CSX CORP
424B2, 1998-05-15
RAILROADS, LINE-HAUL OPERATING
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                                                                 Rule 424(b)(2)
                                          Registration No. 33-48841 & 33-41236

PRICING SUPPLEMENT NO. 1 DATED MAY 13, 1998

(To Prospectus Dated April 22, 1998, as supplemented
by Prospectus Supplement Dated April 22, 1998)


                                CSX CORPORATION

                          Medium-Term Notes, Series B


Principal Amount:  $10,000,000          Redemption Terms (at option of CSX)
                   -----------             [X] Not redeemable prior to Stated  
                                               Maturity
Issue Price (Dollar Amount and             [ ] Redeemable in accordance with the
Percentage of Principal Amount):               following terms:
$10,000,000; 100%                              
- -----------------                       Repayment Terms (at option of the
                                        Holder):
Settlement Date (Issue Date):              [X] Not repayable prior to Stated
5/18/98                                        Maturity
- -------                                    [ ] Repayable in accordance with the
                                               following terms:
Stated Maturity:  5/19/08                  
                  -------               Sinking Fund Provisions:     
                                           [X} None
Type of Note:                              [ ] Applicable in accordance with the
   [X} Fixed Rate Note                         following terms
   [ ] Floating Rate Note                  
   [ ] Inverse Floating Rate Note       Specified Currency (U.S. dollars, unless
   [ ] Zero Coupon Note                 otherwise indicated):   
   [ ] Foreign Currency Note                                 -------------------
   [ ] Indexed Note                     
                                        Agent:  Merrill Lynch                   
Form:                                           -------------
   [X] Book Entry                                
   [ ] Definitive                       Agent acting in capacity indicated
                                        below:
CUSIP No:  12641 L BM 4                 [X] As Agent
           ------------                 [ ] As Principal
           
Interest Rate: 6.59%                    Agent's Commission:  .625%
               -----                                         -----

Interest Payment Dates:  March 1        Net Proceeds to CSX:  9,937,500
and September 1, commencing                                   ---------
9/1/98                                  Other:
- ------                                                        

<PAGE>
                                        
                                                                 Rule 424(b)(2)
                                          Registration No. 33-48841 & 33-41236

PRICING SUPPLEMENT NO. 2 DATED MAY 13, 1998

(To Prospectus Dated April 22, 1998, as supplemented
by Prospectus Supplement Dated April 22, 1998)


                                CSX CORPORATION

                          Medium-Term Notes, Series B


Principal Amount:  $10,000,000          Redemption Terms (at option of CSX)
                   -----------             [X] Not redeemable prior to Stated  
                                               Maturity
Issue Price (Dollar Amount and             [ ] Redeemable in accordance with the
Percentage of Principal Amount):               following terms:
$10,000,000; 100%                              
- -----------------                       Repayment Terms (at option of the
                                        Holder):
Settlement Date (Issue Date):              [X] Not repayable prior to Stated
5/18/98                                        Maturity
- -------                                    [ ] Repayable in accordance with the
                                               following terms:
Stated Maturity:  5/19/08                  
                  -------               Sinking Fund Provisions:     
                                           [X} None
Type of Note:                              [ ] Applicable in accordance with the
   [X} Fixed Rate Note                         following terms
   [ ] Floating Rate Note                  
   [ ] Inverse Floating Rate Note       Specified Currency (U.S. dollars, unless
   [ ] Zero Coupon Note                 otherwise indicated):   
   [ ] Foreign Currency Note                                 -------------------
   [ ] Indexed Note                     
                                        Agent:  Lehman Brothers Inc.            
Form:                                           -------------------
   [X] Book Entry                                
   [ ] Definitive                       Agent acting in capacity indicated
                                        below:
CUSIP No:  12641 L BM 4                 [X] As Agent
           ------------                 [ ] As Principal
           
Interest Rate: 6.59%                    Agent's Commission:  .625%
               -----                                         -----

Interest Payment Dates:  March 1        Net Proceeds to CSX:  9,937,500
and September 1, commencing                                   ---------
9/1/98                                  Other:
- ------                                                        

<PAGE>
                                                                  Rule 424(b)(2)
                                           Registration No. 33-48841 & 33-41236

PRICING SUPPLEMENT NO. 3 DATED MAY 13, 1998

(To Prospectus Dated April 22, 1998, as supplemented
by Prospectus Supplement Dated April 22, 1998)


