VEKIZON NEW ENGLAND INC. CAPITAL STRUCTURE - COMMISSION BASIS (Excluding STD Advances) PERlOD ENDED DECEMBER 3 I , 2000
Category Amount Percent
hng-term Debt; Funded Debt (includes current portion)
Current Maturities of Capital Leases Preferred Stock Common Stock Additional Paid-in-Capital Other Capital Retained Earnings Total Common Equity
Total Debt + Equity 4,884,505,718 100.000%
I-' N . . w CQ
I-' 4 4 IP 0 I-' I-' (P I-
Series Rate
(e) (A) 7 r E K
4.500% 6250% 7.015% 4.625% 6.125% 7.650% 6.375% 5.875% 6.300% 7.875% 6.875% 7.875% 9.000% 9.500% 8.200% 8.000% 9.000%
12.125% 12.125%
T d
lssue Datc
(C) 7mmi 0710 1 I62 03/17/93 06/30XK1 07101165 10/01/67 w 1 9 m 0910 1 168 04/19/99 lUl5I97 09/01192 10/05193 11/15/89 08101/91
Malurily Datc
@) Tmim
07B1102 03/15/03 06i30IO3 07M1105 10/0 1/06 06/15/07 09/01/08 04/15/09 lUl6ll2 09/01 I22 10/01/23 1 1/15/29 OM11131
03/(5/03 0311 5/03 10/01/23 01131R5 11/15/29
VERIZON NEW ENGLAND INC. EMBEDDED COST OF LONG-TERM DEBT PERIOD ENDED DECEMBER 3 1,2000
ARiliatc Note Dcbmturc
Capital kases Refiomced Deb(
Unamdzcd Long-term Cunu~l Pmnium Lrsulnce NeI IUatwities Maturities (Discount) Expense Roc&
m (GI (H) 0 (J=F+G+H+I) '5-5 lO~.OOO,~O S (32.083) s (41,178) S 99,926,139
50.000.000 0 3.564 (4,302) 49,999,262 225,000.000 0 (300.027) (172,782) 221,527,191 200,000,000 0 0 0 200,000,000
0 12.852 (14,310) 59,998,542 1 OO,OOO,wO 0 (10.41 9) (12,2 13) 99,977,368 125,W0,000 0 (244.148) (720.796) 124,035,056 125.000.000 0 (136,344) (19.228) 124,844,428 200,M)0,000 0 (1,268,625) (1,077,917) 197,653,451 I75,000,000 0 2,385,250 (411.250) 176.974.000 100.000.000 0 (559.W01 (386.825) 99.054 175 250,000.000 0 (2.608.668) (1,424,153) 245,961,179 348.965.000 0 0 0 348,965,000 75,000,000 0 (1,486,350) (548,642) 72,965,008
0 29.255 0 0 29,255 0 0 (93.019) (648.262) (741,281) 0 0 (20.119) (69,709) (89,828) 0 0 (2,523,954) (19,859,279) (22,383,233) 0 0 (1,072,768) (9,984,372) (1 1,051,140) 0 0 (1,032,736) (10,89 1.760) (I 1.924.496)
S 2,033,965,000 S 100,029,255 3 (8,986.594) S (46,286,9711) S 2,078,720,683 -
YJ'h4 Annual Cost Effective Rate Cog (K) &-Jfi)
8TB171k s 8.810.541 4.502% 2,250,967 6.380% 14,324,835 7.015% 14,030,000 4.626% 2,775,533 6.135% 6,133,612 7.807% 9.683.41 7 6.420% 8,015,012 6.066% 1 1,969,659 6.006'k 10,629,058 7.99156 7.915419 7.046% 11,330,847 7.962% 27,784,193 9.363% 6,831,714 9.500% 2,179 8.200% 342,130 8.000% 41,459 9.000% 9113,878
12.125% 459,120 12.125% 410.012 7.252% S 150,744,585 -
Annual Report of Verizon New England Inc. Year Ended December 31,2000
CONTENTS OF REPORT
Pages prior to this report are exact reproductions of the same pages filed with the Federal Communications Commission excepting, that certain data required by Item 4, Schedule A-6 is incorporated by reference only, in the report to the Federal Communications Commission.
Certain schedules containing data for the State of New Hampshire, only, and information required by the New Hampshire Public Utilities Commission are filed in the following order:
Schedule A-5 Cities and towns in New Hampshire in which Verizon New England Inc. conducts its telephone business
Schedule A-6 Payments to Individuals
Schedule 1-1 Income Statement Accounts
Schedule B-1 Balance Sheet Accounts
Schedule B- 12B Analysis of Telecommunications Plant-in-Service Retired
Schedule B- 12C Analysis of Entries in Property Held for Future Telecommunications Use
Schedule B- 12D Capital Leases
Schedule B- 13A Analysis of Telecommunications Plant Acquired
Schedule B-5 Analysis of Entries in Accumulated Depreciation
Schedule B- 14B Bases of Charges for Depreciation
Schedule B-15 Analysis of Entries in Accumulated Amortization
Schedule B-30B Net deferred Operating Income Taxes
Schedule B-30C Net deferred Non-Operating Income Taxes
Schedule I-35A Increase in Operating Expenses
Schedule I-36D Extraordinary Items
Schedule 1-39 Special Expenses Attributed to Formal Regulatory Cases
TABLE OF CONTENTS (Page 2)
Advertising
General Services and Licenses
Membership Fees and Dues
Schedule 1-40
Schedule 1-4 1
Schedule 1-42
Statement 1
Statement 2
Statement 3
Employees Telephone Service
Supplement
.=was 1-1 ou saq I! V!I+M u! )nq q!mp 1108 seq &uapuodsa aw p!qm u! sumq pue say3 .
QJoquoyn1 bl
WllLL UOlo~lU a6ElPJnd
aruasayy pue wsduro~~ aldrual
womwel
Annual Report of Verizon New England Inc. (State of New Hampshire) year ended December 31,2000.
A-6 Payments to individuals
See attached
NOTE: PEC R represents charges booked directly to New Hampshire.
PEC 1 represents charges booked to the Company some of which are allocated back to New Hampshire at a rate of approximately 1 1.443%.
Companies listed have received $1 0,000 or more from Verizon New England Inc. (all five states).
JOURNAL AREA AREA
SUPPLIER NAME SUPL
AMOUNT
ABSTRACT & TITLE SERVICE ADC TELECOMMUNICATIONS
ALCATEL USA MARKETING INC
ALFRED F CONTARINO C / O
ALL-WAY SERVICE CO
ALLEN COLES MOVING SYSTEM
AMERICAN ELECTRIC COMPANY
APEX TELECOMMUNICATIONS
APPLIED DIGITAL ACCESS
APPLIED INNOVATION INC
ARCH COMMUNICATIONS
ARCH PAGING INC ARI
ASCEND COMMUNICATIONS INC
AT&T WIRELESS SERVICES
ATLANTIC MANCHESTER
ATLANTIC SERVICE ALLIANCE
BELL ATLANTIC MOBILE
BLC CORPORATION
BMC GENERAL CONTRACTORS
BROOKS FIBER PROPERTIES
BRUSSARD ASSOC INC
BUILDING TECHNOLOGY
BUNKER & SAVAGE
BUSINESS & INDUSTRY
BUTLER FLEET SERVICES INC
C & I INVESTMENT ASSOC
C&D CHARTER POWER SYSTEMS C&D TECHNOLOGIES CANNON GROUP CELEBRATE NEW HAMPSHIRE CELLULAR ONE
CENDANT BUSINESS SERVICES
CENDANT MOBILITY
CENTRAL MAINE POWER CO
CHAMBERLAIN CONSTRUCTION
CHICHESTER TELE COMPANY
CHOICE ONE COMMUNICATIONS
CID ASSOCIATES INC
CITIZENS BANK NH
CITY OF CONCORD CITY O F KEENE
CITY O F LEBANON
CITY OF MANCHESTER CITY O F SOMERSWORTH
COMMUNICATIONS TEST
CONNECTICUT VALLEY ELECTR
CONSOLIDATED UTILITY
CONTOOCOOK VALLEY TEL
CRAIG AND WENNERS
CREATIVE OFFICE PAVILION D B U CONSTRUCTION INC
DIELECTRIC COMMUNICATIONS DIG SAFE SYSTEM INC
DIGILOG INC DON HENRY J R & SONS
DUNBARTON TELEPHONE CO
DWC FOR TCG EAST COAST UTILITIES CORP
ED SWETT INC
EDWARDS & COMPANY INC
EDWARDS & KELCEY
ENERGY DYNAMICS INC
ENERGY NORTH NATURAL GAS
ETNA ROAD REALTY TRUST
EXECUTIVE DIRECTOR BUREAU
EXETER & HAMPTON ELECTRIC
FAIRWAY MOTORS INC
FIAMM TECHNOLOGIES INC FICO INC
FLEET ELECTRICAL SERVICE FLORIDA POWER & LIGHT FREEDOM RING
FUJITSU NETWORK GE CAPITAL CORPORATE
GILBANE BUILDING COMPANY
GLOBAL NAPS INC
GRAEBELIEASTERN MOVERS
GRANITE STATE TELE INC
HARON CORPORATION
HARRISON CONFERENCE
HARRON COMMUNICATIONS
HARVARD MANAGEMENT CO INC
HEC INC
HEKIMIAN LABORATORIES INC
HEWLETT PACKARD COMPANY
HILL ASSOCIATES INC
HOBBS GROUP
HOLT AVE REALTY ASSOC
HORNE CONSTRUCTION CO INC
INDUSTRIAL AIR CONDITION
IPC OFFICE PROPERTIES LLC
IPC OFFICE PROPERTY LLC
JAMES A KILEY COMPANY
JCR CONSTRUCTION CO INC
JOHN A MORIARTY
KEARSARGE TELEPHONE CO
LACASSE PAVING & CONST CO
LAWRENCE E LYFORD
LE BAGLEY CO INC
LEONELA LABONTE
LEVEL 3 COMMUNICATIONS
LIAKOS & SONS CONSTR
LISN INC
LUCAS TREE EXPERT CO
LUCENT TECHNOLOGIES
LUCENT TECHNOLOGIES INC
LVI ENVIRONMENTAL
MAINE GENERATOR CO., INC.
