USL CAPITAL CORP/
424B2, 1995-12-13
FINANCE LESSORS
Previous: UNITED CITIES GAS CO, 424B3, 1995-12-13
Next: COMPETITIVE TECHNOLOGIES INC, 10-Q, 1995-12-13



Pricing Supplement No.  29           Rule 424(b)(2)                
DATED:  12/12/95           Registration No. 33-56839                  
(To Prospectus Supplement dated January 17, 1995, including the Prospectus
dated December 21, 1994)                               


$900,000,000                                 
USL CAPITAL CORPORATION                                
MEDIUM-TERM NOTES, SERIES D                                 
Due from Nine Months to 30 Years from Date of Issue                        
          

Floating Rate Note  [ ]   6.40% Fixed Rate Note [X]              
Global Security:    [x] Yes   [ ] No         
Principal Amount:   $50,000,000                             
Settlement Date:    12/15/95  Maturity Date:  12/20/02           
Interest Accrual Date:  12/15/95                            

New Maturity Date(s): N/A     Notice of Renewal Date(s): N/A     

Issue Price:  100%            

Specified Currency: U.S. Dollars                  
Exchange Rate Agent: N/A                
Historical Exchange Rate: N/A                
Redemption Dates: N/A                   
Redemption Price(s): N/A                
Authorized Denominations (if other than denominations of $1,000 and integral
multiples of $1,000 in excess thereof in U.S. Dollars): N/A                
                    
Repayment Date(s): N/A                  
Repayment Price(s): N/A                 
Interest Payment Period:  Semi-Annually           
Interest Payment Dates:   6/1, 12/1                    

(Only applicable to Floating Rate Notes)                                   
Initial Interest Rate:                                 
                                   
Index Maturity:                              
Base Rate(s):                                
If LIBOR, Designated LIBOR Page:                                 
     [  ] LIBOR Reuters                      
     [  ] LIBOR Telerate                     
     Index Currency:                            
Interest Reset Period:                            
Interest Reset Dates:                                  
Spread (plus or minus):            
Spread Multiplier:                           
Maximum Interest Rate:                       
Minimum Interest Rate:                       
Calculation Agent:                 

Original Issue Discount Note:                
[ ] Yes   [X] No
(Only Applicable to Original Issue Discount Notes):                   
Total Amount of OID:                    
Yield to Maturity:                 
Initial Accrual Period OID:                  
Method to Determine Yield to Maturity and Initial Accrual Period OID:      
          

Trade Date:    12/12/95            
Name of Agent: Lehman Brothers, Inc.
               
Agent's Discount or Commission:       $200,000                   
Net Proceeds to Company:           $49,800,000         

[X]  Agent is Acting as Agent for the Sale of Notes              
     by the Company at a Price to the Public of        
     [X]  100% of Principal Amount
     [ ]  ___% of Principal Amount

[  ] Agent is Purchasing Notes from the Company as Principle          
     for Resale to investors and Other Purchasers at:       
     [  ] a fixed initial public offering price of     
          100% of the Principal Amount
     [  ] a fixed initial public offering price of     
          ___% of the Principal Amount
     [  ] varying prices relating to prevailing market prices    
          at time of resale to be determined by Agent  

Cusip Number:  90330QBE3      

Additional Terms:             



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission