FIRST BANK SYSTEM INC
424B2, 1994-03-25
NATIONAL COMMERCIAL BANKS
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                                                       Rule 424(b)(2)
                                                       Registration No. 33-25574
PRICING SUPPLEMENT NO. 6   DATED: 1-24-94

(To Prospectus Dated September 11, 1991, as supplemented
by Prospectus Supplement Dated November 12, 1991)

                            FIRST BANK SYSTEM, INC.

                          Medium-Term Notes, Series D

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<S>                                          <C>
Face Value/Prinicpal: 50,000,000.00          CUSIP: 31928MAF2
Proceeds to First Bank System: 49,963,850.00 Issue Price (Dollar Amount and Percentage of Principal Amount)
                                             $50,000,000 / 100%

Date of Original Issue: 1-26-94              Interest Rate/Initial Interest Rate: 3.125                   

Maturity Date: 7-19-95                       All-in Interest Rate: 3.125

Calculation Agent: Citibank                  Interest Payment Dates: Monthly-3rd Wed-beginning 2-16-94

Participant with DTC: Donaldson, Lufkin      Regular Records Dates: Fifteenth calendar day before each int. payment date     
& Jenrette Securities Corporation #509

Interest Rate Basis (and, if applica-        Interest Determination Dates: 2 business days prior to reset date
ble, related Interest Periods)
                                             Interest Reset Dates: Monthly-3rd Wed-beginning 2-16-94

/ /     Fixed Rate Notes                     Index Maturity: One month                                       
 
/ /     Commercial Paper Rate Note           Spread: None             
 
/ /     Federal Funds Rate Note              Spread Multiplier:
 
/X/     LIBOR Note                           Alternative Rate Event Spread:
 
/ /     Prime Rate Note                      Alternative Rate Event Spread Multiplier:
 
/ /     Eleventh District                    Maximum Interest Rate:
        of Funds Rate Note
 
/ /     CD Rate Note                         Minimum Interest Rate:
 
/ /     Treasury Rate Notes                                       
 
/ /     Other Base Rate                      
        (as described below)
 
/ /     Zero Coupon Note 
 
Redemption Terms                    For Original Issue Discount Notes:
 
                                             Original issue discount:                %
 
                                             Yield to Maturity:                      %

                                             Original issue discount applicable to
                                              short accrual period:                  %

                                             Method used to determine yield to maturity
                                              Applicable to short accrual period:

                                                / /   Approximate
                                                / /   Exact
Other Terms:                                    Original Issue Discount Notes:
                                                / /   Subject to special provisions set forth therein with
                                                      respect to the principal amount thereof payable upon
Agents Commission                                     any redemption or acceleration of the maturity
                                                      thereof.
         .0723                                  / /   For Federal income tax purposes only.

                                                Is the record or beneficial owner a California resident?

KDN                                             Yes _______  No ___X____
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