Rule 424(b)(3)
File No. 33-57347
PRICING SUPPLEMENT NO. 6 DATED MARCH 17, 1995
(To Prospectus Dated February 10, 1995 as Supplemented February 24, 1995)
THE ROUSE COMPANY
Medium-Term Notes
Due More Than Nine Months from Date of Issue
Fixed Rate Notes
- ---------------------------------
Principal Amount: $2,000,000
Proceeds to Issuer: $1,989,000
Trade Date: March 15, 1995
Original Issue Date: March 22, 1995
Issue Price: 100%
Total Amount of OID: N/A
Initial Accrual Period OID: N/A
Yield to Maturity: N/A
Stated Maturity Date: March 22, 2001
Interest Rate Per Annum: 8.15%
Interest Payment Dates: Every May 15 and November 15
until maturity
Book-Entry: [x]
Certificated: [ ]
Minimum Denomination: $1,000.00
Specified Currency: U.S. Dollars
Exchange Rate Agent: N/A
Redemption:
Check Box opposite applicable paragraph.
[x] The Notes cannot be redeemed prior to maturity.
[ ] The Notes may be redeemed prior to maturity.
Initial Redemption Date: N/A
Initial Redemption Percentage: N/A
Annual Redemption Percentage Reduction: N/A
Special Redemption Provisions: N/A
Additional Terms: N/A
Rule 424(b)(3)
File No. 33-57347
PRICING SUPPLEMENT NO. 7 DATED MARCH 17, 1995
(To Prospectus Dated February 10, 1995 as Supplemented February 24, 1995)
THE ROUSE COMPANY
Medium-Term Notes
Due More Than Nine Months from Date of Issue
Floating Rate Notes
- --------------------------------------
Principal Amount: $5,000,000
Proceeds to Issuer: $4,975,000
Trade Date: March 15, 1995
Issue Price: 100%
Original Issue Date: March 22, 1995
Total Amount of OID: N/A
Initial Accrual Period OID: N/A
Yield to Maturity: N/A
Stated Maturity Date: March 22, 2000
Book-Entry: [x]
Certificated: [ ]
Specified Currency: U.S. Dollars
Base Rate: / / Commercial Paper Rate /X/ LIBOR
/ / Certificate of Deposit Rate Telerate Page 3750
/ / Treasury Rate / / Federal Funds Rate
/ / Prime Rate / / Other
Exchange Rate Agent: N/A
Minimum Denomination: $1,000.00
Initial Interest Rate: To be set March 20, 1995
Interest Determination Dates: Two London Banking Days prior
to the Interest Reset Date
Interest Reset Dates: Same as Interest Payment Dates
Interest Payment Dates: Every June 22, September 22,
December 22 and March 22 (or,
in each case, the next
Business Day) until maturity
Index Maturity: Three months
Maximum Interest Rate: N/A
Minimum Interest Rate: N/A
Spread (plus or minus): Plus 75 bps (bps = basis points)
Spread Multiplier: N/A
Calculation Agent: The First National Bank of Chicago
Calculation Date: N/A
Redemption:
Check box opposite applicable paragraph.
/X/ The Notes cannot be redeemed prior to maturity.
/ / The Notes may be redeemed prior to maturity.
Initial Redemption Date: N/A
Initial Redemption Percentage: N/A
Annual Redemption Percentage
Reduction: N/A
Special Redemption Provisions: N/A
Rule 424(b)(3)
File No. 33-57347
PRICING SUPPLEMENT NO. 8 DATED MARCH 17, 1995
(To Prospectus Dated February 10, 1995 as Supplemented February 24, 1995)
THE ROUSE COMPANY
Medium-Term Notes
Due More Than Nine Months from Date of Issue
Fixed Rate Notes
- ---------------------------------
Principal Amount: $1,000,000
Proceeds to Issuer: $ 993,750
Trade Date: March 15, 1995
Original Issue Date: March 22, 1995
Issue Price: 100%
Total Amount of OID: N/A
Initial Accrual Period OID: N/A
Yield to Maturity: N/A
Stated Maturity Date: March 22, 2007
Interest Rate Per Annum: 8.44%
Interest Payment Dates: Every May 15 and November 15
until maturity
Book-Entry: [x]
Certificated: [ ]
Minimum Denomination: $1,000.00
Specified Currency: U.S. Dollars
Exchange Rate Agent: N/A
Redemption:
Check Box opposite applicable paragraph.
[x] The Notes cannot be redeemed prior to maturity.
[ ] The Notes may be redeemed prior to maturity.
Initial Redemption Date: N/A
Initial Redemption Percentage: N/A
Annual Redemption Percentage Reduction: N/A
Special Redemption Provisions: N/A
Additional Terms: N/A
Rule 424(b)(3)
File No. 33-57347
PRICING SUPPLEMENT NO. 9 DATED MARCH 17, 1995
(To Prospectus Dated February 10, 1995 as Supplemented February 24, 1995)
THE ROUSE COMPANY
Medium-Term Notes
Due More Than Nine Months from Date of Issue
Fixed Rate Notes
- ---------------------------------
Principal Amount: $8,000,000
Proceeds to Issuer: $7,956,000
Trade Date: March 16, 1995
Original Issue Date: March 23, 1995
Issue Price: 100%
Total Amount of OID: N/A
Initial Accrual Period OID: N/A
Yield to Maturity: N/A
Stated Maturity Date: March 23, 2001
Interest Rate Per Annum: 8.05%
Interest Payment Dates: Every May 15 and November 15
until maturity
Book-Entry: [x]
Certificated: [ ]
Minimum Denomination: $1,000.00
Specified Currency: U.S. Dollars
Exchange Rate Agent: N/A
Redemption:
Check Box opposite applicable paragraph.
[x] The Notes cannot be redeemed prior to maturity.
[ ] The Notes may be redeemed prior to maturity.
Initial Redemption Date: N/A
Initial Redemption Percentage: N/A
Annual Redemption Percentage Reduction: N/A
Special Redemption Provisions: N/A
Additional Terms: N/A