MERRILL LYNCH & CO INC
424B3, 1994-03-30
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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<PAGE>
 
                                                             File No. 33-38879
                                                                Rule 424(b)(3)


                            PROSPECTUS SUPPLEMENT
                    (To Prospectus dated August 27, 1993)
              (To Prospectus Supplement dated October 4, 1993)
                                  No.: 1142
                               Dated: 03/24/94

                          MERRILL LYNCH & CO., INC.

                              Medium-Term Notes


Base Rate:                  ___ Commercial Paper Index Rate
                            ___ Fed Funds
                            ___ LIBOR
                            _X_ Treasury Index Rate
                            ___ Prime Rate
                            ___ Fixed Rate

Maturity Date:              03/30/95

Redemption Date:            N/A

Optional Repayment Dates:   N/A

Spread:                     +.15%
                            (plus fifteen basis points)

Spread Multiplier:          N/A

Maximum Interest Rate:      N/A

Minimum Interest Rate:      N/A

Interest Reset Dates:       91 day T-Bill auction yield, reset weekly.

Interest Payment Dates:     6/28/94, 9/27/94, 12/27/94, & 3/30/95.

Initial Interest Rate:      3.73%

Index Maturity:             91 days

Form:                       Book-entry



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