CITICORP
424B5, 1995-05-22
NATIONAL COMMERCIAL BANKS
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Filed pursuant to
Rule 424(b)(5)
Registration No. 33-64574

                             CITICORP
                       U.S. $5,000,000,000
            Global Medium-Term Senior Notes, Series C
                       U.S. $1,000,000,000
         Global Medium-Term Subordinated Notes, Series C
         Due From 9 Months to 60 Years From Date of Issue

Pricing Supplement, dated May 19, 1995
     (To Prospectus Supplement, dated January 26, 1995;
     to Prospectus, dated January 26, 1995)

                       DESCRIPTION OF NOTES

     The terms of the LIBOR Notes set forth in this Pricing
Supplement supplement and modify, to the extent applicable, the
description of general terms and provisions of Citicorp's Global
Medium-Term Senior Notes, Series C set forth in the accompanying
Prospectus and Prospectus Supplement.  Capitalized terms not
defined herein shall have the meanings assigned to such terms in
the accompanying Prospectus and Prospectus Supplement.
<TABLE>
<CAPTION>
SUMMARY OF TERMS:
<S>                           <C>
Title of Notes:               LIBOR Senior Notes Due May 26, 2000
                              (the "LIBOR Notes").
Aggregate
  Principal Amount:           $30,000,000.00.

Issue Date:                   May 26, 1995.

Stated Maturity Date:         May 26, 2000.

Interest Rate Index:          Three Month LIBOR.

Spread:                       Plus 19.0 basis points.

Initial Interest Rate:        Three Month LIBOR plus 0.19%, as
                              determined on the second Market Day
                              preceding the Issue Date.

Interest Rate:                    For each Interest Rate Reset
Period,
                                  Three Month LIBOR plus 0.19%,
as
                                  determined on the second Market
Day
                                  preceding the related Interest
                                  Determination Date or, in the
case
                                  of the Initial Interest Rate,
the
                                  second Market Day preceding the
                                  Issue Date.

Interest Commencement Date:  May 26, 1995.

Interest Payment Dates:      Quarterly, on the 26th of each
                             February, May, August and November,
                             commencing August 28, 1995, and at
                             Stated Maturity.

Interest Rate Reset Period:  Quarterly.

Interest Reset Dates:             The 26th day of each February,
May,
                                  August and November.

LIBOR Interest
  Determination Dates:       Pertaining to an Interest Reset
                             Date, the second Market Day
                             preceding such related Interest
                             Reset Date.

Index Maturity:              Three Months.

LIBOR Screen Reference:      Telerate Screen Page 3750.

Calculation Dates:           The related LIBOR Interest
                             Determination Date.

Redemption:                  The LIBOR Notes are not subject to
                             redemption prior to the Maturity
                             Date.

Sinking Fund:                The LIBOR Notes are not subject to
                             any sinking fund.

Regular Record Dates:             The date that is 15 calendar
days
                                  prior to the related Interest
                                  Payment Date.

Calculation Agent:           Citibank, N.A.

Selling Agent:                    Lehman Brothers Inc.

Commission:                  .021%

Price to Public:                  100%





</TABLE>


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