This Prospectus Supplement is Pricing Supplement No. 3 filed pursuant to Rule 424(b)(2) Dated February 8, 2000 under Registration Statement PROSPECTUS SUPPLEMENT dated Nos.333-82893 and 333-82893-01 August 3, 1999 to PROSPECTUS dated July 20, 1999. Cusip No. 88168L DU 7 TEXACO CAPITAL INC. SECOND SERIES 1999 MEDIUM-TERM NOTES Guaranteed by Texaco Inc. Notes Mature More Than 9 Months From Date of Issue Principal Amount: $500,000,000.00 Maturity Date: February 12, 2001 Specified Currency: U.S. Dollar Extendible: No Fixed Rate Note: Yes Final Maturity Date: N/A Interest Rate: 6.65% Issue Price: 100% Record Date: 15 calendar days prior to Interest Payment Date Interest Payment Date: On the Maturity Date Original Issue Date: February 11, 2000 Book-Entry Note: Yes Denominations: Minimum denominations of $1,000 Certificated Note: No and increments of $1,000 thereafter. Redemption Provisions: None Zero-Coupon Note: No Floating Rate Note: No Repayment Provisions: No Base Rate: N/A Currency Indexed Note: No - CD Rate: N/A - Denominated Currency: N/A - Commercial Paper Rate: N/A - Indexed Currency: N/A - Federal Funds Rate: N/A - Face Amount: N/A - LIBOR: N/A - Base Exchange Rate: N/A - Treasury Rate: N/A - Calculation Agent: N/A - Reference Dealer: N/A - Other: N/A Commodity Indexed Notes: No Initial Interest Rate: N/A Other Terms: No Interest Reset Period: N/A Interest Reset Dates: N/A Interest Determination Dates:N/A Interest Payment Period: N/A Interest Payment Dates: N/A Index Maturity: N/A Maximum Interest Rate: N/A Minimum Interest Rate: N/A Name of Agent Spread: N/A ------------- Spread Multiplier: N/A Morgan Stanley & Co. Issuer Able to Change Spread or Spread Multiplier: N/A