This Prospectus Supplement is
filed pursuant to Rule 424(b)(2)
under Registration Statement
No. 33-40309.
PROSPECTUS SUPPLEMENT dated Pricing Supplement No. 18
January 13, 1998 to PROSPECTUS
dated May 9, 1991.
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TEXACO CAPITAL INC.
SERIES 1992
MEDIUM-TERM NOTES
Guaranteed by
Texaco Inc.
Notes Due More Than 9 Months From Date of Issue
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Principal Amount: U.S. $25,000,000.00 Maturity Date: January 28, 2008"
Specified Currency: U.S. Dollar Extendible: No
Fixed Rate Note: 6.250% Final Maturity Date: N/A
Issue Price: 99.875%
Zero-Coupon Note: No Record Dates: N/A
Interest Payment Dates: July 28 and January 28
Floating Rate Note: No Original Issue Date: January 28, 1998
Base Rate: N/A Book-Entry Note: Yes
- CD Rate: N/A Certificated Note: No
- Commercial Paper Rate: N/A Redemption Provisions: The Note may not be redeemed
- Federal Funds Rate: N/A before 1/28/99. On or after that date,
- LIBOR: N/A the Note may be redeemed, in whole
- Treasury Rate: N/A at par, semiannually at the coupon
Initial Interest Rate: N/A dates at the option of Texaco Capital
Interest Reset Period: N/A Inc. on not less than 30 days nor more
Interest Reset Dates: N/A than 60 days notice, at 100% of its
Interest Determination Dates: N/A principal amount, together with
Interest Payment Period: N/A accrued interest to the date fixed
Interest Payment Dates: N/A for redemption.
Index Maturity: N/A
Maximum Interest Rate: N/A Repayment Provisions: No
Minimum Interest Rate: N/A Currency Indexed Note: No
Spread: N/A - Denominated Currency: N/A
Spread Multiplier: N/A - Indexed Currency: N/A
Issuer Able to Change Spread - Face Amount: N/A
or Spread Multiplier: N/A - Base Exchange Rate: N/A
- Calculation Agent: N/A
- Reference Dealer: N/A
Commodity Indexed Notes: No
Other Terms: No
Goldman Sachs
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Name of Agent
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