BANKAMERICA CORP
424B2, 1994-09-14
NATIONAL COMMERCIAL BANKS
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<PAGE>
 
                                                            Rule 424(b)(2) 
                                                            File No. 33-54385 

PRICING SUPPLEMENT NO. 5
DATED SEPTEMBER 12, 1994                                        
(To Prospectus Supplement dated
August 22, 1994, including the
Prospectus dated August 22, 1994)


                            BANKAMERICA CORPORATION

                      SENIOR MEDIUM-TERM NOTES, SERIES I
 
                                   ---------
<TABLE> 
<S>                                        <C> 
      Floating Rate Notes [x]                % Fixed Rate Notes [_]            
                                                                               
      Book Entry Notes    [x]              Certificated Notes   [_]           

Original Issue Date: September 19, 1994    Stated Maturity: September 19, 1997
    
                                           Extended            Notice of        
                                           Maturity            Extension   
                                            Date(s)             Date(s)    
                                           --------            ---------   
                                             N/A                  N/A      
                                                                             
Redemption            Redemption           Specified             
 Date(s)               Price(s)            Currency:           U.S. Dollars
 -------               --------            Authorized                          
   N/A                   N/A               Denominations                      
                                           (Only applicable if                
                                           Specified Currency               
                                           is other than                    
                                           U.S. Dollars):      N/A         
Repayment             Repayment    
 Date(s)               Price(s)              
- ---------             ---------            Interest Payment                  
   N/A                   N/A               Period:             3 months
                                           Interest Payment                   
                                           Dates:              See Exhibit A
    
                                           Total Amount of               
                                           OID:                N/A             
                                           Yield to Maturity:  N/A            
                                           Initial Accrual
                                           Period OID and
                                           Designated Method:  N/A
                    
Only applicable to Floating Rate Notes: 
- ---------------------------------------
Initial
Interest Rate:  5.04%                      Interest Reset                   
                                           Period:             3 Months
                                           Interest Reset      
                                           Dates:              See Exhibit B

Index Maturity: 3 months


Base Rate:                                 Spread (plus or                    
                                           minus):             +.31%      
[_]  CD Rate                               Spread Multiplier:  N/A 
           
[_]  Commercial  Paper Rate                Maximum Interest                   
                                           Rate:               N/A             
[_]  Federal Funds Rate                    Minimum Interest                   
                                           Rate:               N/A
[_]  LIBOR

     Designated LIBOR Page (only
     applicable if Designated LIBOR
     Page is other than Telerate
     Screen Page 3750): N/A

[X]  Treasury Rate

[_]  CMT Rate 

     Designated CMT
     Telerate Page:  N/A

[_]  Prime Rate
</TABLE> 

                            ----------------------
                         (Continued on the next page)



<PAGE>
 
<TABLE>
<CAPTION>

Exhibit A Interest Payment Dates*:        Exhibit B Interest Reset Dates**:
- ---------                                 ---------
<S>        <C>       <C>                  <C>        <C>       <C>
12/21/94   3/15/95   3/19/97              12/21/94   3/15/95   3/19/97
           6/21/95   6/18/97                         6/21/95   6/18/97
           9/20/95   9/19/97                         9/20/95   
          12/20/95                                  12/20/95
           3/20/96                                   3/20/96
           6/19/96                                   6/19/96
           9/18/96                                   9/18/96
          12/18/96                                  12/18/96
</TABLE>

*  In each case, subject to adjustment as described in the accompanying 
   Prospectus Supplement in the event any such date is not a Business Day as 
   defined in such Prospectus Supplement.

** In each case, subject to adjustment as described in the accompanying 
   Prospectus Supplement if an auction falls on any such date or any such date 
   is not a Business Day.

<TABLE> 
<S>                                                <C> 
Trade Date:    September 12, 1994                  Agent's Commission:      $34,500
Name of Agent: Bank of America National Trust      Proceeds to Corporation: $24,965,500
               and Savings Association
   
                                                   [_] Agent is purchasing Notes from    
                                                       the Corporation at     % of their
                                                       principal amount as principal for 
[X] Agent is acting as agent for                       resale to investors and other     
    the sale of Notes by the                           purchasers at:
    Corporation at a price to                                                  
    public of:                                     [_] a fixed initial public offering   
                                                       price of 100% of the principal    
[X] 100% of the principal amount                       amount.                           
                                                                      
[_]    % of the principal amount                   [_] a fixed initial public offering   
                                                       price of   % of the principal     
                                                       amount.                           
                                                                               
                                                   [_] varying prices relating to        
                                                       prevailing market prices at time  
                                                       of resale to be determined by     
                                                       Agent.                            
</TABLE> 



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