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FERC FINANCIAL REPORT |
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These reports are mandatory under the Interstate Commerce Act, Sections 20 and 18 CFR
Parts 357.2 and 357.4. Failure to report may result in criminal fines, civil penalties and other
sanctions as provided by law. The Federal Energy Regulatory Commission does not consider
this report to be of a confidential nature.
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Exact Legal Name of Respondent (Company) |
Year/Period of Report End of: / |
FERC FORM NO.
REPORT OF OIL PIPELINE COMPANIES |
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IDENTIFICATION |
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01 Exact Legal Name of Respondent |
02 Year/ Period of Report End of: / |
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03 Previous Name and Date of Change (if name changed during year) / |
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04 Address of Principal Office at End of Year (Street, City, State, Zip Code) |
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05 Name of Contact Person |
06 Title of Contact Person |
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07 Address of Contact Person (Street, City, State, Zip Code) |
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08 Telephone of Contact Person, Including Area Code |
09 This Report is (1) ☐ An Original (2) ☐ A Resubmission |
10 Date of Report (Mo, Da, Yr) |
The undersigned officer certifies that: I have examined this report and to the best of my knowledge, information, and belief all statements of fact contained in this report are correct statements of the business affairs of the respondent and the financial statements, and other financial information contained in this report, conform in all material respects to the Uniform System of Accounts. |
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01 Name |
02 Title |
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03 Signature |
04 Date Signed (Mo, Da, Yr) |
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Title 18, U.S.C. 1001 makes it a crime for any person to knowingly and willingly to make to any Agency or Department of the United States any
false, fictitious or fraudulent statements as to any matter within its jurisdiction.
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Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
List of Schedules |
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Enter in column (d) the terms "none," "not applicable," or "NA," as appropriate, where no information or amounts have been reported for certain pages. |
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Title of Schedule (a) |
Reference Page No. (b) |
Date Revised (c) |
Remarks (d) |
ScheduleWaiver Schedule Waiver |
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ScheduleExemption Schedule Exemption |
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GeneralCorporateInformationAndFinancialStatementsAbstract GENERAL CORPORATE INFORMATION AND FINANCIAL STATEMENTS |
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ScheduleGeneralInformationAbstract General Information |
101 |
ED 12-91 |
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ScheduleControlOverRespondentAbstract Control Over Respondent |
102 |
REV 12-95 |
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ScheduleCompaniesControlledByRespondentAbstract Companies Controlled by Respondent |
103 |
NEW 12-95 |
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ScheduleOfficersAbstract Principal General Officers |
104 |
ED 12-91 |
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ScheduleDirectorsAbstract Directors |
105 |
REV 12-95 |
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ScheduleImportantChangesDuringTheQuarterYearAbstract Important Changes During the Year |
108 |
REV 12-95 |
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ScheduleComparativeBalanceSheetAbstract Comparative Balance Sheet Statement |
110 |
REV 12-03 |
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ScheduleStatementOfIncomeAbstract Income Statement |
114 |
REV 12-03 |
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ScheduleStatementOfAccumulatedOtherComprehensiveIncomeAndHedgingActivitiesAbstract Statement of Accumulated Other Comprehensive Income and Hedging Activities |
116 |
NEW 12-02 |
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ScheduleAppropriatedRetainedIncomeAbstract Appropriated Retained Income |
118 |
REV 12-95 |
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ScheduleUnappropriatedRetainedIncomeStatementAbstract Unappropriated Retained Income Statement |
119 |
REV 12-95 |
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ScheduleStatementOfCashFlowsAbstract Statement of Cash Flows |
120 |
REV 02-04 |
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ScheduleNotesToFinancialStatementsAbstract Notes to Financial Statements |
122 |
REV 12-95 |
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BalanceSheetSupportingSchedulesAssetsAndOtherDebitsAbstract BALANCE SHEET SUPPORTING SCHEDULES (Assets and Other Debits) |
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ScheduleReceivableFromAffiliatedCompaniesAbstract Receivable From Affiliated Companies |
200 |
REV 12-00 |
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ScheduleInvestmentsInAffiliatedCompaniesAbstract Investments in Affiliated Companies |
202 |
ED 12-91 |
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ScheduleInvestmentsInCommonStocksOfAffiliatedCompaniesAbstract Investments in Common Stocks of Affiliated Companies |
204 |
ED 12-91 |
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ScheduleInvestInComStocksOfAffiliatedCoCoControlledDirectlyByRespOtherThanThroughTitleToSecuritiesAbstract Companies Controlled Directly by Respondent Other than through Title to Securities |
204 |
ED 12-91 |
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ScheduleCarrierPropertyAbstract Carrier Property |
212 |
REV 12-03 |
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ScheduleUndividedJointInterestPropertyAbstract Undivided Joint Interest Property |
214 |
REV 12-03 |
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ScheduleAccruedDepreciationCarrierPropertyAbstract Accrued Depreciation - Carrier prop (Exclusive of Depreciation on Undiv. Joint Int. Prop. reported in schedule 217) |
216 |
REV 12-03 |
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ScheduleAccruedDepreciationUndividedJointInterestPropertyAbstract Accrued Depreciaton - Undivided Joint Interest Property |
217 |
REV 12-03 |
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ScheduleAmortizationBaseAndReserveAbstract Amortization Base and Reserve |
218 |
REV 12-03 |
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ScheduleNoncarrierPropertyAbstract Noncarrier Property |
220 |
REV 12-00 |
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ScheduleOtherDeferredChargesAbstract Other Deferred Charges |
221 |
REV 12-00 |
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BalanceSheetSupportingSchedulesLiabilitiesAndOtherCreditsAbstract BALANCE SHEET SUPPORTING SCHEDULES (Liabilities and Other Credits) |
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SchedulePayablesToAffiliatedCompaniesAbstract Payables to Affiliated Companies |
225 |
REV 12-00 |
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ScheduleLongTermDebtAbstract Long Term Debt |
226 |
ED 12-00 |
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ScheduleAnalysisOfFederalIncomeAndOtherTaxesDeferredAbstract Analysis of Federal Income and Other Taxes Deferred |
230 |
REV 12-00 |
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ScheduleCapitalStockAbstract Capital Stock |
250 |
REV 12-95 |
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ScheduleCapitalStockChangesDuringTheYearAbstract Capital Stock Changes During the Year |
252 |
ED 12-91 |
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ScheduleAdditionalPaidInCapitalAbstract Additional Paid-in Capital |
254 |
ED 12-87 |
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IncomeAccountSupportingSchedulesAbstract INCOME ACCOUNT SUPPORTING SCHEDULES |
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ScheduleOilOperatingRevenuesAbstract Operating Revenue |
300 |
NEW. 06-04 |
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ScheduleOperatingRevenueAccountsAbstract Operating Revenue Accounts |
301 |
REV 12-00 |
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ScheduleOperatingExpenseAccountsAbstract Operating Expense Accounts |
302 |
REV 12-03 |
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SchedulePipelineTaxesAbstract Pipeline Taxes |
305 |
ED 12-87 |
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ScheduleIncomeFromNoncarrierPropertyAbstract Income from Noncarrier Property |
335 |
ED 12-91 |
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ScheduleInterestAndDividendIncomeAbstract Interest and Dividend Income |
336 |
REV 12-95 |
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ScheduleMiscellaneousItemsInIncomeAndRetainedIncomeAccountsForTheYearAbstract Miscellaneous Items in Income and Retained Income Accounts for the Year |
337 |
ED 12-96 |
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SchedulePaymentsForServicesRenderedByOtherThanEmployeesAbstract Payments for Services Rendered by Other Than Employees |
351 |
REV 12-95 |
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StatisticalDataAbstract PLANT STATISTICAL DATA |
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ScheduleStatisticsOfOperationsAbstract Statistics of Operations |
600 |
REV 12-00 |
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ScheduleStatisticsOfOperationsOwnedByRespondentButOperatedByOthersAbstract Statistics of Operations - Operated by Others |
600a |
REV 12-00 |
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ScheduleMilesOfPipelineOperatedAtEndOfYearAbstract Miles of Pipeline Operated at End of Year |
602 |
REV 12-00 |
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ScheduleFootnotesAbstract Footnotes |
ED 12-91 |
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ScheduleAnnualCostOfServiceBasedAnalysisScheduleAbstract Annual Cost of Service Based Analysis Schedule |
700 |
REV 12-00 |
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Stockholders' Reports (check appropriate box)
☐ Two copies will be submitted ☐ No annual report to stockholders is prepared |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
General Information |
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1. Give exact name of pipeline company making this report. |
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2. Give date of incorporation. |
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3. Give reference to laws of the Government, State, or Territory under which the company is organized. If more than one, name all. |
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4. If a consolidated or a merged company, name all constituent and all merged companies absorbed during the year. |
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5. Give date and authority for each consolidation and for each merger effected during the year. |
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6. If a reorganized company, give name of original corporation, refer to laws under which it was organized, and state the occasion of any reorganization effected during the year. |
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7. State whether or not the respondent during the year conducted any part of its businesss under a name or names other than that shown in response to inquiry No. 1, above; if so, give full particulars (details). |
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Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Control Over Respondent |
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Line No. |
NameOfCompanyControllingRespondent Controlling Company or Main Parent (a) |
StateOfIncorporation State of Incorporation (b) |
IntermediateName Intermediate Parent (c) |
StateOfIncorporationIntermediate Intermediate, State of Incorporation (d) |
DirectParentName Direct Parent (e) |
StateOfIncorporationDirectParent State of Incorporation, Direct Parent (f) |
VotingStockOfRespondentOwnedByOthersPercentage Percent Voting Stock Owned (g) |
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31 | |||||||
32 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Companies Controlled by Respondent |
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Line No. |
NameOfCompanyControlledByRespondent Name of Company Controlled (a) |
StateOfIncorporation State of Incorporation (b) |
CompanyControlledByRespondentKindOfBusinessDescription Kind of Business (c) |
VotingStockOwnedByRespondentPercentage Percent Voting Stock Owned (d) |
1 | ||||
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3 | ||||
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5 | ||||
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31 | ||||
32 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Principal General Officers |
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Line No. |
OfficerTitle Title of General Officer (a) |
OfficerName Name of Person Holding Office at End of Year (b) |
AddressOfPrincipalOfficeAtEndOfPeriod Office Address (c) |
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31 | |||||
32 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Directors |
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Line No. |
NameAndTitleOfDirector Name and Title of Director (a) |
PrincipalBusinessAddress Office Address (Street, city, state, zip) (b) |
ChairmanOfTheExecutiveCommittee Chairman of the executive committee (c) |
MemberOfTheExecutiveCommittee Member of the executive committee (d) |
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47 | |||||
48 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Important Changes During the Quarter/Year |
Give particulars (details) concerning the matters indicated below. Make the statements explicit and precise, and number these in accordance with the inquiries. Each inquiry should be answered. Enter “none”; or “not applicable”; where applicable. If information which answers an inquiry is given elsewhere in the report, make a reference to the schedule in which it appears.
