Filed Pursuant to Rule 424(b)(3) and (c) Registration File No.: 333-06793 - ------------------------------------------------------------------------------- PROSPECTUS SUPPLEMENT NO. 3 dated November 7, 1996 (To Prospectus dated July 18, 1996) - ------------------------------------------------------------------------------- SFX BROADCASTING, INC. This Prospectus Supplement supplements the Prospectus dated July 18, 1996 (the "Prospectus") by SFX Broadcasting, Inc. ("SFX") relating to the resale by certain securityholders of SFX of certain shares of Series D Cumulative Convertible Exchangeable Preferred Stock (the "Series D Preferred Stock") of SFX, upon the terms and subject to the conditions set forth in the Prospectus. This Prospectus Supplement should be read in conjunction with the Prospectus, and this Prospectus Supplement is qualified by reference to the Prospectus except to the extent that the information herein contained supersedes the information contained in the Prospectus. The date of this Prospectus Supplement is November 7, 1996 This Prospectus Supplement No. 3 dated November 7, 1996, hereby further amends the Prospectus dated July 18, 1996, Prospectus Supplement No. 1 dated October 1, 1996, and Prospectus No. 2 dated October 18, 1996 as follows: The section of the Prospectus entitled "Selling Securityholders" is hereby amended by adding the following table: BENEFICIAL OWNERSHIP BENEFICIAL OWNERSHIP ON THE DATE HEREOF AFTER SALE* ------------------ ---------- NUMBER OF NUMBER OF PERCENT OF SHARES TO NUMBER OF PERCENT OF NAME SHARES CLASS BE OFFERED SHARES CLASS ---- ------ ----- ---------- ------ ----- Baker Nye Securities, L.P. 5,000 ** 5,000 0 ** Bond Fund Series 30,000 1.0 30,000 0 ** Oppenheimer Bond Fund for Growth Phoenix Income & Growth 25,000 ** 25,000 0 ** Millennium Trading Co., L.P. 5,000 ** 5,000 0 ** Oppenheimer Variable 5,000 ** 5,000 0 ** Account Funds for the account of Oppenheimer Growth & Income Fund Oppenheimer Main Street 105,000 3.5 105,000 0 ** Funds, Inc. for the account of Oppenheimer Main Street Income & Growth Fund Forest Fulcrum, Ltd. 72,500 2.4 72,500 0 ** Forest Fulcrum Fund, L.P. 152,500 5.1 152,500 0 ** Q Investments, L.P. 18,750 ** 18,750 0 ** Highbridge Capital Corp. 6,250 ** 6,250 0 ** BENEFICIAL OWNERSHIP BENEFICIAL OWNERSHIP ON THE DATE HEREOF AFTER SALE* ------------------ ---------- NUMBER OF NUMBER OF PERCENT OF SHARES TO NUMBER OF PERCENT OF NAME SHARES CLASS BE OFFERED SHARES CLASS ---- ------ ----- ---------- ------ ----- Solomon Brothers U.S. 4,500 ** 4,500 0 ** Hybrid Equity Fund c/o Solomon Brothers Asset Management Bank of America 4,700 ** 4,700 0 ** Convertible Securities Fund Bank of America Illinois 2,200 ** 2,200 0 ** Employee Benefit Convertible Securities Fund Pacific Horizon Capital 52,000 1.7 52,000 0 ** Income Fund Northstar Income and 95,000 3.1 95,000 0 ** Growth Fund Northstar Income and 5,000 ** 5,000 0 ** Growth Fund-Variable Annuity Allstate Insurance Company 55,000 1.8 55,000 0 ** TCW Convertible Value 26,200 ** 26,200 0 ** Fund General Motors Salaried 63,500 2.1 63,500 0 ** Employees Convertible Fund State of Michigan 16,900 ** 16,900 0 ** Employees Retirement Fund TCW Convertible Securities 39,200 1.3 39,200 0 ** Fund BENEFICIAL OWNERSHIP BENEFICIAL OWNERSHIP ON THE DATE HEREOF AFTER SALE* ------------------ ---------- NUMBER OF NUMBER OF