424B5 1 0001.txt PROSPECTUS SUPPLEMENT DATED SEPTEMBER 27, 2000 SUPPLEMENT dated September 27, 2000 to Prospectus Supplement dated December 17, 1999 $2,300,000,000 U.S. BANCORP (Minneapolis, Minnesota) MEDIUM-TERM NOTES, SERIES L (SENIOR) MEDIUM-TERM NOTES, SERIES M (SUBORDINATED) Due 9 months or More from Date of Issue U.S. Bancorp may from time to time issue up to $2,300,000,000 aggregate principal amount of Notes pursuant to the Prospectus Supplement dated December 17, 1999, as supplemented by this Supplement. Rule 424(b)(2) Registration No. 333- 83643 PRICING SUPPLEMENT TO PROSPECTUS DATED JULY 23, 1999, AS SUPPLEMENTED BY A PROSPECTUS SUPPLEMENT DATED DECEMBER17, 1999/AUTHENTICATION CERTIFICATE SUPPLEMENTAL TO THE OFFICERS' CERTIFICATE AND COMPANY ORDER, DATED DECEMBER 17, 1999, AS SUPPLEMENTED BY A SUPPLEMENT DATED SEPTEMBER 27, 2000 NO. __________ DATED________________ U.S. BANCORP Medium-Term Notes, Series L(Senior) Medium-Term Notes, Series M (Subordinated)
CUSIP No.: Issue Price (Dollar Amount and Percentage of Principal Amount): Series: Amount: $___________________________/_____________% [_] Series L (Senior) Proceeds to the Company:_______________________________________ [_] Series M (Subordinated) Interest Rate/Initial Interest Rate:___________________________ Form of Note: Interest Payment Dates:________________________________________ [_] Book-Entry [_] Certificated Regular Record Dates:__________________________________________ Principal Amount:_______________________ Interest Determination Dates:__________________________________ Trade Date:_____________________________ Interest Reset Dates:__________________________________________ Original Issue Date:____________________ Index Source:__________________________________________________ Maturity Date:__________________________ Index Maturity:________________________________________________ Base Rate (and, if applicable, Spread:________________________________________________________ related Interest Periods): Spread Multiplier:_____________________________________________ [_] Fixed Rate Note [_] Commercial Paper Rate Note Maximum Interest Rate:_________________________________________ [_] Federal Funds Rate Note [_] LIBOR Note Day Count:_____________________________________________________ [_] Prime Rate Note [_] CD Rate Note Minimum Interest Rate:_________________________________________ [_] Treasury Rate Note [_] CMT Rate Note For Original Issue Discount Notes: [_] Other Base Rate (as described below) [_] Zero Coupon Note Original Issue Discount:_______________________________________% Agent's Commission: Yield to maturity:_____________________________________________ Redemption Terms: Original Issue Discount Notes: Other Terms: [_] Subject to special provisions set forth therein with respect to the principal amount thereof payable upon any redemption or Name of Placement Agent and Delivery acceleration of the maturity thereof. Instructions: [_] For Federal income tax purposes only. ________________________________________ Signature --------------------------------------------- (Authorized signature) --------------------------------------------- (Authorized signature)