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`
end
</PDF>DRAFT

FEBRUARY 26, 2007

ACCELERATED SHARE REPURCHASE TRANSACTION  

To:

Federated
Department Stores, Inc.

7
  West Seventh Street

Cincinnati, OH   45202

 

From:

Credit
  Suisse, New York Branch

Eleven Madison Avenue

  New York,
 NY  10010

________________________________________________________________________________

Dear
Sirs:

This letter agreement (this "Confirmation")
confirms the terms and conditions of the accelerated share repurchase
transaction (the "Transaction") to be entered into between Federated
Department Stores, Inc. ("Counterparty") and Credit Suisse,
New York Branch ("CSNY") on the Trade Date specified below.  This
Confirmation constitutes a "Confirmation" under the Agreement specified below.

1.     The
definitions and provisions contained in the 2002 ISDA Equity Derivatives
Definitions (the "Definitions") (as published by the
International Swaps and Derivatives Association, Inc.) are incorporated into
this Confirmation.  References herein to a "Transaction" shall be deemed to be
references to a "Share Forward Transaction" for purposes of the Definitions.  This Confirmation
evidences a complete binding agreement between Counterparty and CSNY as to the
terms of the Transaction to which this Confirmation relates.

        This
Confirmation shall supplement, form a part of, and be subject to an agreement
(the "Agreement") in the form of the 1992 ISDA Master Agreement
(Multicurrency - Cross Border), as if, on the date hereof, CSNY and
Counterparty had executed that agreement (but
without any Schedule other than the provisions in Section 15 of this
Confirmation).  In the event of any
inconsistency between the Definitions and the Agreement, the Definitions will
govern.  In the event of any inconsistency between this Confirmation, on
the one hand, and the Definitions or the Agreement, on the other hand, this
Confirmation will govern.

2.     The following terms and
conditions shall govern the Transaction:

General Terms:

               Trade Date:                           February
27, 2007.

               Buyer:                                   Counterparty.

               Seller:                                    CSNY.

            Shares:                                  The
common stock, par value $0.01 of Counterparty (sometimes also referred to as
the "Issuer").

              
Price Adjustment Period

               Termination Date:                  The
earlier of July 26, 2007 and the Exchange Business Day that immediately follows
the Scheduled Trading date as of which the aggregate Daily Number of Shares
equals the Number of Shares; subject to adjustment as provided in "Market
Disruption Event" below.

               Price Adjustment Period:       The
period commencing on and including the Scheduled Trading Day immediately
following the Initial Share Delivery Date and ending on but excluding the Price
Adjustment Period Termination Date.

Initial
Settlement:

               Prepayment:                          Applicable.

               Prepayment Amount:             USD
990,800,000

               Prepayment Date:                  Counterparty
will pay to CSNY the Prepayment Amount  on the Initial Share Delivery Date.

               Share
Price:                           USD 44.20

               Number of Shares:                 22,500,000

               Initial Share Delivery:             CSNY
shall deliver a number of shares equal to the Number of Shares to Counterparty
on the Initial Share Delivery Date in accordance with Section 9.4 of the Definitions
(with the Initial Share Delivery Date deemed to be a "Settlement Date" for
purposes of such Section 9.4), against payment by Counterparty of the
Prepayment Amount.

               Initial Share Delivery

Date:                                     The
day that is three (3) Clearance System Business Days after the date hereof.

               Exchange:                              New York Stock Exchange

               Related Exchange(s):             All
Exchanges

Final
Settlement:

               Net
Share Settlement:            Subject to the "Cash Settlement" provisions
hereof, and notwithstanding anything to the contrary in the Definitions, (i) if
the Net Share Amount is negative, CSNY shall deliver to Counterparty the CSNY
Share Delivery Amount, and (ii) if the Net Share Amount is positive,
Counterparty shall deliver to CSNY the Counterparty Share Delivery Amount, in
either case on the Settlement Date.

               CSNY Share Delivery

                Amount:                                A
number of Shares, rounded down to the nearest whole Share, equal to the
absolute value of the Net Share Amount.

               Counterparty Share

               Delivery Amount:                   A
number of Shares, rounded down to the nearest whole Share, equal to the Net
Share Amount; provided that if Counterparty delivers Unregistered
Shares, Counterparty shall deliver a number of Shares, rounded down to the
nearest whole Share, equal to the product of the Counterparty Share Delivery
Amount and 1.0075.

               Net Share Amount:                The
sum of the Daily Net Share Amounts for all Valuation Dates in the Price
Adjustment Period, provided that in no event shall the Net Share
Amount exceed 45,000,000 (as such number may be adjusted for stock splits or
similar events).

               Settlement Date:                    The
day that is three (3) Exchange Business Days following the Price Adjustment
Period Termination Date.

               Daily Net Share Amount:       For
each Valuation Date, a number of Shares (which may be positive or negative)
equal to (a) the Daily Difference for such Valuation Date divided by
(b) the Daily 10b-18 VWAP Price for such Valuation Date multiplied by
(c) the Daily Number of Shares for such Valuation Date.

               Daily Difference:                    For
each Valuation Date, an amount (which may be positive or negative) equal to (a)
the Daily 10b-18 VWAP Price for such Valuation Date plus (b) USD 0.02 minus
(c) the Share Price.

               Daily 10b-18 VWAP 

               Price:                                     For
each Valuation Date, the 10b-18 volume-weighted average price per Share on the
Exchange on such day as published on Bloomberg Page "FD.N <Equity> AQR
SEC" or any successor page thereto.

