File No. 33-38879 Rule 424(b)(3) PROSPECTUS SUPPLEMENT (To Prospectus dated August 27, 1993) No.: 1116 Dated: 02/01/94 MERRILL LYNCH & CO., INC. Medium-Term Notes Base Rate: ___Commercial Paper Index Rate _X_Federal Funds Rate ___LIBOR ___Treasury Index Rate ___Prime Rate ___Fixed Rate Maturity Date: 02/08/95 Redemption Date: N/A Optional Repayment Dates: N/A Spread: +0.20% (plus twenty basis points) Spread Multiplier: N/A Maximum Interest Rate: N/A Minimum Interest Rate: N/A Interest Reset Dates: Daily, using the H.15 Fed Funds rate corresponding to the immediately preceding Business Day. Interest Payment Dates: 5/9/94, 8/8/94, 11/8/94, & 2/8/94. Initial Interest Rate: To be determined 2/8/94. Index Maturity: N/A Form: Book-entry