COUNTRYWIDE CREDIT INDUSTRIES INC
424B3, 1995-01-24
MORTGAGE BANKERS & LOAN CORRESPONDENTS
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Rule 424(b)(3)
File No. 33-50661

PRICING SUPPLEMENT NO. 24 DATED JANUARY 18, 1995
(To Prospectus Dated October 29, 1993 as Supplemented October 29, 1993)


COUNTRYWIDE FUNDING CORPORATION
Medium-Term Notes, Series C
Due from 9 months to 30 years from Date of Issue
Payment of the Principal, Premium, if any,
and Interest on the Notes is Unconditionally
Guaranteed by
COUNTRYWIDE CREDIT INDUSTRIES, INC.
Floating-Rate Notes
- - - - - - - - - -

Principal Amount:                    $20,000,000
Proceeds to Issuer:                  $19,930,000
Trade Date:                          January 18, 1995
Issue Price:                         100%
Original Issue Date:                 January 25, 1995
Total Amount of OID:                 N/A
Initial Accrual Period OID:          N/A
Yield to Maturity:                   N/A
Stated Maturity Date:                January 26, 1998
Book-Entry:   /X/
Certificated: /  /

Specified Currency:                  U.S. Dollars

Base Rate:     /  / Commercial paper Rate       /x/ LIBOR
               /  / Certificate of Deposit Rate
               /  / Treasury Rate              /  / Federal Funds Rate
               /  / Prime Rate                 /  / Other

Exchange Rate Agent:                 N/A
Minimum Denomination:                $100,000
Initial Interest Rate:               To be determined 2 Business 
                                     Days prior to Initial Issuance
Interest Determination Dates:        Two Business Days prior to the 
                                     Interest Reset Date.
Interest Reset Dates:                Same as Interest Payment Dates
Interest Payment Dates:              Every 1/26, 4/26, 7/26 and 
                                     10/26 until maturity.
Index Maturity:                      3 months
Maximum Interest Rate:               N/A
Minimum Interest Rate:               N/A
Spread (plus or minus):              Plus 35 bps (bps = basis points)
Spread Multiplier:                   N/A
Calculation Agent:                   The Bank of New York
Calculation Date:                    N/A



Redemption:
 Check box opposite applicable paragraph.
 /X/ The Notes cannot be redeemed prior to maturity.
 / / The Notes may be redeemed prior to maturity.
 Initial Redemption Date:            N/A
 Initial Redemption Percentage:      N/A
 Annual Redemption Percentage        N/A
     Reduction:
 Special Redemption Provisions:      N/A





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