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Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Comparative Balance Sheet Statement |
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Line No. |
Item (a) |
Reference Page No. for Annual (b) |
Current Year End of Quarter/Year Balance (in dollars) (c) |
Prior Year End Balance 12/31 (in dollars) (d) |
CurrentAssetsAbstract CURRENT ASSETS |
||||
1 |
Cash Cash (10) |
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2 |
SpecialDeposits Special Deposits (10-5) |
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3 |
TemporaryInvestments Temporary Investments (11) |
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4 |
NotesReceivable Notes Receivable (12) |
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5 |
ReceivablesFromAffiliatedCompanies Receivables from Affiliated Companies (13) |
200 |
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6 |
AccountsReceivable Accounts Receivable (14) |
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7 |
AccumulatedProvisionForUncollectibleAccounts Accumulated Provision For Uncollectible Accounts (14-5) |
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8 |
InterestAndDividendsReceivable Interest and Dividends Receivable (15) |
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9 |
OilInventory Oil Inventory (16) |
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10 |
MaterialAndSupplies Material and Supplies (17) |
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11 |
Prepayments Prepayment (18) |
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12 |
OtherCurrentAssets Other Current Assets (19) |
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13 |
DeferredIncomeTaxAssets Deferred Income Tax Assets (19-5) |
230 |
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14 |
CurrentAssets TOTAL Current Assets (Total of lines 1 thru 13) |
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InvestmentsAndSpecialFundsAbstract INVESTMENTS AND SPECIAL FUNDS |
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InvestmentsInAffiliatedCompaniesAbstract Investments in Affiliated Companies (20): |
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15 |
InvestmentsInAffiliatedCompaniesStocks Stocks |
202 |
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16 |
InvestmentInAffiliatedCompaniesBonds Bonds |
202 |
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17 |
InvestmentsInAffiliatedCompaniesOtherSecuredObligations Other Secured Obligations |
202 |
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18 |
InvestmentsInAffiliatedCompaniesUnsecuredNotes Unsecured Notes |
202 |
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19 |
InvestmentsInAffiliatedCompaniesInvestmentAdvances Investment Advances |
202 |
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20 |
InvestmentsInAffiliatedCompaniesUndistributedEarningsFromCertainInvestments Undistributed Earnings from Certain Invest. in Acct. 20 |
204 |
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OtherInvestmentsAbstract Other Investments (21): |
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21 |
OtherInvestmentsStocks Stocks |
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22 |
OtherInvestmentsBonds Bonds |
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23 |
OtherInvestmentsOtherSecuredObligations Other Secured Obligations |
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24 |
OtherInvestmentsUnsecuredNotes Unsecured Notes |
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25 |
OtherInvestmentsInvestmentAdvances Investment Advances |
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26 |
SinkingAndOtherFunds Sinking and other funds (22) |
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27 |
InvestmentsAndSpecialFunds TOTAL Investment and Special Funds (Total lines 15 thru 26) |
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TangiblePropertyAbstract TANGIBLE PROPERTY |
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28 |
CarrierProperty Carrier Property (30) |
213 & 215 |
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29 |
AccruedDepreciationCarrierProperty (Less) Accrued Depreciation-Carrier Property (31) |
216 & 217 |
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30 |
AccruedAmortizationCarrierProperty (Less) Accrued Amortization-Carrier Property (32) |
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31 |
CarrierPropertyNet Net Carrier Property (Line 28 less 29 and 30) |
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32 |
OperatingOilSupply Operating Oil Supply (33) |
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33 |
NoncarrierProperty Noncarrier Property (34) |
220 |
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34 |
AccruedDepreciationNoncarrierProperty (Less) Accrued Depreciation-Noncarrier Property (35) |
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35 |
NoncarrierPropertyNet Net Noncarrier Property (Line 33 less 34) |
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36 |
TangibleProperty TOTAL Tangible Property (Total of lines 31, 32, and 35) |
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OtherAssetsAndDeferredChargesAbstract OTHER ASSETS AND DEFERRED CHARGES |
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37 |
OrganizationCostsAndOtherIntangibles Organization Costs and Other Intangibles (40) |
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38 |
AccruedAmortizationOfIntangibles (Less) Accrued Amortization of Intangibles (41) |
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40 |
MiscellaneousOtherAssets Miscellaneous Other Assets (43) |
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41 |
OtherDeferredCharges Other Deferred Charges (44) |
221 |
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42 |
AccumulatedDeferredIncomeTaxAssets Accumulated Deferred Income Tax Assets (45) |
230 |
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43 |
DerivativeInstrumentAssets Derivative Instrument Assets (46) |
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44 |
DerivativeInstrumentAssetsHedges Derivative Instrument Assets - Hedges (47) |
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45 |
OtherAssetsAndDeferredCharges TOTAL Other Assets and Deferred Charges (37 thru 44) |
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46 |
Assets TOTAL Assets (Total of lines 14, 27, 36 and 45) |
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CurrentLiabilitiesAbstract CURRENT LIABILITIES |
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47 |
NotesPayable Notes Payable (50) |
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48 |
PayablesToAffiliatedCompanies Payables to Affiliated Companies (51) |
225 |
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49 |
AccountsPayable Accounts Payable (52) |
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50 |
SalariesAndWagesPayable Salaries and Wages Payable (53) |
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51 |
InterestPayable Interest Payable (54) |
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52 |
DividendsPayable Dividends Payable (55) |
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53 |
TaxesPayable Taxes Payable (56) |
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54 |
LongTermDebtPayableWithinOneYear Long-Term Debt - Payable Within One Year (57) |
226 |
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55 |
OtherCurrentLiabilities Other Current Liabilities (58) |
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56 |
DeferredIncomeTaxLiabilities Deferred Income Tax Liabilities (59) |
230 |
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57 |
CurrentLiabilities TOTAL Current Liabilities (Total of lines 47 thru 56) |
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NoncurrentLiabilitiesAbstract NONCURRENT LIABILITIES |
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58 |
LongTermDebtPayableAfterOneYear Long-Term Debt - Payable After One Year (60) |
226 |
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59 |
UnamortizedPremiumOnLongTermDebt Unamortized Premium on Long-Term Debt (61) |
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60 |
UnamortizedDiscountOnLongTermDebtDebit (Less) Unamortized Discount and Interest on Long-Term Debt (62) |
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61 |
OtherNoncurrentLiabilities Other Noncurrent Liabilities (63) |
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62 |
AccumulatedDeferredIncomeTaxLiabilities Accumulated Deferred Income Tax Liabilities (64) |
230 |
||
63 |
DerivativeInstrumentLiabilities Derivative Instrument Liabilities (65) |
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64 |
DerivativeInstrumentLiabilitiesHedges Derivative Instrument Liabilities - Hedges (66) |
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65 |
AssetRetirementObligations Asset Retirement Obligations (67) |
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66 |
NoncurrentLiabilities TOTAL Noncurrent Liabilities (Total of lines 58 thru 65) |
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67 |
Liabilities TOTAL Liabilities (Total of lines 57 and 66) |
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StockholdersEquityAbstract STOCKHOLDERS' EQUITY |
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68 |
CapitalStock Capital Stock (70) |
251 |
||
69 |
PremiumsOnCapitalStock Premiums on Capital Stock (71) |
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70 |
CapitalStockSubscriptions Capital Stock Subscriptions (72) |
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71 |
AdditionalPaidInCapital Additional Paid-In Capital (73) |
254 |
||
72 |
AppropriatedRetainedIncome Appropriated Retained Income (74) |
118 |
||
73 |
UnappropriatedRetainedIncomeAndEquityInUndistributedEarningsLossesOfAffiliatedCompany Unappropriated Retained Income (75) |
119 |
||
74 |
TreasuryStock (Less) Treasury Stock (76) |
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75 |
AccumulatedOtherComprehensiveIncome Accumulated Other Comprehensive Income (77) |
116 |
||
76 |
StockholdersEquity TOTAL Stockholders' Equity (Total of lines 68 thru 75) |
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77 |
LiabilitiesAndStockholdersEquity TOTAL Liabilities and Stockholders' Equity (Total of lines 67 and 76) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Income Statement |
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|
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Line No. |
Item (a) |
Reference Page No. in Annual Report (b) |
Total current year to date Balance for Quarter/Year (c) |
Total prior year to date Balance for Quarter/Year (d) |
Current 3 months ended Quarterly only no 4th Quarter (e) |
Prior 3 months ended Quarterly only no 4th Quarter (f) |
OrdinaryItemsCarrierOperatingIncomeAbstract ORDINARY ITEMS - Carrier Operating Income |
||||||
1 |
OperatingRevenues Operating Revenues (600) |
301 |
||||
2 |
OperatingExpenses (Less) Operating Expenses (610) |
302 |
||||
3 |
NetCarrierOperatingIncome Net Carrier Operating Income |
|||||
OtherIncomeAndDeductionsAbstract Other Income and Deductions |
||||||
4 |
IncomeNetFromNoncarrierProperty Income (Net) from Noncarrier Property (620) |
335 |
||||
5 |
InterestAndDividendIncome Interest and Dividend Income (From Investment under Cost Only) (630) |
336 |
||||
6 |
MiscellaneousIncome Miscellaneous Income (640) |
337 |
||||
7 |
UnusualOrInfrequentItemsCredit Unusual or Infrequent Items--Credits (645) |
