PROSPECTUS Pricing Supplement No. 1929(b)
Dated April 1, 1994 Dated July 21, 1994
PROSPECTUS SUPPLEMENT Rule 424(b)(3)-Registration Statement
No. 33-50909
Dated April 1, 1994
GENERAL ELECTRIC CAPITAL CORPORATION
GLOBAL MEDIUM-TERM NOTES
(Floating Rate Notes)
Series: A X B __ C __ Trade Date: July 21, 1994
Principal Amount (in Specified Currency): US$50,000,000
Settlement Date (Original Issue Date): July 26, 1994
If Specified Currency is other than U.S. dollars,
equivalent amount in U.S. dollars: N/A
Maturity Date: July 26, 1996
Agent's Discount or Commission: 0.0185%
Price to Public (Issue Price): 100.00%
Net Proceeds to Issuer (in Specified Currency): US$49,990,750
Interest Rate:
Interest Calculation:
X Regular Floating Rate
__ Inverse Floating Rate
(Fixed Interest Rate): ___%
__ Other Floating Rate
(as described below under "Additional Terms")
Interest Rate Basis:
__ CD Rate __ Commercial Paper Rate __ Federal Funds Rate
X LIBOR __ Prime Rate __ Treasury Rate
__ Other (as described below under "Additional Terms")
Spread (Plus or Minus): + .000%
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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Pricing Supplement No. 1929(b)
Dated July 21, 1994
Rule 424(b)(3)-Registration Statement
No. 33-50909
Index Maturity: One Month
Index Currency: US dollar
Maximum Interest Rate: N/A
Minimum Interest Rate: N/A
Alternate Rate Event Spread: N/A
Initial Interest Rate Per Annum: The Interest Rate applicable to the
first weekly Interest Reset Period will be determined two London
Business Days prior to the Original Issue Date.
Interest Payment Period: __ Annual __ Semi-Annual __ Monthly
X Quarterly
Interest Payment Dates if other than as set forth in the Prospectus
Supplement: Each October 26, January 26, April 26 and July 26,
commencing on October 26, 1994 up to and including the Maturity
Date.
Interest Reset Periods and Dates:
__ Daily __ Weekly X Monthly __ Quarterly
__ Semiannually: months in which reset: N/A
__ Annually: month in which reset: N/A
Interest Determination Dates if other than as set forth in the
Prospectus Supplement: See Two London Business Days prior to each
Interest Reset Date.
Form of Notes:
X DTC registered __ non-DTC registered
Repayment, Redemption and Acceleration:
Initial Redemption Date: N/A
Initial Redemption Percentage: N/A
Optional Repayment Date: N/A
Annual redemption Percentage Reduction: N/A
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(Floating Rate Notes)
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Pricing Supplement No. 1929(b)
Dated July 21, 1994
Rule 424(b)(3)-Registration Statement
No. 33-50909
Original Issue Discount
Amount of OID: N/A
Interest Accrual Date: N/A
Yield to Maturity: N/A
Initial Accrual Period OID: N/A
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:
Credit Suisse Financial Products will act as the "Calculation Agent"
for the Notes.
Plan of Distribution:
The Notes are being purchased by CS First Boston Corporation
(hereinafter referred to as the "Underwriter") pursuant to a Terms
Agreement to be entered into under the Company's Amended and Restated
U.S. Distribution Agreement, dated August 31, 1993, as amended, at the
Issue Price of 99.9815% of the 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.