CHASE MANHATTAN CORP /DE/
424B3, 2000-02-24
NATIONAL COMMERCIAL BANKS
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PROSPECTUS SUPPLEMENT dated February 24, 2000
(to Prospectus dated February 11, 2000)


                         THE CHASE MANHATTAN CORPORATION

                                 Debt Securities
                                 Preferred Stock
                                Depositary Shares
                                    Warrants


This Prospectus Supplement supplements our Prospectus dated February 11, 2000
relating to our debt securities, preferred stock, depositary shares and warrants
(the "Prospectus").


                      ADDITIONAL COMPANY SENIOR SECURITIES


Additional Senior Medium-Term Notes, Series C


We have issued $530,000,000 aggregate     The  interest  rate bases or formulas
principal   amount   of  our   Senior     applicable  to  Series  C Notes  that
Medium-Term  Notes,   Series  C  (the     bear  interest at floating  rates are
"Series C  Notes")  since the date of     indicated  in the  table  below.  The
the Prospectus. In the table below we     Series C Notes are not  subject  to a
specify the following  terms of those     sinking  fund and are not  redeemable
Series C Notes:                           unless a redemption date is indicated
o    Issuance Date;                       below.   Unless  otherwise  indicated
o    Principal amount;                    below,   Series  C  Notes   that  are
o    Maturity date;                       redeemable  are redeemable at 100% of
o    Interest rate and redemption         their principal amount,  plus accrued
     Dates, if any.                       and unpaid  interest,  if any, to the
                                          redemption date.

                                                                 Interest Rate/
Issuance            Principal Amount      Maturity Date         Redemption Date
- --------            ----------------      -------------         ---------------

February 18, 2000       $255,000,000      February 15, 2002     7.22%

February 18, 2000         50,000,000      February 15, 2002     7.22%

February 18, 2000         75,000,000      February 15, 2002     LIBOR Telerate
                                                                reset quarterly
                                                                + 0.08%

February 22, 2000         50,000,000      February 22, 2002     Federal Funds
                                                                Rate reset daily
                                                                +0.30%

February 22, 2000         50,000,000      February 22, 2002     LIBOR Telerate
                                                                reset quarterly
                                                                + 0.08%
<PAGE>

February 22, 2000         50,000,000      February 22, 2002     LIBOR Telerate
                                                                reset monthly
                                                                + 0.11%

February 24, 2000         20,000,000      February 24, 2005     LIBOR Telerate
                                                                reset quarterly
                                                                + 0.20%



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