PRICING
SUPPLEMENT NO. 13/A ^
|
Rule 424(b)(2)
|
DATED:
May 16, 2007
|
File
No. 333-136666
|
(To
Prospectus dated August 16, 2006,
|
|
and
Prospectus Supplement dated August 16, 2006)
|
Principal
Amount: $1,500,000,000
|
Floating
Rate Notes [x]
|
Book
Entry Notes [x]
|
Original
Issue Date: 5/18/2007
|
Fixed
Rate Notes [ ]
|
Certificated
Notes [ ]
|
Maturity
Date: 5/18/2010
|
CUSIP#:
073928W25
|
Option
to Extend Maturity:
|
No
Yes
|
[x]
[
] Final Maturity Date:
|
Redeemable
On
|
Redemption
Price(s)
|
Optional
Repayment
Date(s)
|
Optional
Repayment
Price(s)
|
N/A
|
N/A
|
N/A
|
N/A
|
Interest
Rate Basis:
|
Maximum
Interest Rate: N/A
|
[ ] Commercial Paper Rate
|
Minimum
Interest Rate: N/A
|
[ ] Federal Funds Effective Rate
|
|
[ ] Federal Funds Open Rate
|
Interest
Reset Date(s): *
|
[ ] Treasury Rate
|
Interest
Reset Period: Quarterly
|
[x] LIBOR Rate +
|
Interest
Payment Date(s): **
|
[ ] Prime Rate
|
|
[ ] CMT Rate
|
|
Initial
Interest Rate: 5.48%
|
Interest
Payment Period: Quarterly
|
Index
Maturity: Three months
|
|
Spread
(plus or minus): +0.12%
|
^
|
This
Pricing Supplement No. 13/A is being filed solely for the purpose
of
amending footnote + hereof, and replaces and supersedes in its entirety
Pricing Supplement No. 13, filed with the Commission on May 16, 2007.
No
additional securities are being registered by this Pricing Supplement
No.
13/A.
|
*
|
Commencing
May 18, 2007 and on the 18th of each August, November, February and
May
thereafter prior to Maturity.
|
**
|
Commencing
May 18, 2007 and on the 18th of each August, November, February and
May
thereafter up to and including the Maturity
date.
|
+
|
Means
the offered rate for deposits in U.S. dollars having a maturity of
three
months, beginning on the second London Banking Day after each Interest
Determination Date, which appears on Reuters Screen LIBOR01 Page
as of
11:00 a.m., London time, on that
date.
|