               Daily Number
of

               Shares:                                  For
any Valuation Date that is not in a Plan Period, the number of Shares specified
by Counterparty by notice to CSNY no
later than 8:45 a.m., New York City time, on such date, which number shall be
no greater than the maximum number of Shares that CSNY may purchase on such
Valuation Date under Rule 10b-18 (as defined below); provided that if
Counterparty does not timely provide such notice on any Valuation Date, the
Daily Number of Shares shall be 300,000 for such date.  For any Valuation Date
in a Plan Period, the Daily Number of Shares shall be 300,000.  Notwithstanding
the foregoing, (i) the aggregate of the Daily Number of Shares for all valuation
Dates shall not exceed the Number of Shares and (ii) the Daily Number of Shares
for the Final Valuation Date shall equal the Number of Shares minus the
aggregate of the Daily Number of Shares for all prior Valuation Dates.

               Plan Period:                           The
period that commences on the date on which  Counterparty notifies CSNY that the
Transaction shall constitute a plan or agreement of the type contemplated in
Rule 10b5-1(c) of the Exchange Act (as defined below) (a "Plan") and
ends on the earlier of the Settlement Date or the Cash Settlement Date, as the
case may be, or the next Plan Termination Date.

               Plan Termination Date:           The
date on which Counterparty notifies CSNY that the Transaction shall no longer
constitute a Plan.

               Valuation Date:                      Any
Scheduled Trading Day in the Price Adjustment Period or the Cash Settlement
Pricing Period, as the case may be, that is not a Valuation Disruption Day.

               Valuation Disruption Day:      A
Scheduled Trading Day designated as such pursuant to the provisions of Market
Disruption Event.

               Market Disruption Event:       Section
6.3(a) of the Definitions is hereby amended by replacing clause (ii) thereof in
its entirety with the following: "(ii) an Exchange Disruption at any time prior
to the relevant Valuation Time on the relevant Valuation Date, or" and
inserting immediately following clause (iii) thereof the following: "; in each
case that the Calculation Agent determines is material."

               

                                                            Notwithstanding
anything to the contrary in the Definitions, for each Scheduled Trading Day in
the Price Adjustment Period or the Cash Settlement Pricing Period (i) that is a
Disrupted Day or a day designated as a Disrupted Day pursuant to Section 5.6 or
Section 7 hereof or (ii) on which CSNY or its
affiliates (collectively, "CS") reasonably determine that it
would be appropriate, in light of any legal, regulatory or self-regulatory
requirements or related policies and procedures (whether or not such
requirements, policies or procedures are imposed by law or have been
voluntarily adopted by CS), for CS to refrain from purchasing Shares in
connection with this Transaction or to purchase fewer than the number of Shares
that it would otherwise purchase in connection with this Transaction on such
day, CSNY may, by written notice to Counterparty at any time on or prior
to the Price Adjustment Period Termination Date or the final Scheduled Trading
Day of the Cash Settlement Pricing Period, as the case may be, in its good
faith sole discretion, elect to designate such day a Valuation Disruption Day
and extend the Price Adjustment Period or the Cash Settlement Pricing Period,
as applicable, and postpone the Price Adjustment Period Termination Date by an
additional Scheduled Trading Day.

               Cash Settlement:                    Counterparty
may, in lieu of its obligation to deliver Shares in accordance with the "Net
Share Settlement" provisions hereof, by written notice to CSNY at any time no
later than the opening of trading on the fifth Scheduled Trading Day prior to
the Price Adjustment Period Termination Date, elect to pay to CSNY on the Cash
Settlement Date an amount in cash equal to the Cash Settlement Amount.

               Cash Settlement Date:            The
Exchange Business Day immediately following the last day of the Cash Settlement
Pricing Period.

               Cash Settlement Amount:       The
Counterparty Share Delivery Amount multiplied by the arithmetic
average of the Daily 10b-18 VWAP Prices for each Valuation Date during the Cash
Settlement Pricing Period.

               Cash
Settlement Pricing

               Period:                                  The
number of Valuation Dates so specified by CSNY following receipt by CSNY of the
notice described in the Cash Settlement provision hereof, commencing on the
Scheduled Trading Day immediately following the Price Adjustment Period
Termination Date. 

               Calculation Agent:                  CSNY.

               Credit Support Documents:    CSNY:             None

                                                            Counterparty:   None

            Share Adjustments:

            Potential Adjustment

            Events: Section 11.2(e)(iii)
of the Definitions shall be deleted in its entirety.         

            Method of Adjustment:             Calculation
Agent Adjustment

            

            Extraordinary
Events:

                 Consequences of
Merger Events:

                 (a)   Share-for-Share:           Modified
Calculation Agent Adjustment; provided however, any adjustment shall not
be made to account for changes in expected dividends or stock loan rate.

                 (b)   Share-for-Other:           Cancellation
and Payment (Calculation Agent Determination); provided however, the
calculation of Cancellation Amount shall not take into account any changes in
expected dividends or stock loan rate.

                 (c)   Share-for-Combined:    Component
Adjustment

                        Determining
Party:        CSNY

                 Tender Offer:                       Applicable

                 Consequences of
Tender Offer:

                 (a)   Share-for-Share:           Modified
Calculation Agent Adjustment; provided however, any adjustment shall not
be made to account for changes in expected dividends or stock loan rate.

                 (b)   Share-for-Other:           Cancellation
and Payment (Calculation Agent Determination); provided however, the
calculation of Cancellation Amount shall not take into account any changes in
expected dividends or stock loan rate.

