0000908662-95-000073.txt : 19950817 0000908662-95-000073.hdr.sgml : 19950817 ACCESSION NUMBER: 0000908662-95-000073 CONFORMED SUBMISSION TYPE: 424B3 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 19950816 SROS: NYSE FILER: COMPANY DATA: COMPANY CONFORMED NAME: FLEET FINANCIAL GROUP INC CENTRAL INDEX KEY: 0000050341 STANDARD INDUSTRIAL CLASSIFICATION: NATIONAL COMMERCIAL BANKS [6021] IRS NUMBER: 050341324 STATE OF INCORPORATION: RI FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 424B3 SEC ACT: 1933 Act SEC FILE NUMBER: 033-55555 FILM NUMBER: 95564667 BUSINESS ADDRESS: STREET 1: 50 KENNEDY PLZ CITY: PROVIDENCE STATE: RI ZIP: 02903 BUSINESS PHONE: 4012785800 MAIL ADDRESS: STREET 1: 111 WESTMINISTER STREET CITY: PROVIDENCE STATE: RI ZIP: 02903 FORMER COMPANY: FORMER CONFORMED NAME: FLEET FINANCIAL GROUP INC DATE OF NAME CHANGE: 19880110 FORMER COMPANY: FORMER CONFORMED NAME: INDUSTRIAL NATIONAL CORP DATE OF NAME CHANGE: 19820512 424B3 1 RULE 424(B)3 File No. 33-55555 PRICING SUPPLEMENT NO. 6 DATED August 14, 1995 (To Prospectus Supplement dated November 28, 1994 and Prospectus dated November 28, 1994) FLEET FINANCIAL GROUP, INC. MEDIUM-TERM NOTES DUE 9 MONTHS OR MORE FROM DATE OF ISSUE FLOATING RATE NOTE SERIES: X (H) SENIOR (I) SUBORDINATED Principal Amount: $150,000,000.00 Total Amount of OID: Yield to Maturity: Issue Price: 100.00 Initial Accrual Period OID: Initial Interest Rate: TBD Original Issue Date: 8/17/95 Maturity Date: 8/19/96 If Other than USD: Specified Currency: Interest Rate Basis: Authorized Denominations: Place of Payment: CD: CMT: Option to Receive Designated CMT Telerate Page: Payments in Specified Designated CMT Maturity Index: Currency: Yes: No: Commercial Paper: Federal Funds: Fed H.15- Redemption: Telerate Pg. 118 X LIBOR: The Notes may not be redeemed Telerate: prior to Maturity: X Reuters: The Notes may be redeemed Index Currency: prior to Maturity: Prime: Treasury: Terms of Redemption: 11th District Cost of Funds: Other: Spread (+/-): Plus 8 basis points Agent: Chase Securities, Inc. Agent's Commission: 0% Spread Multiplier: Calculation Agent: First National Bank of Chicago Maximum Interest Rate: Exchange Rate Agent: Minimum Interest Rate: Other Provisions: Initial Interest Reset Date: 8/17/95 Interest Reset Dates: Each New York Business Day Interest Payment Dates: 11/17/95, 2/20/96, 5/17/96 and maturity 8/19/96 Interest Determination Dates: One Business Day Prior to the Interest Reset Date Index Maturity: Daily Interest Payment Period: Quarterly (with a 2-business day rate cut off prior to payment date)