Rule 424(B)(2)
REGISTRATION STATEMENT
No. 33-48612
PRICING SUPPLEMENT NO. 30
Dated August 24, 1994, to
Prospectus Dated July 10, 1992
PSI ENERGY,INC.
$545,000,000
SECURED MEDIUM-TERM NOTES, SERIES B
(FIXED RATE)
DUE FROM 9 MONTHS TO 30 YEARS FROM DATE OF ISSUE
Interest Payable Dates: February 15 and August 15 and at
maturity
Principal amount: $60,000,000
Price to public:
100% of principal amount
__% of principal amount
X Varying prices relating to prevailing
market prices at the time of sale
Net proceeds to the Company: $59,910,000
Agent has purchased the notes as principal: Yes X No
Selling Agent's Commission: .15%
Trade Date: August 24, 1994
Original Issue Date: August 30, 1994
Interest Rate Per Annum: 5.75%
Overdue Rate: Not Applicable
Stated Maturity: August 30, 1995
Repurchase Price
(For Discount Securities): Not Applicable
Redemption Information: Non callable
Other Terms: Not Applicable
The aggregate principal amount of this offering is $60,000,000
and relates only to Pricing Supplement No. 30. To date, including
this offering, an aggregate of $340,000,000 or the equivalent in
foreign currency of foreign currency units of Secured Medium-Term
Notes, Series B, and all other Debt Securities, has been issued.
Lehman Brothers
Merrill Lynch & Co.
X Morgan Stanley & Co. Inc.
Salomon Brothers Inc.