COUNTRYFUND OPPORTUNITY TRUST 1996 SERIES
S-6EL24, 1996-09-23
Previous: ECHELON INTERNATIONAL CORP, 10-12B, 1996-09-23
Next: LEHMAN ABS CORP PROVIDENT BANK HOME EQUITY LOAN TRUST 1996-1, 8-K, 1996-09-23



   AS FILED WITH THE SECURITIES AND EXCHANGE COMMISSION ON SEPTEMBER 23, 1996
                                                    REGISTRATION NO. 333-
================================================================================

                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549
                               ------------------

                                    FORM S-6
                               ------------------

                   FOR REGISTRATION UNDER THE SECURITIES ACT
                    OF 1933 OF SECURITIES OF UNIT INVESTMENT
                        TRUSTS REGISTERED ON FORM N-8B-2
                               ------------------

A.       EXACT NAME OF TRUST:

                  THE COUNTRYFUND OPPORTUNITY TRUST, 1996 SERIES

B.       NAME OF DEPOSITOR:                 SMITH BARNEY INC.

C.       COMPLETE ADDRESS OF DEPOSITOR'S PRINCIPAL EXECUTIVE OFFICES:

                                            SMITH BARNEY INC.
                                            388 GREENWICH STREET, 23RD FLOOR
                                            NEW YORK, NY  10013

D.       NAMES AND COMPLETE ADDRESS OF AGENT FOR SERVICE:

                                                      COPY OF COMMENTS TO:
                  LAURIE HESSLEIN                     MICHAEL R. ROSELLA, ESQ.
                  Smith Barney Inc.                   Battle Fowler LLP
                  388 Greenwich Street                75 East 55th Street
                  New York, New York  10013           New York, New York  10022
                                                      (212) 856-6858

E.       TITLE AND AMOUNT OF SECURITIES BEING REGISTERED:
                  An indefinite number of Units of Beneficial Interest pursuant
                  to Rule 24f-2 promulgated under the Investment Company Act of
                  1940, as amended.

F.       PROPOSED MAXIMUM OFFERING PRICE TO THE PUBLIC OF THE SECURITIES BEING 
         REGISTERED:
                  Indefinite

G.       AMOUNT OF FILING FEE:
                  $500 (as required by Rule 24f-2)

H.       APPROXIMATE DATE OF PROPOSED SALE TO THE PUBLIC:
                  As soon as practicable after the acquisition and deposit of
                  the underlying obligations.
                  / / Check if it is proposed that this filing will become
                  effective immediately upon filing pursuant to Rule 487.

================================================================================
The registrant hereby amends this registration statement on such date or dates
as may be necessary to delay its effective date until the registrant shall file
a further amendment which specifically states that this registration statement
shall thereafter become effective in accordance with Section 8(a) of the
Securities Act of 1933 or until the registration statement shall become
effective on such date as the Commission, acting pursuant to said section 8(a),
may determine.


404902.1

<PAGE>



                 SUBJECT TO COMPLETION, DATED SEPTEMBER , 1996



================================================================================

                                             THE COUNTRYFUND OPPORTUNITY TRUST,
                                                                    1996 SERIES

================================================================================

         The final prospectus for The CountryFund Opportunity Trust, 1995
Series is hereby incorporated by reference and used as a preliminary prospectus
for The CountryFund Opportunity Trust, 1996 Series. Except as indicated below,
the narrative information and structure of the final prospectus which includes
the new Trust will be substantially the same as that of the previous
prospectus. Information with respect to this Trust, including pricing, the size
and composition of the Trust portfolio, the number of units of the Trust, dates
and summary information regarding the characteristics of securities to be
deposited in the Trust is not now available and will be different from that
shown since each trust has a unique portfolio. Accordingly, the information
contained herein with regard to the previous Trust should be considered as
being included for informational purposes only. The estimated current return
and long-term return for the Trust will depend on the interest rates and
offering side evaluation of the securities in the Trust and may vary materially
from those of the previous trust. Investors should contact account executives
of the underwriters who will be informed of the expected effective date of this
Trust and who will be supplied with complete information with respect to such
Trust on the day of and immediately prior to the effectiveness of the
registration statement relating to units of the Trust.

         INFORMATION CONTAINED HEREIN IS SUBJECT TO COMPLETION OR AMENDMENT. A
REGISTRATION STATEMENT RELATING TO THESE SECURITIES HAS BEEN FILED WITH THE
SECURITIES AND EXCHANGE COMMISSION THESE SECURITIES MAY NO BE SOLD NOR MAY
OFFERS TO BUY BE ACCEPTED PRIOR TO THE TIME THE REGISTRATION STATEMENT BECOMES
EFFECTIVE. THIS PROSPECTUS SHALL NOT CONSTITUTE AN OFFER TO SELL OR THE
SOLICITATION OF AN OFFER TO BUY NOR SHALL THERE BE ANY SALE OF THESE SECURITIES
IN ANY STATE IN WHICH SUCH OFFER, SOLICITATION OR SALE WOULD BE UNLAWFUL PRIOR
TO REGISTRATION OR QUALIFICATION UNDER THE SECURITIES LAWS OF ANY SUCH STATE.

