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PROSPECTUS Dated May 18, 2000
PROSPECTUS SUPPLEMENT Dated May 18, 2000 |
Pricing Supplement No. 47 to
Registration Statement No. 333-34392 Dated November 20, 2000 Rule 424(b)(3) |
Morgan Stanley
Dean Witter & Co.
MEDIUM-TERM
NOTES, SERIES C
Senior Floating
Rate Notes
We will not redeem these Medium-Term Notes, Series C (Senior Floating Rate Notes) prior to the maturity date. We describe the basic features of this type of note in the section called "Description of NotesFloating Rate Notes" in the accompanying prospectus supplement, subject to and as modified by the provisions described below. |
Principal Amount: | $20,000,000 | Issue Price: | 100% |
Maturity Date: | November 24, 2003 | Settlement Date
(Original Issue Date): |
November 24, 2000 |
Interest Accrual Date: | November 24, 2000 | Initial Interest Reset Date: | February 24, 2001 |
Interest Payment Dates: | Each February 24, May 24, August 24 and November 24, commencing February 24, 2001 | Interest Reset Dates: | Same as Interest Payment Dates |
Initial Interest Rate: | To be determined two London banking days prior to the Original Issue Date | Interest Reset Period: | Quarterly |
Base Rate: | LIBOR | Interest Determination Dates: | Two London banking days prior to each Interest Reset Date |
Index Maturity: | 3 Months | Reporting Service: | Telerate (Page 3750) |
Spread
(Plus or Minus): |
Plus 0.22% per annum | Book Entry Note or
Certificated Note: |
Book Entry Note |
Index Currency: | U.S. Dollars | Senior Note or
Subordinated Note: |
Senior Note |
Interest Payment
Period: |
Quarterly | Agent: | Morgan Stanley & Co. Incorporated |
Specified Currency: | U.S. Dollars | Calculation Agent: | The Chase Manhattan Bank |
Minimum Denomination: | $1,000 | ||
CUSIP: | 61745EQY0 |
Terms not defined
above have the meanings given to such terms in the accompanying prospectus
supplement.
MORGAN STANLEY DEAN WITTER
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