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Pricing Supplement No. 47 Dated October 25, 2000
Filed Pursuant to: Rule 424(b)(3)
(To Prospectus dated April 1, 1999 and File No.: 333-72791
Prospectus Supplement dated April 1, 1999)
BANK ONE CORPORATION
MEDIUM-TERM NOTES, SERIES B
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Date of Issue: October 30, 2000 [ ] Fixed Rate [ ] Commercial Paper Rate Note [ ] LIBOR Reuters
Maturity Date: October 30, 2002 [X] Senior [ ] Federal Funds Rate Note [X] LIBOR Telerate
[ ] Subordinated [ ] CD Rate Note [ ] Prime Rate Note
[ ] CMT Rate Note [ ] Treasury Rate Note
[ ] LIBOR Note [ ] Other
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CUSIP: 06422NDB9
Principal Amount: $50,000,000.00
Issue Price (As a Percentage of Principal Amount): 100%
Interest Rate/Initial Interest Rate: Not Available
Interest Payment Dates: 30th January, April, July, and October
Interest Reset Dates: 30th January, April, July, and October
Index Maturity: 90 Days
Designated CMT Maturity Index:
Designated CMT Telerate Page:
Spread: +19 Basis Points
Spread Multiplier: None
Minimum Interest Rate: None
Maximum Interest Rate: None
Interest Payment Period: October 30, 2000 to January 30, 2000 and quarterly
thereafter, up to but excluding the interest payment
date.
Interest Rate Reset Period: October 30, 2000 to January 30, 2000 and quarterly
thereafter, up to but excluding the interest
payment date
Redemption Date(s) or Period: None
Optional Repayment Date(s): None
Calculation Agent (If Applicable): Bank One, NA
Additional Terms:
This Pricing Supplement may be used by Banc One Capital Markets, Inc. ("BOCM"),
a wholly owned subsidiary of the issuer, in connection with offer and sales
related to secondary market transactions in the Notes. BOCM may act as principal
or agent in such transactions. Such sales will be made at prices related to the
prevailing market prices at the time of sale.