NATIONAL FUEL GAS CO
35-CERT, 1997-08-14
NATURAL GAS DISTRIBUTION
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      UNITED STATES OF AMERICA
            Before the
SECURITIES AND EXCHANGE COMMISSION
- --------------------------------------------

            In the Matter of

NATIONAL FUEL GAS COMPANY                                        SIXTH
NATIONAL FUEL GAS DISTRIBUTION CORPORATION                    CERTIFICATE
NATIONAL FUEL GAS SUPPLY CORPORATION                          PURSUANT TO
SENECA RESOURCES CORPORATION                                    RULE 24
UTILITY CONSTRUCTORS, INC.
HIGHLAND LAND & MINERALS, INC.
LEIDY HUB, INC.
DATA-TRACK ACCOUNT SERVICES, INC.
NATIONAL FUEL RESOURCES, INC.
HORIZON ENERGY DEVELOPMENT, INC.

File No. 70-8729
(Public Utility Holding Company Act of 1935)
- --------------------------------------------


                THIS  IS  TO  CERTIFY,   pursuant  to  Rule  24,  that   certain
transactions  proposed  by  National  Fuel  Gas  Company  ("National")  and  its
subsidiaries,   National  Fuel  Gas  Distribution   Corporation   ("Distribution
Corporation"),  National  Fuel Gas Supply  Corporation  ("Supply  Corporation"),
Seneca Resources Corporation  ("Seneca"),  Utility  Constructors,  Inc. ("UCI"),
Highland  Land  &  Minerals,  Inc.  ("Highland"),  Leidy  Hub,  Inc.  ("Leidy"),
Data-Track Account Services, Inc. ("Data-Track"),  National Fuel Resources, Inc.
("NFR") and Horizon Energy  Development,  Inc.  ("Horizon  Energy") in Form U-1,
Application-Declaration,  File No. 70-8729, as amended, have been carried out in
accordance with the terms and conditions, and for the purposes as represented by
said  Application-Declaration,  and the  Order of the  Securities  and  Exchange
Commission  ("Commission")  (HCAR No.  35-26443  dated  December  28, 1995) with
respect thereto.
<PAGE>

                During the quarter ended June 30, 1997 the following borrowing
transactions occurred:

                1.  Sales and resales of commercial paper for the quarter are
                shown on the attached certificates of Merrill Lynch Money 
                Markets, Inc. and Chase Securities, Inc.

                2.  National  increased  its  outstanding  borrowings by issuing
                short-term notes to banks or other financial institutions in the
                amounts,  on the  dates and at the rates  indicated  below.  The
                proceeds  from the  sales of these  notes  were  transferred  by
                National to the System  Money Pool to be utilized by  National's
                subsidiaries.  This schedule also reflects renewals at different
                rates.

                                    DATE            AMOUNT            RATE
                                    ----            ------            ----

                                  04/01/97       $12,800,000          5.96%
                                  04/01/97        11,700,000          5.73
                                  04/02/97        22,100,000          5.64
                                  04/02/97         4,600,000          5.70
                                  04/03/97        20,800,000          5.65
                                  04/04/97        14,900,000          5.41
                                  04/07/97        17,500,000          5.52
                                  04/08/97        11,000,000          5.44
                                  04/09/97        25,000,000          5.56
                                  04/10/97        20,600,000          5.50
                                  04/11/97        16,600,000          5.47
                                  04/14/97        26,200,000          5.60
                                  04/15/97        11,000,000          5.65
                                  04/15/97        24,900,000          5.70
                                  04/16/97        34,800,000          5.54
                                  04/17/97        31,100,000          5.53
                                  04/18/97        20,000,000          5.45
                                  04/18/97        15,500,000          5.50
                                  04/21/97        17,600,000          5.52
                                  04/22/97        20,000,000          5.40
                                  04/22/97         4,500,000          5.43
                                  04/23/97        19,600,000          5.53
                                  04/24/97        15,600,000          5.56
                                  04/25/97        39,100,000          5.62
                                  04/28/97        11,000,000          5.65
                                  04/28/97        25,000,000          5.68
                                  04/29/97         9,400,000          5.65

