Attention! This pricing supplement is being filed as a revision of
the pricing supplement filed yesterday (10/28/98). The previous supplement
incorrectly stated the maturity date and one of the interest payment
dates. The CUSIP number is unchanged. Please disregard the previous
pricing supplement.
Pricing Supplement No. 6 Rule 424(b)(2)
Dated: October 27, 1998 Registration No. 333-01737
(To Prospectus dated April 24, 1996, and Prospectus Supplement dated
July 2, 1996)
NORWEST CORPORATION
Medium-Term Notes, Series J
Floating Rate Notes
Principal Amount: $250,000,000
Proceeds to Company: $249,975,000
Original Issue Date: 10/30/98
Stated Maturity: 10/28/99
Form: Book Entry
Floating Rate Basis: LIBOR Telerate page 3750
Initital Interest Rate: 5.23969%
Interest Payment Dates: Quarterly-28th of January, April, July, October
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-28th of January, April, July, October
Index Maturity: 3-month
Spread: +2 bp
Agent: Goldman Sachs
Currency: U.S. Dollars
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Other Terms: CUSIP #66938FJY1
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