SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. FORM U-3A-2/A Statement by Holding Company Claiming Exemption Under Rule U-3A-2 from the Provisions of the Public Utility Holding Company Act of 1935 CH ENERGY GROUP, INC. hereby amends Exhibit A to Form U-3A-2 CH Energy Group, Inc. filed on February 26, 2002 and thereafter amended on March 5, 2002 in its entirety to read as Exhibit A attached hereto. The above-named claimant has caused this statement to be duly executed on its behalf by its authorized officer on the 29th day of April, 2002. CH ENERGY GROUP, INC. By: /s/ Steven V. Lant ------------------------------------ Steven V. Lant Chief Operating Officer and Chief Financial Officer Attest: /s/ Gladys L. Cooper ------------------------------------ Gladys L. Cooper Corporate Secretary Name, title and address of officer to whom notices and correspondence concerning this statement should be addressed: Steven V. Lant Chief Operating Officer and Chief Financial Officer CH Energy Group, Inc. 284 South Avenue Poughkeepsie, New York 12601-4879 EXHIBIT A Consolidating Financial Statements of CH Energy Group, Inc. as of December 31, 2001 C H Energy Group, Inc. Consolidated Balance Sheet December 31, 2001 Holding Company Consolidated Consolidated C H Energy Central C H Energy Subsidiaries ASSETS Group, Inc. Hudson Services, Inc. Subtotal ------------ ------------ -------------- -------------- Utility Plant Electric $584,830,537 $ 584,830,537 Gas 180,672,689 180,672,689 Common 97,124,477 97,124,477 Nuclear Fuel 0 0 ------------ ------------ ------------ -------------- 0 862,627,703 0 862,627,703 Less: Accumulated Depreciation 354,010,087 354,010,087 Nuclear Fuel Amortization 0 0 ------------ ------------ ------------ -------------- 0 508,617,616 0 508,617,616 Construction Work in Progress 53,138,733 53,138,733 ------------ ------------ ------------ -------------- 0 561,756,349 0 561,756,349 Other Property and Plant 74,683 970,180 47,156,932 48,127,112 ------------ ------------ ------------ -------------- Prefunded Pension Costs 78,742,756 78,742,756 Other Investments 1,892,591 1,892,591 Partnership Interest 4,406,998 4,406,998 Investment in CHG&E 264,406,447 0 Investments in C H Services 163,515,086 0 ------------ ------------ ------------ -------------- Total Other Investments 427,921,533 80,635,347 4,406,998 85,042,345 Intangible Assets 0 0 79,587,161 79,587,161 Current Assets: Cash and Cash Equivalents 77,421,196 47,863,681 7,109,914 54,973,595 Accounts Receivable from Customers 37,356,410 24,183,765 61,540,175 Accounts Receivable - Affiliates 252,062 177,276 2,952,608 3,129,884 Accrued Unbilled Utility Revenues 11,765,375 11,765,375 Other Receivables 8,968,128 8,968,128 Fuel and Materials & Supplies 13,867,351 4,534,993 18,402,344 Special Deposits 24,193,342 24,193,342 Prepayments 8,013,250 9,391,311 17,404,561 ------------ ------------ ------------ -------------- Total Current Assets 77,673,258 152,204,813 48,172,591 200,377,404 Deferred Charges and Other Assets Regulatory Assets 35,093,998 35,093,998 Unamortized Debt Expense 3,545,062 3,545,062 Fair Value of Derivatives 1,024,000 25,642,394 1,924,659 27,567,053 Deferred Debits 26,622,536 26,622,536 Clearing Accounts 171,009 171,009 Other Assets 18,611,670 14,765,718 33,377,388 ------------ ------------ ------------ -------------- 1,024,000 109,686,669 16,690,377 126,377,046 ------------ ------------ ------------ -------------- Accumulated Deferred Income Tax (Net) 0 63,959 63,959 ------------ ------------ ------------ -------------- Partnerships 0 Long Term Receivable from Affiliate 0 ------------ ------------ ------------ -------------- Total Assets $506,693,474 $905,253,358 $196,078,018 $1,101,331,376 ============ ============ ============ ============== Adjustments Consolidated Eliminations C H Energy Debit/(Credit) Group, Inc. -------------- -------------- Utility Plant Electric $ 584,830,537 Gas 180,672,689 Common 97,124,477 Nuclear Fuel 0 ------------- -------------- 0 862,627,703 Less: Accumulated Depreciation 354,010,087 Nuclear Fuel Amortization 0 ------------- -------------- 0 508,617,616 Construction Work in Progress 53,138,733 ------------- -------------- 0 561,756,349 0 Other Property and Plant 48,201,795 ------------- -------------- Prefunded Pension Costs 78,742,756 Other Investments 1,892,591 Partnership Interest 4,406,998 Investment in CHG&E Investments in C H Services (445,884,430) 17,962,897 0 ------------- -------------- Total Other Investments (427,921,533) 85,042,345 Intangible Assets 79,587,161 Current Assets: Cash and Cash Equivalents 132,394,791 Accounts Receivable from Customers 61,540,175 Accounts Receivable - Affiliates (3,381,577) 369 Accrued Unbilled Utility Revenues 11,765,375 Other Receivables 8,968,128 Fuel and Materials & Supplies 18,402,344 Special Deposits 24,193,342 Prepayments 11,983,831* 29,388,392 ------------- -------------- Total Current Assets 8,602,254 286,652,916 Deferred Charges and Other Assets Regulatory Assets 35,093,998 Unamortized Debt Expense 3,545,062 Fair Value of Derivatives 28,591,053 Deferred Debits 26,622,536 Clearing Accounts 171,009 Other Assets 33,377,388 ------------- -------------- 0 127,401,046 ------------- -------------- Accumulated Deferred Income Tax (Net) (63,959) 0 ------------- -------------- Partnerships 0 Long Term Receivable from Affiliate 0 0 ------------- -------------- Total Assets ($419,383,238) $1,188,641,612 ============= ============== * Reclassification of $11,983,831 debit balance in the Current Liabilities - Accrued Taxes Account to the Current Assets - Prepayments Account. C H Energy Group, Inc. Consolidated Balance