<PAGE>

                                  04/30/97       $15,300,000          5.85%
                                  05/01/97         5,100,000          5.67
                                  05/01/97        20,000,000          5.65
                                  05/02/97         3,500,000          5.60
                                  05/05/97        27,100,000          5.60
                                  05/06/97        22,000,000          5.56
                                  05/07/97        14,000,000          5.80
                                  05/08/97         9,600,000          5.60
                                  05/09/97         6,500,000          5.60
                                  05/12/97        28,800,000          5.65
                                  05/13/97        22,800,000          5.58
                                  05/14/97        18,800,000          5.52
                                  05/15/97        14,600,000          5.84
                                  05/16/97        12,700,000          5.52
                                  05/19/97        37,900,000          5.64
                                  05/20/97        32,600,000          5.76
                                  05/21/97        29,100,000          5.66
                                  05/22/97        25,200,000          5.60
                                  05/23/97        29,600,000          5.48
                                  05/27/97        22,400,000          5.58
                                  05/27/97        25,000,000          5.65
                                  05/28/97        25,000,000          5.60
                                  05/29/97        19,000,000          5.64
                                  05/30/97        14,300,000          5.74
                                  06/02/97        14,700,000          5.73
                                  06/03/97        11,400,000          5.72
                                  06/04/97         5,600,000          5.64
                                  06/05/97         1,900,000          5.58
                                  06/06/97        14,100,000          5.50
                                  06/09/97        17,900,000          5.62
                                  06/10/97         7,900,000          5.55
                                  06/11/97         4,900,000          5.60
                                  06/12/97         1,800,000          5.62
                                  06/13/97         1,800,000          5.60
                                  06/16/97        16,000,000          5.77
                                  06/17/97        12,600,000          5.66
                                  06/18/97        17,200,000          5.66
                                  06/19/97        15,700,000          5.60
                                  06/20/97        12,700,000          5.54
                                  06/23/97        16,600,000          5.60
                                  06/24/97        16,400,000          5.54
                                  06/25/97        27,500,000          5.48
                                  06/26/97        51,300,000          5.57
                                  06/27/97        15,300,000          5.66
                                  06/30/97        27,100,000          6.35
<PAGE>

                3.  National increased its outstanding borrowings to be used for
                its own corporate  purposes by issuing short-term notes to banks
                or other financial  institutions in the amounts on the dates and
                at the rates indicated below:

                           None.

                4.  National  transferred  the  following  amounts to the System
                Money Pool on the dates and at the rates indicated below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                subsidiaries.

                                    DATE            AMOUNT            RATE
                                    ----            ------            ----

                                  04/01/97       $   400,000          5.55%
                                  04/03/97           300,000          5.55
                                  04/04/97           100,000          5.52
                                  04/16/97           100,000          5.57
                                  04/30/97           300,000          5.66
                                  05/02/97           700,000          5.64
                                  06/03/97           600,000          5.66
                                  06/06/97           100,000          5.62
                                  06/10/97        10,000,000          5.63

                5.  Supply Corporation  transferred the following amounts to the
                System Money Pool on the dates and at the rates indicated below.
                These  amounts were either used to decrease  outstanding  System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                           None.

                6.  Supply Corporation borrowed the following amounts from the 
                System Money Pool on the dates and at the rates indicated below.

                                    DATE            AMOUNT            RATE
                                    ----            ------            ----

                                  04/01/97        $1,700,000          5.55%
                                  04/02/97           300,000          5.55
                                  04/03/97           200,000          5.55
                                  04/08/97           100,000          5.58

