CHASE MANHATTAN CORP /DE/
424B3, 1998-12-08
NATIONAL COMMERCIAL BANKS
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PROSPECTUS SUPPLEMENT dated December 8, 1998
to Prospectus dated August 21, 1998

                         THE CHASE MANHATTAN CORPORATION


                                 Debt Securities
                                 Preferred Stock
                                    Warrants


      This Prospectus Supplement supplements our Prospectus dated August 21,
1998 relating to our debt securities, preferred stock and warrants (the
"Prospectus").

                      ADDITIONAL COMPANY SENIOR SECURITIES

The following is added to the section of the Prospectus entitled "Description of
Company Debt  Securities --- Company Senior  Securities" to reflect the issuance
of Company Senior Securities following the date of the Prospectus:

Terms and Provisions of Senior Medium-Term Notes, Series C

We have issued $1,835,000,000                The interest rate bases or    
aggregate principal amount of our            formulas applicable to Series 
Senior Medium-Term Notes, Series C           C Notes that bear interest at 
(the "Series C Notes"), since the            floating rates are indicated  
date of the Prospectus. In the               in the table below. The       
table below we specify the                   Series C Notes are not        
following terms of those Series C            subject to a sinking fund and 
Notes:                                       are not redeemable unless a   
                                             redemption date is indicated  
o    Issuance date;                          below. Unless otherwise       
o    Principal amount;                       indicated below, Series C     
o    Maturity date;                          Notes that are redeemable are 
o    Interest rate and redemption            redeemable at 100% of their   
     dates, if any.                          principal amount, plus        
                                             accrued and unpaid interest,  
                                             if any, to the redemption     
                                             date


                                                           Interest Rate/
                                                           --------------
Issuance Date        Principal Amount   Maturity Date      Redemption Dates
- -------------        ----------------   -------------      ----------------

October 13, 1998       $345,000,000     October 13, 2000   LIBOR Telerate reset
                                                           quarterly +  0.25%

October 13, 1998        $50,000,000     October 13, 2000   LIBOR Telerate reset
                                                           monthly +  0.25%

October 19, 1998        $52,000,000     October 19, 2000   LIBOR Telerate reset
                                                           monthly + 0.25%

<PAGE>


                                                           Interest Rate/
                                                           --------------
Issuance Date        Principal Amount   Maturity Date      Redemption Dates
- -------------        ----------------   -------------      ----------------

October 20, 1998        $50,000,000     April 20, 2000     LIBOR Telerate reset
                                                           quarterly + 0.20%    
                                      
October 20, 1998        $50,000,000     April 20, 2000     LIBOR Telerate reset
                                                           quarterly + 0.20%    
                                      
October 27, 1998       $200,000,000     October 27, 2000   LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
October 27, 1998        $10,000,000     October 27, 2000   LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
October 30, 1998        $75,000,000     April 26, 2000     LIBOR Telerate reset
                                                           quarterly + 0.18%    
                                      
November 2, 1998       $265,000,000     November 2, 2000   LIBOR Telerate reset
                                                           quarterly + 0.28%    
                                      
November 17, 1998       $85,000,000     November 17, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
November 17, 1998       $50,000,000     November 17, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
November 19, 1998       $41,000,000     May 19, 2000       LIBOR Telerate reset
                                                           quarterly + 0.18%    
                                      
November 23, 1998       $70,000,000     November 22, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
November 23, 1998       $25,000,000     November 22, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
November 24, 1998       $42,000,000     November 24, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
November 24, 1998       $30,000,000     November 24, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      
November 24, 1998       $50,000,000     November 30, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%    
                                      

<PAGE>

                                                           Interest Rate/
                                                           --------------
Issuance Date        Principal Amount   Maturity Date      Redemption Dates
- -------------        ----------------   -------------      ----------------

November 24, 1998       $20,000,000     November 30, 2000  LIBOR Telerate reset
                                                           quarterly + 0.25%

December 4, 1998        $25,000,000     December 4, 2000   LIBOR Telerate reset
                                                           quarterly + 0.25%

December 8, 1998        $25,000,000     June 8, 2000       LIBOR Telerate reset
                                                           quarterly + 0.18%

December 8, 1998        $25,000,000     December 8, 2000   LIBOR Telerate reset
                                                           quarterly + 0.25%

December 8, 1998        $50,000,000     December 8, 2000   LIBOR Telerate reset
                                                           quarterly + 0.25%

December 8, 1998       $200,000,000     December 10, 2001  LIBOR Telerate reset
                                                           quarterly +0.30%


                   ADDITIONAL COMPANY SUBORDINATED SECURITIES

The following is added to the section of the Prospectus entitled "Description of
Company Debt Securities --- Company Subordinated Securities" to reflect the
issuance of Company Subordinated Securities following the date of the
Prospectus:

Terms and Provisions of 6% Subordinated Notes Due 2005

The 6% Subordinated Notes Due 2005           arrears on each May 1 and November 
(the "6% Subordinated Notes") are            1, beginning May 1, 1999, to       
limited to $300 million aggregate            holders of record as of the close  
principal amount. They will mature           of business on the previous April  
on November 1, 2005. The 6%                  15 or October 15. The 6%           
Subordinated Notes bear interest             Subordinated Notes are not         
from November 6, 1998 (or from the           redeemable prior to maturity and no
most recent date on which interest           sinking fund is provided for them. 
was paid). Interest on the 6%                
Subordinated Notes is payable in

<PAGE>

Terms and Provisions of Subordinated Medium-Term Notes, Series A

We have issued $15,000,000              The interest rate bases or formulas 
aggregate principal amount of our       applicable to Series A Notes that   
Subordinated Medium-Term Notes,         bear interest at floating rates are 
Series A (the "Series A Notes"),        indicated in the table below. The   
since the date of the Prospectus.       Series A Notes are not subject to a 
In the table below we specify the       sinking fund and are not redeemable 
following terms of those Series A       unless a redemption date is         
Notes:                                  indicated below. Unless otherwise   
                                        indicated below, Series A Notes     
o    Issuance date;                     that are redeemable are redeemable  
o    Principal amount;                  at 100% of their principal amount,  
o    Maturity date;                     plus accrued and unpaid interest,   
o    Interest rate and redemption       if any, to the redemption date.     
     dates, if any.                     
                                                           Interest Rate/
                                                           --------------
Issuance Date      Principal Amount   Maturity Date      Redemption Dates
- -------------      ----------------   -------------      ----------------

October 9, 1998       $15,000,000     October 9, 2013    6.125%; redeemable in
                                                         whole only on quarterly
                                                         interest payment dates
                                                         on or after October 9,
                                                         2001



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