Rule 424(b)(2) Registration No. 33-48841 & 33-41236 PRICING SUPPLEMENT NO. 1 DATED MAY 13, 1998 (To Prospectus Dated April 22, 1998, as supplemented by Prospectus Supplement Dated April 22, 1998) CSX CORPORATION Medium-Term Notes, Series B Principal Amount: $10,000,000 Redemption Terms (at option of CSX) ----------- [X] Not redeemable prior to Stated Maturity Issue Price (Dollar Amount and [ ] Redeemable in accordance with the Percentage of Principal Amount): following terms: $10,000,000; 100% - ----------------- Repayment Terms (at option of the Holder): Settlement Date (Issue Date): [X] Not repayable prior to Stated 5/18/98 Maturity - ------- [ ] Repayable in accordance with the following terms: Stated Maturity: 5/19/08 ------- Sinking Fund Provisions: [X} None Type of Note: [ ] Applicable in accordance with the [X} Fixed Rate Note following terms [ ] Floating Rate Note [ ] Inverse Floating Rate Note Specified Currency (U.S. dollars, unless [ ] Zero Coupon Note otherwise indicated): [ ] Foreign Currency Note ------------------- [ ] Indexed Note Agent: Merrill Lynch Form: ------------- [X] Book Entry [ ] Definitive Agent acting in capacity indicated below: CUSIP No: 12641 L BM 4 [X] As Agent ------------ [ ] As Principal Interest Rate: 6.59% Agent's Commission: .625% ----- ----- Interest Payment Dates: March 1 Net Proceeds to CSX: 9,937,500 and September 1, commencing --------- 9/1/98 Other: - ------ Rule 424(b)(2) Registration No. 33-48841 & 33-41236 PRICING SUPPLEMENT NO. 2 DATED MAY 13, 1998 (To Prospectus Dated April 22, 1998, as supplemented by Prospectus Supplement Dated April 22, 1998) CSX CORPORATION Medium-Term Notes, Series B Principal Amount: $10,000,000 Redemption Terms (at option of CSX) ----------- [X] Not redeemable prior to Stated Maturity Issue Price (Dollar Amount and [ ] Redeemable in accordance with the Percentage of Principal Amount): following terms: $10,000,000; 100% - ----------------- Repayment Terms (at option of the Holder): Settlement Date (Issue Date): [X] Not repayable prior to Stated 5/18/98 Maturity - ------- [ ] Repayable in accordance with the following terms: Stated Maturity: 5/19/08 ------- Sinking Fund Provisions: [X} None Type of Note: [ ] Applicable in accordance with the [X} Fixed Rate Note following terms [ ] Floating Rate Note [ ] Inverse Floating Rate Note Specified Currency (U.S. dollars, unless [ ] Zero Coupon Note otherwise indicated): [ ] Foreign Currency Note ------------------- [ ] Indexed Note Agent: Lehman Brothers Inc. Form: ------------------- [X] Book Entry [ ] Definitive Agent acting in capacity indicated below: CUSIP No: 12641 L BM 4 [X] As Agent ------------ [ ] As Principal Interest Rate: 6.59% Agent's Commission: .625% ----- ----- Interest Payment Dates: March 1 Net Proceeds to CSX: 9,937,500 and September 1, commencing --------- 9/1/98 Other: - ------ Rule 424(b)(2) Registration No. 33-48841 & 33-41236 PRICING SUPPLEMENT NO. 3 DATED MAY 13, 1998 (To Prospectus Dated April 22, 1998, as supplemented by Prospectus Supplement Dated April 22, 1998) CSX CORPORATION Medium-Term Notes, Series B Principal Amount: $10,000,000 Redemption Terms (at option of CSX) ----------- [X] Not redeemable prior to Stated Maturity Issue Price (Dollar Amount and [ ] Redeemable in accordance with the Percentage of Principal Amount): following terms: $10,000,000; 100% - ----------------- Repayment Terms (at option of the Holder): Settlement Date (Issue Date): [X] Not repayable prior to Stated 5/18/98 Maturity - ------- [ ] Repayable in accordance with the following terms: Stated Maturity: 5/19/08 ------- Sinking Fund Provisions: [X} None Type of Note: [ ] Applicable in accordance with the [X} Fixed Rate Note following terms [ ] Floating Rate Note [ ] Inverse Floating Rate Note Specified Currency (U.S. dollars, unless [ ] Zero Coupon Note otherwise indicated): [ ] Foreign Currency Note ------------------- [ ] Indexed Note Agent: Chase Securities Inc. Form: --------------------- [X] Book Entry [ ] Definitive Agent acting in capacity indicated below: CUSIP No: 12641 L BM 4 [X] As Agent ------------ [ ] As Principal Interest Rate: 6.59% Agent's Commission: .625% ----- ----- Interest Payment Dates: March 1 Net Proceeds to CSX: 9,937,500 and September 1, commencing --------- 9/1/98 Other: - ------ Rule 424(b)(2) Registration No. 33-48841 & 33-41236 PRICING SUPPLEMENT NO. 4 DATED MAY 13, 1998 (To Prospectus Dated April 22, 1998, as supplemented by Prospectus Supplement Dated April 22, 1998) CSX CORPORATION Medium-Term Notes, Series B Principal Amount: $10,000,000 Redemption Terms (at option of CSX) ----------- [X] Not redeemable prior to Stated Maturity Issue Price (Dollar Amount and [ ] Redeemable in accordance with the Percentage of Principal Amount): following terms: $10,000,000; 100% - ----------------- Repayment Terms (at option of the Holder): Settlement Date (Issue Date): [X] Not repayable prior to Stated 5/18/98 Maturity - ------- [ ] Repayable in accordance with the following terms: Stated Maturity: 5/19/08 ------- Sinking Fund Provisions: [X} None Type of Note: [ ] Applicable in accordance with the [X} Fixed Rate Note following terms [ ] Floating Rate Note [ ] Inverse Floating Rate Note Specified Currency (U.S. dollars, unless [ ] Zero Coupon Note otherwise indicated): [ ] Foreign Currency Note ------------------- [ ] Indexed Note Agent: BancAmerica Robertson Stephens Form: ------------------------------ [X] Book Entry [ ] Definitive Agent acting in capacity indicated below: CUSIP No: 12641 L BM 4 [X] As Agent ------------ [ ] As Principal Interest Rate: 6.59% Agent's Commission: .625% ----- ----- Interest Payment Dates: March 1 Net Proceeds to CSX: 9,937,500 and September 1, commencing --------- 9/1/98 Other: - ------ Rule 424(b)(2) Registration No. 33-48841 & 33-41236 PRICING SUPPLEMENT NO. 5 DATED MAY 13, 1998 (To Prospectus Dated April 22, 1998, as supplemented by Prospectus Supplement Dated April 22, 1998) CSX CORPORATION Medium-Term Notes, Series B Principal Amount: $10,000,000 Redemption Terms (at option of CSX) ----------- [X] Not redeemable prior to Stated Maturity Issue Price (Dollar Amount and [ ] Redeemable in accordance with the Percentage of Principal Amount): following terms: $10,000,000; 100% - ----------------- Repayment Terms (at option of the Holder): Settlement Date (Issue Date): [X] Not repayable prior to Stated 5/18/98 Maturity - ------- [ ] Repayable in accordance with the following terms: Stated Maturity: 5/19/08 ------- Sinking Fund Provisions: [X} None Type of Note: [ ] Applicable in accordance with the [X} Fixed Rate Note following terms [ ] Floating Rate Note [ ] Inverse Floating Rate Note Specified Currency (U.S. dollars, unless [ ] Zero Coupon Note otherwise indicated): [ ] Foreign Currency Note ------------------- [ ] Indexed Note Agent: Salomon Brothers Form: ---------------- [X] Book Entry [ ] Definitive Agent acting in capacity indicated below: CUSIP No: 12641 L BM 4 [X] As Agent ------------ [ ] As Principal Interest Rate: 6.59% Agent's Commission: .625% ----- ----- Interest Payment Dates: March 1 Net Proceeds to CSX: 9,937,500 and September 1, commencing --------- 9/1/98 Other: - ------