MARELD COMPANY INC
MARTIN G O'NEIL
MARTYS GMC INC
MEDIAONE NORTHEAST REGION
MERRIMACK COUNTY TELE CO
MMSTV ASSOCIATE
MOBILE TOOL INTERNATIONAL
MOTOR QUEST OF WELLESLEY
NATIONAL SERVICE CLEANING
NEC ELUMINANT
NEW ENGLAND EQUIPT FINANC
NEW HAMPSHIRE ELEC COOP
NEW WEST COMMUNICATIONS
NEW YORK STATE LINEMAN'S
NEXTEL COMMUNICATIONS NH HOMEOWNERS/MAIN STREET NORTEL NETWORKS INC NORTHEAST UTILITIES NORTHERN TELECOM INC
NORTON ASSET MANAGEMENT NOTT'S EXCAVATING INC
NW ALBEE ENTERPRISES
O'LEARY /VINCUNAS
OMNIPOINT COMMUNICATIONS
ONTARGET
PAGENET
PLANT EQUIPMENT INC POWER MAINTENANCE
POWERSAFE STANDBY PUBLIC SERVICE COMPANY OF
QA TECHNOLOGY COMPANY INC R S AUDLEY INC
RAYCHEM CORP
RCC ATLANTIC INC
RESOURCE ONE COMPUTER RIEKER INSTRUMENT CO INC
ROBERT W FRANCOEUR ROBSON WOESE INC
SCUDDER-KEMPER
SIECOR OPERATIONS LLC
SIGMA CONSULTANTS INC
SIGNAL CORPORATION
SMALLEY CONTRACTORS
SOUCY ELECTRIC INC SOUTHWORTH-MILTON INC SPRINT PCS STATE O F NEW HAMPSHIRE SYSTEM STUDIES INC TCG O F BOSTON TCG OF NH
TELCO SYSTEMS FIBER
TELCOBUY. COM
TELCORDIA TECHNOLOGIES
TELECORP PCS
TELLABS OPERATIONS
THYSSEN ELEVATOR
TIME MANUFACTURING CO
TINA B GRAY TOWN O F BELMONT
TOWN OF LITTLETON
TOWN OF MADISON
TOWN OF WOLFEBORO
UNION TELEPHONE COMPANY
UNION WATER POWER CO
UNITED STATES CELLULAR
UNIVERSAL SERVICE
UNIVERSITY OF NH
URASEAL INC
UUNET TECHNOLOGIES INC
VERIZON WIRELESS
VIDEOCONFERENCING SYSTEMS
VINCENT CONSTRUCTION
VOLT
W ERNEST BERGH J R
WASTE MANAGEMENT INC
WILTON TELEPHONE COMPANY
WINMILL MECHANICAL
WORKSPACE SOLUTIONS
WORLDWIDE TECHNOLOGY
WRIGHT EXPRESS FINANCIAL
YUASA EXIDE INC
ZEE INDUSTRIES INC
492 LAFAYETTE ROAD LLC
ACS UNCLAIMED PROPERTY
ADECCO
ADGAP GROUP
AJILON LLC
ALAN LEE ASSOCIATES
ALGOMOD CORPORATION
ALL WAY SERVICE CORP
ALL-WAY SERVICE CO
ALTERNATIVE RESOURCES
AMERICAN EXPRESS
AMERICAN TECHNICAL SVCS
ANDERSEN CONSULTING LLP
ARTERY BUSINESS COMMITTEE
ASSET RECOVERY MANAGEMENT
BAY STATE TEE SHIRT
BOSTON MUNICIPAL RESEARCH
BOSTON PRIVATE IND COUN
BOSTON RED SOX
C LINK INCORPORATED
CEL-TECH SYSTEMS CORP
CENDANT MOBILITY
CENTER FOR ADVANCED
CISCO SYSTEMS INC
COMMONWEALTH OF MASS
COMMUNICATIONS WORKERS OF
COMPAQ COMPUTER CORP
COMPUTER MAINTENANCE
CREATIVE OFFICE PAVILION
CREATIVE TECHNICAL
DAKCS SOFTWARE SYSTEMS
DAVOX CORPORATION
DMR CONSULTING GROUP INC
DOT.COMMONWEALTH
ERIE COUNTY CORRECTIONAL
FINANCAL SECTY IBEW 2222
FINANCIAL SECRETARY IBEW
FINANCIAL SECTY IBEW 2320
FINANCIAL SECTY IBEW 2325
FLEET CENTER NBG CORP
FLIK INTERNATIONAL CORP
FOLEY HOAG & ELIOT
FORUM PERSONNEL INC
FORUM STAFFING
FRANKLIN CATERERS
FUJITSU NETWORK
GE CAPITAL CORPORATE
GREATER BOSTON CHAMBER OF
GREATER SPRINGFIELD
HAWTHORN SYSTEMS INC
HEWLETT PACKARD COMPANY
HILL ASSOCIATES INC
IBEW LOCAL 2327
IBEW 232 1 FINANCIAL SECTY
IBEW 2324 FINANCIAL SECTY
IBM CORPORATION
INTEGRATED RESEARCH INC
INTERNATIONAL BROTHERHOOD
JOBS FOR MASSACHUSETTS
KEEGAN WERLIN & PABIAN
KERLLENEVICH LAW OFFICES LEXUS TEMPORARIES INC
LUCENT TECHNOLOGIES
MARK D FELDMAN
MASSACHUSETTS
MASSACHUSETTS BAY
MASSACHUSETTS BUSINESS
MASSACHUSETTS HIGH
MASSACHUSETTS TAXPAYERS
MCKIN SETTLEMENT
MERRIMACK EDUCATION
MODIS INC
MTA/ NYC TRANSIT
NETWORK SERVICES
NETWORK SERVICES PAYMENT
NEW ENGLAND COUNCIL
NEW YORK CITY DEPARTMENT
NO ON 5 COALITION
NORFOLK COUNTY SHERIFF'S
NORTEL NETWORKS NA INC
NYS DEFT O F TAXATION
OBERMAYER REBMAN ET AL
PERIPHERAL PARTS SUPPORT
PLYMFTON SITES GROUP
POSTMASTER
POSTMASTER ( BRAINTREE )
PREDICTIVE SYSTEMS
RENU ELECTRONICS INC RICHARD B MICHAUD AS A'M'Y
SEAPORT HOTEL
SIMPSON COMPANY
SMS/800
SOFTWARE HOUSE
SOUTHEASTERN
SPRINT
STATE LEGISLATIVE LEADERS
STATE OF MAINE
SUFFOLK COUNTY SHERIFF
SUN MICROSYSTEMS INC
TAX ROLLBACK COMMITTEE
TEL TECH CORP
TELCORDIA TECHNOLOGIES
TELITCOM DEVELOPMENT CORP
TRUST FOR CITY HALL PLAZA
TRUSTEES OF BOSTON UNlVER
TST 125 HIGH STREET LLP
UNISYS CORPORATION
UNITED WAY OF TRI STATE
URBAN TELECOMMUNICATIONS
VERIZON WIRELESS
VOLT DELTA RESOURCES
WASHINGTON SPEAKERS
WAUSAU INSURANCE CO
WEST SITE HOWS CORNER RI/ WESTCHESTER COUNTY JAIL
WHITTMAN-HART INC
WILLIAM F COYNE
XEROX CONNECT INC
2 55 STATE STREET LLC
FCC Report -13-02 ARMIS USOA REPORT
COMPANY: Verizon New England T & T,lnc. Unrestricted Version STUDY AREA: New Hampshire SUBMISSION 1 PE41CD: Jan 2000 to Dec 2000 TABLE I - 1 COSA: NENH PAGE 1 OF 5
Table 1-1 - INCOME STATEMENT ACCOUNTS -CLASS A ACCOUNT LEVEL REPORTING (Dollars in Thousands)
I I
l o c a l Network Revenues
Account Title
(a) - Basic area revenue Optional extended area revenue Ceilular mobile service revenue Other mobile service revenue
Basic local service revenue
Amount
(b)
Local private line revenue Customer premises revenue Other local exchange revenue Other local exchange revenue settlements
Local network service revenue
l ~ e f w o r k Access Services Revenue%
