Title
of Each Class of Securities Offered
|
|
Maximum
Aggregate Offering Price
|
|
Amount
of
Registration
Fee(1)
|
|
||
Medium-Term
Notes, Series B
|
|
$
|
460,000,000
|
|
$
|
14,122
|
|
PRICING
SUPPLEMENT NO. 16
|
Rule 424(b)(2)
|
DATED:
July 12, 2007
|
File
No. 333-136666
|
(To
Prospectus dated August 16, 2006,
|
|
and
Prospectus Supplement dated August 16, 2006)
|
Principal
Amount: $460,000,000
|
Floating
Rate Notes [x]
|
Book
Entry Notes [x]
|
Original
Issue Date: 7/19/2007
|
Fixed
Rate Notes [ ]
|
Certificated
Notes [ ]
|
Maturity
Date: 7/19/2010
|
CUSIP#:
073928X24
|
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: LIBOR Rate +
on July 17, 2007 ++ |
Interest
Payment Period: Quarterly
|
Index
Maturity: Three months
|
|
Spread
(plus or minus): +0.40%
|
*
|
Commencing
October 19, 2007 and on the 19th of each January, April, July and
October
thereafter prior to Maturity.
|
**
|
Commencing
October 19, 2007 and on the 19th of each January, April, July and
October
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.
|
++
|
The
Initial Interest Rate can be confirmed as described in footnote +,
or by
contacting The Bear Stearns Companies
Inc.
|