FIRST CHICAGO CORP
424B3, 1995-06-27
NATIONAL COMMERCIAL BANKS
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<PAGE>
 
Pricing Supplement No. 28 Dated June 27, 1995
Filed Pursuant to: Rule 424(b)(3)
(To Prospectus dated November 4, 1993 and   
File No.: 33-65904 Prospectus Supplement dated 
July 29, 1994)



                           FIRST CHICAGO CORPORATION
                          MEDIUM-TERM NOTES, SERIES F



Date of Issue: June 30, 1995     [_]Fixed Rate     [_]Commercial Paper Rate Note
                                 [X]Senior         [_]Federal Funds Rate Note
Maturity Date: June 30, 2000     [_]Subordinated   [X]LIBOR Note
                                                   [_]Prime Rate Note
                                                   [_]Treasury Rate Note


Principal Amount: $8,000,000.00 

Issue Price (As a Percentage of Principal Amount): 100%

Interest Rate/Initial Interest Rate: Not Available

Interest Payment Dates: 3rd Wednesday of March, June, September and December of 
                        each year

Interest Reset Dates: 3rd Wednesday of March, June, September and December of
                      each year

Index Maturity: 90 days

Spread: +19 basis points

Spread Multiplier: None

Minimum Interest Rate: None

Maximum Interest Rate: None

Interest Payment Period: June 30, 1995 to September 20, 1995 and quarterly 
                         thereafter, up to but excluding the interest payment 
                         date. 
                         
Interest Rate Reset Period: June 30, 1995 to September 20, 1995 and quarterly 
                            thereafter, up to but excluding the interest 
                            payment date.

Redemption Date(s) or Period: On any Interest Payment Date on or after
                              June 17, 1998

Optional Repayment Date(s): None

Calculation Agent (If Applicable): The First National Bank of Chicago.


Additional Terms:







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