|||||
8 |
InterestExpense (Less) Interest Expense (650) |
|||||
9 |
MiscellaneousIncomeCharges (Less) Miscellaneous Income Charges (660) |
337 |
||||
10 |
UnusualOrInfrequentItemsDebit (Less) Unusual or Infrequent Items--Debit (665) |
|||||
11 |
DividendIncomeEquityInvestments Dividend Income (From Investments under Equity Only) |
|||||
12 |
UndistributedEarningsLosses Undistributed Earnings (Losses) |
205 |
||||
13 |
EquityInEarningsLossesOfAffiliatedCompaniesIncludingDividendIncome Equity in Earnings (Losses) of Affiliated Companies (Total Lines 11 and 12) |
|||||
14 |
OtherIncomeAndDeductions TOTAL Other Income and Deductions (Total Lines 4 thru 10 and 13) |
|||||
15 |
OrdinaryIncomeBeforeFederalIncomeTaxes Ordinary Income before Federal Income Taxes (Line 3 +/- 14) |
|||||
16 |
FederalIncomeTaxesOnIncomeFromContinuingOperations (Less) Income Taxes on Income from Continuing Operations (670) |
|||||
17 |
ProvisionForDeferredTaxes (Less) Provision for Deferred Taxes (671) |
230 |
||||
18 |
IncomeLossFromContinuingOperations Income (Loss) from Continuing Operations (Total Lines 15 thru 17) |
|||||
DiscontinuedOperationsAbstract Discontinued Operations |
||||||
19 |
IncomeLossFromOperationsOfDiscontinuedSegmentsLessApplicableIncomeTaxes Income (Loss) from Operations of Discontinued Segments (675)* |
|||||
20 |
GainLossFromDispositionOfDiscontinuedSegmentsLessApplicableIncomeTaxes Gain (Loss) on Disposal of Discontinued Segments (676)* |
|||||
21 |
IncomeLossFromDiscontinuedOperations TOTAL Income (Loss) from Discontinued Operations (Lines 19 and 20) |
|||||
22 |
IncomeLossBeforeExtraordinaryItems Income (Loss) before Extraordinary Items (Total Lines 18 and 21) |
|||||
ExtraordinaryItemsAndAccountingChangesAbstract EXTRAORDINARY ITEMS AND ACCOUNT CHANGES |
||||||
23 |
ExtraordinaryItemsNet Extraordinary Items -- Net -- (Debit) Credit (680) |
337 |
||||
24 |
IncomeTaxesOnExtraordinaryItems Income Taxes on Extraordinary Items -- Debit (Credit) (695) |
337 |
||||
25 |
ProvisionForDeferredTaxesExtraordinaryItems Provision for Deferred Taxes -- Extraordinary Items (696) |
230 |
||||
26 |
ExtraordinaryItems TOTAL Extraordinary Items (Total Lines 23 thru 25) |
|||||
27 |
CumulativeEffectOfChangesInAccountingPrinciplesLessApplicableIncomeTaxes Cumulative Effect of Changes in Accounting Principles (697)* |
|||||
28 |
ExtraordinaryItemsAndAccountingChanges TOTAL Extraordinary Items and Accounting Changes -- (Debit) Credit
(Line 26 + 27) |
|||||
29 |
NetIncomeLoss Net Income (Loss) (Total Lines 22 and 28) |
|||||
* Less applicable income taxes as reported on page 122 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Statement of Accumulated Other Comprehensive Income and Hedging Activities |
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Line No. |
Item (a) |
Unrealized Gains and Losses on available-for-sale securities (b) |
Minimum Pension liabililty Adjustment (net amount) (c) |
Foreign Currency Hedges (d) |
Other Adjustments (e) |
Other Cash Flow Hedges Interest Rate Swaps (f) |
Other Cash Flow Hedges [Insert Footnote at Line 1 to specify] (g) |
Totals for each category of items recorded in Account 77 (h) |
Net Income (Carried Forward from Page 114, Line 29) (i) |
Total Comprehensive Income (j) |
1 | Balance of Account 77 at Beginning of Preceding Year |
|||||||||
2 | Preceding Quarter/Year to Date Reclassifications from Account 77 to Net Income |
|||||||||
3 | Preceding Quarter/Year to Date Changes in Fair Value |
|||||||||
4 | Total (lines 2 and 3) |
|||||||||
5 | Balance of Account 77 at End of Preceding Quarter/Year |
|||||||||
6 | Balance of Account 77 at Beginning of Current Year |
|||||||||
7 | Current Quarter/Year to Date Reclassifications from Account 77 to Net Income |
|||||||||
8 | Current Quarter/Year to Date Changes in Fair Value |
|||||||||
9 | Total (lines 7 and 8) |
|||||||||
10 | Balance of Account 77 at End of Current Quarter/Year |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Appropriated Retained Income |
|||
Give an analysis of the amount in Account No. 74, Appropriated Retained Income, at the end of the year. |
|||
Line No. |
Class of Appropriation (a) |
Balance at End of Current Year (in dollars) (b) |
Balance at End of Previous Year (in dollars) (c) |
1 |
Additions to Property Through Retained Income |
||
2 |
Debt Retained Through Retained Income |
||
3 |
Sinking Funds |
||
4 |
Other Funds |
||
5 |
Appropriated Retained Income Not Specifically Invested |
||
6 |
Other Appropriations (Specify) |
||
7 | |||
8 | |||
9 | |||
10 | |||
11 | |||
12 | |||
13 | |||
14 | |||
15 | |||
16 | |||
17 | |||
18 | |||
19 | |||
20 | Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Unappropriated Retained Income Statement |
||||
|
||||
Line No. |
Item (a) |
Reference page no. for Year (b) |
Current Quarter/Year (in dollars) (c) |
Previous Quarter/Year (in dollars) (d) |
UnappropriatedRetainedEarningsAbstract UNAPPROPRIATED RETAINED INCOME |
||||
1 |
UnappropriatedRetainedIncome Balances at Beginning of Year |
|||
AdditionsToUnappropriatedRetainedIncomeAbstract CREDITS |
||||
2 |
UnappropriatedRetainedIncomeCreditTransferredFromIncome Net Balance Transferred from Income (700) |
114 |
||
3 |
PriorPeriodAdjustmentsToBeginningRetainedIncomeAccount Prior Period Adjustments to Beginning Retained Income (705) |
|||
4 |
OtherCreditsToRetainedIncome Other Credits to Retained Income (710)* |
337 |
||
5 |
AdditionsToUnappropriatedRetainedIncome TOTAL (Lines 2 thru 4) |
|||
DeductionsFromUnappropriatedRetainedIncomeAbstract DEBITS |
||||
6 |
UnappropriatedRetainedIncomeDebitTransferredFromIncome Net Balance Transferred from Income (700) |
114 |
||
7 |
OtherDebitsToRetainedIncome Other Debits to Retained Income (720)* |
337 |
||
8 |
AppropriationsOfRetainedIncome Appropriations of Retained Income (740) |
118 |
||
9 |
DividendAppropriationsOfRetainedIncome Dividend Appropriations of Retained Income (750) |
121 |
||
10 |
DeductionsFromUnappropriatedRetainedIncome TOTAL (lines 6 thru 9) |
|||
11 |
NetIncreaseDecreaseInUnappropriatedRetainedIncome Net Increase (Decrease) During Year (Line 5 minus line 10) |
|||
12 |
UnappropriatedRetainedIncome Balances at End of Year (Lines 1 and 11) |
|||
13 |
EquityInEarningsLossesOfAffiliatedCompanies Balance from Line 20 |
204 |
||
14 |
UnappropriatedRetainedIncomeAndEquityInUndistributedEarningsLossesOfAffiliatedCompany TOTAL Unapprop. Retained Inc. and Equity in Undistr. Earnings. (Losses)
of Affil. Comp. at End of Year (Lines 12 & 13) |
|||
AssignedFederalIncomeTaxConsequencesAbstract *Amount of Assigned Federal Income Tax Consequences |
||||
15 |
AssignedFederalIncomeTaxConsequencesOtherCreditsToRetainedIncome Account No. 710 |
|||
16 |
AssignedFederalIncomeTaxConsequencesOtherDebitsToRetainedIncome Account No. 720 |
|||
EquityInUndistributedEarningsLossesOfAffiliatedCompaniesAbstract EQUITY IN UNDISTRIBUTED EARNINGS (LOSSES) OF AFFILIATED COMPANIES |
||||
17 |
EquityInEarningsLossesOfAffiliatedCompanies Balances at Beginning of Year |
204 |
||
18 |
UndistributedEarningsLosses Net Balance transferred from Income (700) |
114 |
||
19 |
OtherCreditsDebitsToEquityInUndistributedEarningsLossesOfAffiliatedCompanies Other Credits (Debits) |
|||
20 |
EquityInEarningsLossesOfAffiliatedCompanies Balances at End of Reporting Period/Year |
204 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Statement of Cash Flows |
||||||||||||
|
||||||||||||
Line No. |
Description (See Instructions No. 5 for Explanation of Codes) (a) |
Current Quarter/Year Amount (b) |
Previous Quarter/Year Amount (c) |
|||||||||
1 |
NetCashFlowFromOperatingActivitiesAbstract Cash Flow from Operating Activities: |
|||||||||||
2 |
NetIncomeLoss Net Income |
|||||||||||
3 |
NoncashChargesCreditsToIncomeAbstract Noncash Charges (Credits) to Income: |
|||||||||||
4 |
DepreciationAndDepletion Depreciation |
|||||||||||
5 |
Amortization Amortization |
|||||||||||
6 |
NoncashAdjustmentsToCashFlowsFromOperatingActivities Other Non Cash Adjustments |
|||||||||||
8 |
DeferredIncomeTaxesNet Deferred Income Taxes |
|||||||||||
10 |
NetIncreaseDecreaseInReceivablesOperatingActivities Net (Increase) Decrease in Receivables |
|||||||||||
11 |
NetIncreaseDecreaseInInventoryOperatingActivities Net (Increase) Decrease in Inventory |
|||||||||||
12 |
NetIncreaseDecreaseInPayablesAndAccruedExpensesOperatingActivities Net Increase (Decrease) in Payables and Accrued Expenses |
|||||||||||
14 |
OtherAdjustmentsToCashFlowsFromOperatingActivities Other |
|||||||||||
22 |
NetCashProvidedByUsedInOperatingActivities Net Cash Provided by (Used in) Operating Activities (Total of lines 2 thru 20) |
|||||||||||
24 |
CashFlowsFromInvestmentActivitiesAbstract Cash Flows from Investment Activities: |
|||||||||||
25 |
ConstructionAndAcquisitionOfPlantIncludingLandAbstract Construction and Acquisition of Plant (including land): |
|||||||||||
26 |
GrossAdditionsToCarrierPropertyInvestmentActivities Gross Additions to Carrier Property: |
|||||||||||
27 |
GrossAdditionsToNoncarrierPropertyInvestmentActivities Gross Additions to Noncarrier Property |
|||||||||||
28 |
OtherConstructionAndAcquisitionOfPlantInvestmentActivities Other |
|||||||||||
34 |
CashOutflowsForPlant Cash Outflows for Plant (Total of lines 26 thru 33) |
|||||||||||
36 |
AcquisitionOfOtherNoncurrentAssets Acquisition of Other Noncurrent Assets (d) |
|||||||||||
37 |
ProceedsFromDisposalOfNoncurrentAssets Proceeds from Disposal of Noncurrent Assets (d) |
|||||||||||
39 |
InvestmentsInAndAdvancesToAssociatedAndSubsidiaryCompanies Investments in and Advances to Assoc. and Subsidiary Companies |
|||||||||||
40 |
ContributionsAndAdvancesFromAssociatedAndSubsidiaryCompanies Contributions and Advances from Assoc. and Subsidiary Companies |
|||||||||||
42 |
DispositionOfInvestmentsInAndAdvancesToAssociatedAndSubsidiaryCompanies Disposition of Investments in (and Advances to) Associated and Subsidiary Companies |
|||||||||||
44 |
PurchaseOfInvestmentSecurities Purchase of Investment Securities (a) |
|||||||||||
45 |
ProceedsFromSalesOfInvestmentSecurities Proceeds from Sales of Investment Securities (a) |
|||||||||||
46 |
LoansMadeOrPurchased Loans Made or Purchased |
|||||||||||
47 |
CollectionsOnLoans Collections on Loans |
|||||||||||
49 |
NetIncreaseDecreaseInReceivablesInvestingActivities Net (Increase) Decrease in Receivables |
|||||||||||
50 |
NetIncreaseDecreaseInInventoryInvestingActivities Net (Increase) Decrease in Inventory |
|||||||||||
51 |
NetIncreaseDecreaseInPayablesAndAccruedExpensesInvestingActivities Net Increase (Decrease) in Payables and Accrued Expenses |
|||||||||||
52 |
OtherAdjustmentsToCashFlowsFromInvestmentActivities Other |
|||||||||||
57 |
CashFlowsProvidedFromUsedInInvestmentActivities Net Cash Provided by (Used in) Investing Activities (Total of Lines 34 thru 55) |
|||||||||||
59 |
CashFlowsFromFinancingActivitiesAbstract Cash Flows from Financing Activities: |
|||||||||||
60 |
ProceedsFromIssuanceAbstract Proceeds from Issuance of: |
|||||||||||
61 |
ProceedsFromIssuanceOfLongTermDebtFinancingActivities Long-Term Debt (b) |
|||||||||||
62 |
ProceedsFromIssuanceOfCapitalStock Capital Stock |
|||||||||||
63 |
OtherAdjustmentsByOutsideSourcesToCashFlowsFromFinancingActivities Other |
|||||||||||
66 |
NetIncreaseInShortTermDebt Net Increase in Short-Term Debt (c) |
|||||||||||
67 |
OtherAdjustmentByShortTermDebtToCashFlowsFromFinancingActivities Other |
|||||||||||
70 |
CashProvidedByOutsideSources Cash Provided by Outside Sources (Total of lines 61 thru 69) |
