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Pricing Supplement No. 6                             Filing under Rule 424(b)(3)
Dated January 22, 1999                               Registration No. 33-84536
(Prospectus dated January 30, 1996 and
Prospectus Supplement dated March 20, 1997)

                                    $4,500,000
                              CAMDEN PROPERTY TRUST
                           Medium-Term Notes, Series A
                                 Fixed Rate Note



                                                                                               

Principal amount:                                   $4,500,000         Floating Rate Notes:             N/A
Interest Rate (if fixed rate):                      6.68%              Interest rate basis:             N/A
Stated Maturity:                                    January 22, 2002           Commercial Paper Rate
Specified Currency:                                 U.S. Dollar                Prime Rate
Applicable Exchange Rate (if any):                  N/A                        LIBOR
   U.S. $1.00 =                                     N/A                        Treasury Rate
Issue price (as a percentage                                                   CD Rate
   of principal amount):                            100%                       Federal Funds Rate
Selling Agent's commission (%):                     N/A                        Other:
Purchasing Agent's discount (%):                    0.35%              Index Maturity:                  N/A
Net proceeds to the Company (%):                    99.65%             Spread:                          N/A
Settlement date (original                                              Spread Multiplier:               N/A
   issue date):                                     January 22, 1999   Maximum Rate:                    N/A
Redemption Commencement                                                Minimum Rate:                    N/A
   Date (if any):                                   January 22, 1999   Initial Interest Rate:           N/A
Interest Determination Date(s):                     N/A                Interest Reset Date(s):          N/A
Calculation Date(s):                                N/A                Interest Determination Date(s):  N/A
Interest Payment Dates:                             January 15 &       Calculation Date(s):             N/A
                                                       July 15         Interest Payment Date(s):        N/A
Regular Record Dates:                               January 1 &        Regular Record Date(s):          N/A
                                                       July 1
Agents Capacity:                                    Agent



        Redemption prices (if any): means an amount equal to the sum of (i) 100%
of the unpaid  principal  amount to be  redeemed,  (ii) a Make Whole  Amount (as
further described in the Prospectus  Supplement),  and (iii) accrued interest to
the date of redemption.

        Additional terms:

        As of the date of this Pricing Supplement,  the aggregate initial public
offering price (or its equivalent in other  currencies) of the Notes (as defined
in the Prospectus Supplement) which have been sold (including the Notes to which
this Pricing  Supplement  relates) is $4.500,000 "N/A" as used herein means "Not
Applicable." "A/S" as used herein means "As stated in the Prospectus  Supplement
referred to above."

                                                             Merrill Lynch