PROSPECTUS and PROSPECTUS SUPPLEMENT,
each dated August 6, 1993 (Revised)
PRICING SUPPLEMENT NO. 35
Effective at 11:50 am ET
Date: 27 June 1995
AMENDED Comm. File No.: 33-66082
Filed pursuant to Rule
424(b)(3)
U. S. $143,850,000
JOHN DEERE CAPITAL CORPORATION
MEDIUM-TERM NOTES, SERIES B
Due from 9 Months to 30 Years From Date of Issue
(Floating Rate Notes)
Original Issue Date: 30 June 1995
Maturity Date: 30 June 1997
Issue Price: 100%
Issue Size: $25,000,000
Floating Rate Basis: Prime Rate
Index Maturity: ----------
Spread: Minus 260 basis points
(2.60%)
Spread Multiplier: ------
Initial Interest Determination Date: 30 June 1995
Maximum Interest Rate: ------
Minimum Interest Rate: ------
Interest Payment Dates: Interest will be payable in U.S. dollars
on the 30th day of September, December,
March and June subject to Modified
Following Business Day Convention.
Interest Determination
Date: The Interest Determination Date pertaining
to an Interest Reset Date shall be daily on
the Interest Reset Date; except that the rate
in effect two New York business days prior to
the Interest Payment Dates shall apply for
the last two days in the respective Interest
Period.
Interest Reset Dates: The rate of interest on each Floating Rate
Note will be reset daily; except that the
rate in effect two New York business days
prior to the Interest Payment Dates shall
apply for the last two days in the respective
Interest Period.
Redemption Provisions: None.
Goldman, Sachs & Company
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