|||||||||||
72 |
PaymentsForRetirementAbstract Payment for Retirement of: |
|||||||||||
73 |
PaymentsForRetirementOfLongTermDebtFinancingActivities Long-term Debt (b) |
|||||||||||
74 |
PaymentForRetirementOfCapitalStock Capital Stock |
|||||||||||
75 |
OtherRetirementsOfBalancesImpactingCashFlowsFromFinancingActivities Other |
|||||||||||
78 |
NetDecreaseInShortTermDebt Net Decrease in Short-Term Debt (c) |
|||||||||||
80 |
DividendsOnCapitalStock Dividends on Capital Stock |
|||||||||||
81 |
OtherAdjustmentsToCashFlowsFromFinancingActivities Other |
|||||||||||
83 |
CashFlowsProvidedFromUsedInFinancingActivities Net Cash Provided by (Used in) Financing Activities (Total of lines 70 thru 81) |
|||||||||||
85 |
NetIncreaseDecreaseInCashAndCashEquivalentsAbstract Net Increase (Decrease) in Cash and Cash Equivalents |
|||||||||||
86 |
NetIncreaseDecreaseInCashAndCashEquivalents Net Increase (Decrease) in Cash and Cash Equivalents (Total of Lines 22, 57, and 83) |
|||||||||||
88 |
CashAndCashEquivalents Cash and Cash Equivalents at Beginning of Year |
|||||||||||
90 |
CashAndCashEquivalents Cash and Cash Equivalents at End of Year |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Notes to Financial Statements |
||||
Quarterly Notes
Annual Notes
|
||||
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Receivables from Affiliated Companies |
|||
|
|||
Line No. |
NameOrClassOfDebtors Name of Debtor (a) |
DescriptionOfAssetsOrOfTransaction Description of Assets or of Transaction (b) |
ReceivablesFromAffiliatedCompanies Balance at End of Year (in dollars) (c) |
1 | |||
2 | |||
3 | |||
4 | |||
5 | |||
6 | |||
7 | |||
8 | |||
9 | |||
10 | |||
11 | |||
12 | |||
13 | |||
14 | |||
15 | |||
16 | |||
17 | |||
18 | |||
19 | |||
20 | |||
21 | |||
22 | |||
23 | |||
24 | |||
25 | |||
26 | |||
27 | |||
28 | |||
29 | |||
30 | |||
31 | |||
32 | |||
33 | |||
34 | |||
35 | |||
36 | |||
37 | |||
38 | |||
39 | |||
40 | |||
41 | |||
42 | |||
43 | |||
44 | |||
45 | |||
46 | |||
47 | |||
48 | |||
49 |
Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Investments in Affiliated Companies |
||||||||||
GENERAL INSTRUCTIONS CONCERNING SCHEDULES 202 THRU 204
|
||||||||||
INVST. DISP. WRITTEN | DIVIDENDS OR INTEREST | |||||||||
Line No. |
AccountNumberInvestmentClassification Account No. (a) |
InvestmentClassificationCode Class No. (From 201) (b) |
NameOfIssuingCompanyAndDescriptionOfSecurityHeld Name of Issuing Company and Description of Security Held, Also Lien Reference, If Any (c) |
PercentageOfControlInAffiliatedCompany Extent of Control (In percent) (d) |
Total Book Value of Investments At End of Year (in dollars) (e) |
Book Value of Investments Made During Year (in dollars) (f) |
Book Value (g) |
Selling Price (h) |
Rate (in percent) (i) |
Amount Credited to Income (in dollars) (j) |
Stocks | ||||||||||
1 | ||||||||||
2 | ||||||||||
3 | ||||||||||
4 |
Subtotal |
|||||||||
Bonds | ||||||||||
5 | ||||||||||
6 | ||||||||||
7 | ||||||||||
8 |
Subtotal |
|||||||||
Other Secured Obligations | ||||||||||
9 | ||||||||||
10 | ||||||||||
11 | ||||||||||
12 |
Subtotal |
|||||||||
Unsecured Notes | ||||||||||
13 | ||||||||||
14 | ||||||||||
15 | ||||||||||
16 |
Subtotal |
|||||||||
Investment Advances | ||||||||||
17 | ||||||||||
18 | ||||||||||
19 | ||||||||||
20 |
Subtotal |
|||||||||
Account 20: Investments in Affiliated Companies (Total) | ||||||||||
Sinking and Other Funds | ||||||||||
21 | ||||||||||
22 | ||||||||||
23 | ||||||||||
Account 22: Sinking and Other Funds (Total) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Invest in Com Stocks of Affiliated Co / Co Controlled Directly by Resp other than through Title to Securities |
|||||||
GENERAL INSTRUCTIONS CONCERNING SCHEDULES 202 THRU 204
|
|||||||
Line No. |
NameOfIssuingCompanyAndDescriptionOfSecurityHeld Name of Issuing Company and Description of Security Held (a) |
InvestmentsInAffiliatedCompaniesUndistributedEarningsFromCertainInvestments Balance at Beginning of Year (in dollars) (b) |
AdjustmentForInvestmentsQualifyingForEquityMethod Adjustment for Investments Qualifying for Equity Method (in dollars) (c) |
EquityInUndistributedEarningsLosses Equity in Undistributed Earnings (Losses) During Year (in dollars) (d) |
AmortizationForInvestmentInCommonStocksOfAffiliatedCompanies Amortization During Year (in dollars) (e) |
AdjustmentForInvestmentsInCommonStocksOfAffiliatedCompaniesDisposedOfOrWrittenDown Adjustment for Investments Disposed of or Written Down During Year (in dollars) (f) |
InvestmentsInAffiliatedCompaniesUndistributedEarningsFromCertainInvestments Balance at End of Year (in dollars) (g) |
Carriers (List specifics for each company) |
|||||||
1 | |||||||
2 | |||||||
3 | |||||||
4 | |||||||
5 | |||||||
6 | |||||||
7 | |||||||
8 | |||||||
9 | |||||||
10 | |||||||
11 | |||||||
12 | |||||||
13 | Carriers Total | ||||||
14 |
Noncarriers (Show totals only for each column) |
||||||
15 |
Total |
COMPANIES CONTROLLED DIRECTLY BY RESPONDENT OTHER THAN THROUGH TITLE TO SECURITIES |
||||||
Description of Control | ||||||
Line No. |
NameOfCompanyControlledByRespondentOtherthanThroughTitletoSecurities Name of Company Controlled (a) |
SoleOrJointType Sole or Joint (b) |
DescriptionOfControlOtherPartiesToJointAgreementForControl Other Parties, if Any, to Joint Agreement for Control (c) |
DescriptionOfControlHowEstablished How Established (d) |
DescriptionOfControlExtentOfControl Extent of Control (In percent) (e) |
CompaniesControlledByRespondentRemarks Remarks (f) |
1 | ||||||
2 | ||||||
3 | ||||||
4 | ||||||
5 | ||||||
6 | ||||||
7 | ||||||
8 | ||||||
9 | ||||||
10 | ||||||
11 | ||||||
12 | ||||||
13 | ||||||
14 | ||||||
15 | ||||||
16 | ||||||
17 | ||||||
18 | ||||||
19 | ||||||
20 | ||||||
21 | ||||||
22 | ||||||
23 | ||||||
24 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Carrier Property |
|||||||||
|
|||||||||
PROP CHNGS DUR YR | |||||||||
Line No. |
Account (a) |
Balance at Beginning of Year (in dollars) (b) |
Expenditures for New Construction, Additions, and Improvements (c) |
Expenditures for Existing Property Purchased or Otherwise Acquired (d) |
Property Sold, Abandoned, or Otherwise Retired During the Year (e) |
Net (c + d - e) (f) |
Other Adjustments, Transfers, and Clearances (in dollars) (g) |
Increase or Decrease During the Year (in dollars) (f +/- g) (h) |
Balance at End of Year (in dollars) (b +/- h) (i) |
GATHERING LINES |
|||||||||
1 |
Land (101) |
||||||||
2 |
Right of Way (102) |
||||||||
3 |
Line Pipe (103) |
||||||||
4 |
Line Pipe Fittings (104) |
||||||||
5 |
Pipeline Construction (105) |
||||||||
6 |
Buildings (106) |
||||||||
7 |
Boilers (107) |
||||||||
8 |
Pumping Equipment (108) |
||||||||
9 |
Machine Tools and Machinery (109) |
||||||||
10 |
Other Station Equipment (110) |
||||||||
11 |
Oil Tanks (111) |
||||||||
12 |
Delivery Facilities (112) |
||||||||
13 |
Communication Systems (113) |
||||||||
14 |
Office Furniture and Equipment (114) |
||||||||
15 |
Vehicles and Other Work Equipment (115) |
||||||||
16 |
Other Property (116) |
||||||||
17 |
Asset Retirement Costs for Gathering Lines (117) |
||||||||
18 |
TOTAL (Lines 1 thru 17) |
||||||||
TRUNK LINES |
|||||||||
19 |
Land (151) |
||||||||
20 |
Right of Way (152) |
||||||||
21 |
Line Pipe (153) |
||||||||
22 |
Line Pipe Fittings (154) |
||||||||
23 |
Pipeline Construction (155) |
||||||||
24 |
Buildings (156) |
||||||||
25 |
Boilers (157) |
||||||||
26 |
Pumping Equipment (158) |
||||||||
27 |
Machine Tools and Machinery (159) |
||||||||
28 |
Other Station Equipment (160) |
||||||||
29 |
Oil Tanks (161) |
||||||||
30 |
Delivery Facilities (162) |
||||||||
31 |
Communication Systems (163) |
||||||||
32 |
Office Furniture and Equipment (164) |
||||||||
33 |
Vehicles and Other Work Equipment (165) |
||||||||
34 |
Other Property (166) |
||||||||
35 |
Asset Retirement Costs for Trunk Lines (167) |
||||||||
36 |
TOTAL (Lines 19 thru 35) |
||||||||
General Property |
|||||||||
37 |
Land (171) |
||||||||
38 |
Buildings (176) |
||||||||
39 |
Machine Tools and Machinery (179) |
||||||||
40 |
Communication Systems (183) |
||||||||
41 |
Office Furniture and Equipment (184) |
||||||||
42 |
Vehicles and Other Work Equipment (185) |
||||||||
43 |
Other Property (186) |
||||||||
44 |
Asset Retirement Costs for General Property (186.1) |
||||||||
45 |
Construction Work in Progress (187) |
||||||||
46 |
TOTAL (Lines 37 thru 45) |
||||||||
47 |
GRAND TOTAL (Lines 18, 36, and 46) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Undivided Joint Interest Property |
|||||||||
|
|||||||||
Property Change During Year (in dollars) | |||||||||
Line No. |
Account (a) |
Balance at Beginning of Year (in dollars) (b) |
Expenditures for New Construction, Additions, and Improvements (c) |
Expenditures for Existing Property Purchased or Otherwise Acquired (d) |
Property Sold, Abandoned, or Otherwise Retired During the Year (e) |
PROP CHNGS DUR YR Net (c + d - e) (f) |
Other Adjustments, Transfers, and Clearances (in dollars) (g) |
Increase or Decrease During the Year (in dollars) (f +/- g) (h) |
Balance at End of Year (in dollars) (b +/- h) (i) |
PIPE LINE NAME |
Enter Pipeline Name: |
||||||||
GATHERING LINES |
|||||||||
1 |
Land (101) |
||||||||
2 |
Right of Way (102) |
||||||||
3 |
Line Pipe (103) |
||||||||
4 |
Line Pipe Fittings (104) |
||||||||
5 |
Pipeline Construction (105) |
||||||||
6 |
Buildings (106) |
||||||||
7 |
Boilers (107) |
||||||||
8 |
Pumping Equipment (108) |
||||||||
9 |
Machine Tools and Machinery (109) |
||||||||
10 |
Other Station Equipment (110) |
||||||||
11 |
Oil Tanks (111) |
||||||||
12 |
Delivery Facilities (112) |
||||||||
13 |
Communication Systems (113) |
||||||||
14 |
Office Furniture and Equipment (114) |
||||||||
15 |
Vehicles and Other Work Equipment (115) |
||||||||
16 |
Other Property (116) |
||||||||
17 |
Asset Retirement Costs for Gathering Lines (117) |
||||||||
18 |
TOTAL (Lines 1 thru 17) |
||||||||
TRUNK LINES |
|||||||||
19 |
Land (151) |
||||||||
20 |
Right of Way (152) |
||||||||
21 |
Line Pipe (153) |
||||||||
22 |
Line Pipe Fittings (154) |
||||||||
23 |
Pipeline Construction (155) |
||||||||
24 |
Buildings (156) |
||||||||
25 |
Boilers (157) |
||||||||
26 |
Pumping Equipment (158) |
||||||||
27 |
Machine Tools and Machinery (159) |
||||||||
28 |
Other Station Equipment (160) |
||||||||
29 |
Oil Tanks (161) |
||||||||
30 |
Delivery Facilities (162) |
||||||||
31 |
Communication Systems (163) |
||||||||
32 |
Office Furniture and Equipment (164) |
||||||||
33 |
Vehicles and Other Work Equipment (165) |
||||||||
34 |
Other Property (166) |
||||||||
35 |
Asset Retirement Costs for Trunk Lines (167) |
||||||||
36 |
TOTAL (Lines 19 thru 35) |
||||||||
GENERAL |
|||||||||
37 |
Land (171) |
||||||||
38 |
Buildings (176) |
||||||||
39 |
Machine Tools and Machinery (179) |
||||||||
40 |
Communication Systems (183) |
||||||||
41 |
Office Furniture and Equipment (184) |
||||||||
42 |
Vehicles and Other Work Equipment (185) |
||||||||
43 |
Other Property (186) |
||||||||
44 |
Asset Retirement Costs for General Property (186.1) |
||||||||
45 |
Construction Work in Progress (187) |
||||||||
46 |
TOTAL (Lines 37 thru 45) |
||||||||
47 |
GRAND TOTAL (Lines 18, 36, and 46) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Accrued Depreciation - Carrier prop (Exclusive of Depreciation on Undiv. Joint Int. Prop. reported in schedule 217) |
|||||||
Give particulars (details) of the credits and debits to Account No. 31, Accrued Depreciation - Carrier Property, during the year.