End user revenue Sivitcned access revenue Special access revenue Siate access revenue
Nehvork access revenue
LD message revenue LD inward-only revenue LD ouhvard-only revenue
Un~arrec:lonal LD Revenue
Subvoice grade LD private network revenue Voice grade LD private network revenue Audio program grade LD private network revenue Video program grade LD private network revenue Digital transrnission LD private network revenue LD private network switching revenue Other LD private network revenue Other LD private network revenue settlements
Long distance private network revenue
Other long distance revenue Other long distance revenue settlements
1 LD Network service Revenues
M i s c e l l m o u s Revenues
Directory revenue Rent revenue Corporate operations revenue Special billing arrangements revenue Customer operations revenue Plant operations revenue Other incidental regulated revenue Other revenue settlements
Miscellaneous revenue
Carner billing and collection revenue Miscellaneous revenue
I Nonregulated revenue
Uncollectible revenue-telecommunicationS Uncollectible revenue-other
Uncollectible revenue
Total Operatrng Revenues
FCC Repor: 43-02 ARMlS USOA REPORT
COMPANY: Verizon New England T & T,lnc. Unrestricted Version STUDY AREA: New Hampshire SUBMISSI0F.I 1
PERIOD: Jan 2000 to Dec 2000 TABLE I - 1 COSA: NENH PAGE 2 OF 5
Table 1-1 - INCOME STATEMENT ACCOUNTS - CLASS AACCOUNT LEVEL REPORTING
Row/ Acct. No.
(Dollars in Thousands)
I Account Title (aa)
~ P F N S E ACCOUNTS
Plant S ~ e c i f i c Operations
Account 61 12 - Motor Vehicles Account 61 13 - Aircraft Account 61 14 - Tools and other work equipment
Network support
Land & building Furniture & artworks Office equipment General plurpose computers
1 61 20 1 General support
Analog electronic Digital electronic Electro-mechanical
Central Office-switching
Operator systems
Radio systems Circuit equipment
Central office-transmission
Station apparatus Large PBX Public telephone terminal equipment Other terminal equipment
Information originationltermination expense
Poles Aerial cable Underground cable Buried cable Submarine cable Deep sea cable lntrabuilding network cable Aerial wire Conduit systems
Cable and wire
( 650 ( Total Plant Specific Operations 1
Total
(ab)
1,405 0
-566'
839
12,695 74
1,463 12.059
26,290
444 6,492
0
6,937
0
4 4,887
4,891
0 0
1,043 7,127
FCC Report 43-02 ARMlS USOA REPORT
COMPANY: Verizon New England T & T,lnc. Unrestricted Version STUDY AREA: New Hampshire SUBMISSION 1
PERIOD: Jan 2000 to Dec 2000 TABLE I - 1
'
/
4
PAGE 3 OF 5 REPORTING
Total
(ab)
0 2.729 2,729
3,351 3.131
1 1,028 10,126 4.247
31,882
19.185
117,996 0
588 4.606
805 124.085
177,881
10.835 9,630
-3,069
17.306
1,019 2,505
35,910
39.434
56,829
2,239 79
2,318
3,670 4.133 4,326 8,207 2.603
225 36
16,458
39,658
0
41,976
357,157
164,961 ,
COSA: NENH
Row1 Acct. NO.
6511 665
6510
6531 6532 6533 675 685
6530
6540
6561 6562 6563 6564 6565 6565
690
661 1 6612 661 3
661 0
6621 6622 6623
6620
700
671 1 6712
6710
6721 6722 6723 6724 6725 6726 6727 6728
6720
6790
71 0
720
730
Table 1-1 - INCOME STATEMENT ACCOUNTS - CLASS A ACCOUNT LEVEL (Dollars in Thousands)
Account Title
( 4
Plant Nonsoecif ic Oaerat ions
P H V U Account 6512 - Provisioning
Other property plant and equipment expense
Power Network administration Testing
Account 6534 - Plant operation administration Account 6535 - Engineering
Network Operations
Access
Depreciation-TPIS Depreciation-PHFTU Amortizat~on-tangible Amortizaiion-intangible Amortization-other
Depreciations 8 Amortization Expense
Total Plant Nonspecific Operations
Customer Oeerat ions
Product management Sales Product advertising
Marketing Expense
Call completion Number services Customer services
Service Expense
Total Customer Operations
Coroorate Ooerat ions
Executive Planning
Executive and Planning
Accounting & finance External relations Human resources Information management Legal Procurement Research and development Other general and administrative
General & Administrative
Provision for uncollectible notes
Total Corporate Operations Expense
Total Operating Expenses
Income Before Other Operating Items and Taxes .
FCC Report 43-02 ARMIS USOA REPORT
COMPANY: Verizon New England T 8 T.lnc. Unrestricted Version STUDY ARE4: New Hampshire SUBMISSION 1 PERIOD: Jan 2000 to Dec 2000 TABLE I - 1 COSA: NENH PAGE 4 0 F 5
Table 1-1 - INCOME STATEMENT ACCOUNTS -CLASS A ACCOUNT LEVEL REPORTING
I I Other Ooeratinq lncome and Expense
(Dollars in Thousands)
lncoma from custom work Return from nonreg use of regulated facilities Gainsllosses from foreign exchange Gainsllosses from disposition of land 8 artworks Other operating gains and losses
Other operating income and expenses
Row1 Acct. No.
