PROSPECTUS Dated May 18, 2000 Pricing Supplement No. 18 to
PROSPECTUS SUPPLEMENT Registration Statement No. 333-34392
Dated May 19, 2000 Dated July 18, 2000
Rule 424(b)(3)
Morgan Stanley Dean Witter & Co.
GLOBAL MEDIUM-TERM NOTES, SERIES D
Euro Floating Rate Senior Bearer Notes Due 2003
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We will not redeem these Global Medium-Term Notes, Series D (Euro Floating
Rate Senior Bearer Notes Due 2003) prior to the maturity date other than under
the circumstances described under "Description of Notes--Tax Redemption" in the
accompanying prospectus supplement.
We will issue the notes only in bearer forms which form is further
described under "Description of Notes--Forms of Notes" in the accompanying
prospectus supplement. You may not exchange notes in bearer form at any time
for notes in registered form.
We will apply to list the notes on the Paris Bourse.
We describe the basic features of this type of note in the section called
"Description of Notes--Floating Rate Notes" in the accompanying prospectus
supplement, subject to and as modified by the provisions described below.
Principal Amount: Euro 73,000,000
Maturity Date: August 11, 2003
Settlement and Original
Issue Date: August 11, 2000
Interest Accrual Date: August 11, 2000
Issue Price: 99.835%
Specified Currency: Euro
Redemption Percentage
at Maturity: 100%
Base Rate: Euribor
Spread
(Plus or Minus): Plus 0.24% per annum
Spread Multiplier: N/A
Index Currency: Euro
Index Maturity: 3 months
Maximum Interest Rate: N/A
Minimum Interest Rate: N/A
Initial Interest Rate: To be determined on the second
TARGET Settlement Day prior to
the date of issuance.
Initial Redemption Date: N/A
Initial Redemption
Percentage: N/A
Annual Redemption
Percentage Reduction: N/A
Optional Repayment
Date(s): N/A
Interest Payment Dates: Each February 11, May 11, August 11
and November 11, commencing
November 11, 2000; provided that if
that day is not a business day, that
interest payment date will be the next
succeeding day that is a business day,
except that if that business day would
fall in the next calendar month, the
interest payment date will be the
immediately preceding business day.
Interest Payment Period: Quarterly
Interest Determination
Date: The second TARGET Settlement Day
prior to each interest reset date.
Interest Reset Dates: Each interest payment date
Initial Interest
Reset Date: November 11, 2000
Interest Reset Periods: Quarterly
Reporting Service: Telerate Page 248
Calculation Agent: The Chase Manhattan Bank (London
Branch)
Underwriter: Morgan Stanley & Co. International
Limited
Paying Agent: Morgan Stanley S.A.
Business Days: New York and TARGET
Denominations: Euro 10,000
Common Code: 011480675
ISIN: XSO114806754
Code Sicovam: 048129
Other Provisions: See below
Terms not defined in this pricing supplement have the meanings given to
such terms in the accompanying prospectus supplement.
MORGAN STANLEY DEAN WITTER
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Morgan Stanley Dean Witter & Co. and the underwriter for the notes, have
represented and agreed that these notes are being issued outside France and
that, in connection with their initial distribution, they have not offered or
sold, and will not offer or sell any of these notes in the Republic of France
and have not distributed and will not distribute or cause to be distributed in
the Republic of France the prospectus or any amendment, supplement or
replacement thereto including this pricing supplement or any other offering
material relating to these notes, except (i) to qualified investors
(investisseurs qualifies) and/or (ii) within a restricted circle of investors
(cercle restreint d'investisseurs), all as defined in and in accordance with
Article 6 of Ordinance dated September 28, 1967 (as amended) and Decree
n(degree)98- 880 dated October 1, 1998.
You may inspect the documentation for these notes at the offices of Morgan
Stanley S.A., the paying agent, in France, located at:
25, rue Balzac
75008 Paris
France
The documents incorporated by reference herein have not been submitted to
the clearance procedure of the COB.
The notes will initially be limited to Euro 73,000,000 in aggregate
principal amount. We may create and issue additional Global Medium-Term Notes,
Series D with the same terms as the Euro Floating Rate Senior Bearer Notes Due
2003 so that the additional Global Medium-Term Notes will be combined with the
initial issuance of Euro Floating Rate Senior Bearer Notes Due 2003.
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PERSONNES QUI ASSUMENT LA RESPONSABILITE DE LA NOTE
D'INFORMATION COMPOSEE DE LA PRESENTE NOTE D'OPERATION
(PRICING SUPPLEMENT), DES DOCUMENTS DENOMMES "PROSPECTUS"
ET "PROSPECTUS SUPPLEMENT" ENREGISTRES PAR LA COMMISSION
DES OPERATIONS DE BOURSE SOUS LE NO. P00-243 DU 17 MAI 2000
1. Au nom de l'emetteur
A la connaissance de l'emetteur, les donnees de la presente Note d'Information
sont conformes a la realite et ne comportent pas d'omission de nature a en
alterer la portee.
Aucun element nouveau, autres que ceux mentionnes dans la presente Note
d'Operation, intervenu depuis le 17 mai 2000, date du no. d'enregistrement
P00-243 appose par la Commission des Operations de Bourse sur les documents
denommes "Prospectus" et "Prospectus Supplement," n'est susceptible d'affecter
de maniere significative la situation financiere de l'emetteur dans le contexte
de la presente emission.
Morgan Stanley Dean Witter & Co.
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Alexander C. Frank
Treasurer
2. Au nom de la banque presentatrice
Personne assumant la responsabilite de la presente Note d'Information.
Morgan Stanley S.A.
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James Walter
Attorney-in-fact
La notice legale sera publiee au Bulletin des Annonces Legales Obligatoires
(BALO) du 11 aout 2000.
VISA DE LA COMMISSION DES OPERATIONS DE BOURSE
En vue de la cotation a Paris des obligations, et par application des articles
6 et 7 de l'ordonnance No. 67-833 du 28 septembre 1967, la Commission des
Operations de Bourse a enregistre les documents denommes "Prospectus" et
"Prospectus Supplement" sous le no. P00-243 du 17 mai 2000 et a appose sur la
presente Note d'Operation le visa no. 00-[ ] du [ ] aout 2000.
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