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Issuer Free Writing Prospectus, dated September 25, 2007
Filed pursuant to Rule 433 under the Securities Act of 1933
Registration Statement No. 333-146287
                 
Issuer:   Range Resources Corporation
 
               
Guarantors:   Range Resources — Appalachia, LLC, Pine Mountain Acquisition, Inc., Range Resources -Pine Mountain, Inc., PMOG Holdings, Inc., Range Energy I, Inc., Range HoldCo, Inc., Range Operating Texas, L.L.C., Range Production Company, Range Texas Production, L.L.C., Range Operating New Mexico, Inc., REVC HoldCo, LLC, Stroud Energy GP, LLC, Stroud Energy, LP, LLC, Stroud Energy, Ltd., Stroud Energy Management GP, LLC and Stroud Oil Properties, LP        
 
               
Security Description:   Senior Subordinated Notes
 
               
Distribution:   SEC Registered
 
               
Face:   $250,000,000
 
               
Gross Proceeds:   $250,000,000
 
               
Coupon:   7.5%
 
               
Maturity:   October 1, 2017
 
               
Offering Price:   100.000%
 
               
Yield to Maturity:   7.5%
 
               
Spread to Treasury:   +289bps
 
               
Benchmark:   UST 4.75% due 8/15/2017
 
               
Ratings:   Ba3/B+
 
               
Interest Pay Dates:   October 1 and April 1
 
               
Beginning:   April 1, 2008
 
               
Clawback:   Up to 35% at 107.5%
 
               
Until:   October 1, 2010
 
               
Optional redemption:   Makewhole call @ T+50bps prior to October 1, 2012, then:
 
               
 
      On or after:   Price:
         
 
      October 1, 2012     103.750 %
 
      October 1, 2013     102.500 %
 
      October 1, 2014     101.250 %
 
      October 1, 2015 and thereafter     100.000 %
 
               
Change of control:   Put @ 101% of principal plus accrued interest
 
               
Use of proceeds:   We estimate that the net proceeds from this offering (after deducting discounts to the underwriters and estimated expenses of the offering) will be approximately $247 million. We intend to use the net proceeds from this offering to pay down a portion of the outstanding balance on our senior credit facility.        
 
               
Trade Date:   September 25, 2007
 
               
Settlement Date: (T+3)   September 28, 2007
 
               
CUSIP:   75281AAH2
 
               
ISIN:   US75281AAH23
 
               
Sole Bookrunner:   JPMorgan
 
               
Co-Manager:   RBC Capital Markets
The issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov. Alternatively, the issuer, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling collect 1-212-270-3994.