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File No. 40-364
SECURITIES AND EXCHANGE COMMISSION
FORM U-6B-2
CERTIFICATE OF NOTIFICATION
COLUMBIA GAS TRANSMISSION CORPORATION ("TCO")
This certificate is notice that the above named company has issued,
renewed or guaranteed the security or securities described herein which issue,
renewal or guaranty was exempted from the provisions of Section 6(a) of the
Act.
1. Type of Securities - Short-Term Mortgage Bonds and Long-Term Mortgage
Bonds.
2. Issue, renewal or guaranty - New issue.
3. Principal amount - See Schedule 1.
4. Rate of interest - See Schedule 1.
5. Date of issue renewal or guaranty - as indicated on Schedule 1.
6. Not Applicable.
7. Date of maturity - See Schedule 1.
8. Issued to The Columbia Gas System, Inc.
9. Collateral given with each Security - Substantially all of the property of
TCO.
10. Consideration received: The Mortgage Bonds listed on Schedule 1 were
issued in consideration of the settlement of claims by The Columbia Gas
System, Inc. under secured First Mortgage Bonds pursuant to TCO's Plan of
Reorganization which became effective on November 28, 1995. Cash was
received for subsequent short term First Mortgage Bonds issued. The
maximum amount of cash received subsequent to November 28, 1995 was
$104,500,000.
11. Application of Proceeds - Settlement of bankruptcy claims and corporate
funds for use in ordinary course of business.
12. Issue, renewal or guaranty exempt under (c) Rule 52.
13. Not Applicable.
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14. Not Applicable.
15. Exempt from provisions of Section 6(a) under Rule 52.
COLUMBIA GAS TRANSMISSION CORPORATION
Date: February 5, 1996 By: /s/ L. J. Bainter
---------------------------------
L. J. Bainter, Vice President
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Form U-6B-2
Schedule 1
COLUMBIA GAS TRANSMISSION CORPORATION
PERIOD FROM NOVEMBER 28, 1995 TO DECEMBER 31, 1995
<TABLE>
<CAPTION>
Aggregate Amount
Issued Under Exemption
During Period from
November 28, 1995 to Maximum Amount
December 31, 1995 During Period
-------------------------------- ------------------
Long-Term Short-Term Interest Maturity
Mortgage Bonds Mortgage Bonds Rate Date
-------------------------------- ------------------ -------- ---------
<S> <C> <C> <C> <C>
Series A N/A $111,744,717 * **
Series G $129,000,000 N/A 6.39% 11/28/2000
Series H $128,500,000 N/A 6.61% 11/28/2002
Series F $128,500,000 N/A 6.80% 11/28/2005
Series J $128,500,000 N/A 7.05% 11/28/2007
Series K $128,500,000 N/A 7.32% 11/28/2010
Series L $128,500,000 N/A 7.42% 11/28/2015
Series M $128,500,000 N/A 7.62% 11/28/2025
</TABLE>
* Interest Rate = 6.46% to 8.75%
** Maturity Date = 4/30/96