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<PAGE> 1 CIGNA CORPORATION MEDIUM-TERM NOTES, SERIES D SUPPLEMENT NO. 21 NOVEMBER 10, 1994 DUE NINE MONTHS TO FIFTEEN YEARS FROM DATE OF ISSUE INTEREST PAYABLE EACH MAY 1 AND NOVEMBER 1 AND AT MATURITY MATURITY DATE NOVEMBER 17, 1999 INTEREST RATE PER ANNUM 8.45% FORM GLOBAL THE AGGREGATE PRINCIPAL AMOUNT OF THE OFFERING TO WHICH THIS SUPPLEMENT RELATES IS $ 3,000,000. PRICING SUPPLEMENT TO THE PROSPECTUS SUPPLEMENT AND PROSPECTUS DATED JULY 12, 1991.
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