,000           12557WNV9
   Floating Rate Notes due September 21,
   2011(2)                                  GBP 40,000,000          XS0268935698
   4.25% Notes due September 22, 2011(3)    EUR 750,000,000         XS0201605192
   5.20% Notes due November 15, 2011        USD 7,392,000           12557WPD7
   5.25% Notes due November 15, 2011        USD 4,427,000           12557WB34
   5.25% Notes due November 15, 2011        USD 5,175,000           12557WB67
   5.25% Notes due November 15, 2011        USD 4,944,000           12557WB91
   Floating Rate Notes due November 30,
   2011(2)                                  EUR 500,000,000         XS0275670965
   4.85% Notes due December 15, 2011        USD 482,000             12557WPM7
   5.00% Notes due December 15, 2011        USD 1,685,000           12557WPV7
   5.40% Notes due February 13, 2012        USD 479,996,000         125581CT3
   Floating Rate Notes due February 13,
   2012                                     USD 654,250,000         125581CU0
5.25% Notes due February 15, 2012   USD 2,937,000   12557WQD6
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                       Plan of
of New Notes     Stock                               Reorganization
to be Issued     to be Issued(1)                     Class


$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7
$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7
$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7
$          800                                2.04 Class 7

$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7

$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7

$          800                                2.04 Class 7
$   800   2.04 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE54
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                        Outstanding Principal
   Title         of Old Notes to be Tendered            Amount                  CUSIP/ISIN

         5.15%     Notes due February 15, 2012          USD 1,532,000           12557WQM6
         7.25%     Notes due February 15, 2012          USD 30,577,000          12557WSY8
         7.00%     Notes due February 15, 2012          USD 17,676,000          12557WTF8
         5.00%     Notes due
   March           15, 2012                             USD 482,000             12557WQV6
         5.00%     Notes due
   March           15, 2012                             USD 1,059,000           12557WRD5
         7.25%     Notes due
   March           15, 2012                             USD 13,609,000          12557WTM3
         7.75%     Notes due
   April           2, 2012                              USD 259,646,000         125581AB4
         5.75%     Notes due
                           August 15, 2012              USD 466,000             12557WA68
           3.80% Notes due November 14, 2012(2)         EUR 450,000,000         XS0234935434
           5.50% Notes due November 15, 2012            USD 2,711,000           12557WC41
           5.50% Notes due November 15, 2012            USD 1,381,000           12557WC82
           7.63% Notes due November 30, 2012            USD 1,277,653,000       125577AZ9
           5.50% Notes due December 15, 2012            USD 495,000             12557WSF9
           7.00% Notes due December 15, 2012            USD 36,343,000          12557WSK8
           7.25% Notes due December 15, 2012            USD 19,425,000          12557WSN2
           7.30% Notes due December 15, 2012            USD 11,775,000          12557WSS1
            Floating Rate Notes due December 21, 2012   USD 290,705,000         12560PEP2
           6.15% Notes due
                          January 15, 2013              USD 29,038,000          12557WAZ4
           6.25% Notes due
                          January 15, 2013              USD 62,461,000          12557WBC4
           6.15% Notes due
                          January 15, 2013              USD 52,560,000          12557WBF7
           6.25% Notes due
                          January 15, 2013              USD 53,967,000          12557WBJ9
           7.50% Notes due
                          January 15, 2013              USD 27,292,000          12557WSW2
           6.25% Notes due February 15, 2013            USD 22,781,000          12557WBM2
           6.20% Notes due February 15, 2013            USD 24,387,000          12557WBQ3
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                       Plan of
of New Notes     Stock                               Reorganization
to be Issued     to be Issued(1)                     Class

$          800                                2.04 Class 7
$          800                                2.04 Class 7
$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04 Class 7

$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7
$          800                                2.04   Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7
$          700                                3.26 Class 7
$          700                                3.26 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE55
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                       Outstanding Principal
   Title of Old Notes to be Tendered   Amount                  CUSIP/ISIN

   6.00% Notes due February 15, 2013   USD 22,368,000          12557WBT7
   7.60% Notes due February 15, 2013   USD 23,615,000          12557WTC5
   6.15% Notes due February 15, 2013   USD 23,318,000          12557WBW0
   5.40% Notes due
   March 7, 2013                       USD 483,516,000         125581AX6
   7.75% Notes due
   March 15, 2013                      USD 18,242,000          12557WTK7
   7.90% Notes due
   March 15, 2013                      USD 17,591,000          12557WTN1
   7.25% Notes due
   March 15, 2013                      USD 5,350,000           12557WTR2
   6.00% Notes due
   March 15, 2013                      USD 26,178,000          12557WBZ3
   6.00% Notes due
   March 15, 2013                      USD 27,547,000          12557WCC3
   6.10% Notes due
   March 15, 2013                      USD 27,499,000          12557WCF6
   6.25% Notes due
   March 15, 2013                      USD 26,121,000          12557WCJ8
   6.15% Notes due
   April 15, 2013                      USD 24,593,000          12557WCM1
   6.15% Notes due
   April 15, 2013                      USD 28,983,000          12557WCQ2
   6.05% Notes due
   April 15, 2013                      USD 19,386,000          12557WCT6
   6.05% Notes due
   May 15, 2013                        USD 44,494,000          12557WCW9
   4.95% Notes due
   May 15, 2013                        USD 9,133,000           12557WCZ2
   4.95% Notes due
   May 15, 2013                        USD 11,492,000          12557WDC2
   4.88% Notes due
   June 15, 2013                       USD 6,237,000           12557WDF5
   4.85% Notes due
   June 15, 2013                       USD 7,956,000           12557WDJ7
4.60% Notes due
June 15, 2013                              USD 9,421,000     12557WDM0
4.45% Notes due
June 15, 2013                              USD 5,051,000     12557WDQ1
Floating Rate Notes due June 20, 2013(2)   EUR 500,000,000   XS0258343564
5.05% Notes due
July 15, 2013                              USD 5,228,000     12557WEF4
4.65% Notes due
July 15, 2013                              USD 9,267,000     12557WDT5
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                     Plan of
of New Notes     Stock                             Reorganization
to be Issued     to be Issued(1)                   Class

$          700                                3.26 Class 7
$          700                                3.26 Class 7
$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7
$   700   3.26 Class 7

$   700   3.26 Class 7
$   700   3.26 Class 7

$   700   3.26 Class 7

$   700   3.26 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE56
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                Outstanding Principal
   Title         of Old Notes to be Tendered    Amount                  CUSIP/ISIN

           4.75% Notes due
                         July 15, 2013          USD 2,318,000           12557WDW8
           5.00% Notes due
                         July 15, 2013          USD 15,182,000          12557WDZ1
           4.75% Notes due
                         July 15, 2013          USD 5,779,000           12557WEC1
           5.30% Notes due
                       August 15, 2013          USD 7,479,000           12557WEJ6
           5.50% Notes due
                       August 15, 2013          USD 2,903,000           12557WEM9
           5.50% Notes due
                       August 15, 2013          USD 6,810,000           12557WEQ0
           5.40% Notes due September 15, 2013   USD 2,445,000           12557WET4
           5.50% Notes due September 15, 2013   USD 4,171,000           12557WEW7
           5.25% Notes due September 15, 2013   USD 4,374,000           12557WEZ0
           5.20% Notes due September 15, 2013   USD 4,378,000           12557WFC0
           5.20% Notes due
                       October 15, 2013         USD 5,497,000           12557WFF3
           5.20% Notes due
                       October 15, 2013         USD 8,130,000           12557WFJ5
           5.25% Notes due
                       October 15, 2013         USD 3,359,000           12557WFM8
           5.30% Notes due November 15, 2013    USD 3,146,000           12557WFQ9
           5.10% Notes due November 15, 2013    USD 7,480,000           12557WFT3
           5.40% Notes due December 15, 2013    USD 5,783,000           12557WFW6
           5.20% Notes due December 15, 2013    USD 7,241,000           12557WFZ9
           5.10% Notes due
                       January 15, 2014         USD 2,897,000           12557WGC9
           4.85% Notes due
                       January 15, 2014         USD 1,333,000           12557WGF2
           5.00% Notes due February 13, 2014    USD 671,749,000         125581AH1
           5.00% Notes due February 15, 2014    USD 5,957,000           12557WGJ4
           4.90% Notes due February 15, 2014    USD 1,958,000           12557WGM7
           7.85% Notes due February 15, 2014    USD 23,034,000          12557WSZ5
           7.65% Notes due February 15, 2014    USD 10,897,000          12557WTG6
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                       Plan of
of New Notes     Stock                               Reorganization
to be Issued     to be Issued(1)                     Class


$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7

$          700                                3.26 Class 7

$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE57
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                       Outstanding Principal
   Title of Old Notes to be Tendered   Amount                  CUSIP/ISIN

   4.80% Notes due
   March 15, 2014                      USD 4,492,000           12557WGQ8
   4.60% Notes due
   March 15, 2014                      USD 4,211,000           12557WGT2
   7.85% Notes due
   March 15, 2014                      USD 4,573,000           12557WTS0
   4.80% Notes due
   April 15, 2014                      USD 2,177,000           12557WGW5
   5.10% Notes due
   April 15, 2014                      USD 5,735,000           12557WGZ8
   5.00% Notes due
   May 13, 2014(3)                     EUR 463,405,000         XS0192461837
   5.25% Notes due
   May 15, 2014                        USD 4,898,000           12557WHC8
   5.80% Notes due
   May 15, 2014                        USD 11,357,000          12557WHF1
   5.70% Notes due
   June 15, 2014                       USD 8,890,000           12557WHJ3
   5.75% Notes due
   June 15, 2014                       USD 10,815,000          12557WHM6
   5.75% Notes due
   June 15, 2014                       USD 1,930,000           12557WRU7
   5.85% Notes due
   June 15, 2014                       USD 1,593,000           12557WRX1
   6.00% Notes due
   June 15, 2014                       USD 10,892,000          12557WSA0
   5.65% Notes due
   July 15, 2014                       USD 8,504,000           12557WHQ7
   5.30% Notes due
   July 15, 2014                       USD 10,005,000          12557WHT1
   5.20% Notes due
   August 15, 2014                     USD 5,691,000           12557WHW4
   5.30% Notes due
   August 15, 2014                     USD 3,915,000           12557WHZ7
   6.00% Notes due
August 15, 2014                      USD 2,555,000     12557WA27
6.00% Notes due
August 15, 2014                      USD 2,389,000     12557WA76
5.25% Notes due September 15, 2014   USD 16,332,000    12557WJC6
5.05% Notes due September 15, 2014   USD 17,112,000    12557WJF9
5.13% Notes due September 30, 2014   USD 638,267,000   125581AK4
4.90% Notes due
October 15, 2014                     USD 5,520,000     12557WJJ1
5.10% Notes due
October 15, 2014                     USD 13,944,000    12557WJM4
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                     Plan of
of New Notes     Stock                             Reorganization
to be Issued     to be Issued(1)                   Class


$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7
$   700   3.26 Class 7

$   700   3.26   Class 7
$   700   3.26   Class 7
$   700   3.26   Class 7
$   700   3.26   Class 7

$   700   3.26 Class 7

$   700   3.26 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE58
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                         Outstanding Principal
   Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

   5.05% Notes due November 15, 2014     USD 7,238,000           12557WJQ5
   5.50% Notes due December 1, 2014(3)   GBP 480,000,000         XS0207079764
   5.13% Notes due December 15, 2014     USD 7,632,000           12557WJT9
   5.10% Notes due December 15, 2014     USD 18,101,000          12557WJW2
   5.05% Notes due
   January 15, 2015                      USD 6,302,000           12557WJZ5
   5.00% Notes due
   February 1, 2015                      USD 671,141,000         125581AR9
   4.95% Notes due February 15, 2015     USD 6,678,000           12557WKC4
   4.90% Notes due February 15, 2015     USD 6,848,000           12557WKF7
   7.90% Notes due February 15, 2015     USD 24,329,000          12557WTD3
   5.10% Notes due
   March 15, 2015                        USD 12,247,000          12557WKJ9
   5.05% Notes due
   March 15, 2015                        USD 2,575,000           12557WKM2
   4.25% Notes due
   March 17, 2015(3)                     EUR 412,500,000         XS0215269670
   5.38% Notes due
   April 15, 2015                        USD 6,369,000           12557WKQ3
   5.25% Notes due
   May 15, 2015                          USD 15,954,000          12557WKT7
   5.30% Notes due
   May 15, 2015                          USD 27,090,000          12557WKW0
   5.10% Notes due
   June 15, 2015                         USD 14,930,000          12557WKZ3
   5.05% Notes due
   June 15, 2015                         USD 10,912,000          12557WLA7
   5.20% Notes due
   June 15, 2015                         USD 8,322,000           12557WLF6
   5.30% Notes due
   August 15, 2015                       USD 10,741,000          12557WLJ8
   5.38% Notes due
   August 15, 2015                       USD 15,892,000          12557WLM1
   5.25% Notes due September 15, 2015    USD 11,241,000          12557WLQ2
   5.10% Notes due September 15, 2015    USD 4,898,000           12557WLT6
5.50% Notes due November 15, 2015   USD 4,016,000   12557WLW9
5.80% Notes due November 15, 2015   USD 7,456,000   12557WLZ2
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                       Plan of
of New Notes     Stock                               Reorganization
to be Issued     to be Issued(1)                     Class

$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7

$          700                                3.26 Class 7

$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7

$          700                                3.26 Class 7
$          700                                3.26 Class 7
$          700                                3.26 Class 7
$   700   3.26 Class 7
$   700   3.26 Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE59
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                    Outstanding Principal
              Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

        5.75% Notes due December 15, 2015           USD 8,155,000           12557WMC2
        5.80% Notes due December 15, 2015           USD 12,621,000          12557WMF5
        5.40% Notes due January 30, 2016            USD 604,263,000         125581AW8
        5.85% Notes due March 15, 2016              USD 14,372,000          12557WMJ7
        5.80% Notes due March 15, 2016              USD 11,705,000          12557WMM0
        6.00% Notes due March 15, 2016              USD 69,046,000          12557WMQ1
        5.88% Notes due April 15, 2016              USD 4,888,000           12557WMT5
        6.05% Notes due May 15, 2016                USD 14,943,000          12557WMW8
        6.15% Notes due May 15, 2016                USD 18,636,000          12557WMZ1
        6.10% Notes due June 15, 2016               USD 15,478,000          12557WNC1
        6.10% Notes due June 15, 2016               USD 17,660,000          12557WNF4
        6.20% Notes due August 15, 2016             USD 37,135,000          12557WNJ6
        6.13% Notes due August 15, 2016             USD 36,401,000          12557WNN7
        5.85% Notes due September 15, 2016          USD 391,533,000         125581CS5
        6.05% Notes due September 15, 2016          USD 31,772,000          12557WNS6
        5.95% Notes due September 15, 2016          USD 11,219,000          12557WNW7
        4.65% Notes due September 19, 2016          EUR 474,000,000         XS0268133799
        6.00% Notes due November 15, 2016           USD 29,155,000          12557WPA3
        5.95% Notes due November 15, 2016           USD 13,264,000          12557WPE5
        Floating Rate Notes due December 14, 2016   USD 34,452,000          12560PDK4
        5.80% Notes due December 15, 2016           USD 35,842,000          12557WPJ4
        5.65% Notes due December 15, 2016           USD 8,701,000           12557WPN5
        5.70% Notes due December 15, 2016           USD 9,571,000           12557WPS4
        5.70% Notes due December 15, 2016           USD 9,817,000           12557WPW5
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred                Plan of
of New Notes                       Stock                        Reorganization
to be Issued                       to be Issued(1)              Class

