Rule 424(b)(5)
Registration No. 333-58606
PRICING SUPPLEMENT NO. 6 Dated September 5, 2002 To Prospectus Dated April 20, 2001 (the “Prospectus”) WASHINGTON GAS LIGHT COMPANY MEDIUM-TERM NOTES, SERIES F DUE ONE YEAR OR MORE FROM DATE OF ISSUE |
Principal Amount: $30,000,000
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[X] Fixed Rate Note | | [ ] Floating Rate Note |
[X] Book Entry Note | | [ ] Certificated Note |
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Issue Price (as a percentage of principal amount): | | 100% |
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Original Issue Date: | | September 10, 2002 |
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Maturity Date: | | September 10, 2014 |
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Redemption:
[X] Optional Redemption:
Type: | | [X] Make-whole redemption |
| | Make-Whole Premium: 0.20% |
| | [ ] Other Redemption |
| | Initial Redemption Price: ______ |
| | Initial Redemption Date: ______ |
| | Percentage amount by which Initial Redemption Price |
| | decreases each year: ______ |
[ ] Other Redemption
|
Type: ______________________________ |
Redemption price: ____________ |
Redemption dates: Each payment date beginning ____________ |
Applicable Only to Fixed Rate Notes:
Interest Rate: 5.17%
Interest Payment Dates: March 15 and September 15
Applicable Only to Floating Rate Notes:
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Base Rate: | | Maximum Interest Rate: | | ______ |
[ ] Commercial Paper Rate | | Minimum Interest Rate: | | ______ |
[ ] Prime Rate | | Interest Reset Dates: | | ______ |
[ ] CD Rate | | Interest Reset Period: | | ______ |
[ ] Federal Funds Effective Rate | | Interest Payment Dates: | | ______ |
[ ] LIBOR | | Interest Payment Period: | | ______ |
[ ] Treasury Rate | | Interest Determination Dates: | | ______ |
[ ] Other Rate | | | | |
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Initial Interest Rate: | | ______ |
Index Maturity: | | ______ |
Spread (plus or minus): | | ______ |
Spread Multiplier: | | ______ |
This Pricing Supplement relates to the original issuance and sale by Washington Gas Light Company of the Medium-Term Notes, Series F, described herein through Merrill Lynch, Pierce, Fenner & Smith Incorporated, as Agent.