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PROSPECTUS Dated May 18, 2000
PROSPECTUS SUPPLEMENT Dated May 18, 2000 |
Pricing Supplement No. 24 to
Registration Statement No. 333-34392 August 2, 2000 Rule 424(b)(3) |
Principal Amount: | $326,000,000 | Settlement Date
(Original Issue Date): |
August 7, 2000 |
Maturity Date:
|
August 7, 2003
|
Initial Interest Reset Date: | November 7, 2000 |
Interest Accrual Date: | August 7, 2000 | Interest Reset Dates: | Same as Interest Payment Dates |
Interest Payment Dates: | Each February 7, May 7, August 7 and November 7, commencing November 7, 2000 | Interest Reset Period:
|
Quarterly
|
Initial Interest Rate: | To be determined two London banking days prior to the Original Issue Date | Interest Determination Dates: | Two London banking days prior to each Interest Reset Date |
Base Rate: | LIBOR | Reporting Service: | Telerate (Page 3750) |
Index Maturity: | 3 Months | Book Entry Note or
Certificated Note: |
Book Entry Note |
Spread
(Plus or Minus): |
Plus 0.25% per annum | Senior Note or
Subordinated Note: |
Senior Note |
Index Currency: | U.S. Dollars | Agent: | Morgan Stanley & Co Incorporated |
Interest Payment Period: | Quarterly | Calculation Agent: | The Chase Manhattan Bank |
Specified Currency: | U.S. Dollars | Minimum Denomination: | $1,000 |
Issue Price: | 100% | CUSIP: | 61745EQL8 |
Terms not defined above have the meanings given to such terms in the accompanying prospectus supplement.
MORGAN STANLEY DEAN WITTER
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