PACCAR FINANCIAL CORP
424B3, 1995-05-08
SHORT-TERM BUSINESS CREDIT INSTITUTIONS
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<PAGE>   1
                                              Filed under Rule 424(b)(3)
                                                       File No. 33-51335


           SUPPLEMENT NO. 25 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:            5/11/95

Maturity Date:                  5/14/96

Interest Rate:                  6.30%

Interest Payment Dates:         November 15, 1995 and May 14, 1996 (Maturity)

Issue Price:                    99.951%

Proceeds to Company:            $44,977,950

Agents Discount:                0.00%

Day Count Convention:           30/360

Form of Note (check one):       Book-Entry      [x]

                                Certificate     [ ]



Dated: May 4, 1995

The Agent has purchased the Notes as principal and may resell the Notes at
prices to be determined by such Agent at the time of resale.





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