NYNEX CORP
424B2, 1994-07-14
TELEPHONE COMMUNICATIONS (NO RADIOTELEPHONE)
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Pricing Supplement Dated July 12, 1994                    Rule 424(b)(2)
                                                      File Nos. 33-34401
                                                             33-34401-01
                                                                33-51147
                                                             33-51147-01

(To Prospectus dated January 27, 1994 and
Prospectus Supplement dated March 3, 1994)


NYNEX CAPITAL FUNDING COMPANY
Medium-Term Notes, Series B
(Fixed Rate)                                          CUSIP NO. 67077E AN6

Unconditionally Guaranteed as to Payment of Principal, Premium, if any, and 
Interest by NYNEX Corporation
                                                                             
Trade Date:  July 12, 1994
Principal Amount:  $5,000,000
Specified Currency:  U.S. Dollars
Option to Elect Payment in Specified Currency (only applicable if Specified
  Currency is other than U.S. Dollars):  N/A
Authorized Denominations (only applicable if Specified Currency is
  other than U.S. Dollars):  N/A
Issue Price:  100%
Selling Agent's Commission:  .50%
Interest Rate:  7.59% per annum
Interest Payment Dates:  March 15 and September 15 of each year, commencing
                         September 15, 1994, and otherwise as described in
                         the Prospectus Supplement
Stated Maturity:  July 19, 1999
Original Issue Date:  July 19, 1994
Date of Note, if other than
  Original Issue Date:  N/A
Net Proceeds to Issuer:  $4,975,000


THESE SECURITIES HAVE NOT BEEN APPROVED OR DISAPPROVED BY THE SECURITIES AND 
EXCHANGE COMMISSION OR ANY STATE SECURITIES COMMISSION NOR HAS THE 
SECURITIES AND EXCHANGE COMMISSION OR ANY STATE SECURITIES COMMISSION PASSED 
UPON THE ACCURACY OR ADEQUACY OF THIS PRICING SUPPLEMENT, THE PROSPECTUS 
SUPPLEMENT OR THE PROSPECTUS. ANY REPRESENTATION TO THE CONTRARY IS A 
CRIMINAL OFFENSE.
                                                                             
Form:
               X  Book-Entry:
                  Certificated:

Redemption:
               X  The Notes cannot be redeemed prior to Stated Maturity:
                  The Notes may be redeemed prior to Stated Maturity:
         Initial Redemption Date:
         Initial Redemption Price:             %
         Annual Reduction Percentage:          %


<PAGE>
                                                                         2

Extension Provisions:
               X The Stated Maturity of the Notes cannot be extended
                 The Stated Maturity of the Notes can be extended
         Extension Periods:
         Final Maturity:

Repayment:
               X The Notes cannot be repaid prior to Stated Maturity
                 The Notes can be repaid prior to Stated Maturity at the 
                  option of the holder of the Note
         Repayment Date:
         Repayment Price:              %

Optional Reset Provisions:
               X The interest rate on the Notes cannot be reset
                 The interest rate on the Notes can be reset at the option 
                  of the Company
         Optional Reset Dates:

Discounted Security:     Yes         X No
         Total Amount of OID:
         Yield to Maturity:
         Initial Accrual Period:
         Trustee Notification Dates:

Indexed Note (Other than Currency Indexed):    Yes     X No
         Applicable Index:
         Method by which principal and interest will be determined:

Currency Indexed Note:     Yes      X No
         Base Exchange Rate:
         Determination Agent:
         Denominated Currency:
         Face Amount:
         Indexed Currency:

Dual Currency Note:      Yes        X No
         Face Amount Currency:
         Optional Payment Currency:
         Designated Exchange Rate:
         Option Election Dates:

Amortizing Note:      Yes         X No
             Payments of principal and interest will be made quarterly
             Payments of principal and interest will be made semiannually
             Amortization Schedule is attached hereto as Annex A

Other Provisions:  N/A

Annex Attached:      Yes       X No


     Lehman Brothers                                Morgan Stanley & Co.
                                                        Incorporated

  X  J.P. Morgan Securities Inc.                    Salomon Brothers Inc





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