1 Pricing Supplement No. 18 Filing under Rule 424 (b)(3) Dated September 25, 1997 Registration No. 33-51669 (To Prospectus dated January 12, 1994 as supplemented by the Prospectus Supplement dated January 19, 1994) $250,000,000 THE WASHINGTON WATER POWER COMPANY Secured Medium-Term Notes, Series B Principal amount ($): $15,000,000 Subject to General Redemption Original Issue Date: September 30, 1997 (at general redemption prices) Stated Maturity Date: October 2, 2000 Yes No [X] Interest Rate (%): 6.24 Initial Redemption Date: N/A Issue price (%): 100.00 Redemption Limitation Date: N/A Selling Agent's commission (%):.350 Initial Redemption price (%): N/A Net proceeds to Company (%): 99.650 Reduction Percentage: N/A Form:Book-Entry [X] Certificated Subject to Special Redemption (at special redemption prices) Yes No [X] Initial Redemption Price: N/A Reduction Percentage: N/A Use of Proceeds: A/S Additional terms: N/A "N/A" as used herein means "Not Applicable". "A/S" as used herein means "As stated in the Prospectus referred to above". Goldman, Sachs & Co. PaineWebber Inc. Smith Barney Inc.