Here is another large one from today Your quess is as good as mine. With the "Fiduciary responsibility" they show to us, it could be all or none.
Final Term Sheet Filed Pursuant to Rule 433 Registration No. 333-195697 July 18, 2016 WELLS FARGO & COMPANY $600,000,000 Floating Rate Notes Due July 26, 2021 $3,000,000,000 2.10% Notes Due July 26, 2021
Issuer: Wells Fargo & Company Title of Securities Floating Rate Notes Due July 26, 2021 (the “Floating Rate Notes”) 2.10% Notes Due July 26, 2021 (the “Fixed Rate Notes”) Note Type: Senior unsecured Trade Date: July 18, 2016 Settlement Date (T+5): July 25, 2016 Maturity Date: Floating Rate Notes: July 26, 2021 Fixed Rate Notes: July 26, 2021 Aggregate Principal Amount Offered: Floating Rate Notes: $600,000,000 Fixed Rate Notes: $3,000,000,000 Price to Public (Issue Price): Floating Rates Notes: 100.00%, plus accrued interest, if any, from July 25, 2016 Fixed Rate Notes: 99.906%, plus accrued interest, if any, from July 25, 2016 Underwriting Discount (Gross Spread): Floating Rate Notes: 0.35% Fixed Rate Notes: 0.35% All-in Price (Net of Underwriting Discount): Floating Rate Notes: 99.65%, plus accrued interest, if any, from July 25, 2016 Fixed Rate Notes: 99.556%, plus accrued interest, if any, from July 25, 2016 Net Proceeds: Floating Rate Notes: $597,900,000 Fixed Rate Notes: $2,986,680,000 Interest Rate: Floating Rate Notes: Base Rate of LIBOR plus 1.025% Fixed Rate Notes: 2.10% per annum Interest Payment Dates: Floating Rate Notes: January 26, April 26, July 26 and October 26, commencing October 26, 2016, and at maturity Fixed Rate Notes: January 26 and July 26, commencing January 26, 2017, and at maturity Interest Reset Dates: Floating Rate Notes: January 26, April 26, July 26 and October 26, commencing October 26, 2016 Fixed Rate Notes: N/A Designated LIBOR Page: Floating Rate Notes: Page LIBOR01 as displayed on Reuters or any successor service (or such other page as may replace Page LIBOR01 on that service or successor service) Fixed Rate Notes: N/A Index Maturity: Floating Rate Notes: Three months Fixed Rate Notes: N/A Interest Reset Period: Floating Rate Notes: Quarterly Fixed Rate Notes: N/A Initial Interest Rate: Floating Rate Notes: LIBOR plus 1.025%, determined two London banking days prior to July 25, 2016 Fixed Rate Notes: N/A Benchmark: Floating Rate Notes: Three-month LIBOR Fixed Rate Notes: UST 1.125% due June 30, 2021 Benchmark Yield: Floating Rate Notes: N/A Fixed Rate Notes: 1.12% Spread to Benchmark: Floating Rate Notes: +102.5 basis points Fixed Rate Notes: +100 basis points Re-Offer Yield: Floating Rate Notes: N/A Fixed Rate Notes: 2.12%
2 CUSIP: Floating Rate Notes: 949746SB8 Fixed Rate Notes: 949746SA0 Listing: None Sole Bookrunning Manager: Wells Fargo Securities, LLC Co-Managers: BB&T Capital Markets, a division of BB&T Securities, LLC BMO Capital Markets Corp. FTN Financial Securities Corp. Scotia Capital (USA) Inc. TD Securities (USA) LLC The Huntington Investment Company Junior Co-Managers: Apto Partners, LLC Blaylock Beal Van, LLC Loop Capital Markets LLC Multi-Bank Securities, Inc.
The issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov . Alternatively, the issuer, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling Wells Fargo Securities, LLC toll-free at 1-800-645-3751 or e-mailing wfscustomerservice@wellsfargo.com .
Final Term Sheet Filed Pursuant to Rule 433 Registration No. 333-195697 July 18, 2016 WELLS FARGO & COMPANY $600,000,000 Floating Rate Notes Due July 26, 2021 $3,000,000,000 2.10% Notes Due July 26, 2021
Issuer: Wells Fargo & Company Title of Securities Floating Rate Notes Due July 26, 2021 (the “Floating Rate Notes”) 2.10% Notes Due July 26, 2021 (the “Fixed Rate Notes”) Note Type: Senior unsecured Trade Date: July 18, 2016 Settlement Date (T+5): July 25, 2016 Maturity Date: Floating Rate Notes: July 26, 2021 Fixed Rate Notes: July 26, 2021 Aggregate Principal Amount Offered: Floating Rate Notes: $600,000,000 Fixed Rate Notes: $3,000,000,000 Price to Public (Issue Price): Floating Rates Notes: 100.00%, plus accrued interest, if any, from July 25, 2016 Fixed Rate Notes: 99.906%, plus accrued interest, if any, from July 25, 2016 Underwriting Discount (Gross Spread): Floating Rate Notes: 0.35% Fixed Rate Notes: 0.35% All-in Price (Net of Underwriting Discount): Floating Rate Notes: 99.65%, plus accrued interest, if any, from July 25, 2016 Fixed Rate Notes: 99.556%, plus accrued interest, if any, from July 25, 2016 Net Proceeds: Floating Rate Notes: $597,900,000 Fixed Rate Notes: $2,986,680,000 Interest Rate: Floating Rate Notes: Base Rate of LIBOR plus 1.025% Fixed Rate Notes: 2.10% per annum Interest Payment Dates: Floating Rate Notes: January 26, April 26, July 26 and October 26, commencing October 26, 2016, and at maturity Fixed Rate Notes: January 26 and July 26, commencing January 26, 2017, and at maturity