I I Ooeratina Taxes
Account Title
(a)
Operating investment tax credits-net Operating federal income taxes Operating state and local lncome taxes Operating other taxes Provision for deferred operating income tax-net
Operat~ng Taxes
I I Nonooeratino lncome and Expense
1 Dividend income lnterest income lncome from sinking and other funds Allowance for funds used during const (AFUDC) Gainsllosses from the disposition of property Other nonoperating income Special charges
Nonoperating lncome and Expense
I I Nonooeratina Taxes
Nanoperating investment tax credits-net Nonoperating federal income taxes Nonoperating state and local income taxes Nonoperating other taxes Provision for deferred nonoperating income tax-net
Nonoperating Taxes
I I lnterest and Related ltems
lnterest on funded debt lnterest expense-capital leases Amortization of debt issuance expense Other interest deductions
lnterest and Related ltems
I I Extraordinaw ltems
Extraordinary income credits Extraordinary income charges Current inc tax effect of extraordinary items-net Provision for deferred inc tax effect of items-net
Extraordinary ltems
1 Jurisdictional Differences 8 Nonrequlated lncome
lncome effects of jurisdictional differences-net Nonregulated net income
790 Net Income 83.639
FCC Remn -2 ARMIS USOA REPORT
CCMFANY. Venmn N a E y l a n l T h T.lnc. SilJDY A R W New HamOlhlm PEillOD Jan 2a30 lo Dec 2CCO CCSA NENH
Unrarrnasd Venlon SUBMISSION 1
TABLE B - I PAGE 2 OF 4 TABLE 6-1 - B A M C E SHEET ACCOUNTS . C W S A LEVEL REPORTING
(IX I a n ~n Ihourems)
FCC R n w n -2 ARMIS USOA REPORT
i
1
NO.
z W ~ ZOO2
( i W 3 .W5
(20% ?W7
210
2111 2112 2113 21 14 2121 2122 2123
'2!24 12110 I
COMPANY: V w m n N r r EqlaM T h 7 . 1 ~ SilJDY ARE4: N r r Hammnlrs PERIOD: Jan 2a30 lo i e c 2 0 a ) COSA. NENH
TABLE 3 - 1
PAGE 3 OF 4
A m u m fine (as)
Plant - Telgommunlwrlonr pant ~n z e n ~ w (TPlS) P m p e q held for b r a tel-m w e (PHF'W) Telephone plan1 under cc.%uuU~on-Sh~ lerm (TPUC) Telgommun~car~onr plan1 mjwtmenl Nomwraung plant G-I1
Total Plant
TPlS - General Suomn
L ~ n d hWor vehdss A I W J ~ Toots am olhsr HOPX aq~zcrnml Bu~ld~ng$ Fumlhm Onice qutpmear Genem plrmle mmpvrso
Land and ~ u c p o n
TPIS . Cenml Of i
TAELE 6-1 - 8 W C E SHE= ACCOUNTS - C W S A LEVEL REPORTING
Beglnnlq T r a n r t n E n d l q Balance 1 Add~l lom 1 ReUremmn 1 AdlwtmenR 1 Balance (sb)
1.787.711 0
37.583 0
235 0
1,825,528
3.646 6.934
0 15.986 8 7 . W
2.873 13.426 9.799
139.668
i 2212 2215.1
""'5 2
';;5 3 lD l5 I
':10 ,i23:.l l Z 3 1 2 2 3 1
,2232
:::?3
1 :7311 i2321 2 2 1
(acl
42.566 0
113.632 0 0 0
156.198
0 62 0
296 672
0 15
232 1.264
-5 359.248
0 0 0 0
359.243
2.017 0
1.153 1,153
375.823
376.976
0 0 0
5.391 18.863 24.255
124934 458.117 117.548 51.221
1.145 0
1.2W 4.676
1W.965 869.906
1.772.065
DlglIaI aeamnns sMcaq S l e W r Y e p w l m i n g C.'cs.raar w1v.q Orher eiec-enan~cu w l m t n g
Em-echan~u l r ~ r q canmi o n i c e S * n n l ~
Operator System Saslltls h eanh r1aMN Clher m ! o faultltss
R m ~ a sytsma
C i w l l mu~oment
Csntral CXce - T n u m l u o n
>IS - Infgrmatton Cn.: m ~ l r v T m ~ n a b 0 n
Stalan s p p v s i u ~ ~ . m o m s r pran8- wnrq
LargePBX
( D o h 8n Va-ndr)
0 1.229
0 0 0 0
1279
0 0 0 0
7.738
7.739
0 0 0
303 468
TI 1
5.979 17.640 4.367 1 . ~ 2
23 0 8 0
2.411 31.474
42 496
ZM)
,:362
':A21 1202 12423 l?424 , ::25 2426 2431 -.. '-1
!::I3
240
Orher l s m ~ n a l m m p m a Infomalton 0np:rroorvTerminanon
( P I S - Cabla h Wlrs
Polar A m 3 cable UMsrgmuna csale B~ :nm cable Sucmmne cabla OOSD ~ e a wola Imraou~ldlq n e w * caas Aanal wre Corau~l rys~sms
C ~ o l e d Wire
Total TPlS ibafom amomraols auetal
Reuremenu
(ad)
0 29 29
239
A d d n l o ~ (ac,
0 S 58
12
TOI~I TPIS
Begtnnng Balanw (sbl
0 6.686 6.686
8.961
,z 1 Acmum Tine Nn (aa)
T r m I e W A d ] l L I t m ~
(as,
0 45 45
13 710
2681 26-32 2680
2690
1.787.711
EMIT Balanca
inn
0 6.760 8,760
22.444
-1
C a p ~ l l - Lsuehold !mprovemacl
Aman~zaMs lang blss
I n q # b l r u
42.5661 35.472 103.911 1.898.718(
FCC Report 43-02 ARMIS USOA REPORT
COMPANY: Verizon New England T & T,lnc. Unrestricted Version STUDY AREA: New Hampshire SUBMISSION 1 PERIOD: Jan 2000 to Dec 2000 COSA: NENH
TABLE B - 5 TABLE 8-5 -ANALYSIS OF ENTRIES IN ACCUMULATED DEPRECIATION PAGE 1 OF 4
(Dollars in thousands)
Motor Vehicles Aircraft Tools and other work equipment Buildings Furniture Office Support Equipment Company Communications Equipment General Purpose Computers
Total Support Assets
Row -
No.
I CREDITS DURING THE YEAR
Description (a)
Beginning Balance
10280 (operator Systems 894 1 435 1 0 1 3
0220 0230 0240 0250 0260 0270
Accruals
0290 0300 0310 0320
Salvage
0 1,029
0 0 0
1,029
0330 0340 0350
Other Credits
0 1,537
0 0 0
1,537
Analog Electronic Switching Digital Electronic Switching Step-by-step Switching Crossbar Switching Other Electro-mech. Switching
Total Central Office-Switching
Satellite and Earth Sta. Facilities Other Radio Facilities Circuit Equipment
Total Central Office-Transmission
1,041 175,814
1,897 123
0 178,875
0 0 0
Station Apparatus Customer Premises Wiring Large Private Branch Exchange
0 28,724
0 0 0
28,724
0 447
221,930 222,377
0 0
4,716 4,716
0 8 7
33,172 33,259
-1 21 0 0
0 0 0 0
0 0 0
0 0 0
FCC Report 43-02 ARMlS USOA REPORT
COMPANY: Verizon New England T & T,lnc. Unrestricted Version STUDY AREA: New Hampshire SUBMISSION 1 PERIOD: Jan 2000 to Dec 2000 COSA: NENH
TABLE B - 5 TABLE B-5 -ANALYSIS OF ENTRIES IN ACCUMULATED DEPRECIATION PAGE 2 OF 4
(Dollars in thousands)
Beginning Balance
(b)
3,630 9,566
13,075
Row No.
0360 0370 0380
CREDITS DURING THE YEAR
1 0 0 0 0 0 0 0 0 1
7,965 29,587
5,983 2,927
5 1 0
8 1 0
2,248 48,842
13,832
~ e s c r i ~ t i o n
(a)
Public Telephone Terminal Equipment Other Terminal Equipment
Total Info. Originationrrermination
Accruals
(c)
385 1,561 1,946
0 6,393
0 0 0 0 0 0 0
6,393
69,696 314,576 65,238 33,746
904 0
816 6,393
26,747 518,116
0390 0400 0410 0420 0430 0440 0450 0460 0470 0480
6,416
Poles Aerial Cable Underground Cable Btiried Cable Submarine Cable Deep Sea Cable lntrabuilding Network Cable Aerial Wire Conduit Systems
Total Cable and Wire Facilities
117,996
Salvage
( 4
1 0 1
988,528 0490
Other Credits
(el
0 0 0
Total Accumulated Depreciation
FCC Report 43-02 ARMIS USOA REPORT
COMPANY: Verizon New England T & T,lnc. STUDY AREA: New Hampshire PERIOD: Jan 2000 to Dec 2000 COSA: NENH
TABLE B-5 - ANALYSIS OF ENTRIES IN ACCUMULATED DEPRECIATION (Dollars in thousands)
CHARGES DURING THE YEAR Retirements 1 Retirements I Cost of I Other
Motor Vehicles Aircraft Tools and other work equipment Buildings Furniture Office Support Equipment Company Communications Equipment General Purpose Computers