                 (c)   Share-for-Combined:    Component
Adjustment

                         Determining
Party:       CSNY

               Nationalization,
Insolvency

               or Delisting:                           Cancellation
and Payment (Calculation Agent Determination); provided however, the
calculation of Cancellation Amount shall not take into account any changes in
expected dividends or stock loan rate; provided further in addition to
the provisions of Section 12.6(a)(iii) of the Definitions, it shall also
constitute a Delisting if the Shares are not immediately re-listed, re-traded
or re-quoted on any of the New York Stock Exchange, the American Stock
Exchange, the NASDAQ Global Market or the NASDAQ Global Select Market (or their
respective successors); if the Shares are immediately re-listed, re-traded or
re-quoted on any such exchange or quotation system, such exchange or quotation
system shall be deemed to be the Exchange.

Additional Disruption Events:

                  (a) Change-in-Law:            Applicable

                  (b) Insolvency
Filing:           Applicable

Determining
Party:                                CSNY

Additional Termination Event:                CSNY may designate any Scheduled Trading Day as an Early
Termination Date with respect to the Transaction if at any time during
the Price Adjustment Period or the Cash Settlement Pricing Period, as the case
may be, Counterparty declares a cash dividend the amount per share of which differs
from its Ordinary Cash Dividend Amount. In such case, this Transaction shall be
the sole Affected Transaction and Counterparty shall be the sole Affected
Party.  "Ordinary Cash Dividend Amount" means USD 0.1275 per Share for
the first dividend or distribution, USD 0.1300 per Share or USD 0.1275 per
Share for the second dividend or distribution, in each case, on the Shares for which
the ex-dividend date falls within a regular dividend period of the Issuer, and
zero for any subsequent dividend or distribution on the Shares for which the
ex-dividend date falls within the same regular dividend period of the Issuer. 
In calculating any payment payable by one party to the other pursuant to an
Additional Termination Event, CSNY shall not take into account any expected
dividends or stock loan rate.

Non-Reliance/
Agreements and

Acknowledgments
Regarding

Hedging
Activities/ Additional

Acknowledgments:                               Applicable

CSNY's
Contact Details

for Purpose of
Giving 

Notice:                                                 Address
for notices and communications to CSNY (other than by facsimile)(for all
purposes):

                                             Credit
  Suisse, New York Branch

 

                                             Eleven Madison Avenue

                                             New York, NY  10010

                                             Attn:
Senior Legal Officer

                                             Tel:
(212) 538-4488

                                             Fax:
(212) 325-4585

 

For payments and deliveries:

Attn: DSG Settlements
Manager

Tel: (212) 538-9810

Fax: (212) 325-0275

 

For all other communications:

Attn: DSG Equities
Documentation Manager

Tel: (212) 538-4437

Fax: (212) 325-8719

Counterparty's
Contact

Details
for Purpose of

Giving
Notice:                                       Federated Department Stores, Inc.

                                                            7 West Seventh Street

                                                            Cincinnati, OH 45202

                                                            Attention:  Dennis J. Broderick,

                                                            Senior Vice President, General Counsel and Secretary

                                                            Tel:  (513) 579-7560

                                                            Fax:  (513) 579-7354 

With a copy to:

Federated Department Stores, Inc. 

7 West Seventh Street 

Cincinnati, OH 45202 

Attention:  Brian Szames, Treasurer 

Tel:  (513) 579-7182 

Fax: 
(513) 579-7393

3.     Share
Settlement:

3.1   Upon (x)
the occurrence or effective designation of an Early Termination Date in respect
of the Transaction or (y) the occurrence of an Extraordinary Event that results
in the cancellation or termination of the Transaction pursuant to Section 12.2,
12.3, 12.6 or 12.9 of the 2002 Definitions (any such event as described in
clause (x) or (y) above, an "Early Termination Event") (except, in the
case of clause (y), an Extraordinary Event that is a Nationalization,
Insolvency, a Merger Event or a Tender Offer, in each case, in which the
consideration or proceeds to be paid to holders of Shares consists solely of
cash), if one party would owe any amount to the other party pursuant to Section
6(d)(ii) of the Agreement or any Cancellation Amount pursuant to Section 12.2,
12.3, 12.6 or 12.9 of the 2002 Definitions (any such amount, a "Payment
Amount"), then on the date on which any Payment Amount is due, in lieu of
any payment or delivery of such Payment Amount, Buyer may elect, by prior
written notice to Seller, that the party owing such amount shall deliver to the
other party a number of Shares (or, in the case of a Merger Event, Tender
Offer, Nationalization or Insolvency, a number of units, each comprising the
number or amount of the securities or property that a hypothetical holder of
one Share would receive in such Extraordinary Event (each such unit, an "Alternative
Termination Delivery Unit" and, the securities or property comprising such
unit, "Alternative Termination Property")) with a value equal to the
Payment Amount based on the market value of the Shares (or such Alternative
Termination Property) as of the Early Termination Date or the date as of which
the Cancellation Amount is determined, as the case may be, as determined by the
Calculation Agent; provided that, notwithstanding anything to the
contrary in the Definitions or the Agreement, any Payment Amount shall be
determined without taking into account any expected dividend, interest rate, stock
loan rate or liquidity relevant to the Shares; provided further that in
determining the composition of any Alternative Termination Delivery Unit, if
the relevant Extraordinary Event involves a choice of consideration to be
received by holders, such holder shall be deemed to have elected to receive the
maximum possible amount of cash.    

3.2   Notwithstanding anything to the contrary in this
Confirmation, Counterparty acknowledges and agrees that CSNY's right to receive
or CSNY's obligation to deliver, as the case may be, any Shares (or any other class of
voting securities of Counterparty) shall be suspended, in
whole or in part, if such delivery or receipt would result in the ultimate parent entity
of CSNY directly or indirectly beneficially owning  (as such term is defined
for purposes of Section 13(d) of the Securities
Exchange Act of 1934, as amended (the "Exchange Act")) in excess of 9.0% of the outstanding
Shares or
any other class of voting securities of Counterparty. 