$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE60
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                   Outstanding Principal
             Title of Old Notes to be Tendered     Amount                  CUSIP/ISIN

        5.50% Notes due December 20, 2016          GBP 367,400,000         XS0278525992
        5.65% Notes due February 13, 2017          USD 548,087,000         125577AY2
        5.85% Notes due February 15, 2017          USD 7,724,000           12557WQA2
        5.95% Notes due February 15, 2017          USD 11,074,000          12557WQE4
        5.85% Notes due February 15, 2017          USD 6,471,000           12557WQJ3
        5.80% Notes due February 15, 2017          USD 7,792,000           12557WQN4
          Floating Rate Notes due March 15, 2017   USD 50,000,000          12560PDR9
        5.75% Notes due March 15, 2017             USD 6,741,000           12557WQS3
        5.75% Notes due March 15, 2017             USD 13,498,000          12557WQW4
        5.70% Notes due March 15, 2017             USD 9,533,000           12557WRA1
        5.65% Notes due March 15, 2017             USD 5,935,000           12557WRE3
        5.75% Notes due March 15, 2017             USD 10,298,000          12557WRJ2
        5.75% Notes due May 15, 2017               USD 2,708,000           12557WRL7
        5.80% Notes due May 15, 2017               USD 3,779,000           12557WRN3
        5.80% Notes due May 15, 2017               USD 5,038,000           12557WRQ6
        6.00% Notes due June 15, 2017              USD 23,842,000          12557WRS2
        6.00% Notes due June 15, 2017              USD 8,205,000           12557WRV5
        6.10% Notes due June 15, 2017              USD 6,648,000           12557WRY9
        6.25% Notes due June 15, 2017              USD 10,535,000          12557WSB8
        6.25% Notes due August 15, 2017            USD 1,190,000           12557WA35
        6.25% Notes due November 15, 2017          USD 8,958,000           12557WB42
        6.25% Notes due November 15, 2017          USD 11,778,000          12557WB75
        6.25% Notes due November 15, 2017          USD 6,339,000           12557WC25
        6.40% Notes due November 15, 2017          USD 3,404,000           12557WC58
Consideration per US$1,000
                                   Principal Amount of
Old Notes Tendered
                                   Number of
Principal                          Shares of
Amount                             New Preferred                Plan of
of New Notes                       Stock                        Reorganization
to be Issued                       to be Issued(1)              Class

$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
$                            700                         3.26   Class 7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE61
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




                                                 Outstanding Principal
   Title       of Old Notes to be Tendered       Amount                  CUSIP/ISIN

       6.50% Notes due November 15, 2017         USD 2,197,000           12557WC90
           10-Year Forward Rate Bias Notes due
                   December 11, 2017(4)          USD 500,000,000         N/A
       6.50% Notes due December 15, 2017         USD 556,000             12557WSG7
       7.50% Notes due December 15, 2017         USD 24,275,000          12557WSL6
       7.75% Notes due December 15, 2017         USD 14,936,000          12557WSP7
       7.80% Notes due December 15, 2017         USD 8,731,000           12557WST9
       5.80% Senior Notes due October 1, 2036    USD 316,015,000         12560PFP1
      12.00% Subordinated Notes due
                    December 18, 2018            USD 1,117,448,000       125581FS2
      12.00% Subordinated Notes due
                    December 18, 2018            USD 31,559,000          U17186AF1
       6.10% Junior Subordinated Notes due
   March     15, 2067                            USD 750,000,000         125577AX4
                 Consideration per US$1,000
                 Principal Amount of
                 Old Notes Tendered
                 Number of
Principal        Shares of
Amount           New Preferred                       Plan of
of New Notes     Stock                               Reorganization
to be Issued     to be Issued(1)                     Class

$          700                                3.26 Class 7

$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7
$          700                                3.26   Class 7

$0                                            4.07 Class 10

$0                                            4.07 Class 10

$0                                            2.04 Class 11
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE62
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                      Delaware Funding Outstanding Notes




                                              Outstanding Principal
   Title of Old Notes to be Tendered          Amount                  CUSIP/ISIN

   4.65% Notes due
   July 1, 2010                               USD 1,000,000,000       125568AA3/125568AB1
   5.60% Notes due
   November 2, 2011                           USD 487,000,000         125568AE5
   5.20% Notes due
   June 1, 2015                               USD 657,408,000         125568AC9/125568AD7
Consideration per
US$1,000 Principal
Amount of
Old Notes Tendered
Principal
Amount                 Plan of
of New Notes           Reorganization
to be Issued           Class


$                1,000 Class 6

$                1,000 Class 6

$                1,000 Class 6
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE63
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                           Treatment Under
   Security                     The Offers                 The Plan of Reorganization

   Senior Unsecured Debt        90 cents of New Notes,     70 cents of New Notes,
   Maturing 2009                plus New Preferred Stock   plus New Common Interests
   Senior Unsecured Debt        85 cents of New Notes,     70 cents of New Notes,
   Maturing 2010(1)             plus New Preferred Stock   plus New Common Interests
   Senior Unsecured Debt        80 cents of New Notes,     70 cents of New Notes,
   Maturing                     plus New Preferred Stock   plus New Common Interests
   2011 - 2012
   Senior Unsecured Debt        70 cents of New Notes,     70 cents of New Notes,
   Maturing                     plus New Preferred Stock   plus New Common Interests
   2013 - 2018(2)
   Senior Unsecured Debt        Not Solicited in the       Not affected
   Maturing 2021 or Later       Offers
   Structurally Senior          100 cents of New Notes     100 cents of New Notes
   Unsecured Debt(3)
   Subordinated Debt            New Preferred Stock        New Common Interests and
                                                           Contingent Value Rights
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE64
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                       Treatment Under
   Security                     The Offers             The Plan of Reorganization

   Junior Subordinated Debt     New Preferred Stock    New Common Interests and
                                                       Contingent Value Rights
   Preferred Stock, Series A,   Not Solicited in the   No Recovery
   B, C and D                   Offers(2)
   Common Stock                 Not Solicited in the   No Recovery
                                Offers(2)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE65
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Procedures for Tendering




   Consequences of Failure
   to Tender




   Taxation



   Exchange Agent and
Voting Agent




Information Agent




Swiss Note Tender Agent


London Stock Exchange's
Gilt Edged and Fixed
Interest Market
e, Inc.




          If you wish to participate in the Offers and your Old
          Notes are held by a custodial entity, such as a bank,
          broker, dealer, trust company or other nominee, you
          must instruct that custodial entity to tender your Old
          Notes on your behalf pursuant to the procedures of
          that custodial entity. If your Old Notes are
          registered in your name, you must complete, sign and
          date the accompanying Letter of Transmittal, or a
          facsimile of the Letter of Transmittal, according to
          the instructions contained in this Offering Memorandum
          and Disclosure Statement and the Letter of
          Transmittal. See "Description of the Offers -
          Procedures for Tendering Old Notes."

          Claims with respect to any Old Notes not tendered in
          the Offers will be effectively subordinated to claims
          with respect to any New Notes (to the extent of the
          value of the collateral securing the New Notes). For a
          description of the consequences of failing to exchange
          your Old Notes in this case, see "Risk Factors - Risks
          to Holders of Non-Tendered Old Notes."

          If the Liquidity and Leverage Condition is not
          satisfied by the Expiration Date, the Company may
          pursue the prepackaged Plan of Reorganization. Even if
          such condition is satisfied, the Company may seek to
          pursue the prepackaged Plan of Reorganization.
          Although the Company would seek authority from the
          Bankruptcy Court on the petition date to continue
          funding loan commitments, lines of credits, factoring,
          receivable and collection management products and
          secured financing to their clients by CIT and on
          behalf of its non-debtor operating affiliates, there
          can be no assurance that the bankruptcy case would not
          disrupt operations or cause the Company to lose
          revenue. No decision has been made by the board of
          directors to file petitions for relief under
          Chapter 11 of the Bankruptcy Code.

          For a summary of the material U.S. federal income tax
          consequences of the Offers, see "Certain U.S. Federal
          Income Tax Consequences."

          Financial Balloting Group LLC ("FBG") is the exchange
agent for the Offers and the voting agent (the "Voting
Agent") for the Plan of Reorganization. The addresses
and telephone numbers of FBG are listed on the back
cover page of this Offering Memorandum and Disclosure
Statement.

D.F. King & Co., Inc. is the information agent for
retail investors for the Offers and the Plan of
Reorganization. The address and telephone numbers of
the information agent are listed on the back cover
page of this Offering Memorandum and Disclosure
Statement.

UBS AG is the Swiss note tender agent (the "Swiss Note
Tender Agent").

Following consummation of the Offers, we intend to
delist the Old Notes listed on the London Stock
Exchange's Gilt Edged and Fixed Interest Market.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE66
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   WE HAVE NOT MADE ANY DECISION AT THIS TIME TO COMMENCE ANY CHAPTER 11 CASES, AND
   RESERVE ALL OF OUR RIGHTS TO PURSUE ANY AND ALL OF OUR STRATEGIC ALTERNATIVES IN
       THE EVENT THE OUT-OF-COURT ALTERNATIVE IS NOT CONSUMMATED.

   Overview The Plan of Reorganization provides for, among other
            things, the Exchanges, pursuant to which holders of
            Senior Unsecured Note Claims, including holders of
            most of the Old Notes, Senior Unsecured Term Loan
            Claims and Senior Unsecured Credit Agreement Claims
            would receive their pro rata share of (i) Series A
            Notes in the amount of 70% of the principal amount of
            such holder's Allowed Claim and (ii) New Common
            Interests. Holders of Canadian Senior Unsecured Note
            Claims would receive their pro rata share of Series B
            Notes in the amount of 100% of the principal amount of
            such holder's Allowed Canadian Senior Unsecured Note
            Claim. Holders of Senior Subordinated Note Claims and
            Junior Subordinated Note Claims would receive
            specified percentages of New Common Interests,
            provided that such Classes vote to accept the Plan of
            Reorganization and Contingent Value Rights in full
            satisfaction and settlement of such Claims and debt
            facilities. The Old Preferred Interests, the Old
            Common Interests and the Other Equity Interests (if
            any) would be cancelled. If sufficient holders of
            Canadian Senior Unsecured Note Claims vote to accept
            the Plan of Reorganization, Old Delaware Funding
            Interests will be Reinstated.

              Through the Plan of Reorganization, all Claims against
              and Interests in CIT and Delaware Funding that would
              exist on the date when we would file our voluntary
              petitions for reorganization relief under Chapter 11
              of the Bankruptcy Code would be divided into classes,
              exclusive of certain claims, including DIP Facility
              Claims (if any), Administrative Claims, and Priority
              Tax Claims, which would not be required to be
              classified.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE67
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Unimpaired Classes of
   Claims Not Entitled to
   Vote on the Plan of
   Reorganization




   Class 6 (Canadian Senior
   Unsecured Note Claims)
   Estimated Amount:
   $2,188 million




   Class 7 (Senior
   Unsecured Note Claims)
   Estimated Amount:
   $25,504 million
ne, Inc.




           Class 1 Other Priority Claims, Class 2 Other Secured
           Claims, Class 3 Other Unsecured Debt Claims and
           Guarantee Claims, Class 4 Intercompany Claims, Class 5
           General Unsecured Claims and Class 15 Old Delaware
           Funding Interests would be Unimpaired by the Plan of
           Reorganization. Holders of these Claims would be
           deemed to accept the Plan of Reorganization, would not
           be entitled to vote on the Plan of Reorganization and
           all of their legal, equitable and contractual rights
           would be fully reinstated and retained under the Plan
           of Reorganization; provided, however, that Class 15
           Old Delaware Funding Interest will be reinstated only
           if Class 6 votes in favor of the Plan of
           Reorganization.

           Impaired - Class 6 would be impaired by the Plan of
           Reorganization. Each holder of an allowed Class 6
           Canadian Senior Unsecured Note Claim would be entitled
           to vote on the Plan of Reorganization.

           On, or as soon as reasonably practicable after, the
           Effective Date, each holder of an Allowed Canadian
           Senior Unsecured Note Claim shall receive its pro rata
           share of Series B Notes equal to a distribution in the
           amount of one hundred percent (100%) of the principal
           amount such holder's Allowed Canadian Senior Unsecured
           Note Claim.

           Estimated Recovery: 100%

           Impaired - Class 7 would be impaired by the Plan of
           Reorganization. Each holder of an allowed Class 7
           Senior Unsecured Note Claim would be entitled to vote
           on the Plan of Reorganization.

           On, or as soon as reasonably practicable after, the
           Effective Date, each holder of an Allowed Senior
           Unsecured Note Claim shall receive its pro rata share
           of (i) Series A Notes, equal to a distribution in the
           amount of 70% of such holder's Allowed Senior
           Unsecured Note Claim and (ii) (A) if Class 10 and
           Class 11 vote to accept the Plan, 83.4% of New Common
           Interests, equal to a distribution of 26.2% of such
           holder's Allowed Senior Unsecured Note Claim, (B) if
Class 10 votes to accept the Plan and Class 11 does
not vote to accept the Plan of Reorganization, 84.2%
of New Common Interests, equal to a distribution of
26.4% of such holder's Allowed Senior Unsecured Note
Claim, (C) if Class 10 does not vote to accept the
Plan of Reorganization and if Class 11 votes to accept
the Plan of Reorganization, 88.2% of New Common
Interests, equal to a distribution of 27.7% of such
holder's Allowed Senior Unsecured Note Claim, or
(D) if neither Class 10 nor Class 11 vote to accept
the Plan of Reorganization, 88.2% of New Common
Interests, equal to a distribution of 27.7% of such
holder's Allowed Senior Unsecured Note Claim.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE68
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                Estimated Recovery: 96.0%, assuming (i) acceptance of
                                the Plan of Reorganization by Class 10 Senior
                                Subordinated Note Claims and Class 11 Junior
                                Subordinated Note Claims and (ii) New Common Interests
                                valued at mid-point of Common Equity Value (as defined
                                herein) range.

