1、 Filed Pursuant to Rule 424(b) (3) Registration No. 33-63895 PRICING SUPPLEMENT NO. 1, dated April 28, 1997 (To Prospectus dated November 20, 1995 and Prospectus Supplement dated February 21, 1997) $125,000,000 SOUTHWESTERN ENERGY COMPANY MEDIUM-TERM NOTES Due More Than Nine Months From Date of Issu
2、e 7.625% Fixed Rate Notes due May 1, 2027 FACE AMOUNT: $60,000,000.00 ISSUE PRICE: 99.574% of the Face Amount ORIGINAL ISSUE DATE: May 1, 1997 MATURITY DATE: May 1, 2027 INTEREST RATE: 7.625%, per annum, computed on the basis of a 360-day year of twelve 30- day months and payable semiannually INTERE
3、ST PAYMENT DATES: May 1 and November 1, commencing November 1, 1997 FORM: X Book Entry Certificated - - REPAYMENT: ( ) The Offered Notes are not repayable at the noteholders option prior to maturity. ( X ) The Offered Notes may be repaid prior to maturity at the noteholders option. Optional Repayment Date: May 1, 2009 2003. EDGAR Online, Inc.