FORD MOTOR CREDIT CO
424B3, 1996-02-21
PERSONAL CREDIT INSTITUTIONS
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Pricing Supplement No. 6 Dated February 15, 1996
(To Prospectus and Prospectus Supplement 
Dated October 10, 1995) 
                                                     Rule 424(b)(3)
                                                     Registration Statement
                                                     No. 33-55945
        
                 FORD MOTOR CREDIT COMPANY             
            Euro Medium-Term Notes Due from 9 Months
               to 30 Years from Date of Issue


     Ford Motor Credit Company ("Ford Credit") has designated Japanese Yen
10,000,000,000 aggregate principal amount of its Medium-Term Notes Due from 9
Months to 30 Years from Date of Issue having specific terms set forth below.
Salomon Brothers International Limited has agreed to purchase the Notes at a
price of 100.00% of their principal amount for resale at an initial public
offering price of 100.00% of their principal amount.  After the initial
public offering, the offering price may be changed.  


Issue Date:              February 27, 1996.

Principal Amount:        Japanese Yen 10,000,000,000.

Interest Rate:           1.80% per annum           
                                     
            
Interest Payment Dates:  The 25th day of March, commencing March 25, 1996.
                          

Maturity Date:           March 25, 1999.

Redemption Price at
  Maturity Date:         100% of Principal Amount.

ISIN:                    XS0064210080                                     

Listing:                 The Notes will not be listed on the Luxembourg Stock
                         Exchange or any other stock exchange.

       
    

                   SALOMON BROTHERS INTERNATIONAL LIMITED

                              


             

       



                       






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