Total Support Assets
1 Row 1 NO.
Description (a)
Charges (i)
wirraffic wio Traffic Removal
Unrestricted Version SUBMISSION 1
(f 1
0 0 0 0 0 0 0
TABLE B - 5 PAGE 3 OF 4
(9 1 (h)
178 0 0 0
787 0 459 558 520 0
28 0 0
Ending Balance
3,659 0 O 5.686
10290 l~atel l i te and Earth Sta. Facilities 0 1 0 1 0 1 0 1 0 1
0220 0230 0240 0250 0260 0270
0300 031 0 0320
-28 197,557
1,896 123
0 199,548
Analog Electronic Switching Digital Electronic Switching Step-by-Siep Switching Crossbar Switching Other Electro-mech. Switching
Total Central Office-Switching
33 20 1
1 0 0
235
0330 0340 0350
1,036 0 0 0 0
1,036
Other Radio Facilities Circuit Equipment
Total Central Office-Transmission
0 0 0 0 0 0
Station Apparatus Customer Premises Wiring Large Private Branch Exchange
0 9,346
0 0 0
9,346
484 250,921 251,405
0 1 0 0 8-7::~ 19;~ 0 0
0 0 0
8,750 1 197 1 0
0 0 0
0 0 0
0 0 0
-121 0 0
FCC Report 43-02 ARMlS USOA REPORT
COMPANY: Verizon New England T 8 T,lnc. STUDY AREA: New Hampshire PERIOD: Jan 2000 to Dec 2000 COSA: NENH
TABLE 8-5 -ANALYSIS OF ENTRIES IN ACCUMULATED DEPRECIATION (Dollars in thousands)
Unrestricted Version SUBMISSION 1
TABLE B - 5 PAGE 4 OF 4
Row No.
0360 0370 0380
0390 0400 041 0 0420 0430 0440 0450 0460 0470 0480
Description
(a) .
Public Telephone Terminal Equipment Other Terminal Equipment
Total Info. Origination/Termination
0490 Total Accumulated Depreciation 0
Ending Balance
0') 3,355
1 1,030 14,264
CHARGES DURING THE YEAR
1,618 1.306
186 6 1 0 0 0 0
14 3,185
1,673 6,366 1,727
440 0 0
93 0
375 10,674
Poles Aerial Cable Underground Cable Buried Cable Submarine Cable Deep Sea Cable lntrabuilding Network Cable Aerial Wire Conduit Systems
Total Cable and Wire Facilities
35.204 4,1791 14.3471 1,073,0421
Retirements w/Trafflc
(f
0 0 0
0 0 0 0 0 0 0 0 0 0
0 209
28 0 0 0 0
6,393 0
6,630
Retirements wlo Traffic
(9)
661 87
748
74,371 342,675
69.280 36,172
955 0
804 0
28,606 552,863
Cost of Removal
(h)
0 4 4
Other Charges
0)
0 6 6
Annual Report of Verizon New England Inc. (New Hampshire) Year ended December 3 1, 2000
8-15. ANALYSIS OF ENTRIES IN ACCUMULATED AMORTIZATION (Accounts 3410, 3420,3500,3600) 1. For each account identified in the column headings for columns (b) through (e), respondents shall enter credits to accumulated amortiza-
tion for charges to the account identified in column (a). If charges are made to an account not specified in column (a), respondents shall insert the account number and title in the space provided in column (a) and the amounts in the appropriate column.
2. At the bottom of the schedule respondents shall describe how the annual amortization charges were determined for amounts reported in columns (d) and (e).
Line No.
ADDI'I'IONS DURING THE YEAR Charged or (credited) to account:
7160 Other Operating Gains and Losses 7300 Non-operating Income 6563.1 Amortization Expense
- Capitalized leases 6563.2 Amortization Expense
- Leasehold Improvements
6564 Amortization Expense - Intangible
6565 Amortization Expense - Other Other accounts (specify):
I I I I
Total additions during the Year
CLEARANCES DURING THE YEAR Clearance from account:
2005 Telecom. Plant Adjustment 2681 Capital leases 2682 Leasehold Improvements
1
Other accounts (specify):
Amounts Applicable
to Account 3600 (el
Particulars (a)
Balance at beginning of the year 1 ( lo)
BASIS OF ANNUAL AMORTIZATION CHARGES
Amounts Applicable
Total clearances during the year Balance at end o i year
Amounts Applicable
. $ (10)
Amounts Applicable
to Account 3410 to Mou;t 3420 (b)
to Account 3500 (dl
$ 31,607 $6,270,558
B $
$ $
Annual R~~~ of Verizon New England Inc. (New Hampshire) Year ended December 3 1. 2000
B-12B. ANALYSIS O F TELECOMMUNICATIONS PLANT-IN-SERVICE RETIRED 1. Respondents shall report in column (b) amounts charged or credited to the accounts identified in column (a) that are related to plant sold
with traffic and in column (c) amounts charged or credited to the accounts identified in column (a) that are related to other plant retired.
2. Charges to Account 3100, Accumulated Depreciation, reported in column (c) shall be reported gross betore salvage and cost of removal entries (see Schedule 14A).
3. In the space provided at the bottom of the schedule, respondents shall provide a full explanation of other accounts charged or credited. -
Line NO:
- 1 2 3 4
5 6 7 8 9
10 11
12
13
Account Charged (or Credited) (a)
3 100 Accumulated Depreciation 3200 Accumulated Depreciation - Held for Future Telec. Use 3300 Accumulated Depreciation - Nonoperating 3410 Accumulated Amortization - Capitalized leases 3420 Accumulated Amortizaion - Leasehold Improvements 3500 Accumulated Amortization - Intangible 3600 Accumulated Amortization - Other 2006 Nonoperating Plant 7150 Gains and Losses from the Disposition of Land and Artwork 7160 Other Operating Gains and Losses Cash or Other Asset Account (Net Selling Price of Depreciable Plant Sold With Traffic) Cash or Other Asset Account (Net Selling Price of Nondepreciable Plant Sold) Other Accounts Specified
AMOUNTS RELATING TO
FULL EXPLANATlON OF AMOUNTS REPORTED ABOVE O N LINE 13:
Plant Sold With Traffic
(b)
Totals
Other Plant Retired
(c)
I
$ ( $ 35,232,321
~~~~~l ~ ~ ~ r t of Verizon New England Inc . (New Hampshire) Year ended December 3 1. 2000
B-12C. ANALYSIS OF ENTRIES IN PROPERTY HELD FOR FUTURE 'rELECOMMUNICATIONS USE (Account 2002) 1. Respondents shall list in column (a) each item amounting individually to $5,000 or more and report all others in the aggregate. Amounts
reported on this schedule shall be rounded to the nearest thousand dollars.
2. In column (b) respondents shall enter thedate the property was recorded in Account 2002, Property Held for the Future Telecommunica- tions Use.
3. In column (c) respondents shall enter the dollars related to the property identified in column (a) at the beginning of the calendar year covered by the report.
Line No.
1 2 3 4 5 6 7 8 9
10 11 12 13 14 15 16 17 18 19 20 2 1 22 23 24 2 5 2 6 2 7 28 2 9 30 3 1 32 33 34 35 3 6 37 38 3 9 1 0 11 1 2
Location and Description of Property
(a) ----
Nothing to report
Date Included in Account 2002
(b)
Book cost of Property Beginning of Year
(c)
$
Annual Report of Verizon New England Inc . (New Hampshire) Year ended December 3 1,
B-12C. ANALYSIS O F ENTRIES IN PROPERTY HELD FOR FUTURE TELECOMMUNICATIONS USE (Account 2002) (continued)
4. In column (dl and (e) respondents shall enter additions and retirements, respectively.
5. In column (0 respondents shall enter transfers and adjustments and corrections during the calendar year and fully explain each amount recorded in column (0 which exceeds $1,000.
6. In column (g) respondents shall enter the dollars related to the property identified in column (a) remaining Account 2002 at the close of the calendar year.
Line No.
1 2 3 4 5 6 7 8 9
10 11 12 13 14 15 16 17 18 19 20 2 1 2 2 2 3 2 4 2 5 2 6 27 2 8 2 9 30 31 3 2 3 3 34 3 5 36 3 7 3 8 3 9 40 41 4 2
Addit~ons During the Year
(d)
$ Nothing to report
Retirements During the Year
(el
$
~ransfer; and Adjustments Charges and (Credits)
(0
$
Book cost of Property at End of Year
(g)
$
Annual Report of Verizon New England Inc. (New Hampshire) Year Ended December 3 1, 2000
0-12D. CAPITAL LEASES (continued) 3. In Column (e) on page 2, the respondents shall list in account number order each category of plant for which capital leases are recorded. Line numbers on page 2 shall correspond with line numbers on page 1. 4 In column (0 and (g) respondents shall disclose the amount of the lease obligation to be paid during the coming year to the lessor and the remaining long-term lease obligaion at the close of the year c w r e d by the
report.
