Form FWP MORGAN STANLEY Filed by: MORGAN STANLEY
Filed pursuant to Rule 433
Dated April 18, 2016
Relating to
Pricing Supplement No. 894 dated April 18, 2016 to
Registration Statement No. 333-200365
Dated April 18, 2016
Relating to
Pricing Supplement No. 894 dated April 18, 2016 to
Registration Statement No. 333-200365
Global Medium-Term Notes, Series F
Fixed Rate Senior Notes Due 2021
Floating Rate Senior Notes Due 2021
Fixed Rate Senior Notes Due 2021
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Issuer:
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Morgan Stanley
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Principal Amount:
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$2,500,000,000
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Maturity Date:
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April 21, 2021
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Trade Date:
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April 18, 2016
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Original Issue Date (Settlement):
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April 21, 2016 (T+3)
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Interest Accrual Date:
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April 21, 2016
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Issue Price (Price to Public):
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99.664%
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Agents’ Commission:
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0.35%
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All-in Price:
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99.314%
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Net Proceeds to Issuer:
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$2,482,850,000
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Interest Rate:
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2.500% per annum
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Interest Payment Period:
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Semi-annual
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Interest Payment Dates:
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Each April 21 and October 21, commencing October 21, 2016
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Day Count Convention:
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30/360
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Specified Currency:
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U.S. Dollars (“$”)
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Minimum Denominations:
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$1,000 and integral multiples of $1,000 in excess thereof
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Business Day:
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New York
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CUSIP:
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61746B EA0
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ISIN:
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US61746BEA08
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Issuer Ratings:
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A3 (Moody’s) / BBB+ (Standard & Poor’s) / A (Fitch) / A- (R&I) / A (high) (DBRS)
(Stable / Stable / Stable / Stable / Stable) |
Agents:
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Morgan Stanley & Co. LLC and such other agents as shall be named in the above-referenced Pricing Supplement for the notes.
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Global Settlement:
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Through The Depository Trust Company, Euroclear or Clearstream, Luxembourg
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The notes are not deposits or savings accounts and are not insured by the Federal Deposit Insurance Corporation or any other governmental agency or instrumentality, nor are they obligations of, or guaranteed by, a bank.
Floating Rate Senior Notes Due 2021 | |
Issuer:
|
Morgan Stanley
|
Principal Amount:
|
$1,000,000,000
|
Maturity Date:
|
April 21, 2021
|
Trade Date:
|
April 18, 2016
|
Original Issue Date (Settlement):
|
April 21, 2016 (T+3)
|
Interest Accrual Date:
|
April 21, 2016
|
Issue Price (Price to Public):
|
100.00%
|
Agents’ Commission:
|
0.35%
|
All-in Price:
|
99.65%
|
Net Proceeds to Issuer:
|
$996,500,000
|
Base Rate:
|
LIBOR
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Spread (plus or minus):
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Plus 1.40%
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Index Maturity:
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Three months
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Index Currency:
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U.S. Dollars
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Interest Payment Period:
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Quarterly
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Interest Payment Dates:
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Each January 21, April 21, July 21 and October 21, commencing July 21, 2016
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Day Count Convention:
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Actual/360
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Initial Interest Rate:
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Base Rate plus 1.40% (to be determined by the Calculation Agent on the second London banking day prior to the Original Issue Date)
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Initial Interest Reset Date:
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July 21, 2016
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Interest Reset Dates:
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Each Interest Payment Date
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Interest Reset Period:
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Quarterly
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Specified Currency:
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U.S. Dollars (“$”)
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Minimum Denominations:
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$1,000 and integral multiples of $1,000 in excess thereof
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Business Day:
|
New York
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CUSIP:
|
61746B EB8
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ISIN:
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US61746BEB80
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Issuer Ratings:
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A3 (Moody’s) / BBB+ (Standard & Poor’s) / A (Fitch) / A- (R&I) / A (high) (DBRS)
(Stable / Stable / Stable / Stable / Stable) |
Agents:
|
Morgan Stanley & Co. LLC and such other agents as shall be named in the above-referenced Pricing Supplement for the notes.
|
Global Settlement:
|
Through The Depository Trust Company, Euroclear or Clearstream, Luxembourg
|
The notes are not deposits or savings accounts and are not insured by the Federal Deposit Insurance Corporation or any other governmental agency or instrumentality, nor are they obligations of, or guaranteed by, a bank.
The issuer has filed a registration statement (including a prospectus) with the SEC for the offerings 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 these offerings. 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 offerings will arrange to send you the prospectus if you request it by calling toll free 1-866-718-1649.
References in the Prospectus Supplement to the Prospectus dated November 19, 2014 shall refer to the Prospectus dated February 16, 2016.
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