MORGAN STANLEY GROUP INC /DE/
424B3, 1995-12-22
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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PROSPECTUS dated March 29, 1995                   Pricing Supplement No. 27
PROSPECTUS SUPPLEMENT                             to Registration No. 33-57833
Dated March 29, 1995                              December 19, 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:  $93,000,000         Annual Redemption   N/A
                                       Percentage
                                       Reduction::
                                                           
Maturity Date:     December 22, 1997   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
                       Treasury Rate   Dates:              Interest Reset
                   ---                                     Date
                   
                       Other                               
                   ---                 Settlement Date:    December 22, 1995
                                       (Original Issue
                                       Date)
Applicability of                                           
Modified           Yes
Banking Day
Convention:
                                       Ranking:            Senior
Index Maturity:    3-Month                                 
                                       Calculation Agent:  Chemical Bank
Spread:            +0.10%                                  
                                       Book Entry Note or  Book Entry
                                       Certified:
Spread Multiplier: N/A                                     
                                       Reporting Service:  Telerate page 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   December 22, 1995   Initial Interest    March 20, 1996
Date:                                  Reset Date:
                                                           
Initial Interest   To be determined    Initial Redemption  N/A
Rate:              on December 22,     Percentage:
                   1995
                                                           
Initial Redemption N/A                                     
Date:
                                                           

Capitalized terms not defined above have the meanings given to such terms in
the accompanying Prospectus Supplement.



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