|
|||||||
Line No. |
Account (a) |
Balance at Beginning of Year (in dollars) (b) |
Debits to Account Nos. 540 and 541 of USofA (in dollars) (c) |
Net Debit From Retirement of Carrier Property (in dollars) (d) |
Other Adjustments (in dollars) (e) |
Balance at End of Year (b + c + d + e) (in dollars) (f) |
Annual Composite/Component Rates (in percent) (g) |
CarrierPropertyAccountsGatheringLinesAbstract GATHERING LINES |
|||||||
1 |
RightOfWayGatheringLinesAccruedDepreciationCarrierPropertyAbstract Right of Way (102) |
||||||
2 |
LinePipeGatheringLinesAccruedDepreciationCarrierPropertyAbstract Line Pipe (103) |
||||||
3 |
LinePipeFittingsGatheringLinesAccruedDepreciationCarrierPropertyAbstract Line Pipe Fittings (104) |
||||||
4 |
PipelineConstructionGatheringLinesAccruedDepreciationCarrierPropertyAbstract Pipeline Construction (105) |
||||||
5 |
BuildingsGatheringLinesAccruedDepreciationCarrierPropertyAbstract Buildings (106) |
||||||
6 |
BoilersGatheringLinesAccruedDepreciationCarrierPropertyAbstract Boilers (107) |
||||||
7 |
PumpingEquipmentGatheringLinesAccruedDepreciationCarrierPropertyAbstract Pumping Equipment (108) |
||||||
8 |
MachineToolsAndMachineryGatheringLinesAccruedDepreciationCarrierPropertyAbstract Machine Tools and Machinery (109) |
||||||
9 |
OtherStationEquipmentGatheringLinesAccruedDepreciationCarrierPropertyAbstract Other Station Equipment (110) |
||||||
10 |
OilTanksGatheringLinesAccruedDepreciationCarrierPropertyAbstract Oil Tanks (111) |
||||||
11 |
DeliveryFacilitiesGatheringLinesAccruedDepreciationCarrierPropertyAbstract Delivery Facilities (112) |
||||||
12 |
CommunicationSystemsGatheringLinesAccruedDepreciationCarrierPropertyAbstract Communication Systems (113) |
||||||
13 |
OfficeFurnitureAndEquipmentGatheringLinesAccruedDepreciationCarrierPropertyAbstract Office Furniture and Equipment (114) |
||||||
14 |
VehiclesAndOtherWorkEquipmentGatheringLinesAccruedDepreciationCarrierPropertyAbstract Vehicles and Other Work Equipment (115) |
||||||
15 |
OtherPropertyGatheringLinesAccruedDepreciationCarrierPropertyAbstract Other Property (116) |
||||||
16 |
AssetRetirementCostsForGatheringLinesGatheringLinesAccruedDepreciationCarrierPropertyAbstract Asset Retirement Costs for Gathering Lines (117) |
||||||
17 |
AccruedDepreciationCarrierPropertyGatheringLinesAbstract TOTAL (Lines 1 thru 16) |
||||||
CarrierPropertyAccountsTrunkLinesAbstract TRUNK LINES |
|||||||
18 |
RightOfWayTrunkLinesAccruedDepreciationCarrierPropertyAbstract Right of Way (152) |
||||||
19 |
LinePipeTrunkLinesAccruedDepreciationCarrierPropertyAbstract Line Pipe (153) |
||||||
20 |
LinePipeFittingsTrunkLinesAccruedDepreciationCarrierPropertyAbstract Line Pipe Fittings (154) |
||||||
21 |
PipelineConstructionTrunkLinesAccruedDepreciationCarrierPropertyAbstract Pipeline Construction (155) |
||||||
22 |
BuildingsTrunkLinesAccruedDepreciationCarrierPropertyAbstract Buildings (156) |
||||||
23 |
BoilersTrunkLinesAccruedDepreciationCarrierPropertyAbstract Boilers (157) |
||||||
24 |
PumpingEquipmentTrunkLinesAccruedDepreciationCarrierPropertyAbstract Pumping Equipment (158) |
||||||
25 |
MachineToolsAndMachineryTrunkLinesAccruedDepreciationCarrierPropertyAbstract Machine Tools and Machinery (159) |
||||||
26 |
OtherStationEquipmentTrunkLinesAccruedDepreciationCarrierPropertyAbstract Other Station Equipment (160) |
||||||
27 |
OilTanksTrunkLinesAccruedDepreciationCarrierPropertyAbstract Oil Tanks (161) |
||||||
28 |
DeliveryFacilitiesTrunkLinesAccruedDepreciationCarrierPropertyAbstract Delivery Facilities (162) |
||||||
29 |
CommunicationSystemsTrunkLinesAccruedDepreciationCarrierPropertyAbstract Communication Systems (163) |
||||||
30 |
OfficeFurnitureAndEquipmentTrunkLinesAccruedDepreciationCarrierPropertyAbstract Office Furniture and Equipment (164) |
||||||
31 |
VehiclesAndOtherWorkEquipmentTrunkLinesAccruedDepreciationCarrierPropertyAbstract Vehicles and Other Work Equipment (165) |
||||||
32 |
OtherPropertyTrunkLinesAccruedDepreciationCarrierPropertyAbstract Other Property (166) |
||||||
33 |
AssetRetirementCostsForTrunkLinesTrunkLinesAccruedDepreciationCarrierPropertyAbstract Asset Retirement Costs for Trunk Lines (167) |
||||||
34 |
AccruedDepreciationCarrierPropertyTrunkLinesAbstract TOTAL (Lines 18 thru 33) |
||||||
CarrierPropertyAccountsGeneralAbstract GENERAL |
|||||||
35 |
BuildingsGeneralAccruedDepreciationCarrierPropertyAbstract Buildings (176) |
||||||
36 |
MachineToolsAndMachineryGeneralAccruedDepreciationCarrierPropertyAbstract Machine Tools and Machinery (179) |
||||||
37 |
CommunicationSystemsGeneralAccruedDepreciationCarrierPropertyAbstract Communication Systems (183) |
||||||
38 |
OfficeFurnitureAndEquipmentGeneralAccruedDepreciationCarrierPropertyAbstract Office Furniture and Equipment (184) |
||||||
39 |
VehiclesAndOtherWorkEquipmentGeneralAccruedDepreciationCarrierPropertyAbstract Vehicles and Other Work Equipment (185) |
||||||
40 |
OtherPropertyGeneralAccruedDepreciationCarrierPropertyAbstract Other Property (186) |
||||||
41 |
AssetRetirementCostsForGeneralPropertyGeneralAccruedDepreciationCarrierPropertyAbstract Asset Retirement Costs for General Property (186.1) |
||||||
42 |
AccruedDepreciationCarrierPropertyGeneralAbstract TOTAL (Lines 35 thru 41) |
||||||
43 |
AccruedDepreciationCarrierPropertyExcludingUndividedJointInterestPropertyRollforwardAbstract GRAND TOTAL (Lines 17, 34, 42) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Accrued Depreciation - Undivided Joint Interest Property |
|||||||
Give particulars (details) of the credits and debits to Account No. 31, Accrued Depreciation - Carrier Property, during the year.
