Title
of Each Class of Securities Offered
|
|
Maximum
Aggregate
Offering
Price
|
|
Amount
of
Registration
Fee(1)
|
|
||
Medium-Term
Notes, Series B
|
|
$
|
2,000,000
|
|
$
|
78.60
|
|
PRICING
SUPPLEMENT NO. 22
|
Rule 424(b)(2)
|
DATED:
January 30, 2008
|
File
No. 333-136666
|
(To
Prospectus dated August 16, 2006,
|
|
and
Prospectus Supplement dated August 16, 2006)
|
Principal
Amount: $2,000,0001
|
Floating
Rate Notes o
|
Book
Entry Notes x
|
Original
Issue Date: 2/7/2008
|
Fixed
Rate Notes x
|
Certificated
Notes o
|
Maturity
Date: 2/7/2023
|
CUSIP#:
0739282B8
|
|
Option
to Extend Maturity:
|
No x
Yes o Final
Maturity Date:
|
Redeemable
On
|
Redemption
Price(s)
|
Optional
Repayment
Date(s)
|
Optional
Repayment
Price(s)
|
February
7, 2009, and
on each Interest Payment Date thereafter, the issuer has the right
to
redeem the Notes in whole, but not in part, upon five (5) Business
Days
prior written notice.
|
100%
|
N/A
|
N/A
|
Interest
Rate:
|
7.05%
|
Interest
Payment Dates:
|
Quarterly on
the 7th
day of each February, May, August and November up to and including
the
Maturity Date, subject to earlier redemption.
|
Interest
Rate Basis:
|
Maximum
Interest Rate:
|
o Commercial
Paper Rate
|
Minimum
Interest Rate:
|
o Federal
Funds Effective Rate
|
|
o Federal
Funds Open Rate
|
Interest
Reset Date(s):
|
o Treasury
Rate
|
Interest
Reset Period:
|
o LIBOR
Rate
|
Interest
Payment Date(s):
|
o Prime
Rate
|
|
o CMT
Rate
|
|
Initial
Interest Rate:
|
Interest
Payment Period:
|
Index
Maturity:
|
|
Spread
(plus or minus):
|