PERCENT OF SHARES TO NUMBER OF PERCENT OF NAME SHARES CLASS BE OFFERED SHARES CLASS ---- ------ ----- ---------- ------ ----- Cincinnati Bell Telephone 7,400 ** 7,400 0 ** Convertible Value Fund Massachusetts Mutual Life 6,900 ** 6,900 0 ** Insurance Company c/o The TCW Group, Inc. TCW/DW Income & Growth 4,400 ** 4,400 0 ** Fund Medical Malpractice 1,500 ** 1,500 0 ** Insurance Association TCW Convertible Strategy 12,700 ** 12,700 0 ** Fund OCM Convertible Trust c/o 55,400 1.85 55,400 0 ** Oaktree Capital Management, LLC OCM Convertible Limited 3,500 ** 3,500 0 ** Partnership c/o Oaktree Capital Management, LLC Delta Air Lines Master Trust 39,500 1.3 39,500 0 ** c/o Oaktree Capital Management, LLC State Employees' Retirement 14,100 ** 14,100 0 ** Fund of the State of Delaware c/o Oaktree Capital Management, LLC State of Connecticut 4,900 ** 4,900 0 ** Combined Investment Fund c/o Oaktree Capital Management, LLC BENEFICIAL OWNERSHIP BENEFICIAL OWNERSHIP ON THE DATE HEREOF AFTER SALE* ------------------ ---------- NUMBER OF NUMBER OF PERCENT OF SHARES TO NUMBER OF PERCENT OF NAME SHARES CLASS BE OFFERED SHARES CLASS ---- ------ ----- ---------- ------ ----- State of Connecticut 42,600 1.4 42,600 0 ** Combined Investment Fund c/o Oaktree Capital Management, LLC Massachusetts Mutual Life 70,000 2.3 70,000 0 ** Insurance Company c/o MassMutual MassMutual Corporate 15,000 ** 15,000 0 ** Investors MassMutual Participation 7,000 ** 7,000 0 ** Investors San Diego City Retirement 13,520 ** 13,520 0 ** Occidental College 4,050 ** 4,050 0 ** San Diego County 47,710 1.59 47,710 0 ** Convertible Boston Museum of Fine Arts 1,430 ** 1,430 0 ** Engineers Joint Pension 6,590 ** 6,590 0 ** Fund Wake Forest University 10,560 ** 10,560 0 ** Nicholas-Applegate Income 40,080 1.3 40,080 0 ** & Growth Fund Presbyterian Healthcare 8,070 ** 8,070 0 ** Austin Firefighters 4,820 ** 4,820 0 ** BENEFICIAL OWNERSHIP BENEFICIAL OWNERSHIP ON THE DATE HEREOF AFTER SALE* ------------------ ---------- NUMBER OF NUMBER OF PERCENT OF SHARES TO NUMBER OF PERCENT OF NAME SHARES CLASS BE OFFERED SHARES CLASS ---- ------ ----- ---------- ------ ----- Baptist Hospital of Miami 4,170 ** 4,170 0 ** Putnam Convertible Income- 82,720 2.76 82,720 0 ** Growth Fund Putnam Balanced Retirement 2,500 ** 2,500 0 ** Fund The Putnam Advisory 1,900 ** 1,900 0 ** Company, Inc. on behalf of Museum of Fine Art, Boston The Putnam Advisory 4,200 ** 4,200 0 ** Company, Inc. on behalf of Boston College Endowment The Putnam Advisory 9,500 ** 9,500 0 ** Company, Inc. on behalf of Promutual The Putnam Convertible 9,800 ** 9,800 0 ** Opportunities & Income Trust The Putnam Advisory 11,280 ** 11,280 0 ** Company, Inc. on behalf of New Hampshire State Retirement System Pacific Mutual Life 20,000 ** 20,000 0 ** Insurance Company Van Kampen American 50,500 1.69 50,500 0 ** Capital Harbor Fund Van Kampen American 9,500 ** 9,500 0 ** Capital Convertible Securitries, Inc. - ----------- * Assumes the sale of all shares of the Series D Preferred Stock being offered by the Registration Statement of which this Prospectus is a part. ** Less than 1%. The Series D Preferred Stock is exchangeable for Exchange Notes and convertible into SFX Class A Common Stock as described in the Prospectus. The foregoing chart assumes no such conversion or exchange. No other change or amendment is made hereby.