5. In colurnn (11). (i) and (j), respondents shall report the annual lease cost components called for in the column headings and paid during the year c w r e d by the report.
Annual Report of Verizon New England Inc. (New Hampshire) Year Ended December 3 1, 2000
B-13A. ANALYSIS O F T E L E C O M M U N I C A T I O N S P L A N T ACQUIRED (Account 1439) (continued)
3. Show in notes the character of amounts reported in column (i).
4. Clearances of residual credit amounts from account 1439 to account 2005 shall be reported in column (h) enclosed in parentheses.
N W
Line No. -
1 2 3 4 5 6 7 8 9
10 11 12 13 14 15 16 17 18 19 2 0 2 1
Arinual Kevort of Verizon New England Inc. (New Hampshire) Year Ended December 3 1, 2000
8-138. ANALYSIS O F TELECOMMUNICATIONS PLANT PURCHASED FROM OR SOLD T O AFFILIATES 1 . Report separately by affiliate and account number, sales and/or purchases with respect to which an amount was included i n Account 2 0 0 1 at any time during the year. The net
book value included i n column (f) shall equal gross investment less applicable accumulated depreciation and other appropriate items (column (e)).
2. A"P" i n column (a) represents a purchase. A n "S" i n column (a) represents a sale.
Sale Price
(i)
$
Purchase Price
(h)
$
Other
(el
$
Line No.
1 2 3 4 5 6 7 8 9
10 11 12 13 14 15 16 17 18 19 2 0 2 1 22 23 24 25 2 6 2 7 2 8 2 9
Original Cost
(c)
$
Net Book Value
(0
$
Accumulated Depreciation
(dl
$
TY ~e of
Trans.
(a)
Fair Market Value
(g)
$
Name of Affiliate
(b)
VERIZON NEW ENGLAND INC. STATE OF NEW HAMPSHIRE
BASIS OF CHARGES FOR DEPRECIATION - INTERSTATE YEAR ENDED DECEMBER 31.2000
WHOLE AVERAGE FUTURE RATIO OF DEPR. ACCOUNT NUMBER AND DEPR. DEPR. or REMAINING NET DEPRECIATION RESERVE TO
TITLE OF PLANT ACCOUNTS ALLOW. PROCE- REM LIFE SALVAGE RESERVES RATE AVG. MONTHLY LINE AND SUBACCOUNTS METHOD DURES LIFE (YEARS) ("4 ($1 (%) BOOK COST (%)
(a) (b) (c) (dl (el (9 (9) (h) (i)
21 12 Motor Vehicles 21 14 Spec Purp Vehicles 21 15 Garage Work Equip 21 16 Other Work Equip 2121 Buildings
2122.1 Furniture 2123.1 Office Equipment 2123.2 Official Cornm. Equip
2124 Computers 221 1 Analog Switch 2212 Digital Switch 221 5 Electro-mechanical 2220 Operator Systems 2231 Radio
2232.1 1 DDS 2232.1 Digital Circuit - Other 2232.2 Analog Circuit
231 1 Station Aparatus 2351 Public Telephone
2362.1 Other Term Equip 2411 Poles
2421.1 1 Aerial CA Exch Met 2421.12 Aerial CA Exch N-Met 2422.1 1 Undrgd CA Exch Met 2422.12 Undrgd CA Exch N-Met 2423.1 1 Buried CA Exch Met 2423.12 Buried CA Exch N-Met 2424.1 1 Sub CA Exch Met 2424.12 Sub CA Exch N-Met 2426.1 1 lntra Nlwk CA Met 2426.12 lntra Nlwk CA N-Met
2441 Conduit
ELG 0 0 0
ELG ELG ELG
0 ELG
0 ELG ELG ELG ELG ELG ELG ELG
0 0 0
ELG ELG ELG ELG ELG ELG ELG ELG ELG ELG ELG ELG
Annual Reporlof Verizon New England Inc . (New Hampshire) Year d December 3 1 , 2 0 0 0
1-360. EXTRAORDINARY ITEMS (Accounts 7610, 7620, 7630, 7640)
1. Give below a brief description of each item included in accounts 7610. Extraordinary lncome Credits and 7620, Extraordinary lncome Charges.
2. (;ive reference to commission approval, including date of approval f o ~ extraordinary treatment of any item.
I . Income IJX effects relating to each extraortlinary item should be listed in Column (c) and Column (d).
Account 7640 Provision for Deferred
lnconie Tax Effect
(dl
A
l ~ t i e No
1 2
3 4 5 6 7 8 9
10 I I 12 13 14 15 I6 17
18 19 2 0 2 1 2 2 2 I 24 2 5 2 6 2 7 2 8 2 9 3 0 3 1
Gross Amount
(b) 6
$ 6
6 6
Descr~pt~on of Items
(a)
Account 76 10 Extraordtnary Income Cred~ts
Nothing to report
TOTALS Account 7620 fxtraordtnary Income Charges
TOTALS Nel Extraordinary Items
Current Income Tax Effect
(c)
6
6 6
1 $
Annual Report of Verizon New England Inc . (New Hampshire) Year ended December 3 1, 2000
1-37. NONOPERATING INCOME AND EXPENSES (Account 7300)
1-38. OTHER OPERATING INCOME AND EXPENSES (Account 7100)
Line No
1 2 3 4 5 6 7 8 9
Item
(a)
73 10 Dividend Income ................................................................................................................... 7320 Interest Income ....................................................................................................................... 7330 Income From Sinking and Other Funds ..........................................................................
.......................................................... 7340 Allowance for Funds Used During Construction ........................................... 7350 Gains or Losses for the Disposition of Certain Property
.................................................................... 7355 Equity in Earnings of Affiliated Companies 7360 Other Nonoperating Income ..................................... ....................................................... 73 70 Special Charges ......................................................................................................................
Total Nonoperating Income and Expenses
Line No
1
2 3 4 5 6
Amount for the Increase Over Item Current Year Preceding Year
(a)
71 10 Income from Custom Work ................................................................................................ $
71 30 Return from Nonregulated Use of Regulated Facilities ............................................... 71 40 Gains and Losses from Foreign Exchange .....................................................................
.................................. 71 50 Gains and Losses from the Disposition of Land and Artwork 7160 Other Operating Gains and Losses ..................................................................................
Total Other Operating Income and Expenses $
Amount for the Current Year
(b)
$
$
lncrease Over Preceding Year
(4
5
Ann ;port of: VERIZON NEW ENGLAND INC. (State of New Hampshire) Year ended December 31,2000
8-308. NET DEFERRED OPERATING INCOME TAXES (Accounts 4100 and 4340)
1. In column (b) respondents shall provide the beginning balance for the year for each of the line items in column (a).
2. In columns (c) and (d) respondents shall provide the account numbers and amounts, respectively, for current year deferrals.
3. In column (e) respondents shall provide the amounts for the current year amortizations.
4. In column (9 respondents shall provide the adjustments debit or (credit) made to the items in column (a) if the adjustment amounts to $10,000 or more. Each adjustment shall also be explained at the bottom of this schedule.
5. In column (g) respondents shall provide the ending balance for the year.
Line No.
1. 2. 3.
Adjustments ebit or (Credit)
(9
$ NONE
Balance at End of Year (9)
$ NONE
4. 5. 6. 7.
8. 9. 10.
1 I. 12. 13. 14.
15.