   Class 8 (Senior              Impaired - Class 8 would be impaired by the Plan of
   Unsecured Term Loan          Reorganization. Each holder of an allowed Class 8
   Claims) Estimated            Senior Unsecured Term Loan Claim would be entitled to
   Amount: $321 million         vote on the Plan of Reorganization.

                                On, or as soon as reasonably practicable after, the
                                Effective Date, each holder of an Allowed Senior
                                Unsecured Term Loan Claim shall receive its pro rata
                                share of (i) Series A Notes, equal to a distribution
                                in the amount of 70% of such holder's Allowed Senior
                                Unsecured Term Loan Claim and (ii) (A) if Class 10 and
                                Class 11 vote to accept the Plan of Reorganization,
                                1.0% of New Common Interests, equal to a distribution
                                of 26.2% of such holder's Allowed Senior Unsecured
                                Term Loan Claim, (B) if Class 10 votes to accept the
                                Plan and Class 11 does not vote to accept the Plan of
                                Reorganization, 1.1% of New Common Interests, equal to
                                a distribution of 26.4% of such holder's Allowed
                                Senior Unsecured Term Loan Claim, (C) if Class 10 does
                                not vote to accept the Plan and if Class 11 votes to
                                accept the Plan of Reorganization, 1.1% of New Common
                                Interests, equal to a distribution of 27.7% of such
                                holder's Allowed Senior Unsecured Term Loan Claim, or
                                (D) if neither Class 10 nor Class 11 vote to accept
                                the Plan, 1.1% of New Common Interests, equal to a
                                distribution of 27.7% of such holder's Allowed Senior
                                Unsecured Term Loan Claim; provided that if
                                (i) holders of at least two-thirds in amount of the
                                Allowed Senior Unsecured Term Loan Claims actually
                                voting in Class 8 have voted to accept the Plan of
                                Reorganization and (ii) holders of at least one-half
                                in number of the Allowed Senior Unsecured Term Loan
                                Claims actually voting in Class 8 have voted to accept
                                the Plan of Reorganization, then such holders of
                                Allowed Senior Unsecured Term Loan Claims shall have
                                the option to receive a distribution of their pro rata
                                share of loans under credit facilities of Reorganized
                    CIT on substantially the same terms as the Series A
                    Notes in lieu of a distribution of the Series A Notes.

                    Estimated Recovery: 96.0%, assuming (i) acceptance of
                    the Plan of Reorganization by Class 10 Senior
                    Subordinated Note Claims and Class 11 Junior
                    Subordinated Note Claims and (ii) New Common Interests
                    valued at mid-point of Common Equity Value (as defined
                    herein) range.

Class 9 (Senior
Unsecured Credit    Impaired - Class 9 would be impaired by the Plan of
Agreement Claims)   Reorganization. Each holder of an allowed Class 9
Estimated Amount:   Senior Unsecured Credit Agreement Claim would be
$3,101 million      entitled to vote on the Plan of Reorganization.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE69
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009
Class 10 (Senior
Subordinated Note
Claims) Estimated
Amount: $1,200 million
Online, Inc.




n
009

               On, or as soon as reasonably practicable after, the
               Effective Date, each holder of an Allowed Senior
               Unsecured Credit Agreement Claim shall receive its pro
               rata share of (i) Series A Notes, equal to a
               distribution in the amount of 70% of such holder's
               Allowed Senior Unsecured Credit Agreement Claim and
               (ii) (A) if Class 10 and Class 11 vote to accept the
               Plan of Reorganization, 10.1% of New Common Interests,
               equal to a distribution of 26.2% of such holder's
               Allowed Senior Unsecured Credit Agreement Claim,
               (B) if Class 10 votes to accept the Plan of
               Reorganization and Class 11 does not vote to accept
               the Plan, 10.2% of New Common Interests, equal to a
               distribution of 26.4% of such holder's Allowed Senior
               Unsecured Credit Agreement Claim, (C) if Class 10 does
               not vote to accept the Plan of Reorganization and if
               Class 11 votes to accept the Plan, 10.7% of New Common
               Interests, equal to a distribution of 27.7% of such
               holder's Allowed Senior Unsecured Credit Agreement
               Claim, or (D) if neither Class 10 nor Class 11 vote to
               accept the Plan of Reorganization, 10.7% of New Common
               Interests, equal to a distribution of 27.7% of such
               holder's Allowed Senior Unsecured Credit Agreement
               Claim; provided that if holders of at least
               (i) two-thirds in amount of the Allowed Senior
               Unsecured Credit Agreement Claims actually voting in
               Class 9 have voted to accept the Plan of
               Reorganization and (ii) one-half in number of the
               Allowed Senior Unsecured Credit Agreement Claims
               actually voting in Class 9 have voted to accept the
               Plan of Reorganization, then such holders of Allowed
               Senior Unsecured Credit Agreement Claims shall have
               the option to receive a distribution of their pro rata
               share of loans under credit facilities of Reorganized
               CIT on substantially the same terms as the Series A
               Notes in lieu of a distribution of the Series A Notes.

               Estimated Recovery: 96.0%, assuming (i) acceptance of
               the Plan of Reorganization by Class 10 Senior
               Subordinated Note Claims and Class 11 Junior
               Subordinated Note Claims and (ii) New Common Interests
               valued at mid-point of Common Equity Value (as defined
               herein) range
Impaired - Class 10 would be impaired by the Plan of
Reorganization. Each holder of an allowed Class 10
Senior Subordinated Note Claim would be entitled to
vote on the Plan of Reorganization.

On, or as soon as reasonably practicable after, the
Effective Date, each holder of an Allowed Senior
Subordinated Note Claim shall receive its pro rata
share of (i)(A) 4.5% of New Common Interests if
Class 10 and Class 11 vote to accept the Plan of
Reorganization, equal to a distribution of 30.1% of
such holder's Allowed Senior Subordinated Note
Claim(s) or (B) 4.6% of New Common Interests if
Class 10 votes to accept the Plan of Reorganization
and Class 11 does not vote to accept the Plan of
Reorganization, equal to a distribution of 30.4% of
such holder's Allowed Senior Subordinated Note
Claim(s); provided that (1) the holders of at least
two-thirds in amount of the Allowed Senior
Subordinated Note Claims
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE70
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                            actually voting in such classes have voted to accept
                            the Plan of Reorganization and (2) the holders of more
                            than one-half in number of the Allowed Senior
                            Subordinated Note Claims actually voting in such
                            classes have voted to accept the Plan of
                            Reorganization, in each case not counting the vote of
                            any holder designated under section 1126(e) of the
                            Bankruptcy Code; provided further however that in the
                            event that less than (1) two-thirds in amount of the
                            Allowed Senior Subordinated Note Claims actually
                            voting in such classes have voted to accept the Plan
                            of Reorganization and (2) one-half in number of the
                            Allowed Senior Subordinated Note Claims actually
                            voting in such classes have voted to accept the Plan
                            of Reorganization, but the Plan of Reorganization is
                            nonetheless confirmed, no holder of an Allowed Senior
                            Subordinated Note Claim shall receive any shares of
                            New Common Interests, and (ii) Contingent Value
                            Rights.

                            Estimated Recovery: 30.0%, assuming (i) acceptance of
                            the Plan of Reorganization by Class 10 Senior
                            Subordinated Note Claims and Class 11 Junior
                            Subordinated Note Claims and (ii) New Common Interests
                            valued at mid-point of Common Equity Value (as defined
                            herein) range.

   Class 11 (Junior         Impaired - Class 11 would be impaired by the Plan of
   Subordinated Note        Reorganization. Each holder of an allowed Class 11
   Claims) Estimated        Junior Subordinated Note Claim would be entitled to
   Amount: $779 million     vote on the Plan of Reorganization.

                            On, or as soon as reasonably practicable after, the
                            Effective Date, each holder of an Allowed Junior
                            Subordinated Note Claim shall receive its pro rata
                            share of (a) 0.9% of New Common Interests if both
                            Class 10 and Class 11 vote to accept the Plan of
                            Reorganization, equal to a distribution in the amount
                            of 8.7% of such holder's Allowed Junior Subordinated
                            Note Claim(s); provided that (i) the holders of at
                            least two-thirds in amount of the Allowed Junior
                            Subordinated Note Claims actually voting in such
                            classes have voted to accept the Plan of
                            Reorganization and (ii) the holders of more than
one-half in number of the Allowed Junior Subordinated
Note Claims actually voting in such classes have voted
to accept the Plan of Reorganization, in each case not
counting the vote of any holder designated under
section 1126(e) of the Bankruptcy Code; provided
further however that in the event that less than
(i) two-thirds in amount of the Allowed Senior
Subordinated Note Claims or Allowed Junior
Subordinated Note Claims actually voting in such
classes have voted to accept the Plan of
Reorganization and (ii) one-half in number of the
Allowed Senior Subordinated Note Claims or Allowed
Junior Subordinated Note Claims actually voting in
such classes have voted to accept the Plan of
Reorganization, but the Plan of Reorganization is
nonetheless confirmed, no holder of an Allowed Junior
Subordinated Note Claim shall receive any shares of
New Common Interests, and (b) Contingent Value Rights.

Estimated Recovery: 9%
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE71
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Impaired Classes of          Each of Class 12 (Subordinated 510(b) Claims),
   Claims Not Entitled to       Class 13 (Old Preferred Interests), Class 14 (Old
   Vote on the Plan of          Common Interests) and Class 16 (Other Equity Interests
   Reorganization               (if any)) would be impaired by the Plan of
                                Reorganization. No holder of a Class 12, 13, 14 or 16
                                Claim or Interest will retain any property or interest
                                in the Debtors under the Plan of Reorganization. Each
                                holder of a Class 12, 13, 14 or 16 Claim or Interest
                                would be deemed to reject the Plan of Reorganization
                                and would not be entitled to vote on the Plan of
                                Reorganization.

   Unimpaired Class of          Class 15 Old Delaware Funding Interests would be
   Interests Not Entitled       unimpaired by the Plan of Reorganization. In the event
   to Vote on the Plan of       that (i) the holders of at least two-thirds in amount
   Reorganization               of the Allowed Canadian Senior Note Claims actually
                                voting in Class 6 have voted to accept the Plan of
                                Reorganization and (ii) the holders of more than
                                one-half in number of the Allowed Canadian Senior Note
                                Claims actually voting in Class 6 have voted to accept
                                the Plan of Reorganization, in each case not counting
                                the vote of any holder designated under
                                section 1126(e) of the Bankruptcy Code, the Old
                                Delaware Funding Interests shall be Reinstated. Each
                                holder of a Class 15 Interest would be deemed to
                                accept the Plan of Reorganization and would not be
                                entitled to vote on the Plan of Reorganization.

                                For a more detailed discussion of treatment under the
                                Plan of Reorganization, see the section of this
                                Offering Memorandum and Disclosure Statement entitled
                                "Plan of Reorganization- Classification and Treatment
                                of Claims and Interests."

   Voting on the Plan of        The "Voting Record Date" for purposes of determining
   Reorganization               noteholders, claimholders and interest holders that
                                are eligible to vote on the Plan of Reorganization is
                                the Expiration Date/Voting Deadline with respect to
                                the Old Notes. To be counted, an appropriate
                                instruction must be provided to the Nominee prior to
                                the Voting Deadline (in the case of the Old Notes).

                                Any beneficial holder whose Old Notes are registered
                                or held of record in the name of his broker, dealer,
commercial bank, trust company or other Nominee and
who wishes to vote on the Plan of Reorganization
should provide the appropriate instruction to such
Nominee, as instructed by such nominee. Nominees in
turn must complete Master Ballots and must return all
such Master Ballots to the Voting Agent.

Any beneficial holders whose Old Notes are
certificated must complete a Ballot and Letter of
Transmittal and return such Ballot and Letters of
Transmittal to the Exchange Agent.

The "Voting Deadline" is 11:59 p.m., New York City
time, on October 29, 2009, unless extended. All Master
Ballots tendered by the Voting Deadline may be
utilized by us in connection with
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE72
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009



   Issuers



   Series A Guarantors




   Series B Guarantor




   Indenture Trustee




   Series A Collateral
   Agent




   Series B Collateral
Agent

Issuance and Aggregate
Principal Amount
ine, Inc.




9

            Summary of New Notes

            CIT Group Inc., as issuer of the Series A Notes
            CIT Group Funding Company of Delaware LLC, as issuer
            of the Series B Notes

            All current and future domestic wholly owned
            subsidiaries of CIT Group Inc., with the exception of
            Delaware Funding, CIT Bank and other regulated
            subsidiaries, special purpose entities and immaterial
            subsidiaries. See "Collateral - Guarantors and Foreign
            Grantors."

            CIT Group Inc. and the current and future domestic
            wholly owned subsidiaries of CIT Funding Inc., with
            the exception of Delaware Funding, CIT Bank and other
            regulated subsidiaries, special purpose entities and
            immaterial subsidiaries. See "Collateral - Guarantors
            and Foreign Grantors."

            The Bank of New York Mellon, in its capacity as
            Indenture Trustee under the Series A Notes Indenture
            and the Series B Notes Indenture (together, the "New
            Notes Indentures"). See "Description of New Notes -
            [New Notes Indentures]."

            The Bank of New York Mellon in its capacity as
            collateral agent (the "Series A Collateral Agent") for
            the Series A Indenture Trustee and each of the
            administrative agents under each of the Junior Credit
            Facilities (as defined herein) (the "Junior
            Administrative Agents"). The Series A Collateral Agent
            will be appointed pursuant to the Junior Collateral
            Agency Agreement pursuant to which the Indenture
            Trustee and each of the Administrative Agents under
            the Junior Credit Facilities will agree that
            distributions with respect to certain Intercompany
            Notes will be used to satisfy all obligations under
            the Series B Notes before application to any
            obligations under the Series A Notes. See
            "[Description of New Notes - Junior Collateral Agency
            Agreement]."

            The Bank of New York Mellon in its capacity, as
Collateral Agent (the "Series B Collateral Agent").


$2,025 million 7.0% Series A Secured Notes due 2013

$3,037 million 7.0% Series A Secured Notes due 2014

$3,037 million 7.0% Series A Secured Notes due 2015

$5,062 million 7.0% Series A Secured Notes due 2016

$7,087 million 7.0% Series A Secured Notes due 2017

$219 million 7.0% Series B Secured Notes due 2013

$328 million 7.0% Series B Secured Notes due 2014

$328 million 7.0% Series B Secured Notes due 2015

$547 million 7.0% Series B Secured Notes due 2016

$766 million 7.0% Series B Secured Notes due 2017
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE73
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                          The three series of Delaware Funding Old Notes
                        tendered pursuant to the Offers will be exchanged for
                       Series B Notes in the exchange, and the CIT Old Notes
                        tendered pursuant to the Offers will be exchanged for
                           Series A Notes and New Preferred Stock in the
              exchange.

