1

PRICING SUPPLEMENT NUMBER:  14                    File No: 33-59215
(To Prospectus Supplement Dated August 10, 1995   Rule:424(b)(2)
and Prospectus Dated June 1, 1995)     
         
                                  MEDITRUST
                          (SEC Rule 434 Term Sheet)
                                $200,000,000
                              MEDIUM-TERM NOTES
                        DUE FROM 9 MONTHS TO 30 YEARS
                             FROM DATE OF ISSUE
 
- ---------------------------------------------------------------------------------------------------
                                                                         
Principal Amount......................................         $20,000,000
Issue Price (As Percentage of Principal Amount):......         $20,000,000    (100%)
Net Proceeds (As Percentage of Principal Amount):.....         $19,875,000    (99.375%)
Original Issue Discount Note:  Y/N....................         N


                                                                                        
Trade Date:                        January 10, 1996             Interest Rate:  7.3% 
Interest Payment Period:           Semi-annual                  Redemption Date(s):
                                                                Any time prior to maturity
                                                                With Make Whole Amount
Interest Payment Date(s):          March 1 and September 1          
Maturity Date:                     January 16, 2006             Terms of Amortizing 
                                                                 Notes:                          NA
Settlement Date:                   January 16, 1996             Extendable:                      NA
Repayment Date(s):                 NA                           Renewable:                       NA
Repayment Price(s):                NA                           Renewable Notice
                                                                 Period:                         NA
Total Amount of OID:               NA                           Final Maturity Date:             NA
Yield to Maturity:                 NA                           Other Provisions:                NA
Initial Accrual Period OID:        NA                   
         
Selling Agent(s):                  Goldman Sachs & Co.
         
Agent's Commission (As a Percentage of Principal Amount):       $125,000 (.625%)
         

As of the date of this Prospectus Supplement, the aggregate initial public 
offering price of the Debt Securities (as defined in the Prospectus) which 
have been sold (including the Notes to which this Supplement relates) is 
$118,500,000.
         
THESE SECURITIES HAVE NOT BEEN APPROVED OR DISAPPROVED BY THE SECURITIES AND 
EXCHANGE COMMISSION OR ANY STATE SECURITIES COMMISSION NOR HAS THE SECURITIES 
AND EXCHANGE COMMISSION OR ANY STATE SECURITIES COMMISSION PASSED UPON THE 
ACCURACY OR ADEQUACY OF THIS PROSPECTUS SUPPLEMENT OR THE PROSPECTUS TO WHICH 
IT RELATES.  ANY REPRESENTATION TO THE CONTRARY IS A CRIMINAL OFFENSE.

THE ATTORNEY GENERAL OF THE STATE OF NEW YORK HAS NOT PASSED ON OR ENDORSED 
THE MERITS OF THIS OFFERING, ANY REPRESENTATION TO THE CONTRARY IS UNLAWFUL.
         
          The date of this Prospectus Supplement is January 10, 1996