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Final Term Sheet | | Filed Pursuant to Rule 433 |
Medium-Term Notes, Series R – Fixed Rate November 18, 2024 | | Registration No. 333-283056 |
PACCAR Financial Corp.
Medium-Term Notes, Series R - Fixed Rate
CUSIP #69371RT55
(the “Notes”)
We are hereby offering to sell Notes having the terms specified below to you with the assistance of:
☒ MUFG Securities Americas Inc.
☐ BNP Paribas Securities Corp.
☒ BofA Securities, Inc.
☐ ING Financial Markets LLC
☐ J.P. Morgan Securities LLC
☒ Mizuho Securities USA LLC
☐ PNC Capital Markets LLC
☒ RBC Capital Markets, LLC
☐ Santander US Capital Markets LLC
☐ SMBC Nikko Securities America, Inc.
☐ SG Americas Securities, LLC
☒ TD Securities (USA) LLC
☒ U.S. Bancorp Investments, Inc.
☐ Wells Fargo Securities, LLC
☒ Other:
Westpac Capital Markets LLC
acting as ☒ principal ☐ agent
at: | ☐ varying prices related to prevailing market prices at the time of resale |
| ☒ a fixed initial public offering price of 99.915% of the Principal Amount. |
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Principal Amount: $400,000,000 | | Original Issue Date: November 25, 2024 (T+5) |
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Agent’s Discount or Commission: 0.150% | | Final Maturity Date: November 25, 2026 |
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Net Proceeds to Company: $399,060,000 | | Interest Payment Dates: Semi-annually on each May 25 and November 25, commencing May 25, 2025 Record Dates: May 11 and November 11 preceding the applicable Interest Payment Date |
Treasury Benchmark: 4.125% due October 31, 2026
Treasury Yield: 4.295%
Reoffer Spread: T+25bps
Reoffer Yield: 4.545%
Interest Rate: 4.500% per annum
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Redemption: |
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☒ | | The Notes may not be redeemed prior to the Maturity Date. |
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☐ | | The Notes may be redeemed at our option prior to the Maturity Date. |
| | Initial Redemption Date: |
| | Initial Redemption Percentage: ____% |
| | Annual Redemption Percentage Reduction: % until Redemption Percentage is 100% of the Principal Amount. |