MERRILL LYNCH & CO INC
424B3, 1998-11-12
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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PROSPECTUS SUPPLEMENT                                            FILE NO. 333-59997
(TO PROSPECTUS AND PROSPECTUS SUPPLEMENT DATED JULY 30, 1998)        RULE 424(B)(3)
PROSPECTUS NUMBER: 1793
 
 
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                           MERRILL LYNCH & CO., INC.
                          MEDIUM-TERM NOTES, SERIES B
                   DUE NINE MONTHS OR MORE FROM DATE OF ISSUE
                              FLOATING RATE NOTES
 
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PRINCIPAL AMOUNT:       $25,000,000               ORIGINAL ISSUE DATE:              November 13, 1998
 
 
 
CUSIP NUMBER:           59018S T46                STATED MATURITY DATE:             November 12, 1999
 
 
 
INTEREST CALCULATION:                             DAY COUNT CONVENTION:
/x/ REGULAR FLOATING RATE NOTE                    /x/ ACTUAL/360
/ / INVERSE FLOATING RATE NOTE                    / / 30/360
(FIXED INTEREST RATE):                            / / ACTUAL/ACTUAL
 
 
INTEREST RATE BASIS:
/ / LIBOR                                         / / COMMERCIAL PAPER RATE
/ / CMT RATE                                      / / ELEVENTH DISTRICT COST OF FUNDS RATE
/ / PRIME RATE                                    / / CD RATE
/x/ FEDERAL FUNDS RATE                            / / OTHER (SEE ATTACHED)
/ / TREASURY RATE
DESIGNATED CMT PAGE:                              DESIGNATED LIBOR PAGE:
CMT TELERATE PAGE:                                LIBOR TELERATE PAGE:
CMT REUTERS PAGE:                                 LIBOR REUTERS PAGE:
 
 
INDEX MATURITY:         Daily                     MINIMUM INTEREST RATE:            Not Applicable
 
 
SPREAD:                 0.230%                    MAXIMUM INTEREST RATE:            Not Applicable
 
 
INITIAL INTEREST RATE:  TBD                       SPREAD MULTIPLIER:                Not Applicable
 
 
INTEREST RESET DATES:   Daily, commencing on November 13, 1998 through the maturity date, subject to
                        following business day convention.
 
 
INTEREST PAYMENT DATES: Quarterly, on the 12th of February, May, August and November; subject to following
                        business day convention.
 
 
REPAYMENT AT THE
OPTION OF THE HOLDER:   The Notes cannot be repaid prior to the Stated Maturity Date.
 
 
REDEMPTION AT THE
OPTION OF THE COMPANY:  The Notes cannot be redeemed prior to the Stated Maturity Date.
 
 
FORM:                   The Notes are being issued in fully registered book-entry form.
 
 
TRUSTEE:                The Chase Manhattan Bank
 
 
DATED:                  November 10, 1998
 
 
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