ROUSE COMPANY
424B3, 1995-05-30
OPERATORS OF NONRESIDENTIAL BUILDINGS
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                                                    Rule 424(b)(3)
                                                 File No. 33-57347
PRICING SUPPLEMENT NO. 17 DATED MAY 30, 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:                 $4,964,500
Trade Date:                         May 25, 1995
Issue Price:                        99.79%
Original Issue Date:                June 2, 1995
Total Amount of OID:                N/A
Initial Accrual Period OID:         N/A
Yield to Maturity:                  N/A
Stated Maturity Date:               June 2, 2000
Book-Entry:  /X/
Certificated: /  /

Specified Currency:                 U.S. Dollars

Base Rate: / / Commercial Paper Rate        /X/ LIBOR
                                                Telerate Page 3750

           / / Certificate of Deposit Rate

 / / Treasury Rate      / / Federal Funds Rate      / / Prime Rate

                                                         / / Other
Exchange Rate Agent:                N/A
Minimum Denomination:               $1,000.00
Initial Interest Rate:              To be set May 31, 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 third Wednesday of 
                                    September, December, March and 
                                    June (or, in each case, the 
                                    next Business Day), beginning 
                                    September 20, 1995, 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
<PAGE>


                                                    Rule 424(b)(3)
                                                 File No. 33-57347
PRICING SUPPLEMENT NO. 18 DATED MAY 30, 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:                   $6,000,000
Proceeds to Issuer:                 $5,962,560
Trade Date:                         May 25, 1995
Issue Price:                        99.826%
Original Issue Date:                June 2, 1995
Total Amount of OID:                N/A
Initial Accrual Period OID:         N/A
Yield to Maturity:                  N/A
Stated Maturity Date:               June 2, 1999
Book-Entry:  /X/
Certificated: /  /

Specified Currency:                 U.S. Dollars

Base Rate: / / Commercial Paper Rate        /X/ LIBOR
                                                Telerate Page 3750

           / / Certificate of Deposit Rate

 / / Treasury Rate      / / Federal Funds Rate      / / Prime Rate

                                                         / / Other
Exchange Rate Agent:                N/A
Minimum Denomination:               $1,000.00
Initial Interest Rate:              To be set May 31, 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 third Wednesday of 
                                    September, December, March and 
                                    June (or, in each case, the 
                                    next Business Day), beginning 
                                    September 20, 1995, until 
                                    maturity
Index Maturity:                     Three months
Maximum Interest Rate:              N/A
Minimum Interest Rate:              N/A
Spread (plus or minus):             Plus 70 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
	



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