SALOMON INC
424B3, 1995-06-16
SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES
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Pricing Supplement No.  220      Dated  6/14/95                Rule 424(b)(3)
(To Prospectus dated October 12, 1994)                     File No. 33-54929
                                                        
SALOMON INC

Notes, Series G
Due More Than Nine Months from Date of Issue
Fixed Rate

Principal Amount:     $250,000.00

Issue Price:     100.0000000000%

Original Issue Date:     6/20/95

Stated Maturity:     6/15/98

Interest Rate:     6.7500000%

Interest Payment Dates:

   | |  Monthly
   | |  Quarterly
   |X|  Semi-annually, on 15th day of June & December.  1st coupon 12/15/95.

Amortizing Note:         | |  Yes       |X|  No 

     Amortization Schedule:
                
                
                
Survivor's Option:        |X|  Yes       | |  No 


                                                Per Note           Total
                                                --------           -----
Price to Public:                          100.0000000000%      $250,000.00

Total Underwriter's Discount or Commission:     .9500000%      $2,375.00

Proceeds to Salomon Inc:                       99.0500000%     $247,625.00

Dealer's Discount or Selling Concession (maximum):      7.0000000%

CUSIP: 79549GXX9




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