Company: WFC-PC
Filing Date: 2025-06-06
Form Type: S-3
Source: 0001193125-25-137239
Chunk: 55

Company: WELLS FARGO & COMPANY/MN
Filing Date: 2025-06-06
Form: S-3
Chunk 55
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 in the applicable prospectus supplement. That interest rate will be based on the CMT rate and any spread and/or spread multiplier and will be subject to the minimum interest rate and the maximum interest rate, if any. The “ CMT rate” means, for any interest determination date, the rate published by the FRB, or its successor, on its website or in another recognized electronic source, as the yield is displayed for Treasury securities at “constant maturity” under the column for the Designated CMT Maturity Index, as defined below, for:

| ● |     | the rate on that interest determination date, if the Designated CMT Reuters Page is FRBCMT; and |

| ● |     | the week or the month, as applicable, ended immediately preceding the week or the month, as applicable, in which 
 the related interest determination date occurs, if the Designated CMT Reuters Page is FEDCMT.                    |

38

The following procedures will be followed if the CMT rate cannot be determined as described above:

| ● |     | If the above rate is no longer displayed on the relevant page, or if not published by 5:00 p.m., New York City                                                                                                                                     
 time, on the related calculation date, then the CMT rate will be the applicable Treasury Constant Maturity rate for the Designated CMT Maturity Index and for either the relevant interest determination date or the weekly or monthly average, as 
 applicable, as published in the H.15 Daily Update opposite the caption “Treasury constant maturities.”                                                                                                                                             |

| ● |     | If the above rate is no longer displayed in the H.15 Daily Update, or if not published by 5:00 p.m., New York                                                                                                                                           
 City time, on the related calculation date, then the CMT rate will be the Treasury Constant Maturity rate for the Designated CMT Maturity Index or other U.S. Treasury rate for the Designated CMT Maturity Index on the interest determination date as 
 may then be published by either FRB or the United States Department of the Treasury that the calculation agent determines to be comparable to the rate formerly displayed on the Designated CMT Reuters Page and published on the website of the FRB or 
 in another recognized electronic source.                                                                                                                                                                                                                |

| ● |     | If the information described in the second bullet point is not provided by 5:00 p.m., New York City time, on the                                                                                                                                         
 related calculation date, then the calculation agent will determine