TANDY CORP /DE/
424B3, 1999-09-30
RADIO, TV & CONSUMER ELECTRONICS STORES
Previous: STANSBURY HOLDINGS CORP, 10KSB, 1999-09-30
Next: TANDY CORP /DE/, 424B3, 1999-09-30



                                               Filed Pursuant to Rule 424(b)(3)
                                               Registration No. 333-27297

PRICING  SUPPLEMENT  Number 10, Dated  September 24, 1999 (To  Prospectus  dated
August 6, 1997 and Prospectus Supplement dated November 4, 1997)

                                                             $150,000,000
                                Tandy Corporation
                           Medium-Term Notes, Series B
                   Due Nine Months or More From Date of Issue

          7.22% Medium-Term Notes Due September 29, 2004 (the "Notes")

         The Notes being offered hereby are Medium-Term Notes, Series B of Tandy
Corporation (the "Company").  The description in this Pricing  Supplement of the
particular  terms of the Notes offered  hereby  supplements  (and, to the extent
inconsistent,  replaces) and should be read in conjunction  with the description
of the general terms and provisions of the Company's Medium-Term Notes, Series B
set forth in the accompanying  Prospectus,  dated August 6, 1997, and Prospectus
Supplement,  dated  November 4, 1997,  to which  descriptions  reference is made
hereby.  Terms used but not defined herein have the meanings ascribed to them in
the Prospectus and the Prospectus Supplement.

         The particulars relating to the Notes offered hereby are as follows:

Purchaser:                                    Bear, Stearns & Co. Inc.

Specified Currency:                           U. S. dollars

Aggregate Principal Amount of Notes           U.S. $15,000,000

Original Issue Date:                          September 29, 1999

Price to Public:                              100.00% of Aggregate Principal
                                              Amount of Notes

Purchaser's Discount Received from            0.50% of Aggregate Principal
the Company:                                  Amount of Notes

Original Issue Price (Proceeds to Company):   99.50% of Aggregate Principal
                                              Amount of Notes

Maturity Date:                                September 29, 2004

Denomination:                                 U.S. $1,000 and integral multiples
                                              thereof

Form of Notes:                                Book-Entry

Fixed Rate Notes:                             Interest Rate: 7.22% per annum

                                              Interest Payment Dates:  On
                                              April 1 and October 1 of each year
                                              and at Maturity.

                                              Record Dates:  March 15 and
                                              September 15 of each year

CUSIP Number:                                 87538GBA9

         The Company and the  Purchaser  named above have  entered  into a Terms
Agreement  for the  issue  and  sale by the  Company  and  the  purchase  by the
Purchaser of the Notes,  which Terms  Agreement  incorporates  by reference  the
terms of the Sales  Agreement,  dated November 4, 1997,  among the Company,  the
Purchaser and the other Agents (as defined therein) party thereto.


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission