GENERAL ELECTRIC CAPITAL CORP
424B3, 1995-02-07
FINANCE LESSORS
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PROSPECTUS                 Pricing Supplement No. 2165 
Dated January 10, 1995     Dated February 3, 1995
PROSPECTUS SUPPLEMENT      Rule 424(b)(3)-Registration Statement
                                 No. 33-55209
Dated January 25, 1995

              GENERAL ELECTRIC CAPITAL CORPORATION
               GLOBAL MEDIUM-TERM NOTES, SERIES A
                       (Fixed Rate Notes)

Trade Date:  February 3, 1995

Settlement Date (Original Issue Date):  February 10, 1995

Maturity Date:  February 12, 1996

Principal Amount (in Specified Currency):  $5,000,000 

Price to Public (Issue Price):  The Notes will be sold at varying
       prices to be determined by the Underwriter at the time of
       each sale.  See "Plan of Distribution" below.

Agent's Discount:  The Notes are being purchased by the Underwriter
       at 99.925% of their principal amount and will be sold at
       varying prices to be determined at the time of sale.  For
       further information with respect to the plan of
       distribution and any discounts, commissions or profits on
       resales of Notes that may be deemed underwriting discounts
       or commissions, see "Plan of Distribution" below.

Net Proceeds to Issuer:$4,996,250  

Interest Rate Per Annum:  6.92%

Interest Payment Date(s):

  X   March 15 and September 15 of each year, commencing on March
       15, 1995 and on the Maturity Date
  __  Other: 

Form of Notes:

  X  DTC registered        __ non-DTC registered

Repayment, Redemption and Acceleration

  Optional Repayment Date(s):  N/A
  Initial Redemption Date:  N/A
  Initial Redemption Percentage:  N/A
  Annual Redemption Percentage Reduction:  N/A
  Modified Payment Upon Acceleration:  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.

<PAGE>
                       (Fixed Rate Notes)
                                               Page 2
                       Pricing Supplement No. 2165
                       Dated February 3, 1995
                       Rule 424(b)(3)-Registration Statement 
                           No. 33-55209



Original Issue Discount:

  Amount of OID:  N/A
  Yield to Maturity:  N/A
  Interest Accrual Date:  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
  Option Value Calculation Agent:  N/A
  Option Election Date(s):  N/A

Indexed Notes:

  Currency Base Rate:  N/A
  Determination Agent:  N/A

Plan of Distribution:

  The Notes are being purchased by Salomon Brothers Inc
  (hereinafter referred to as the "Underwriter") as principal at
  a purchase price of 99.925% of the aggregate principal amount of
  the Notes.  The Underwriter has advised the Company that the
  Underwriter proposed to offer the Notes from time to time for
  resale in negotiated transactions or otherwise, at prices
  determined at the time of sale.  

  The Company has agreed to indemnify the Underwriter against
  certain liabilities, including liabilities under the Securities
  Act of 1933, as amended.




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