Rule 424(B)3
File No. 33-55555
PRICING SUPPLEMENT NO. 7 DATED OCTOBER 13, 1995
(TO PROSPECTUS SUPPLEMENT DATED NOVEMBER 28, 1994
AND PROSPECTUS DATED NOVEMBER 28, 1994)
FLEET FINANCIAL GROUP
MEDIUM-TERM NOTES
DUE 9 MONTHS OR MORE FROM DATE OF ISSUE
FIXED RATE
SERIES X (H)SENIOR (I)SUBORDINATED
___ ___
PRINCIPAL AMOUNT: $15,000,000
ISSUE PRICE: 100
TRADE DATE: 10/13/95
ISSUE DATE: 10/18/95
MATURITY DATE: 10/18/05
INTEREST RATE: 6.84%
INTEREST PAYMENT DATES: APRIL 18, OCT. 18
ORIGINAL ISSUE DISCOUNT NOTE: / / YES / X / NO
_________ __________
TOTAL AMOUNT OF OID: / /
__________
YIELD TO MATURITY: / /
__________
INITIAL ACCRUAL PERIOD:/ /
__________
<TABLE>
<S> <C> <C> <C> <C>
IF OTHER THAN USD: / / SPECIFIED CURRENCY / / AUTHORIZED DENOMINATIONS
__________ ___________
</TABLE>
<TABLE>
<S> <C> <C> <C> <C>
OPTION TO RECEIVE PAYMENT IN SPECIFIED CURRENCY: / / YES / / NO
____________ ____________
</TABLE>
<TABLE>
<S> <C> <C>
REDEMPTION: / / THE NOTES MAY NOT BE REDEEMED PRIOR TO MATURITY
____________
/ X / THE NOTES MAY BE REDEEMED PRIOR TO MATURITY
___________
</TABLE>
TERMS OF REDEMPTION: CALLABLE AT THE OPTION OF THE ISSUER
BEGINNING ON 10/18/00, WITH TEN CALENDAR
DAYS NOTICE PRIOR TO EACH COUPON PAYMENT.
AGENT: CHEMICAL SECURITIES INC., AS PRINCIPAL
AGENT'S COMMISSION:
OTHER PROVISIONS:
Fleet Financial Group, Inc. Fleet Center, 75 State St., P.O. Box 2197, Boston
Massachusetts 02106-2197
617-368-4000