-----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, hDsQ9iCZUkjo2dDWlrDy9wp26b0chPioa22r//CXHwaoRFDzVShCUWxQN+jjYNye l3BZVjZxkA7aG/dErTwWxw== 0000950103-95-000209.txt : 19950605 0000950103-95-000209.hdr.sgml : 19950605 ACCESSION NUMBER: 0000950103-95-000209 CONFORMED SUBMISSION TYPE: 424B3 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 19950602 SROS: NONE FILER: COMPANY DATA: COMPANY CONFORMED NAME: MORGAN STANLEY GROUP INC /DE/ CENTRAL INDEX KEY: 0000789625 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 132838811 STATE OF INCORPORATION: DE FISCAL YEAR END: 0131 FILING VALUES: FORM TYPE: 424B3 SEC ACT: 1933 Act SEC FILE NUMBER: 033-57833 FILM NUMBER: 95544819 BUSINESS ADDRESS: STREET 1: 1251 AVE OF THE AMERICAS CITY: NEW YORK STATE: NY ZIP: 10020 BUSINESS PHONE: 2127034000 424B3 1 PROSPECTUS Dated March 29, 1995 Pricing Supplement No. 3 to PROSPECTUS SUPPLEMENT Registration Statement No. 33-57833 Dated March 29, 1995 May 25, 1995 Rule 424(b)(3) Morgan Stanley Group Inc. GLOBAL MEDIUM-TERM NOTES, SERIES E Euro Floating Rate Senior Notes Due 1998 The Global Medium-Term Notes, Series E (Euro Floating Rate Senior Bearer Notes Due 1998) described in this Pricing Supplement (the "Notes") will mature on the Maturity Date. The Notes will not be redeemable at the option of Morgan Stanley Group Inc. prior to the Maturity Date other than under the circumstances described under "Description of Notes - Tax Redemption" in the accompanying Prospectus Supplement. The Notes will be issued only in bearer form, which form is further described under "Description of Notes - Forms, Denominations, Exchange and Transfer" in the accompanying Prospectus Supplement. Notes in bearer form will not be exchangeable at any time for Notes in registered form at the option of the holder. Interest will be calculated using an actual/360 interest factor as described in the accompanying Prospectus Supplement under "Description of Notes - Floating Rate Notes." For additional information on the Notes, see "Description of Notes - Floating Rate Notes" in the accompanying Prospectus Supplement. PRINCIPAL AMOUNT: INTEREST ACCRUAL DATE: INTEREST PAYMENT DATES: YEN 5,000,000,000 June 29, 1995 September 29, 1995, March 29, 1996, September 29, 1996, March 29, 1997, September 29, 1997, March 29, 1998 and MATURITY DATE: INITIAL INTEREST RATE: June 29, 1998 (each an "Interest Payment June 29, 1998 or if such day is not To be determined on Date") or if any such day is not a Business a Business Day the next succeeding June 27, 1995 Day the next succeeding Business Day unless Business Day unless such Business Day such Business Day falls in another calendar falls in another calendar month, in month, in which case such Interest Payment which case the Maturity Day shall be INITIAL INTEREST RESET Date shall be the first preceding day that is a the first preceding day that is a DATE: September 29, 1995 Business Day Business Day MAXIMUM INTEREST RATE: INTEREST PAYMENT PERIOD: SETTLEMENT DATE: N/A Semi-annually, except for the period June 29, 1995 commencing June 29, 1995 and ending September 29, 1995 and the period MINIMUM INTEREST RATE: commencing March 29, 1998 and ending on ISSUE PRICE: N/A June 29, 1998 (as any such Interest Payment 100.13% Date may be adjusted, as set forth above), which periods shall be quarterly INITIAL REDEMPTION DATE: SPECIFIED CURRENCY: N/A Japanese Yen INTEREST RESET PERIODS: The periods from and including September 29, INITIAL REDEMPTION PERCENTAGE: 1995 to but excluding March 29, 1996, from BASE RATE: LIBOR N/A and including March 29, 1996 to but excluding September 29, 1996, from and including September 29, 1996 to but excluding INDEX MATURITY: For initial Interest ANNUAL REDEMPTION PERCENTAGE March 29, 1997, from and including March Reset Period: 3 Months; for each subsequent REDUCTION: N/A 29, 1997 to but excluding September 29, Interest Reset Period prior to the final Interest 1997, from and including September 29, 1997 Reset Period: 6 Months; for the final Interest to but excluding March 29, 1998 and from Reset Period: 3 Months and including March 29, 1998 to but OPTIONAL REPAYMENT DATE(S): excluding the Maturity Date SPREAD (PLUS OR MINUS): N/A Plus 0.13% per annum INTEREST RESET DATES: REPORTING SERVICE: September 29, 1995, March 29, 1996, ALTERNATE RATE EVENT TELERATE PAGE 3750 September 29, 1996, March 29, 1997, SPREAD: N/A September 29, 1997, March 29, 1998 CALCULATION AGENT: SPREAD MULTIPLIER: N/A Chemical Bank INDEX CURRENCY: COMMON CODE: 005797845 Japanese Yen ISIN: XS0057978453 TOTAL AMOUNT OF OID: None OTHER PROVISIONS: Notwithstanding any other provision to the ORIGINAL YIELD TO MATURITY: contrary, interest on the Notes will continue to N/A accrue to, but will exclude, the Maturity Date, and will cease to accrue thereafter. INITIAL ACCRUAL PERIOD OID: N/A DENOMINATIONS: YEN 100,000,000
Capitalized terms not defined above have the meanings given to such terms in the accompanying Prospectus Supplement. MORGAN STANLEY & CO. International Limited
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