|
|||||||
Line No. |
Account (a) |
Balance at Beginning of Year (in dollars) (b) |
Debits to Account No. 540 and 541 of U.S. of A. (in dollars) (c) |
Net Debit From Retirement of Carrier Property (in dollars) (d) |
Other Adjustments (in dollars) (e) |
Balance at End of Year (b + c + d + e) (in dollars) (f) |
Annual Composite/Component Rates (in percent) (g) |
PIPE LINE NAME |
Enter Pipeline Name: |
||||||
GATHERING LINES |
|||||||
1 |
Right of Way (102) |
||||||
2 |
Line Pipe (103) |
||||||
3 |
Line Pipe Fittings (104) |
||||||
4 |
Pipeline Construction (105) |
||||||
5 |
Buildings (106) |
||||||
6 |
Boilers (107) |
||||||
7 |
Pumping Equipment (108) |
||||||
8 |
Machine Tools and Machinery (109) |
||||||
9 |
Other Station Equipment (110) |
||||||
10 |
Oil Tanks (111) |
||||||
11 |
Delivery Facilities (112) |
||||||
12 |
Communication Systems (113) |
||||||
13 |
Office Furniture and Equipment (114) |
||||||
14 |
Vehicles and Other Work Equipment (115) |
||||||
15 |
Other Property (116) |
||||||
16 |
Asset Retirement Costs for Gathering Lines (117) |
||||||
17 |
TOTAL (Lines 1 thru 16) |
||||||
TRUNK LINES |
|||||||
18 |
Right of Way (152) |
||||||
19 |
Line Pipe (153) |
||||||
20 |
Line Pipe Fittings (154) |
||||||
21 |
Pipeline Construction (155) |
||||||
22 |
Buildings (165) |
||||||
23 |
Boilers (157) |
||||||
24 |
Pumping Equipment (158) |
||||||
25 |
Machine Tools and Machinery (159) |
||||||
26 |
Other Station Equipment (160) |
||||||
27 |
Oil Tanks (161) |
||||||
28 |
Delivery Facilities (162) |
||||||
29 |
Communication Systems (163) |
||||||
30 |
Office Furniture and Equipment (164) |
||||||
31 |
Vehicles and Other Work Equipment (165) |
||||||
32 |
Other Property (166) |
||||||
33 |
Asset Retirement Costs for Trunk Lines (167) |
||||||
34 |
TOTAL (Lines 18 thru 33) |
||||||
GENERAL |
|||||||
35 |
Buildings (176) |
||||||
36 |
Machine Tools and Machinery (179) |
||||||
37 |
Communication Systems (183) |
||||||
38 |
Office Furniture and Equipment (184) |
||||||
39 |
Vehicles and Other Work Equipment (185) |
||||||
40 |
Other Property (186) |
||||||
41 |
Asset Retirement Costs for General Property (186.1) |
||||||
42 |
TOTAL (Lines 35 thru 41) |
||||||
43 |
GRAND TOTAL (Lines 17, 34, 42) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Amortization Base and Reserve |
|||||||||
|
|||||||||
BASE 540 AND 541 | RESERVE | ||||||||
Line No. |
DescriptionOfPipelineProperty Items (a) |
Balance at Beginning of Year (in dollars) (b) |
Debits During Year (in dollars) (c) |
Credits During Year (in dollars) (d) |
Balance at End of Year (in dollars) (e) |
AccruedAmortizationCarrierProperty Balance at Beginning of Year (in dollars) (f) |
IncreaseInAccruedAmortizationCarrierProperty Credits During Year (in dollars) (g) |
DecreaseInAccruedAmortizationCarrierProperty Debits During Year (in dollars) (h) |
AccruedAmortizationCarrierProperty Balance at End of Year (in dollars) (i) |
1 | |||||||||
2 | |||||||||
3 | |||||||||
4 | |||||||||
5 | |||||||||
6 | |||||||||
7 | |||||||||
8 | |||||||||
9 | |||||||||
10 | |||||||||
11 | |||||||||
12 | |||||||||
13 | |||||||||
14 | |||||||||
15 | |||||||||
16 | |||||||||
17 | |||||||||
18 | |||||||||
19 | |||||||||
20 | |||||||||
21 | |||||||||
22 | |||||||||
23 | |||||||||
24 | |||||||||
25 | |||||||||
26 | |||||||||
27 | |||||||||
28 | |||||||||
29 | |||||||||
30 | |||||||||
31 | |||||||||
32 | |||||||||
33 | |||||||||
34 | |||||||||
35 | |||||||||
36 | |||||||||
37 | |||||||||
38 | |||||||||
39 | |||||||||
40 | |||||||||
41 | |||||||||
42 | |||||||||
43 | |||||||||
44 | |||||||||
45 | |||||||||
46 | |||||||||
47 |
Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Noncarrier Property |
||||
|
||||
Line No. |
NameAndDescriptionOfPhysicalPropertyHeldAsInvestment Name and Description of Physical Property Held at End of Year as an Investment (a) |
DateNoncarrierPropertyRecognized Date Included in Account No. 34 (b) |
NoncarrierProperty Book Cost at End of Year (in dollars) (c) |
NoncarrierPropertyRemarks Remarks (d) |
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
6 | ||||
7 | ||||
8 | ||||
9 | ||||
10 | ||||
11 | ||||
12 | ||||
13 | ||||
14 | ||||
15 | ||||
16 | ||||
17 | ||||
18 | ||||
19 | ||||
20 | ||||
21 | ||||
22 | ||||
23 | ||||
24 | ||||
25 | ||||
26 | ||||
27 | ||||
28 | ||||
29 | ||||
30 | ||||
31 | ||||
32 | ||||
33 | ||||
34 | ||||
35 | ||||
36 | ||||
37 | ||||
38 | ||||
39 | ||||
40 | ||||
41 | ||||
42 | ||||
43 | ||||
44 | ||||
45 | ||||
46 |
TOTAL |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Other Deferred Charges |
||
Give an analysis of the balance in Account No. 44, Other Deferred Charges, at the end of the year, showing in detail each item or subaccount of $500,000 or more. Items less than $500,000 may be combined in a single entry designated "Minor Items, Each Less Than $500,000." In case the type of any item is not fully disclosed by the entries in the columns below, explain in a footnote. |
||
Line No. |
NameOrClassOfDebtors Description and Type of Items: Names of Debtor (or Class of Debtors), If Any (a) |
OtherDeferredCharges Amount at End of Year (in dollars) (b) |
1 | ||
2 | ||
3 | ||
4 | ||
5 | ||
6 | ||
7 | ||
8 | ||
9 | ||
10 | ||
11 | ||
12 | ||
13 | ||
14 | ||
15 | ||
16 | ||
17 | ||
18 | ||
19 | ||
20 | ||
21 | ||
22 | ||
23 | ||
24 | ||
25 | ||
26 | ||
27 | ||
28 | ||
29 | ||
30 | ||
31 | ||
32 | ||
33 | ||
34 | ||
35 | ||
36 | ||
37 | ||
38 | ||
39 | ||
40 | ||
41 | ||
42 | ||
43 | ||
44 | ||
45 | ||
46 | ||
47 | ||
48 | ||
49 | ||
50 |
TOTAL |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Payables to Affiliated Companies |
|||
|
|||
Line No. |
NameOfCreditor Name of Creditor (a) |
DescriptionOfTransaction Description of Liability or of Transaction (b) |
PayablesToAffiliatedCompanies Balance at End of Year (in dollars) (c) |
1 | |||
2 | |||
3 | |||
4 | |||
5 | |||
6 | |||
7 | |||
8 | |||
9 | |||
10 | |||
11 | |||
12 | |||
13 | |||
14 | |||
15 | |||
16 | |||
17 | |||
18 | |||
19 | |||
20 | |||
21 | |||
22 | |||
23 | |||
24 | |||
25 | |||
26 | |||
27 | |||
28 | |||
29 | |||
30 | |||
31 | |||
32 | |||
33 | |||
34 | |||
35 | |||
36 | |||
37 | |||
38 | |||
39 | |||
40 | |||
41 | |||
42 | |||
43 | |||
44 | |||
45 | |||
46 | |||
47 | |||
48 | |||
49 |
TOTAL |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Long-Term Debt |
|||||||||||||
|
|||||||||||||
TOTAL PAR VALUE | INTR.PROV | ||||||||||||
Line No. |
Name and Description of Obligation (a) |
Nominal Date of Issue (b) |
Date of Maturity (c) |
In Treasury (d) |
Sinking, Other Funds (e) |
Pledged as Collateral (f) |
Payable within 1 Yr. (acc. 57) (g) |
Payable After 1 Yr. (acc. 60) (h) |
Rate Per Annum (in percent) (i) |
Dates Due (j) |
Amount of Interest Accrued During Year Charged to Income (in dollars) (k) |
Amount of Int. Charged to Construction or Other Investment Account (in dollars) (l) |
Amount of Interest Paid During Year (in dollars) (m) |
MORTGAGE BONDS |
|||||||||||||
1 | |||||||||||||
2 | |||||||||||||
3 | |||||||||||||
4 | |||||||||||||
5 | |||||||||||||
6 | |||||||||||||
7 | |||||||||||||
8 | |||||||||||||
9 | |||||||||||||
10 | |||||||||||||
11 |
TOTAL for Mortgage Bonds |
||||||||||||
COLLATERAL TRUST BONDS |
|||||||||||||
12 | |||||||||||||
13 | |||||||||||||
14 | |||||||||||||
15 | |||||||||||||
16 | |||||||||||||
17 |
TOTAL for Collateral Trust Bonds |
||||||||||||
INCOME BONDS |
|||||||||||||
18 | |||||||||||||
19 | |||||||||||||
20 | |||||||||||||
21 |
TOTAL for Income Bonds |
||||||||||||
MISCELLANEOUS OBLIGATIONS |
|||||||||||||
22 | |||||||||||||
23 | |||||||||||||
24 | |||||||||||||
25 | |||||||||||||
26 | |||||||||||||
27 | |||||||||||||
28 | |||||||||||||
29 | |||||||||||||
30 |
TOTAL for Miscellaneous Obligations |
||||||||||||
NONNEGOTIABLE DEBT TO AFFILIATED CO. |
|||||||||||||
31 | |||||||||||||
32 | |||||||||||||
33 | |||||||||||||
34 | |||||||||||||
35 | |||||||||||||
36 | |||||||||||||
37 | |||||||||||||
38 | |||||||||||||
39 | |||||||||||||
40 |
TOTAL for Nonnegotiable Debt to Affil. Co. |
||||||||||||
41 |
GRAND TOTAL (Lines 11, 17, 21, 30 and 40) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Analysis of Federal Income and Other Taxes Deferred |
|||||
|
|||||
Line No. |
Items Causing Temporary Differences (a) |
Beginning of Year Balance (in dollars) (b) |
Net Change for the Current Year (in dollars) (c) |
Adjustments (in dollars) (d) |
End of Year Balance (b + c + d) (in dollars) (e) |
Current Deferred Taxes - Account Nos. 19-5 and 59 | |||||
1 | |||||
2 | |||||
3 | |||||
4 | |||||
5 | |||||
6 | |||||
7 | |||||
8 | |||||
9 | |||||
10 |
TOTALS |
||||
Noncurrent Deferred Taxes - Account Nos. 45 and 64 | |||||
11 | |||||
12 | |||||
13 | |||||
14 | |||||
15 | |||||
16 | |||||
17 | |||||
18 | |||||
19 | |||||
20 |
TOTALS |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Capital Stock (Account 70) |
||||||||||
|
||||||||||
OUTS.PER BAL. SHEET | HELP BY RESP. AS TREAS. STOCK | HELD BY RESP. IN SINK AND OTH. FUNDS | ||||||||
Line No. |
CapitalStockDescription Class and Series of Stock and Name of Stock Exchange (a) |
CapitalStockSharesAuthorized Number of Shares Authorized by Charter (b) |
CapitalStockParOrStatedValuePerShare Par or Stated Value per Share (c) |
CapitalStockCallPrice Call Price at End of Year (d) |
CapitalStockSharesOutstanding Shares (e) |
CapitalStock Amount (f) |
CapitalStockSharesHeldAsReacquiredStock Shares (g) |
TreasuryStock Cost (h) |
CapitalStockSharesHeldInSinkingAndOtherFunds Shares (i) |
CapitalStockValueHeldInSinkingAndOtherFunds Amount (j) |
1 |
Common Stock (Account 70) |
|||||||||
2 | ||||||||||
3 | ||||||||||
4 | ||||||||||
5 |
Total |
|||||||||
6 |
Preferred Stock (Account 70) |
|||||||||
7 | ||||||||||
8 | ||||||||||
9 | ||||||||||
10 |
Total |
|||||||||
1 |
Capital Stock (Account 70) - Data Conversion |
|||||||||
2 | ||||||||||
3 | ||||||||||
4 | ||||||||||
5 |
Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Capital Stock Changes During the Year |
|||||||||||
|
|||||||||||
STOCKS ISS. DUR YR | STOCKS REACQ.DUR YR | ||||||||||
Line No. |
NameOfAccountAndDescriptionOfCapitalStockItems Class of Stock (a) |
CapitalStockSharesIssuedDate Date of Issue (Mo, Da, Yr) (b) |
