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Filed under Rule 424(b)(3)
File No. 333-01623
SUPPLEMENT NO. 37 TO PROSPECTUS DATED MARCH 15, 1996
(AS SUPPLEMENTED MARCH 15, 1996)
PACCAR FINANCIAL CORP.
MEDIUM-TERM NOTES, SERIES H
PRINCIPAL AMOUNT: $45,000,000
ORIGINAL ISSUE DATE: 3/26/98
MATURITY DATE: 3/26/99
INITIAL INTEREST RATE: To be Determined
INTEREST RATE INDEX: 1-Month Libor
SPREAD: Minus 13 Basis Points
INDEX SOURCE: Telerate page 3750
INDEX RESET FREQUENCY: Monthly (26th of each month)
INTEREST PAYMENT PERIOD: Monthly (26th of each month)
INTEREST PAYMENT DATES: 26th of Each Month Subject to
Modified Business Day Convention
as Defined by ISDA
ISSUE PRICE: 100.00%
PROCEEDS TO COMPANY: $45,000,000
UNDERWRITERS DISCOUNT: 0.00%
DAY COUNT CONVENTION: Actual / 360
FORM OF NOTE (CHECK ONE): Book-Entry [X]
Certificate [ ]
AGENT / UNDERWRITER: Morgan Stanley & Co. Incorporated
DATED: MARCH 20, 1998
The Underwriter, Morgan Stanley & Co. Incorporated, has purchased the Notes
as principal and may resell the Notes at prices to be determined by such
Underwriter at the time of resale.