...Filed Pursuant to Rule 433 Registration No. 333-187919 Issuer Free Writing Prospectus dated April 28, 2015 Relating to Preliminary Prospectus Supplement dated April 28, 2015 (to Prospectus dated April 15, 2013) ORACLE CORPORATION FINAL PRICING TERM SHEET 2.500% Notes due 2022 ("2022 Notes") Issuer: Oracle Corporation Principal Amount: $2,500,000,000 Maturity: May 15, 2022 Coupon: 2.500% Price to Public: 99.648% Interest Payment Dates: May 15 and November 15, commencing November 15, 2015 Day Count Convention: 30/360 Benchmark Treasury: 1.750% due March 31, 2022 Benchmark Treasury Yield: 1.755% Spread to Benchmark Treasury: + 80 basis points Yield: 2.555% Make-Whole Call: The 2022 Notes will be redeemable, in whole or in part at any time prior to March 15, 2022 (two months prior to the maturity date), at Oracle Corporation s option, at a "make-whole premium" redemption price calculated by Oracle Corporation equal to the greater of (i) 100% of the principal amount of the 2022 Notes to be redeemed...