CapitalStockSharesIssuedDescription Purpose of the Issue, Authority, and Number and Date of Authorization (c) |
CapitalStockSharesIssued Number of Shares (d) |
CapitalStockIssuedConsiderationReceived Net Proceeds Received for Issue (Cash or its Equivalent) (in dollars) (e) |
CapitalStockIssuedOtherPropertyAcquiredOrServicesReceived Cash Value of Other Property Acquired or Services Received as Consideration for Issue (in dollars) (f) |
NetDiscountPremiumOnCapitalStock Net Total Discounts or Premiums (Exclude entries in column (h); enter premiums in parentheses) (in dollars) (g) |
Expense of Issuing Capital Stock (in dollars) (h) |
CapitalStockSharesReacquired Number of Shares (i) |
CapitalStockReacquiredPurchasePrice Purchase Price (in dollars) (j) |
RemarksCapitalStockChanges Remarks (k) |
1 | |||||||||||
2 | |||||||||||
3 | |||||||||||
4 | |||||||||||
5 | |||||||||||
6 | |||||||||||
7 | |||||||||||
8 | |||||||||||
9 | |||||||||||
10 | |||||||||||
11 | |||||||||||
12 | |||||||||||
13 | |||||||||||
14 | |||||||||||
15 | |||||||||||
16 | |||||||||||
17 | |||||||||||
18 | |||||||||||
19 | |||||||||||
20 | |||||||||||
21 | |||||||||||
22 | |||||||||||
23 | |||||||||||
24 | |||||||||||
25 | |||||||||||
26 | |||||||||||
27 | |||||||||||
28 | |||||||||||
29 | |||||||||||
30 | |||||||||||
31 | |||||||||||
32 | |||||||||||
33 | |||||||||||
34 | |||||||||||
35 | |||||||||||
36 | |||||||||||
37 | |||||||||||
38 | |||||||||||
39 | |||||||||||
40 | |||||||||||
41 | |||||||||||
42 | |||||||||||
43 |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Additional Paid-in Capital |
|||
Give an analysis of Account 73, Additional Paid-In Capital. In column (a) give a brief description of the items added or deducted and in column (b) insert the contra account number to which the amount stated in column (c) was charged or credited. |
|||
Line No. |
Item (a) |
Contra Account Number (b) |
Amount (in dollars) (c) |
1 |
AdditionalPaidInCapital Balance at Beginning of Year |
||
2 |
AdditionalPaidInCapitalAdditionsAbstract Additional Paid-in Capital Additions |
||
11 |
AdditionalPaidInCapitalAdditions TOTAL Additions During the Year |
||
12 |
AdditionalPaidInCapitalDeductionsAbstract Additional Paid-in Capital Deductions |
||
23 |
AdditionalPaidInCapitalDeductions TOTAL Deductions During the Year |
||
24 |
AdditionalPaidInCapital Balance at End of Year |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Operating Revenues |
||||
Report the respondent's pipeline operating revenues year to date, classified in accordance with the USofA. |
||||
Line No. |
Account (a) |
Crude Oil Current Year to Date Quarter (b) |
Products Current Year to Date Quarter (c) |
Total Year to Date Quarter (b) + (c) (d) |
1 |
GatheringRevenues (200) Gathering Revenues |
|||
2 |
TrunkRevenues (210) Trunk Revenues |
|||
3 |
DeliveryRevenues (220) Delivery Revenues |
|||
4 |
AllowanceOilRevenue (230) Allowance Oil Revenue |
|||
5 |
StorageAndDemurrageRevenue (240) Storage and Demurrage Revenue |
|||
6 |
RentalRevenue (250) Rental Revenue |
|||
7 |
IncidentalRevenue (260) Incidental Revenue |
|||
8 |
OperatingRevenues TOTAL (lines 1 through 7) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Operating Revenue Accounts (Account 600) |
|||||||
|
|||||||
Crude Oil | Products | Total | |||||
Line No. |
Operating Revenue Accounts (a) |
Previous Year (in dollars) (b) |
Current Year (in dollars) (c) |
Previous Year (in dollars) (d) |
Current Year (in dollars) (e) |
Previous Year (in dollars) (b + d) (f) |
Current Year (in dollars) (c + e) (g) |
1 |
GatheringRevenues Gathering Revenues (200) |
||||||
2 |
TrunkRevenues Trunk Revenues (210) |
||||||
3 |
DeliveryRevenues Delivery Revenues (220) |
||||||
4 |
AllowanceOilRevenue Allowance Oil Revenues (230) |
||||||
5 |
StorageAndDemurrageRevenue Storage and Demurrage Revenue (240) |
||||||
6 |
RentalRevenue Rental Revenue (250) |
||||||
7 |
IncidentalRevenue Incidental Revenue (260) |
||||||
8 |
OperatingRevenues TOTAL |
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Interstate | Intrastate | Total | |||||
Line No. |
Operating Revenue Accounts (a) |
Previous Year (in dollars) (b) |
Current Year (in dollars) (c) |
Previous Year (in dollars) (d) |
Current Year (in dollars) (e) |
Previous Year (in dollars) (b + d) (f) |
Current Year (in dollars) (c + e) (g) |
1 |
GatheringRevenues Gathering Revenues (200) |
||||||
2 |
TrunkRevenues Trunk Revenues (210) |
||||||
3 |
DeliveryRevenues Delivery Revenues (220) |
||||||
4 |
GatheringTrunkAndDeliveryRevenues TOTAL |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Operating Expense Accounts (Account 610) |
|||||||||
State the pipeline operating expenses of the respondent for the year, classifying them in accordance with the USofA. |
|||||||||
CRUDE OIL (Year to Date) | PRODUCTS (Year to Date) | ||||||||
Line No. |
Operating Expenses Accounts (a) |
Gathering (b) |
Trunk (c) |
Delivery (d) |
Total (b + c + d) (e) |
Trunk (in dollars) (f) |
Delivery (in dollars) (g) |
Total (f + g) (in dollars) (h) |
Grand Total (e + h) (i) |
OperationsAndMaintenanceAbstract OPERATIONS and MAINTENANCE |
|||||||||
1 |
SalariesAndWagesOperationsAndMaintenance Salaries and Wages (300) |
||||||||
2 |
MaterialsAndSuppliesOperationsAndMaintenance Materials and Supplies (310) |
||||||||
3 |
OutsideServicesOperationsAndMaintenance Outside Services (320) |
||||||||
4 |
OperatingFuelAndPowerOperationsAndMaintenance Operating Fuel and Power (330) |
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5 |
OilLossesAndShortagesOperationsAndMaintenance Oil Losses and Shortages (340) |
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6 |
RentalsOperationsAndMaintenance Rentals (350) |
||||||||
7 |
OtherExpensesOperationsAndMaintenance Other Expenses (390) |
||||||||
8 |
OperationsAndMaintenanceExpensesOil TOTAL Operations and Maintenance Expenses |
||||||||
GeneralExpenseAbstract GENERAL |
|||||||||
9 |
SalariesAndWagesGeneralExpense Salaries and Wages (500) |
||||||||
10 |
MaterialsAndSuppliesGeneralExpense Materials and Supplies (510) |
||||||||
11 |
OutsideServicesGeneralExpense Outside Services (520) |
||||||||
12 |
RentalsGeneralExpense Rentals (530) |
||||||||
13 |
DepreciationAndAmortizationGeneralExpense Depreciation and Amortization (540) |
||||||||
14 |
DepreciationExpenseForAssetRetirementCosts Depreciation Expense for Asset Retirement Costs (541) |
||||||||
15 |
EmployeeBenefitsGeneralExpense Employee Benefits (550) |
||||||||
16 |
InsuranceGeneralExpense Insurance (560) |
||||||||
17 |
CasualtyAndOtherLossesGeneralExpense Casualty and Other Losses (570) |
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18 |
PipelineTaxesGeneralExpense Pipeline Taxes (580) |
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19 |
OtherExpensesGeneralExpense Other Expenses (590) |
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20 |
AccretionExpense Accretion Expense (591) |
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21 |
GainsOrLossesOnAssetRetirementObligationsGeneralExpense Gains or Losses on Asset Retirement Obligations (592) |
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22 |
GeneralExpensesOil TOTAL General Expenses |
||||||||
23 |
OperatingExpenses GRAND TOTALS |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Pipeline Taxes (Other than Income Taxes) |
||
|
||
A. STATE, LOCAL, AND OTHER TAXES | ||
Line No. |
Name of State (a) |
Amount (in dollars) (b) |
1 | ||
2 | ||
3 | ||
4 | ||
5 | ||
6 | ||
7 | ||
8 | ||
9 | ||
10 | ||
11 | ||
12 | ||
13 | ||
14 | ||
15 | ||
16 | ||
17 | ||
18 | ||
19 | ||
20 | ||
21 | ||
22 | ||
23 | ||
24 | ||
25 | ||
26 | ||
27 | ||
28 | ||
29 | ||
30 | ||
31 | ||
32 | ||
33 | ||
34 | ||
35 | ||
36 | ||
37 | ||
38 | ||
39 | ||
40 | ||
41 | ||
42 | ||
43 | ||
44 | ||
45 | ||
46 | ||
47 | ||
48 | ||
49 | ||
50 | ||
51 | ||
52 | ||
53 | ||
54 | ||
55 | ||
56 | ||
57 | ||
58 | ||
59 |
TOTAL - State, Local and Other Taxes |
|
B. U.S. GOVERNMENT TAXES | ||
Line No. |
(a)
|
(b)
|
61 |
OldAgeRetirementTaxExpense Old-Age Retirement |
|
62 |
UnemploymentInsuranceTaxExpense Unemployment Insurance |
|
63 |
OtherPipelineTaxExpenseAbstract Other U.S. Taxes (Specify, Except Income Taxes) |
|
70 |
FederalPipelineTaxExpenseIncludingOldAgeRetirementsAndUnemploymentInsuranceTaxes TOTAL - U.S. Government Taxes |
|
71 |
PipelineTaxesGeneralExpense GRAND Total (Account No. 580) |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Income From Noncarrier Property |
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|
||||
Line No. |
NoncarrierPropertyDescription General Description of Property (a) |
NoncarrierPropertyRevenue Total Revenues (in dollars) (b) |
NoncarrierPropertyExpense Total Expenses (in dollars) (c) |
Net Income (Loss) (in dollars) (b - c) (d) |
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
6 | ||||
7 | ||||
8 | ||||
9 | ||||
10 | ||||
11 | ||||
12 | ||||
13 | ||||
14 | ||||
15 | ||||
16 | ||||
17 | ||||
18 | ||||
19 | ||||
20 | ||||
21 | ||||
22 | ||||
23 | ||||
24 | ||||
25 | ||||
26 | ||||
27 | ||||
28 | ||||
29 | ||||
30 | ||||
31 | ||||
32 | ||||
33 | ||||
34 | ||||
35 | ||||
36 | ||||
37 | ||||
38 | ||||
39 | ||||
40 | ||||
41 | ||||
42 | ||||
43 | ||||
44 | ||||
45 | ||||
46 | ||||
47 | ||||
48 | ||||
49 | ||||
50 |
Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Interest and Dividend Income |
|||
Give a detailed analysis of amounts credited to Account No. 630, Interest and Dividend Income, classified in accordance with the USofA. |
|||
Line No. |
Item (a) |
Dividend Income (in dollars) (b) |
Interest Income (in dollars) (c) |
1 |
Inc from Securities Invest in Affil Co (From Sched 202) |
||
2 |
Income from Other Securities Investments |
||
3 |
Income from Temporary Cash Investments |
||
4 |
Other Credits (specify) |
||
5 | |||
6 | |||
7 | |||
8 | |||
9 | |||
10 | |||
11 | |||
12 | |||
13 | |||
14 | |||
15 | |||
16 | |||
17 | |||
18 | |||
19 | |||
20 | |||
21 | |||
22 | |||
23 | |||
24 | |||
25 | |||
26 | |||
27 | |||
28 | |||
29 | |||
30 | |||
31 | |||
32 | |||
33 | |||
34 | |||
35 | |||
36 | |||
37 | |||
38 | |||
39 | |||
40 | |||
41 | |||
42 | |||
