NORWEST CORP
424B2, 1994-02-22
NATIONAL COMMERCIAL BANKS
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                                                      Rule 424(b)(2)
                                                      Registration No. 33-50435
Pricing Supplement No. 6                             
                                                     
Dated: February 17, 1994


(To Prospectus Dated October 28, 1993, as Supplemented by Prospectus Supplement
Dated December 29, 1993)

                              NORWEST CORPORATION

                          Medium-Term Notes, Series D

                              Floating Rate Notes
                              ______________________________________________
            Principal Amount:      $25,000,000
                              ______________________________________________

                              ______________________________________________
         Proceeds to Company:      $24,954,625.00
                              ______________________________________________

                              ______________________________________________
         Original Issue Date:          2/24/94
                              ______________________________________________

                              ______________________________________________
             Stated Maturity:          2/24/99
                              ______________________________________________

                              
                        Form:      Book Entry [X]  Certificated [ ]

                              ______________________________________________
         Floating Rate Basis:  LIBOR Telerate page 3750
                              ______________________________________________

                              ______________________________________________
       Initial Interest Rate:  To be set on 2/22/94
                              ______________________________________________

                              ______________________________________________
      Interest Payment Dates:  Quarterly - third Wednesday of March, June, 
                               September & December
                              ______________________________________________

                              ______________________________________________
        Regular Record Dates:  Fifteen calendar days preceding each interest 
                               payment date
                              ______________________________________________

                              ______________________________________________
Interest Determination Dates:  Second London banking day preceding each 
                               interest reset date
                              ______________________________________________

                              ______________________________________________
        Interest Reset Dates:  Quarterly - third Wednesday of March, June, 
                               September & December
                              ______________________________________________

                              ________________           ___________________
              Index Maturity:  3 month           Spread: +5bp
                              ________________           ___________________

                              ______________________________________________
                       Agent:  Donaldson, Lufkin & Jenrette
                              ______________________________________________

                              ______________________________________________
                    Currency:  U.S. Dollars
                              ______________________________________________

____________________________________________________________________________
  Other Terms: 
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