HUNTINGTON BANCSHARES INC/MD
424B3, 1995-03-28
NATIONAL COMMERCIAL BANKS
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<PAGE>   1
                               PRICING SUPPLEMENT


Pricing Supplement No. 5                           Filing Under Rule 424(b)(3)
Dated:  March 23, 1995                         Registration File Nos. 33-52555
                                                                      33-51036
(To Prospectus dated March 18, 1994 and
Prospectus Supplement dated March 25, 1994)

CUSIP No. 44615QAE7
                                  $250,000,000

                       HUNTINGTON BANCSHARES INCORPORATED

                          MEDIUM TERM NOTES, SERIES A

<TABLE>
<S>                                                            <C>
Principal Amount:  $25,000,000                                  Floating Rate Notes: 
Interest Rate:                                                        Interest Rate Basis:  N/A
         (if fixed rate):  6.55%                                      Index  Maturity:  N/A 
Stated Maturity:  March 29, 1996                                      Spread:  N/A 
Minimum denominations:  $100,000                                      Spread Multiplier:  N/A 
Issue Price (as a percentage of                                       Maximum Rate:  N/A
         (principal amount):  A/S                                     Minimum Rate:  N/A 
Selling Agent's commission (%):  0.10%                                Initial Interest Rate:  N/A 
Purchasing Agent's discount                                           Interest Reset Date(s):  N/A
or commission (%):  N/A                                               Interest Reset Period:  N/A
Net proceeds to the Company:  $24,975,000                             Interest Determination Date(s):  N/A 
Settlement date (original issue date):   March 30, 1995               Calculation Date(s):  N/A 
Redemption Commencement Date (if any):  N/A                     Interest Payment Date(s):  September 
Initial Redemption Percentage (if any):  N/A                           29, 1995, March 29, 1996 
Annual Redemption Percentage                                    Interest Payment Period(s):  Semi-annual
         Reduction (if any):  N/A                               Regular Record Date(s):  15 calendar 
Repayment Date (if any):  N/A                                          days prior to Payment Date 
Initial Repayment Percentage (if any):  N/A
Annual Repayment Percentage
         Reduction (if any):  N/A

         Additional terms:  None

</TABLE>

         As of the date of this Pricing Supplement, the aggregate initial
public offering price of the Debt Securities (as defined in the Prospectus)
which have been sold (including the Notes to which this Pricing Supplement
relates) is $125,000,000.

         "N/A" as used herein means "Not Applicable".  "A/S" as used herein
means "as stated in the Prospectus Supplement referred to above".
                                       
                              SMITH BARNEY, INC.


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