43 | |||
44 | |||
45 | |||
46 | |||
47 | |||
48 | |||
49 | |||
50 |
Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Miscellaneous Items in Income and Retained Income Accounts for the Year |
||||
|
||||
Line No. |
MiscellaneousItemsAccountNumber Account No. (a) |
DescriptionOfMiscellaneousItem Item (b) |
DecreaseInMiscellaneousItemsInIncomeAndRetainedIncomeAccounts Debits (in dollars) (c) |
IncreaseInMiscellaneousItemsInIncomeAndRetainedIncomeAccounts Credits (in dollars) (d) |
Account 640, Miscellaneous Income |
||||
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
Total - Account 640, Miscellaneous Income |
||||
Account 660, Miscellaneous Income Charges |
||||
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
Total - Account 660, Miscellaneous Income Charges |
||||
Account 680, Extraordinary Items |
||||
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
Total - Account 680, Extraordinary Items |
||||
Account 695, Income Taxes on Extraordinary Items |
||||
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
Total - Account 695, Income Taxes on Extraordinary Items |
||||
Account 710, Other Credits to Retained Income |
||||
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
Total - Account 710, Other Credits to Retained Income |
||||
Account 720, Other Debits to Retained Income |
||||
1 | ||||
2 | ||||
3 | ||||
4 | ||||
5 | ||||
Total - Account 720, Other Debits to Retained Income |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Payments for Services Rendered by Other than Employees |
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|
|||
Line No. |
Name of Recipient (a) |
Nature of Service (b) |
Amount of Payment (in dollars) (c) |
1 | |||
2 | |||
3 | |||
4 | |||
5 | |||
6 | |||
7 | |||
8 | |||
9 | |||
10 | |||
11 | |||
12 | |||
13 | |||
14 | |||
15 | |||
16 | |||
17 | |||
18 | |||
19 | |||
20 | |||
21 | |||
22 | |||
23 | |||
24 | |||
25 | |||
26 | |||
27 | |||
28 | |||
29 | |||
30 | |||
31 | |||
32 | |||
33 | |||
34 | |||
35 | |||
36 | |||
37 | |||
38 | |||
39 | |||
40 | Total |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Statistics of Operations |
||||||||||||||||||||||||||
|
||||||||||||||||||||||||||
Number of Barrels Received (Year to Date) | Number of Barrels Delivered Out (Year to Date) | |||||||||||||||||||||||||
ORIGINATED On | TERMINATED On | |||||||||||||||||||||||||
Line No. |
StateOfOrigin State of Origin (a) |
RefinedProductType Type of Refined Products Transported (b) |
NumberOfBarrelsReceivedFromConnectingCarriers From Connecting Carriers (c) |
NumberOfBarrelsReceivedOnGatheringLines Gathering Lines (d) |
NumberOfBarrelsReceivedOnTrunkLines Trunk Lines (e) |
NumberOfBarrelsReceived Total Received (c + d + e) (f) |
NumberOfBarrelsDeliveredOutToConnectingCarriers To Connecting Carriers (g) |
NumberOfBarrelsDeliveredOutOnGatheringLines Gathering Lines (h) |
NumberOfBarrelsDeliveredOutOnTrunkLines Trunk Lines (i) |
NumberOfBarrelsDeliveredOut Total Delivered Out (g + h + i) (j) |
||||||||||||||||
CRUDE OIL | ||||||||||||||||||||||||||
15 | TOTAL | |||||||||||||||||||||||||
PRODUCTS | ||||||||||||||||||||||||||
31 | TOTAL | |||||||||||||||||||||||||
32 | GRAND TOTAL |
33a | Total Number of Barrel-Miles (Trunk Lines Only): | |
(1) Crude Oil | ||
(2) Products | ||
33b | Total Number of Barrels of Oil Having Trunk-Line Movement: | |
(1) Crude Oil | ||
(2) Products |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Statistics of Operations - Operated by Others |
||||||||||||||||||||||||||
|
||||||||||||||||||||||||||
Number of Barrels Received (Year to Date) | Number of Barrels Delivered Out (Year to Date) | |||||||||||||||||||||||||
ORIGINATED On | TERMINATED On | |||||||||||||||||||||||||
Line No. |
StateOfOriginOwnedByRespondentButOperatedByOthers State of Origin (a) |
RefinedProductTypeOwnedByRespondentButOperatedByOthers Type of Refined Products Transported (b) |
NumberOfBarrelsReceivedFromConnectingCarriersOwnedByRespondentButOperatedByOthers From Connecting Carriers (c) |
NumberOfBarrelsReceivedOnGatheringLinesOwnedByRespondentButOperatedByOthers Gathering Lines (d) |
NumberOfBarrelsReceivedOnTrunkLinesOwnedByRespondentButOperatedByOthers Trunk Lines (e) |
NumberOfBarrelsReceivedOwnedByRespondentButOperatedByOthers Total Received (c + d + e) (f) |
NumberOfBarrelsDeliveredOutToConnectingCarriersOwnedByRespondentButOperatedByOthers To Connecting Carriers (g) |
NumberOfBarrelsDeliveredOutOnGatheringLinesOwnedByRespondentButOperatedByOthers Gathering Lines (h) |
NumberOfBarrelsDeliveredOutOnTrunkLinesOwnedByRespondentButOperatedByOthers Trunk Lines (i) |
NumberOfBarrelsDeliveredOutOwnedByRespondentButOperatedByOthers Total Delivered Out (g + h + i) (j) |
||||||||||||||||
1 |
CRUDE OIL |
|||||||||||||||||||||||||
2 | ||||||||||||||||||||||||||
3 | ||||||||||||||||||||||||||
4 | ||||||||||||||||||||||||||
5 | ||||||||||||||||||||||||||
6 | ||||||||||||||||||||||||||
7 | ||||||||||||||||||||||||||
8 | ||||||||||||||||||||||||||
9 | ||||||||||||||||||||||||||
10 | ||||||||||||||||||||||||||
11 | ||||||||||||||||||||||||||
12 | ||||||||||||||||||||||||||
13 | ||||||||||||||||||||||||||
14 | ||||||||||||||||||||||||||
15 | ||||||||||||||||||||||||||
16 | ||||||||||||||||||||||||||
17 |
PRODUCT |
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18 | ||||||||||||||||||||||||||
19 | ||||||||||||||||||||||||||
20 | ||||||||||||||||||||||||||
21 | ||||||||||||||||||||||||||
22 | ||||||||||||||||||||||||||
23 | ||||||||||||||||||||||||||
24 | ||||||||||||||||||||||||||
25 | ||||||||||||||||||||||||||
26 | ||||||||||||||||||||||||||
27 | ||||||||||||||||||||||||||
28 | ||||||||||||||||||||||||||
29 | ||||||||||||||||||||||||||
30 | ||||||||||||||||||||||||||
31 | ||||||||||||||||||||||||||
32 | ||||||||||||||||||||||||||
33 |
33a Total Number of Barrel-Miles (Trunk Lines Only): |
|||||||||||||||||||||||||
34 |
(1) Crude Oil |
|||||||||||||||||||||||||
35 |
(2) Products |
|||||||||||||||||||||||||
36 |
33b Total Number of Barrels of Oil Having Trunk-Line Movement: |
|||||||||||||||||||||||||
37 |
(1) Crude Oil |
|||||||||||||||||||||||||
38 |
(2) Products |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Miles of Pipeline Operated at end of Year |
||||||||||||||||
|
||||||||||||||||
TERMINI | OP AT END OF YR | CHG IN MILES OPR DUR THE YR | ||||||||||||||
GATHERING LINES | TRUNK LINES FOR CRUDE OIL | TRUNK LINES FOR PRODUCTS | INCREASES | DECREASES | ||||||||||||
Line No. |
NameAndStateOfCompany
Name of Company and State
(a) |
PipelineStartPoint
From -
(b) |
PipelineEndPoint
TO -
(c) |
MilesOfGatheringLinesOperated
Miles
(d) |
SizeOfGatheringLinesOperated
Size of Line (in inches)
(e) |
MilesOfTrunkLinesForCrudeOilOperated
Miles
(f) |
SizeOfTrunkLinesForCrudeOilOperated
Size of Lines (in inches)
(g) |
MilesOfTrunkLinesForProductsOperated
Miles
(h) |
SizeOfTrunkLinesForProductsOperated
Size of Line (in inches)
(i) |
IncreaseMilesOfGatheringLinesOperated
Gathering Lines
(j) |
IncreaseMilesOfTrunkLinesForCrudeOilOperated
Crude Oil
(k) |
IncreaseMilesOfTrunkLinesForProductsOperated
Products
(l) |
DecreaseMilesOfGatheringLinesOperated
Gathering Lines
(m) |
DecreaseMilesOfTrunkLinesForCrudeOilOperated
Crude Oil
(n) |
DecreaseMilesOfTrunkLinesForProductsOperated
Products
(o) |
|
(A) OWNED AND OPERATED BY RESPONDENT | ||||||||||||||||
40 | Subtotal | |||||||||||||||
(B) OWNED IN UNDIVIDED JOINT INTEREST AND OPERATED BY RESPONDENT | ||||||||||||||||
40 | Subtotal | |||||||||||||||
(C) OWNED IN UNDIVIDED JOINT INTEREST AND OPERATED BY OTHERS | ||||||||||||||||
40 | Subtotal | |||||||||||||||
(D) OWNED BY OTHERS BUT OPERATED BY RESPONDENT | ||||||||||||||||
40 | Subtotal | |||||||||||||||
GRAND TOTAL |
Name of Respondent |
This Report Is: (1) ☐ An Original (2) ☐ A Resubmission |
Date of Report |
Year/Period of Report End of: / |
Annual Cost of Service Based Analysis Schedule |
|||
|
|||
Line No. |
Item (a) |
Current Year Amount (in dollars) (b) |
Previous Year Amount (in dollars) (c) |
1 |
OperatingAndMaintenanceExpenses Operating and Maintenance Expenses |
||
2 |
DepreciationExpense Depreciation Expense |
||
3 |
AfudcDepreciationExpense AFUDC Depreciation |
||
4 |
AmortizationOfDeferredEarnings Amortization of Deferred Earnings |
||
RateBaseAbstract Rate Base |
|||
5a |
OriginalCostIncludedInRateBase Rate Base - Original Cost |
||
5b |
UnamortizedStartingRateBaseWriteUp Rate Base - Unamortized Starting Rate Base Write-Up |
||
5c |
AccumulatedNetDeferredEarningsIncludedInRateBase Rate Base - Accumulated Net Deferred Earnings |
||
5d |
TrendedOriginalCostRateBase Total Rate Base -Trended Original Cost - (line 5a + line 5b + line 5c) |
||
RateOfReturnAbstract Rate of Return % (10.25% - 10.25) |
|||
6a |
AdjustedCapitalStructureRatioForLongTermDebtRateOfReturn Rate of Return - Adjusted Capital Structure Ratio for Long Term Debt |
||
6b |
AdjustedCapitalStructureRatioForStockholdersEquityRateOfReturn Rate of Return - Adjusted Capital Structure Ratio for Stockholders’ Equity |
||
6c |
CostOfLongTermDebtCapitalRateOfReturn Rate of Return - Cost of Long Term Debt Capital |
||
6d |
RealCostOfStockholdersEquityRateOfReturn Rate of Return - Real Cost of Stockholders’ Equity |
||
6e |
WeightedAverageCostOfCapitalRateOfReturn Rate of Return - Weighted Average Cost of Capital - (line 6a x line 6c + line 6b x line 6d) |
||
ReturnOnTrendedOriginalCostRateBaseAbstract Return on Trended Original Cost Rate Base |
|||
7a |
DebtComponentReturnOnRateBase Return on Rate Base - Debt Component - (line 5d x line 6a x line 6c) |
||
7b |
EquityComponentReturnOnRateBase Return on Rate Base - Equity Component - (line 5d x line 6b x line 6d) |
||
7c |
ReturnOnRateBase Total Return on Rate Base - (line 7a + line 7b) |
||
8 |
IncomeTaxAllowance Income Tax Allowance |
||
8a |
CompositeTaxRate Composite Tax Rate % (37.50% - 37.50) |
||
9 |
CostOfService Total Cost of Service |
||
10 |
InterstateOperatingRevenues Total Interstate Operating Revenues |
||
11 |
NumberOfBarrelsReceivedAndDeliveredOutInterstate Total Interstate Throughput in Barrels |
||
12 |
NumberOfBarrelMilesReceivedAndDeliveredOutInterstate Total Interstate Throughput in Barrel-Miles |