Particulars (a)
PROPERTY RELATED NET CURRENT OPERATING INCOME TAXES (Account 4100)
Provision for Deferred Operating lncome Taxes-Net Federal lncome Taxes State and Local lncome Taxes
Total Net Current Operating Income Taxes (Account 4100) NET NONCURRENT OPERATING INCOME TAXES (Account 4340)
Provision for Deferred Operating lncome Taxes-Net Federal Income Taxes State and Local Income Taxes
Total Net Current Operating Income Taxes (Account 4340) TOTAL PROPERTY RELATED DEFERRED OPERATING INCOME TAXES
NONPROPERTY RELATED NET CURRENT OPERATING INCOME TAXES (Account 4100)
Provision for Deferred Operating lncome Taxes-Net Federal Income Taxes State and Local Income Taxes
Total Net Current Operating Income Taxes (Account 4100) NET NONCURRENT OPERATING INCOME TAXES (Account 4340)
Provision for Deferred Operating lncome Taxes-Net Federal Income Taxes State and Local Income Taxes
Total Net Noncurrent Operating Income Taxes (Account 4340) TOTAL NONPROPERTY RELATED DEFERRED OPERATING INCOME TAXES TOTAL DEFERRED OPERATING INCOME TAXES
Balance at Beginning of
Year (b)
$ NONE
Current Year Accrual
(dl
$ NONE
Account
(c)
7250
96,792,758 23,592,492
$120,385,250 $120,385,250
2,058,469 509,588
$2,568,057
(55,490,757) (1 1,472,518) ($66,963,275)
($64,395,218) $55,990,032
Current Year Amortization
(el
$ NONE
7250
7250
7250
$16,301,569 $13,144,520
$0 $0
$0 $0
($48,093,649) $67,383,445
Ann .&port of: VERIZON NEW ENGLAND INC. (State of New Hampshire) Year ended December 31,2000
B-30C. NET DEFERRED NON-OPERATING INCOME TAXES (Accounts 4110 and 4350)
1. In column (b) respondents shall provide the beginning balance for the year for each of the line items in column (a).
2. In columns (c) and (d) respondents shall provide the account numbers and amounts, respectively, for current year deferrals.
3. In column (e) respondents shall provide the amounts for the current year amortizations.
4. In column (9 respondents shall provide the adjustments debit or (credit) made to the items in column (a) if the adjustment amounts to $10,000 or more. Each adjustment shall also be explained at the bottom of this schedule.
5. In column (g) respondents shall provide the ending balance for the year.
Current Year Accrual
(dl
$ NONE
$ NONE
$ NONE
Current Year Amortization
(el
$ NONE
$ NONE
$ NONE
Line No.
1. 2.
3. 4. 5.
6. 7.
8. 9. 10. 11.
Balance at Beginning of
Year (b)
$ NONE
$ NONE
$ NONE
Adjustments Debit or (Credit
(9
$ NONE
$ NONE
$ NONE
Particulars (a)
PROPERTY RELATED NET CURRENT NON-OPERATING INCOME TAXES (Account 41 10)
Provision for Deferred Non-Operating lncome Taxes-Net Federal Income Taxes State and Local Income Taxes
Deferred lncome Tax Effect of Extraordinary Items-Net Federal Income Taxes State and Local Income Taxes
Total Net Current Non-Operating Income Taxes (Account 41 10)
NET NONCURRENT NON-OPERATING INCOME TAXES (Account 4350) Provision for Deferred Non-Operating lncome Taxes-Net
Federal Income Taxes State and Local Income Taxes
Deferred lncome Tax Effect of Extraordinary Items-Net Federal Income Taxes State and Local Income Taxes
Total Net Noncurrent Non-Operating Income Taxes (Account 4350) TOTAL PROPERTY RELATED DEFERRED NON-OPERATING INCOME TAXES
Account (c)
7450 7450
7640 7640
7450 7450
7640 7640
Balance at End of Year (9)
$ NONE
$ NONE
$ NONE
Annual Report of: VERIZON NEW ENGLAND INC. (State of New Hampshire) Year ended December 31,2000
B-30C. NET DEFERRED NON-OPERATING INCOME TAXES (Accounts 4110 and 4350) (Cont'd)
Balance at End of Year
(9)
(1,574,105) (420.687)
($1,994,792)
(506.775) (273,309)
0 0
($780,084)
($2,774,876)
Adjustments Debit or (Credit
(9
$0
$0
$0
Line No.
12. 13.
14. 15. 16.
17. 18.
19. 20. 21. 22.
Balance at Beginning of
Year (b)
(1,574,105) (420,687)
0 0
($1,994,792)
(506,775) (273,309)
0 0
($780,084)
($2,774,876)
Particulars (a)
NONPROPERTY RELATED NET CURRENT NON-OPERATING INCQME TAXES (Account 4110)
Provision for Deferred Non-Operating lncome Taxes-Net Federal Income Taxes State and Local Income Taxes
Deferred lncome Tax Effect of Extraordinary Items-Net Federal Income Taxes State and Local Taxes
Total Net Current Non-Operating Income Taxes (Account 41 10)
NET NON-CURRENT NQN-OPERATING INCOME TAXES (Account 4350) Provision for Deferred Non-Operating Income Taxes-Net
Federal Income Taxes State and Local Income Taxes
Deferred lncome Tax Effect of Extraordinary Items-Net Federal Income Taxes State and Local Income Taxes
Total Net Noncurrent Non-Operating Income Taxes (Account 4350) TOTAL NONPROPERTY RELATED DEFERRED NON-OPERATING INCOME TAXES
Account ( 4
7450 7450
7640 7640
7450 7450
7640 7640
Current Year Accrual
(dl
$0
0 0
$0
$0
Current Year Amortization
(el
$0
$0
$0
Annual Report of VERIZON NEW ENGLAND MC. (STATE OF NEW HAMPSHIRE) Year ended December 3 1,2000
I-35A INCREASE IN OPERATING EXPENSES
Give explanation of all accounts, over $500, that have increased 10% or more over the prior year.
6212 - Digital Electronic Expense increased $1,842,300 in 2000 due to an increase in plant labor costs.
6422 - Underground Cable Expense is up $727,300 primarily due to increased plant labor and contract services.
6441 - Conduit Systems Expense increased $1 56,900 due to higher contract service expense and material purchases.
6512 - Provisioning Expense is up $2,272,300 due to an increase in corporate transactions.
6531 - Power Expense increased $387,300 compared to 1999 due to an increase in energy costs.
6532 -Network Administration Expense is up $327,800 as a result of increased affiliate billing.
6534 -Plant Operations Administration Expense increased $1,148,000 due to higher wages and affiliate billing.
6535 - Engineering Expense increased $1,630,800 due to an increase in wages.
6623 -Customer Services is up $3,967,500 due to an increase in affiliate charges.
6722- External Relations Expense increased $507,900 due to higher affiliate billing.
6725 - Legal Expense is up $3 13,900 due to an increase in corporate transactions and affiliate expense.
6728- Other General and Administrative Expense increased $4,193,600 due to higher affiliate billing.
Arlli11.1l KI-OII~~ of Ver izon New England I n c . (New Hampshire) Year Ended December 3 1, 2000
1-39. SPECIAL EXPENSES ATTRIBUTABLE T O FORMAL REGULATORY CASES
I. Sl~t)w, to 111o trxttblit intlic .ltc.tl iry IIII- f~)llowing ins~rur~ions allel columnar c.,il~tic>ns, the expenses incurreel tluring the year in conneclion wi lh formal cases before Federal, State and other rt.g~lla~ory (o l~~ l~~ iss ior ls , alltl ill cases in w l~ ich strcl~ a rornniission i s a party. incltrding to the same extent, tile cost of tlefense and proseculion of petitions and complaints presented lo s l i t 11 con~rllissiolis alicl l l lc cosl of valualinns, inver~lories alitl aol)raisals of ~)lal i l made for rate-case purposes and hose laken in compliance will1 Stale anel other regulatory authorities.
2 . F ~ ( I ~ I I ~ ~ * S i r i 01111c~c lion will1 111e Ijrocurenient of franrl~ises, isstrancc of caoi~al slock ant1 funtled tlel~t, ant1 ll ie exl~enses of securing certificales of convenience and necessity shall 1101
I)c ir~rluclccl in l l i i s sc Ilc!dtrle.
3 . (;ive i r l co l t r~ l l l~ (a) a cornl)lc~e descriplion of the reg~rlalinn, hearing. or c.,isc! lliat occasioned he ilen~s rcpor~ecl, inclueling its nlrmber or otl~er identification ant1 llie name of 111c rrgtrl~lory co r~~ i~~ iss ion concernell.
4 . C~~ltrn in (11) ,II.III iliclude special assessmenls Ily rcgula~ory commissions pertaining l o ll ie proceedings reported. General assessments by such commissions shall not be included in r l ~ i s stl1etlule.
