Filed Pursuant to Rule 424(b)(2)
File No. 333-135006
Title of Each class of Securities Offered |
Maximum Aggregate Offering Price |
Amount of Registration Fee(1) | ||||
Medium Term Notes, Series G, Floating Rate Notes |
$ | 1,500,000,000 | $ | 46,050 |
(1) |
The filing fee of $46,050 is calculated in accordance with Rule 457(r) of the Securities Act of 1933. Pursuant to Rule 457(p) under the Securities Act of 1933, the $2,147,858.34 remaining of the filing fee previously paid with respect to unsold securities registered pursuant to a Registration Statement on Form S-3 (No. 333-123689) filed by Wells Fargo & Company on March 30, 2005 is being carried forward, of which $46,050 is offset against the registration fee due for this offering and of which $788,978.81 remains available for future registration fees. No additional registration fee has been paid with respect to this offering. |
Pricing Supplement No. 7 dated September 17, 2007
(to Prospectus Supplement dated January 25, 2007
and Prospectus dated June 19, 2006)
WELLS FARGO & COMPANY
Medium-Term Notes, Series G
Floating Rate Notes
Aggregate Principal Amount Offered: |
$1,500,000,000 | |
Trade Date: | September 17, 2007 | |
Original Issue Date (T+5): | September 24, 2007 | |
Stated Maturity Date: | September 23, 2009 | |
Price to Public (Issue Price): | 99.94306% plus accrued interest, if any, from September 24, 2007 | |
Agent Discount (Gross Spread): |
0.06% | |
All-in Price (Net of Agent Discount): |
99.88306% | |
Net Proceeds: | $1,498,245,900 plus accrued interest, if any, from September 24, 2007 | |
Base Rate: | LIBOR Reuters. For purposes of determining LIBOR Reuters, the Designated LIBOR Page is Page LIBOR01. | |
Spread: | + 17 basis points | |
Index Maturity: | 3 months | |
Initial Interest Rate: | Three-month LIBOR Reuters plus 17 basis points, determined two London banking days prior to September 24, 2007 | |
Interest Payment Dates: | Each March 23, June 23, September 23 and December 23, commencing December 26, 2007 (due to non-business days), and at maturity | |
Interest Reset Dates: | Each March 23, June 23, September 23 and December 23, commencing December 26, 2007 (due to non-business days) | |
Agents: | Goldman, Sachs & Co. (40%) | |
J. P. Morgan Securities Inc. (40%) | ||
Banc of America Securities LLC (10%) | ||
Barclays Capital Inc. (10%) | ||
CUSIP: | 94974BEL0 |