424B2 1 PROSPECTUS PRICING SUPPLEMENT NO. 11 Filed pursuant to Rule 424(b)(2) File No. 33-54927 Pricing Supplement No. 11 dated March 30, 1995 (to Prospectus Supplement dated September 19, 1994 and Prospectus dated September 1, 1994). MATTEL, INC. ------------ Series A Medium-Term Notes Due More Than Nine Months From Date of Issue ----------------------------------------------------------------- Principal Amount: US $15,000,000 Registered Holder: Cede & Co. Taxpayer Identification No.: Book Entry xxx Certificated ___ Fixed Rate Medium-Term Note: Specified Currency: U.S. Dollars Original Issue Date: 04/04/1995 Interest Accrual Date: 04/04/1995 Interest Rate: 7.65% Original Maturity Date: 04/04/2002 Final Maturity Date: N/A Initial Redemption Date: N/A Initial Redemption Percentage: N/A Annual Redemption Percentage Reduction: N/A Optional Repayment Date(s): N/A Applicability of Modified Payment Upon Acceleration: N/A If yes, state Issue Price: Applicability of Annual Interest Payments: No Total Amount of OID: None Original Yield to Maturity: N/A Initial Accrual Redemption Date: N/A Record Date (if other than May 1 and November 1): N/A Other Terms: None Floating Medium-Term Note: N/A Specified Currency: Index Currency: Original Issue Date: Interest Accrual Date: Base Rate: Spread (Plus or Minus): Spread Multiplier: Alternate Rate Event Spread: Initial Interest Rate: Initial Interest Reset Date: Maximum Interest Rate: Minimum Interest Rate: Index Maturity: Interest Accrual Date: Interest Payment Date(s): Interest Payment Period: Interest Reset Period: Interest Reset Dates: Original Maturity Date: Final Maturity Date: Initial Redemption Date: Initial Redemption Percentage: Applicability of Modified Payment Upon Acceleration: If yes, state Issue Price: Annual Redemption Percentage Reduction: Optional Repayment Date(s): Calculation Agent: Total Amount of OID: Original Yield to Maturity: Initial Accrual Period OID: Other Terms: