PITNEY BOWES CREDIT CORP
424B3, 1995-06-07
FINANCE LESSORS
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                                         Filed Pursuant to Rule 424(b)(3)
                                         Registration No. 33-53736

PRICE SUPPLEMENT NO.  14                 DATED:    June 5, 1995
                      --                           ------------
(To Prospectus Dated March 3, 1989, as supplemented by Prospectus Supplement
Dated May 16, 1989)

                          PITNEY BOWES CREDIT CORPORATION

                            Medium-Term Notes, Series B

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.

Principal Amount:         $25,000,000.00       Issue Price:    100%             
                          --------------                       ----
Date of Original                                Interest Rate/Initial
   Issue:                 June 9, 1995          Interest Rate:  5.84%
                          ------------                          -----
Maturity Date:            June 9, 1998          Interest Payment
                          ------------          Dates:   May 15 and November 15
                                                         ----------------------
Form:     X    Book-Entry                   Certificated
         -----                        -----
<TABLE>
<CAPTION>
<S>                                           <C>                                <C>
Interest Rate Basis                           Interest Determination             
                                              Dates:                             N.A.
                                                                                 ----
 X   Fixed Rate Note                          Interest Asset Dates:              N.A.
- ----                                                                             ----
     Commercial Paper Rate Note               Interest Asset Period:             N.A.
- ----                                                                             ----
     Federal Funds Rate Note                  Index Maturity:                    N.A.
- ----                                                                             ----
     LIBOR Note                               Spread (plus or minus):            N.A.
- ----                                                                             ----
                                              Spread Multiplier:                 N.A.
                                                                                 ----
     Prime Rate Note                          Calculation Dates:                 N.A.
- ----                                                                             ----
                                              Calculation Agent:                 N.A.
                                                                                 ----
     CD Rate Note                             Maximum Interest Rate:             N.A.
- ----                                                                             ----
     Treasury Rate Note                       Minimum Interest Rate:             N.A.
- ----                                                                             ----
     Other Base Rate                          Redemption Commencement
- ---- (as described below)                     Date:                              N.A.
                                                                                 ----
     Zero Coupon Note                         Initial Redemption
- ----                                          Percentage:                        N.A.
                                                                                 ----
                                              Reduction Percentage:              N.A.
                                                                                 ----
</TABLE>
<PAGE>
Other Terms:            For Original Issue Discount Notes:
                        Original Issuance Discount:        ______%

                        Yield to Maturity:                 ______%

                        Original Issue discount applicable
                         to accrual period:         _____________%
                                              
                        Short Accrual Period:       _____________%

                        Method used to determine yield of maturity
                        applicable to short accrual period:

                        ___ Approximate

                        ___ Exact

                        Original Issue Discount Note:

                        ___ Subject to special provisions set 
                            forth therein with respect to the
                            principal amount thereof payable
                            upon any redemption or acceleration
                            of the maturity thereof.

                        ___ For Federal income tax purposes
                            only.

                        OID Percentage for Tax 
                        Purposes:                  ______________%             

                        OID As Percentage of Original 
                        Principal Amount:          ______________%

                        Annual Yield to Maturity for
                        Computing OID:             ______________%






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