Registration No. 33-51451
Rule 424 (b)(2)
PRICING SUPPLEMENT No. 11 Dated February 1, 1994 (To Prospectus
dated December 30, 1993)
$2,000,000,000
H O U S E H O L D F I N A N C E C O R P O R A T I O N
Medium Term Notes
Due from 9 months to 15 years from Date of Issue
______________________________
Principal Amount: $50,000,000
Stated Maturity: February 8, 1995
Maximum Rate: Not Applicable Minimum Rate: Not Applicable
Redeemable On: Not Applicable
Initial Interest Rate: 3.21%.
Interest Rate Basis: The Treasury Rate as described in the
Prospectus as published on Telerate Page 56, under the heading
"Avge Invest Yield"
Spread or Spread Multiplier: Plus .15% (+15 basis points)
Interest Payment Dates: On the 8th day of May, August and
November, 1994, and on the Stated Maturity.
Regular Record Dates: The date fifteen (15) calendar days (whether
or not a Business Day) prior to each Interest Payment Date or
the Stated Maturity, as the case may be.
Interest Reset Dates: Weekly, on each Wednesday.
Index Maturity: Three (3) Months (quarterly).
Interest Determination Dates: Rates determined on the Interest
Determination Date shall be effective as of that date and
shall remain in effect until the next Interest Determination
Date, provided, however, the interest rate in effect eight (8)
calender days immediately preceeding any Interest Payment Date
or the Stated Maturity shall be the interest rate used for
each day up to, but not including, said Interest Payment Date
or Stated Maturity.
Calculation Agent: CS First Boston Corporation
Agent's Discount or Commission: Not applicable.
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