PROSPECTUS Amended Pricing Supplement No. 1974
Dated April 1, 1994 Dated August 22, 1994
PROSPECTUS SUPPLEMENT Rule 424(b)(3)-Registration Statement
No. 33-50909
Dated April 1, 1994 Rule 424(b)(3)-Registration Statement
No. 33-54009
GENERAL ELECTRIC CAPITAL CORPORATION
GLOBAL MEDIUM-TERM NOTES
(Floating Rate Notes)
Series: A X B __ C __ Trade Date: August 17, 1994
Principal Amount (in Specified Currency): US$200,000,000
Settlement Date (Original Issue Date): August 22, 1994
If Specified Currency is other than U.S. dollars,
equivalent amount in U.S. dollars: N/A
Maturity Date: August 22, 1996
Agent's Discount or Commission: 0.0925%
Price to Public (Issue Price): 100.00%
Net Proceeds to Issuer (in Specified Currency): US$199,815,000
Interest Rate:
Interest Calculation:
X Regular Floating Rate
__ Inverse Floating Rate
__ Other Floating Rate
Interest Rate Basis:
__ CD Rate __ Commercial Paper Rate __ Federal Funds Rate
X LIBOR __ Prime Rate __ Treasury Rate __ Other
Spread (Plus or Minus): 0.00
Spread Multiplier: N/A
CAPITALIZED TERMS USED IN THIS PRICING SUPPLEMENT WHICH ARE DEFINED
IN THE PROSPECTUS SUPPLEMENT SHALL HAVE THE MEANINGS ASSIGNED TO
THEM IN THE PROSPECTUS SUPPLEMENT.
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(Floating Rate Notes)
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Amended Pricing Supplement No. 1974
Dated August 22, 1994
Rule 424(b)(3)-Registration Statement
No. 33-58506
Rule 424(b)(3)-Registration Statement
No. 33-54009
Index Maturity: 3 Months
Index Currency: US Dollars
Maximum Interest Rate: N/A
Minimum Interest Rate: N/A
Alternate Rate Event Spread:
Initial Interest Rate Per Annum: To be determined two London
Business Days prior to the Original Issue Date based upon
application of the interest rate formula.
Interest Payment Period:
__ Annual __ Semi-Annual __ Monthly X Quarterly
Interest Payment Dates if other than as set forth in the
Prospectus Supplement: Each May 22, August 22, November 22 and
February 22, commencing on November 22, 1994 and ending on
the Maturity Date
Interest Reset Periods and Dates:
__ Daily __ Weekly __ Monthly
X Quarterly (On each Interest Payment Date)
__ Semiannually
__ Annually
Interest Determination Dates if other than as set forth in the
Prospectus Supplement: Two London Business Days prior to each
Interest Reset Dates.
Form of Notes: X DTC registered __ non-DTC registered
Repayment, Redemption and Acceleration:
Optional Repayment Date: N/A
Annual Redemption Percentage Reduction: N/A
Initial Redemption Date: N/A
Initial Redemption Percentage: N/A
Original Issue Discount
Amount of OID: N/A
Interest Accrual Date: N/A
Yield to Maturity: N/A
Initial Accrual Period OID: N/A
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(Floating Rate Notes)
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Amended Pricing Supplement No. 1974
Dated August 22, 1994
Rule 424(b)(3)-Registration Statement
No. 33-58506
Rule 424(b)(3)-Registration Statement
No. 33-54009
Amortizing Notes:
Amortization Schedule: N/A
Dual Currency Notes:
Face Amount Currency: N/A
Optional Payment Currency: N/A
Designated Exchange Rate: N/A
Indexed Notes:
Currency Base Rate: N/A
Additional Terms:
Morgan Guaranty Trust Company will act as the Calculation Agent
with respect to the Notes.
Plan of Distribution:
J.P. Morgan Securities Inc. (the "Underwriter") is acting as
principal in connection with the distribution of the Notes and
is purchasing the Notes from the Company at 100% of their
aggregate principal amount less an underwriting discount equal
to 0.0925% of the aggregate principal amount of the Notes. The
Company has agreed to indemnify the Underwriter against, and
contribute toward, certain liabilities, including liability
under the Securities Act of 1933, as amended.