Final Term Sheet | Filed Pursuant to Rule 433 | |
Medium-Term Notes, Series Q – Fixed Rate August 3, 2022 | Registration No. 333-260663 |
PACCAR Financial Corp.
Medium-Term Notes, Series Q - Fixed Rate
CUSIP # 69371RR99
(the “Notes”)
We are hereby offering to sell Notes having the terms specified below to you with the assistance of:
☒ MUFG Securities Americas Inc.
☐ BofA Securities, Inc.
☒ BNP Paribas Securities Corp.
☒ J.P. Morgan Securities LLC
☒ Mizuho Securities USA LLC
☐ RBC Capital Markets, LLC
☐ SMBC Nikko Securities America, Inc.
☐ TD Securities (USA) LLC
☐ U.S. Bancorp Investments, Inc.
☒ Wells Fargo Securities, LLC
☒ Other:
ING Financial Markets LLC
ANZ Securities, Inc.
Siebert Williams Shank & Co., 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 99.929% of the Principal Amount.
Principal Amount: $600,000,000 | Original Issue Date: August 11, 2022 (T+6) | |
Agent’s Discount or Commission: 0.200% | Final Maturity Date: August 11, 2025 | |
Net Proceeds to Company: $598,374,000 | Interest Payment Dates: Semi-annually on each February 11 and August 11, commencing February 11, 2023
Record Dates: January 28 and July 28 preceding the applicable Interest Payment Date |
Treasury Benchmark: 3.000% due July 15, 2025
Treasury Yield: 3.055%
Reoffer Spread: T+52 bps
Reoffer Yield: 3.575%
Interest Rate: 3.550% per annum
Redemption:
☒ | The Notes may not be redeemed prior to the Maturity Date. |
☐ | 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.
Repayment:
☒ | The Notes may not be repaid prior to the Maturity Date. |
☐ | The Notes may be repaid prior to the Maturity Date at the option of the holder of the Notes. |
Option Repayment Date(s):
Currency:
Specified Currency: USD (If other than U.S. dollars, see attached)
Minimum Denominations: ___________ (Applicable only if Specified Currency is other than U.S. dollars)
Exchange Rate Agent: ___________ (Applicable only if Specified Currency is other than U.S. dollars)
If Discount Note, check ☐
Issue Price: ____%
Form: ☒ Book-Entry ☐ Certificated
Plan of Distribution:
Name | Title | Principal Amount of Notes | ||||||
MUFG Securities Americas Inc. | Bookrunner | $ | 120,000,000 | |||||
J.P. Morgan Securities LLC | Bookrunner | $ | 120,000,000 | |||||
Wells Fargo Securities, LLC | Bookrunner | $ | 120,000,000 | |||||
BNP Paribas Securities Corp. | Bookrunner | $ | 72,000,000 | |||||
ING Financial Markets LLC | Bookrunner | $ | 72,000,000 | |||||
Mizuho Securities USA LLC | Bookrunner | $ | 72,000,000 | |||||
ANZ Securities, Inc. | Co-Manager | $ | 12,000,000 | |||||
Siebert Williams Shank & Co., LLC | Co-Manager | $ | 12,000,000 | |||||
|
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Total | $ | 600,000,000 | ||||||
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Other Provisions:
N/A
The issuer has filed a registration statement (including a prospectus and a prospectus supplement) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus and the prospectus supplement in that registration statement and other documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov. Alternatively, the issuer, MUFG Securities Americas Inc., J.P. Morgan Securities LLC and Wells Fargo Securities, LLC, or any dealer participating in the offering will arrange to send you the prospectus if you request it by contacting MUFG Securities Americas Inc., toll-free at 1-877-649-6848, J.P. Morgan Securities LLC, collect at 1-212-834-4533, or Wells Fargo Securities, LLC, toll-free at 1-800-645-3751.