Pricing Supplement No.43 Dated October 26,1994 Rule 424(b)(2)
(To Prospectus dated February 15, 1994 and File No. 33-57104
Prospectus Supplement dated February 15, 1994)
CHEMICAL BANKING CORPORATION
[X] Senior Medium -Term Notes, Series C Due From Nine
Months to Thirty Years from Date of Issue
[ ] Subordinated Medium Term Notes , Series A Due From
Nine Months to Thirty Years from Date of Issue
Principal Amount: $25,000,000
Issue Price: 100%
Commission or Discount: ($52,500.00)
Proceeds to Company: ($24,947,500.00)
Agent: KIDDER
Agent's Capacity: [x] As agent [ ] As principal
If as principal
[ ] The Notes are being offered at varying prices to
prevailing market prices at the time of sale
[ ] The Notes are being offered at a fixed initial public
offering price equal to the Issue Price (as a
percentage of Principal Amount).
Original Issue Date: October 26, 1994
Stated Maturity: October 26, 1999
Form: [X] Book-entry [ ] Certificated
Currency: U.S. Dollars
[ ] Fixed Rate Note:
Interest Rate:
[X] Floating Rate Note: CD[ ] Commercial Paper Rate [ ]
Federal Fund Effective Rate [ ]
LIBOR Telerate [X] LIBOR Reuter [ ]
Treasury Rate [ ] Prime Rate [ ]
Initial Interest Rate: 6.0
Int.Determ.Dates : 10/24/94; 01/24/95; 04/24/95;
07/24/95; 10/24/95; 01/24/96; 04/24/96; 07/24/96;
10/24/96; 01/23/97; 04/24/97; 07/24/97; 10/23/97;
01/22/98; 04/23/98; 07/23/98; 10/22/98; 01/22/99;
04/22/99; 07/22/99.
Interest Payment Dates: 01/26/95; 04/26/95; 07/26/95;
10/26/95; 01/26/96; 04/26/96; 07/26/96; 10/28/96; 01/27/97;
04/28/97; 07/28/97; 10/27/97; 01/26/98; 04/27/98; 07/27/98;
10/26/98; 01/26/99; 04/26/99; 07/26/99; 10/26/99.
Index Maturity: 3 month
Spread (+/-): +.375
Spread Multiplier:
Maximum Interest Rate: 10%
Minimum Interest Rate:
Optional Redemption : Yes[ ] No [ ]
Redemption Dates
and Prices: