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PROSPECTUS Dated May 18, 2000
PROSPECTUS SUPPLEMENT Dated May 19, 2000 |
Pricing Supplement No. 19 to
Registration Statement No. 333-34392 Dated July 19, 2000 Rule 424(b)(3) |
Morgan Stanley
Dean Witter & Co.
GLOBAL MEDIUM-TERM
NOTES, SERIES D
Euro Fixed
Rate Senior Bearer Notes Due 2003
We will issue the notes only in bearer form, 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 the London Stock Exchange Limited for the notes to be admitted on the Official List as soon as is practicable following the settlement of the notes.
We describe the
basic features of this type of note in the section called "Description
of Notes-Fixed Rate Notes" in the accompanying prospectus supplement, subject
to and as modified by the provisions described below.
Principal Amount: | JPY 10,000,000,000 | Interest Rate: | 0.90% per year |
Maturity Date: | July 28, 2003 | Maximum Interest Rate: | N/A |
Settlement Date
(Original Issue Date): |
July 27, 2000 | Minimum Interest Rate: | N/A |
Interest Accrual Date: | July 27, 2000 | Interest Payment Dates: | Each July 28, commencing July 28, 2001; provided that the interest payment for July 28, 2001 shall be for the period from and including July 27, 2000 to but excluding July 28, 2001 |
Issue Price: | 100% | Interest Payment Period: | Annual |
Specified Currency: | Japanese Yen ("JPY") | Denominations: | JPY 1,000,000 |
Redemption Percentage
at Maturity: |
100% | Business Day: | Tokyo and New York |
Initial Redemption Percentages: | N/A | Common Code: | 011483992 |
Annual Redemption
Percentage Reduction: |
N/A | ISIN: | XS0114839920 |
Optional Repayment Date(s): | N/A | Other Provisions: | N/A |
Terms not defined above have the meanings given to such terms in the accompanying prospectus supplement.
MORGAN STANLEY DEAN
WITTER
FUJI INTERNATIONAL FINANCE PLC
SANWA INTERNATIONAL PLC
TOKYO-MITSUBISHI INTERNATIONAL PLC
Plan of Distribution:
On July 19, 2000, we agreed to sell to the managers listed in this pricing supplement, and they severally agreed to purchase, the principal amount of notes set forth opposite their respective names below at a net price of 99.80%, which we refer to as the "purchase price." The purchase price equals the stated issue price of 100% less a selling concession of 0.10% and a combined management and underwriting commission of 0.10% of the principal amount of these notes.
Name | Principal Amount of Notes | ||
Morgan Stanley & Co. International Limited | JPY 9,400,000,000 | ||
Fuji International Finance PLC | 200,000,000 | ||
Sanwa International plc | 200,000,000 | ||
Tokyo-Mitsubishi International plc | 200,000,000 | ||
Total | JPY 10,000,000,000 |
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