<PAGE> 1 Filed Under Rule 424 (b)(3)
Registration Statement No. 33-61003
SUPPLEMENT NO. 4 TO PROSPECTUS DATED SEPTEMBER 20, 1995
(AS SUPPLEMENTED OCTOBER 19,1995)
AT&T CAPITAL CORPORATION
Medium Term Notes, Series 3
Due Nine Months or More From Date of Issue.
Issue Price: 100%
(as a percent of principal amount)
Fixed and Floating Rate Notes
Interest Rate
Range of Maturities Per Annum
- ------------------- -------------
From 9 months to 1 year ............................ Floating %
INITIAL FIXING DATE: 10/23/95
INITIAL PAYMENT DATE: 11/27/95
MATURITY DATE: 10/25/96
DAYCOUNT: ACTUAL/360
INDEX: 1 MONTH LIBOR + 0.03%
SOURCE: TELERATE P. 3750
RESET FREQUENCY: MONTHLY
PAYMENT FREQUENCY: MONTHLY
PAYMENT: MONTHLY. PAYS THE 25TH OR NEXT GOOD
BUSINESS DAY OF EACH MONTH.
COMMENCING 11/27/95
INTEREST DETERMINATION: MONTHLY RESET, PAID
MONTHLY - SOURCE: TELERATE P.3750,
2 LONDON BUSINESS DAYS PRIOR TO
PERIOD END DATES
Date of Sale: October 20, 1995
Redemption: NON-CALL LIFE