        If, on any day, any
delivery or receipt of Shares by CSNY is suspended, in whole or in part, as a
result of this provision, (i) any purported receipt or delivery of Shares shall
be void and have no effect; and (ii) the respective obligations of Counterparty
and CSNY to make or accept such receipt or delivery shall not be extinguished
and such receipt or delivery shall be effected over time as promptly as
practicable after CSNY determines, in a commercially reasonable manner, that
such receipt or delivery would not result in its ultimate parent entity
directly or indirectly beneficially owning in excess of 9.0% of the outstanding
Shares or
any other class of voting securities of Counterparty.

3.3   Notwithstanding Section 9.11 of the Definitions, but
subject to the last paragraph of this Section 3.3, the parties acknowledge that
Shares delivered as part of Counterparty Share Delivery Amount or pursuant to
this Section 3 may be Unregistered Shares.  For the purposes hereof, "Unregistered
Shares" means Shares that have not been registered pursuant to an
effective registration statement under the Securities Act of 1933, as amended
(the "Securities Act") or any state securities laws ("Blue
Sky Laws") or Shares that cannot otherwise be freely sold, transferred,
pledged or otherwise disposed of without registration under the Securities Act
unless such sale, transfer, pledge or other disposition is made in a
transaction exempt from or not subject to registration thereunder.

        Upon request by CS,
Counterparty agrees to promptly remove, or cause to be removed, any legends
referring to any transfer restrictions from such Unregistered Shares upon
delivery by CS to Counterparty of a seller's representation letter in the form
customarily delivered by CS in connection with resales of restricted securities
pursuant to Rule 144 under the Securities Act in order to substantiate the
legality of such resale, each without any further requirement for the delivery
of any certificate, consent, agreement, opinion of counsel, notice or any other
document, any transfer tax stamps or payment of any other amount or any other
action by CS; provided that at the time of such request, CS has satisfied
all holding period and other requirements of Rule 144 applicable to CS. 

        Notwithstanding anything to the
contrary in this Confirmation, at the election of CS by notice to Counterparty
no later than two Exchange Business Days prior to the Price Adjustment Period
Termination Date, any delivery of Shares by Counterparty as part of the
Counterparty Share Delivery Amount or pursuant to this Section 3 shall comply
with the terms of Annex A hereof.

4.     Additional Agreements of the Parties:

4.1   For the avoidance of doubt,
the last sentence of the first paragraph of 6(e) of the Agreement shall not
apply with respect to this Transaction.

4.2   CSNY agrees that in the event of the
bankruptcy of Counterparty, CSNY shall not have rights or assert a claim that
is senior in priority to the rights and claims available to the shareholders of
the common stock of Counterparty; provided, however, that nothing herein
shall limit or shall be deemed to limit CSNY's right to pursue remedies in the
event of a breach by Counterparty of its obligations and agreements with
respect to this Transaction; and provided further that in pursuing a
claim against Counterparty in the event of a bankruptcy, insolvency or
dissolution with respect to Counterparty, CSNY's rights hereunder shall rank on
a parity with the rights of a holder of Shares enforcing similar rights under a
contract involving Shares.

4.3   The parties acknowledge that this
Transaction is not secured by any collateral that would otherwise secure the
obligations of Counterparty hereunder.

4.4   The parties intend that (A) each of the Agreement and this Confirmation
is a "securities contract," as such term is defined in Section 741(7) of the
Bankruptcy Code (Title 11 of the United States Code) (the "Bankruptcy Code"),
with respect to which each payment and delivery hereunder or thereunder or in
connection herewith or therewith is a "settlement payment" within the meaning
of Sections 362 and 546 of the Bankruptcy Code, (B) the rights given to CSNY
under the Agreement and under this Confirmation upon the occurrence of an Event
of Default constitute a "contractual right" to cause the liquidation, termination
or acceleration of, and to offset or net out termination values or payment
amounts and set off mutual debts and claims under or in connection with, a
"securities contract" as such terms are used in Sections 555, 561, and
362(b)(6) of the Bankruptcy Code, and (C) CSNY is entitled to the protections
afforded by, among other sections, Sections 362(b)(6), 362(o), 546(e), 555 and
561 of the Bankruptcy Code.

5.     Rule 10b-18:

 

5.1   Any purchases or sales of Shares
by CS will be conducted independently of Counterparty.  The timing of any CS
purchases or sales of Shares, the number of Shares thus purchased or sold on
any day, the price paid or received per Share for any CS purchases or sales of
Shares and the manner in which any CS purchases or sales of Shares are made,
including without limitation whether such CS purchases or sales are made on any
securities exchange or privately, shall be within the sole discretion of CS.

5.2   CS shall effect any purchases of
Shares in connection with this Transaction in a manner that would, if CS were
Counterparty or an "affiliated purchaser" (as such term is defined under Rule
10b-18 ("Rule 10b-18")
under the Exchange Act) of Counterparty,
be subject to the safe harbor provided by Rule 10b-18(b) or otherwise in a
manner that CS, in good faith, believes is in compliance with applicable
requirements.

5.3   From the date hereof to the Price
Adjustment Period Termination Date and on any day during the Cash Settlement
Pricing Period, Counterparty will effect all of its purchase transactions in
Shares through Credit Suisse Securities (USA) LLC.  

5.4   Upon request by CSNY, Counterparty shall, at least one day prior
to the first day of the Price Adjustment Period, notify CSNY of the total
number of Shares purchased in Rule 10b-18 purchases of blocks pursuant to the
once-a-week block exception contained in Rule 10b-18(b)(4) by or for
Counterparty or any of its affiliated purchasers during each of the four
calendar weeks preceding the first day of the Price Adjustment Period and
during the calendar week in which the first day of the Price Adjustment Period
occurs ("Rule 10b-18 purchase", "blocks" and "affiliated purchaser" each being
used as defined in Rule 10b-18). 