<PAGE>

                                  04/09/97          $100,000          5.55%
                                  04/10/97           100,000          5.55
                                  04/14/97           200,000          5.56
                                  04/15/97         4,800,000          5.58
                                  04/16/97           500,000          5.57
                                  04/17/97           100,000          5.57
                                  04/18/97           100,000          5.56
                                  04/21/97           200,000          5.62
                                  04/22/97           100,000          5.60
                                  04/23/97           100,000          5.62
                                  04/29/97           700,000          5.65
                                  04/30/97         2,400,000          5.67
                                  05/01/97         1,000,000          5.64
                                  05/02/97           200,000          5.64
                                  05/05/97           200,000          5.64
                                  05/07/97           100,000          5.66
                                  05/09/97           300,000          5.64
                                  05/14/97           200,000          5.63
                                  05/15/97           400,000          5.67
                                  05/16/97           100,000          5.63
                                  05/19/97           500,000          5.64
                                  05/20/97           100,000          5.68
                                  05/21/97           400,000          5.64
                                  05/22/97           100,000          5.63
                                  05/23/97           100,000          5.59
                                  05/29/97           600,000          5.64
                                  06/03/97           100,000          5.66
                                  06/04/97           100,000          5.65
                                  06/05/97           100,000          5.65
                                  06/06/97           200,000          5.62
                                  06/13/97           400,000          5.64
                                  06/16/97         5,900,000          5.66
                                  06/18/97           700,000          5.64
                                  06/19/97           100,000          5.63
                                  06/23/97           300,000          5.63
                                  06/25/97           200,000          5.60
                                  06/27/97         1,100,000          5.62
                                  06/30/97         1,400,000          5.78
<PAGE>

                7.  Distribution Corporation transferred the following amounts 
                to the System Money Pool on the dates and at the rates indicated
                below.  These  amounts were either used to decrease  outstanding
                System   borrowings  and/or  commercial  paper  or  utilized  by
                National's other subsidiaries.

                                    DATE            AMOUNT            RATE
                                    ----            ------            ----

                                  05/21/97        $2,400,000          5.64%
                                  05/22/97         4,000,000          5.63
                                  06/06/97           400,000          5.62
                                  06/09/97         2,000,000          5.64
                                  06/10/97         3,100,000          5.63
                                  06/11/97         2,200,000          5.64
                                  06/12/97         2,600,000          5.64
                                  06/13/97           400,000          5.64
                                  06/17/97         3,100,000          5.64
                                  06/19/97         2,300,000          5.63
                                  06/24/97         1,000,000          5.62

                8.  Distribution Corporation borrowed the following amounts from
                the System Money Pool on the dates and at the rates indicated 
                below:

                                    DATE            AMOUNT            RATE
                                    ----            ------            ----

                                  04/14/97        $ 8,500,000         5.56%
                                  04/15/97          2,500,000         5.58
                                  04/21/97          1,700,000         5.62
                                  04/25/97         36,000,000         5.63
                                  05/27/97         16,200,000         5.63
                                  05/28/97          5,000,000         5.64
                                  05/30/97          8,200,000         5.66
                                  06/25/97         12,300,000         5.60
                                  06/26/97          4,700,000         5.60
                                  06/30/97          4,900,000         5.78
<PAGE>

                9.  Seneca transferred the following amounts to the System Money
                Pool  on the  dates  and at the  rates  indicated  below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                                    DATE             AMOUNT           RATE
                                    ----             ------           ----

                                  04/04/97         $1,200,000         5.52%
                                  04/11/97            200,000         5.54
                                  05/07/97            900,000         5.66
                                  06/05/97            800,000         5.65
                                  06/23/97            100,000         5.63

                10.  Seneca borrowed the following amounts from the System Money
                Pool on the dates and at the rates indicated below:

                                    DATE             AMOUNT           RATE
                                    ----             ------           ----

                                  04/07/97         $  600,000         5.58%
                                  04/08/97            400,000         5.58
                                  04/10/97            200,000         5.55
                                  04/14/97            800,000         5.56
                                  04/16/97            500,000         5.57
                                  04/17/97            200,000         5.57
                                  04/18/97            600,000         5.56
                                  04/24/97            500,000         5.63
                                  04/28/97          1,600,000         5.65
                                  04/29/97            700,000         5.65
                                  04/30/97          4,200,000         5.67
                                  05/01/97            100,000         5.64
                                  05/02/97            800,000         5.64
                                  05/05/97          1,500,000         5.64
                                  05/06/97            300,000         5.63
                                  05/07/97            300,000         5.66
                                  05/08/97            500,000         5.64
                                  05/14/97            700,000         5.63
                                  05/15/97            400,000         5.67
                                  05/19/97            200,000         5.64
                                  05/21/97            100,000         5.64
                                  05/22/97            300,000         5.63
                                  05/30/97          6,300,000         5.66
                                  06/03/97            800,000         5.66
                                  06/09/97          1,100,000         5.64
                                  06/10/97          3,300,000         5.63

<PAGE>
                                  06/11/97         $2,000,000         5.64%
                                  06/16/97          2,200,000         5.66
                                  06/19/97            500,000         5.63
                                  06/23/97          1,000,000         5.63
                                  06/26/97            200,000         5.60
                                  06/30/97          4,700,000         5.78

                11.  UCI  transferred the following  amounts to the System Money
                Pool  on the  dates  and at the  rates  indicated  below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                           None.

