FLEET FINANCIAL GROUP INC
424B3, 1995-08-16
NATIONAL COMMERCIAL BANKS
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                                             RULE 424(B)3
                                             File No. 33-55555

                PRICING SUPPLEMENT NO. 6 DATED August 14, 1995
               (To Prospectus Supplement dated November 28, 1994
                    and Prospectus dated November 28, 1994)

                          FLEET FINANCIAL GROUP, INC.
                               MEDIUM-TERM NOTES
                    DUE 9 MONTHS OR MORE FROM DATE OF ISSUE
                              FLOATING RATE NOTE
                 SERIES:   X  (H) SENIOR      (I) SUBORDINATED

Principal Amount: $150,000,000.00       Total Amount of OID:
                                        Yield to Maturity:
Issue Price:       100.00               Initial Accrual Period OID:

Initial Interest Rate:  TBD

Original Issue Date:    8/17/95

Maturity Date:          8/19/96         If Other than USD:
                                        Specified Currency:
Interest Rate Basis:                    Authorized Denominations:
                                        Place of Payment:

   CD:
   CMT:                                 Option to Receive
   Designated CMT Telerate Page:        Payments in Specified
   Designated CMT Maturity Index:          Currency:   Yes:     No:
   Commercial Paper:
   Federal Funds: Fed H.15-             Redemption:
                  Telerate Pg. 118   X
   LIBOR:                               The Notes may not be redeemed
        Telerate:                       prior to Maturity:     X     
        Reuters:                        The Notes may be redeemed 
        Index Currency:                 prior to Maturity:           
   Prime:
   Treasury:                            Terms of Redemption:
   11th District Cost of Funds:                                            
   Other:                                                                  

Spread (+/-): Plus 8 basis points       Agent: Chase Securities, Inc.
                                        Agent's Commission:     0%
Spread Multiplier:                      Calculation Agent:  First National
                                        Bank of Chicago

Maximum Interest Rate:                  Exchange Rate Agent:

Minimum Interest Rate:                  Other Provisions:

Initial Interest Reset Date: 8/17/95

Interest Reset Dates:  Each New York Business Day

Interest Payment Dates: 11/17/95, 2/20/96, 5/17/96 and maturity 8/19/96

Interest Determination Dates: One Business Day Prior to the Interest Reset Date

Index Maturity:  Daily

Interest Payment Period: Quarterly (with a 2-business day rate cut off prior
                         to payment date)





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