404902.1

<PAGE>



                                    Part II

             ADDITIONAL INFORMATION NOT INCLUDED IN THE PROSPECTUS

         A. The following information relating to the Depositor is incorporated
by reference to the SEC filings indicated and made a part of this Registration
Statement.


<TABLE>
<CAPTION>
                                                                                            SEC FILE OR
                                                                                        IDENTIFICATION NO.
                                                                                        ------------------

<S>                                                                                <C>
I.       Bonding Arrangements and Date of Organization of the Depositor filed
         pursuant to Items A and B of Part II of the Registration Statement on
         Form S-6 under the Securities Act of 1933:

         Smith Barney Inc.                                                                    2-55436

II.      Information as to Officers and Directors of the
         Depositor filed pursuant to Schedules A and D of
         Form BD under Rules 15b1-1 and 15b3-1 of the
         Securities Exchange Act of 1934:

         Smith Barney Inc.                                                                    8-8177

III.     Charter documents of the Depositor filed as
         Exhibits to the Registration Statement on Form S-
         6 under the Securities Act of 1933 (Charter, By-
         Laws):
                                                                                        33-65332, 33-36037
         Smith Barney Inc.


         B. The Internal Revenue Service Employer Identification Numbers of the
Sponsor and Trustee are as follows:

         Smith Barney Inc.                                                                  13-1912900
         The Chase Manhattan Bank                                                           13-4994650

</TABLE>


Supplemented final prospectus from the following Series of The CountryFund
Opportunity Trust which is incorporated herein by reference may be used as the
preliminary prospectus for this Series: The CountryFund Opportunity Trust, 1995
Series (Reg. No. 33-62813).

                                      II-1
404902.1

<PAGE>




                       CONTENTS OF REGISTRATION STATEMENT

The Registration Statement on Form S-6 comprises the following papers and
documents:

         The facing sheet of Form S-6.
         The Cross-Reference Sheet (incorporated by reference to the
               Cross-Reference Sheet to the Registration Statement of The
               Uncommon Values Unit Trust, 1985 Series, 1933 Act File No.
               2-97046).
         The Prospectus.
         Additional Information not included in the Prospectus (Part II).
         *Consent of independent public accountants.


The following exhibits:

<TABLE>
<S>      <C>             <C>
         1.1.1    --       Form of Reference Trust Indenture (incorporated by reference to Exhibit 1.1. to the
                           Registration Statement of Smith Barney Unit Trusts Equity Focus Trusts - The Bank
                           & Thrift Series, 1933 Act File No. 33-62815).

         2.1      --       Form of Standard Terms and Conditions of Trust (incorporated by reference to
                           Exhibit 1.1.1 to the Registration Statement of Shearson Lehman Brothers Unit Trusts,
                           Utility Values Trust 1, 1933 Act File No. 33-17053).

         *3.1              -- Opinion of counsel as to the legality of the
                           securities being issued including their consent to
                           the use of their names under the headings "Taxes"
                           and "Legal Opinion" in the Prospectus.

         *5.1     --       Consent of KPMG Peat Marwick LLP to the use of their name under the heading
                           "Miscellaneous - Auditors" in the Prospectus.
</TABLE>

- --------
*   To be filed with Amendment to Registration Statement.

                                      II-2
404902.1

<PAGE>



                                   SIGNATURES

         PURSUANT TO THE REQUIREMENTS OF THE SECURITIES ACT OF 1933, THE
REGISTRANT HAS DULY CAUSED THIS REGISTRATION STATEMENT OR AMENDMENT TO THE
REGISTRATION STATEMENT TO BE SIGNED ON ITS BEHALF BY THE UNDERSIGNED THEREUNTO
DULY AUTHORIZED IN THE CITY OF NEW YORK AND STATE OF NEW YORK ON THE 23RD DAY
OF SEPTEMBER, 1996.

                        Signatures appear on page II-4.

         A majority of the members of the Board of Directors of Smith Barney
Inc. has signed this Registration Statement or Amendment to the Registration
Statement pursuant to Powers of Attorney authorizing the person signing this
Registration Statement or Amendment to the Registration Statement to do so on
behalf of such members.

                                      II-3
404902.1

<PAGE>


SMITH BARNEY INC.
         DEPOSITOR


         By the following persons, who
           constitute a majority of the
           Board of Directors of Smith
           Barney Inc.:


           STEVEN D. BLACK
           JAMES BOSHART III
           ROBERT A. CASE
           JAMES DIMON
           ROBERT DRUSKIN
           JEFFREY LANE
           ROBERT H. LESSIN

           By:    /s/KEVIN KOPCZYNSKI
                  (As authorized signatory for
                  Smith Barney Inc. and
                  Attorney-in-Fact* for the persons listed above)
- --------
*    Powers of Attorney filed as exhibits to Registration Statement 
     Nos. 33-56722 and 33-51999.

                                      II-4
404902.1



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