Filed under Rule 424(b)(2), Registration Statement No. 333-183535
              Preliminary Pricing Supplement No. 10 - Dated Monday, January 7, 2013 (To: Prospectus dated August 24, 2012)
CUSIP
Number
Principal
Amount
Selling
Price
Gross
Concession
Net
Proceeds
Coupon
Type
Coupon
Rate
Coupon
Frequency
Maturity
Date
1st Coupon
Date
1st Coupon
Amount
Survivor's
Option
Product
Ranking
02006DAX9 [] 100.000% 0.750% [] Fixed 2.100% Monthly 01/15/2015 02/15/2013 $1.63 No Senior Unsecured Notes
Redemption Information: Callable at 100% on 1/15/2014 and Monthly thereafter with 30 Calendar Days Notice.
02006DAY7 [] 100.000% 1.300% [] Fixed 3.200% Monthly 01/15/2017 02/15/2013 $2.49 No Senior Unsecured Notes
Redemption Information: Callable at 100% on 1/15/2014 and Monthly thereafter with 30 Calendar Days Notice.

  

Ally Financial Inc. Offering Date: Monday, January 7, 2013 through Monday, January 14, 2013

Ally Financial Inc.

Ally Financial Term Notes, Series A

Prospectus dated August 24, 2012

 

Trade Date: Monday, January 14, 2013 @ 12:00 PM ET
 
  Settle Date: Thursday, January 17, 2013
  Minimum Denomination/Increments:$1,000.00/$1,000.00аав
  Initial trades settle flat and clear SDFS: DTC Book Entry only
  DTC Number 0235 via RBC Dain Rauscher Inc
  Agents: Incapital, LLC, Citigroup, RBC Capital Markets, Morgan Stanley, J.P. Morgan
  If the maturity date or an interest payment date for any note is not a business day (as term is defined in prospectus), principal, premium, if any, and interest for
  that note is paid on the next business day, and no interest will accrue from, and after, the maturity date or interest payment date.