Sheet December 31, 2001 Holding Company Consolidated Consolidated C H Energy Central CH Energy Subsidiaries CAPITALIZATION and LIABILITIES Group, Inc. Hudson Services, Inc. Subtotal ------------- ------------- -------------- --------------- Capitalization Common Stock $ 1,686,209 $ 84,310,435 $ 2,510 $ 84,312,945 Paid in Capital 351,201,544 174,979,688 71,633,500 246,613,188 Retained Earnings - Brought Forward 163,316,671 9,777,187 9,379,075 19,156,262 OCI - Derivatives 0 0 0 0 Reacquired Capital Stock (18,765,307) 0 0 Capital Stock Expense - Preferred (5,790,614) (5,790,614) ------------- ------------- ------------- --------------- Total Shareholder's Equity 497,439,117 263,276,696 81,015,085 344,291,781 ------------- ------------- ------------- --------------- Cumulative Preferred Stock Not Subject to Mandatory Redemption 21,030,000 21,030,000 Subject to Mandatory Redemption 35,000,000 35,000,000 ------------- ------------- ------------- --------------- 0 56,030,000 0 56,030,000 ------------- ------------- ------------- --------------- Long Term Debt 215,950,000 250,000 216,200,000 Unamortized Premium & Discount on Debt (76,309) (76,309) Long Term Debt to Affiliate 0 82,500,000 82,500,000 ------------- ------------- ------------- --------------- 0 215,873,691 82,750,000 298,623,691 ------------- ------------- ------------- --------------- 497,439,117 535,180,387 163,765,085 698,945,472 ------------- ------------- ------------- --------------- Current Liabilities Current Maturities of Long-term Debt and Preferred Stock 20,000,000 20,000,000 Notes Payable 0 250,000 250,000 Accounts Payable 32,107,291 30,427,135 62,534,426 Accounts Payable - CH Energy Group, Inc. 17,961 234,101 252,062 Accounts Payable - FIT - CHG&E (2,970,586) 0 Accounts Payable - FIT - CH Services 2,789,059 0 Accounts Payable - NYS - CHG&E 12,260,577 0 Accounts Payable - NYS - CH Services 163,549 0 Accounts Payable to Affiliates / Parent 176,909 176,909 Accrued Taxes - FIT & NYS (7,431,045) 0 Accrued Taxes - Other (4,392,755) (9,450,024) (9,450,024) Accrued Interest 2,538,001 2,538,001 Dividends Payable 8,835,527 807,488 807,488 Accrued Vacation 3,899,700 3,899,700 Customer Deposits 5,032,287 5,032,287 Other 31 11,545,133 11,545,133 ------------- ------------- ------------- --------------- Total Current Liabilities 9,254,357 66,497,837 31,088,145 97,585,982 ------------- ------------- ------------- --------------- Deferred Credits & Other Liabilities Regulatory Liabilities 235,960,095 235,960,095 Miscellaneous Reserves 4,852,994 4,852,994 Customer Advance for Construction 215,615 215,615 Other Deferred Credits 42,347,791 42,347,791 ------------- ------------- ------------- --------------- 0 283,376,495 0 283,376,495 ------------- ------------- ------------- --------------- Accumulated Deferred Income Tax (Net) 20,198,639 1,224,788 21,423,427 ------------- ------------- ------------- --------------- Total Liabilities $ 506,693,474 $ 905,253,358 $ 196,078,018 $ 1,101,331,376 ============= ============= ============= =============== Adjustments Consolidated Eliminations C H Energy Debit/(Credit) Group, Inc. -------------- -------------- Capitalization Common Stock $ 84,312,945 $ 1,686,209 Paid in Capital 246,585,168 351,229,564 Retained Earnings - Brought Forward 19,156,262 163,316,671 OCI - Derivatives 0 Reacquired Capital Stock (18,765,307) Capital Stock Expense - Preferred (4,632,842) (1,157,772) ------------- -------------- Total Shareholder's Equity 345,421,533 496,309,365 ------------- -------------- Cumulative Preferred Stock Not Subject to Mandatory Redemption 21,030,000 Subject to Mandatory Redemption 35,000,000 ------------- -------------- 0 56,030,000 ------------- -------------- Long Term Debt 216,200,000 Unamortized Premium & Discount on Debt (76,309) Long Term Debt to Affiliate 82,500,000 0 ------------- -------------- 82,500,000 216,123,691 ------------- -------------- 427,921,533 768,463,056 ------------- -------------- Current Liabilities Current Maturities of Long-term Debt and Preferred Stock 20,000,000 Notes Payable 250,000 Accounts Payable 62,534,426 Accounts Payable - CH Energy Group, Inc. 252,062 0 Accounts Payable - FIT - CHG&E (2,970,586) 0 Accounts Payable - FIT - CH Services 2,789,059 0 Accounts Payable - NYS - CHG&E 12,260,577 0 Accounts Payable - NYS - CH Services 163,549 0 Accounts Payable to Affiliates / Parent 176,909 0 Accrued Taxes - FIT & NYS (11,983,831)* 4,552,786 Accrued Taxes - Other (9,289,993) (4,552,786) Accrued Interest 2,538,001 Dividends Payable 9,643,015 Accrued Vacation 3,899,700 Customer Deposits 5,032,287 Other 11,545,164 ------------- -------------- Total Current Liabilities (8,602,254) 115,442,593 ------------- -------------- Deferred Credits & Other Liabilities Regulatory Liabilities 235,960,095 Miscellaneous Reserves 4,852,994 Customer Advance for Construction 215,615 Other Deferred Credits 42,347,791 ------------- -------------- 0 283,376,495 ------------- -------------- Accumulated Deferred Income Tax (Net) 63,959 21,359,468 ------------- -------------- Total Liabilities $ 419,383,238 $1,188,641,612 ============= ============== * Reclassification of $(11,983,831) debit balance in the Current Liabilities - Accrued Taxes Account to the Current Assets - Prepayments Account. CH ENERGY GROUP, INC. Consolidated Income Statement Twelve Month Total @ December 31, 2001 Holding Company Consolidated Consolidated Adjustments Consolidated CH Energy Central CH Eliminations CH Energy Group, Inc. Hudson Services DR / (CR) Ref Group, Inc. ------------ ------------- ------------- ------------- --- ------------ Operating Revenues Electric 0 