5.5   Neither Counterparty nor any of
its affiliates shall take any action that would cause any CS purchases of
Shares in connection with this Transaction not to meet the requirements of the
safe harbor provided by Rule 10b-18 under the Exchange Act if such purchases
were made by Counterparty.  Without limiting the foregoing, Counterparty shall
not designate a Daily Number of Shares for any Valuation Date in excess of the
Number of Shares it would be permitted to purchase on such date pursuant to the
safe harbor in Rule 10b-18(b) (taking into account any other purchases by
Counterparty or its "affiliated purchasers" (as defined in Rule 10b-18) on such
day).

5.6   Notwithstanding anything to the
contrary herein or in the Definitions, to the extent that an Announcement Date
for a potential Merger Transaction occurs during the Price Adjustment Period:

(a)   
Promptly after request from CSNY,
Counterparty shall provide CSNY with written notice specifying (i)
Counterparty's average daily Rule 10b-18 purchases (as defined in Rule 10b-18)
during the three full calendar months immediately preceding the Announcement
Date that were not effected through CS, and (ii) the number of Shares purchased
pursuant to the proviso in Rule 10b-18(b)(4) for the three full months
preceding the Announcement Date.  Such written notice shall be deemed to be a
certification by Counterparty to CSNY that such information is true and
correct.  Counterparty understands that CSNY will use this information in
calculating the trading volume for purposes of Rule 10b-18; and

(b)  
CSNY may in its good faith sole
discretion, if it determines the resulting reduction in permissible volume of
Rule 10b-18 purchases to be material, designate one or more Scheduled Trading
Days in the period from and including the public announcement thereof to and
including the earlier of the completion of such transaction or the completion
of the vote by target shareholders to be Disrupted Days and extend the Price
Adjustment Period Termination Date by the number of Disrupted Days so
designated.

For the avoidance of doubt, "Merger Transaction"
in this Section 5.6 means any merger, acquisition or similar transaction
involving a recapitalization as contemplated by Rule 10b-18(a)(13)(iv).

6.     Indemnification
and Contribution:

6.1   Indemnification
by Counterparty:

 

Counterparty agrees to indemnify and hold harmless CSNY,
its affiliates, their respective directors, officers, employees, agents,
advisors, brokers and representatives and each person who controls CSNY or its
affiliates within the meaning of either the Securities Act or the Exchange Act
against, and Counterparty agrees that no indemnified party shall have any
liability to Counterparty or any of its affiliates, officers, directors, or
employees for, any losses, claims, damages, liabilities (whether direct or
indirect, in contract, tort or otherwise) or expenses, joint or several, to
which any indemnified party may become subject under the Securities Act, the
Exchange Act or other federal or state statutory law or regulation, at common
law or otherwise, insofar as such losses, claims, damages, liabilities or expenses
(or actions, claims, investigations or proceedings in respect thereof, whether
commenced or threatened) (i) arise out of or relate to (A) actions or failures
to act by Counterparty or (B) actions or failures to act by an indemnified
party with the consent of, upon the direction of, Counterparty or (ii)
otherwise arise out of or relate to the Transaction or any related
transactions. The foregoing provisions of this Section 6.1 shall not apply to
the extent that any loss, claim, damage, liability or expense is found in a
final and nonappealable judgment by a court to have resulted primarily from a material
breach by CSNY of the Agreement or the gross negligence or willful misconduct
of CSNY. Counterparty agrees to reimburse promptly each such indemnified party
for any legal or other expenses reasonably incurred by them in connection with
investigating or defending any such loss, claim, damages, liability, expense or
action.  This indemnity agreement will be in addition to any liability which
Counterparty may otherwise have.

 

6.2  Contribution:

        If the indemnification provided
for above is unavailable to any indemnified party in respect of any losses,
claims, damages, liabilities or expenses referred to herein, then Counterparty,
in lieu of indemnifying such indemnified party, shall contribute to the amount
paid or payable by such indemnified party as a result of such losses, claims,
damages, liabilities or expenses, in such proportion as is appropriate to
reflect not only the relative fault of Counterparty on the one hand and of CSNY
on the other in connection with the statements or omissions which resulted in
such losses, claims, damages, expenses or liabilities, but also any other
relevant equitable considerations.  The relative fault of Counterparty on the
one hand and CSNY on the other shall be determined by reference to, among other
considerations, whether the misstatement or alleged misstatement of a material
fact or the omission or alleged omission to state a material fact relates to
information supplied by Counterparty or by CSNY and the parties' relative
intent, knowledge, access to information and opportunity to correct or prevent
such statement or omission.  The amount paid or payable by a party as a result
of the losses, claims, damages, liabilities and expenses referred to above
shall be deemed to include any legal or other fees or expenses reasonably
incurred by such party in connection with investigating or defending any action
or claim.  The parties agree that it would not be just and equitable if
contribution pursuant to this Section 6.2 were determined by a method of
allocation that does not take account of the equitable considerations referred
to in this paragraph.  No person guilty of fraudulent misrepresentation (within
the meaning of Section 11(f) of the Securities Act) shall be entitled to
contribution from any person who was not guilty of such fraudulent
misrepresentation.