                           The obligations of CIT Group Inc. under the Series A
                           Notes will be secured by liens granted by the Series A
                           guarantors and certain of our foreign granters and the
                            obligations of Delaware Funding under the Series B
                             Notes will be secured by the liens granted by the
                           Series B Guarantors other than CIT Ground Inc. and
                               certain of our foreign grantors Collateral. See
                                        "Description of New Notes."

   Maturity             The New Notes will mature as set forth below, unless
                       redeemed earlier by us as described under the heading
                         "Description of New Notes - Optional Redemption."

                    7.00% Series A Secured Notes due 2013 mature on
                                        November 1, 2013

                    7.00% Series A Secured Notes due 2014 mature on
                                        November 1, 2014

                    7.00% Series A Secured Notes due 2015 mature on
                                        November 1, 2015

                    7.00% Series A Secured Notes due 2016 mature on
                                        November 1, 2016

                    7.00% Series A Secured Notes due 2017 mature on
                                        November 1, 2017

                    7.00% Series B Secured Notes due 2013 mature on
                                        November 1, 2013

                    7.00% Series B Secured Notes due 2014 mature on
                                        November 1, 2014

                    7.00% Series B Secured Notes due 2015 mature on
                                        November 1, 2015
           7.00% Series B Secured Notes due 2016 mature on
                               November 1, 2016

           7.00% Series B Secured Notes due 2017 mature on
                               November 1, 2017

Interest
                 Interest on the notes will be payable quarterly in
                                  cash on each:

                 • January 10, April 10, July 10, and October 10,
              commencing January 10, 2010 with respect to the 2013
                             Notes and 2014 Notes;

              • February 10, May 10, August 10, and November 10,
             commencing February 10, 2010 with respect to the 2015
                           Notes and 2016 Notes; and

              March 10, June 10, September 10, and December 10,
             commencing March 10, 2010 with respect to with respect
                              to the 2017 Notes.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE74
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Series A Collateral and
   Series B Collateral




   Optional Redemption




   Guarantees




   Ranking
Covenants
Online, Inc.




n
009

               The New Notes and the Junior Credit Facilities will be
               secured on a junior priority basis by the same
               personal property assets that also secure the Senior
               Credit Facility. See "Collateral - Assets Securing
               Senior Obligations Series A Obligations and Series B
               Obligations."

               We may redeem any of the New Notes beginning on [ ],
               2010 at a redemption price of 103.5% of their
               principal amount, plus accrued interest, beginning on
               [ ], 2011 at a redemption price of 102.0% of their
               principal amount, plus accrued interest, and beginning
               on [ ], 2012 at par. See "Description of New Notes -
               Optional Redemption."

               The Series A Guarantors will guarantee the payment of
               principal, interest and premium, if any, on the
               Series A Notes and the Series B Notes will guarantee
               the payment of principal, interest and premium, if
               any, on the Series B Notes, as described under the
               heading "Description of New Notes - Note Guarantees."

               The New Notes and related Note Guarantees will be our
               and the Guarantors' secured obligations. The Series A
               Notes and the Guarantees will be secured by a second
               Lien on the Collateral.

               The New Notes will be:

               • equal in right of payment with all of our and the
               Guarantors' existing and future obligations (other
               than our and the Guarantors' respective obligations
               under the Credit Agreement and other permitted liens)
               that are not expressly subordinated to the Series A
               Notes and the guarantees;

               • effectively subordinated to any of our and the
               Guarantors' existing and future indebtedness that is
               secured by a Lien on any of our or the Guarantors'
               assets under the Credit Agreement to the extent of the
               value of the assets securing such indebtedness;

               • in the case of the Series A Notes, effectively
               subordinated to the Series B Notes to the extent of
the value of notes receivable from CIT Financial Ltd.
to Delaware Funding issued by Delaware Funding;

• subordinated in right of payment to any existing and
future indebtedness under the Senior Credit Facility;

• senior in right of payment to all of our and the
Guarantors' existing and future indebtedness that is
expressly subordinated to the Series A Notes and
Guarantees; and

• effectively subordinated to all liabilities of our
Subsidiaries that are not Guarantors.

The New Notes Indentures contain covenants that limit,
among other things, our ability and the ability of our
subsidiaries (other than unrestricted subsidiaries)
to:

• incur additional indebtedness;
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE75
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




   Intercreditor Arrangements
Form and Denomination




Use of Proceeds
e, Inc.




          • pay dividends on our capital stock or repurchase our
          capital stock or subordinated debt;

          • make investments;

          • create liens or use assets as security in other
          transactions;

          • merge, consolidate or transfer or dispose of
          substantially all of our assets;

          • engage in transactions with affiliates; and

          • sell certain assets or merge with or into other
          companies.

          These covenants are subject to a number of important
          exceptions. See "Description of the New Notes -
          Certain Covenants."

          The Senior Collateral Agent, the Series A Collateral
          Agent and the Series B Collateral Agent will enter
          into a senior intercreditor agreement (the "Senior
          Intercreditor Agreement") that will govern the
          relative rights of the holders of Senior Obligations
          and the holders of Series A Obligations and Series B
          Obligations (collectively, the "Junior Obligations")
          in respect of the collateral securing all such
          obligations and will include provisions relating to
          lien subordination, turnover obligations with respect
          to proceeds of collateral, restrictions on exercise of
          remedies, releases of collateral, restrictions on
          amendments to junior lien documentation, bankruptcy
          related provisions, and other intercreditor matters.

          The Series A Collateral Agent and the Series B
          Collateral Agent will enter into a junior
          intercreditor agreement (the "Junior Intercreditor
          Agreement") that will govern the relative rights among
          the holders of the Junior Obligations in respect of
          the collateral securing the Junior Obligations and
          will include provisions relating to equal and ratable
          liens, the ratable sharing of the proceeds of
          collateral, exercise of remedies, releases of
collateral and other intercreditor matters.

In addition, the Series A Trustee, each of the Junior
Administrative Agents and the Series A Collateral
Agent will enter into a collateral agency agreement
(the "Series A Collateral Agency Agreement") that will
govern the relative rights of the holders of Series A
Obligations, including provisions whereby the benefits
of the collateral securing the Series A Obligations
will be shared among the Series A Trustee and each of
the Junior Administrative Agents, and provisions with
respect to voting rights and other intercreditor
matters.

The New Notes will be represented by one or more
global notes, deposited with a trustee as a custodian
for DTC and registered in the name of Cede & Co.,
DTC's nominee. Beneficial interests in the global
notes will be shown on, and any transfers will be
effective only through, records maintained by DTC and
its participants. Interests in the global notes will
be issued in minimum denominations of $1 and integral
multiples of $1.

We will not receive any proceeds from the Offers or
the issuance of New Notes.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE76
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Governing Law      The indentures for the Old Notes are, and the New
                      Notes Indentures and the New Notes will be, governed
                      by New York law.
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE77
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




   Voting Rights




   Maturity



   Preemptive Rights


   Listing


   Use of Proceeds


   Transfer Agent and Registrar
nc.




      aggregate liquidation preferences of those
      holders. See "Description of the New Preferred
      Stock - Preferred Stock - Liquidation Rights."

      Holders of the New Preferred Stock will have class
      voting rights together with holders of parity
      stock having like voting rights with respect to
      certain fundamental changes in the terms of the
      New Preferred Stock. In addition to the foregoing,
      holders of the New Preferred Stock will be
      entitled to vote upon all matters upon which
      holders of common stock have the right to vote,
      and, in connection with such matters, will be
      entitled to 87.5 votes per share, such votes to be
      counted together with all other shares of capital
      stock having general voting powers and not
      separately as a class. See "Description of the New
      Preferred Stock - Voting Rights."

      The New Preferred Stock does not have any maturity
      date, and we are not required to redeem the New
      Preferred Stock.

      Holders of the New Preferred Stock will have no
      preemptive rights.

      We do not intend to list the New Preferred Stock
      on any exchange.

      We will not receive any proceeds from the Offers
      or the issuance of shares of New Preferred Stock.

      BNY Mellon Shareowner Services
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE78
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

        RATIO OF EARNINGS TO FIXED CHARGES


                Six Months Ended               Year Ended
                June 30,                       December 31,
                                   2009   2008            2008

   Actual(1)                        (2)      (2)           (3)
   Pro Forma                        (4)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE79
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Pro Forma Capitalization Under the Offers


                                                                As of June 30, 2009
                                                                Actual
                                                                     (In millions, except share data and
                                                                                  share amounts)

   Debt:
   Bank credit facilities                                       $                3,100.00
   Secured borrowings                                                           17,635.30
   Senior unsecured notes-variable                                               7,451.70
   Senior unsecured notes-fixed                                                 23,801.70
   Junior, subordinated notes and convertible equity units                       2,098.90
   New Notes offered in the Offers                                                    -

   Total Debt                                                                   54,087.60
   Deposits                                                                      5,378.70

   Total Debt and Deposits                                                      59,466.30

   Equity
   Stockholders' Equity
   Preferred stock: $0.01 par value, 100,000,000 authorized
   Issued and outstanding:
   Series A 14,000,000 with a liquidation preference of $25
   per share                                                                       350.00
   Series B 1,500,000 with a liquidation preference of $100
   per share                                                                       150.00
   Series C 11,500,000 with a liquidation preference of $50
   per share                                                                       575.00
   Series D 2,330,000 with a liquidation preference of $1,000
   per share                                                                     2,071.70
   Series F 70,009,815 Preferred Stock, issued hereby, with a
   liquidation preference of $1,300 per share                                          -
   Common stock: $0.01 par value, 600,000,000 authorized
   Issued: 398,289,150 (as of June 30, 2009)                                         4.00
   Outstanding: 392,067,503 (as of June 30, 2009)
   Paid-in capital, net of deferred compensation of $31.1                       11,269.80
   (Accumulated deficit) retained earnings                                      (7,896.60)
   Accumulated other comprehensive loss                                           (134.70)
   Less: treasury stock, 6,221,647 shares, at cost                                (310.30)

   Total Common Stockholders' Equity                                             2,932.20
Total Stockholders' Equity            6,078.90

Total Capitalization             $   65,545.20

Book Value per Common Share(B)   $        7.48
             As Adjusted(A)
s, except share data and per
  share amounts)


             $              -
                      17,635.30
                       1,159.00
                       2,686.70
                         199.90
                      19,355.70

                      41,036.60
                       5,378.70

                      46,415.30




                         350.00

                         150.00

                         575.00

                       2,071.70

                       4,819.70

                           4.00

                      11,269.80
                         334.70
                        (134.70)
                        (310.30)

                      11,163.50
    19,129.90

$   65,545.20

$      28.47
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE80
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                           Pro Forma Capitalization Under the Plan of Reorganization


                                                                                As of June 30, 2009
                                                                                Actual
                                                                                       (In millions, except share data and pe
                                                                                                    share amounts)

   Debt:
   Bank credit facilities                                                        $               3,100.00
   Secured borrowings                                                                           17,635.30
   Senior unsecured notes-variable                                                               7,451.70
   Senior unsecured notes-fixed                                                                 23,801.70
   Junior subordinated notes and convertible equity units                                        2,098.90
   New Notes offered in the Offers                                                                    -

   Total Debt                                                                                   54,087.60
   Deposits                                                                                      5,378.70

   Total Debt and Deposits                                                                      59,466.30

   Equity
   Stockholders' Equity
   Preferred stock: $0.01 par value, 100,000,000 authorized
   Issued and outstanding:
   Series A 14,000,000 with a liquidation preference of $25
   per share                                                                                       350.00
   Series B 1,500,000 with a liquidation preference of $100
   per share                                                                                       150.00
   Series C 11,500,000 with a liquidation preference of $50
   per share                                                                                       575.00
   Series D 2,330,000 with a liquidation preference of
   $1,000 per share                                                                              2,071.70
   Common stock: $0.01 par value, 600,000,000 authorized
   Issued: 398,289,150 (as of June 30, 2009)                                                         4.00
   Outstanding: 392,067,503 (as of June 30, 2009)
   New common stock: $0.01 par value, 800,000,000
   authorized Issued: 400,000,000
   Outstanding: 400,000,000                                                                           -
   Paid-in capital, net of deferred compensation of $31.1                                       11,269.80
   Accumulated deficit                                                                          (7,896.60)
   Accumulated other comprehensive loss                                                           (134.70)
   Less: treasury stock, 6,221,647 shares, at cost                                                (310.30)
Total Common Stockholders' Equity        2,932.20

Total Stockholders' Equity               6,078.90

Total Capitalization                $   65,545.20

Book Value per Common Share         $        7.48
             As Adjusted(A)(B)
ons, except share data and per
    share amounts)


             $                 -
                         15,601.30
                          1,159.00
                          2,298.80
                               -
                         17,947.90

                         37,007.00
                          5,378.70

                         42,385.70




                                 -

                                 -

                                 -

                                 -

                                 -



                              4.00
                          7,996.00
                               -
                               -
                               -
     8,000.00

     8,000.00

$   50,385.70

$      20.00
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE81
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                             For the Six Months Ended June 30,
                                                         2009            2008

                                             (Unaudited)

   Results of Operations
   Net interest revenue                      $        (36.60) $            327.20
   Provision for credit losses                      1,123.90               398.90
   Total other income                                 937.90             1,228.90
   Total other expenses                             1,717.50             1,425.20
   (Loss) income from continuing
   operations, before preferred stock
   dividends                                        (1,960.80)            (192.80)
   (Loss) income from discontinued
   operation                                                -           (2,113.80)
   Net (loss) income (attributable)
   available to common stockholders                 (2,082.60)          (2,341.60)
   Income (loss) per share from continuing
   operations - diluted                                    (5.34)           (1.00)
   Income (loss) per share from
   discontinued operation - diluted                         -               (9.28)
   Cash dividends per common share, paid                   0.02              0.35
   Balance Sheet Data
   Loans including receivables pledged       $     48,730.30 $          53,223.70
   Allowance for loan losses                       (1,538.40)             (780.80)
   Operating lease equipment, net                  13,380.10            12,342.40
   Goodwill and intangible assets, net                   -               1,165.60
   Assets of discontinued operation                      -               5,568.20
   Total assets                                    71,019.20            87,819.40
   Total debt and deposits                         59,466.30            69,913.50
   Total stockholders' equity                       6,078.90             6,154.70
   Total owned and securitized financing
   and leasing assets                        $     63,841.60        $   71,694.40
                      For the Years Ended December 31,
               2008               2007             2006              2005            2004
    (In millions, except percentages, share data and per share amounts)