418,433,214 418,433,214 Gas 0 109,638,237 109,638,237 Other 0 189,297,742 189,297,742 ------------------------------------------------------------------------------ Total - own territory 0 528,071,451 189,297,742 0 717,369,193 Revenues from Electric sales to other utilities 0 9,983,356 9,983,356 Revenues from Gas sales to other utilities 0 1,078,560 1,078,560 ------------------------------------------------------------------------------ 0 539,133,367 189,297,742 0 728,431,109 ------------------------------------------------------------------------------ Operating Expenses Operation: Fuel Used in electric generation 0 15,406,345 18,907,699 34,314,044 Purchased electricity 0 209,102,626 5,532,494 214,635,120 Purchased petroleum 0 89,173,280 89,173,280 Purchased natural gas 0 63,750,935 8,562,683 72,313,618 Other expenses of operation (62,371) 86,752,002 56,481,903 143,171,536 Maintenance 0 20,060,946 0 20,060,946 Depreciation and amortization 850 26,812,866 8,823,257 35,636,973 Taxes, other than income tax 78,187 50,170,045 153,974 50,402,206 Federal/State income tax 3,264,800 247,275,266 35,904 250,575,970 Deferred income tax 0 (229,532,766) 0 (229,532,766) ------------------------------------------------------------------------------ 3,281,466 489,798,265 187,671,194 0 680,750,927 ------------------------------------------------------------------------------ Operating Income (3,281,466) 49,335,102 1,626,548 0 47,680,182 ------------------------------------------------------------------------------ Other Income and Deductions Equity Earnings-Subscos. 42,357,446 1,882 0 (42,357,446) 1,882 Allow. for equity funds used during constr 0 429,084 0 429,084 Federal/State income tax 0 (2,635,000) (998,900) (3,633,900) Deferred income tax - credit 0 28,015,200 0 28,015,200 Other income 10,730,489 0 0 (2,977,376) 7,753,113 Other - net 1,028,766 (2,459,897) 4,775,892 3 3,344,764 ------------------------------------------------------------------------------ 54,116,701 23,351,269 3,776,992 (45,334,819) 35,910,143 ------------------------------------------------------------------------------ Income Before Interest Charges 50,835,235 72,686,371 5,403,540 (45,334,819) 83,590,325 ------------------------------------------------------------------------------ Interest Charges Interest on mortgage bonds 0 5,210,877 5,210,877 Interest on other long-term debt 0 10,446,158 10,446,158 Interest on short-term debt 0 125,878 125,878 Other interest 0 11,694,855 3,994,001 (2,977,376) 12,711,480 Allowance for borrowed funds used during construction 0 (319,362) (319,362) Amortization of premium & exp on debt 0 1,350,109 1,350,109 ------------------------------------------------------------------------------ 0 28,508,515 3,994,001 (2,977,376) 29,525,140 ------------------------------------------------------------------------------ Net Income (Loss) (Prior to Consolidation) 50,835,235 44,177,856 1,409,539 (42,357,443) 54,065,185 Dividends on Preferred Stock 3,229,950 3,229,950 ------------------------------------------------------------------------------ Net Income (Loss) Consolidated CH Energy Group 50,835,235 40,947,906 1,409,539 (42,357,443) 50,835,235 Dividends Declared on Common Stock 35,342,108 35,342,108 ------------------------------------------------------------------------------ Balance Retained in the Business 15,493,127 15,493,127 ============================================================================== Central Hudson Energy Service, Inc. (A wholly owned subsidiary of CH Energy Group, Inc.) Unconsolidated Balance Sheets Unconsolidated Balance Sheets - December 31, 2001 ------------------------------------------------------------------------ Services CHEC CH Resources CH Syracuse CH Niagara Assets Current assets: Cash $ 10 $ 2,767,142 $ 768,772 $ -- $ -- Accounts receivable, less allowance for doubtful accounts of $958,272 4,419,737 523,615 Due from affiliates 1,000,000 (996,277) 2,088,875 Notes receivable Installment receivables, net 1,090,055 Inventory 1,179,339 Prepaid 293,391 501,875 6,228,753 10 10 Derivatives 1,500,000 -- ------------------------------------------------------------------------ Total current assets 1,293,401 9,282,532 10,789,354 10 10 Installment receivable 7,917,802 Notes receivable 82,500,000 50,475,000 Deferred projects 1,448,769 Investments in partnerships 4,406,998 Deferred income taxes Due from parent-FIT (996,862) 1,539,906 1,010,780 Due from parent-NYSIT (63,832) 221,475 Other assets 4,941,278 Fixed assets, net 120,848 32,980,907 Goodwill, net Investments in subsidiaries 80,727,512 47,326,731 ------------------------------------------------------------------------ Total non current assets 162,230,650 113,172,222 39,154,440 ------------------------------------------------------------------------ Total assets $ 163,524,051 $ 122,454,754 $ 49,943,794 $ 10 $ 10 ======================================================================== Liabilities and shareholder's equity Current liabilities: Accounts payable and accruals $ 5,310 $ 1,754,914 $ 3,582,090 $ -- $ -- Due to affiliates 3,656 1,935,705 Due to parent-FIT Due to parent 52,234 64,800 Due to CHG&E 71,714 101,471 Note payable 250,000 Deferred income taxes 272,826 870,430 ------------------------------------------------------------------------ Total current liabilities 8,966 4,087,393 4,868,791 ------------------------------------------------------------------------ Notes Payable - Banks 250,000 Notes Payable - Affiliated Companies 82,500,000 63,750,000 19,000,000 ------------------------------------------------------------------------ Total liabilities 82,508,966 67,837,393 24,118,791 ------------------------------------------------------------------------ Shareholder's equity: Capital stock 2,510 7,230,000 566,000 1 1 Additional paid-in capital 71,633,500 36,500,000 27,160,000 9 9 Retained earnings 9,379,075 10,887,361 (1,900,997) Treasury stock ------------------------------------------------------------------------ Shareholder's equity before other comprehensive income 81,015,085 54,617,361 25,825,003 10 10 Other comprehensive income ------------------------------------------------------------------------ Total shareholder's equity 81,015,085 54,617,361 25,825,003 10 10 ------------------------------------------------------------------------ Total liabilities and shareholder's equity $ 163,524,051 $ 122,454,754 $ 49,943,794 $ 10 $ 10 ======================================================================== ------------------------------------------------------------------------- Prime Green Griffith Industrial Point SCASCO Energy Total Assets Current assets: Cash $ 134,743 $ 35,666 $ 1,077,817 $ 2,325,764 $ 7,109,914 Accounts receivable, less allowance for doubtful accounts of $958,272 187,044 5,829,938 10,727,854 21,688,188 Due from affiliates 83,355 2,175,953 Notes receivable 1,405,522 1,405,522 Installment receivables, net 1,090,055 Inventory 48,282 1,017,891 2,289,481 4,534,993 Prepaid 19,869 869,413 1,478,010 9,391,331 Derivatives 424,659 1,924,659 -------------------------------------------------------------------------- Total current assets 473,293 35,666 9,219,718 18,226,631 49,320,615 Installment receivable 7,917,802 Notes receivable 250,000 423,925 133,648,925 Deferred projects 1,448,769 Investments in partnerships 4,406,998 Deferred income taxes 22,981 40,978 63,959 Due from parent-FIT 17,744 160 134,113 1,083,218 2,789,059 Due from parent-NYSIT 5,921 (15) 163,549 Other assets 33,944 4,975,222 Fixed assets, net 74,932 3,984,585 9,995,660 47,156,932 Goodwill, net 145,273 11,033,558 68,408,330 79,587,161 Investments in subsidiaries 128,054,243 -------------------------------------------------------------------------- Total non current assets 266,851 250,145 15,227,178 79,911,133 410,212,619 -------------------------------------------------------------------------- Total assets $ 740,144 $ 285,811 $ 24,446,896 $ 98,137,764 $ 459,533,234 ========================================================================== Liabilities and shareholder's equity Current liabilities: Accounts payable and accruals $ 94,577 $ 598 $ 4,982,156 $ 20,007,494 $ 30,427,139 Due to affiliates 67 236,525 2,175,953 Due to parent-FIT 0 Due to parent 21,084 95,983 234,101 Due to CHG&E 3,724 176,909 Note payable 250,000 Deferred income taxes 81,532 1,224,788 -------------------------------------------------------------------------- Total current liabilities 94,577 665 5,003,240 20,425,258 34,488,890 -------------------------------------------------------------------------- Notes Payable - Banks 250,000 Notes Payable - Affiliated Companies 475,000 10,000,000 40,000,000 215,725,000 -------------------------------------------------------------------------- Total liabilities 569,577 665 15,003,240 60,425,258 250,463,890 -------------------------------------------------------------------------- Shareholder's equity: Capital stock 1 180,000 1,165 10 7,979,688 Additional paid-in capital 249,999 14,648,835 35,000,000 185,192,352 Retained earnings (79,433) 105,146 193,656 2,712,496 21,297,304 Treasury stock (5,400,000) (5,400,000) -------------------------------------------------------------------------- Shareholder's equity before other comprehensive income 170,567 285,146 9,443,656 37,712,506 209,069,344 Other comprehensive income -------------------------------------------------------------------------- Total shareholder's equity 170,567 285,146 9,443,656 37,712,506 209,069,344 -------------------------------------------------------------------------- Total liabilities and shareholder's equity $ 740,144 $ 285,811 $ 24,446,896 $ 98,137,764 $ 459,533,234 ========================================================================== Central Hudson Energy Service, Inc. (A wholly owned subsidiary of CH Energy Group, Inc.) Balance Sheets - Elimination Entries Eliminations ------------------------------------------------------------------------- Services CHEC CH Resources CH Syracuse CH Niagara Assets Current assets: Cash Accounts receivable, less allowance for doubtful accounts of $958,272 Due from affiliates (1,000,000) 996,277 (2,088,875) Notes receivable Installment receivables, net Inventory Prepaid (20) Derivatives ------------------------------------------------------------------------- Total current assets (1,000,000) 996,277 (2,088,895) Installment receivable Notes receivable (82,500,000) (50,475,000) Deferred projects Investments in partnerships Deferred income taxes Due from parent-FIT Due from parent-NYSIT Other assets Fixed assets, net Goodwill, net Investments in subsidiaries (80,727,512) (47,326,731) ------------------------------------------------------------------------- Total non current assets (163,227,512) (97,801,731) 0 0 0 ------------------------------------------------------------------------- Total assets $(164,227,512) $ (96,805,454) $ (2,088,895) $ 0 $ 0 ========================================================================= Liabilities and shareholder's equity Current liabilities: Accounts payable and accruals (1) Due to affiliates (3,656) (1,935,705) Due to parent-FIT Due to parent Due to CHG&E Note payable Deferred income taxes ------------------------------------------------------------------------- Total current liabilities (3,656) (1,935,705) (1) 