7.     Distribution Event:

        Counterparty represents that it
is not engaged as of the Trade Date in a distribution, as such term is used in
Regulation M under the Exchange Act, other than a distribution referred to in
Rules 102(b) and 102(c) of Regulation M (a "Distribution").  On any day prior to the second Scheduled Trading
Day immediately following the last day of the later of the Price Adjustment
Period or the Cash
Settlement Pricing Period, as the case may be, neither Counterparty nor any of its affiliates or
agents shall make a Distribution of Shares, or any security for which the
Shares are a reference security (as defined in Regulation M) that would, in the
view of CSNY, preclude Counterparty from purchasing Shares or cause any such
purchases to violate any law, rule or regulation.  If, notwithstanding the
provisions of this Section 7, on any Scheduled Trading Day during the Price
Adjustment Period or the Cash Settlement Pricing Period Counterparty or any of
its affiliates or agents shall engage in any Distribution, CSNY may, in its
good faith sole discretion, designate such day a Disrupted Day and, in
connection with such designation, extend the Price Adjustment Period
Termination Date or the Cash Settlement Pricing Period, as applicable, by one
Valuation Day for each day
that such Distribution continues.

        If a Distribution occurs, then
Counterparty agrees that it will provide to CSNY at least one Scheduled Trading
Day's notice of such Distribution and will use its reasonable efforts to cause
such Distribution to be completed or otherwise terminated as soon as reasonably
practicable given the circumstances of the Distribution, it being understood
that it is fully within Counterparty's discretion to undertake transactions
pursuant to Regulation M.

8.     Additional
Representations and Warranties of Counterparty:

8.1   Counterparty
hereby represents and warrants to CSNY that:

(a)    This Transaction shall be
entered into

(i)          in connection with the
continuation of a duly authorized Share repurchase program to be publicly
announced on the Trade Date; and

            (ii)         solely for the
purposes stated in such public disclosures.

(b)    As of the Trade Date, each
Valuation Date that is not in a Plan Period and the date, if any, as of which
Counterparty elects that "Cash Settlement" shall apply, it has complied with
all applicable law, rules and regulations in connection with disclosure of all material
information with respect to its business, operations or condition (financial or
otherwise), and has filed such disclosure as required.  As of the date hereof
after giving effect to the Transaction and as of each day until its obligations
under this Transaction are satisfied it can purchase the Number of Shares in
compliance with applicable law. 

(c)    As of the Trade Date, each
Valuation Date that is not in a Plan Period and the date, if any, as of which
Counterparty elects that "Cash Settlement" shall apply, all reports and other
documents filed by Counterparty with the Securities and Exchange Commission
pursuant to the Exchange Act, when considered as a whole (with the more recent
such reports and documents deemed to amend or supersede inconsistent statements
contained in any earlier such reports and documents), do not contain any untrue
statement of a material fact or any omission of a material fact required to be
stated therein or necessary to make the statements therein, in the light of the
circumstances in which they were made, not misleading.  On the Trade Date, each
Valuation Date that is not in a Plan Period and the date on which Counterparty
elects "Cash Settlement", Counterparty is not in possession of any material
nonpublic information regarding Counterparty or the Shares.

(d)    During a Plan Period, (i) the
parties intend for the Transaction to comply with the requirements of Rule
10b5-1(c)(1)(i)(B) under the Exchange Act and this Confirmation and the
Agreement to constitute a binding contract, instruction or plan satisfying the
requirements of 10b5-1(c) and to be interpreted to comply with the requirements
of Rule 10b5-1(c); (ii) the parties agree that they will not communicate in any
way regarding CS's purchases;  (iii) Counterparty and its agents or
representatives shall not have, and shall not attempt to exert, any influence
over how, when or whether CS effects purchases of Shares and (iv) Counterparty
has not entered into or altered any hedging transaction relating to the Shares
corresponding to or offsetting the Transaction.

(e)  Counterparty is entering into this
Transaction in good faith and not as part of a plan or scheme to evade the
prohibitions of Rule 10b5-1. Counterparty also acknowledges and agrees that any
amendment, modification, waiver or termination of this Confirmation must be
effected in accordance with the requirements for the amendment or termination
of a "plan" as defined in Rule 10b5-1(c).  Without limiting the generality of
the foregoing, any such amendment, modification, waiver or termination during a
Plan Period shall be made in good faith and not as part of a plan or scheme to
evade the prohibitions of Rule 10b-5, and no such amendment, modification,
waiver or termination shall be made during a Plan Period at any time at which
Counterparty is aware of any material non-public information regarding
Counterparty or the Shares.

(f)     Counterparty is, and shall be
as of the date of any payment or delivery by Counterparty hereunder, solvent
and able to pay its debts as they come due, with assets having a fair value
greater than liabilities and with capital sufficient to carry on the businesses
in which it engages.

8.2   Counterparty hereby represents
and warrants that, based on the facts and circumstances existing as of the date
hereof, it is not prohibited by law, contract or otherwise from purchasing the
Number of Shares, and that on each Valuation Date that is not in a Plan Period,
it is not prohibited by law, contract or otherwise from purchasing Shares in a
number equal to the Daily Number of Shares for such date.

9.     Additional
Covenants of Counterparty:

        Counterparty
shall not at any time prior to the termination of this Transaction communicate,
directly or indirectly, any material nonpublic information concerning itself or
the Shares or purchases or sales of Shares by CS to any Relevant CSNY
Personnel.  For purposes hereof, "Relevant CSNY Personnel" means
any employee of CS, except employees that CSNY has notified Counterparty in
writing are not Relevant CSNY Personnel.

