PACCAR FINANCIAL CORP
424B3, 1995-06-05
SHORT-TERM BUSINESS CREDIT INSTITUTIONS
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<PAGE>   1
                                                Filed under Rule 424(b)(3)
                                                File Number 33-51335

SUPPLEMENT NO. 27 TO PROSPECTUS DATED DECEMBER 14, 1993
(AS SUPPLEMENTED DECEMBER 15, 1993)



                            PACCAR FINANCIAL CORP.

                         MEDIUM-TERM NOTES, SERIES G


PRINCIPAL AMOUNT:               $45,000,000
ORIGINAL ISSUE DATE:            6/8/95
MATURITY DATE:                  6/7/96
INITIAL INTEREST RATE:          To be determined
INTEREST RATE INDEX:            Prime Rate
SPREAD:                         Minus 2.87%
INDEX SOURCE:                   Fed. H15
INDEX RESET FREQUENCY:          Daily (Weighted Average)
INTEREST PAYMENT PERIOD:        Quarterly (2 business day cutoff)
INTEREST PAYMENT DATES:         September 7, 1995, December 7, 1995, March 7,
                                1996, June 7, 1996 (Maturity)
ISSUE PRICE:                    99.96002%
PROCEEDS TO COMPANY:            $44,982,009
UNDERWRITERS DISCOUNT:          0.039980%
DAY COUNT CONVENTION:           Actual / 360

FORM OF NOTE (CHECK ONE)        Book-Entry     (X)

                                Certificate    ( )

UNDERWRITER:                    Chase Securities, Inc.

DATED: JUNE 1, 1995


The Underwriter, Chase Securities, Inc., has purchased the Notes as principal
and may resell the Notes at prices to be determined by such Underwriter at the
time of resale.
                                






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