FILE NO. 333-13649 RULE 424(B)(3) PROSPECTUS SUPPLEMENT (TO PROSPECTUS DATED JANUARY 6, 1997) (TO PROSPECTUS SUPPLEMENT DATED JANUARY 6, 1997) PROSPECTUS NUMBER: 1465 DATED: FEBRUARY 25, 1997 MERRILL LYNCH & CO., INC. MEDIUM-TERM NOTES, SERIES B DUE NINE MONTHS OR MORE FROM DATE OF ISSUE FLOATING RATE NOTES
BASE RATE: Fed Funds (Same Day Opening) INDEX MATURITY: One Day TRADE DATE: February 25, 1997 SETTLEMENT DATE: February 28, 1997 MATURITY DATE: February 28, 2000 REDEMPTION DATE: N/A OPTIONAL REPAYMENT DATES: N/A SPREAD: 0.270% (Plus twenty seven bps) SPREAD MULTIPLIER: N/A MAXIMUM INTEREST RATE: N/A MINIMUM INTEREST RATE: N/A INTEREST RESET DATES: Daily, based on same day Fed Funds-Open from page 5 Telerate. If Fed- Funds-Open rate is not available on Telerate page 5, then see Telerate page 4833 - Fed Funds-Open. If such rate is not available on Telerate page 4833, then see Telerate page 314 - Fed Funds-Open. If such rate is not available on Telerate page 314, then Fed Funds rate will be calculated by the Calculation Agent. INTEREST PAYMENT DATES: The twenty-eighth day of February, May, August, and November, commencing May 28, 1997, through the Maturity Date; subject to following business day convention. INITIAL INTEREST RATE: TBD FORM: Book-entry