ATTENTION! THIS IS THE SECOND REVISION OF THE PRICING SUPPLEMENT #11
WHICH WAS ORIGINALLY FILED 03/25/99. THIS REVISION IS TO CORRECT THE
STATED MATURITY. THE STATED MATURITY SHOULD BE 4/20/2000. THE CUSIP
IS UNCHANGED. PLEASE DISREGARD THE PREVIOUS PRICING SUPPLEMENTS.
Pricing Supplement No. 11 Rule 424(b)(2)
Dated: March 24, 1999 Registration No. 333-01737
(To Prospectus dated April 24, 1996, and Prospectus Supplement dated
July 2, 1996)
WELLS FARGO & COMPANY
(formerly known as Norwest Corporation)
Medium-Term Notes, Series J
Floating Rate Notes
Principal Amount: $500,000,000
Proceeds to Company: $500,000,000
Original Issue Date: 03/29/99
Stated Maturity: 04/20/2000
Form: Book Entry
Floating Rate Basis: LIBOR Telerate page 3750
Initital Interest Rate: 4.88%
Interest Payment Dates: 06/29/99, 09/29/99, 12/29/99,
03/29/2000, and 04/20/2000
Regular Record Dates: Fifteen calendar days preceding each Interest
Payment Date
Interest Determination
Dates: Second London banking day preceding each
Interest Reset Date
Interest Reset Dates: 06/29/99, 09/29/99, 12/29/99, and 3/29/2000
Index Maturity: 3-month
Spread: -12 bp
Agent: Salomon Smith Barney
Currency: U.S. Dollars
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Other Terms: CUSIP #94974BAE0
Interest reset date for 03/29/2000 is based on
1-month LIBOR index
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