KEYCORP/NEW
424B5, 1994-08-17
NATIONAL COMMERCIAL BANKS
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<PAGE>
 
<TABLE>
<S>                                             <C>                                             <C>
PRICING SUPPLEMENT NO. 1.                       DATED: August 15, 1994                           RULE 424(b)(5)
to Prospectus Supplement Dated  August 10, 1994                                                  REGISTRATION STATEMENT NO. 33-53643
to Prospectus Dated August 10, 1994
 
                                                                KEYCORP
                                                              $50,000,000
                                                [X] SENIOR MEDIUM-TERM NOTES, SERIES B
                                                [_] SUBORDINATED MEDIUM-TERM NOTES, SERIES A
 
</TABLE>

<TABLE>
<S>                                          <C>                                <C>
[X] Floating Rate Notes                                                        --- % Fixed Rate Notes [_]
[_] Book-Entry Notes                                                            Certificated Notes     [_]
    Original Issue Date: August 22, 1994     Maturity Date: August 22, 1995
</TABLE>
 
<TABLE>
<CAPTION>
Redemption Date(s)              Redemption Price(s)      Extended Maturity Date(s)       Notice of Extension Date(s)
- ------------------              -------------------      -------------------------       ---------------------------
<S>                             <C>                      <C>                             <C>
(if applicable): NA             (if applicable): NA      (if applicable): NA             (if applicable): NA
                                                       
                                                         Specified Currency:             (U.S. Dollars)
                                                         Authorized Denominations
Repayment Date(s)               Repayment Price(s)       (only applicable if specified
- -----------------               ------------------       currency is other than
(if applicable): NA             (if applicable): NA      U.S. Dollars):
                                                         Exchange Rate Agency:
 
Repurchase Price
(if any):                                                Interest Payment Period: Monthly
Amortization Schedule                                    Interest Payment Dates: Monthly
(if any)                                                   on the 22nd of every month
</TABLE>

<TABLE>
<S>                                                      <C>                                  
Only applicable to FLOATING RATE NOTES:                  Total Amount of OID:
- ---------------------------------------                  Yield to Maturity:
Initial Interest Rate: 1-month Libor set on 8/18/94      Initial Accrual Period OID
Index Maturity: 1-month Libor                            and Designated Method:
</TABLE> 

<TABLE>
<CAPTION>
Base Rate:
- ----------
<S>                            <C>                                      <C>                             
[_] CD Rate                    [_] Treasury Rate                        Interest Reset Period: Two Business days prior to reset date
[_] Commercial Paper Rate      [_] CMT Rate                             Interest Reset Dates: Monthly on 22nd of every month
[_] Federal Funds Rate         [_] COFI Rate                            Calculation Agent: Society National Bank
[X] LIBOR 1-month                                                       Spread (plus or minus): -0-
[_] Prime Rate                                                          Spread Multiplier: NA
[_] Other (specify): _________                                          Maximum Interest Rate: NA
                                                                        Minimum Interest Rate: NA
                                                                        Other Terms (if any):
 
- -----------------------------------------------------------------------------------------------------------------------------------
Agent:                         ___ CS First Boston Corporation          Agent's Discount or Commission: -0-
- ------                         ___ Goldman, Sachs & Co.                 Trade Date: August 15, 1994    
                               ___ Kidder, Peabody & Co. Incorporated   Proceeds to KeyCorp: 50,000,000
                               ___ J.P. Morgan Securities Inc.  
                               _X_ Salomon Brothers Inc.
</TABLE>

<TABLE>
<S>                       <C>
___ Acting as Agent        ___ Agent is acting as Agent for the sale of Notes by KeyCorp at a price of ___ % of the principal amount
_X_ Acting as Principal    _X_ Agent is purchasing Notes from KeyCorp as Principal for resale to investors and other purchasers at:
 