$          499.10    $       821.10    $       789.00   $        874.10     $      960.20
         1,049.20            241.80            159.80            165.30            159.50
         2,460.30          3,567.80          2,898.10          2,708.70          2,277.00
         2,986.50          3,051.10          2,319.20          1,939.40          1,889.30


          (633.10)           792.00            925.70            918.50           742.40

        (2,166.40)          (873.00)           120.30             30.60             11.20

        (2,864.20)          (111.00)         1,015.80            936.40           753.60

            (2.69)             3.93              4.41               4.30             3.45

            (8.37)            (4.50)             0.59               0.14             0.05
             0.55              1.00              0.80               0.61             0.52

$      53,126.60 $        53,760.90 $       45,203.60 $       35,878.50 $       29,892.10
       (1,096.20)           (574.30)          (577.10)          (540.20)          (553.80)
       12,706.40          12,610.50         11,017.90          9,635.70          8,290.90
          698.60           1,152.50          1,008.40          1,011.50            596.50
           44.20           9,308.60         10,387.10          8,789.80          5,811.50
       80,448.90          90,613.40         77,485.70         63,386.60         45,299.80
       66,377.50          69,161.00         60,704.80         47,864.50         37,724.80
        8,124.30           6,960.60          7,751.10          6,962.70          6,055.10

$      67,823.70     $    73,428.20    $    63,220.20   $     53,200.70     $   46,154.30
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE82
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                         For the Six Months Ended June 30,
                                                     2009            2008                    2008
                                                                                (In millions, except percentages, sha
                                         (Unaudited)

   Selected Data and Ratios
   Profitability (continuing
   operations)
   Net income (loss) before preferred
   dividend as a percentage of average
   common stockholders' equity                     -84.70%             -6.30%             -11.00%
   Net finance revenue as a percentage
   of average earning assets(1)                      1.11%             2.31%                2.05%
   Return on average total assets                   -5.16%             0.49%               -0.85%
   Dividend payout ratio                 N/M(2 )             N/M(2 )            N/M(2 )
   Total ending equity to total ending
   assets                                           8.60%              7.50%              10.10%
   Credit Quality
   Non-accrual loans as a percentage
   of finance receivables                           4.78%              1.83%               2.66%
   Net credit losses as a percentage
   of average finance receivables                   2.60%              0.67%               0.90%
   Reserve for credit losses as a
   percentage of finance receivables                3.16%              1.47%               2.06%
   Reserve for credit losses,
   excluding specific reserves as a
   percentage of finance receivables,
   excluding guaranteed student loans               2.28%              1.34%               1.48%
   Capital (period end)
   Tier 1 capital                                   8.80% N/A (3)                          9.40%
   Total risk-based capital                        12.80% N/A (3)                         13.10%
   Tangible capital to owned and
   securitized assets                              12.90%              9.00%              14.30%
                      For the Years Ended December 31,
                         2007             2006            2005                    2004
millions, except percentages, share data and per share amounts)




                       11.60%             13.60%             14.80%             13.00%

                        2.71%              3.08%              3.38%              3.97%
                        1.03%              1.50%              1.81%              1.71%
                       25.40%             18.10%             14.20%             15.10%

                       7.70%              10.00%             11.00%             13.40%


                       0.89%              0.69%              0.83%              1.08%

                       0.35%              0.33%              0.52%              0.88%

                       1.07%              1.28%              1.51%              1.85%



                       1.21%              1.44%              1.53%              1.71%

             N/A (3)            N/A (3)            N/A (3)            N/A (3)
             N/A (3)            N/A (3)            N/A (3)            N/A (3)

                       8.80%              9.40%              9.80%              10.70%
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE83
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Year                             Percentage

              2010                      103.50%
              2011                      102.00%
              2012 and thereafter       100.00%
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE84
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                     Classification and Treatment of Claims and Interests

   Summary of Classified Claims and Interests


   Class

   Class 1 - Other Priority Claims


   Class 2 - Other Secured Claims


   Class 3 - Other Unsecured Debt Claims
   and Guarantee Claims

   Class 4 - Intercompany Claims


   Class 5 - General Unsecured Claims


   Class 6 - Canadian Senior Unsecured Note
   Claims
   Class 7 - Senior Unsecured Note Claims
   Class 8 - Senior Unsecured Term Loan
   Claims
   Class 9 - Senior Unsecured Credit
   Agreement Claims
   Class 10 - Senior Subordinated Note
   Claims
   Class 11 - Junior Subordinated Note
   Claims
   Class 12 - Subordinated 510(b) Claims


   Class 13 - Old Preferred Interests


   Class 14 - Old Common Interests


   Class 15 - Old Delaware Funding
   Interests
Class 16 - Other Equity Interests (if
any)
nd Treatment of Claims and Interests




            Impaired/Unimpaired; Entitlement to Vote

            Unimpaired - Conclusively presumed to
            have accepted the Plan of Reorganization
            and, therefore, not entitled to vote
            Unimpaired - Conclusively presumed to
            have accepted the Plan of Reorganization
            and, therefore, not entitled to vote
            Unimpaired - Conclusively presumed to
            have accepted the Plan of Reorganization
            and, therefore, not entitled to vote
            Unimpaired - Conclusively presumed to
            have accepted the Plan and, therefore,
            not entitled to vote
            Unimpaired - Conclusively presumed to
            have accepted the Plan of Reorganization
            and, therefore, not entitled to vote
            Impaired - Entitled to vote

            Impaired - Entitled to vote
            Impaired - Entitled to vote

            Impaired - Entitled to vote

            Impaired - Entitled to vote

            Impaired - Entitled to vote

            Impaired - Deemed to have rejected the
            Plan of Reorganization and, therefore,
            not entitled to vote
            Impaired - Deemed to have rejected the
            Plan of Reorganization and, therefore,
            not entitled to vote
            Impaired - Deemed to have rejected the
            Plan of Reorganization and, therefore,
            not entitled to vote
            Unimpaired - Conclusively presumed to
            have accepted the Plan of Reorganization
and, therefore, not entitled to vote
Impaired - Deemed to have rejected the
Plan of Reorganization and, therefore,
not entitled to vote
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE85
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

         PROJECTED CONSOLIDATED BALANCE SHEET ADJUSTMENTS


                                            Pre-Restructuring        Reorganization
                                            December 31, 2009        Adjustments(1)
                                                                     (Dollars in Millions)

   Assets
   Cash and due from Banks                  $               3,874    $                       (500)
   Restricted Cash                                          2,000                             -
   Finance Receivables, (Net of Reserves)                  41,891                             -
   Operating Leases, Net                                   12,952                             -
   Other Assets                                             5,822                             -

   Total Assets                             $              66,539    $                       (500)

   Liabilities
   Deposits                                 $               3,672    $                     -
   Secured Borrowings                                      15,532                          -
   First Lien Debt                                          4,500                          -
   New Notes                                                  -                         22,435
   Senior Unsecured Notes                                  29,881                      (27,408)
   Bank Credit Facilities                                   3,100                       (3,100)
   Credit Balances of Factoring Clients                       891                          -
   Junior, Subordinated Notes and
   Convertible Equity Units                                 2,099                        (2,099)
   Other Liabilities                                        2,917                           -

   Total Liabilities                        $              62,592    $                 (10,172)

   Equity
   Preferred Equity                         $               3,171    $                   (3,171)
   Common Equity/Additional Paid in
   Capital                                                 11,274                          -
   Retained Earnings                                      (10,537)                      12,843
   Noncontrolling Interests                                    39                          -

   Total Equity                             $               3,947    $                       9,672

   Total Liabilities and Equity             $              66,539    $                       (500)
Fresh Start         Post-Restructuring
Adjustments         December 31, 2009



$            -    $                  3,374
             -                       2,000
          (9,122)                   32,769
          (3,056)                    9,896
            (350)                    5,472

$        (12,528) $                 53,511


$            -    $                  3,672
          (2,034)                   13,498
             -                       4,500
          (4,487)                   17,948
            (388)                    2,085
             -                         -
             -                         891

              -                        -
              -                      2,917

$         (6,909) $                 45,511


$             -     $                    -

          (3,274)                    8,000
          (2,306)                      -
             (39)                      -

$         (5,619) $                  8,000

$        (12,528) $                 53,511
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE86
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

      PROJECTED CONSOLIDATED SUMMARY BALANCE SHEET DATA


                                              December 31,   December 31,
                                                        2009           2010


   Assets
   Cash and due from Banks                    $        3,374   $     3,428
   Restricted Cash                                     2,000         1,686
   Finance Receivables, (Net of Reserves)             32,769        29,621
   Operating Leases, Net                               9,896        10,090
   Other Assets                                        5,472         5,407

   Total Assets                               $       53,511   $    50,232

   Liabilities
   Deposits                                   $        3,672   $     3,650
   Secured Borrowings                                 13,498        11,500
   First Lien Debt                                     4,500         2,000
   New Notes                                          17,948        18,621
   Senior Unsecured Notes                              2,085         1,791
   Credit Balances of Factoring Clients                  891           282
   Other Liabilities                                   2,917         3,654

   Total Liabilities                          $       45,511   $    41,498

   Equity
   Common Equity/Additional Paid in Capital   $        8,000   $     8,000
   Retained Earnings                                     -             734

   Total Equity                               $        8,000   $     8,734

   Total Liabilities and Equity               $       53,511   $    50,232
December 31,                    December 31,   December 31,   December 31,
                         2011             2012           2013           2014
(Dollars in Millions)


$                   3,396       $        3,602   $      3,959   $     3,831
                    1,501                1,267          1,031           933
                   29,431               28,575         27,199        27,264
                   10,301               10,057          9,694         9,148
                    5,251                4,739          4,295         4,218

$                  49,880       $       48,240   $     46,178   $    45,394


$                   4,843       $        5,776   $      5,410   $     6,580
                   11,778               10,920         10,053         8,929
                      -                    -              -             -
                   18,320               16,508         14,378        13,418
                    1,546                1,564          1,583         1,202
                      333                  363            384           408
                    3,892                3,512          4,231         4,199

$                  40,712       $       38,643   $     36,039   $    34,736


$                       8,000   $        8,000   $      8,000   $     8,000
                        1,168            1,597          2,139         2,658

$                       9,168   $        9,597   $     10,139   $    10,658

$                  49,880       $       48,240   $     46,178   $    45,394
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE87
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

              PROJECTED CONSOLIDATED SUMMARY STATEMENT OF INCOME DATA



                                                            2010          2011


   Interest Income                                 $       4,391 $       3,398
   Interest Expense                                       (3,797)       (3,508)

   Net Interest Revenue                                      594         (110)
   Provision for Credit Losses                              (189)         (92)
   Other Income                                            2,127        2,179

   Total Net Revenues                                      2,532        1,977
   Other Expense                                            (865)        (791)
   Depreciation on Operating Lease Equipment                (550)        (562)

   Income Before Income Taxes                              1,117          624

   Provision for Income Taxes                               (383)        (190)

   Net Income Available to Common Stockholders     $        734     $     434
Year Ending
                         2012         2013          2014
(Dollars in Millions)

$                    2,992 $          2,858 $      2,603
                    (3,273)          (2,808)      (2,504)

                         (281)          50           99
                          (86)         (96)        (115)
                        2,260        2,073        1,997

                        1,893        2,027        1,981
                         (723)        (688)        (671)
                         (553)        (537)        (547)

                         617           802          763

                         (188)        (260)        (244)

$                        429     $     542    $     519
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE88
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

     PROJECTED CONSOLIDATED SUMMARY STATEMENT OF CASH FLOW DATA



                                               2010          2011


   Cash Flow from Operations             $       365 $        643
   Cash Flow from Investing Activities         4,458          782
   Cash Flow from Financing Activities        (5,083)      (1,642)

   Net Increases / (Decreases) in Cash   $     (260) $      (217)

   Beginning of Period Cash              $    5,374 $      5,114
   Increase/(Decrease) in Cash                 (260)        (217)

   End of Period Cash                    $    5,114   $    4,897
Year Ending
                         2012        2013         2014
(Dollars in Millions)

$                    1,100 $         1,599 $     1,304
                     1,628           1,652         247
                    (2,756)         (3,130)     (1,777)

$                         (28) $      121   $    (226)

$                       4,897 $     4,869   $   4,990
                          (28)        121        (226)

$                       4,869   $   4,990   $   4,764
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE89
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   CIT Group Inc.
   LIQUIDATION ANALYSIS


                                                                                  Low
                                                                                  ($ in millions)

   I Proceeds:
   Cash                                                                           $           1,930
   Equity Investments in Subsidiaries                                                         2,681
   Finance Receivables                                                                          -
   Operating Lease Equipment                                                                    -
   Other Assets                                                                               1,161

   Total Proceeds                                                                 $           5,772

   Less:
   Wind-Down Operating Costs                                                      $             (160)
   Trustee Fees                                                                                 (173)
   Professional Fees                                                                             (75)

                Proceeds Available for Distributions to Secured Claims            $           5,364




                                                                  Claim           Low

   II Secured Claims:
   Secured Borrowings                                             $       3,000               3,000

   Proceeds Available for Distributions to Priority
   Unsecured Claims                                                               $           2,364
High



$           1,930
           14,072
              -
              -
            1,226

$          17,228


$            (240)
             (517)
             (150)

$          16,321




Recovery             Percentage Recovery
High                 Low                       High


            3,000                    100.00%     100.00%


$          13,321
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE90
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                   Recovery
                                                     Claim         Low

   III Priority Unsecured Claims:
   Taxes                                             $       246   $           246
   Other Priority Claims                                      76                76

   Total                                             $       322   $           322
   Proceeds Available for Distributions to General
   Unsecured Claims                                                $          2,042
                Percentage Recovery
High            Low                       High


$        246                    100.00%     100.00%
          76                    100.00%     100.00%

$        322

$      12,999
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE91
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                               Recovery
                                              Claim            Low

   IV General Unsecured Claims:
   Canadian Senior Unsecured Note Guarantee   $        2,188   $            128
   Senior Unsecured Note Claims                       27,126              1,582
   Senior Unsecured Term Loan Claims                     321                 19
   Senior Unsecured Credit Agreement Claims            3,101                181
   Deficiency Payments on Make Whole                     250                 15
   Other Unsecured Liabilities                           954                 56
   Accrued Liabilities & Accounts Payable              1,052                 61

   Total                                      $       34,992   $          2,042
   Proceeds Available for Distributions to
   Subordinated Unsecured Claims                               $            -
                Percentage Recovery
High            Low                       High


$         813                     5.80%      37.10%
       10,077                     5.80%      37.10%
          119                     5.80%      37.10%
        1,152                     5.80%      37.10%
           93                     5.80%      37.10%
          354                     5.80%      37.10%
          391                     5.80%      37.10%