10.   Additional Representations,
Warranties and Covenants:

10.1 As this Transaction constitutes,
or may constitute, the sale by CSNY to Counterparty of a security or securities
(as defined in the Securities Act), in addition to the representations contained
in Section 3 of the Agreement, Counterparty hereby represents to CSNY, in
accordance with Section 3 of the Agreement, as follows:

        (a)            Counterparty is
acquiring such securities for its own account as principal, for investment
purposes only, and not with a view to, or for, resale, distribution or
fractionalisation thereof, in whole or in part, and no other person has a
direct or indirect beneficial interest in any such securities acquired by
Counterparty;

        (b)           Counterparty
represents and warrants that it qualifies as an "eligible contract participant"
as that term is defined in the U.S. Commodity Exchange Act, as amended, and is
a "qualified investor" as that term is defined in the Exchange Act;

        (c)            Counterparty
represents and warrants that it is not an "investment company" as that term is
defined in the Investment Company Act of 1940, as amended;

(d)           Counterparty understands that the offer
and sale by CSNY of such securities are intended to be exempt from registration
under the Securities Act.  In furtherance thereof, Counterparty represents and
warrants that (i) it has the financial ability to bear the economic risk of its
investment and has adequate means of providing for its current needs and other
contingencies, (ii) it is experienced in investing in options and similar
instruments and has determined that such securities are a suitable investment
for it, (iii) it is an institution that qualifies as an "accredited investor"
as that term is defined in Regulation D under the Securities Act; and

        (e)            Counterparty has
been given the opportunity to ask questions of, and receive answers from, CSNY
concerning the terms and conditions of such securities and concerning the
financial condition and business operations of CSNY and has been given the
opportunity to obtain such additional information necessary in order for
Counterparty to evaluate the merits and risks of purchase of such securities to
the extent CSNY possesses such information or can acquire it without
unreasonable effort or expense.

10.2 Counterparty hereby acknowledges
that it understands and agrees that disposition of any such securities is
restricted under the Agreement, the Securities Act and state securities laws. 
For example, such Securities have not been registered under the Securities Act
or under the securities laws of certain states and, therefore, cannot be
resold, pledged, assigned or otherwise disposed of unless they have been
registered under the Securities Act and under the applicable laws of such
states or an exemption from such registration is available.

10.3 CSNY hereby represents and
warrants to Counterparty that, for U.S. federal income tax purposes: (i) it is
a beneficial owner of each payment received or to be received under this
Confirmation; (ii) each such payment received under this Confirmation will be
effectively connected with its conduct of a trade or business in the United
States; and (iii) Credit Suisse Securities (USA) LLC is an entity that is
disregarded as separate from its owner, Credit Suisse (USA) Inc., which is a
"United States person" as defined in Section 7701(a)(30) of the Internal
Revenue Code.  Any successor entity to CSNY or Credit Suisse Securities (USA)
LLC shall make such representations and provide such documents as are necessary
to ensure that any payments made pursuant to this transaction are free of U.S. withholding tax, but only to the extent that it is reasonably feasible, legally and
commercially, to do so.

11.   Transfer:

 

        Notwithstanding anything to the
contrary in the Agreement, CSNY may assign or transfer its rights or
obligations under this Transaction, in whole or in part, to any of its
affiliates without the prior written consent of Counterparty, provided that the
senior unsecured debt rating
("Credit Rating") of such affiliate (or any guarantor of its obligations
under the transferred Transaction) is equal to or greater than the Credit
Rating of CSNY as of the Trade Date, as specified by S&P or Moody's, and provided further that Counterparty shall not incur
any additional costs, expenses or other economic loss (including any costs or
expenses relating to any additional withholding) as a result of any such
assignment or transfer.

12.   Account Details:

        Payments to CSNY:                     To
be advised

        Payments
to Counterparty:            To be advised

13.   Governing Law; Waiver of Jury Trial:

13.1     The Agreement and this Confirmation, and all
disputes arising out of or in connection with the Agreement and this
Confirmation or the subject matter hereof, will be governed by and construed in
accordance with the laws of the State of New York without reference to choice
of law doctrine and each party hereby submits to the non-exclusive jurisdiction
of the Courts of the State of New York or the U.S. federal courts in each case
located in the Borough of Manhattan in New York City.

13.2     CSNY and Counterparty hereby irrevocably
waive any and all right to trial by jury in any legal proceeding arising
out of or related to the Agreement, this Confirmation or the Transaction
contemplated hereby. 

14.   Tax Disclosure:

Notwithstanding
any provision in this Confirmation, in connection with Section 1.6011-4 of the
Treasury Regulations, the parties hereby agree that each party (and each
employee, representative, or other agent of such party) may disclose to any and
all persons, without limitation of any kind, the U.S. tax treatment and U.S.
tax structure of the Transaction and all materials of any kind (including
opinions or other tax analyses) that are provided to such party relating to
such U.S. tax treatment and U.S. tax structure, other than any information for
which nondisclosure is reasonably necessary in order to comply with applicable
securities laws.

15.   Additional Elections:  

(a)        The
Termination Currency shall be U.S. dollars.

            (b)        For
purposes of Section 6(e) of the Agreement, Second Method and Loss shall apply.

            (c)        The
"Cross-Default" provisions of Section 5(a)(vi) of the Agreement shall apply to
CSNY and Counterparty.  "Specified Entity" for purposes of Section 5(a)(vi) of
the Agreement shall  mean any entity that is a "significant subsidiary" (as
defined in Rule 1-02(w) of Regulation S-X) of CSNY or Counterparty, as
applicable.  The "Threshold Amount" shall be shall be $100,000,000 with respect
to CSNY and shall be $100,000,000 with respect to Counterparty.  Instead of the
definition in Section 14 of the Agreement, "Specified Indebtedness" shall mean
any obligation (whether present or future, contingent or otherwise, as
principal or surety or otherwise) (a) in respect of borrowed money, and/or (b)
in respect of any Specified Transaction (except that, for this purpose only,
the words "and any other entity" shall be substituted for the words "and the
other party to this Agreement (or any Credit Support Provider of such other
party or any applicable Specified Entity of such other party)" where they
appear in the definition of Specified Transaction).

            (d)        The
"Credit Event Upon Merger" provisions of Section 5(b)(iv) of the ISDA Master
Agreement shall apply to CSNY and Counterparty.

(e)        The
"Automatic Early Termination" provision of Section 6(a) of the ISDA Master
Agreement will not apply to CSNY and will not apply to Counterparty.

Please confirm that the foregoing
correctly sets forth the terms of our agreement by signing and returning to us
a copy of this Confirmation.

                                                                           Yours
sincerely,

                                                                           

                                                                           CREDIT
SUISSE,

                                                                           NEW YORK BRANCH

                                                                           

                                                                           By:
    ____________________________

                                                                           Name:           

                                                                           Title:  

Agreed
to as of the date first above written.

FEDERATED DEPARTMENT STORES, iNC.

By:
                                                      

Name:  

Title:     

  

 

Share Delivery Conditions

1.         If CSNY has elected that this Annex A applies
to the delivery of Shares by Counterparty, Counterparty may only deliver Shares
if:

(a)        a registration statement
covering public resale of such Shares by CSNY (the "Registration
Statement") shall have been filed with, and declared effective by, the
Securities and Exchange Commission under the Securities Act on or prior to the
Price Adjustment Period Termination Date (or, with respect to Shares delivered
pursuant to Section 3 of the Confirmation, the Merger Date, the Tender Offer
Date or the date of the occurrence of the Insolvency, Delisting or the Early
Termination Date (as the case might be)) (the "Registration Date"),
and no stop order shall be in effect with respect to the Registration
Statement; a printed prospectus relating to the Shares (including any
prospectus supplement thereto, the "Prospectus") shall have been
delivered to CSNY, in such quantities as CSNY shall reasonably have requested,
on or prior to the Registration Date;

(b)        the form and content of
the Registration Statement and the Prospectus (including, without limitation,
any sections describing the plan of distribution) shall be satisfactory to
CSNY;

(c)        as of or prior to the
Registration Date, CSNY and its agents shall have been afforded a reasonable
opportunity to conduct a due diligence investigation with respect to
Counterparty customary in scope for underwritten offerings of equity securities
and the results of such investigation are satisfactory to CSNY, in its
discretion; and

(d)        as of the Registration
Date, an agreement (the "Underwriting Agreement") shall have been
entered into with CSNY in connection with the public resale of the Shares by
CSNY substantially similar to underwriting agreements customary for
underwritten offerings of equity securities, in form and substance satisfactory
to CSNY, which Underwriting Agreement shall include, without limitation,
provisions substantially similar to those contained in such underwriting
agreements relating to the indemnification of, and contribution in connection
with the liability of, CSNY and its affiliates.

2.         If CSNY has elected that this Annex A applies
to the delivery of Shares by Counterparty, but Counterparty is unable to comply
with any of the terms of paragraph 1 above, or CSNY elects that this Paragraph
2 shall apply in lieu of Paragraph 1, Counterparty shall either:

(a)        deliver a number of
Unregistered Shares equal to (x) the Cash Settlement
Amount (calculated based on the average Daily 10b-18 VWAP Price for one or more
Scheduled Trading Days as determined by CSNY) or other applicable amount to be
paid by delivery of Shares by Counterparty under the Confirmation divided
by (y) the price per Unregistered Share that
CS is able to secure from buyers by commercially reasonable efforts, provided
that (i) all such Unregistered Shares shall be delivered to CSNY (or any
affiliate of CSNY designated by CSNY) pursuant to the exemption from the
registration requirements of the Securities Act provided by Section 4(2)
thereof; (ii) as of or prior to the Registration Date, CSNY and any potential
purchaser of any such shares from CSNY (or any affiliate of CSNY designated by
CSNY) identified by CSNY shall have been afforded a commercially reasonable
opportunity to conduct a due diligence investigation with respect to
Counterparty customary in scope for private placements of equity securities
(including, without limitation, the right to have made available to them for
inspection all financial and other records, pertinent corporate documents and
other information reasonably requested by them); and (iii) as of the
Registration Date, an agreement (a "Private Placement Agreement")
shall have been entered into between Counterparty and CSNY (or any affiliate of
CSNY designated by CSNY) in connection with the private placement of such
shares by Counterparty to CSNY (or any such affiliate) and the private resale
of such shares by CSNY (or any such affiliate), substantially similar to
private placement purchase agreements customary for private placements of
equity securities, in form and substance commercially reasonably satisfactory
to CSNY, which Private Placement Agreement shall include, without limitation,
provisions substantially similar to those contained in such private placement
purchase agreements relating to the indemnification of, and contribution in
connection with the liability of, CSNY and its affiliates, and shall provide
for the payment by Counterparty of all reasonable fees and expenses in
connection with such resale, including all reasonable fees and expenses of
counsel for CSNY, and shall contain representations, warranties and agreements
of Counterparty reasonably necessary or advisable to establish and maintain the
availability of an exemption from the registration requirements of the
Securities Act for such resales; or

(b)        elect that Cash Settlement
shall apply in lieu of Net Share Settlement, provided that CSNY shall in its
reasonable discretion determine the commencement date of the Cash Settlement
Pricing Period to account for Counterparty's failure to elect Cash Settlement
in accordance with the terms of the Transaction, or, if applicable, pay in cash
the amount that would have been owed but for the application of Section 3 of
the Confirmation.

3.         Counterparty acknowledges that any Unregistered Shares sold
pursuant hereto may be sold at prices that are less than the prices that might
otherwise be available if such Shares were to be sold pursuant to a registered
public offering or at prices observed in the secondary market.

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