                               ___ a fixed public offering price of ___ % of the Principal amount
                               _X_ varying prices related to prevailing market prices at the time of resale to be determined by such
                                   Agent
                                                                                                                   Cusip #49326EBN2 
</TABLE>
<PAGE>
<TABLE>
<S>                                             <C>                                             <C>
PRICING SUPPLEMENT NO. 2.                       DATED: August 15, 1994                           RULE 424(b)(5)
to Prospectus Supplement Dated  August 10, 1994                                                  REGISTRATION STATEMENT NO. 33-53643
to Prospectus Dated August 10, 1994
 
                                                                KEYCORP
                                                              $50,000,000
                                                [X] SENIOR MEDIUM-TERM NOTES, SERIES B
                                                [_] SUBORDINATED MEDIUM-TERM NOTES, SERIES A
 
</TABLE>

<TABLE>
<S>                                          <C>                                <C>
[X] Floating Rate Notes                                                        --- % Fixed Rate Notes [_]
[_] Book-Entry Notes                                                            Certificated Notes     [_]
    Original Issue Date: August 22, 1994     Maturity Date: August 22, 1996
</TABLE>
 
<TABLE>
<CAPTION>
Redemption Date(s)              Redemption Price(s)      Extended Maturity Date(s)       Notice of Extension Date(s)
- ------------------              -------------------      -------------------------       ---------------------------
<S>                             <C>                      <C>                             <C>
(if applicable): NA             (if applicable): NA      (if applicable): NA             (if applicable): NA
                                                       
                                                         Specified Currency:             (U.S. Dollars)
                                                         Authorized Denominations
Repayment Date(s)               Repayment Price(s)       (only applicable if specified
- -----------------               ------------------       currency is other than
(if applicable): NA             (if applicable): NA      U.S. Dollars):
                                                         Exchange Rate Agency:
 
Repurchase Price
(if any): NA                                             Interest Payment Period: Monthly
Amortization Schedule                                    Interest Payment Dates: Monthly
(if any): NA                                               on the 22nd of every month
</TABLE>

<TABLE>
<S>                                                      <C>                                  
Only applicable to FLOATING RATE NOTES:                  Total Amount of OID:
- ---------------------------------------                  Yield to Maturity:
Initial Interest Rate: 1-month Libor set on 8/18/94      Initial Accrual Period OID
Index Maturity: 1-month Libor                            and Designated Method:
</TABLE> 

<TABLE>
<CAPTION>
Base Rate:
- ----------
<S>                            <C>                                      <C>                             
[_] CD Rate                    [_] Treasury Rate                        Interest Reset Period: Two Business days prior to reset date
[_] Commercial Paper Rate      [_] CMT Rate                             Interest Reset Dates: Monthly on 22nd of every month
[_] Federal Funds Rate         [_] COFI Rate                            Calculation Agent: Society National Bank
[X] LIBOR 1-month                                                       Spread (plus or minus): +12
[_] Prime Rate                                                          Spread Multiplier: NA
[_] Other (specify): _________                                          Maximum Interest Rate: NA
                                                                        Minimum Interest Rate: NA
                                                                        Other Terms (if any):
 
- -----------------------------------------------------------------------------------------------------------------------------------
Agent:                         ___ CS First Boston Corporation          Agent's Discount or Commission: .09%
- ------                         ___ Goldman, Sachs & Co.                 Trade Date: August 15, 1994    
                               ___ Kidder, Peabody & Co. Incorporated   Proceeds to KeyCorp: 49,955,000
                               ___ J.P. Morgan Securities Inc.  
                               _X_ Salomon Brothers Inc.
</TABLE>

<TABLE>
<S>                       <C>
___ Acting as Agent        ___ Agent is acting as Agent for the sale of Notes by KeyCorp at a price of ___ % of the principal amount
_X_ Acting as Principal    _X_ Agent is purchasing Notes from KeyCorp as Principal for resale to investors and other purchasers at:
 
