PAINE WEBBER GROUP INC
424B3, 1994-03-14
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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<PAGE>   1

                                           Filed pursuant to Rule
                                           424(b)(3).  This Pricing
                                           Supplement relates to
                                           Registration  Statements No.
                                           33-58124 and 33-51149


                Pricing Supplement No. 020 Dated March 4, 1994
                  (To Prospectus Dated November 29, 1993 and
                Prospectus Supplement Dated November 30, 1993)

                            PAINE WEBBER GROUP INC.

                               Multiple Currency
                   Medium-Term Subordinated Notes, Series C
              Due from Nine Months to 30 Years from Date of Issue
                             (Floating Rate Notes)

<TABLE>
<S>                                    <C>
Designation:                           Medium-Term Subordinated Notes, Series C
                                       ----------------------------------------
                                       
Original Issue Date:                   March 11, 1994   
                                       ------------------
                                       
Principal Amount:                      $17,000,000       
                                       ------------------
                                       
Interest Rate Basis:                   [ ] Commercial Paper Rate
                                       [ ] Prime Rate
                                       [ ]  Federal Funds Rate
                                       [ ] LIBOR
                                            [ ] Telerate Screen Page 3750
                                            [ ] Reuters Screen LIBO Page
                                       [X] Treasury Rate
                                           2 Year Treasury
                                           Constant Maturities
                                           (H.15) Telerate Screen
                                           Page 7055
                                       ------------------
                                       
Index Maturity:                        Quarterly       
                                       ------------------
                                       
Spread                                 N/A (Flat)   
                                       ------------------
                                       
Initial Interest Rate:                 4.96%
                                       -------------------
                                       
Interest Payment Dates:                Third Wednesday of
                                       March, June, September 
                                       and December 
                                       ------------------
                                       
Interest Reset Dates:                  Third Wednesday of 
                                       March, June, September  
                                       and December 
                                       ------------------

Regular Record Dates:                  15 Calendar Days
                                       Prior to Each Interest
                                       Payment Date
                                       ------------------

Interest Determination                 Second London Business
  Dates:                               Day Preceding the        
                                       Interest Reset Dates
                                       ------------------
                                       
Specified Currency
  in which Denominated:                U.S. Dollars      
                                       ------------------
                                       
Stated Maturity:                       March 11, 1999  
                                       ------------------

Issue Price (As a Percentage            
  of Principal Amount):                100%              
                                       ------------------
                                       
Redemption and Early                   The Note cannot be
  Repayment Provisions:                redeemed prior to
                                       Stated Maturity   
                                       ------------------


Note(s) represented by:                [X] Global Note
                                       [ ] Certificated Note(s)
</TABLE>                                       


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