Interest Reset Dates: Floating Rate Notes: January 26, April 26, July 26 and October 26, commencing October 26, 2016 Fixed Rate Notes: N/A Designated LIBOR Page: Floating Rate Notes: Page LIBOR01 as displayed on Reuters or any successor service (or such other page as may replace Page LIBOR01 on that service or successor service) Fixed Rate Notes: N/A Index Maturity: Floating Rate Notes: Three months Fixed Rate Notes: N/A Interest Reset Period: Floating Rate Notes: Quarterly Fixed Rate Notes: N/A Initial Interest Rate: Floating Rate Notes: LIBOR plus 1.025%, determined two London banking days prior to July 25, 2016 Fixed Rate Notes: N/A Benchmark: Floating Rate Notes: Three-month LIBOR Fixed Rate Notes: UST 1.125% due June 30, 2021 Benchmark Yield: Floating Rate Notes: N/A Fixed Rate Notes: 1.12% Spread to Benchmark: Floating Rate Notes: +102.5 basis points Fixed Rate Notes: +100 basis points Re-Offer Yield: Floating Rate Notes: N/A Fixed Rate Notes: 2.12%
2 CUSIP: Floating Rate Notes: 949746SB8 Fixed Rate Notes: 949746SA0 Listing: None Sole Bookrunning Manager: Wells Fargo Securities, LLC Co-Managers: BB&T Capital Markets, a division of BB&T Securities, LLC BMO Capital Markets Corp. FTN Financial Securities Corp. Scotia Capital (USA) Inc. TD Securities (USA) LLC The Huntington Investment Company Junior Co-Managers: Apto Partners, LLC Blaylock Beal Van, LLC Loop Capital Markets LLC Multi-Bank Securities, Inc.
The issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov . Alternatively, the issuer, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling Wells Fargo Securities, LLC toll-free at 1-800-645-3751 or e-mailing wfscustomerservice@wellsfargo.com .
Final Term Sheet Filed Pursuant to Rule 433 Registration No. 333-195697 July 18, 2016 WELLS FARGO & COMPANY $600,000,000 Floating Rate Notes Due July 26, 2021 $3,000,000,000 2.10% Notes Due July 26, 2021
Issuer: Wells Fargo & Company Title of Securities Floating Rate Notes Due July 26, 2021 (the “Floating Rate Notes”) 2.10% Notes Due July 26, 2021 (the “Fixed Rate Notes”) Note Type: Senior unsecured Trade Date: July 18, 2016 Settlement Date (T+5): July 25, 2016 Maturity Date: Floating Rate Notes: July 26, 2021 Fixed Rate Notes: July 26, 2021 Aggregate Principal Amount Offered: Floating Rate Notes: $600,000,000 Fixed Rate Notes: $3,000,000,000 Price to Public (Issue Price): Floating Rates Notes: 100.00%, plus accrued interest, if any, from July 25, 2016 Fixed Rate Notes: 99.906%, plus accrued interest, if any, from July 25, 2016 Underwriting Discount (Gross Spread): Floating Rate Notes: 0.35% Fixed Rate Notes: 0.35% All-in Price (Net of Underwriting Discount): Floating Rate Notes: 99.65%, plus accrued interest, if any, from July 25, 2016 Fixed Rate Notes: 99.556%, plus accrued interest, if any, from July 25, 2016 Net Proceeds: Floating Rate Notes: $597,900,000 Fixed Rate Notes: $2,986,680,000 Interest Rate: Floating Rate Notes: Base Rate of LIBOR plus 1.025% Fixed Rate Notes: 2.10% per annum Interest Payment Dates: Floating Rate Notes: January 26, April 26, July 26 and October 26, commencing October 26, 2016, and at maturity Fixed Rate Notes: January 26 and July 26, commencing January 26, 2017, and at maturity Interest Reset Dates: Floating Rate Notes: January 26, April 26, July 26 and October 26, commencing October 26, 2016 Fixed Rate Notes: N/A Designated LIBOR Page: Floating Rate Notes: Page LIBOR01 as displayed on Reuters or any successor service (or such other page as may replace Page LIBOR01 on that service or successor service) Fixed Rate Notes: N/A Index Maturity: Floating Rate Notes: Three months Fixed Rate Notes: N/A Interest Reset Period: Floating Rate Notes: Quarterly Fixed Rate Notes: N/A Initial Interest Rate: Floating Rate Notes: LIBOR plus 1.025%, determined two London banking days prior to July 25, 2016 Fixed Rate Notes: N/A Benchmark: Floating Rate Notes: Three-month LIBOR Fixed Rate Notes: UST 1.125% due June 30, 2021 Benchmark Yield: Floating Rate Notes: N/A Fixed Rate Notes: 1.12% Spread to Benchmark: Floating Rate Notes: +102.5 basis points Fixed Rate Notes: +100 basis points Re-Offer Yield: Floating Rate Notes: N/A Fixed Rate Notes: 2.12%
2 CUSIP: Floating Rate Notes: 949746SB8 Fixed Rate Notes: 949746SA0 Listing: None Sole Bookrunning Manager: Wells Fargo Securities, LLC Co-Managers: BB&T Capital Markets, a division of BB&T Securities, LLC BMO Capital Markets Corp. FTN Financial Securities Corp. Scotia Capital (USA) Inc. TD Securities (USA) LLC The Huntington Investment Company Junior Co-Managers: Apto Partners, LLC Blaylock Beal Van, LLC Loop Capital Markets LLC Multi-Bank Securities, Inc.
The issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov . Alternatively, the issuer, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling Wells Fargo Securities, LLC toll-free at 1-800-645-3751 or e-mailing wfscustomerservice@wellsfargo.com .