0 0 ------------------------------------------------------------------------- Notes Payable - Banks Notes Payable - Affiliated Companies (63,750,000) (19,000,000) ------------------------------------------------------------------------- Total liabilities (3,656) (65,685,705) (19,000,001) 0 0 ------------------------------------------------------------------------- Shareholder's equity: Capital stock (7,230,000) (566,000) (1) (1) Additional paid-in capital (36,500,000) (27,160,000) (9) (9) Retained earnings (10,887,361) 1,900,997 Treasury stock ------------------------------------------------------------------------- Shareholder's equity before other comprehensive income 0 (54,617,361) (25,825,003) (10) (10) Other comprehensive income ------------------------------------------------------------------------- Total shareholder's equity 0 (54,617,361) (25,825,003) (10) (10) ------------------------------------------------------------------------- Total liabilities and shareholder's equity (3,656) (120,303,066) (44,825,004) (10) (10) ========================================================================= -------------------------------------------------------------------------- Prime Green Griffith Industrial Point SCASCO Energy Eliminations Assets Current assets: Cash $ -- Accounts receivable, less allowance for doubtful accounts of $958,272 Due from affiliates (83,355) (2,175,953) Notes receivable Installment receivables, net Inventory Prepaid (20) Derivatives -------------------------------------------------------------------------- Total current assets (83,355) (2,175,973) Installment receivable Notes receivable (250,000) (133,225,000) Deferred projects Investments in partnerships Deferred income taxes Due from parent-FIT Due from parent-NYSIT Other assets Fixed assets, net Goodwill, net Investments in subsidiaries (128,054,243) -------------------------------------------------------------------------- Total non current assets 0 (250,000) 0 0 (261,279,243) -------------------------------------------------------------------------- Total assets $ (83,355) $ (250,000) $ 0 $ 0 $(263,455,216) ========================================================================== Liabilities and shareholder's equity Current liabilities: Accounts payable and accruals $ (1) (2) $ (4) Due to affiliates (67) (236,525) (2,175,953) Due to parent-FIT Due to parent Due to CHG&E Note payable Deferred income taxes -------------------------------------------------------------------------- Total current liabilities 0 (68) (2) (236,525) (2,175,957) -------------------------------------------------------------------------- Notes Payable - Banks Notes Payable - Affiliated Companies (475,000) (10,000,000) (40,000,000) (133,225,000) -------------------------------------------------------------------------- Total liabilities (475,000) (68) (10,000,002) (40,236,525) (135,400,957) -------------------------------------------------------------------------- Shareholder's equity: Capital stock (1) (180,000) (1,165) (10) (7,977,178) Additional paid-in capital (249,999) (14,648,835) (35,000,000) (113,558,852) Retained earnings 79,433 (105,146) (193,656) (2,712,496) (11,918,229) Treasury stock 5,400,000 5,400,000 -------------------------------------------------------------------------- Shareholder's equity before other comprehensive income (170,567) (285,146) (9,443,656) (37,712,506) (128,054,259) Other comprehensive income -------------------------------------------------------------------------- Total shareholder's equity (170,567) (285,146) (9,443,656) (37,712,506) (128,054,259) -------------------------------------------------------------------------- Total liabilities and shareholder's equity (645,567) (285,214) (19,443,658) (77,949,031) (263,455,216) ========================================================================== Central Hudson Energy Service, Inc. (A wholly owned subsidiary of CH Energy Group, Inc.) Consolidated Balance Sheets Consolidated ------------------------------------------------------------------------- Services CHEC CH Resources CH Syracuse CH Niagara Assets Current assets: Cash $ 10 $ 2,767,142 $ 768,772 $ -- $ -- Accounts receivable, less allowance for doubtful accounts of $958,272 4,419,737 523,615 Due from affiliates Notes receivable Installment receivables, net 1,090,055 Inventory 1,179,339 Prepaid 293,391 501,875 6,228,733 10 10 Derivatives 1,500,000 ------------------------------------------------------------------------- Total current assets 293,401 10,278,809 8,700,459 10 10 Installment receivable 7,917,802 Notes receivable Deferred projects 1,448,769 Investments in partnerships 4,406,998 Deferred income taxes Due from parent-FIT (996,862) 1,539,906 1,010,780 Due from parent-NYSIT (63,832) 221,475 Other assets 4,941,278 Fixed assets, net 120,848 32,980,907 Goodwill, net Investments in subsidiaries ------------------------------------------------------------------------- Total non current assets (996,862) 15,370,491 39,154,440 0 0 ------------------------------------------------------------------------- Total assets (703,461) 25,649,300 47,854,899 10 10 ========================================================================= Liabilities and shareholder's equity Current liabilities: Accounts payable and accruals $ 5,310 $ 1,754,914 $ 3,582,089 $ -- $ -- Due to affiliates Due to parent-FIT Due to parent 52,234 64,800 Due to CHG&E 71,714 101,471 Note payable 250,000 Deferred income taxes 272,826 870,430 ------------------------------------------------------------------------- Total current liabilities 5,310 2,151,688 4,868,790 0 0 ------------------------------------------------------------------------- Notes Payable - Banks 250,000 Notes Payable - Affiliated Companies 82,500,000 ------------------------------------------------------------------------- Total liabilities 82,505,310 2,151,688 5,118,790 0 0 ------------------------------------------------------------------------- Shareholder's equity: Capital stock 2,510 Additional paid-in capital 71,633,500 Retained earnings 9,379,075 Treasury stock ------------------------------------------------------------------------- Shareholder's equity before other comprehensive income 81,015,085 Other comprehensive income ------------------------------------------------------------------------- Total shareholder's equity 81,015,085 ------------------------------------------------------------------------- Total liabilities and shareholder's equity 163,520,395 2,151,688 5,118,790 0 0 ========================================================================= December 31, 2001 --------------------------------------------------------------------------- Prime Green Griffith Industrial Point SCASCO Energy Assets Current assets: Cash $ 134,743 $ 35,666 $ 1,077,817 $ 2,325,764 $ 7,109,914 Accounts receivable, less allowance for doubtful accounts of $958,272 187,044 5,829,938 10,727,854 21,688,188 Due from affiliates Notes receivable 1,405,522 1,405,522 Installment receivables, net 1,090,055 Inventory 48,282 1,017,891 2,289,481 4,534,993 Prepaid 19,869 869,413 1,478,010 9,391,311 Derivatives 424,659 1,924,659 --------------------------------------------------------------------------- Total current assets 389,938 35,666 9,219,718 18,226,631 47,144,642 Installment receivable 7,917,802 Notes receivable 423,925 423,925 Deferred projects 1,448,769 Investments in partnerships 4,406,998 Deferred income taxes 22,981 40,978 63,959 Due from parent-FIT 17,744 160 134,113 1,083,218 2,789,059 Due from parent-NYSIT 5,921 (15) 163,549 Other assets 33,944 4,975,222 Fixed assets, net 74,932 3,984,585 9,995,660 47,156,932 Goodwill, net 145,273 11,033,558 68,408,330 79,587,161 Investments in subsidiaries --------------------------------------------------------------------------- Total non current assets 266,851 145 15,227,178 79,911,133 148,933,376 --------------------------------------------------------------------------- Total assets 656,789 35,811 24,446,896 98,137,764 196,078,018 =========================================================================== Liabilities and shareholder's equity Current liabilities: Accounts payable and accruals $ 94,577 $ 597 $ 4,982,154 $ 20,007,494 $ 30,427,135 Due to affiliates Due to parent-FIT Due to parent 21,084 95,983 234,101 Due to CHG&E 3,724 176,909 Note payable 250,000 Deferred income taxes 81,532 1,224,788 --------------------------------------------------------------------------- Total current liabilities 94,577 597 5,003,238 20,188,733 32,312,933 --------------------------------------------------------------------------- Notes Payable - Banks 250,000 Notes Payable - Affiliated Companies 82,500,000 --------------------------------------------------------------------------- Total liabilities 94,577 597 5,003,238 20,188,733 115,062,933 --------------------------------------------------------------------------- Shareholder's equity: Capital stock 2,510 Additional paid-in capital 71,633,500 Retained earnings 9,379,075 Treasury stock --------------------------------------------------------------------------- Shareholder's equity before other comprehensive income 81,015,085 Other comprehensive income --------------------------------------------------------------------------- Total shareholder's equity 81,015,085 --------------------------------------------------------------------------- Total liabilities and shareholder's equity 94,577 597 5,003,238 20,188,733 196,078,018 =========================================================================== Central Hudson Energy Services, Inc. Consolidating Income Statement December 31, 2001 Unconsolidated ------------------------------------------------------------------------------- Services CHEC CH Resources CH Syracuse CH Niagara Revenues $ -- $ 40,268,473 $ 30,230,754 $ -- $ -- ------------------------------------------------------------------------------- Total Revenues -- 40,268,473 30,230,754 -- -- Cost of goods sold: Fuel used in electric generation -- -- -- -- -- Purchased electricity -- -- -- -- -- Purchased petroleum -- -- -- -- -- Purchased natural gas -- -- -- -- -- Other -- 39,270,607 19,577,527 -- -- ------------------------------------------------------------------------------- Total costs of goods sold -- 39,270,607 19,577,527 -- -- ------------------------------------------------------------------------------- Gross Profit -- 997,866 10,653,227 -- -- Other Income (Expense): Equity in Partnership Income and subsidiaries 1,437,825 2,850,222 -- -- -- Interest Income -- 165,269 102,212 -- -- Interest Expense -- (761,042) (943,415) -- -- Other Taxes -- (153,974) -- -- -- Other Income -- 2,109,180 -- -- -- ------------------------------------------------------------------------------- Total Other Income 1,437,825 4,209,655 (841,203) -- -- Expenses: Other operating expenses -- 2,447,829 9,118,493 -- -- Depreciation and Amortization Expense -- 70,011 1,530,413 -- -- ------------------------------------------------------------------------------- Total Other Expenses -- 2,517,840 10,648,906 -- -- Income before Provision for Income Taxes 1,437,825 2,689,681 (836,882) -- -- Income Taxes -- 737,234 (293,884) -- -- ------------------------------------------------------------------------------- Net Income 