Registration No. 333-59453
Rule 424(b)(2)
PRICING SUPPLEMENT No. 30 Dated October 7, 1999 (To Prospectus dated
July 28, 1998)
$5,000,000,000
HOUSEHOLD FINANCE CORPORATION
Medium Term Notes
Due Nine Months or More from Date of Issue
Principal Amount: $25,000,000
Price to Public: 100% Proceeds to HFC: 99.918%
Issue Date: October 15, 1999 Stated Maturity: October 15, 2002
Redeemable On or After: Not Applicable
Initial Interest Rate: To be determined on October 14, 1999
Interest Rate Basis: Federal Funds Rate.
Spread or Spread Multiplier: Plus .57% (+ 57 basis points)
Interest Payment Dates: On the 15th of January, April, July and
October of each year, commencing January 15, 2000, 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 Determination Date: On the Business Day prior to each
Interest Reset Date.
Interest Reset Date: On each Business Day, except that the
Interest Rate in effect for the two Business Days before
an Interest Payment Date or the Stated Maturity Date shall
be the Interest Rate in effect on the second Business Day
prior to said Interest Payment Date or Stated Maturity
Date, as the case may be.
Index Maturity: Daily.
Agent: Deutsche Bank Securities Inc.
Agent's Discount or Commission: .082%
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