IBM CREDIT CORP
424B2, 1994-10-25
FINANCE LESSORS
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    PRICING SUPPLEMENT NO. 69                TO PROSPECTUS DATED April 16, 1993
    CUSIP #44922LQ66                                RULE NO. 424 (b) (2)
                                                     REGISTRATION NO. 33-44594
                        (AS SUPPLEMENTED August 17, 1993)


                             IBM CREDIT CORPORATION


                                MEDIUM-TERM NOTE



               (DUE FROM 9 MONTHS TO 30 YEARS FROM DATE OF ISSUE)



                                (FIXED RATE NOTE)


    Principal Amount: $5,000,000.00                                   Designation      : N9400005

    Issue Price (as a % of Principal Amount): 99.992%                 Orig. Issue Date : 10/28/94

    Record Dates: 02/15, 08/15                                        Maturity Date    : 10/27/95

    Interest Payment Dates: 03/01, 09/01                              Initial Int. Rate:  6.40000% per yr.
Other:  $1,000 minimum denominations.  Interest rates 
offered by the Company may differ depending upon the 
principal amount purchased in any single transaction.

    Redemption:


    Check opposite applicable paragraph.



    XXX
    -----  The Notes cannot be redeemed prior to maturity.
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    -----  The Notes may be redeemed prior to maturity.



    Initial Redemption Date: N/A

         The Optional Redemption Price shall initially be N/A of the principal
    amount of the Note to be redeemed and shall decline at each anniversary
    of the Initial Redemption Dates by N/A of the principal amount to be
    redeemed until the Optional redemption Price is 100% of such principal
    amount.

    DATED 10/25/94
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    PRICING SUPPLEMENT NO. 70                TO PROSPECTUS DATED April 16, 1993
    CUSIP #44922LQ66                                RULE NO. 424 (b) (2)
                                                     REGISTRATION NO. 33-44594
                        (AS SUPPLEMENTED August 17, 1993)


                             IBM CREDIT CORPORATION


                                MEDIUM-TERM NOTE



               (DUE FROM 9 MONTHS TO 30 YEARS FROM DATE OF ISSUE)



                                (FIXED RATE NOTE)


    Principal Amount: $50,000,000.00                                  Designation      : N9400006

    Issue Price (as a % of Principal Amount): 99.999%                 Orig. Issue Date : 10/28/94

    Record Dates: 02/15, 08/15                                        Maturity Date    : 10/27/95

    Interest Payment Dates: 03/01, 09/01                              Initial Int. Rate:  6.40000% per yr.
Other:  $1,000 minimum denominations.  Interest rates offered 
by the Company may differ depending upon the principal amount purchased in any single transaction.

    Redemption:


    Check opposite applicable paragraph.
<PAGE>


    XXX
    -----  The Notes cannot be redeemed prior to maturity.



    -----  The Notes may be redeemed prior to maturity.



    Initial Redemption Date: N/A

         The Optional Redemption Price shall initially be N/A of the principal
    amount of the Note to be redeemed and shall decline at each anniversary
    of the Initial Redemption Dates by N/A of the principal amount to be
    redeemed until the Optional redemption Price is 100% of such principal
    amount.

    DATED 10/25/94
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           PAGE  1

    PRICING SUPPLEMENT NO. 71                TO PROSPECTUS DATED April 16, 1993
    CUSIP #44922LQ74                                RULE NO. 424 (b) (2)
                                                     REGISTRATION NO. 33-44594
                        (AS SUPPLEMENTED August 17, 1993)


                             IBM CREDIT CORPORATION


                                MEDIUM-TERM NOTE



               (DUE FROM 9 MONTHS TO 30 YEARS FROM DATE OF ISSUE)



                                (FIXED RATE NOTE)


    Principal Amount: $1,000,000.00                                   Designation      : N9400007

    Issue Price (as a % of Principal Amount): 99.859%                 Orig. Issue Date : 10/28/94

    Record Dates: 02/15, 08/15                                        Maturity Date    : 10/27/95

    Interest Payment Dates: 03/01, 09/01                              Initial Int. Rate:  6.25000% per yr.

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    Redemption:


    Check opposite applicable paragraph.



    XXX
    -----  The Notes cannot be redeemed prior to maturity.



    -----  The Notes may be redeemed prior to maturity.



    Initial Redemption Date: N/A

         The Optional Redemption Price shall initially be N/A of the principal
    amount of the Note to be redeemed and shall decline at each anniversary
    of the Initial Redemption Dates by N/A of the principal amount to be
    redeemed until the Optional redemption Price is 100% of such principal
    amount.

    DATED 10/25/94
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