1,437,825 1,952,447 (542,998) -- -- Retained Earnings at Beginning 7,941,250 8,934,915 (1,092,893) -- -- ------------------------------------------------------------------------------- Retain Earnings at End $ 9,379,075 $ 10,887,362 $ (1,635,891) $ -- $ -- =============================================================================== ------------------------------------------------------------------------------- Unconsolidated -------------------------------------------------------------------------------- Prime Green Griffith Industrial Point SCASCO Energy Total Revenues $ 881,655 $ -- $ 34,852,327 $ 114,994,439 $ 221,227,648 -------------------------------------------------------------------------------- Total Revenues 881,655 -- 34,852,327 114,994,439 221,227,648 Cost of goods sold: Fuel used in electric generation -- -- -- -- -- Purchased electricity -- -- -- -- -- Purchased petroleum -- -- -- -- -- Purchased natural gas -- -- -- -- -- Other 504,857 -- 23,738,543 79,513,136 162,604,670 -------------------------------------------------------------------------------- Total costs of goods sold 504,857 -- 23,738,543 79,513,136 162,604,670 -------------------------------------------------------------------------------- Gross Profit 376,798 -- 11,113,784 35,481,303 58,622,978 Other Income (Expense): Equity in Partnership Income and subsidiaries -- -- -- -- 4,288,047 Interest Income -- 155 50,762 577,281 895,679 Interest Expense -- -- (499,013) (1,790,531) (3,994,001) Other Taxes -- -- -- -- (153,974) Other Income -- -- 365,538 92,802 2,567,520 -------------------------------------------------------------------------------- Total Other Income -- 155 (82,713) (1,120,448) 3,603,271 Expenses: Other operating expenses 418,333 -- 9,100,245 27,507,575 48,592,475 Depreciation and Amortization Expense 65,056 -- 1,794,457 5,363,320 8,823,257 -------------------------------------------------------------------------------- Total Other Expenses 483,389 -- 10,894,702 32,870,895 57,415,732 Income before Provision for Income Taxes (106,591) 155 136,369 1,489,960 4,810,517 Income Taxes (43,183) 65 50,669 583,903 1,034,804 -------------------------------------------------------------------------------- Net Income (63,408) 90 85,700 906,057 3,775,713 Retained Earnings at Beginning (16,024) 105,056 107,955 1,806,439 17,786,698 -------------------------------------------------------------------------------- Retain Earnings at End $ (79,432) $ 105,146 $ 193,655 $ 2,712,496 $ 21,562,411 ================================================================================ -------------------------------------------------------------------------------- Central Hudson Energy Services, Inc. Consolidating Income Statement December 31, 2001 Eliminations ------------------------------------------------------------------------------- Services CHEC CH Resources CH Syracuse CH Niagara Revenues $ -- $ (31,624,201) $ -- $ -- $ -- ------------------------------------------------------------------------------- Total Revenues -- (31,624,201) -- -- -- Cost of goods sold: Fuel used in electric generation 18,907,699 Purchased electricity 5,532,494 Purchased petroleum Purchased natural gas Other (37,454,978) (18,907,699) ------------------------------------------------------------------------------- Total costs of goods sold -- (31,922,484) -- -- -- ------------------------------------------------------------------------------- Gross Profit -- 298,283 -- -- -- Other Income (Expense): Equity in Partnership Income and subsidiaries (1,437,825) (928,348) Interest Income Interest Expense Other Taxes Other Income (609,180) ------------------------------------------------------------------------------- Total Other Income (1,437,825) (1,537,528) -- -- -- Expenses: Other operating expenses (441,180) Depreciation and Amortization Expense ------------------------------------------------------------------------------- Total Other Expenses -- -- (441,180) -- -- Income before Provision for Income Taxes (1,437,825) (1,239,245) 441,180 -- -- Income Taxes (160,347) 160,347 ------------------------------------------------------------------------------- Net Income (1,437,825) (1,078,898) 280,833 -- -- Retained Earnings at Beginning (8,934,915) 1,092,893 -- -- ------------------------------------------------------------------------------- Retain Earnings at End $ (1,437,825) $ (10,013,813) $ 1,373,726 $ -- $ -- =============================================================================== ------------------------------------------------------------------------------- Eliminations -------------------------------------------------------------------------------- Prime Green Griffith Industrial Point SCASCO Energy Eliminations Revenues $ (305,705) $ -- $ -- $ -- $ (31,929,906) -------------------------------------------------------------------------------- Total Revenues (305,705) -- -- -- (31,929,906) Cost of goods sold: Fuel used in electric generation 18,907,699 Purchased electricity 5,532,494 Purchased petroleum 13,350,416 75,822,864 89,173,280 Purchased natural gas 8,562,683 8,562,683 Other (7,422) (21,913,099) (75,822,864) (154,106,062) -------------------------------------------------------------------------------- Total costs of goods sold (7,422) -- -- -- (31,929,906) -------------------------------------------------------------------------------- Gross Profit (298,283) -- -- -- -- Other Income (Expense): Equity in Partnership Income and subsidiaries (2,366,173) Interest Income -- Interest Expense -- Other Taxes -- Other Income (1) (609,181) -------------------------------------------------------------------------------- Total