PROSPECTUS dated March 29, 1995 Pricing Supplement No. 1
PROSPECTUS SUPPLEMENT to Registration No. 33-57833
Dated March 29, 1995 May 10, 1995
Rule 424(b)(3)
MORGAN STANLEY GROUP INC.
MEDIUM - TERM NOTES, SERIES C
Floating Rate Notes Due More Than 9 Months From Date of Issue
Principal Amount: $150,000,000 Annual Redemption N/A
Percentage:
Maturity Date: May 18, 1998 Interest Payment The third
Dates: Wednesday of
March, June,
September and
December
Interest Rate CD Rate Interest Reset The third
Basis: --- Dates: Wednesday of
March, June,
Commercial September and
--- Paper Rate December
Federal Funds Interest Payment Quarterly
--- Rate Period:
X LIBOR Interest Reset Quarterly
--- Period:
Prime Rate Interest Two London banking
--- Determination days prior to the
Dates: Interest Reset
Treasury Rate Date
---
Other
--- Settlement Date: May 17, 1995
(Original Issue
Date)
Applicability of Yes
Modified Banking
Day Convention:
Ranking: Senior
Index Maturity: 3-Month
Calculation Agent: Chemical Bank
Spread: + 0.27%
Book Entry Note or Book Entry
Certified:
Spread Multiplier: N/A
Reporting Service: Telerate 3750
Maximum Interest N/A
Rate:
Alternative Rate N/A
Event Spread:
Minimum Interest N/A
Rate:
Put/Call Date: N/A
Initial Repayment N/A
Date:
Put/Call Price: N/A
Initial Repayment
Percentage N/A Put/Call N/A
Reduction: Modification:
Interest Accrual May 17, 1995 Initial Interest June 21, 1995
Date: Reset Date:
Initial Interest To be determined Initial Redemption N/A
Rate: on May 17, 1995 Package:
Initial Redemption N/A
Date:
Capitalized terms not defined above have the meanings given to such terms in
the accompanying Prospectus Supplement.