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Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
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MIC-Info: RSA-MD5,RSA,
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 LPDhXozCIqr+q6eVdW7vTw==

<SEC-DOCUMENT>/in/edgar/work/20000606/0000950152-00-004570/0000950152-00-004570.txt : 20000919
<SEC-HEADER>0000950152-00-004570.hdr.sgml : 20000919
ACCESSION NUMBER:		0000950152-00-004570
CONFORMED SUBMISSION TYPE:	424B2
PUBLIC DOCUMENT COUNT:		1
FILED AS OF DATE:		20000606

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			KEYCORP /NEW/
		CENTRAL INDEX KEY:			0000091576
		STANDARD INDUSTRIAL CLASSIFICATION:	 [6021
]		IRS NUMBER:				346542451
		STATE OF INCORPORATION:			OH
		FISCAL YEAR END:			1231
</COMPANY-DATA>

		FILING VALUES:
			FORM TYPE:		424B2
			SEC ACT:		
			SEC FILE NUMBER:	333-10577
			FILM NUMBER:		649979
</FILING-VALUES>

			BUSINESS ADDRESS:	
				STREET 1:		127 PUBLIC SQ
				CITY:			CLEVELAND
				STATE:			OH
				ZIP:			44114-1306
				BUSINESS PHONE:		2166896300
</BUSINESS-ADDRESS>

				MAIL ADDRESS:	
					STREET 1:		127 PUBLIC SQ
					CITY:			CLEVELAND
					STATE:			OH
					ZIP:			44114-1306
</MAIL-ADDRESS>

					FORMER COMPANY:	
						FORMER CONFORMED NAME:	SOCIETY CORP
						DATE OF NAME CHANGE:	19920703
</FORMER-COMPANY>
</FILER>
</SEC-HEADER>
<DOCUMENT>
<TYPE>424B2
<SEQUENCE>1
<FILENAME>0001.txt
<DESCRIPTION>KEYCORP    424B2
<TEXT>

<PAGE>   1
<TABLE>
<S>                                                              <C>


PRICING SUPPLEMENT NO. 7, DATED:  June 5, 2000                                                         RULE 424(b)(2)
to Prospectus Supplement Dated September 13, 1996                                REGISTRATION STATEMENT NO. 333-10577
to Prospectus Dated September 13, 1996



                                    KEYCORP

                                  $100,000,000

                   [X]  SENIOR MEDIUM-TERM NOTES, SERIES D
                   [ ]  SUBORDINATED MEDIUM-TERM NOTES, SERIES C


              [X]  Floating Rate Notes       [ ]       % Fixed Rate Notes
              [X]  Book-Entry Notes          [ ]  Certificated Notes


               Original Issue Date:  June 8, 2000
               Maturity Date:  December 10, 2001
               Issue Price:  100%
               Paying Agent:  Bankers Trust Company
               Authenticating Agent:  Bankers Trust Company


Option to Elect Redemption:      [ ]  Yes   [X]  No      Option to Extend Maturity:                      [ ]   Yes       [X]  No
- --------------------------                              -------------------------

Redemption Date(s):                                     Extended Maturity Dates:
Initial Redemption Percentage:                          Notice of Extension Date(s):
Annual Redemption Percentage Reduction:

Option to Elect Repayment:       [ ]   Yes  [X]  No      Specified Currency (not U.S. Dollars):          [ ]  Yes         [X] No
- -------------------------                               -------------------------------------

Repayment Date(s):                                      Authorized Denominations:
Repayment Price(s):                                     Exchange Rate Agency:

Repurchase Price (if any):                             Optional Interest Rate Reset:                     [ ]   Yes       [X]  No
Amortization Schedule (if any):                        Optional Interest Rate Reset Dates:               [ ]   Yes       [X]  No
Sinking Fund Defeasance:         [ ]  Yes   [X]  No    Optional Extension of Maturity:                   [ ]   Yes       [X]  No
                                                       Length of Extension Period:                       [ ]   Yes       [X]  No

Minimum Denominations: [X]  $100,000   [ ]  $1,000    [ ]  Other:


                             FIXED RATE NOTES ONLY
                             ---------------------


Interest Computation Period:

Interest Payment Dates:

Regular Record Dates if other than May 16 and November 16:

</TABLE>
<PAGE>   2

<TABLE>
<CAPTION>

                            FLOATING RATE NOTES ONLY

                                   Base Rate:


<S>                 <C>                      <C>          <C>
                     [ ]  CD Rate                         [ ]  Treasury Rate
                     [ ]  Commercial Paper Rate           [ ]  CMT Rate
                     [ ]  Federal Funds Rate              [ ]  COFI Rate
                     [X]  LIBOR                           [ ]  Other (specify):
                     [ ]  Prime Rate


Initial Interest Rate:  3-month LIBOR effective on               Total Amount of OID:  n/a
 June 6, 2000 plus .08% (6.87%)

                                                                 Yield to Maturity:  n/a

Index Maturity: 3-month LIBOR                                    Initial Accrual Period OID
                                                                  and Designated Method:  n/a

                                                                 Interest Determination Date:
                                                                  Two London business days prior to
                                                                  each Interest Reset Date

Spread (Plus or minus):  plus .08%                               Interest Reset Period: Quarterly

                                                                 Interest Reset Dates: Quarterly on
                                                                   the 8th day of March, June, September
                                                                   and December, commencing on September 8, 2000

Maximum Interest Rate: n/a                                       Interest Payment Dates:  Quarterly on the
                                                                   8th day of March, March, June, September and
                                                                   December, commencing on September 8, 2000
Calculation Date: n/a

Minimum Interest Rate: n/a                                       Spread Multiplier:  n/a

                                                                 Telerate Page:  3750

Calculation Agent: KeyBank National Association                  Other Terms (if any):  n/a

AGENT:  [ ]   Salomon Smith Barney Inc.                          Agent's Discount or Commission: -0-
- -----   [ ]   Chase Securities Inc.                              Trade Date: June 5, 2000
        [ ]   Citicorp Securities, Inc.                          Proceeds to KeyCorp:  $100,000,000
        [ ]   Credit Suisse First Boston Corporation
        [ ]   Goldman, Sachs & Co.
        [ ]   J.P. Morgan Securities Inc.
        [X]   Other: Banc of America Securities LLC
                     ------------------------------

[ ]   Acting as Agent        [ ] Agent is acting as Agent for the sale of Notes by KeyCorp at a price of      %
                                 of the principal amount

[X]  Acting as Principal     [X]  Agent is purchasing Notes from KeyCorp as Principal for resale to
                                  investors and other purchasers at:
                                  [ ] a fixed public offering price of      % of the Principal amount
                                      [X] varying prices related to prevailing market prices at the time of resale
                                          to be determined by such  Agent

</TABLE>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
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