Other Income (1) -- -- -- (2,975,354) Expenses: Other operating expenses (168,000) (609,180) Depreciation and Amortization Expense -- -------------------------------------------------------------------------------- Total Other Expenses -- -- (168,000) -- (609,180) Income before Provision for Income Taxes (298,284) -- 168,000 -- (2,366,174) Income Taxes -- -------------------------------------------------------------------------------- Net Income (298,284) -- 168,000 -- (2,366,174) Retained Earnings at Beginning 16,024 (105,056) (107,955) (1,806,439) (9,845,448) -------------------------------------------------------------------------------- Retain Earnings at End $ (282,260) $ (105,056) $ 60,045 $ (1,806,439) $ (12,211,622) ================================================================================ -------------------------------------------------------------------------------- Central Hudson Energy Services, Inc. Consolidating Income Statement December 31, 2001 Consolidated ------------------------------------------------------------------------------- Services CHEC CH Resources CH Syracuse CH Niagara Revenues $ -- $ 8,644,272 $ 30,230,754 $ -- $ -- ------------------------------------------------------------------------------- Total Revenues -- 8,644,272 30,230,754 -- -- Cost of goods sold: Fuel used in electric generation -- -- 18,907,699 -- -- Purchased electricity -- 5,532,494 -- -- -- Purchased petroleum -- -- -- -- -- Purchased natural gas -- -- -- -- -- Other -- 1,815,629 669,828 -- -- ------------------------------------------------------------------------------- Total costs of goods sold -- 7,348,123 19,577,527 -- -- ------------------------------------------------------------------------------- Gross Profit -- 1,296,149 10,653,227 -- -- Other Income (Expense): Equity in Partnership Income and subsidiaries -- 1,921,874 -- -- -- Interest Income -- 165,269 102,212 -- -- Interest Expense -- (761,042) (943,415) -- -- Other Taxes -- (153,974) -- -- -- Other Income -- 1,500,000 -- -- -- ------------------------------------------------------------------------------- Total Other Income -- 2,672,127 (841,203) -- -- Expenses: Other operating expenses -- 2,447,829 8,677,313 -- -- Depreciation and Amortization Expense -- 70,011 1,530,413 -- -- ------------------------------------------------------------------------------- Total Other Expenses -- 2,517,840 10,207,726 -- -- Income before Provision for Income Taxes -- 1,450,436 (395,702) -- -- Income Taxes -- 576,887 (133,537) -- -- ------------------------------------------------------------------------------- Net Income -- 873,549 (262,165) -- -- Retained Earnings at Beginning 7,941,250 -- -- -- -- ------------------------------------------------------------------------------- Retain Earnings at End $ 7,941,250 $ 873,549 $ (262,165) $ -- $ -- =============================================================================== ------------------------------------------------------------------------------- Consolidated -------------------------------------------------------------------------------- Prime Green Griffith Industrial Point SCASCO Energy Total Revenues $ 575,950 $ -- $ 34,852,327 $ 114,994,439 $ 189,297,742 -------------------------------------------------------------------------------- Total Revenues 575,950 -- 34,852,327 114,994,439 189,297,742 Cost of goods sold: Fuel used in electric generation -- -- -- -- 18,907,699 Purchased electricity -- -- -- -- 5,532,494 Purchased petroleum -- -- 13,350,416 75,822,864 89,173,280 Purchased natural gas -- -- 8,562,683 -- 8,562,683 Other 497,435 -- 1,825,444 3,690,272 8,498,608A -------------------------------------------------------------------------------- Total costs of goods sold 497,435 -- 23,738,543 79,513,136 130,674,764 -------------------------------------------------------------------------------- Gross Profit 78,515 -- 11,113,784 35,481,303 58,622,978 Other Income (Expense): Equity in Partnership Income and subsidiaries -- -- -- -- 1,921,874B Interest Income -- 155 50,762 577,281 895,679B Interest Expense -- -- (499,013) (1,790,531) (3,994,001) Other Taxes -- -- -- -- (153,974) Other Income (1) -- 365,538 92,802 1,958,339B -------------------------------------------------------------------------------- Total Other Income (1) 155 (82,713) (1,120,448) 627,917 Expenses: Other operating expenses 418,333 -- 8,932,245 27,507,575 47,983,295A Depreciation and Amortization Expense 65,056 -- 1,794,457 5,363,320 8,823,257 -------------------------------------------------------------------------------- Total Other Expenses 483,389 -- 10,726,702 32,870,895 56,806,552 Income before Provision for Income Taxes (404,875) 155 304,369 1,489,960 2,444,343 Income Taxes (43,183) 65 50,669 583,903 1,034,804C -------------------------------------------------------------------------------- Net Income (361,692) 90 253,700 906,057 1,409,539 Retained Earnings at Beginning -- -- -- -- 7,941,250 -------------------------------------------------------------------------------- Retain Earnings at End $ (361,692) $ 90 $ 253,700 $ 906,057 $ 9,350,789 ================================================================================ -------------------------------------------------------------------------------- A - Total of $8,498,608 + $47,983,295 = $56,481,903 which is 'Other Expenses of Operation' on the CH Energy Group Consolidated I/S. B - Total of $1,921,874 + $895,679 + $1,958,339 = $4,775,892 which is 'Other Net' on CH Energy Group Consolidated I/S. C - Total above of $1,034,804 is in two parts of $35,904 and $998,900 on the CH Energy Group Consolidated I/S.