<PAGE>
REVISED
Pricing Supplement No. 18 Filing Under
---- Rule 424(b)(2)
(To Prospectus Supplement dated June 4, 1997
including the Prospectus dated May 21, 1997)
Registration
Trade Date: 11/7/97 File No.
--------------- 333-27141
IKON Capital, Inc.
- --------------------------------------------------------------------------------
Medium Term Notes
CUSIP: 45171EAK3
---------------------------------
Principal Amount: 50,000,000 Floating Rate Notes: X
---------------------- -------------------
Interest Rate (if fixed rate): Interest Rate Basis:
--------- ---------
Interest Payment Date(s): Feb 15, May 15
Aug 15, Nov 15 -Commercial Paper Rate:
-------------- ----------
(other than June 15 and December 15) -Prime Rate:
Regular Record Date(s): Jan 31, Apr 30
July 31, Oct 31 ---------------------
---------------- -LIBOR: 3 Month Libor (Telerate Page
3750)
(other than May 31 and November 30) --------------------------
Stated Maturity: 11/15/99 -Treasury Rate:
----------------------- ------------------
Specified Currency: US Dollars -CD Rate:
-------------------- ------------------------
Applicable Exchange Rate (if any): N/A -Federal Funds Rate:
----- -------------
US Dollar $1.00 = N/A -Other:
--------------- --------------------------
Issue Price (as a percentage of
principal amount): 100%
-------- Index Maturity:
Selling Agent: ------------------------
-Lehman Brothers: Spread: +.0525%
---------------- --------------------------------
-Chase Securities, Inc.: Spread Multiplier:
--------- ---------------------
-Goldman, Sachs & Co: Maximum Interest Rate:
------------ -----------------
-Merrill Lynch & Co: X Minimum Interest Rate:
------------- -----------------
-Other: Initial Interest Rate: 5.8725%
-------------------------- -----------------
Interest Reset Date(s)
Selling Agent's Commission (%): .25% (if semi-annually or annually):
--------
Purchasing Agent: N/A -------------------------------------
---------------------- Third Wednesday of:
Purchasing Agent's Discount or ----------------
Commission (%): N/A Interest Reset Date (if weekly,
----------- monthly, or quarterly):
Type of Sale: ----------
As Agent: X As Principal: Interest Determination Date(s):
---- ---- --------
Net proceeds to the Company: 49,875,000 Calculation Date(s):
------------ -------------------
Settlement date (original issue Calculation Agent:
date): 11/13/97 ---------------------
------------------------------- Interest Payment Date(s): Feb 15,
May 15, Aug 15, Nov 15
Redemption Commencement Date (if ----------------------
any): N/A (other than June 15 and December 15)
-------------------------------- Regular Record Date(s): Jan 31, Apr 30,
July 31, Oct 31
Redemption Period: N/A ----------------
--------------------- (other than May 31 and November 30)
Exchange Rate Agent: N/A Interest Reset Period:
------------------- -----------------
Original Issue Discount Security:
Yes: No: X
---- ----
Form:
Book Entry: X Certificated:
--- ---
Authorized by: /s/ J. F. Quinn
------------------------------------------------------
J. F. Quinn