-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: keymaster@town.hall.org Originator-Key-Asymmetric: MFkwCgYEVQgBAQICAgADSwAwSAJBALeWW4xDV4i7+b6+UyPn5RtObb1cJ7VkACDq pKb9/DClgTKIm08lCfoilvi9Wl4SODbR1+1waHhiGmeZO8OdgLUCAwEAAQ== MIC-Info: RSA-MD5,RSA, dtW0iOCb2JQl4NQQu4jv31my26/9bCnZI08j0eonA9lN15obgrSABqPzohXUd2/K 4YpVujDW5CLoNgbO0W3Ppw== 0000726513-95-000011.txt : 199507180000726513-95-000011.hdr.sgml : 19950718 ACCESSION NUMBER: 0000726513-95-000011 CONFORMED SUBMISSION TYPE: 424B2 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 19950717 SROS: CSX SROS: NYSE SROS: PSE FILER: COMPANY DATA: COMPANY CONFORMED NAME: TRIBUNE CO CENTRAL INDEX KEY: 0000726513 STANDARD INDUSTRIAL CLASSIFICATION: NEWSPAPERS: PUBLISHING OR PUBLISHING & PRINTING [2711] IRS NUMBER: 361880355 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 424B2 SEC ACT: 1933 Act SEC FILE NUMBER: 033-45793 FILM NUMBER: 95554309 BUSINESS ADDRESS: STREET 1: 435 N MICHIGAN AVE CITY: CHICAGO STATE: IL ZIP: 60611 BUSINESS PHONE: 3122229100 424B2 1 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 44 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,000,000 ORIGINAL ISSUE DATE: June 2, 1995 MATURITY DATE: June 3, 2002 INTEREST RATE: 6.65% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Goldman, Sachs & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DCG/jo 1 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 45 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,000,000 ORIGINAL ISSUE DATE: June 2, 1995 MATURITY DATE: June 3, 2002 INTEREST RATE: 6.65% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Salomon Brothers Inc. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DCG/jo 2 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 46 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,000,000 ORIGINAL ISSUE DATE: June 2, 1995 MATURITY DATE: June 3, 2002 INTEREST RATE: 6.65% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Merrill Lynch & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 3 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 47 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,000,000 ORIGINAL ISSUE DATE: June 6, 1995 MATURITY DATE: June 6, 2005 INTEREST RATE: 6.75% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Goldman, Sachs & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 4 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 48 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,000,000 ORIGINAL ISSUE DATE: June 6, 1995 MATURITY DATE: June 6, 2005 INTEREST RATE: 6.75% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Salomon Brothers Inc. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 5 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 49 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,500,000 ORIGINAL ISSUE DATE: June 6, 1995 MATURITY DATE: June 6, 2005 INTEREST RATE: 6.75% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Merrill Lynch & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 6 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 50 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $5,000,000 ORIGINAL ISSUE DATE: June 8, 1995 MATURITY DATE: June 8, 2005 INTEREST RATE: 6.70% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Goldman, Sachs & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 7 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 51 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $10,000,000 ORIGINAL ISSUE DATE: June 8, 1995 MATURITY DATE: June 8, 2005 INTEREST RATE: 6.68% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Goldman, Sachs & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 8 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 52 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $5,000,000 ORIGINAL ISSUE DATE: June 8, 1995 MATURITY DATE: June 8, 2005 INTEREST RATE: 6.63% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Salomon Brothers Inc. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 9 Filing Under Rule 424(b)(2) Registration File No. 33-45793 Pricing Supplement No. 53 Dated: July 12, 1995 This pricing supplement is revised from that issued on June 2, 1995. Prospectus Supplement date has been corrected to October 25, 1993 from July 13, 1992. (To Prospectus dated July 13, 1992 and Prospectus Supplement dated October 25, 1993) TRIBUNE COMPANY $300,000,000 MEDIUM-TERM NOTES, SERIES C Due from Nine Months or More from Date of Issue PRINCIPAL AMOUNT: $9,500,000 ORIGINAL ISSUE DATE: June 9, 1995 MATURITY DATE: June 9, 2000 INTEREST RATE: 6.00% INTEREST PAYMENT DATES: May 15 & November 15 ABILITY TO REDEEM AT TRIBUNE COMPANY: None ABILITY TO REDEEM AT HOLDER OPTION: None DENOMINATED CURRENCY: U.S. Dollars ADDITIONAL TERMS: None The Agent: Merrill Lynch & Co. may sell Notes to any broker/dealer at a discount and such discount allowed to any broker/dealer will not be in excess of 66-2/3% of the discount to be received by the Agent from the Company. DJG/jo 10 -----END PRIVACY-ENHANCED MESSAGE-----