CHASE MANHATTAN CORP /DE/
424B2, 2000-03-20
NATIONAL COMMERCIAL BANKS
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Pricing Supplement No.101L Dated March 16, 2000         Rule 424(b)(2)
(To Prospectus dated February 11, 2000 and             File No's.333-94393
Prospectus Supplement dated February 11, 2000)             and 33-64261

THE CHASE MANHATTAN CORPORATION


[X]	Senior Medium -Term Notes, Series C  Due From Nine
	Months to Thirty Years from Date of Issue

[  ]	Subordinated Medium Term Notes, Series A Due From
	Nine Months to Thirty Years from Date of Issue

	Principal Amount: $25,000,000.00
	Issue Price: 100.00%
	Commission or Discount: $56,250.00
	Proceeds to Company:  $24,943,750.00

 Agent: PAINE WEBBER

	Agent's Capacity:  [ ]     As agent    [x]  As principal

	If as principal
		[ ]   The Notes are being offered at varying prices to
		        prevailing market prices at the time of sale

		[x]   The Notes are being offered at a fixed initial public
		        offering price equal to the Issue Price (as a
		        percentage of Principal Amount).

	Original Issue Date: MARCH 21, 2000
	Stated Maturity:	   	MARCH 21, 2005

	Form:  [X]   Book-entry [  ]   Certificated
	Currency:   U.S. Dollars

[] 	Fixed Rate Note:
    Interest Rate:

[X]Floating Rate Note:   CD[   ]   Commercial Paper Rate [   ]
			     Federal Fund Effective Rate [ ] CMT [ ]
			     LIBOR Telerate [X]  LIBOR Reuter [  ]
			     Treasury Rate [ ]     Prime Rate   [ ]

	Initial Interest Rate:

	Int.Determ.Dates: TWO BUSINESS DAYS PRIOR TO INTEREST RESET DATE.


	Interest Payment Dates: The 21st of March, June, Sept & Dec

 Interest  Reset Dates:  The 21st of March, June, Sept & Dec


	Index Maturity: 3 MO LIBOR
	Spread (+/-):+20BP
 Spread Multiplier:
 Maximum Interest Rate:
	Minimum Interest Rate:
	Optional Redemption  :   Yes [ ]       No  [x]



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