Southern California Gas Co

OTC: SOCGP    
Share price (5/2/24): $25.00    
Market cap (5/2/24): $19.6 million

Plans of Reorganization, Merger, Acquisition or Similar Filter

EX-2.1.3
from 10-K 4 pages Amendment No. 2 to the Agreement and Plan of Merger
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EX-2.43
from 8-A12G 26 pages Southern California Gas Company to U.S. Bank National Association (Successor by Merger to U.S. Bank Trust National Association, Formerly Known as First Trust of California, National Association) Trustee Supplemental Indenture to Base Indenture Dated October 1, 1940 Dated as of October 17, 2003
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EX-2.42
from 8-A12G 33 pages Southern California Gas Company to U.S. Bank, N.A. (Successor by Merger to U.S. Bank Trust National Association, Formerly Known as First Trust of California, National Association) Trustee Supplemental Indenture to Base Indenture Dated October 1, 1940 Dated as of October 1, 2002
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EX-2.04
from 10-K 1 page <page> <table> <caption> Schedule IX Short-Term Borrowings for the Years Ended December 31, 1993, 1992 and 1991 (Thousands of Dollars) Maximum Average Weighted Weighted Amount Amount Average Balance at Average Outstanding Outstanding Interest Rate Category of Aggregate End Interest During During During Year Short-Term Borrowings of Period Rate the Period (1) the Period (2) the Period (3) - <c> <s> <c> <c> <c> <c> <c> 1993 Commercial Paper $ 267,000 3.25% $ 267,000 $ 75,996 3.22% 1992 Commercial Paper $ 215,000 3.81% $ 215,000 $ 31,543 3.87% 1991 Commercial Paper $ 123,000 4.90% $ 123,000 $ 27,682 5.74% <fn> Notes: (1)represents the Maximum Amount Outstanding During Any Month End. (2)average Amound Outstanding on a Daily Basis During the Year (Total of Daily Outstanding Principal Balances Divided by 365). (3)represents the Actual Short-Term Interest Expense Divided by the Average Short-Term Debt Outstanding. </Table>
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EX-2.03
from 10-K 1 page <page> <table> <caption> Schedule VI Accumulated Depreciation and Amortization of Utility Plant for the Years Ended December 31, 1993, 1992 and 1991 (Thousands of Dollars) Additions to Costs Balance at and Other Changes Balance Description January 1 Expenses Retirements Add (Deduct) December 31, - <s> <c> <c> <c> <c> <c> 1993 - Distribution $1,338,173 $152,896 $27,113 1,151 $1,465,107 Transmission 353,022 25,560 2,264 (1,151) 375,167 Storage 227,907 23,216 5,535 245,588 General (1) 95,853 26,572 5,117 1,516 118,824 Other 348 9 357 Total $2,015,303 $228,244 $40,029 $1,525 $2,205,043 1992 - Distribution $1,217,565 $145,939 $25,547 $ 216 $1,338,173 Transmission 333,538 24,371 4,671 (216) 353,022 Storage 213,070 22,564 7,727 - 227,907 General (1) 76,396 26,464 8,174 1,167 95,853 Other 335 13 348 Total $1,840,904 $219,338 $46,119 $1,180 $2,015,303 1991 - Distribution $1,104,562 $138,469 $24,713 $(753) $1,217,565 Transmission 314,142 23,276 3,879 (1) 333,538 Storage 194,331 22,079 3,340 - 213,070 General (1) 58,892 24,360 8,714 1,858 76,396 Other 313 22 335 Total $1,672,240 $208,184 $40,646 $1,126 $1,840,904 <fn> Note: (1) General Includes Automotive, Construction and Certain Miscellaneous Equipment. </Table>
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EX-2.02
from 10-K 1 page <page> <table> <caption> Schedule V Utility Plant for the Years Ended December 31, 1993, 1992 and 1991 (Thousands of Dollars) Additions to Costs Balance at and Other Changes Balance Description January 1 Expenses Retirements Add (Deduct) December 31, - <s> <c> <c> <c> <c> <c> Distribution $3,525,916 $176,216 $ 20,077 $ (865) $3,681,190 Transmission 672,126 66,443 1,549 (3,543) 733,477 Storage 476,586 18,993 2,019 493,560 General (1) 340,999 47,439 5,246 383,192 Construction Work in Progress 116,297 2,494 118,791 Other 5,077 2,854 4,408 12,339 Total $5,137,001 $314,439 $ 28,891 $ - $5,422,549 1992 - Distribution $3,339,567 $204,300 $ 17,835 $ (116) $3,525,916 Transmission 659,277 17,357 3,864 (644) 672,126 Storage 458,291 21,615 3,320 - 476,586 General (1) 304,647 50,768 6,682 (7,734)(2) 340,999 Construction Work in Progress 78,766 37,531 116,297 Other 2,705 1,838 226 760 5,077 Total $4,843,253 $333,409 $ 31,927 $ (7,734) $5,137,001 1991 - Distribution $3,162,951 $194,946 $ 15,679 $ (2,651) $ 3,339,567 Transmission 619,147 44,135 2,079 (1,926) 659,277 Storage 446,377 14,404 2,490 - 458,291 General (1) 255,128 55,514 8,357 2,362 304,647 Construction Work in Progress 78,615 151 78,766 Other 2,573 32 100 2,705 Total $4,564,791 $309,182 $ 28,605 $ (2,115) $ 4,843,253 <fn> Note: (1) General Includes Automotive, Construction and Certain Miscellaneous Equipment. (2) Capital Disallowances of Costs Associated With New Leased Office Space. </Table>
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