Registration No. 333-14459
Rule 424 (b)(2)
PRICING SUPPLEMENT No. 64 Dated April 24, 1998 (To Prospectus dated
November 18, 1996)
$3,000,000,000
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 Nine Months or More from Date of Issue
________________
Principal Amount: $25,000,000
Price to Public: 100% Proceeds to HFC: 100%
Issue Date: April 29, 1998
Stated Maturity: April 29, 1999
Redeemable On or After: Not Applicable.
Initial Interest Rate: To be determined on April 27, 1998.
Interest Rate Basis: LIBOR Telerate.
Spread or Spread Multiplier: Minus .06% (- 6 basis points).
Interest Payment Dates: On the 29th day of January, April, July
and October of each year, commencing July 29, 1998, and the
Stated Maturity. If said day is not a Business Day, payments
shall be made on the next succeeding Business Day.
Regular Record Date: 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 Date: On each Interest Payment Date.
Interest Determination Date: On the second London Business Day
prior to each Interest Payment Date.
Index Maturity: Three months.
Agent: Not Applicable.
Agent's Discount or Commission: Not Applicable.
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