$      12,999

$         -
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE92
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                      Recovery
                                                      Claim           Low        High

   V Subordinated Unsecured Claims:
   Senior Subordinated Note Claims                    $       1,200   $     -    $      -
   Junior Subordinated Note Claims                              756         -           -

   Total                                              $       1,956   $     -    $      -
   Proceeds Available for Distributions to Residual
   Stakeholders                                                       $     -    $      -
Percentage Recovery
Low                       High


                  0.00%          0.00%
                  0.00%          0.00%
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE93
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   CIT Group Funding Company of Delaware LLC
   LIQUIDATION ANALYSIS


                                                            Low               High
                                                            ($                in millions)

   I Proceeds:
   Cash                                                     $1
   Equity Investments in Subsidiaries                               -
   Finance Receivables                                              -
   Operating Lease Equipment                                        -
   Other Assets                                                         5

   Total Proceeds                                           $6

   Less:
   Wind-Down Operating Costs                                $           (6)
   Trustee Fees                                                     -
   Professional Fees                                                -

   Proceeds Available for Distributions to Secured Claims   $       -




                                                            Claim             Low

   II Secured Claims:
   Secured Borrowings                                       $       -                    -
$1
       -
       -
       -
           7

$8


$          (8)
       -
       -

$      -




Recovery                    Percentage Recovery
                 High       Low                       High


                        -                     0.00%          0.00%
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE94
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Proceeds Available for Distributions to Priority
   Unsecured Claims                                               $     -    $      -




                                                                  Recovery
                                                      Claim       Low        High

   III Priority Unsecured Claims:
   Taxes                                              $       -   $     -    $      -
   Other Priority Claims                                      -         -           -

   Total                                              $       -   $     -    $      -
   Proceeds Available for Distributions to General
   Unsecured Claims                                               $     -    $      -
Percentage Recovery
Low                       High


                  0.00%          0.00%
                  0.00%          0.00%
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE95
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                           Recovery
                                                          Claim            Low

   IV General Unsecured Claims:
   Canadian Senior Unsecured Note Claim                   $       2,188    $     -
   Senior Unsecured Note Claims                                     -            -
   Senior Unsecured Term Loan Claims                                -            -
   Senior Unsecured Credit Agreement Claims                         -            -
   Deficiency Payments on Make Whole                                -            -
   Other Unsecured Liabilities                                      -            -
   Accrued Liabilities & Accounts Payable                             23         -

   Total                                                  $       2,211    $     -
   Proceeds Available for Distributions to Subordinated
   Unsecured Claims                                                        $     -
           Percentage Recovery
High       Low                       High


$      -                     0.00%          0.00%
       -                     0.00%          0.00%
       -                     0.00%          0.00%
       -                     0.00%          0.00%
       -                     0.00%          0.00%
       -                     0.00%          0.00%
       -                     0.00%          0.00%

$      -

$      -
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE96
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                               Recovery
                                                                   Claim       Low

   V Subordinated Unsecured Claims:
   Senior Subordinated Note Claims                                 $       -   $     -
   Junior Subordinated Note Claims                                         -         -

   Total                                                           $       -   $     -
   Proceeds Available for Distributions to Residual Stakeholders               $     -
           Percentage Recovery
High       Low                       High


$      -                     0.00%          0.00%
       -                     0.00%          0.00%

$      -
$      -
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE97
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Proposed Counsel for the Debtors and
   Debtors in Possession

   UNITED STATES BANKRUPTCY COURT
   SOUTHERN DISTRICT OF NEW YORK


   -------------------------------------------------------------------------- X
   In re:                                                                     : Chapter 11
                                                                              :
   CIT Group Inc. (Tax ID 65-xxx1192)                                         : Case No. 09-
   CIT Group Funding Company of                                               :
   Delaware LLC (Tax ID 98-xxx9146)                                           :
                                                                              :
   Debtors.                                                                   :
                                                                              :
                                                                              :
   -------------------------------------------------------------------------- X
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE98
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009




   Exhibit A-1
   Exhibit A-2

   Exhibit A-3

   Exhibit B
   Exhibit C



   Schedule 1
 ed by EDGAR Online, Inc.

GROUP INC
 E98
  Type: T-3
 d End: Unknown
 Filed: Oct 02, 2009

             TABLE OF EXHIBITS


             Reorganized CIT Certificate of Incorporation
             Reorganized Delaware Funding Certificate of Amendment to Certificate
             of Formation
             Reorganized Delaware Funding Amendment to Limited Liability Company
             Agreement
             Description of New Common Interests
             Description of New Notes

             TABLE OF SCHEDULES

             List of Senior Unsecured Notes (excluding 2015 Hybrid
             Convertible/Equity Notes)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE99
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Class

   Class 1 - Other Priority Claims


   Class 2 - Other Secured Claims


   Class 3 - Other Unsecured Debt Claims
   and Guarantee Claims

   Class 4 - Intercompany Claims


   Class 5 - General Unsecured Claims


   Class 6 - Canadian Senior Unsecured Note
   Claims
   Class 7 - Senior Unsecured Note Claims
   Class 8 - Senior Unsecured Term Loan
   Claims
   Class 9 - Senior Unsecured Credit
   Agreement Claims
   Class 10 - Senior Subordinated Note
   Claims
   Class 11 - Junior Subordinated Note
   Claims
   Class 12 - Subordinated 510(b) Claims


   Class 13 - Old Preferred Interests


   Class 14 - Old Common Interests


   Class 15 - Old Delaware Funding
   Interests

   Class 16 - Other Equity Interests (if
   any)
Impaired/Unimpaired; Entitlement to Vote

Unimpaired - Conclusively presumed to
have accepted the Plan and, therefore,
not entitled to vote
Unimpaired - Conclusively presumed to
have accepted the Plan and, therefore,
not entitled to vote
Unimpaired - Conclusively presumed to
have accepted the Plan and, therefore,
not entitled to vote
Unimpaired - Conclusively presumed to
have accepted the Plan and, therefore,
not entitled to vote
Unimpaired - Conclusively presumed to
have accepted the Plan and, therefore,
not entitled to vote
Impaired - Entitled to vote

Impaired - Entitled to vote
Impaired - Entitled to vote

Impaired - Entitled to vote

Impaired - Entitled to vote

Impaired - Entitled to vote

Impaired - Deemed to have rejected the
Plan and, therefore, not entitled to
vote
Impaired - Deemed to have rejected the
Plan and, therefore, not entitled to
vote
Impaired - Deemed to have rejected the
Plan and, therefore, not entitled to
vote
Unimpaired - Conclusively presumed to
have accepted the Plan and, therefore,
not entitled to vote
Impaired - Deemed to have rejected the
Plan and, therefore, not entitled to
vote
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE100
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                   EXHIBIT B

                                                       TO

                                  PREPACKAGED REORGANIZATION PLAN
                                        OF CIT GROUP INC. AND
                             CIT GROUP FUNDING COMPANY OF DELAWARE LLC

                               DESCRIPTION OF NEW COMMON INTERESTS

                The principal terms of the New Common Interests to be issued by the Reorganized
                                    Debtors under the Plan shall be as follows:

   Authorization:                    800 million shares

   Initial Issuance:                 400 million shares

   Par Value:                        $.01 per share

   Voting Rights:                    One vote per share

   Dividends:                        Payable at the discretion of the board of directors of
                                     Reorganized CIT

   Conversion Rights:                None

   Splits and Adjustments:           Generally, arithmetic splits, combinations, etc., are
                                     proportionately treated

   Restrictions on Transfer:         None (other than restrictions imposed by applicable
                                     state and federal securities laws)

   Registration Rights:              None
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE101
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                SCHEDULE 1

                                                       TO

                     PREPACKAGED REORGANIZATION PLAN OF CIT GROUP INC. AND
                          CIT GROUP FUNDING COMPANY OF DELAWARE LLC

   LIST OF SENIOR UNSECURED NOTES (EXCLUDING 2015 HYBRID CONVERTIBLE/EQUITY NOTES)


                                                            Outstanding Principal
   Title                                                    Amount                  CUSIP/ISIN

           6.88% Notes due November 1, 2009                 USD 300,000,000         12560PCL3
           4.13% Notes due November 3, 2009                 USD 500,000,000         125581AM0
           3.85% Notes due November 15, 2009                USD 1,959,000           12557WJP7
           4.63% Notes due November 15, 2009                USD 1,349,000           12557WLV1
           5.05% Notes due November 15, 2009                USD 2,800,000           12557WPC9
           5.00% Notes due November 15, 2009                USD 4,217,000           12557WB26
           5.00% Notes due November 15, 2009                USD 5,083,000           12557WB59
           5.00% Notes due November 15, 2009                USD 6,146,000           12557WB83
           3.95% Notes due December 15, 2009                USD 3,314,000           12557WJV4
           4.80% Notes due December 15, 2009                USD 2,073,000           12557WMB4
           4.70% Notes due December 15, 2009                USD 285,000             12557WPL9
           4.85% Notes due December 15, 2009                USD 582,000             12557WPU9
           6.25% Notes due December 15, 2009                USD 63,703,000          12557WSJ1
           6.50% Notes due December 15, 2009                USD 40,994,000          12557WSM4
           Floating Rate Notes due December 21, 2009        USD 113,000,000         12560PDL2
           4.25% Notes due February 1, 2010                 USD 750,000,000         125581AQ1
           4.05% Notes due February 15, 2010                USD 4,172,000           12557WKE0
           5.15% Notes due February 15, 2010                USD 1,918,000           12557WQC8
           5.05% Notes due February 15, 2010                USD 1,497,000           12557WQL8
           6.50% Notes due February 15, 2010                USD 58,219,000          12557WSX0
           6.25% Notes due February 15, 2010                USD 44,138,000          12557WTE1
              Floating Rate Notes due March 1, 2010         CHF 100,000,000         CH0029382659
           2.75% Notes due March 1, 2010                    CHF 50,000,000          CH0029407191
             Floating Rate Notes due March 12, 2010         USD 1,000,000,000       125581CX4
           4.30% Notes due March 15, 2010                   USD 1,822,000           12557WKL4
           5.05% Notes due March 15, 2010                   USD 4,241,000           12557WMH1
           5.15% Notes due March 15, 2010                   USD 6,375,000           12557WMP3
           4.90% Notes due March 15, 2010                   USD 297,000             12557WQU8
           4.85% Notes due March 15, 2010                   USD 784,000             12557WRC7
           6.50% Notes due March 15, 2010                   USD 33,677,000          12557WTL5
             Floating Rate Notes due March 22, 2010         USD 150,000,000         12560PFN6
4.45%   Notes due May 15, 2010      USD 3,980,000     12557WKS9
5.25%   Notes due May 15, 2010      USD 2,414,000     12557WMV0
5.38%   Notes due June 15, 2010     GBP 300,000,000   XS0276327342
4.30%   Notes due June 15, 2010     USD 1,013,000     12557WKX8
4.35%   Notes due June 15, 2010     USD 1,419,000     12557WLE9
5.30%   Notes due June 15, 2010     USD 2,622,000     12557WNB3
4.60%   Notes due August 15, 2010   USD 1,131,000     12557WLL3
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE102
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                     Schedule 1

   -------------------------------------------------------------------------------------------------------------------
                             Table of Contents


                                                                                Outstanding Principal
   Title                                                                        Amount                                   CUSIP/ISIN

           5.45% Notes due August 15, 2010                                      USD 11,920,000                           12557WNH0
           5.50% Notes due August 15, 2010                                      USD 1,511,000                            12557WA92
           4.25% Notes due September 15, 2010                                   USD 295,000                              12557WLS8
           5.25% Notes due September 15, 2010                                   USD 11,403,000                           12557WNR8
           5.20% Notes due November 3, 2010                                     USD 500,000,000                          125577AS5
             Floating Rate Notes due November 3, 2010                           USD 474,000,000                          125577AT3
           5.05% Notes due November 15, 2010                                    USD 9,054,000                            12557WLY5
           5.25% Notes due November 15, 2010                                    USD 6,349,000                            12557WNZ0
           5.25% Notes due November 15, 2010                                    USD 12,292,000                           12557WC33
           5.25% Notes due November 15, 2010                                    USD 1,686,000                            12557WC74
           4.75% Notes due December 15, 2010                                    USD 750,000,000                          12560PDB4
           5.00% Notes due December 15, 2010                                    USD 5,842,000                            12557WME8
           5.05% Notes due December 15, 2010                                    USD 5,926,000                            12557WPH8
           4.90% Notes due December 15, 2010                                    USD 3,188,000                            12557WPR6
           5.25% Notes due December 15, 2010                                    USD 807,000                              12557WSE2
           6.50% Notes due December 15, 2010                                    USD 12,177,000                           12557WSR3
           6.50% Notes due January 15, 2011                                     USD 17,752,000                           12557WSV4
           4.72% Notes due February 10, 2011                                    CAD 400,000,000                          125581AU2
           5.15% Notes due February 15, 2011                                    USD 2,158,000                            12557WPZ8
           5.15% Notes due February 15, 2011                                    USD 1,458,000                            12557WQH7
           6.60% Notes due February 15, 2011                                    USD 25,229,000                           12557WTB7
            Floating Rate Notes due February 28, 2011(1)                        GBP 70,000,000                           XS0245933121
           5.05% Notes due March 15, 2011                                       USD 1,560,000                            12557WML2
           5.00% Notes due March 15, 2011                                       USD 1,001,000                            12557WQR5
           4.90% Notes due March 15, 2011                                       USD 806,000                              12557WQZ7
           5.00% Notes due March 15, 2011                                       USD 1,589,000                            12557WRH6
           6.75% Notes due March 15, 2011                                       USD 7,604,000                            12557WTJ0
           6.50% Notes due March 15, 2011                                       USD 6,187,000                            12557WTQ4
           5.15% Notes due April 15, 2011                                       USD 957,000                              12557WMS7
               Floating Rate Notes due April 27, 2011                           USD 280,225,000                          125581BA5
           5.60% Notes due April 27, 2011                                       USD 750,000,000                          125581AZ1
           5.40% Notes due May 15, 2011                                         USD 1,283,000                            12557WMY4
           5.35% Notes due June 15, 2011                                        USD 558,000                              12557WNE7
                Floating Rate Notes due July 28, 2011                           USD 669,500,000                          125581BE7
           5.80% Notes due July 28, 2011                                        USD 550,000,000                          125581BF4
5.35% Notes due August 15, 2011                 USD 2,254,000     12557WNM9
5.20% Notes due September 15, 2011              USD 2,685,000     12557WNV9
Floating Rate Notes due September 21, 2011(1)   GBP 40,000,000    XS0268935698
4.25% Notes due September 22, 2011(2)           EUR 750,000,000   XS0201605192
5.20% Notes due November 15, 2011               USD 7,392,000     12557WPD7
5.25% Notes due November 15, 2011               USD 4,427,000     12557WB34
5.25% Notes due November 15, 2011               USD 5,175,000     12557WB67
5.25% Notes due November 15, 2011               USD 4,944,000     12557WB91
Floating Rate Notes due November 30, 2011(1)    EUR 500,000,000   XS0275670965
4.85% Notes due December 15, 2011               USD 482,000       12557WPM7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE103
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                 Schedule 2

