SALOMON INC
424B3, 1994-09-23
SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES
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Pricing Supplement No.  Euro D129    Dated 9/26/94          Rule 424(b)(3)
(To Prospectus dated December 14, 1993 and                  File No. 33-51269,
Prospectus Supplement dated December 14, 1993)           33-57922 and 33-49136

Salomon Inc
Medium-Term Notes, Series D
(Bearer Notes--Floating Rate or Indexed Rate)
Due More Than Nine Months from Date of Issue

Principal Amount or Face Amount: $8,000,000.00           
Issue Price:                     100%
Proceeds to Company on original issuance: $7,986,000.00           
Commission or Discount on original issuance:  $14,000.00
                                                                        
Salomon Brothers International Limited's capacity on original issuance:
    |X| As agent | | As principal
    If as principal:
          | | The Bearer Notes are being offered at varying prices related to 
              prevailing market prices at the time of resale.
          | | The Bearer Notes are being offered at a fixed initial public 
              offering price of   % of Principal Amount or Face Amount.

Original Issue Date: 9/26/94   
Stated Maturity: 3/25/97      
Specified Currency:
    (If other than U.S. Dollars)
Authorized Denominations: $100,000.00
    (If other than as set forth in the Prospectus Supplement)

Interest Payment Dates:  12/28/94, 3/27/95, 6/26/95, 9/25/95, 12/27/95, 
                         3/25/96, 6/25/96, 9/25/96, 12/27/96 & 3/25/97
    (If other than as set forth in the Prospectus Supplement)

Indexed Principal Note: | | Yes (see attached) |x| No

Floating Rate: |x|         Indexed Rate: | | (see attached)
Initial Interest Rate:  5.62
Base Rate: | | CD Rate | | Commercial Paper Rate | | Federal Funds Rate 
           |x| LIBOR Telerate  | | Libor Reuters  | | Treasury Rate         
           | | Treasury Rate Constant Maturity  | | Other (see attached)

Interest Reset Dates:  12/28/94, 3/27/95, 6/26/95, 9/25/95, 12/27/95, 
                       3/25/96, 6/25/96, 9/25/96, 12/27/96 & 3/25/97
Optional Reset Dates (if applicable):

Index Maturity:   3 Month
Spread (+/-):     +37 BP
Spread Multiplier:
Spread Reset:|X| The Spread or Spread Multiplier may not be changed prior to 
                 Stated Maturity.
             | | The Spread or Spread Multiplier may be changed prior to Stated
                 Maturity (see attached).

Maximum Interest Rate:
Minimum Interest Rate:

Amortizing Note: | | Yes |x| No
    Amortizing Schedule:

Optional Redemption: | | Yes |x| No
    Optional Redemption Dates:
    Redemption Prices:

Optional Repayment: | | Yes |x| No
    Optional Repayment Dates:
    Optional Repayment Prices:

Discount Note: | | Yes |x| No
    Total Amount of OID:
    Yield to Maturity:   
                                                                
NOT WITHSTANDING THE STATEMENT IN PROSPECTUS SUPPLEMENT, THE NOTE OFFERED
HEREBY WILL NOT BE LISTED ON THE LUXEMBOURG STOCK EXCHANGE



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