                12.  UCI borrowed the following amounts from the System Money 
                Pool on the dates and at the rates indicated below:

                           None.

                13.  Highland  transferred  the following  amounts to the System
                Money Pool on the dates and at the rates indicated below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                                    DATE             AMOUNT           RATE
                                    ----             ------           ----

                                  04/29/97          $800,000          5.65%

                14.  Highland borrowed the following amounts from the System 
                Money Pool on the dates and at the rates indicated below:

                           None.

                15.  Leidy transferred the following amounts to the System Money
                Pool  on the  dates  and at the  rates  indicated  below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                           None.
<PAGE>

                16.  Leidy borrowed the following amounts from the System Money
                Pool on the dates and at the rates indicated below:

                           None.

                17.  Data-Track  transferred the following amounts to the System
                Money Pool on the dates and at the rates indicated below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                           None.

                18.  Data-Track borrowed the following amounts from the System
                Money Pool on the dates and at the rates indicated below:

                           None.

                19.  NFR transferred  the following  amounts to the System Money
                Pool  on the  dates  and at the  rates  indicated  below.  These
                amounts  were  either  used  to  decrease   outstanding   System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                                    DATE            AMOUNT            RATE
                                    ----            ------            ----

                                  04/01/97        $  900,000          5.55%
                                  04/02/97           300,000          5.55
                                  04/03/97           100,000          5.55
                                  04/08/97           900,000          5.58
                                  04/10/97           400,000          5.55
                                  04/11/97           900,000          5.54
                                  04/15/97           400,000          5.58
                                  04/18/97           300,000          5.56
                                  04/22/97           700,000          5.60
                                  04/23/97           400,000          5.62
                                  05/05/97           400,000          5.64
                                  05/06/97         1,500,000          5.63
                                  05/08/97           300,000          5.64
                                  05/09/97           600,000          5.64
                                  05/13/97         1,200,000          5.64
                                  05/14/97           300,000          5.63
                                  05/15/97           800,000          5.67

<PAGE>

                                  05/16/97        $  100,000          5.63%
                                  05/20/97           300,000          5.68
                                  05/22/97           300,000          5.63
                                  05/29/97         1,000,000          5.64
                                  06/02/97           200,000          5.66
                                  06/03/97           100,000          5.66
                                  06/04/97           500,000          5.65
                                  06/09/97           200,000          5.64
                                  06/10/97           200,000          5.63
                                  06/11/97           900,000          5.64
                                  06/12/97           500,000          5.64
                                  06/17/97           300,000          5.64
                                  06/18/97           200,000          5.64
                                  06/23/97           200,000          5.63
                                  06/27/97           100,000          5.62

                20.  NFR borrowed the following amounts from the System Money
                Pool on the dates and at the rates indicated below:

                           None.

                21.  Horizon  Energy  transferred  the following  amounts to the
                System Money Pool on the dates and at the rates indicated below.
                These  amounts were either used to decrease  outstanding  System
                borrowings  and/or  commercial  paper or utilized by  National's
                other subsidiaries.

