This Pricing Supplement, filed pursuant to Rule 424(b)(2), relates to
Registration Statement No.333-30879 and to each Prospectus dated
9/17/1998 and to each Prospectus Supplement dated 9/17/1998
.
PRICING SUPPLEMENT TO PROSPECTUS SUPPLEMENT DATED
September 17, 1998 TO PROSPECTUS DATED September 17, 1998
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Pricing Supplement: 19
Dated: 12/05/2000
Sears Roebuck Acceptance Corp.
Medium-Term Note Series V
(Floating Rate)
Due at least 9 months from date of issue
.
Principal Amount of Note: $ 100,000,000
Settlement Date (Original Issue Date): 12/12/2000
Maturity Date: 1/10/2002
Specified Currency: US $
(If Other than US Dollars, see attached)
Interest Rate Basis: 3 MONTH LIBOR
Spread Multiplier: NA Maximum Rate: NA Minimum Rate: NA
Spread (plus or minus): + .25000%
Index Maturity: Three(3) Month
Date Initial Interest Rate Set: 12/08/2000
Interest Reset Date(s): Same as Interest Payment Date
Interest Determination Date(s): Two business days prior to each coupon
payment date
Calculation Agent: CHASE MANHATTAN BANK
Interest Payment Date(s): 10th of Mar, Jun, Sep, Dec and at
Maturity January 10, 2002 .
Regular Record Date(s): 15 days prior to each interest
payment date
Initial Interest Payment: 3/12/2001
Designated CMT Maturity Index:
Designated CMT Telerate Page:
Form of Purchased Notes: DTC
Redemption Commencement Date: NOT APPLICABLE
.
Redemption Price: If a Redemption Commencement Date is specified
above, the Redemption Price shall be - of the principal amount
to be redeemed and shall decline at each anniversary of the Redemption
Commencement Date by - of the principal amount to be redeemed
until the Redemption Price is 100% of such principal amount.
.
.
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