   --------------------------------------------------------------------------------------------------------------------------------------------
                             Table of Contents


                                                                              Outstanding Principal
   Title                                                                      Amount                                  CUSIP/ISIN

           5.00% Notes due December 15, 2011                                  USD 1,685,000                           12557WPV7
           5.40% Notes due February 13, 2012                                  USD 479,996,000                         125581CT3
             Floating Rate Notes due February 13, 2012                        USD 654,250,000                         125581CU0
           5.25% Notes due February 15, 2012                                  USD 2,937,000                           12557WQD6
           5.15% Notes due February 15, 2012                                  USD 1,532,000                           12557WQM6
           7.25% Notes due February 15, 2012                                  USD 30,577,000                          12557WSY8
           7.00% Notes due February 15, 2012                                  USD 17,676,000                          12557WTF8
           5.00% Notes due March 15, 2012                                     USD 482,000                             12557WQV6
           5.00% Notes due March 15, 2012                                     USD 1,059,000                           12557WRD5
           7.25% Notes due March 15, 2012                                     USD 13,609,000                          12557WTM3
           7.75% Notes due April 2, 2012                                      USD 259,646,000                         125581AB4
           5.75% Notes due August 15, 2012                                    USD 466,000                             12557WA68
           3.80% Notes due November 14, 2012(1)                               EUR 450,000,000                         XS0234935434
           5.50% Notes due November 15, 2012                                  USD 2,711,000                           12557WC41
           5.50% Notes due November 15, 2012                                  USD 1,381,000                           12557WC82
           7.63% Notes due November 30, 2012                                  USD 1,277,653,000                       125577AZ9
           5.50% Notes due December 15, 2012                                  USD 495,000                             12557WSF9
           7.00% Notes due December 15, 2012                                  USD 36,343,000                          12557WSK8
           7.25% Notes due December 15, 2012                                  USD 19,425,000                          12557WSN2
           7.30% Notes due December 15, 2012                                  USD 11,775,000                          12557WSS1
            Floating Rate Notes due December 21, 2012                         USD 290,705,000                         12560PEP2
           6.15% Notes due January 15, 2013                                   USD 29,038,000                          12557WAZ4
           6.25% Notes due January 15, 2013                                   USD 62,461,000                          12557WBC4
           6.15% Notes due January 15, 2013                                   USD 52,560,000                          12557WBF7
           6.25% Notes due January 15, 2013                                   USD 53,967,000                          12557WBJ9
           7.50% Notes due January 15, 2013                                   USD 27,292,000                          12557WSW2
           6.25% Notes due February 15, 2013                                  USD 22,781,000                          12557WBM2
           6.20% Notes due February 15, 2013                                  USD 24,387,000                          12557WBQ3
           6.00% Notes due February 15, 2013                                  USD 22,368,000                          12557WBT7
           7.60% Notes due February 15, 2013                                  USD 23,615,000                          12557WTC5
           6.15% Notes due February 15, 2013                                  USD 23,318,000                          12557WBW0
           5.40% Notes due March 7, 2013                                      USD 483,516,000                         125581AX6
           7.75% Notes due March 15, 2013                                     USD 18,242,000                          12557WTK7
           7.90% Notes due March 15, 2013                                     USD 17,591,000                          12557WTN1
           7.25% Notes due March 15, 2013                                     USD 5,350,000                           12557WTR2
6.00%   Notes due March 15, 2013   USD 26,178,000   12557WBZ3
6.00%   Notes due March 15, 2013   USD 27,547,000   12557WCC3
6.10%   Notes due March 15, 2013   USD 27,499,000   12557WCF6
6.25%   Notes due March 15, 2013   USD 26,121,000   12557WCJ8
6.15%   Notes due April 15, 2013   USD 24,593,000   12557WCM1
6.15%   Notes due April 15, 2013   USD 28,983,000   12557WCQ2
6.05%   Notes due April 15, 2013   USD 19,386,000   12557WCT6
6.05%   Notes due May 15, 2013     USD 44,494,000   12557WCW9
4.95%   Notes due May 15, 2013     USD 9,133,000    12557WCZ2
4.95%   Notes due May 15, 2013     USD 11,492,000   12557WDC2
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE104
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                 Schedule 3

   ------------------------------------------------------------------------------------------------------------------------------------------
                            Table of Contents


                                                                            Outstanding Principal
   Title                                                                    Amount                                  CUSIP/ISIN

           4.88% Notes due June 15, 2013                                    USD 6,237,000                           12557WDF5
           4.85% Notes due June 15, 2013                                    USD 7,956,000                           12557WDJ7
           4.60% Notes due June 15, 2013                                    USD 9,421,000                           12557WDM0
           4.45% Notes due June 15, 2013                                    USD 5,051,000                           12557WDQ1
             Floating Rate Notes due June 20, 2013(1)                       EUR 500,000,000                         XS0258343564
           5.05% Notes due July 15, 2013                                    USD 5,228,000                           12557WEF4
           4.65% Notes due July 15, 2013                                    USD 9,267,000                           12557WDT5
           4.75% Notes due July 15, 2013                                    USD 2,318,000                           12557WDW8
           5.00% Notes due July 15, 2013                                    USD 15,182,000                          12557WDZ1
           4.75% Notes due July 15, 2013                                    USD 5,779,000                           12557WEC1
           5.30% Notes due August 15, 2013                                  USD 7,479,000                           12557WEJ6
           5.50% Notes due August 15, 2013                                  USD 2,903,000                           12557WEM9
           5.50% Notes due August 15, 2013                                  USD 6,810,000                           12557WEQ0
           5.40% Notes due September 15, 2013                               USD 2,445,000                           12557WET4
           5.50% Notes due September 15, 2013                               USD 4,171,000                           12557WEW7
           5.25% Notes due September 15, 2013                               USD 4,374,000                           12557WEZ0
           5.20% Notes due September 15, 2013                               USD 4,378,000                           12557WFC0
           5.20% Notes due October 15, 2013                                 USD 5,497,000                           12557WFF3
           5.20% Notes due October 15, 2013                                 USD 8,130,000                           12557WFJ5
           5.25% Notes due October 15, 2013                                 USD 3,359,000                           12557WFM8
           5.30% Notes due November 15, 2013                                USD 3,146,000                           12557WFQ9
           5.10% Notes due November 15, 2013                                USD 7,480,000                           12557WFT3
           5.40% Notes due December 15, 2013                                USD 5,783,000                           12557WFW6
           5.20% Notes due December 15, 2013                                USD 7,241,000                           12557WFZ9
           5.10% Notes due January 15, 2014                                 USD 2,897,000                           12557WGC9
           4.85% Notes due January 15, 2014                                 USD 1,333,000                           12557WGF2
           5.00% Notes due February 13, 2014                                USD 671,749,000                         125581AH1
           5.00% Notes due February 15, 2014                                USD 5,957,000                           12557WGJ4
           4.90% Notes due February 15, 2014                                USD 1,958,000                           12557WGM7
           7.85% Notes due February 15, 2014                                USD 23,034,000                          12557WSZ5
           7.65% Notes due February 15, 2014                                USD 10,897,000                          12557WTG6
           4.80% Notes due March 15, 2014                                   USD 4,492,000                           12557WGQ8
           4.60% Notes due March 15, 2014                                   USD 4,211,000                           12557WGT2
           7.85% Notes due March 15, 2014                                   USD 4,573,000                           12557WTS0
           4.80% Notes due April 15, 2014                                   USD 2,177,000                           12557WGW5
5.10%   Notes due April 15, 2014    USD 5,735,000     12557WGZ8
5.00%   Notes due May 13, 2014(2)   EUR 463,405,000   XS0192461837
5.25%   Notes due May 15, 2014      USD 4,898,000     12557WHC8
5.80%   Notes due May 15, 2014      USD 11,357,000    12557WHF1
5.70%   Notes due June 15, 2014     USD 8,890,000     12557WHJ3
5.75%   Notes due June 15, 2014     USD 10,815,000    12557WHM6
5.75%   Notes due June 15, 2014     USD 1,930,000     12557WRU7
5.85%   Notes due June 15, 2014     USD 1,593,000     12557WRX1
6.00%   Notes due June 15, 2014     USD 10,892,000    12557WSA0
5.65%   Notes due July 15, 2014     USD 8,504,000     12557WHQ7
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE105
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                                 Schedule 4

   ------------------------------------------------------------------------------------------------------------------------------------------
                            Table of Contents


                                                                            Outstanding Principal
   Title                                                                    Amount                                  CUSIP/ISIN

           5.30%   Notes due July 15, 2014                                  USD 10,005,000                          12557WHT1
           5.20%   Notes due August 15, 2014                                USD 5,691,000                           12557WHW4
           5.30%   Notes due August 15, 2014                                USD 3,915,000                           12557WHZ7
           6.00%   Notes due August 15, 2014                                USD 2,555,000                           12557WA27
           6.00%   Notes due August 15, 2014                                USD 2,389,000                           12557WA76
           5.25%   Notes due September 15, 2014                             USD 16,332,000                          12557WJC6
           5.05%   Notes due September 15, 2014                             USD 17,112,000                          12557WJF9
           5.13%   Notes due September 30, 2014                             USD 638,267,000                         125581AK4
           4.90%   Notes due October 15, 2014                               USD 5,520,000                           12557WJJ1
           5.10%   Notes due October 15, 2014                               USD 13,944,000                          12557WJM4
           5.05%   Notes due November 15, 2014                              USD 7,238,000                           12557WJQ5
           5.50%   Notes due December 1, 2014(2)                            GBP 480,000,000                         XS0207079764
           5.13%   Notes due December 15, 2014                              USD 7,632,000                           12557WJT9
           5.10%   Notes due December 15, 2014                              USD 18,101,000                          12557WJW2
           5.05%   Notes due January 15, 2015                               USD 6,302,000                           12557WJZ5
           5.00%   Notes due February 1, 2015                               USD 671,141,000                         125581AR9
           4.95%   Notes due February 15, 2015                              USD 6,678,000                           12557WKC4
           4.90%   Notes due February 15, 2015                              USD 6,848,000                           12557WKF7
           7.90%   Notes due February 15, 2015                              USD 24,329,000                          12557WTD3
           5.10%   Notes due March 15, 2015                                 USD 12,247,000                          12557WKJ9
           5.05%   Notes due March 15, 2015                                 USD 2,575,000                           12557WKM2
           4.25%   Notes due March 17, 2015(2)                              EUR 412,500,000                         XS0215269670
           5.38%   Notes due April 15, 2015                                 USD 6,369,000                           12557WKQ3
           5.25%   Notes due May 15, 2015                                   USD 15,954,000                          12557WKT7
           5.30%   Notes due May 15, 2015                                   USD 27,090,000                          12557WKW0
           5.10%   Notes due June 15, 2015                                  USD 14,930,000                          12557WKZ3
           5.05%   Notes due June 15, 2015                                  USD 10,912,000                          12557WLA7
           5.20%   Notes due June 15, 2015                                  USD 8,322,000                           12557WLF6
           5.30%   Notes due August 15, 2015                                USD 10,741,000                          12557WLJ8
           5.38%   Notes due August 15, 2015                                USD 15,892,000                          12557WLM1
           5.25%   Notes due September 15, 2015                             USD 11,241,000                          12557WLQ2
           5.10%   Notes due September 15, 2015                             USD 4,898,000                           12557WLT6
           5.50%   Notes due November 15, 2015                              USD 4,016,000                           12557WLW9
           5.80%   Notes due November 15, 2015                              USD 7,456,000                           12557WLZ2
           5.75%   Notes due December 15, 2015                              USD 8,155,000                           12557WMC2
5.80%   Notes due December 15, 2015   USD 12,621,000    12557WMF5
5.40%   Notes due January 30, 2016    USD 604,263,000   125581AW8
5.85%   Notes due March 15, 2016      USD 14,372,000    12557WMJ7
5.80%   Notes due March 15, 2016      USD 11,705,000    12557WMM0
6.00%   Notes due March 15, 2016      USD 69,046,000    12557WMQ1
5.88%   Notes due April 15, 2016      USD 4,888,000     12557WMT5
6.05%   Notes due May 15, 2016        USD 14,943,000    12557WMW8
6.15%   Notes due May 15, 2016        USD 18,636,000    12557WMZ1
6.10%   Notes due June 15, 2016       USD 15,478,000    12557WNC1
6.10%   Notes due June 15, 2016       USD 17,660,000    12557WNF4
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE106
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                      Schedule 5

   ---------------------------------------------------------------------------------------------------------------------
                              Table of Contents


                                                                                 Outstanding Principal
   Title                                                                         Amount                                    CUSIP/ISIN