                           None.
<PAGE>

                22.  Horizon Energy borrowed the following amounts from the
                System Money Pool on the dates and at the rates indicated below:

                                    DATE             AMOUNT           RATE
                                    ----             ------           ----

                                  04/04/97        $   100,000         5.52%
                                  04/07/97         21,500,000         5.58
                                  04/14/97            100,000         5.56
                                  04/18/97            100,000         5.56
                                  04/23/97            100,000         5.62
                                  05/02/97            100,000         5.64
                                  05/07/97            300,000         5.66
                                  05/12/97            200,000         5.65
                                  05/16/97            100,000         5.63
                                  06/30/97            200,000         5.78



Dated:  August 13, 1997             NATIONAL FUEL GAS COMPANY





                                    By: /s/ James R. Peterson
                                       ----------------------------------------
                                       James R. Peterson
                                       Assistant Secretary


                                                  Global Money Markets

                                                  Corporate and Institutional
                                                  Client Group

                                                  World Financial Center
                                                  North Tower
                                                  New York, New York 10281-1311
                                                  212 449 1000
                                                  FAX 212 449 1786
                                                  Telex 671 6340

MERRILL LYNCH


July 8, 1997




Ms. Donna Cambas
National Fuel Gas Company
10 Lafayette Square - Room 1100
Buffalo, NY  14203

Dear Donna:

This is to advise you that in  connection  with the  distribution  of commercial
paper of National  Fuel Gas Company from April 1, 1997 to June 30, 1997 no sales
or resales were made by Merrill  Lynch Money  Markets Inc. for National Fuel Gas
Company's commercial paper program. Verification of which is attached.



Sincerely,


/s/ Michael J. Maita


Michael J. Maita

Enclosure


<PAGE>





PROGRAM ISSUANCE TRADE DETAIL - CP
NATIONAL FUEL GAS CO
04/01/97 - 06/30/97


Pgm  Fx/F1  Trade Dt   Sett Dt   MTY    DTM   PAR     Rate    Proceeds



  TOTALS
  ------

Number of Trans:  0
Total Par                         0
Total Proceeds                    0

  Dollar Weighted Averages
  ------------------------

Days to Mty:  NaN
Rate:  NaN

Programs:
     N1       NATIONAL FUEL GAS CO.



Chase Securities, Inc.
270 Park Avenue
New York, New York 10017-2070







July 11, 1997



Ms. Donna Cambas
National Fuel Gas Company
10 Lafayette Square - Room 1500
Buffalo, New York  14203


Dear Ms. Cambas:

The is to advise you that in  connection  with the  distribution  of  commercial
paper for the National Fuel Gas Company from April 01, 1997 to June 30, 1997 all
sales and resales on your  behalf by Chase  Securities,  Inc.  were made only to
those customers included in the Confidential List retained by the corporation of
National Fuel Gas Company's  commercial paper program.  The issuance of National
Fuel Gas Company commercial paper and sales thereof were made in accordance with
the provisions of that program. A summary of all trade activitiy for the quarter
is attached.


Sincerely,

/s/ Anton J. Schubert

Anton J. Schubert
Vice President


<PAGE>





Chase Securities, Inc.
270 Park Avenue
New York, NY 10017-2070


                            NATIONAL FUEL GAS COMPANY
                            -------------------------

                        Second Quarter Performance Report

                      April 01, 1997 through June 30, 1997



   PAR        ISSUE     MATURITY
  AMOUNT      DATE        DATE     RATE   YIELD     TERM        TYPE

25,000,000   04/07/97   05/12/97   5.62   5.6508   35 Days   Discounted
25,000,000   04/07/97   05/05/97   5.62   5.6446   28 Days   Discounted
25,000,000   04/21/97   05/28/97   5.62   5.6526   37 Days   Discounted
15,000,000   04/21/97   06/19/97   5.67   5.7232   59 Days   Discounted
15,000,000   04/21/97   06/09/97   5.63   5.6735   49 Days   Discounted
20,000,000   05/28/97   07/07/97   5.63   5.6654   40 Days   Discounted
20,000,000   05/30/97   06/02/97   5.70   5.7027   03 Days   Discounted
15,000,000   06/02/97   07/02/97   5.63   5.6565   30 Days   Discounted
20,000,000   06/09/97   07/09/97   5.62   5.6464   30 Days   Discounted
15,000,000   06/19/97   07/21/97   5.62   5.6482   32 Days   Discounted
35,000,000   06/27/97   06/30/97   5.58   5.5826   03 Days   Discounted
35,000,000   06/30/97   07/28/97   5.65   5.6749   28 Days   Discounted

- -----------------------------------------------------------------------


265,000,000

                                       /s/Anton J. Schubert
                                       ---------------------------------
                                       Anton J. Schubert, Vice President




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