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Pricing Supplement No. 13 Dated February 3, 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: February 10, 1995 [_]Fixed Rate [_]Commercial Paper Rate Note
[X]Senior [_]Federal Funds Rate Note
Maturity Date: February 10, 2000 [_]Subordinated [X]LIBOR Note
[_]Prime Rate Note
[_]Treasury Rate Note
Principal Amount: $25,000,000.00
Issue Price (As a Percentage of Principal Amount): 100%
Interest Rate/Initial Interest Rate: Not Available
Interest Payment Dates: 10th day of February, May, August and November of each
year
Interest Reset Dates: 10th day of February, May, August and November of each
year
Index Maturity: 90 days
Spread: +23 basis points
Spread Multiplier: None
Minimum Interest Rate: None
Maximum Interest Rate: None
Interest Payment Period: February 10, 1995 to May 10, 1995 and quarterly
thereafter, up to but excluding the interest payment
date.
Interest Rate Reset Period: February 10, 1995 to May 10, 1995 and quarterly
thereafter, up to but excluding the interest
payment date.
Redemption Date(s) or Period: None
Optional Repayment Date(s): None
Calculation Agent (If Applicable): The First National Bank of Chicago.
Additional Terms: