RULE 424(B)(2)
REGISTRATION STATEMENT NO. 33-57395
PRICING SUPPLEMENT No. 4, Dated August 28, 1995
TO PROSPECTUS AND PROSPECTUS SUPPLEMENT, EACH DATED APRIL 4, 1995
H. F. AHMANSON & COMPANY
MEDIUM-TERM NOTES, SERIES A
(FIXED RATE)
DUE FROM NINE MONTHS OR MORE FROM DATE OF ISSUE
ISSUE PRICE: 100.00% FORM:
INTEREST RATE: 6.35% [X] Book Entry [ ] Certificated
ORIGINAL ISSUE DATE: September 1, 1995
STATED MATURITY: September 1, 1998
EXTENSION INFORMATION: Not applicable
AGENT(S): Bear, Stearns & Co., Inc., Lehman Brothers, Inc.,
CS First Boston Corporation, Merrill Lynch & Co.
AGENT'S COMMISSION: 0.35%
REPURCHASE PRICE:
(FOR DISCOUNT SECURITIES): Not applicable
INTEREST PAYMENT DATES:
(MONTHLY, QUARTERLY, SEMI-ANNUALLY OR
ANNUALLY) March 1 and September 1 of each year commencing on March 1, 1996
REGULAR RECORD DATES: February 15 and August 17
REDEMPTION INFORMATION: Not applicable
REPAYMENT INFORMATION: Not applicable
AMORTIZING PROVISIONS: Not applicable
SPECIAL U.S. FEDERAL INCOME
TAX CONSIDERATIONS: Not applicable
OTHER PROVISIONS:
The aggregate principal amount of this offering is $45,000,000 and
relates only to Pricing Supplement No. 4. Debt Securities, including
Medium-Term Notes, Series A, may be issued by the Company in the aggregate
principal amount of up to $500,000,000. To date, including this offering, an
aggregate of $160,000,000 of Medium-Term Notes, Series A, and all other Debt
Securities, has been issued.
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TYPE OF SALE: IF PRINCIPAL TRANSACTION, REOFFERING AT:
[X] As Agent [ ] varying prices related to prevailing market prices at the time of resale
[ ] As Principal [ ] fixed public offering price of ______% of Principal Amount
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