TCI COMMUNICATIONS INC
424B3, 1995-08-24
CABLE & OTHER PAY TELEVISION SERVICES
Previous: TCI COMMUNICATIONS INC, 424B3, 1995-08-24
Next: PACIFIC TELECOM INC, SC 13E3/A, 1995-08-24



<PAGE>   1

                                                     Filing Under Rule 424(b)(3)
                                                  Registration File No. 33-60982
                                            Dealer:  CS First Boston Corporation
                                           Address:  55 East 52nd Street, NY, NY
                                          Contact:  Betsy Malloy, (212) 909-3326
                                                             Cusip #:  87924FCA2
Pricing Supplement No. 50  Dated August 24, 1995
(To Prospectus dated August 7, 1995 and
Prospectus Supplement dated August 7, 1995)

                            TCI COMMUNICATIONS, INC.

                MEDIUM TERM NOTES, SERIES B - SENIOR FIXED RATE

<TABLE>
 <S>                              <C>                     <C>                              <C>
 Trade Date:                      August 22, 1995         Initial Interest Rate:           7.385%

 Principal Amount:                21,000,000              Currency:                        U.S. Dollars

 Stated Maturity Date:            August 27, 2001         Original Issue Date:             August 25, 1995

 Issue Price:                     100.0                   Net Proceeds to Issuer:          20,884,500.00

 Selling Agent's Commission:      115,500.00              Min. Denomination:               1,000.00
</TABLE>


Form:            X        Book-Entry
                 -
                 _        Certified

Redemption:      X        The Notes cannot be redeemed prior to maturity
                 -
                 _        The Notes may be redeemed prior to maturity

         Initial Redemption Date:                           N/A
         Initial Redemption Price:                          N/A
         Annual Redemption Price Reduction:                 N/A

Repayment:       X        The Notes cannot be repaid prior to maturity
                 -
                 _        The Notes can be repaid prior to maturity at the 
                          option of the holder

         Repayment Price:         N/A
         Repayment Date:          N/A

Original Issue
Discount Note:   _        Yes
                 X        No
                 -

         Total Amount of OID:     N/A
         Yield to Maturity:       N/A
         Initial Accrual Period:  N/A

Optional Extension of Maturity Date:       N/A
Final Maturity Date:                       August 27, 2001





<PAGE>   2
                                                     Filing Under Rule 424(b)(3)
                                                  Registration File No. 33-60982
                                            Dealer:  CS First Boston Corporation
                                           Address:  55 East 52nd Street, NY, NY
                                          Contact:  Betsy Malloy, (212) 909-3326
                                                             Cusip #:  87924FCA2
Pricing Supplement No. 50  Dated August 24, 1995
(To Prospectus dated August 7, 1995 and
Prospectus Supplement dated August 7, 1995)

                            TCI COMMUNICATIONS, INC.

                MEDIUM TERM NOTES, SERIES B - SENIOR FIXED RATE

<TABLE>
 <S>                              <C>                     <C>                              <C>
 Trade Date:                      August 23, 1995         Initial Interest Rate:           7.385%

 Principal Amount:                20,000,000              Currency:                        U.S. Dollars

 Stated Maturity Date:            August 27, 2001         Original Issue Date:             August 25, 1995

 Issue Price:                     100.0                   Net Proceeds to Issuer:          19,890,000.00

 Selling Agent's Commission:      110,000.00              Min. Denomination:               1,000.00
</TABLE>


Form:            X        Book-Entry
                 -
                 _        Certified

Redemption:      X        The Notes cannot be redeemed prior to maturity
                 -
                 _        The Notes may be redeemed prior to maturity

         Initial Redemption Date:                           N/A
         Initial Redemption Price:                          N/A
         Annual Redemption Price Reduction:                 N/A

Repayment:       X        The Notes cannot be repaid prior to maturity
                 -
                 _        The Notes can be repaid prior to maturity at the 
                          option of the holder
        
         Repayment Price:         N/A
         Repayment Date:          N/A

Original Issue
Discount Note:   _        Yes
                 X        No
                 -

