HELLER FINANCIAL INC
424B3, 1998-08-31
SHORT-TERM BUSINESS CREDIT INSTITUTIONS
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                                                              Rule 424(b)(3)
                                                              File No. 333-38545

Pricing Supplement No. 20                                 Dated: August 27, 1998
(To Prospectus dated October 30, 1997
Prospectus Supplement dated November 17, 1997)


U.S. $2,500,000,000

Heller Financial, Inc.

Medium-Term Notes, Series H

(Registered Notes - Fixed Rate)
Due From Nine Months To Thirty Years From Date of Issue

Principal Amount: $5,000,000             Issue Price: 100%

Original Issue Date: September 1, 1998   Stated Maturity Date: September 2, 2003

Form: [X] Book-Entry  [ ] Certificated

Depositary: Depository Trust Company

Specified Currency: U.S. Dollars
     (If other than U.S. Dollars, see attached)

Option to Receive Payments in Specified Currency: [ ] Yes [ ] No
     (Applicable only if Specified Currency is other than U.S. Dollars)

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

Base Rate:   [] Commercial Paper Rate [] LIBOR [] Treasury Rate
             [] Federal Funds Rate [] Prime Rate [] Other: Fixed

Interest Reset: N/A

Interest Payment Period: Semi-Annual

Interest Reset Dates: (If other than as specified in the Prospectus Supplement):
N/A.

Interest Payment Dates: (If other than as specified in the Prospectus
Supplement): The 1st day of September and March beginning March 1, 1999 up to
and including the Stated Maturity Date.

Interest Determination Date(s):N/A
<PAGE>


                                                          Rule 424(b)(3)
                                                          File No. 333-38545

Pricing Supplement No. 20                                 Dated: August 27, 1998
(To Prospectus dated October 30, 1997
Prospectus Supplement dated November 17, 1997)

 
Initial Interest Rate: 5.98%

Day Count Convention: 30/360

Maximum Interest Rate: N/A          Minimum Interest Rate: N/A

Spread (+/-): N/A                   Spread Multiplier: N/A

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:

Repayment Provisions:
     (If other than as specified in the Prospectus Supplement)

Discount Note: [ ] Yes [X] No
     Total Amount of OID:
     Yield to Maturity:
     Initial Accrual Period OID:
Calculation Agent: Heller Financial, Inc.
Exchange Rate Agent: N/A
Recognized Foreign Exchange Dealers: N/A
Discount or Commission: .213%

Other Provisions:  a)  AMOUNT ISSUED TO DATE, PRIOR TO PRICING SUPPLEMENT NO. 20
                       UNDER MTN-SERIES H PROGRAM: $1,728,000,000
                   b)  CUSIP #42333HKC5

Agent: ABN AMRO Incorporated
       1325 Avenue of the Americas
       10th Floor
       New York, New York 10019
 


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