424B2 1 0001.txt MTN FILING Pricing Supplement No.108L Dated June 28, 2000 Rule 424(b)(2) (To Prospectus dated February 11, 2000 and File No's.333-94393 Prospectus Supplement dated February 11, 2000) and 33-64261 THE CHASE MANHATTAN CORPORATION [X] Senior Medium -Term Notes, Series C Due From Nine Months to Thirty Years from Date of Issue [ ] Subordinated Medium Term Notes, Series A Due From Nine Months to Thirty Years from Date of Issue Principal Amount: $725,000,000.00 Issue Price: VARIABLE Commission or Discount: $135,792.50 Proceeds to Company: $724,864,207.50 Agent: CHASE SECURITIES INC. Agent's Capacity: [ ] As agent [x] As principal If as principal [X] The Notes are being offered at varying prices to prevailing market prices at the time of sale [] The Notes are being offered at a fixed initial public offering price equal to the Issue Price (as a percentage of Principal Amount). Original Issue Date: JULY 6, 2000 Stated Maturity: JULY 8, 2002 Form: [X] Book-entry [ ] Certificated Currency: U.S. Dollars [] Fixed Rate Note: Interest Rate: [X]Floating Rate Note: CD[ ] Commercial Paper Rate [ ] Federal Fund Effective Rate [ ] CMT [ ] LIBOR Telerate [X] LIBOR Reuter [ ] Treasury Rate [ ] Prime Rate [ ] Initial Interest Rate: Int.Determ.Dates: TWO LONDON BUSINESS DAYS PRIOR TO RESET DATES. Interest Payment Dates: The 8th of Oct, Jan, Apr & July or next good business day Interest Reset Dates: The 8th of Oct, Jan, Apr & July or next good business day Index Maturity: 3 MO LIBOR Spread (+/-): +10BP Spread Multiplier: Maximum Interest Rate: Minimum Interest Rate: Optional Redemption : Yes [ ] No [x]