         Total Amount of OID:     N/A
         Yield to Maturity:       N/A
         Initial Accrual Period:  N/A

Optional Extension of Maturity Date:       N/A
Final Maturity Date:                       August 27, 2001





<PAGE>   3
                                                     Filing Under Rule 424(b)(3)
                                                  Registration File No. 33-60982
                                                        Dealer:  Lehman Brothers
                                         Address:  World Financial Center NY, NY
                                            Contact:  Bill Cohen, (212) 528-8020
                                                             Cusip #:  87924FCBO
Pricing Supplement No. 51  Dated August 24, 1995
(To Prospectus dated August 7, 1995 and
Prospectus Supplement dated August 7, 1995)

                            TCI COMMUNICATIONS, INC.

                MEDIUM TERM NOTES, SERIES B - SENIOR FIXED RATE

<TABLE>
 <S>                              <C>                     <C>                              <C>
 Trade Date:                      August 22, 1995         Initial Interest Rate:           7.37%

 Principal Amount:                2,000,000               Currency:                        U.S. Dollars

 Stated Maturity Date:            August 24, 2001         Original Issue Date:             August 25, 1995

 Issue Price:                     100.0                   Net Proceeds to Issuer:          1,989,000

 Selling Agent's Commission:      11,000.00               Min. Denomination:               1,000.00
</TABLE>


Form:            X        Book-Entry
                 -
                 _        Certified

Redemption:      X        The Notes cannot be redeemed prior to maturity
                 -
                 _        The Notes may be redeemed prior to maturity

         Initial Redemption Date:                           N/A
         Initial Redemption Price:                          N/A
         Annual Redemption Price Reduction:                 N/A

Repayment:       X        The Notes cannot be repaid prior to maturity
                 -
                 _        The Notes can be repaid prior to maturity at the 
                          option of the holder

         Repayment Price:         N/A
         Repayment Date:          N/A

Original Issue
Discount Note:   _        Yes
                 X        No
                 -

         Total Amount of OID:     N/A
         Yield to Maturity:       N/A
         Initial Accrual Period:  N/A

Optional Extension of Maturity Date:       N/A
Final Maturity Date:                       August 24, 2001





<PAGE>   4
                                                     Filing Under Rule 424(b)(3)
                                                  Registration File No. 33-60982
                                                        Dealer:  Lehman Brothers
                                         Address:  World Financial Center NY, NY
                                            Contact:  Bill Cohen, (212) 528-8020
                                                             Cusip #:  87924FCC8
Pricing Supplement No. 52 Dated August 24, 1995
(To Prospectus dated August 7, 1995 and
 Prospectus Supplement dated August 7, 1995)

                            TCI COMMUNICATIONS, INC.

                MEDIUM TERM NOTES, SERIES B - SENIOR FIXED RATE

<TABLE>
 <S>                              <C>                     <C>                              <C>
 Trade Date:                      August 23, 1995         Initial Interest Rate:           7.39%

 Principal Amount:                20,000,000              Currency:                        U.S. Dollars

 Stated Maturity Date:            August 28, 2001         Original Issue Date:             August 28, 1995

 Issue Price:                     100.0                   Net Proceeds to Issuer:          19,890,000

 Selling Agent's Commission:      110,000.00              Min. Denomination:               1,000.00
</TABLE>


Form:            X        Book-Entry
                 -
                 _        Certified

Redemption:      X        The Notes cannot be redeemed prior to maturity
                 -
                 _        The Notes may be redeemed prior to maturity

         Initial Redemption Date:                           N/A
         Initial Redemption Price:                          N/A
         Annual Redemption Price Reduction:                 N/A

Repayment:       X        The Notes cannot be repaid prior to maturity
                 -
                 _        The Notes can be repaid prior to maturity at the 
                          option of the holder

         Repayment Price:         N/A
         Repayment Date:          N/A

Original Issue
Discount Note:   _        Yes
                 X        No
                 -

         Total Amount of OID:     N/A
         Yield to Maturity:       N/A
         Initial Accrual Period:  N/A

