EX-4
from S-3
1 page
<page> 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 Montgomery 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:] 1 <page> [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: 2
12/34/56