                               ___ a fixed public offering price of ___ % of the Principal amount
                               _X_ varying prices related to prevailing market prices at the time of resale to be determined by such
                                   Agent
                                                                                                                    Cusip #49326EBP7
</TABLE>
<PAGE>
<TABLE>
<S>                                             <C>                                             <C>
PRICING SUPPLEMENT NO. 3.                       DATED: August 15, 1994                           RULE 424(b)(5)
to Prospectus Supplement Dated  August 10, 1994                                                  REGISTRATION STATEMENT NO. 33-53643
to Prospectus Dated August 10, 1994
 
                                                                KEYCORP
                                                              $50,000,000
                                                [X] SENIOR MEDIUM-TERM NOTES, SERIES B
                                                [_] SUBORDINATED MEDIUM-TERM NOTES, SERIES A
 
</TABLE>

<TABLE>
<S>                                          <C>                                <C>
[X] Floating Rate Notes                                                        --- % Fixed Rate Notes [_]
[_] Book-Entry Notes                                                            Certificated Notes     [_]
    Original Issue Date: August 22, 1994     Maturity Date: August 22, 1995
</TABLE>A
 
<TABLE>
<CAPTION>
Redemption Date(s)              Redemption Price(s)      Extended Maturity Date(s)       Notice of Extension Date(s)
- ------------------              -------------------      -------------------------       ---------------------------
<S>                             <C>                      <C>                             <C>
(if applicable): NA             (if applicable): NA      (if applicable): NA             (if applicable): NA
                                                       
                                                         Specified Currency:             (U.S. Dollars)
                                                         Authorized Denominations
Repayment Date(s)               Repayment Price(s)       (only applicable if specified
- -----------------               ------------------       currency iS other than
(if applicable): NA             (if applicable): NA      U.S. Dollars):
                                                         Exchange Rate Agency:
 
Repurchase Price
(if any):                                                Interest Payment Period: Monthly
Amortization Schedule                                    Interest Payment Dates: Monthly
(if any)                                                   on 22nd of every month
</TABLE>

<TABLE>
<S>                                                      <C>                                  
Only applicable to FLOATING RATE NOTES:                  Total Amount of OID:
- ---------------------------------------                  Yield to Maturity:
Initial Interest Rate: 1-month Libor set on 8/18/94      Initial Accrual Period OID
Index Maturity: 1-month Libor                            and Designated Method:
</TABLE> 

<TABLE>
<CAPTION>
Base Rate:
- ----------
<S>                            <C>                                      <C>                             
[_] CD Rate                    [_] Treasury Rate                        Interest Reset Period: Two Business days prior to reset date
[_] Commercial Paper Rate      [_] CMT Rate                             Interest Reset Dates: Monthly on 22nd of every month
[_] Federal Funds Rate         [_] COFI Rate                            Calculation Agent: Society National Bank
[X] LIBOR 1-month                                                       Spread (plus or minus): -0-
[_] Prime Rate                                                          Spread Multiplier: NA
[_] Other (specify): _________                                          Maximum Interest Rate: NA
                                                                        Minimum Interest Rate: NA
                                                                        Other Terms (if any):
 
- -----------------------------------------------------------------------------------------------------------------------------------
Agent:                         _X_ CS First Boston Corporation          Agent's Discount or Commission: .04%
- ------                         ___ Goldman, Sachs & Co.                 Trade Date: August 15, 1994    
                               ___ Kidder, Peabody & Co. Incorporated   Proceeds to KeyCorp: 49,980,000
                               ___ J.P. Morgan Securities Inc.  
                               ___ Salomon Brothers Inc.
</TABLE>

<TABLE>
<S>                       <C>
___ Acting as Agent        ___ Agent is acting as Agent for the sale of Notes by KeyCorp at a price of ___ % of the principal amount
_X_ Acting as Principal    _X_ Agent is purchasing Notes from KeyCorp as Principal for resale to investors and other purchasers at:
 
                               ___ a fixed public offering price of ___ % of the Principal amount
                               _X_ varying prices related to prevailing market prices at the time of resale to be determined by such
                                   Agent
                                                                                                                    Cusip #49326EBQ5
</TABLE>


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