Optional Extension of Maturity Date:       N/A
Final Maturity Date:                       August 28, 2001





<PAGE>   5
                                                     Filing Under Rule 424(b)(3)
                                                  Registration File No. 33-60982
                                                   Dealer:  Morgan Stanley & Co.
                                   Address:  1221 Avenue of the Americas, NY, NY
                                            Contact:  Tony Thees, (212) 296-5318
                                                             Cusip #:  87924FCD6
Pricing Supplement No. 53  Dated August 24, 1995
(To Prospectus dated August 7, 1995 and
Prospectus Supplement dated August 7, 1995)

                            TCI COMMUNICATIONS, INC.

                MEDIUM TERM NOTES, SERIES B - SENIOR FIXED RATE

<TABLE>
 <S>                              <C>                     <C>                              <C>
 Trade Date:                      August 22, 1995         Initial Interest Rate:           7.38%

 Principal Amount:                5,000,000               Currency:                        U.S. Dollars

 Stated Maturity Date:            August 27, 2001         Original Issue Date:             August 25, 1995

 Issue Price:                     100.0                   Net Proceeds to Issuer:          4,972,500

 Selling Agent's Commission:      27,500.00               Min. Denomination:               1,000.00
</TABLE>


Form:            X        Book-Entry
                 -
                 _        Certified

Redemption:      X        The Notes cannot be redeemed prior to maturity
                 -
                 _        The Notes may be redeemed prior to maturity

         Initial Redemption Date:                           N/A
         Initial Redemption Price:                          N/A
         Annual Redemption Price Reduction:                 N/A

Repayment:       X        The Notes cannot be repaid prior to maturity
                 -
                 _        The Notes can be repaid prior to maturity at the 
                          option of the holder

         Repayment Price:         N/A
         Repayment Date:          N/A

Original Issue
Discount Note:   _        Yes
                 X        No
                 -

         Total Amount of OID:     N/A
         Yield to Maturity:       N/A
         Initial Accrual Period:  N/A

Optional Extension of Maturity Date:       N/A
Final Maturity Date:                       August 25, 2001





<PAGE>   6
                                                     Filing Under Rule 424(b)(3)
                                                  Registration File No. 33-60982
                                                    Dealer:  Merrill Lynch & Co.
                                        Address:  One World Trade Center, NY, NY
                                           Contact:  Bob Fleming, (212) 449-4534
                                                             Cusip #:  87924FCE4
Pricing Supplement No. 54  Dated August 24, 1995
(To Prospectus dated August 7, 1995 and
Prospectus Supplement dated August 7, 1995)

                            TCI COMMUNICATIONS, INC.

                MEDIUM TERM NOTES, SERIES B - SENIOR FIXED RATE

<TABLE>
 <S>                              <C>                     <C>                              <C>
 Trade Date:                      August 23, 1995         Initial Interest Rate:           7.38%

 Principal Amount:                32,500,000              Currency:                        U.S. Dollars

 Stated Maturity Date:            August 28, 2001         Original Issue Date:             August 28, 1995

 Issue Price:                     100.0                   Net Proceeds to Issuer:          32,321,250

 Selling Agent's Commission:      178,750.00              Min. Denomination:               1,000.00
</TABLE>


Form:            X        Book-Entry
                 -
                 _        Certified

Redemption:      X        The Notes cannot be redeemed prior to maturity
                 -
                 _        The Notes may be redeemed prior to maturity

         Initial Redemption Date:                           N/A
         Initial Redemption Price:                          N/A
         Annual Redemption Price Reduction:                 N/A

Repayment:       X        The Notes cannot be repaid prior to maturity
                 -
                 _        The Notes can be repaid prior to maturity at the 
                          option of the holder

         Repayment Price:         N/A
         Repayment Date:          N/A

Original Issue
Discount Note:   _        Yes
                 X        No
                 -

         Total Amount of OID:     N/A
         Yield to Maturity:       N/A
         Initial Accrual Period:  N/A

Optional Extension of Maturity Date:       N/A
Final Maturity Date:                       August 28, 2001







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