This Prospectus Supplement is
                                                filed pursuant to Rule 424(b)(2)
                                                under Registration Statement
                                                Nos. 333-46527 and 333-46527-01

PROSPECTUS SUPPLEMENT dated                     Pricing Supplement No. 1
March 24, 1998 to PROSPECTUS
dated February 26, 1998.

TEXACO CAPITAL INC. SERIES 1998 MEDIUM-TERM NOTES Guaranteed by Texaco Inc. Notes Due More Than 9 Months From Date of Issue Principal Amount: $25,000,000.00 Maturity Date: April 6, 2018 Specified Currency: U.S. Dollar Extendible: No Fixed Rate Note: Yes Final Maturity Date: N/A Interest Rate: Year 1: 6.50% Year 11: 7.00% Issue Price: 100.000% Year 2: 6.55% Year 12: 7.05% Record Dates: March 21 and September 21 Year 3: 6.60% Year 13: 7.10% Interest Payment Dates: April 6 and October 6 Year 4: 6.65% Year 14: 7.15% Original Issue Date: April 6, 1998 Year 5: 6.70% Year 15: 7.20% Book-Entry Note: Yes Year 6: 6.75% Year 16: 7.50% Certificated Note: No Year 7: 6.80% Year 17: 7.60% Redemption Provisions: The Note may not be redeemed Year 8: 6.85% Year 18: 8.00% before 4/6/99. On or after that date, Year 9: 6.90% Year 19: 9.00% the Note may be redeemed, in whole Year 10: 6.95% Year 20: 10.00% at par, semiannually (based on following Zero-Coupon Note: No business day convention) at the coupon dates at the option of Texaco Capital Floating Rate Note: No Inc. on not less than 30 days nor more Base Rate: N/A than 60 days notice, at 100% of its - CD Rate: N/A principal amount, together with - Commercial Paper Rate: N/A accrued interest to the date fixed - Federal Funds Rate: N/A for redemption. - LIBOR: N/A - Treasury Rate: N/A Repayment Provisions: No - Other: N/A Currency Indexed Note: No Initial Interest Rate: N/A - Denominated Currency: N/A Interest Reset Period: N/A - Indexed Currency: N/A Interest Reset Dates: N/A - Face Amount: N/A Interest Determination Dates: N/A - Base Exchange Rate: N/A Interest Payment Period: N/A - Calculation Agent: N/A Interest Payment Dates: N/A - Reference Dealer: N/A Index Maturity: N/A Commodity Indexed Notes: No Maximum Interest Rate: N/A Other Terms: No Minimum Interest Rate: N/A Spread: N/A Spread Multiplier: N/A Issuer Able to Change Spread or Spread Multiplier: N/A Smith Barney Inc ---------------- Name of Agent