WEINGARTEN REALTY INVESTORS /TX/
424B3, 2000-01-21
REAL ESTATE INVESTMENT TRUSTS
Previous: GLOBAL SPORTS INC, PRER14A, 2000-01-21
Next: CITIGROUP INC, SC 13D/A, 2000-01-21




Pricing Supplement No. 1                        Filing  under  Rule  424(b)(3)
Dated  January 18, 2000                         Registration  File No. 333-85967
Cusip # 948 74R BJ4

                           WEINGARTEN REALTY INVESTORS
                           MEDIUM-TERM NOTES, SERIES A

Principal  amount:  $10,500,000                 Floating  Rate  Notes:  N/A
Interest  Rate  (if  fixed rate):  8.25%        Interest rate basis:  N/A
Stated  Maturity:  1/22/10                      Paper  Rate
Specified  Currency:  U.S.  $                          Prime  Rate
Applicable  Exchange  Rate  (if  any):                 LIBOR
    U.S.  $1.00  =  N/A                                Treasury  Rate
Issue  price  (as  a  percentage  of                   CD  Rate
    principal  amount): 100%                           Federal  Funds  Rate
Selling  Agent's  commission  (%): 0.625%              Other
Purchasing  Agent's  discount                   Index  Maturity:  N/A
    or  commission  (%):  N/A                   Spread:  N/A
Net proceeds to the Company (%): 99.375 %       Spread  Multiplier:  N/A
Settlement  date  (original                     Maximum  Rate:  N/A
    issue  date): 1/21/00                       Minimum  Rate:  N/A
Redemption  Commencement                        Initial  Interest  Rate:  N/A
    Date  (if  any):  N/A                       Interest  Reset  Date(s):  N/A
Interest  Determination Date(s):  N/A           Optional  Repayment Date: N/A
Calculation  Date(s):  N/A                      Cusip  #  948  74R  BJ4
Interest  Payment  Date  (s):  3/15,  9/15
Regular  Record  Date(s):  3/1,  9/1

     Redemption  prices  (if  any):  The  Redemption  Price  shall  initially be
N/A  %  of  the  principal  amount  of  such  Notes  to  be  redeemed.

     If  such  Notes  are denominated in other than U.S. dollars, the applicable
Foreign  Currency  Supplement  is  attached  hereto.

     Additional  terms:  N/A

     As  of  the  date  of this Pricing Supplement, the aggregate initial public
offering  price  (or  its equivalent in other currencies) of the Debt Securities
(as  defined  in  the  Prospectus)  which have been sold (including the Notes to
which  this  Pricing  Supplement  relates)  is  $10,500,000.

     "N/A"  as  used  herein means "Not Applicable."  "A/S" as used herein means
"As  stated  in  the  Prospectus  Supplement  referred  to  above."

                         BANC OF AMERICA SECURITIES LLC



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission