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SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.

FORM U-3A-2

Statement by Holding Company Claiming Exemption
Under Rule U-3A-2 from the Provisions of the
Public Utility Holding Company Act of 1935

To Be Filed Annually Prior to March 1

CONSOLIDATED EDISON, INC.

hereby files with the Securities Exchange Commission, pursuant to Rule 2, its statement claiming exemption as a holding company from the provisions of the Public Utility Holding Company Act of 1935, and submits the following information:

1.
Name, State of organization, location and nature of business of claimant and every subsidiary thereof, other than any exempt wholesale generator (EWG) or foreign utility company in which claimant directly or indirectly holds an interest.

        Consolidated Edison, Inc. ("Claimant") is a corporation organized and existing under the laws of the State of New York. Claimant is a holding company, which acquires and hold securities of other corporations. Claimant's principal place of business is 4 Irving Place, New York, New York 10003. Claimant has the following subsidiaries:

A. Consolidated Edison Company of New York, Inc. ("Con Edison") is a public utility organized and existing as a corporation under the laws of the State of New York. Con Edison supplies electric service in all of New York City (except part of Queens) and most of Westchester County, New York, an approximately 660 square mile service area with a population of more than 8 million. It also supplies gas in Manhattan, The Bronx and parts of Queens and Westchester, and steam in part of Manhattan. All of Con Edison's Common Stock is held by Claimant. Con Edison's principal place of business is 4 Irving Place, New York, N.Y. 10003. Con Edison has the following subsidiaries:

        1.    Davids Island Development Corp. ("DIDCO") is organized and existing as a corporation under the laws of the State of New York. It owns real property, acquired as a possible site for an electric generating plant, in Dutchess and Columbia Counties in New York State. It is in the process of disposing of the property. It is a wholly-owned subsidiary of Con Edison. Its principal place of business is 4 Irving Place, New York, N.Y. 10003.

        2.    D.C.K. Management Corp. ("DCK") is a corporation organized and existing as a corporation under the laws of the State of New York. It owns real property in the City of New York. It is a wholly-owned subsidiary of Con Edison. Its principal place of business is 4 Irving Place New York, N.Y. 10003.

        3.    Honeoye Storage Corporation ("Honeoye") a corporation organized and existing under the laws of the State of New York. It was incorporated to own and operate a gas storage facility in upstate New York. It is 28.81 percent owned by Con Edison.

        4.    Steam House Leasing LLC ("SHL"), a Delaware limited liability company, a wholly owned subsidiary of Con Edison that leases a steam generating plant that produces steam for Con Edison's steam distribution business. Its principal place of business is 4 Irving Place New York, N.Y. 10003.

B. Orange and Rockland Utilities, Inc. ("O&R") is a public utility organized and existing as a corporation under the laws of New York. O&R provides service to over 200,000 electric and almost 120,000 gas customers in New York in a service area covering all of Rockland County, most of Orange County, and part



of Sullivan County. All of O&R's Common Stock is held by Claimant. O&R's principal place of business is One Blue Hill Plaza, Pearl River, N.Y. 10965. O&R has the following subsidiaries:

        1.    Rockland Electric Company ("RECO") is a public utility organized and existing as a corporation under the laws of a New Jersey. RECO supplies electric service to about 70,000 customers in New Jersey in the northern parts of Bergen and Passaic Counties and small areas in northern Sussex County. All of RECO's Common Stock is held by O&R. RECO's principal place of business is 82 East Allendale Avenue, Saddle River, N. J. 07458. RECO has the following subsidiaries:

        2.    Pike County Light & Power Company ("Pike"), a public utility organized and existing as a corporation under the laws of Pennsylvania. Pike supplies electricity to about 4,200 customers and gas to about 1,000 customers in the northeastern corner of Pike County, Pennsylvania. All of Pike's Common Stock is held by O&R. Pike's principal place of business is 2191/2 Broad Street, Milford, Pennsylvania 18337.

        3.    Clove Development Corporation ("Clove") is an inactive real estate sales company, organized and existing as a corporation under the laws of New York. Clove no longer owns any real estate; its sole assets are cash and mortgage receivables. All of Clove's common stock is held by O&R. Clove's principal place of business is One Blue Hill Plaza, Pearl River, N.Y. 10965.

        4.    O&R Development, Inc. ("ORDEVCO"), commercial real estate development company, organized and existing as a corporation under the laws of Delaware, whose principal asset is land located at the Interchange Commerce Center in Harriman, New York. All of ORDEVCO's common stock is held by O&R. ORDEVCO's principal place of business is One Blue Hill Plaza, Pearl River, N.Y. 10965.

C. Consolidated Edison Solutions, Inc. ("CES") is organized and existing as a corporation under the laws of the State of New York. It is in the business of providing wholesale and retail energy and related services. It is a wholly-owned subsidiary of Claimant. Its principal place of business is 701 Westchester Avenue, Suite 300 East, White Plains, N.Y. 10604. CES has the following subsidiaries:

        1.    CES/AEI/OLF Cogeneration L.L.C. ("CAO"), a New York limited liability company in which CES has a 50% interest. CAO was formed to own, operate, and maintain a distributed generation facility located in Bronx, New York. CAO's principal place of business is c/o Consolidated Edison Solutions, Inc., 701 Westchester Avenue, Suite 300 East, White Plains, New York, 10604.

D. Consolidated Edison Development, Inc. ("CEDI") is organized and existing as a corporation under the laws of New York. It is in the business of investing in foreign and domestic energy and other infrastructure projects and marketing of Con Edison's technical services. It is a wholly-owned subsidiary of Claimant. Its principal place of business is 111 Broadway, 16th Floor, New York, N.Y. 10006. CEDI has the following subsidiaries:

        1.    Con Edison Development Guatemala, Ltd. ("CEDG") a corporation organized and existing under the laws of the Cayman Islands. It is in the business of investing in energy projects in Central America. It is a wholly-owned subsidiary of CEDI. Its principal place of business is c/o Maples and Calder, Attorneys-at-Law, Ugland House, South Church Street, P.O. Box 309, George Town, Grand Cayman, Cayman Islands, British West Indies. CEDG has the following subsidiary:

        2.    Consolidated Edison Leasing, Inc. ("CEL"), a corporation organized and existing under the laws of Delaware. CEL is a wholly-owned subsidiary of CEDI which has an investment in a leveraged lease

2


transaction. CEL's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006.

        3.    Con Edison Leasing, LLC. ("CELLLC"), a limited liability company organized and existing under the laws of Delaware. CELLLC is a wholly-owned subsidiary of CEDI which has an investment in a leveraged lease transaction. CELLLC's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006.

        4.    CED Ada, Inc. ("CEDA"), a corporation organized and existing under the laws of the state of Delaware. CEDA, a wholly-owned subsidiary of CEDI, was organized to invest in a power plant in Michigan. CEDA's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006. CEDA has the following subsidiary:

        5.    CED/SCS Newington, LLC ("CED/SCS"), a Delaware limited liability company, approximately 95% of which is owned by CEDI. CED/SCS's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006. CED/SCS has the following subsidiary:

        6.    CED Generation Holding Company, LLC, a Delaware limited liability company ("CED Holding") wholly-owned by CEDI. CED Holding's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006. CED Holding has the following subsidiaries:

3


        7.    Ocean Peaking Power, L.L.C., a Delaware limited liability company ("OPP"). OPP was formed in connection with the development of a 333 MW peaking power plant located on the site of the Lakewood generating plant. OPP's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006.

        8.    Consolidated Edison Energy Massachusetts, Inc. ("CEEMI"), a corporation organized and existing under the laws of Delaware, wholly-owned by CEDI. CEEMI was established for the purpose of owning and operating 290 MW of generation facilities acquired from Western Massachusetts Electric Company. CEEMI's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006. See Item 4.

        9.    CEDST, LLC ("CEDST"), a Delaware limited liability company, wholly-owned by CEDI. CEDST's principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006. CEDST has the following subsidiary:

        10.  CED Rock Springs, Inc. ("CEDRS"), a corporation organized and existing under the laws of Delaware, wholly-owned by CEDI. CEDRS was formed in connection with the development of a 333 MW electric generating facility to be located in Rock Springs, Maryland. CEDRS' principal place of business is c/o Consolidated Edison Development, 111 Broadway, 16th Floor, New York, New York 10006.

        11.  Con Edison Development Acquisition and Finance, Ltd. ("CEDAF") a corporation organized under the laws of the Cayman Islands, wholly-owned by CEDI. CEDAF owns a ..01% interest in EPCA. CEDAF's principal place of business is Maples and Calder, Attorneys-at-Law, Ugland House, South Church Street, P.O. Box 309, George Town, Grand Cayman, Cayman Islands British West Indies. CEDAF has the following subsidiary:

E. Consolidated Edison Energy, Inc. ("CEEI"), a corporation organized and existing under the laws of the State of New York. CEEI is an energy trading company that markets specialized energy supply services to wholesale customers. CEEI is a wholly-owned subsidiary of Claimant. CEEI's principal place of business is 701 Westchester Avenue, Suite 201 West, White Plains, N.Y. 10604.

F. Consolidated Edison Communications Holding Company, Inc. ("CEC Holding") is organized and existing as a corporation under the laws of New York. Its principal place of business is 55 Broad Street, New York, N.Y. 10004. CEC Holding has the following subsidiaries:

        1.    CEC Holding Member, Inc., ("CEC Member") a corporation organized and existing under the laws of New York, wholly-owned by CEC Holding. CEC Member is the non-managing member of CECLLC. Its principal place of business is 55 Broad Street, New York, N.Y. 10004.

        2.    Con Edison Communications, Inc. ("CECI") a corporation organized and existing under the laws of New York, wholly-owned by CEC Holding. CECI is the managing member of CECLLC. Its principal place of business is 55 Broad Street, New York, N.Y. 10004.

4


        3.    Con Edison Communications, LLC ("CECLLC"), a limited liability company organized and existing under the laws of the State of New York. CECLLC owns, leases, operates or invests in facilities used for telecommunications or otherwise competes in the telecommunications industry. CEC Member has a 99% interest and CECI has a 1% interest in CECLLC. Its principal place of business is 55 Broad Street, New York, N.Y. 10004. CECLLC has the following subsidiary:

G. Consolidated Edison, Inc. (originally incorporated as CWB Holdings, Inc.), a corporation organized and existing under the laws of Delaware and wholly-owned by Claimant which owns a 99% interest in each of N Acquisition LLC and X Holding LLC, each of which is a limited liability company organized and existing under the laws of Massachusetts. N Acquisition LLC owns the remaining 1% interest in X Holding LLC and X Holding LLC owns the remaining 1% interest in N Acquisition LLC. These entities were established in connection with Claimant's October 1999 agreement to acquire Northeast Utilities and are collectively referred to herein as the "Merger Subs." The Merger Subs' principal place of business is c/o Consolidated Edison, Inc., 4 Irving Place, New York, N.Y. 10003.

        2.    A brief description of the properties of claimant and each of its subsidiary public utility companies used for the generation, transmission, and distribution of electric energy for sale, or for the production, transmission, and distribution of natural or manufactured gas, indicating the location of principal generating plants, transmission lines, producing fields, gas manufacturing plants, and electric and gas distribution facilities, including all such properties which are outside the State in which claimant and its subsidiaries are organized and all transmission or pipelines which deliver or receive electric energy or gas at the borders of such State.

See Item 2 of Claimant's Annual Report on Form 10-K for the year ended December 31, 2002 (which information is incorporated herein by reference).

        3.    The following information for the last calendar year with respect to claimant and each of its subsidiary public utility companies:


 
  Electric
(kwhrs)
Retail

  Electric
(kwhrs)
Wholesale

  Gas (Dth)
Retail

Claimant   None   None   None
Con Edison   31,773,296,000   17,557,000   261,759,200
O&R   2,712,033,931   None   43,161,279
RECO   1,542,343,945   None   N/A
Pike   65,160,514   None   132,149

5



 
  Electric (kwhrs)
  Gas (Dth)
Claimant   None   None
Con Edison   None   None
O&R   None   None
RECO   None   N/A
Pike   None   None

 
  Electric (kwhrs)

  Gas (Dth)
 
Claimant   None   None  
Con Edison   18,400,000   7,173,597 *
O&R   None ** 1,905,756 **
RECO   None   N/A  
Pike   None   None  

 
  Electric (kwhrs)

  Gas (Dth)
 
Claimant   None   None  
Con Edison   166,245,000   305,052,628 *
O&R   None     *
RECO   408,314,702 ** N/A  
Pike   72,445,461 **   **

        4.    The following information for the reporting period with respect to claimant and each interest it holds directly or indirectly in an EWG or a foreign utility company, stating monetary amounts in United States dollars:

6


7


8



EXHIBIT A

A consolidating statement of income and surplus of the claimant and its subsidiary companies for the last calendar year, together with a consolidating balance sheet of claimant and its subsidiary companies as of the close of such calendar year.

The consolidating financial statements are attached hereto as Exhibit A.


EXHIBIT B

An organizational chart showing the relationship of each EWG or foreign utility company to associate companies in the holding-company system.

An organization chart is attached hereto as Exhibit B.

The above-named claimant has caused this statement to be duly executed on its behalf by its authorized officer on this 27th day of February 2003.

    CONSOLIDATED EDISON, INC.

 

 

By:

/s/  
EDWARD J. RASMUSSEN      
     
Edward J. Rasmussen
Vice President and Controller

Name, title, and address of officer to whom notices and correspondence concerning this statement should be addressed:

Peter J. Barrett
Assistant General Counsel
Consolidated Edison Company of New York, Inc.
4 Irving Place
New York, N.Y. 10003

9



CEI Consolidating Balance Sheet

December 31, 2002

 
  CEI
  CECONY
  ORU
  Communications
  Development
  Energy
  Solutions
  Consolidation
Entries

  CEI
Eliminations

  Consolidated
Edison, Inc.

 
Utility Plant                                          
Utility Plant     15,148,693,985.95   1,152,036,318.25               16,300,730,304.20  
Accumulated Depreciation     (4,264,143,749.19 ) (405,604,183.56 )             (4,669,747,932.75 )
Construction Work In Progress     965,629,068.04   23,032,629.49               988,661,697.53  
   
 
 
 
 
 
 
 
 
 
 
  Net Utility Plant     11,850,179,304.80   769,464,764.18               12,619,644,068.98  
   
 
 
 
 
 
 
 
 
 
 
Non-Utility Plant                                          
Unregulated Generating Assets, Less Accumulated Depreciation           221,016,405.20       877,606.64     221,894,011.84  
Non-Utility Property Less Accumulated Depreciation     34,775,129.10   2,541,257.48   93,785,988.10   312,406.22   1,692,552.19   6,223,599.89   685,721.73     140,016,654.71  
Non-Utility Property, Work in Progress         29,392,721.59   305,524,235.38       12,702,873.97     347,619,830.94  
  Non-Utility Plant     34,775,129.10   2,541,257.48   123,178,709.69   526,853,046.80   1,692,552.19   6,223,599.89   14,266,202.34     709,530,497.49  
Current Assets                                          
Cash and Temporary Investments   244,071.60   88,081,356.53   2,541,852.23   (1,809,998.08 ) 21,432,126.37   8,045,278.51   (677,178.40 )     117,857,508.76  
Restricted Cash           14,579,305.46           14,579,305.46  
Funds Held For the Redemption of Long-Term Debt     275,120,536.10                 275,120,536.10  
Customer Accounts Receivable Less Allowance for Uncollectible     602,376,000.11   53,714,950.70   1,796,799.52       25,100,994.45       682,988,744.78  
Other Accounts Receivable Less Allowance for Uncollectible   (6,057,334.35 ) 83,794,894.13   3,928,571.04   276,080.31   12,422,254.72   73,008,759.58   1,830,085.07       169,203,310.50  
Receivable from Associated Companies   4,454,487.87   24,964,427.72     (1,926.23 ) 18,635,850.56   23,414,835.50   20,199,115.42     (91,666,790.84 )  
Accrued Unbilled Revenue       20,427,661.17         33,681,248.82       54,108,909.99  
Fuel, at Average Cost     18,075,771.78       4,669,529.44           22,745,301.22  
Natural Gas In Storage     63,065,436.52   15,702,860.69         1,751,375.15       80,519,672.36  
Materials and Supplies, At Average Cost     83,368,027.08   5,757,666.54     3,059,932.97           92,185,626.59  
Prepayments     55,673,115.06   11,882,526.97   536,160.28   3,046,821.76   980,577.94   555,163.09       72,674,365.10  
Special Deposits     39,146,256.77   7,000.00               39,153,256.77  
Other Current and Accrued Assets   1,241.42   14,908,772.74   9,171,682.00   86,020.00     52,314,871.22   31,411,883.19     (21,931,247.00 ) 85,963,223.57  
   
 
 
 
 
 
 
 
 
 
 
  Current Assets   (1,357,533.46 ) 1,348,574,594.54   123,134,771.34   883,135.80   77,845,821.28   157,764,322.75   113,852,686.79     (113,598,037.84 ) 1,707,099,761.20  
   
 
 
 
 
 
 
 
 
 
 
Other Investments                                          
Other Investments — Other   6,969,102.62   3,449,405.20     1.00   221,635,858.87     3,409,523.65       235,463,891.34  
Investment in Subsidiaries   6,993,909,047.44                 (6,993,909,047.43 ) 0.01  
   
 
 
 
 
 
 
 
 
 
 
  Other Investments   7,000,878,150.06   3,449,405.20   (0.00 ) 1.00   221,635,858.87     3,409,523.65     (6,993,909,047.43 ) 235,463,891.35  
   
 
 
 
 
 
 
 
 
 
 
Deferred Charges, Regulatory Assets and Noncurrent Assets                                  
Goodwill   409,404,213.00               (3,602,672.94 )   405,801,540.06  
Intangible Assets           82,022,906.58           82,022,906.58  
Accrued Pension Credits     1,024,243,505.93                 1,024,243,505.93  
Regulatory Assets:                                          
  Regulatory Asset—Future Federal Income Taxes     627,891,262.00   39,367,908.45               667,259,170.45  
  Recoverable Energy Costs     223,507,202.75   98,743,588.14               322,250,790.89  
  Loss on Indian Point Sale     127,230,523.05                 127,230,523.05  
  Real Estate Sale Cost—First Avenue Properties     134,353,163.13                 134,353,163.13  
  Deferred Special Retirement Program Costs     37,643,726.82   46,328,021.20               83,971,748.02  
  Deferred Environmental Remediation Costs     52,340,419.78   30,761,959.01               83,102,378.79  
  Accrued Unbilled Revenue     43,594,000.00                 43,594,000.00  
  Worker's Compensation Reserve     54,265,816.36   1,600,000.00               55,865,816.36  
  Divesture—Capacity Replacement Reconciliation     28,850,000.00                 28,850,000.00  
  Deferred Revenue Taxes     72,269,648.81   5,870,832.82               78,140,481.63  
  World Trade Center Incident     62,856,436.19                 62,856,436.19  
  Public Liability Reserve     37,700,000.00                 37,700,000.00  
  Other Regulatory Assets     89,915,187.02   25,199,948.13               115,115,135.15  
   
 
 
 
 
 
 
 
 
 
 
    Total Regulatory Assets     1,592,417,385.91   247,872,257.75               1,840,289,643.66  
   
 
 
 
 
 
 
 
 
 
 
Other Deferred Charges and Noncurrent Assets   10,237,168.00   164,380,142.85   18,248,184.62     1,560,898.66   427,699.00   1,360,321.07       196,214,414.20  
   
 
 
 
 
 
 
 
 
 
 
Deferred Charges, Regulatory Assets and Noncurrent Assets   419,641,381.00   2,781,041,034.69   266,120,442.37     83,583,805.24   427,699.00   1,360,321.07   (3,602,672.94 )   3,548,572,010.43  
   
 
 
 
 
 
 
 
 
 
 
Total Assets   7,419,161,997.60   16,018,019,468.33   1,161,261,235.37   124,061,846.49   909,918,532.19   159,884,573.94   124,846,131.40   10,663,529.40   (7,107,507,085.27 ) 18,820,310,229.45  
   
 
 
 
 
 
 
 
 
 
 

A-1


Common Stockholder's Equity                                      
Common Stock Issued   23,714,363.30   588,720,235.00   5,000.00   5,000,000.00   20,000.00   10.00   20,000.00     (593,765,245.00 ) 23,714,363.30  
Other Paid-in Capital, Premium on Common Stock   1,513,202,876.25   879,678,115.74   194,498,789.81   149,250,610.00   559,379,936.66   15,000,000.00   78,180,000.00     (1,875,987,452.17 ) 1,513,202,876.29  
Gain on Resale or Cancellation of Reacquired Capital Stock     13,943,328.01                 13,943,328.01  
Accumulated Other Comprehensive Income     (5,513,859.59 ) (14,965,621.73 )   (5,694,502.87 )   12,546,722.00     (0.12 ) (13,627,262.31 )
Capital Stock Expense—Common Stock   (31,755,003.79 ) (31,755,003.79 )             31,755,003.79   (31,755,003.79 )
Capital Stock Expense—Preferred Stock     (3,595,124.63 )               (3,595,124.63 )
Treasury Stock   (39,149,051.52 ) (962,092,491.50 )               (1,001,241,543.02 )
Retained Earnings   5,409,773,518.47   4,411,101,982.91   168,688,854.58   (40,590,590.25 ) 34,327,061.48   10,327,408.28   (27,943,363.86 ) 10,663,529.40   (4,555,911,353.92 ) 5,420,437,047.08  
   
 
 
 
 
 
 
 
 
 
 
  Common Shareholder's Equity   6,875,786,702.71   4,890,487,182.15   348,227,022.66   113,660,019.75   588,032,495.27   25,327,418.28   62,803,358.14   10,663,529.40   (6,993,909,047.42 ) 5,921,078,680.93  
   
 
 
 
 
 
 
 
 
 
 
Preferred Stock     212,562,527.00                 212,562,527.00  
Long-Term Debt   325,000,000.00   5,419,762,213.00   302,200,000.00     148,519,180.15           6,195,481,393.15  
Unamortized Premium (Discount)     (25,741,063.59 ) (1,310,201.83 )             (27,051,265.42 )
   
 
 
 
 
 
 
 
 
 
 
  Capital   7,200,786,702.71   10,497,070,858.56   649,116,820.83   113,660,019.75   736,551,675.42   25,327,418.28   62,803,358.14   10,663,529.40   (6,993,909,047.42 ) 12,302,071,335.66  
   
 
 
 
 
 
 
 
 
 
 
Noncurrent Liabilities                                          
Minority Interest in Consolidated Subsidiaries           8,906,617.03           8,906,617.03  
Obligations Under Capital Leases     38,487,000.00                 38,487,000.00  
Accumulated Provision for Injuries and Damages     188,097,144.09   9,385,828.95               197,482,973.04  
Pension and Benefits Reserve     107,626,695.00   98,373,483.79               206,000,178.79  
Superfund and Other Environmental Costs     107,520,623.30   35,278,730.41               142,799,353.71  
Other Noncurrent Liabilities     9,305,317.44   25,662,397.19   1,000,000.00   11,760,044.75   337,791.00   622,648.00       48,688,198.38  
   
 
 
 
 
 
 
 
 
 
 
  Noncurrent Liabilities     451,036,779.83   168,700,440.34   1,000,000.00   20,666,661.78   337,791.00   622,648.00       642,364,320.95  
   
 
 
 
 
 
 
 
 
 
 
Current Liabilities                                          
Long-Term Debt Due Within One Year     425,000,000.00   35,000,000.00     12,631,000.00           472,631,000.00  
Notes Payable   160,579,892.39     1,000,000.00     100,000.00           161,679,892.39  
Accounts Payable   3,692,260.68   743,174,838.31   60,516,605.72   440,321.13   13,560,586.70   63,938,500.62   35,190,956.99     (1,927,062.35 ) 918,587,007.80  
Accounts Payable to Associated Companies   45,502,582.98   19,391,106.37   3,476,421.74   1,557,212.17   1,327,645.13   10,719,103.01   1,575,404.10     (83,549,475.50 )  
Customer Deposits     208,718,337.76   12,757,662.96               221,476,000.72  
Accrued Taxes   (1,672,666.81 ) 92,663,038.28   1,046,768.54   626,037.00   918,155.63   875,988.12   5,978,336.94       100,435,657.70  
Interest Accrued   5,825,173.63   79,946,007.64   7,993,973.74               93,765,155.01  
Other Current Liabilities   8,059,089.51   265,752,738.33   8,776,472.87   5,333,432.00   10,020,920.61   59,548,386.45   9,060,178.33     (28,121,500.00 ) 338,429,718.10  
   
 
 
 
 
 
 
 
 
 
 
  Current Liabilities   221,986,332.38   1,834,646,066.69   130,567,905.57   7,957,002.30   38,558,308.07   135,081,978.20   51,804,876.36     (113,598,037.85 ) 2,307,004,431.72  
   
 
 
 
 
 
 
 
 
 
 
Deferred Credits and Regulatory Liabilities                                  
Accumulated Deferred Federal Income Tax   (3,612,929.00 ) 1,694,447,030.59   94,391,279.22     114,141,886.92   (862,613.54 ) 9,615,248.90       1,908,119,903.09  
Deferred Tax Liability—Future Federal Income Tax     627,891,262.00   39,388,015.00   247,028.35             667,526,305.35  
Accumulated Deferred Investment Tax Credits     105,809,000.00   5,950,567.00               111,759,567.00  
Regulatory Liabilities:                                          
  NYSIO Refund for True-Up Adjustments     106,907,544.47                 106,907,544.47  
  Income Tax—WTC     78,786,628.00                 78,786,628.00  
  Gain on Divesture     37,877,136.04   4,529,644.52               42,406,780.56  
  Deposit from Sale of First Avenue Properties     50,000,000.00                 50,000,000.00  
  Refundable Energy Costs       43,651,155.70               43,651,155.70  
  Accrued Electric Rate Reduction     38,017,845.00                 38,017,845.00  
  DC Service Incentive     35,292,794.09                 35,292,794.09  
  Transmission Congestion Contracts     124,809,132.37                 124,809,132.37  
  Gas Rate Plan—WTC Recovery     36,318,898.76                 36,318,898.76  
  Excess Earnings     40,000,000.00                 40,000,000.00  
  Other Regulatory Liabilities   1,891.51   259,108,491.93   22,269,904.85   898,534.95             282,278,823.24  
   
 
 
 
 
 
 
 
 
 
 
    Total Regulatory Liabilities   1,891.51   807,118,470.66   70,450,705.07   898,534.95             878,469,602.19  
   
 
 
 
 
 
 
 
 
 
 
Other Deferred Credits       2,695,502.34   299,261.14             2,994,763.48  
   
 
 
 
 
 
 
 
 
 
 
Other Deferred Credits and Regulatory Liabilities   1,891.51   807,118,470.66   73,146,207.41   1,197,796.09             881,464,365.67  
   
 
 
 
 
 
 
 
 
 
 
Deferred Credits and Regulatory Liabilities   (3,611,037.49 ) 3,235,265,763.25   212,876,068.63   1,444,824.44   114,141,886.92   (862,613.54 ) 9,615,248.90       3,568,870,141.11  
   
 
 
 
 
 
 
 
 
 
 
Total Capital and Liabilities   7,419,161,997.60   16,018,019,468.33   1,161,261,235.37   124,061,846.49   909,918,532.19   159,884,573.94   124,846,131.40   10,663,529.40   (7,107,507,085.27 ) 18,820,310,229.45  
   
 
 
 
 
 
 
 
 
 
 

A-2



CEI Consolidating Income Statement

For The Year Ended December 31, 2002

 
  CEI
  CECONY
  ORU
  Communications
  Development
  Energy
  Solutions
  Consolidation
Entries

  CEI
Eliminations

  Consolidated
Edison, Inc.

 
Operating Revenues                                          
Electric Revenues     5,775,199,444.39   475,461,865.52             234,515.05   6,250,895,824.96  
Gas Revenues     1,044,717,299.59   158,837,647.99             478,187.01   1,204,033,134.59  
Steam Operating Revenue     404,044,138.95                 404,044,138.95  
Non Utility Revenues         4,415,765.15   147,388,622.15   13,373,015.18   482,101,686.18     (24,391,742.83 ) 622,887,345.83  
   
 
 
 
 
 
 
 
 
 
 
  Operating Revenues     7,223,960,882.93   634,299,513.51   4,415,765.15   147,388,622.15   13,373,015.18   482,101,686.18     (23,679,040.77 ) 8,481,860,444.33  
   
 
 
 
 
 
 
 
 
 
 
Operating Expenses                                          
Purchased Power Exp     2,622,273,411.78   220,094,218.59         349,048,937.60     (11,022,511.05 ) 3,180,394,056.92  
Fuel Exp     231,806,611.18       57,339,742.85         (405,195.44 ) 288,741,158.59  
Gas Purchased for Resale     471,806,753.47   88,796,853.93         41,602,055.26     (5,599,288.61 ) 596,606,374.05  
Other Operations Expense     751,663,972.73   115,896,110.29   25,430,789.58   28,716,038.84   7,371,273.34   40,468,958.51     (7,681,798.67 ) 961,865,344.62  
Maintenance     360,638,734.12   26,648,602.08               387,287,336.20  
Depreciation and Amortization Expenses     437,896,272.49   34,002,132.22   7,432,958.22   11,833,590.17   504,087.89   2,843,969.13   40,067.68     494,553,077.80  
Taxes, Other Than Federal Income   142.00   1,039,426,843.00   52,397,339.02   757,527.14   3,799,847.09   4,477.92   17,819,036.85       1,114,205,213.02  
Income Taxes     354,365,737.51   24,804,372.63   (11,617,199.55 ) 12,893,282.91   2,379,871.21   15,244,369.62       398,070,434.33  
   
 
 
 
 
 
 
 
 
 
 
  Operating Expenses   142.00   6,269,878,336.28   562,639,628.76   22,004,075.39   114,582,501.86   10,259,710.36   467,027,326.97   40,067.68   (24,708,793.77 ) 7,421,722,995.53  
   
 
 
 
 
 
 
 
 
 
 
  Operating Income   (142.00 ) 954,082,546.65   71,659,884.75   (17,588,310.24 ) 32,806,120.29   3,113,304.82   15,074,359.21   (40,067.68 ) 1,029,753.00   1,060,137,448.79  
   
 
 
 
 
 
 
 
 
 
 
Other Income and Deductions                                      
Investment Income   349,562.89   164,510.14   1,168,225.47   2,568.45   475,785.27   425,177.75   1,151,145.83     (1,290,290.64 ) 2,446,685.16  
Allowance for Equity Funds Used During Construction     9,531,062.39   437,954.42               9,969,016.81  
Other Income   (377,805.82 ) 42,154,244.80   144,888.52       20,868.12   6,067,847.87       48,010,043.49  
Other Income—Intercompay   648,761,963.48                 (648,761,963.87 ) (0.39 )
Income Deductions   3,976,430.84   8,918,466.34   732,748.14   4,869,028.33   1,609,139.05           20,105,812.70  
Income Taxes—Non Operating   8,633,855.00   12,607,872.00   437,931.72               21,679,658.72  
   
 
 
 
 
 
 
 
 
 
 
  Other Income and Deductions   653,391,144.71   55,539,222.99   1,456,251.99   (4,866,459.88 ) (1,133,353.78 ) 446,045.87   7,218,993.70     (650,052,254.51 ) 61,999,591.09  
   
 
 
 
 
 
 
 
 
 
 
Interest Charges                                          
Interest on Long Term Debt   17,406,097.30   344,848,961.06   21,217,635.91     15,063,400.30       (13,212,521.17 )   385,323,573.40  
Intercompany Interest   1,290,300.87                 (1,290,290.64 ) 10.23  
Other Interest Expense   2,924,545.42   51,357,849.05   7,302,128.21   59,017.58     61,610.97   372,389.12   (1,093,748.85 )   60,983,791.50  
Allowance for Borrowed Funds used During Construction     (4,424,835.92 ) (300,006.15 )             (4,724,842.07 )
   
 
 
 
 
 
 
 
 
 
 
  Net Interest Charges   21,620,943.59   391,781,974.19   28,219,757.97   59,017.58   15,063,400.30   61,610.97   372,389.12   (14,306,270.02 ) (1,290,290.64 ) 441,582,533.06  
   
 
 
 
 
 
 
 
 
 
 
Income Before Preferred Stock Dividends   631,770,059.12   617,839,795.45   44,896,378.77   (22,513,787.70 ) 16,609,366.21   3,497,739.72   21,920,963.79   14,266,202.34   (647,732,210.87 ) 680,554,506.82  
Preferred Stock Dividend Requirements       (12,457,913.72 )                             (12,457,913.72 )
Income Before Cumulative Effect of Changes in Accounting Principles   631,770,059.12   605,381,881.73   44,896,378.77   (22,513,787.70 ) 16,609,366.21   3,497,739.72   21,920,963.79   14,266,202.34   (647,732,210.87 ) 668,096,593.10  
Cumulative Effect of Change on Accounting Principle           (20,181,694.48 ) (1,878,638.00 )       (22,060,332.48 )
   
 
 
 
 
 
 
 
 
 
 
  Net Income for Common Stock   631,770,059.12   605,381,881.73   44,896,378.77   (22,513,787.70 ) (3,572,328.27 ) 1,619,101.72   21,920,963.79   14,266,202.34   (647,732,210.87 ) 646,036,260.62  
   
 
 
 
 
 
 
 
 
 
 

A-3



Orange and Rockland Utilities Consolidating Balance Sheet
December 31, 2002

 
  Orange &
Rockland Utilites

  Rockland
Electric
Consolidated

  Pike County
Light and
Power Company

  CLOVE
Development
Corp.

  ORDEVCO
  Eliminations_ORU
  Consolidated ORU
 
Utility Plant                              
Utility Plant   970,164,165.25   172,833,583.69   9,266,097.02       (227,527.71 ) 1,152,036,318.25  
Accumulated Depreciation   (336,646,772.52 ) (66,115,993.06 ) (2,841,417.98 )       (405,604,183.56 )
CWIP   18,684,426.10   4,227,052.16   121,151.23         23,032,629.49  
   
 
 
 
 
 
 
 
  Net Utility Plant   652,201,818.83   110,944,642.79   6,545,830.27       (227,527.71 ) 769,464,764.18  
   
 
 
 
 
 
 
 
Non-Utility Plant                              
Non-Utility Property Less Accumulated Depreciation   815.77     20,399.05     2,520,042.66     2,541,257.48  
   
 
 
 
 
 
 
 
Non-Utility Plant   815.77     20,399.05     2,520,042.66     2,541,257.48  
   
 
 
 
 
 
 
 
Current Assets                              
Cash and Temporary Investments   233,566.25   2,419,160.54   265,706.55   17,977,719.54   318,230.08   (18,672,530.73 ) 2,541,852.23  
Customer Accounts Receivable Less Allowance for Uncollectible   44,690,274.99   8,384,791.67   639,884.04         53,714,950.70  
Other Accounts Receivable Less Allowance for Uncollectible   3,499,077.40   352,556.18   79,237.43     2,869.93   (5,169.90 ) 3,928,571.04  
Receivables from Associated Companies   7,855,249.97   1,265,840.31   10,730.39     356,583.00   (9,488,403.67 )  
Accrued Unbilled Revenue   16,163,016.75   3,785,718.72   478,925.70         20,427,661.17  
Natural Gas in Storage   15,702,860.69             15,702,860.69  
Materials and Supplies, At Average Cost   4,542,505.32   1,135,107.73   80,053.49         5,757,666.54  
Prepayments   11,488,997.06   181,592.70   175,309.33     36,627.88     11,882,526.97  
Special Deposits   1,000.00   6,000.00           7,000.00  
Other Current and Accrued Assets   9,171,682.00             9,171,682.00  
   
 
 
 
 
 
 
 
  Current Assets   113,348,230.43   17,530,767.85   1,729,846.93   17,977,719.54   714,310.89   (28,166,104.30 ) 123,134,771.34  
   
 
 
 
 
 
 
 
Other Investments                              
   
 
 
 
 
 
 
 
Other Investments   149,261,072.14           (149,261,072.14 )  
   
 
 
 
 
 
 
 
Deferred Charges, Regulatory Assets and Noncurrent Assets                      
Regulatory Asset:                              
  Regulatory
Asset—Future Federal Income Taxes
  31,478,224.45   7,324,381.00   565,303.00         39,367,908.45  
  Recoverable Energy Costs   17,010,179.46   81,582,477.20   150,931.48         98,743,588.14  
  Deferred Special Retirement Program Costs   32,947,676.44   13,109,392.73   270,952.03         46,328,021.20  
  Deferred Environmental Remediation Costs   30,761,959.01             30,761,959.01  
  Workers's Compensation Reserve               1,600,000.00  
  Deferred Revenue Taxes   3,664,070.69   2,206,762.13           5,870,832.82  
  Other Regulatory Assets   10,931,671.65   15,835,281.25   32,995.23         25,199,948.13  
   
 
 
 
 
 
 
 
    Total Regulatory Assets   126,793,781.70   120,058,294.31   1,020,181.74         247,872,257.75  
   
 
 
 
 
 
 
 
Other Deferred Charges and Noncurrent Assets   16,816,833.01   1,181,382.95   249,968.66         18,248,184.62  
   
 
 
 
 
 
 
 
Deferred Charges, Regulatory Assets and Noncurrent Assets   143,610,614.71   121,239,677.26   1,270,150.40         266,120,442.37  
   
 
 
 
 
 
 
 
Total Assets   1,058,422,551.88   249,715,087.90   9,566,226.65   17,977,719.54   3,234,353.55   (177,654,704.15 ) 1,161,261,235.37  
   
 
 
 
 
 
 
 

A-4



Orange and Rockland Utilities Consolidating Balance Sheet
December 31, 2002

 
  Orange &
Rockland Utilites

  Rockland
Electric
Consolidated

  Pike County
Light and
Power Company

  CLOVE
Development
Corp.

  ORDEVCO
  Eliminations_ORU
  Consolidated ORU
 
Common Shareholder's Equity                          
Common Stock Issued   5,000.00   11,200,000.00   137,000.00   25,000.00   2,550.00   (11,364,550.00 ) 5,000.00  
Other Paid-in Capital, Premium on Common Stock   194,498,786.94           2.87   194,498,789.81  
Accumulated Other Comprehensive Income   (14,965,621.73 )           (14,965,621.73 )
Capital Stock
Expense—Common Stock
              (0.00 )
Retained Earnings   168,688,957.47   118,735,278.57   2,263,961.08   17,761,482.54   (636,672.46 ) (138,124,152.62 ) 168,688,854.58  
   
 
 
 
 
 
 
 
  Common Shareholder's Equity   348,227,122.68   129,935,278.57   2,400,961.08   17,786,482.54   (634,122.46 ) (149,488,699.75 ) 348,227,022.66  
   
 
 
 
 
 
 
 
Long-Term Debt   279,000,000.00   20,000,000.00   3,200,000.00         302,200,000.00  
Unamortized Premium (Discount)   (1,295,910.40 ) (14,291.43 )         (1,310,201.83 )
   
 
 
 
 
 
 
 
Capital   625,931,212.28   149,920,987.14   5,600,961.08   17,786,482.54   (634,122.46 ) (149,488,699.75 ) 649,116,820.83  
   
 
 
 
 
 
 
 
Noncurrent Liabilities                              
Accumulated Provision for Injuries and Damages   9,315,828.95   70,000.00           9,385,828.95  
Pension and Benefits Reserve   86,089,778.99   12,029,777.80   253,927.00         98,373,483.79  
Superfund and Other Environment Costs   35,278,730.41             35,278,730.41  
Other Noncurrent Liabilities   25,634,397.19     28,000.00         25,662,397.19  
   
 
 
 
 
 
 
 
Noncurrent Liabilities   156,318,735.54   12,099,777.80   281,927.00         168,700,440.34  
   
 
 
 
 
 
 
 
Current Liabilities                              
Long Term Debt Due Within One Year   35,000,000.00             35,000,000.00  
Notes Payable   15,285,000.00         4,387,530.73   (18,672,530.73 ) 1,000,000.00  
Accounts Payable   53,543,938.75   6,767,790.78   168,431.63     20,547.01     60,500,708.17  
Accounts Payable From Associated Companies   4,803,561.29   6,565,082.87   1,420,841.80   196,307.00     (9,493,473.67 ) 3,492,319.29  
Customer Deposits   10,552,268.41   2,073,187.50   132,207.05         12,757,662.96  
Accrued Taxes   538,664.22   461,492.61   51,681.71   (5,070.00 )     1,046,768.54  
Interest Accrued   7,257,185.82   671,741.07   65,046.85         7,993,973.74  
Other Current Liabilities   8,656,324.60         120,148.27     8,776,472.87  
   
 
 
 
 
 
 
 
Current Liabilities   135,636,943.09   16,539,294.83   1,838,209.04   191,237.00   4,528,226.01   (28,166,004.40 ) 130,567,905.57  
   
 
 
 
 
 
 
 
Deferred Credits and Regulatory Liabilities                          
Deferred Income Taxes   92,048,263.26   41,634,838.96   755,942.00     (659,750.00 )   133,779,294.22  
Accumulated Deferred Investment Tax Credits   4,404,937.00   1,499,908.00   45,722.00         5,950,567.00  
Regulatory Liabilities                        
  Gain on Divesture   4,464,164.97   65,479.55           4,529,644.52  
  Refundable Energy Costs   19,124,120.97   24,190,118.07   336,916.66         43,651,155.70  
  Pension and other Benefits     2,437,318.75           2,437,318.75  
  Competition Enhancement Funds   10,084,021.50             10,084,021.50  
  Other Regulatory Liabilities   7,856,140.32   1,307,181.31   585,242.97         9,748,564.60  
   
 
 
 
 
 
 
 
    Total Regulatory Liabilities   41,528,447.76   28,000,097.68   922,159.63         70,450,705.07  
   
 
 
 
 
 
 
 
Other Deferred Credits   2,554,012.95   20,183.49   121,305.90         2,695,502.34  
   
 
 
 
 
 
 
 
Deferred Credits and Regulatory Liabilities   140,535,660.97   71,155,028.13   1,845,129.53     (659,750.00 )   212,876,068.63  
   
 
 
 
 
 
 
 
Total Capital and Liabilities   1,058,422,551.88   249,715,087.90   9,566,226.65   17,977,719.54   3,234,353.55   (177,654,704.15 ) 1,161,261,235.37  
   
 
 
 
 
 
 
 

A-5



Orange and Rockland Utilities Consolidating Income Statement
For the Year Ended December 31, 2002

 
  Orange &
Rockland Utilites

  Rockland
Electric
Consolidated

  Pike County
Light and
Power Company

  CLOVE
Development
Corp.

  ORDEVCO
  Eliminations_ORU
  Consolidated ORU
 
Operating Revenues                              
Electric Operating Revenues   356,013,756.54   139,002,740.42   6,226,038.08     3,291.19   (25,783,960.71 ) 475,461,865.52  
Gas Operating Revenues   159,418,204.58     1,053,348.98       (1,633,905.57 ) 158,837,647.99  
Diversified Revenues                
   
 
 
 
 
 
 
 
  Total Operating Revenues   515,431,961.12   139,002,740.42   7,279,387.06     3,291.19   (27,417,866.28 ) 634,299,513.51  
   
 
 
 
 
 
 
 
Operating Expenses                              
Purchased Power   164,635,380.90   72,663,398.33   3,746,410.07       (20,950,970.71 ) 220,094,218.59  
Gas Purchase for Resale   88,714,728.13     845,684.87       (763,559.07 ) 88,796,853.93  
Other Operations Expenses   93,183,150.34   26,693,950.55   1,534,175.49   1,364.99   186,805.42   (5,703,336.50 ) 115,896,110.29  
Maintenance   22,238,149.65   4,264,883.13   169,709.90   (26,015.60 ) 1,875.00     26,648,602.08  
Depreciation and Amortization   28,776,974.75   4,969,994.77   255,162.70         34,002,132.22  
Taxes Other than Income   43,536,240.80   8,406,210.57   365,209.13   51,854.00   37,824.52     52,397,339.02  
Income Taxes   17,982,626.11   6,680,296.00   61,053.52   220,345.00   (139,948.00 )   24,804,372.63  
   
 
 
 
 
 
 
 
  Total Operating Expenses   459,067,250.68   123,678,733.35   6,977,405.68   247,548.39   86,556.94   (27,417,866.28 ) 562,639,628.76  
   
 
 
 
 
 
 
 
  Operating Income   56,364,710.44   15,324,007.07   301,981.38   (247,548.39 ) (83,265.75 ) 0.00   71,659,884.75  
   
 
 
 
 
 
 
 
Other Income and Deductions                      
Investment Income   463,628.99   697,759.65   386.61   670,110.50   19,194.64   (682,854.92 ) 1,168,225.47  
AFDC—Other   388,336.98   49,617.44           437,954.42  
Other Income   9,357,422.81   14,652.00   (921.60 )   296,108.45   (9,522,373.14 ) 144,888.52  
Income Deductions   (473,651.41 ) (253,901.36 ) (5,195.37 )       (732,748.14 )
Income Taxes-Non Operating   501,215.72   (66,093.00 ) 2,809.00         437,931.72  
   
 
 
 
 
 
 
 
  Other Income and Deductions   10,236,953.09   442,034.73   (2,921.36 ) 670,110.50   315,303.09   (10,205,228.06 ) 1,456,251.99  
   
 
 
 
 
 
 
 
Interest Charges                              
Interest on Long Term Debt   19,346,073.86   1,630,843.92   240,718.13         21,217,635.91  
Other Interest   2,628,276.53   4,942,383.06   12,161.20     402,162.34   (682,854.92 ) 7,302,128.21  
Allowance for Borrowed Funds   (269,065.63 ) (30,855.60 ) (84.92 )       (300,006.15 )
   
 
 
 
 
 
 
 
Interest Expense   21,705,284.76   6,542,371.38   252,794.41     402,162.34   (682,854.92 ) 28,219,757.97  
   
 
 
 
 
 
 
 
Net Income for Common Stock   44,896,378.77   9,223,670.42   46,265.61   422,562.11   (170,125.00 ) (9,522,373.14 ) 44,896,378.77  
   
 
 
 
 
 
 
 

A-6


Consolidated Edison Development, Inc.
Consolidating Balance Sheet
Per Consolidated Edison, Inc.
SEC filing Form U-3A-2
For The Period Ended December 31, 2002

 
  CEI
Consolidated
Edison
Development, Inc
Consolidated

  Elimination
  CED Holding
  Con Edison
Energy of Mass.
Consolidated

  Consolidated
Edison
Development Inc.

  Consolidated
Edison
Leasing
Consolidated

  Consolidated
Edison
Guatemala, Ltd.
Consolidated

  Consolidated
Edison Devep.
Ada, Inc.
Consolidated

  Con Edison
Leasing Inc
Consolidated

  Carson
Acquisition, Inc

  SCS/
Newington, LLC

  GTM1
Energy, LLC

  Consolidated
CEDST, LLC
Consolidated

  CEEMI
Expansion

  Ocean
Peaking
Power

  Rock
Springs
1 & 2

Non-Utility Plant                                                                
Unregulated Generating Assets, Less Accumulated Depreciation   221,016,405.20     125,646,659.33   38,576,851.45                     56,792,894.42    
Non-Utility Property, Work in Progress   312,406.22     312,406.22                          
Non-utility property less accumulated depreciation   305,524,235.38   (6,951,754.47 )   47,435.55   29,692,040.90                     140,649,801.60   142,096,711.80
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Non-Utility Plant   526,853,046.80   (6,951,754.47 ) 125,646,659.33   38,624,287.00   30,004,447.12                   56,792,894.42   140,649,801.60   142,086,711.80
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Current Assets                                                                
Cash and Temporary Investments   21,432,126.37     3,076,685.21   1,018,361.18   5,702,027.44     2,685,923.85         2,067,300.83       1,387,211.90   2,667,074.68   2,827,541.28
Restricted Cash   14,579,305.46     14,579,305.46                          
Accounts receivable—other   12,422,254.72   (297,926,174.60 ) 7,240,489.74   1,260,409.84   188,519,255.91   46,680,714.50       41,115,343.93     8,557,214.90     9,085,502.00   1,049,788.94   2,314,184.44   4,525,525.12
Receivable From Associated Companies   18,635,850.56         18,635,850.56                      
Fuel, At Average Cost   4,669,529.44     1,234,603.48   978,793.75               2,446,742.10         9,390.11  
Materials and Supplies, At Average Cost   3,059,932.97       3,059,932.97                        
Prepayments   3,046,821.76     430,482.93   555,162.44   1,067,442.76             969,675.51       24,058.12    
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Total Current Assets   77,845,821.28   (297,926,174.60 ) 26,561,566.82   6,872,660.18   213,924,576.67   46,680,714.50   2,685,923.85     41,115,343.93     14,040,933.34     9,085,502.00   2,461,058.96   4,990,649.23   7,353,066.40
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Other Investments                                                                
Other Investments   221,635,858.87   (475,911,409.28 )     480,362,715.97   88,697,898.08   11,808,027.55   10,297,060.71   98,089,462.84         8,292,103.00      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Total Other Investments   221,635,858.87   (475,911,409.28 )     480,362,715.97   88,697,898.08   11,808,027.55   10,297,060.71   98,089,462.84         8,292,103.00      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Deferred Charges and NonCurrent Assets                                                                
Intangible Assets   82,022,906.58     82,022,906.58                          
Other Deferred Charges and NonCurrent Assets   1,560,898.66     1,509,573.66     51,325.00                      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Total Deferred Charges and NonCurrent Assets   83,583,805.24     83,532,480.24     51,325.00                      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
TOTAL ASSETS   909,918,532.19   (780,789,338.35 ) 235,740,706.39   45,496,947.18   724,343,064.76   135,378,612.58   14,493,951.40   10,297,060.71   139,204,806.77     14,040,933.34     17,377,605.00   59,253,953.38   145,640,450.83   149,439,778.20
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

A-7


Consolidated Edison Development, Inc.
Consolidating Balance Sheet
Per Consolidated Edison, Inc.
SEC filing Form U-3A-2
For The Period Ended December 31, 2002

 
  CEI
Consolidated
Edison
Development, Inc
Consolidated

  Elimination
  CED Holding
  Con Edison
Energy of Mass.
Consolidated

  Consolidated
Edison
Development Inc.

  Consolidated
Edison
Leasing
Consolidated

  Consolidated
Edison
Guatemala, Ltd.
Consolidated

  Consolidated
Edison Devep.
Ada, Inc.
Consolidated

  Con Edison
Leasing Inc
Consolidated

  Carson
Acquisition, Inc

  SCS/
Newington, LLC

  GTM1
Energy, LLC

  Consolidated
CEDST, LLC
Consolidated

  CEEMI
Expansion

  Ocean
Peaking
Power

  Rock
Springs
1 & 2

Common Stockholder's Equity                                                                
Common Stock Issued   20,000.00   (77,049,321.54 ) 77,049,201.54   100.00   20,000.00   20.00                            
Other Paid-in Capital, Premium on Common Stock   559,379,936.66   (311,370,081.00 )   20,228,827.93   559,379,936.66   43,444,971.00   13,860,422.82   8,038,582.05   49,313,439.69   (3,014,194.01 ) 4,448.37   1,432,786.96   9,813,979.02   29,034,855.23   69,760,043.64   69,451,918.30
Accumulated other comprehensive income   (5,694,502.87 )   (5,694,502.87 )                        
Retained Earnings   34,327,061.48   (84,831,430.27 ) (2,906,845.93 ) (1,802,047.20 ) 53,114,745.74   28,715,046.47   371,592.94   1,703,913.97   28,863,616.92   3,014,304.91   2,368,496.82   (1,432,786.96 ) 1,350,906.89   (286,496.42 ) 1,786,115.93   4,297,927.67
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Common Shareholder's Equity   588,032,495.28   (473,250,832.81 ) 68,447,852.74   18,426,880.73   612,514,682.40   72,160,037.47   14,232,015.76   9,742,496.02   78,177,056.61   110.90   2,372,945.19     11,164,885.91   28,748,358.81   71,546,159.57   73,749,845.97
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Long-term Debt   148,519,180.15   (297,657,541.96 ) 141,385,001.00   25,125,601.50   96,881,560.65   3,316,810.18           3,817,368.97                   30,074,861.24   72,858,725.07   72,716,793.50
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Total Capitalization   736,551,675.43   (770,908,374.77 ) 209,832,853.74   43,552,482.23   709,396,243.05   75,476,847.65   14,232,015.76   9,742,496.02   81,994,425.58   110.90   2,372,945.19     11,164,885.91   58,823,220.05   144,404,884.64   146,466,639.47
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Noncurrent liabilities                                                                
Minority Interest in Consolidated Subsidiaries   8,906,617.03     8,693,231.87         100.00         213,285.16          
Other NonCurrent Liabilities   11,760,044.75     9,737,522.00   1,077,615.84   17,507.91                 927,399.00      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Total Noncurrent Liabilities   20,666,661.78     18,430,753.87   1,077,615.84   17,507.91     100.00         213,285.16     927,399.00      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Current Liabilities                                                                
Long-Term Debt Due Within One Year   12,631,000.00     12,310,000.00       321,000.00                    
Notes Payable   100,000.00             100,000.00                  
Accounts Payable   13,560,586.69   (268,924.02 ) 540,707.10   282,366.77   5,920,681.87     900.00         6,810,939.67       273,915.30    
Accounts Payable to Associated Companies   1,327,645.13         1,327,645.13                      
Accrued Income Taxes   918,155.63   1,481,729.80   (536,267.90 ) (785,061.30 ) (2,410,823.83 )     554,564.69       885,893.23       (922,047.00 ) 1,258,432.94   1,391,735.00
Other Current Liabilities   10,020,920.61     1,444,633.10   1,997,731.53   3,225,825.48     38,000.00   (9.69 ) (110.90 ) 2,959,842.00         4.09   355,005.00      
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Total Current Liabilities   38,558,308.06   1,212,805.78   13,759,072.30   1,495,037.00   8,063,328.65   321,000.00   138,900.00   554,564.69   (9.69 ) (110.90 ) 10,656,674.90     4.09   (293,126.70 ) 1,258,432.94   1,391,735.00
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Deferred Credits and Regulatory Liabilities                                                        
Accumulated Deferred Federal Income Tax   114,141,886.93   (11,093,769.36 ) (6,281,973.52 ) (628,187.89 ) 6,865,985.15   59,580,764.93   122,935.64     57,210,390.88     798,028.09     5,285,316.00   723,860.03   (22,866.75 ) 1,581,403.73
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Total Deferred Credits and Regullatory Liabilities   114,141,886.93   (11,093,769.36 ) (6,281,973.52 ) (628,187.89 ) 6,865,985.15   59,580,764.93   122,935.64     57,210,390.88     798,028.09     5,285,316.00   723,860.03   (22,866.75 ) 1,581,403.73
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
TOTAL LIABILITIES   909,918,532.19   (780,789,338.35 ) 235,740,706.39   45,496,947.18   724,343,064.76   135,378,612.58   14,493,951.40   10,297,060.71   139,204,806.77   0.00   14,040,933.34     17,377,605.00   59,253,953.38   145,640,450.83   149,439,778.20
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

A-8


Consolidated Edison Development, Inc.
Consolidating Income Statement
Per Consolidated Edison, Inc.
SEC filing Form U-3A-2
For The Period Ended December 31, 2002

 
  CEI
Consolidated
Edison
Development, Inc
Consolidated

  Elimination
  CED Holding
  Con Edison
Energy of Mass.
Consolidated

  Consolidated
Edison
Development Inc.

  Consolidated
Edison
Leasing
Consolidated

  Consolidated
Edison
Guatemala, Ltd.
Consolidated

  Consolidated
Edison Devep.
Ada, Inc.
Consolidated

  Con Edison
Leasing Inc
Consolidated

  Carson
Acquisition, Inc

  SCS/
Newington, LLC

  GTM1
Energy, LLC

  Consolidated
CEDST, LLC
Consolidated

  CEEMI
Expansion

  Ocean
Peaking Power

  Rock
Springs 1&2

Operating revenues                                                                
Non-Utility Revenues   147,388,622.16   (14,189,651.47 ) 60,981,179.79   9,517,999.65   14,189,651.47   5,658,319.90   (110,320.23 ) 955,671.00   10,838,687.87     40,138,917.77       5,500,408.54   4,403,818.31   9,503,939.55
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Operating revenues   147,388,622.16   (14,189,651.47 ) 60,981,179.79   9,517,999.65   14,189,651.47   5,658,319.90   (110,320.23 ) 955,671.00   10,838,687.87     40,138,917.77       5,500,408.54   4,403,818.31   9,503,939.55
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Operating expenses                                                                
Fuel Exp   57,339,742.85     16,785,882.51   4,432,084.46               32,439,933.95       2,514,381.93     1,167,460.00
Other Operations Expense   28,716,038.84     9,931,056.85   6,052,591.53   2,993,580.11     500.00         6,698,618.52     80,919.00   913,800.49   979,559.19   1,065,413.15
Depreciation & Amortization Expenses   11,833,590.17     9,671,388.08   1,658,368.43   122,366.66                 (931,149.00 ) 1,312,616.00    
Taxes, other than federal Income   3,799,847.09     1,193,124.72   1,010,441.11   164,772.76             1,227,221.00       204,287.50    
Income Taxes   12,893,282.92   (912,692.26 ) 3,504,645.13   (2,195,440.87 ) 1,103,547.70   2,281,653.58   (25,660.23 ) 390,773.84   4,400,753.73     (88,123.65 )   423,308.00   (198,186.97 ) 1,235,566.19   2,973,138.73
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Operating Expenses   114,582,501.87   (912,692.26 ) 41,086,097.29   10,958,044.66   4,384,267.23   2,281,653.58   (25,160.23 ) 390,773.84   4,400,753.73     40,277,649.82     (426,922.00 ) 4,746,898.95   2,215,125.38   5,206,011.88
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Operating Income   32,806,120.29   (13,276,959.21 ) 19,895,082.50   (1,440,045.01 ) 9,805,384.24   3,376,666.32   (85,160.00 ) 564,897.16   6,437,934.14     (138,732.05 )   426,922.00   753,509.59   2,188,692.93   4,297,927.67
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Other Income and Deductions                                                        
Investment income   475,785.27   (11,253,157.12 ) 892,802.39   11,013.29   9,662,905.48   754,581.09   48,065.94     624,875.74         137,275.46     (402,577.00 )
Income Deductions   1,609,139.05     1,620,481.83                 (11,342.78 )        
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Other Income and Deductions   (1,133,353.78 ) (11,253,157.12 ) 2,513,284.22   11,013.29   9,662,905.48   754,581.09   48,065.94     624,875.74     (11,342.78 )   137,275.46     (402,577.00 )
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Interest Charges                                                                
Interest on Long term debt   15,063,400.30   (4,301,585.35 ) 15,063,400.30   1,744,664.35   1,516,914.99                   1,040,006.01    
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
  Net Interest Charges   15,063,400.30   (4,301,585.35 ) 15,063,400.30   1,744,664.35   1,516,914.99                   1,040,006.01    
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Income Before Cumulative Effect of Change in Accounting Principle   16,609,366.21   (20,228,530.98 ) 7,344,966.42   (3,173,696.07 ) 17,951,374.73   4,131,247.41   (37,094.06 ) 564,897.16   7,062,809.88     (150,074.83 )   564,197.46   (286,496.42 ) 1,786,115.93   4,297,927.67
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Cumulative Effect of Change in Accounting Principle   (20,181,694.48 )   (16,105,883.52 ) (4,075,810.96 )                                              
Net Income After Cumulative Effect of Change in Accounting Principle   (3,572,328.27 ) (20,228,530.98 ) (8,760,917.10 ) (7,249,507.03 ) 17,951,374.73   4,131,247.41   (37,094.06 ) 564,897.16   7,062,809.88     (150,074.83 )   564,197.46   (286,496.42 ) 1,786,115.93   4,297,927.67
   
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

A-9


Exhibit B


ORGANIZATION CHART

        REFERENCE IS MADE TO ITEMS 1 AND 4 OF THIS FORM U-3A-2 FOR A DESCRIPTION OF THE COMPANIES IN CLAIMANT'S HOLDING COMPANY SYSTEM, INCLUDING INTERESTS IN SUBSIDIARIES.


CLAIMANT

A. Con Edison   B. O&R   C. CES   D. CEDI   E. CEEI   F. CEC Holding   G. Merger Subs
A.1-DIDCO   B.1-RECO   C.1-CAO   D.1-CEDG       F.1.CEC Member    
A.2-DCK   B.1.a-Enserve       D.1.a-EPCA       F.2. CECI    
A.3-Honeoye   B.2.-Pike       D.1.a.(i)-GENOR (FUCO)       F.3. CECLLC    
A.4-SHL   B.3.-Clove       D.2-CEL           F.3.a. CECOV    
    B.4.-ORDEVCO       D.3-CELLC            
            D.4-CEDA            
                D.4.a.-CDA            
                 D.4.a.(i)-ACLP            
            D.5-CED/SCS            
                D.5.a-NELLC (EWG)            
            D.6.-CED Holding            
                D.6.a.-CED Management            
                D.6.b.-CED Operating            
                D.6.c.-CEDL/CGLC            
                D.6.d.-Lakewood Cogen
    (EWG)
           
            D.7.-OPP            
            D.8.-CEEMI (EWG)            
            D.9.-CEDST            
                D.9.a-CED42            
            D.10-CEDRS            
            D.11-CEDAF            
                D.11.a-THL            
                D.11.a(i)-TLC            

B-1




QuickLinks

EXHIBIT A
EXHIBIT B
CEI Consolidating Balance Sheet December 31, 2002
CEI Consolidating Income Statement For The Year Ended December 31, 2002
Orange and Rockland Utilities Consolidating Balance Sheet December 31, 2002
Orange and Rockland Utilities Consolidating Balance Sheet December 31, 2002
Orange and Rockland Utilities Consolidating Income Statement For the Year Ended December 31, 2002
ORGANIZATION CHART
CLAIMANT