WILLAMETTE INDUSTRIES INC
424B2, 1998-06-12
PAPER MILLS
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                                                                  Rule 424(b)(2)
                                                              File No. 333-32647

PRICING SUPPLEMENT No. 3  DATED June 11, 1998

(To Prospectus Dated October 7, 1997, as Supplemented May 13, 1998)

                           WILLAMETTE INDUSTRIES, INC.

                           Medium-Term Notes, Series C
                Due From 9 Months to 30 Years From Date of Issue

                                Fixed Rate Notes
                                 --------------


Original Issue Date:  June 16, 1998

                                                                   Interest Rate
         Range of Maturities                                           Per Annum

From 9 months to less than 1 year......................................        %
From 1 year to less than 18 months.....................................        %
From 18 months to less than 2 years.....................................       %
From 2 years to less than 3 years.......................................       %
From 3 years to less than 4 years.......................................       %
From 4 years to less than 5 years.......................................       %
From 5 years to less than 6 years.......................................       %
From 6 years to less than 7 years.......................................       %
From 7 years to less than 10 years......................................       %
From 10 years to less than 15 years.....................................   6.60%
From 15 years to less than 20 years.....................................       %
From 20 years to 30 years...............................................       %

Principal Amount:  $3,000,000

Agent's Commission or Discount:  $18,750

Net Proceeds to Willamette Industries, Inc.:  $2,981,250

Maturity Date:  June 18, 2012

Redemption:
       Check applicable box.
       [X]   The Notes cannot be redeemed prior to maturity.
       [ ]   The Notes may be redeemed  prior to maturity in whole or from time
              to time in part.
       [ ]   The Notes may be redeemed prior to maturity in whole only.

       Terms of Redemption:


Agent:  Goldman, Sachs & Co.

Agent acting in the capacity indicated below:
         [ ]      Agent                     [X]      Principal

If as Principal:
         [ ] The Notes are being offered at varying prices related to prevailing
         market prices at the time of resale. 
         [X] The Notes are being offered at a fixed initial public offering 
         price of 100% of principal amount.

If as Agent:
         The Notes are being offered at a fixed initial public offering price of
         ___% of principal amount.

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Other Provisions:


Addendum Attached [ ]


The Indenture Trustee is The Chase Manhattan Bank.

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