KROGER CO
424B5, 1994-02-25
GROCERY STORES
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Pricing Supplement No. 19                    Filed Pursuant to
(To Prospectus dated July 6, 1993            Rule 424(b)(5)
and Prospectus Supplement dated              File No. 33-64192
October 15, 1993)
                                        Dated: February 25, 1994


                              THE KROGER CO.

                     General Term Notes (R), Series B
            Due from Nine Months to 25 Years from Date of Issue


Aggregate Principal Amount:  $535,000.00

Fixed or Variable Rate:  Fixed

Interest Rate:

     If Fixed Rate Note:

         Interest Rate:  7.000%

         Interest Payment Date(s) (Monthly or Otherwise): 
         Semi-Annual on 02/15 and 08/15, Beginning 08/15/94

     If Variable Rate Note:

         Base Rate:  N/A

         Initial Interest Rate:  N/A

         Interest Reset Period(s):  N/A

         Interest Payment Date(s) (Monthly or Otherwise): N/A

         Interest Reset Date(s):  N/A

         Spread, If Any:  N/A

         Maximum Interest Rate, If Any:  N/A

         Minimum Interest Rate, If Any:  N/A

Stated Maturity Date:  February 15, 2001

Purchase Price:  97.650% of Principal Amount

Issue Date:  March 3, 1994

Optional Redemption by the Company:

     Initial Optional Redemption Date:  02/15/97

     Redemption Price(s):               02/15/97 and
                                        thereafter - 100%

     Applicable Premium(s), if any:     None


Under the Credit Agreement, the Senior Lenders' consent may be
required prior to any optional redemption of the Notes.  See
"DESCRIPTION OF THE CREDIT AGREEMENT-Certain Covenants-Prepayment
of Other Debt" in the Prospectus.

                                        Principal Amount
                                            of Notes
     Agent                              to be Purchased
     -----                              ----------------

Kemper Securities, Inc.                 $         0.00
J.J.B. Hilliard, W.L. Lyons, Inc.           152,000.00
J. W. Korth & Company                       383,000.00
                                        --------------
     Total                              $   535,000.00
                                        ==============


                                   Per Note           Total
                                   --------           -----

Prices to Public:                   100.00%         $535,000.00

Underwriter's Discount
  or Commission                      2.350%          $12,572.50

Maximum Dealer's Discount or
  Selling Concession:                1.750%           $9,362.50

Proceeds to The Kroger Co.:         97.650%         $522,427.50


CUSIP Number:  50104R-AU-4


Terms defined in the Prospectus and the Prospectus Supplement are
used in this Pricing Supplement as so defined.



(R) Registered service mark of J. W. Korth & Company



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