KEYCORP/NEW
424B5, 1995-03-30
NATIONAL COMMERCIAL BANKS
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PRICING SUPPLEMENT NO. 13,   DATED: March 30, 1995                                 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

                                    / /  Floating Rate Notes        /X/  7.45% Fixed Rate Notes
                                   /X/   Book-Entry Notes           / /  Certificated Notes
                                      


       Original Issue Date: April 5, 1995
       Maturity Date: April 5, 2000
       Issue Price: 99.729%
       Paying Agent: Society National Bank

 <S>                                                              <C>                    
 Option to Elect Redemption:           / / Yes  /X/ No            Option to Extend Maturity:                / / Yes  /X/ No
 --------------------------                                       -------------------------                             
 Redemption Date(s)                                               Extended Maturity Dates:
 Initial Redemption Percentage:                                   Notice of Extension Date(s):
 Annual Redemption Percentage Reduction:

 Option to Elect Repayment:            / / Yes  /X/ No            Specified Currency (not U.S. Dollars):    / / Yes  /X/ No
 -------------------------                                        -------------------------------------                         
 Repayment Date(s):                                               Authorized Denominations:
 Repayment Price(s):                                              Exchange Rate Agency:    
                                                                  
 Repurchase Price (if any):                                       Optional Interest Rate Reset:             / / Yes  /X/ No
 Amortization Schedule (if any):                                  Optional Interest Rate Reset Dates:       / / Yes  /X/ No
 Sinking Fund Defeasance:              / / Yes  /X/ No            Optional Extension of Maturity:           / / Yes  /X/ No
 Covenant Defeasance:                  / / Yes  /X/ No            Length of Extension Period:               / / Yes  /X/ No

 Minimum Denominations:   /X/   $1,000    / /    Other _________
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                                                           FIXED RATE NOTES ONLY
                                                           ---------------------

 Interest Computation Period: Semi-annual

 Interest Payment Dates: June 1 and December 1 each year

 Regular Record Dates if other than May 16 and November 16:




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                            FLOATING RATE NOTES ONLY
                            ------------------------

                                   BASE RATE:
                                   ---------

                / / CD Rate                      / / Treasury Rate
                / / Commercial Paper Rate        / / CMT Rate
                / / Federal Funds Rate           / / COFI Rate
                / / LIBOR                        / / Other (specify):________
                / / Prime Rate


 Initial Interest Rate:              Total Amount of OID:
                                     Yield to Maturity:
 Index Maturity:                     Initial Accrual Period OID
                                       and Designated Method:
 Spread (Plus or minus):             Interest Determination Date:
                                     Interest Reset Period:
 Maximum Interest Rate:              Interest Reset Dates:
                                     Interest Payment Dates:
 Minimum Interest Rate:              Calculation Date:
                                     Spread Multiplier:
 Calculation Agent:                  Telerate Page:
                                     Other Terms (if any):
                                     
                                     



. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
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<S>               <C>                                            <C>
AGENT:            / / CS First Boston Corporation                Agent's Discount or Commission: .271% ($135,500)
                  /X/ Goldman, Sachs & Co.                       Trade Date: March 29, 1995
                  / / Kidder, Peabody & Co. Incorporated         Proceeds to KeyCorp: $49,864,500
                  / / J.P. Morgan Securities
                  / / Salomon Brothers Inc.
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<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
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