                                CSX CORPORATION

                          Medium-Term Notes, Series B


Principal Amount:  $10,000,000          Redemption Terms (at option of CSX)
                   -----------             [X] Not redeemable prior to Stated  
                                               Maturity
Issue Price (Dollar Amount and             [ ] Redeemable in accordance with the
Percentage of Principal Amount):               following terms:
$10,000,000; 100%                              
- -----------------                       Repayment Terms (at option of the
                                        Holder):
Settlement Date (Issue Date):              [X] Not repayable prior to Stated
5/18/98                                        Maturity
- -------                                    [ ] Repayable in accordance with the
                                               following terms:
Stated Maturity:  5/19/08                  
                  -------               Sinking Fund Provisions:     
                                           [X} None
Type of Note:                              [ ] Applicable in accordance with the
   [X} Fixed Rate Note                         following terms
   [ ] Floating Rate Note                  
   [ ] Inverse Floating Rate Note       Specified Currency (U.S. dollars, unless
   [ ] Zero Coupon Note                 otherwise indicated):   
   [ ] Foreign Currency Note                                 -------------------
   [ ] Indexed Note                     
                                        Agent:  Chase Securities Inc.           
Form:                                           ---------------------
   [X] Book Entry                                
   [ ] Definitive                       Agent acting in capacity indicated
                                        below:
CUSIP No:  12641 L BM 4                 [X] As Agent
           ------------                 [ ] As Principal
           
Interest Rate: 6.59%                    Agent's Commission:  .625%
               -----                                         -----

Interest Payment Dates:  March 1        Net Proceeds to CSX:  9,937,500
and September 1, commencing                                   ---------
9/1/98                                  Other:
- ------                                                        

<PAGE>
                                                                  Rule 424(b)(2)
                                           Registration No. 33-48841 & 33-41236

PRICING SUPPLEMENT NO. 4 DATED MAY 13, 1998

(To Prospectus Dated April 22, 1998, as supplemented
by Prospectus Supplement Dated April 22, 1998)


                                CSX CORPORATION

                          Medium-Term Notes, Series B


Principal Amount:  $10,000,000          Redemption Terms (at option of CSX)
                   -----------             [X] Not redeemable prior to Stated  
                                               Maturity
Issue Price (Dollar Amount and             [ ] Redeemable in accordance with the
Percentage of Principal Amount):               following terms:
$10,000,000; 100%                              
- -----------------                       Repayment Terms (at option of the
                                        Holder):
Settlement Date (Issue Date):              [X] Not repayable prior to Stated
5/18/98                                        Maturity
- -------                                    [ ] Repayable in accordance with the
                                               following terms:
Stated Maturity:  5/19/08                  
                  -------               Sinking Fund Provisions:     
                                           [X} None
Type of Note:                              [ ] Applicable in accordance with the
   [X} Fixed Rate Note                         following terms
   [ ] Floating Rate Note                  
   [ ] Inverse Floating Rate Note       Specified Currency (U.S. dollars, unless
   [ ] Zero Coupon Note                 otherwise indicated):   
   [ ] Foreign Currency Note                                 -------------------
   [ ] Indexed Note                     
                                        Agent:  BancAmerica Robertson Stephens  
Form:                                           ------------------------------
   [X] Book Entry                                
   [ ] Definitive                       Agent acting in capacity indicated
                                        below:
CUSIP No:  12641 L BM 4                 [X] As Agent
           ------------                 [ ] As Principal
           
Interest Rate: 6.59%                    Agent's Commission:  .625%
               -----                                         -----

Interest Payment Dates:  March 1        Net Proceeds to CSX:  9,937,500
and September 1, commencing                                   ---------
9/1/98                                  Other:
- ------                                                        

<PAGE>
                                                                  Rule 424(b)(2)
                                           Registration No. 33-48841 & 33-41236

PRICING SUPPLEMENT NO. 5 DATED MAY 13, 1998

(To Prospectus Dated April 22, 1998, as supplemented
by Prospectus Supplement Dated April 22, 1998)


                                CSX CORPORATION

                          Medium-Term Notes, Series B


Principal Amount:  $10,000,000          Redemption Terms (at option of CSX)
                   -----------             [X] Not redeemable prior to Stated  
                                               Maturity
Issue Price (Dollar Amount and             [ ] Redeemable in accordance with the
Percentage of Principal Amount):               following terms:
$10,000,000; 100%                              
- -----------------                       Repayment Terms (at option of the
                                        Holder):
Settlement Date (Issue Date):              [X] Not repayable prior to Stated
5/18/98                                        Maturity
- -------                                    [ ] Repayable in accordance with the
                                               following terms:
Stated Maturity:  5/19/08                  
                  -------               Sinking Fund Provisions:     
                                           [X} None
Type of Note:                              [ ] Applicable in accordance with the
   [X} Fixed Rate Note                         following terms
   [ ] Floating Rate Note                  
   [ ] Inverse Floating Rate Note       Specified Currency (U.S. dollars, unless
   [ ] Zero Coupon Note                 otherwise indicated):   
   [ ] Foreign Currency Note                                 -------------------
   [ ] Indexed Note                     
                                        Agent:  Salomon Brothers                
Form:                                           ----------------
   [X] Book Entry                                
   [ ] Definitive                       Agent acting in capacity indicated
                                        below:
CUSIP No:  12641 L BM 4                 [X] As Agent
           ------------                 [ ] As Principal
           
Interest Rate: 6.59%                    Agent's Commission:  .625%
               -----                                         -----

Interest Payment Dates:  March 1        Net Proceeds to CSX:  9,937,500
and September 1, commencing                                   ---------
9/1/98                                  Other:
- ------                                                        



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