           6.20% Notes due August 15, 2016                                       USD 37,135,000                            12557WNJ6
           6.13% Notes due August 15, 2016                                       USD 36,401,000                            12557WNN7
           5.85% Notes due September 15, 2016                                    USD 391,533,000                           125581CS5
           6.05% Notes due September 15, 2016                                    USD 31,772,000                            12557WNS6
           5.95% Notes due September 15, 2016                                    USD 11,219,000                            12557WNW7
           4.65% Notes due September 19, 2016                                    EUR 474,000,000                           XS0268133799
           6.00% Notes due November 15, 2016                                     USD 29,155,000                            12557WPA3
           5.95% Notes due November 15, 2016                                     USD 13,264,000                            12557WPE5
             Floating Rate Notes due December 14, 2016                           USD 34,452,000                            12560PDK4
           5.80% Notes due December 15, 2016                                     USD 35,842,000                            12557WPJ4
           5.65% Notes due December 15, 2016                                     USD 8,701,000                             12557WPN5
           5.70% Notes due December 15, 2016                                     USD 9,571,000                             12557WPS4
           5.70% Notes due December 15, 2016                                     USD 9,817,000                             12557WPW5
           5.50% Notes due December 20, 2016                                     GBP 367,400,000                           XS0278525992
           5.65% Notes due February 13, 2017                                     USD 548,087,000                           125577AY2
           5.85% Notes due February 15, 2017                                     USD 7,724,000                             12557WQA2
           5.95% Notes due February 15, 2017                                     USD 11,074,000                            12557WQE4
           5.85% Notes due February 15, 2017                                     USD 6,471,000                             12557WQJ3
           5.80% Notes due February 15, 2017                                     USD 7,792,000                             12557WQN4
               Floating Rate Notes due March 15, 2017                            USD 50,000,000                            12560PDR9
           5.75% Notes due March 15, 2017                                        USD 6,741,000                             12557WQS3
           5.75% Notes due March 15, 2017                                        USD 13,498,000                            12557WQW4
           5.70% Notes due March 15, 2017                                        USD 9,533,000                             12557WRA1
           5.65% Notes due March 15, 2017                                        USD 5,935,000                             12557WRE3
           5.75% Notes due March 15, 2017                                        USD 10,298,000                            12557WRJ2
           5.75% Notes due May 15, 2017                                          USD 2,708,000                             12557WRL7
           5.80% Notes due May 15, 2017                                          USD 3,779,000                             12557WRN3
           5.80% Notes due May 15, 2017                                          USD 5,038,000                             12557WRQ6
           6.00% Notes due June 15, 2017                                         USD 23,842,000                            12557WRS2
           6.00% Notes due June 15, 2017                                         USD 8,205,000                             12557WRV5
           6.10% Notes due June 15, 2017                                         USD 6,648,000                             12557WRY9
           6.25% Notes due June 15, 2017                                         USD 10,535,000                            12557WSB8
           6.25% Notes due August 15, 2017                                       USD 1,190,000                             12557WA35
           6.25% Notes due November 15, 2017                                     USD 8,958,000                             12557WB42
           6.25% Notes due November 15, 2017                                     USD 11,778,000                            12557WB75
    6.25% Notes due November 15, 2017                      USD 6,339,000     12557WC25
    6.40% Notes due November 15, 2017                      USD 3,404,000     12557WC58
    6.50% Notes due November 15, 2017                      USD 2,197,000     12557WC90
10-Year Forward Rate Bias Notes due December 11, 2017(3)   USD 500,000,000   N/A
    6.50% Notes due December 15, 2017                      USD 556,000       12557WSG7
    7.50% Notes due December 15, 2017                      USD 24,275,000    12557WSL6
    7.75% Notes due December 15, 2017                      USD 14,936,000    12557WSP7
    7.80% Notes due December 15, 2017                      USD 8,731,000     12557WST9
    5.80% Senior Notes due October 1, 2036                 USD 316,015,000   12560PFP1
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE107
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   APPENDIX D

   GUARANTORS


   NAME OF
   GUARANTOR

   Baffin Shipping Co., Inc.
   C.I.T. Leasing Corporation
   Capita Colombia Holdings Corp.
   Capita Corporation
   Capita International L.L.C.
   Capita Premium Corporation
   CIT Capital USA Inc.
   CIT China 12, Inc.
   CIT China 13, Inc.
   CIT China 2, Inc.
   CIT China 3, Inc.
   CIT Communications Finance Corporation
   CIT Credit Finance Corp.
   CIT Credit Group USA Inc.
   CIT Financial Ltd. of Puerto Rico
   CIT Financial USA, Inc.
   CIT Group (NJ) LLC
   CIT Group SF Holding Co., Inc.
   CIT Healthcare LLC
   CIT Holdings, LLC
   CIT Lending Services Corporation
   CIT Lending Services Corporation (Illinois)
   CIT Loan Corporation (f/k/a The CIT Group/Consumer Finance, Inc.)
   CIT Real Estate Holding Corporation
   CIT Realty LLC
   CIT Technologies Corporation
   CIT Technology Financing Services, Inc.
   Education Loan Servicing Corporation
   Equipment Acceptance Corporation
   Franchise Portfolio 1, Inc.
   Franchise Portfolio 2, Inc.
   GFSC Aircraft Acquisition Financing Corporation
   Hudson Shipping Co., Inc.
   Namekeepers LLC
   Owner-Operator Finance Company
   Student Loan Xpress, Inc.
The CIT Group/BC Securities Investment, Inc.
The CIT Group/Business Credit, Inc.
The CIT Group/Capital Finance, Inc.
The CIT Group/Capital Transportation, Inc.
The CIT Group/CmS Securities Investment, Inc.
                ENTITY
JURISD.         TYPE

Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        LLC
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        LLC
Delaware        CORP
Delaware        LLC
Delaware        LLC
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        LLC
Michigan        CORP
Massachusetts   CORP
Delaware        CORP
New York        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        CORP
Delaware        LLC
Delaware        CORP
Delaware        CORP
New Jersey   CORP
New York     CORP
Delaware     CORP
Delaware     CORP
New Jersey   CORP
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE108
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   NAME OF                                                      ENTITY
   GUARANTOR                                       JURISD.      TYPE

   The CIT Group/Commercial Services, Inc.         New York     CORP
   The CIT Group/Commercial Services, Inc. (Va.)   Delaware     CORP
   The CIT Group/Consumer Finance, Inc. (NY)       New York     CORP
   The CIT Group/Consumer Finance, Inc. (TN)       Delaware     CORP
   The CIT Group/Corporate Aviation, Inc.          Delaware     CORP
   The CIT Group/Equipment Financing, Inc.         Delaware     CORP
   The CIT Group/Equity Investments, Inc.          New Jersey   CORP
   The CIT Group/Factoring One, Inc.               New York     CORP
   The CIT Group/FM Securities Investment, Inc.    New Jersey   CORP
   The CIT Group/LsC Securities Investment, Inc.   New Jersey   CORP
   The CIT Group/Securities Investment, Inc.       Delaware     CORP
   The CIT Group/Venture Capital, Inc.             New Jersey   CORP
   Western Star Finance, Inc.                      Delaware     CORP
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE109
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                                    Exhibit 25.1



                                      FORM T-1
                     SECURITIES AND EXCHANGE COMMISSION
                                Washington, D.C. 20549
                             STATEMENT OF ELIGIBILITY
                   UNDER THE TRUST INDENTURE ACT OF 1939 OF A
                   CORPORATION DESIGNATED TO ACT AS TRUSTEE
                     CHECK IF AN APPLICATION TO DETERMINE
                      ELIGIBILITY OF A TRUSTEE PURSUANT TO
   SECTION 305(b)(2)                      []

                                THE BANK OF NEW YORK MELLON
                           (Exact name of trustee as specified in its charter)

   New York                                         13-5160382
   (State of incorporation if not a                 (I.R.S. employer identification no.)
   U.S. national bank)

   One Wall Street, New York, N.Y.                                                         10286
   (Address of principal executive                  (Zip code)
   offices)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE110
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                        CIT Group Inc.
                        (Exact name of obligor as specified in its charter)

   Delaware                                    65-1051192
   (State or other jurisdiction of             (I.R.S. employer identification no.)
   incorporation or organization)

   505 Fifth Avenue
   New York, New York                                                                 10017
   (Address of principal executive             (Zip code)
   offices)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE111
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Name                                    Address

   Superintendent of Banks of the State    One State Street, New York, N.Y.
   of New York                             10004-1417, and Albany, N.Y. 12223

   Federal Reserve Bank of New York        33 Liberty Street, New York, N.Y.
                                           10045

   Federal Deposit Insurance Corporation   Washington, D.C. 20429

   New York Clearing House Association     New York, New York 10005
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE112
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE112
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009


   Consolidated Report of Condition of
   THE BANK OF NEW YORK MELLON
   of One Wall Street, New York, N.Y. 10286
   And Foreign and Domestic Subsidiaries,
   a member of the Federal Reserve System, at the close of business June 30, 2009,
   published in accordance with a call made by the Federal Reserve Bank of this
   District pursuant to the provisions of the Federal Reserve Act.

   ASSETS
   Cash and balances due from depository institutions:
   Noninterest-bearing balances and currency and coin
   Interest-bearing balances
   Securities:
   Held-to-maturity securities
   Available-for-sale securities
   Federal funds sold and securities purchased under agreements to resell:
   Federal funds sold in domestic offices
   Securities purchased under agreements to resell
   Loans and lease financing receivables:
   Loans and leases held for sale
   Loans and leases, net of unearned income
   LESS: Allowance for loan and lease losses
   Loans and leases, net of unearned income and allowance
   Trading assets
   Premises and fixed assets (including capitalized leases)
   Other real estate owned
   Investments in unconsolidated subsidiaries and associated companies
   Direct and indirect investments in real estate ventures
   Intangible assets:
   Goodwill
   Other intangible assets
EXHIBIT 7




Dollar Amounts In Thousands

                          3,228,000
                         56,028,000

                          6,782,000
                         39,436,000

                          1,319,000
                             50,000

                                  0
                         29,318,000
                            414,000
                         28,904,000
                          6,282,000
                          1,115,000
                              6,000
                            830,000
                                  0

                          4,949,000
                          1,514,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE113
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   ASSETS
   Other assets

   Total assets

   LIABILITIES
   Deposits:
   In domestic offices
   Noninterest-bearing
   Interest-bearing
   In foreign offices, Edge and Agreement subsidiaries, and IBFs
   Noninterest-bearing
   Interest-bearing
   Federal funds purchased and securities sold under agreements to repurchase:
   Federal funds purchased in domestic offices
   Securities sold under agreements to repurchase
   Trading liabilities
   Other borrowed money:
   (includes mortgage indebtedness and obligations under capitalized leases)
   Not applicable
   Not applicable
   Subordinated notes and debentures
   Other liabilities

   Total liabilities

   EQUITY CAPITAL
   Perpetual preferred stock and related surplus
   Common stock
   Surplus (exclude all surplus related to preferred stock)
   Retained earnings
   Accumulated other comprehensive income
   Other equity capital components
   Total bank equity capital
   Noncontrolling (minority) interests in consolidated subsidiaries
   Total equity capital

   Total liabilities and equity capital
Dollar Amounts In Thousands
                          11,560,000

                        162,003,000



                         57,327,000
                         32,885,000
                         24,442,000
                         74,161,000
                          2,846,000
                         71,315,000

                            414,000
                             13,000
                          6,144,000

                          2,695,000


                          3,490,000
                          5,064,000

                        149,308,000


                                  0
                          1,135,000
                          8,297,000
                          7,991,000
                         (5,097,000)
                                  0
                         12,326,000
                            369,000
                         12,695,000

                        162,003,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE114
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                                      FORM T-1
                     SECURITIES AND EXCHANGE COMMISSION
                                Washington, D.C. 20549
                             STATEMENT OF ELIGIBILITY
                   UNDER THE TRUST INDENTURE ACT OF 1939 OF A
                   CORPORATION DESIGNATED TO ACT AS TRUSTEE
                     CHECK IF AN APPLICATION TO DETERMINE
                      ELIGIBILITY OF A TRUSTEE PURSUANT TO
   SECTION 305(b)(2)                      []

                                THE BANK OF NEW YORK MELLON
                           (Exact name of trustee as specified in its charter)

   New York                                         13-5160382
   (State of incorporation if not a                 (I.R.S. employer identification no.)
   U.S. national bank)

   One Wall Street, New York, N.Y.                                                         10286
   (Address of principal executive                  (Zip code)
   offices)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE115
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

                         CIT Group Funding Company of Delaware LLC
                        (Exact name of obligor as specified in its charter)

   Delaware                                    98-0469146
   (State or other jurisdiction of             (I.R.S. employer identification no.)
   incorporation or organization)

   1 CIT Drive
   Livingston, New Jersey                                                             7039
   (Address of principal executive             (Zip code)
   offices)
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE116
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   Name                                    Address

   Superintendent of Banks of the State    One State Street, New York, N.Y.
   of New York                             10004-1417, and Albany, N.Y. 12223

   Federal Reserve Bank of New York        33 Liberty Street, New York, N.Y.
                                           10045

   Federal Deposit Insurance Corporation   Washington, D.C. 20429

   New York Clearing House Association     New York, New York 10005
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE117
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE117
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009


   Consolidated Report of Condition of
   THE BANK OF NEW YORK MELLON
   of One Wall Street, New York, N.Y. 10286
   And Foreign and Domestic Subsidiaries,
   a member of the Federal Reserve System, at the close of business June 30, 2009,
   published in accordance with a call made by the Federal Reserve Bank of this
   District pursuant to the provisions of the Federal Reserve Act.

   ASSETS
   Cash and balances due from depository institutions:
   Noninterest-bearing balances and currency and coin
   Interest-bearing balances
   Securities:
   Held-to-maturity securities
   Available-for-sale securities
   Federal funds sold and securities purchased under agreements to resell:
   Federal funds sold in domestic offices
   Securities purchased under agreements to resell
   Loans and lease financing receivables:
   Loans and leases held for sale
   Loans and leases, net of unearned income
   LESS: Allowance for loan and lease losses
   Loans and leases, net of unearned income and allowance
   Trading assets
   Premises and fixed assets (including capitalized leases)
   Other real estate owned
   Investments in unconsolidated subsidiaries and associated companies
   Direct and indirect investments in real estate ventures
   Intangible assets:
   Goodwill
   Other intangible assets
EXHIBIT 7




Dollar Amounts In Thousands

                          3,228,000
                         56,028,000

                          6,782,000
                         39,436,000

                          1,319,000
                             50,000

                                  0
                         29,318,000
                            414,000
                         28,904,000
                          6,282,000
                          1,115,000
                              6,000
                            830,000
                                  0

                          4,949,000
                          1,514,000
Created by EDGAR Online, Inc.

CIT GROUP INC
TABLE118
Form Type: T-3
Period End: Unknown
Date Filed: Oct 02, 2009

   ASSETS
   Other assets

   Total assets

   LIABILITIES
   Deposits:
   In domestic offices
   Noninterest-bearing
   Interest-bearing
   In foreign offices, Edge and Agreement subsidiaries, and IBFs
   Noninterest-bearing
   Interest-bearing
   Federal funds purchased and securities sold under agreements to repurchase:
   Federal funds purchased in domestic offices
   Securities sold under agreements to repurchase
   Trading liabilities
   Other borrowed money:
   (includes mortgage indebtedness and obligations under capitalized leases)
   Not applicable
   Not applicable
   Subordinated notes and debentures
   Other liabilities

   Total liabilities

   EQUITY CAPITAL
   Perpetual preferred stock and related surplus
   Common stock
   Surplus (exclude all surplus related to preferred stock)
   Retained earnings
   Accumulated other comprehensive income
   Other equity capital components
   Total bank equity capital
   Noncontrolling (minority) interests in consolidated subsidiaries
   Total equity capital

   Total liabilities and equity capital
Dollar Amounts In Thousands
                          11,560,000

                        162,003,000



                         57,327,000
                         32,885,000
                         24,442,000
                         74,161,000
                          2,846,000
                         71,315,000

                            414,000
                             13,000
                          6,144,000

                          2,695,000


                          3,490,000
                          5,064,000

                        149,308,000


                                  0
                          1,135,000
                          8,297,000
                          7,991,000
                         (5,097,000)
                                  0
                         12,326,000
                            369,000
                         12,695,000

                        162,003,000

				
DOCUMENT INFO
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