FIRST SECURITY CORP /DE/
424B3, 1994-02-07
STATE COMMERCIAL BANKS
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                         Filing under Rule 424(b)(3)
                      Registration File No. 33-38483

             PRICING SUPPLEMENT NO. 8  Dated February 2, 1994
(To Prospectus Dated April 1, 1991 and Prospectus Supplement Dated
August 16, 1991)

                                $5,000,000

                        First Security Corporation

                 5-Year Senior Medium-Term Notes, Series A

            Due from Nine Months to 30 Years from Date of Issue



     Date of Issue:
     
     Maturity Date:
     
     
       X   Fixed Rate Note
     
     
           Commercial Paper Rate Note
     
     
           CD Rate Note
     
     
           LIBOR Note
     
     
     Redemption Date(s):
     
     Redemption Date(s) (option of Holder):
     
     Notice Period:
     
     Additional Terms:
     
     Issue (Purchase) Price (As a Percentage of Principal Amount): 99.50%
     
     Interest Rate: 5.71%
     

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     If Commercial Paper Rate Note, CD Rate Note or LIBOR Note:
     
     Interest Payment Dates:  Every February 1 and August 1
                                   until the principal amount of
                                   the notes are paid in full,
                                   beginning with August 1, 1994
     
          Interest Reset Dates:    _______________________________
     
          Interest Payment Period:    ____________________________
     
          Interest Reset Dates:    _______________________________
     
          Interest Determination Dates:    _______________________
     
          Index Maturity:    _____________________________________
     
               Spread:     _______________________________________
     
          Spread Multiplier:    __________________________________
     
               Maximum Interest Rate, if any:     ________________
     
          Minimum Interest Rate, if any:    ______________________
     
          Calculation Dates:    __________________________________
     
          Calculation Agent:    __________________________________
     
          Redemption Percentage(s):
     
     
     Redemption Percentage(s) (option of Holder):
     
          


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