REEBOK INTERNATIONAL LTD
424B2, 1995-07-13
RUBBER & PLASTICS FOOTWEAR
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Pricing Supplement No. 4                         Filed Under Rule 424(b)(2)
Dated July 11, 1995                              Registration No. 33-24114 
(To Prospectus dated January 22, 1993
Prospectus Supplement dated January 22, 1993)


                               $150,000,000
                         REEBOK INTERNATIONAL LTD.                         
                        Medium-Term Notes, Series A                        


Principal Amount:  $20,000,000    Interest Rate 
                                     (if fixed rate):  6.08%

Issue Price: 100%
(as a percent of Principal Amount)

Maturity Date:  July 15, 1998      Interest Rate Basis
                                     (if floating rate): N/A
Net Proceeds
   to Company:  $19,930,000        Index Maturity:

Agent's Commission (%):  .35%      Spread (plus or minus):

Agent:  Citicorp Securities, Inc.

Trade Date:                        Spread Multiplier:
   July 11, 1995                   
                                   
                                   Maximum Interest Rate:
Settlement Date (Original Issue
   Date):  July 14, 1995           
                                   Minimum Interest Rate:

Redemption Commencement Date       Initial Interest Rate:
   (if any):  N/A

                                   Interest Reset Date(s):
Redemption Periods:  N/A
                                   Interest Determination 
                                   Date(s):

Redemption Prices:  N/A
                                   Calculation Date(s):
Original Issue Discount Security:
   Yes:               No:    X     Calculation Agent:

Default Rate (%):                  Interest Payment Date(s):
   (applicable only if Original    February 15 and August 15 in  
Issue Discount Security)           each year, beginning August   
                                   15, 1995.

Notes are to be issued             Regular Record Date(s):
as a single book-entry             February 1 and August 1 in 
Global Security                    each year, beginning August 
                                   1, 1995.

                                   Interest Reset Period:

See attached page 2


     Additional Terms:

     As of the date of this Pricing Supplement (i) the aggregate
initial public offering price of the Notes (as defined in the
Prospectus Supplement) which have been sold (including the Notes
to which this Pricing Supplement relates) is $140,000,000; and
the aggregate proceeds which the Company has received from Debt
Securities (as defined in the Prospectus) which have been sold
(including the Notes to which this Pricing Supplement relate) is
$138,870,000.




     "N/A" as used herein means "Not Applicable."  























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