424B2 1 0001.txt PRICING SUPPLEMENT NO. 3 Pricing Supplement No. 3 Rule 424(b)(2) Dated: November 1, 2000 Registration No. 333-79493 (To Prospectus dated June 16, 1999, and Prospectus Supplement dated September 2, 1999) WELLS FARGO & COMPANY Medium-Term Notes, Series A Floating Rate Notes Principal Amount: $600,000,000 Proceeds to Company: $600,000,000 Original Issue Date: 11/6/2000 Stated Maturity: 10/30/2002 Form: Book Entry Floating Rate Basis: LIBOR Telerate page 3750 Initial Interest Rate: 6.82125% Interest Payment Dates: 2/6/2001, 5/6/2001, 8/6/2001, 11/6/2001, 2/6/2002, 5/6/2002, 8/6/2002 and 10/30/2002 Regular Record Dates: Fifteen calendar days preceding each Interest Payment Date Interest Determination Rates: Second London banking day preceding each Interest Reset Date Interest Reset Dates: 2/6/2001, 5/6/2001, 8/6/2001, 11/6/2001, 2/6/2002, 5/6/2002 and 8/6/2002 Index Maturity: 3-month Spread: +7 bp Agent: Bear Stearns Currency: U.S. Dollars -------------------------------------------------------------------------------- Other Terms: CUSIP #94974BAK6 --------------------------------------------------------------------------------