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PRICING SUPPLEMENT NO 2 DATED October 5, 1995 Rule 424(b)(3)
(To the Prospectus Dated April 27, 1995, and
Prospectus Supplement dated May 17, 1995) File No. 33-57357
AIR PRODUCTS AND CHEMICALS, INC.
MEDIUM-TERM NOTES, SERIES D
DUE FROM 9 MONTHS TO 20 YEARS FROM DATE OF ISSUE
FIXED-RATE NOTES
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Trade Date: October 5, 1995 Maturity Date: October 11, 2007
Original Issue Date: October 11, 1995
Interest Rate
Range of Maturities Per Annum
------------------- ------------
From 9 months to less than 1 year ........................
From 1 year to less than 18 months ....................... ----------%
From 18 months to less than 2 years ...................... ----------%
From 2 years to less than 3 years ........................ ----------%
From 3 years to less than 4 years ........................ ----------%
From 4 years to less than 5 years ........................ ----------%
From 5 years to less than 6 years ........................ ----------%
From 6 years to less than 7 years ........................ ----------%
From 7 years to less than 8 years ........................ ----------%
From 8 years to less than 9 years ........................ ----------%
From 9 years to less than 10 years ....................... ----------%
From 10 years to less than 11 years ...................... ----------%
From 11 years to less than 12 years ...................... 6.60%
----------
From 12 years to less than 13 years ...................... ----------%
From 13 years to less than 14 years ...................... ----------%
From 14 years to less than 15 years ...................... ----------%
From 15 years to less than 16 years ...................... ----------%
From 16 years to less than 17 years ...................... ----------%
From 17 years to less than 18 years ...................... ----------%
From 18 years to less than 19 years ...................... ----------%
From 19 years up to and including 20 years ............... ----------%
Principal Amount: $45,000,000.00
Face Amount: $45,000,000.00
Issue Price: 99.919
Net Proceeds to Issuer: $44,682,300.00
Specified Currency: U.S. Dollars Exchange Rate Agent: N/A
(If other than U.S. dollars, see attached)
Interest Payment Dates: Each June 15 and December 15 and at Maturity Record Dates: Each June 1 and December 1
Agent's Commission: $281,250.00 Agent: Lehman Brothers
Global Note: /X/Yes / /No Form: /X/ Book-Entry / / Certificated
Depositary: DTC
Redemption: Check box opposite applicable sentence.
/X/The Notes cannot be redeemed prior to maturity.
/ /The Notes may be redeemed prior to maturity.
Terms of Redemption:
Repayment: Check the box opposite applicable sentence.
/X/The Notes cannot be repaid prior to maturity.
/ /The Notes may be repaid prior to maturity.
Terms of Repayment:
Additional Terms: