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SUMMARY
INFORMATION
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Issuer:
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ABN
AMRO Bank N.V. (Senior Long
Term Debt Rating: Moody’s
Aa2, S&P
AA-)
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Lead
Agent:
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LaSalle
Broker Dealer Services
Division, a Division of LaSalle Financial Services,
Inc.
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Offerings:
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This
prospectus relates to twelve
separate offerings of securities (“the Securities”).
Each Security offered is linked
to one, and only one, Underlying Stock. The Underlying
Stocks are set
forth in the table below. You may participate in any of the twelve
Securities offerings or, at your election, in two or more offerings.
This
prospectus does not, however, allow you to purchase a Security linked
to a
basket
of some or all of the Underlying
Stocks described below. Each Security has a term of six
months.
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Interest
Payment
Dates:
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Interest
on the Securities is
payable monthly in arrears on the 27th
day of each month starting on
October 27, 2007 and ending on the Maturity
Date.
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Underlying
Stock
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Ticker
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Coupon
Rate Per
Annum*
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Interest
Rate
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Put
Premium
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Knock-in
Level
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CUSIP
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ISIN
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NutriSystem,
Inc.
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NTRI
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27.00%
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5.46%
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21.54%
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80%
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00078UWF3
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US00078UWF38
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Delta
Airlines,
Inc.
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DAL
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24.50%
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5.46%
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19.04%
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80%
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00078UWG1
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US00078UWG11
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Joy
Global
Inc.
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JOYG
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20.00%
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5.46%
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14.54%
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80%
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00078UWH9
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US00078UWH93
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Moody’s
Corporation
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MCO
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20.00%
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5.46%
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14.54%
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80%
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00078UWJ5
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US00078UWJ59
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IntercontinentalExchange,
Inc.
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ICE
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19.50%
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5.46%
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14.04%
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80%
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00078UWK2
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US00078UWK23
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Lehman
Brothers Holdings,
Inc.
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LEH
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19.50%
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5.46%
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14.04%
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80%
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00078UWL0
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US00078UWL06
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Nucor
Corporation
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NUE
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19.50%
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5.46%
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14.04%
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80%
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00078UWM8
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US00078UWM88
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Goldcorp
Inc.
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GG
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16.00%
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5.46%
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10.54%
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80%
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00078UWN6
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US00078UWN61
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Yahoo!
Inc.
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YHOO
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16.00%
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5.46%
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10.54%
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80%
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00078UWP1
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US00078UWP10
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NYSE
Euronext,
Inc.
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NYX
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15.50%
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5.46%
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10.04%
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80%
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00078UWQ9
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US00078UWQ92
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Qualcomm
Incorporated
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QCOM
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14.50%
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5.46%
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9.04%
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80%
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00078UWR7
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US00078UWR75
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SLM
Corporation
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SLM
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13.00%
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5.46%
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7.54%
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80%
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00078UA26
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US00078UA269
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*The
Securities have
a term of six months,
so you will receive a pro rata amount of this per annum rate based
on such
six-month period.
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Denomination/Principal:
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$1,000
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Issue
Price:
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100%
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Payment
at
Maturity:
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The
payment at maturity for each
Security is based on the performance of the Underlying Stock linked
to
such Security:
i)
If the closing price of the applicable Underlying Stock on the primary
U.S. exchange or market for such Underlying Stock has not fallen
below the applicable Knock-In
Level on any trading day from but not including the Pricing Date
to and
including the Determination Date, we will pay you the principal amount
of
each Security in cash.
ii)
If the closing price of the applicable Underlying Stock
on the primary U.S. exchange
or market for such Underlying Stock has fallen below the applicable
Knock-In Level on any trading day from but not including the Pricing
Date
to and including the Determination Date:
a)
we will deliver to you a number of shares
of the applicable
Underlying Stock equal to the applicable Stock Redemption Amount,
in the
event that the closing price of the applicable Underlying Stock on
the
Determination Date is below the applicable Initial Price;
or
b)
we will pay you the principal
amount of each Security in
cash, in the event that the closing price of the applicable Underlying
Stock on the Determination Date is at or above the applicable Initial
Price.
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You
will receive cash in lieu of
fractional shares.
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Initial
Price:
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100%
of the Closing Price of the
applicable Underlying Stock on the Pricing Date.
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Stock
Redemption
Amount:
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For
each $1,000 principal amount
of Security, a number of shares of the applicable Underlying
Stock
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linked
to such Security equal to
$1,000 divided by the applicable Initial Price.
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Knock-In
Level:
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A
percentage of the applicable
Initial Price as set forth in the table above.
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Indicative
Secondary
Pricing:
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• Internet
at: www.s-notes.com
• Bloomberg
at: REXS2
<GO>
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Status:
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Unsecured,
unsubordinated
obligations of the Issuer
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Trustee:
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Wilmington
Trust
Company
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Securities
Administrator:
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Citibank,
N.A.
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Settlement:
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DTC,
Book Entry,
Transferable
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Selling
Restrictions:
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Sales
in the European Union must
comply with the Prospectus Directive
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Pricing
Date:
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September
24, 2007, subject to
certain adjustments as described in the related pricing
supplement
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Settlement
Date:
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September
27,
2007
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Determination
Date:
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March
24, 2008, subject to certain
adjustments as described in the related pricing
supplement
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Maturity
Date:
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March
27, 2008 (Six
Months)
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