FLEET FINANCIAL GROUP INC /RI/
424B3, 1995-01-13
NATIONAL COMMERCIAL BANKS
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                                                 RULE 424(B)3
                                                 File No. 33-55555


          PRICING SUPPLEMENT NO.   3   DATED January 11, 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

                              FIXED RATE NOTE

              Series:  X (H) Senior      (I) Subordinated



  Principal Amount:       $10,000,000

       Issue Price:           99.972%

        Trade Date:          01/11/95

        Issue Date:          01/19/95

     Maturity Date:          07/19/96

     Interest Rate:            7.875%

 Interest Payment Dates:  May 1      
                          November 1 

Original Issue Discount Note:  Yes:         No:  X 

                   Total Amount of OID:
                   Yield to Maturity:
                   Initial Accrual Period:

If other than USD:  Specified Currency:        Authorized Denominations:       

Option to Receive Payment in Specified Currency:  Yes:       No:    

Redemption:      X        The Notes may not be redeemed prior to maturity
                          The Notes may be redeemed prior to maturity

             Terms of Redemption:


Agent:  First Chicago Capital Markets, Inc., as Principal
Agent's Commission:
Other Provisions:  Resold at prevailing market conditions.

<PAGE>
                                                 RULE 424(B)3
                                                 File No. 33-55555


          PRICING SUPPLEMENT NO.   4   DATED January 11, 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

                              FIXED RATE NOTE

              Series:  X (H) Senior      (I) Subordinated



  Principal Amount:       $5,500,000 

       Issue Price:          98.663% 

        Trade Date:         01/11/95 

        Issue Date:         01/19/95 

     Maturity Date:         07/31/96 

     Interest Rate:            7.00% 

 Interest Payment Dates:  July 31    
                          January 31 

Original Issue Discount Note:  Yes:         No:  X 

                   Total Amount of OID:
                   Yield to Maturity:
                   Initial Accrual Period:

If other than USD:  Specified Currency:        Authorized Denominations:       

Option to Receive Payment in Specified Currency:  Yes:       No:    

Redemption:      X        The Notes may not be redeemed prior to maturity
                          The Notes may be redeemed prior to maturity

             Terms of Redemption:


Agent:  Donaldson, Lufkin & Jenrette Securities Corporation, as Principal
Agent's Commission:
Other Provisions:  Resold at prevailing market conditions.

<PAGE>
                                               RULE 424(B)3
                                               File No. 33-55555

            PRICING SUPPLEMENT NO.  5    DATED January 11, 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:  $100,000,000.00        Total Amount of OID:
                                          Yield to Maturity:
Issue Price:  100.00%                     Initial Accrual Period OID:

Initial Interest Rate:  TBD

Original Issue Date:  1/19/95

Maturity Date:  7/19/96                   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:  X                     Redemption:
    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 30 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:  1/19/95

Interest Reset Dates:  Each New York Business Day

Interest Payment Dates:  4/19/95, 7/19/95, 10/19/95, 1/19/96, 4/19/96 and
                         maturity 7/19/96
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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