FMC CORP
424B2, 1997-04-30
CHEMICALS & ALLIED PRODUCTS
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<PAGE>
 
                                                Filed Pursuant to Rule 424(b)(2)
                                                Registration No. 33-62415


- --------------------------------------------------------------------------------
PRICING SUPPLEMENT NO.3 DATED April 29, 1997
(to Prospectus Supplement Dated January 23, 1997)

- --------------------------------------------------------------------------------

                                FMC CORPORATION

                          Medium-Term Notes, Series A
                 Due More than Nine Months from Date of Issue
                                        


Notes represented by (mark applicable description)

            x   Global Notes      Definitive Notes
          -----              ----

          [If Notes are Floating Rate Notes, insert:]

          Principal Amount:      Issue Price:

          Original Issue Date:    Original Maturity Date:

          Index Currency:

          Specified Currency:
               (If other than U.S. Dollars, see attached)
          Option to Receive Payments in Specified Currency: [ ] Yes
                                                            [ ] No

          Authorized Denominations:
               (Applicable only if Specified Currency is other than U.S.
               Dollars)

          Base Rate:

          Interest Accrual Date:

          Interest Reset Period:    Interest Payment Period:

          Interest Reset Dates:
               (If other than as specified in the Prospectus\
          Supplement)

                               J.P. MORGAN & CO.
<PAGE>
 
          Initial Interest Reset Date:

          Interest Payment Dates:
              (If other than as specified in the Prospectus Supplement)

          Initial Interest Rate:    Index Maturity:

          Maximum Interest Rate:    Minimum Interest Rate:

          Spread (+/-):             Spread Multiplier:

          Reporting Service:        Calculation Agent:

          Optional Redemption: [ ] Yes  [ ] No

               Initial Redemption Date:
               The Redemption Price shall initially be % of the principal amount
               of the Note to be redeemed and shall decline at each anniversary
               of the Initial Redemption Date by % of the principal amount to be
               redeemed until the Redemption Price is 100% of such principal
               amount.

          Optional Repayment:  [ ] Yes  [ ] No
              Optional Repayment Dates:
              Optional Repayment Prices:
 
          Optional Interest Rate Reset:  [ ] Yes [ ] No
              Optional Reset Dates:
 
          Optional Extension of Maturity:  [ ] Yes  [ ] No
              Extension Period:
              Number of Extension Periods:
              Final Maturity Date:

          Discount Note:  [ ] Yes  [ ] No
              Total Amount of OID:
              Original Yield to Maturity:
              Initial Accrual Period OID:


          [If Notes are Fixed Rate Notes, insert:]

          Principal Amount: $10,000,000  Issue Price:  100%*

          Original Issue Date: 5/2/97  Original Maturity Date: 5/2/02

          Specified Currency:  U.S. Dollars
              (If other than U.S. Dollars, see attached)
          Option to Receive Payments in Specified Currency: [ ] Yes
                                                            [x] No
         *Plus accrued interest, if any, from the date of issuance.
<PAGE>
 
          Authorized Denominations: $1,000
 
          Interest Accrual Date:    May 2, 1997
 
          Interest Payment Dates:   May 2 and November 2, commencing
                                    November 2, 1997
 
          Interest Rate: 7.20%
 
          Optional Redemption:  [ ] Yes  [x] No
              Initial Redemption Date:
              The Redemption Price shall initially be % of the principal amount
              of the Note to be redeemed and shall decline at each anniversary
              of the Initial Redemption Date by % of the principal amount to be
              redeemed until the Redemption Price is 100% of such principal
              amount.

          Optional Repayment: [ ] Yes  [x] No
          Optional Repayment Dates:
              Optional Repayment Prices:
 
          Optional Interest Rate Reset:  [ ] Yes  [x] No
              Optional Reset Dates:
 
          Optional Extension of Maturity:  [ ] Yes  [x] No
              Extension Period:
              Number of Extension Periods:
              Final Maturity Date:
 
          Original Issue Discount Note:  [ ] Yes  [x] No
              Total Amount of OID:
              Original Yield to Maturity:
              Initial Accrual Period OID:



         0186290.01


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