EXHIBIT B
SCANA
CORPORATION
Medium-Term Notes
Due from Nine Months to Thirty Years
from Date of Issue
TERMS AGREEMENT
_________________, ______
Attention:
Subject in all respects to the terms and conditions of the
Selling Agency Agreement (the "Agreement") dated ____________,
1998, among PaineWebber Incorporated, Credit Suisse First Boston
Corporation and NationsBanc Xxxxxxxxxx Securities LLC and you,
the undersigned agrees to purchase the following Notes of:
Aggregate Principal Amount:
Interest Rate:
Date of Maturity:
If Fixed Rate Notes !
Interest Rate:
Interest Payment Period:
Interest Payment Dates:
Regular Record Dates:
If Floating Rate Notes !
Initial Interest Rate:
Base Rate: Index Maturity:
Spread: Spread Multiplier:
Minimum Interest Rate, if any:
Maximum Interest Rate, if any:
Interest Reset Period:
Interest Reset Dates:
Interest Payment Period:
Interest Payment Dates:
Regular Record Dates:
[Redemption Dates and Prices:]
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[Repayment Dates and Prices:]
Purchase Price: % of Principal Amount [plus accrued
interest from _______________, ______]
Purchase Date and Time:
Place for Delivery of Notes
and Payment Therefor:
Method of Payment:
Modification, if any, in
the requirements to
deliver the documents
specified in Section 6(b)
of the Agreement:
Period during which additional
Notes may not be sold pursuant
to Section 4(m) of the Agreement:
[Purchaser]
By: _______________________________
Accepted:
By: ____________________________
Title: _______________________
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