5. Colurlll~ (1 1 sl1.1II inc.ltrtle arllnunls such as fees, rclainers, and expenses fcxccpling niinnr expenses no1 readily separal~le) paid lo attorneys, consultants, and others no1 carried on the 11ayroll of res l~) r~~ lcn l .
b. Collrllll~ ((11 ~11.111 inclt~tle salaries and wages and readily associaled expenses of employees 1ha1 have been employetl or retained in service I)y responden1 solely or alnios~ entirely II(~C~II~C of e111e or nlore of 111e proceedings reported.
7. Tol,ll c - x l ~ c ~ i ~ s rc.l~or~c.d in coltrmns (I)), fcl and fdl shall be repor~ctl in coltrmn fel
OTHER SPECIAL EXPENSES
l irle No.
-
1 2 3 4 5 h 7 R 9
111
II 12
I I
Descriplion of Regtrlalion or Case
la)
UNH S p e c i a l C o n t r a c t DT #99-086 I n t r o of C o l l o c a t i o n T a r i f f DT #99-083 Town of Derry Docket #00-E0453
Special Assessmenls by
Regulalory Comniissions
(1))
Fees, Relainers Expenses, and Other Billed
llerns
(c l
lncremenlal Payroll Cosls and Directly
Associaled Expenses
(dl
Total Rcporlecl Expenses and Assessments
(el
Annual Repon of Verizon New England Inc. (New ~ a r n ~ s h i r e ) Year ended December 3 1. 2000
1-40. ADVERTISING
1. Respondents shall disclose on line 1, the total amount charged to Account 6613, Product Advertising. Those costs shall include costs incurred in developing and implementing promotional stratagies to stimulate the purchase o i products and services.
2. Respondents shall disclose on line 2 the total amount of external relations expenditures to include cost to maintain relations with the government, regulators, other companies and the general public.
3. On line 3 respondents shall disclose the total costs incurred that are ~ypically given special regulatory scrutiny for ratemaking purposes These costs are presumed to be excluded from the costs of service in setting rates.
Annual Repon of Verizon New England Inc . (New Hampshire) Year ended December 31. - 2000
1-41. GENERAL SERVICES A N D LICENSES
1. Respondents shall enter in column (a) the name of the affiliate to whom respondents paid $10,000 or more tor services received under a license agreement, a general service contract, or other arrangement providing for the furnishing oi general account, engineering, financial, legal, patent, and other general services.
2. Respondents shall describe in column (b) the type of servlce provided.
Line Name of Affiliate (a)
Telesector Resources Group Verizon -Services Corporation
Aggregate oi All Other Amounts . .
Serv~ce Provided (b)
$ Billing associated with the provision of Technical, Regulatory, Government Relations, Centralized Data Processing Services, Marketing and Method Services and Training Systems support. The respond€ paid for materials, apparatus, equipment, supplies and services.
. . . . .
Total
Amount (C) -
$52,993,909 32,719,918
t
Annual R~~~~ of Verizon New England Inc . (New Hampshire) Year ended December 3 1 , 2000
1-42. MEMBERSHIP FEES AND DUES
1. Respondents shall disclose in column (b) the number of organizations, in column (c) the number of memberships and in column (dl the amount paid for membership fees and dues for each line item in column (a).
2. Respondents shall specify in column (a) any other type of organization not provided for elsewhere on this schedule.
-
Line No. -
1
2
3 4 5 6 7 8 9
10 11 12 13 13
15
16 17
18 19 20 2 1 7 2 23 2 4 2 5 26 7 - - I
2 8 2 9
3 0 3 1 32 3 3 3 4 3 5 ' :r: 1
Particulars (a)
EXPENDITURES CHARGED TO OPERATING EXPENSES Associations of Telecommunications Comoanies Trade. Technical and Professional Associations Other Organizations (specify type):
Total
EXPENDITURES CHARGED TO ACCOUNT 7370
Social and Athletic Clubs Service Clubs (Rotary, Kiwanis, etc.) Other Organ~zations (specify type):
Trade, Technical and Professional Associations
Total
- 66 -
NUMBER OF
Amount Amount
(dl
---. STATEMENT 1
VERIZON NEW ENGLAND INC. INFORMATION REQUIRED BY NEW HAMPSHIRE
PUBLIC UTILITIES COMMISSION
TELEPHONE SERVICE REQUIRED FOR THE PROPER ADMINISTRATION OF THE COMPANY'S BUSINESS IS FURNISHED WITHOUT CHARGE AT THE RESIDENCE OF CERTAIN EMPLOYEES AND EXCHANGE AGENTS. THE NUMBER OF SUCH SERVICES FURNISHED IN NEW HAMPSHIRE ON DECEMBER 3 1,2000 WAS:
EMPLOYEES ............................. 824 EXCHANGE ................. .. ............ 0 TOTAL 824
TELEPHONE SERVICE IS FURNISHED WITHOUT CHARGE AT THE RESIDENCE OF EMPLOYEES HAVING THIRTY OR MORE YEARS OF TELEPHONE COMPANY CREDITED SERVICE AND TO EMPLOYEES RETIRED ON SERVICE OR DISABILITY PENSIONS. THE NUMBER OF SUCH SERVICES FURNISHED IN NEW HAMPSHIRE ON DECEMBER 3 1,2000 WAS:
EMPLOYEES ................................ 0 RETIRED EMPLOYEES.. ... .2,13 8 TOTAL 2,138
TELEPHONE SERVICE IS FURNISHED AT ONE-HALF THE ESTABLISHED RATES TO EMPLOYEES OF SIX MONTH'S SERVICE, TO EXCHANGE AGENTS AND TO RETIRED EMPLOYEES ON SPECIAL PENSIONS. THE NUMBER OF SUCH SERVICES FURNISHED IN NEW HAMPSHIRE ON DECEMBER 3 1,2000 WAS:
EMPLOYEES ......................... 1,282 EXCHANGE AGENTS ................. 0 RETIRED EMPLOYEES.. ........... .6 TOTAL 1,288
ESTIMATED ANNUAL REVENUE .... .$2.0M
STATEMENT 2
VERIZON NEW ENGLAND N C . NFORMATION REQUIRED BY NEW HAMPSHIRE
PUBLIC UTILITIES COMMISSION
DIRECTORS' SERVICE
TELEPHONE SERVICE IS NOT PROVIDED WlTHOUT CHARGE TO THE COMPANY DIRECTORS.
VERIZON NEW ENGLAND INC. EMPLOYEES TELEPHONE SERVICE
STATE OF NEW HAMPSHIRE
NUMBER OF EMPLOYEES PROVIDED WITH TELEPHONE SERVICE AT REDUCED RATES IN 2000 ............. .. .. . . . . .. . ................ 4,250
ESTIMATED ANNUAL INTRASTATE REVENUE RELATED TO EMPLOYEES PROVIDED WITH TELEPHONE SERVICE AT REDUCED RATES IN 2000 ............................................................................................. $2,0M
STATEMENT 3
VERIZON NEW ENGLAND INC. INFORMATION REQUIRED BY NEW HAMPSHIRE
PUBLIC UTILITIES COMMISSION
OBSOLETE RATES - DECEMBER 3 1,2000
NOTHING TO REPORT
Supplement to Annual Report Verizon New England Inc. - State of New Hampshire For Year ended December 31,2000
Toll Conversation Minutes (Retail) 327,897,646
Verizon Lines 488,942
The lines may either be presubscribed to Verizon or default to Verizon.
FCC Report 43-02 Unrestricted Version SUBMISSION 1 COSA: NETC
Approved by OMB 3060-0395 Edition Date: 1212000 Estimated Avg. Burden Per Response: 550 Hrs
FEDERAL COMMUNICATION COMMISSION WASHINGTON, D.C. 20554
ARMlS USOA REPORT For Year End December 31,2000
Accounting filing Level: A
Name of Company: Verizon New England Tel. & Tel., Inc.
Address of Company: 1095 Avenue of the Americas, New York, New York 10036
FCC Report 43-02, the ARMlS USOA Report, is prescribed for each local exchange carrier (LEC) with
annual operating revenues for the preceding year equal to or above the indexed revenue threshold.
This report collects the operating results of the carriers, total activities for every account in
the US04 as spedfied in Part 32 of the Commission's Rules. The ARMlS USOA Report specifies
information requirements in a consistent format and is essential to the FCC to monitor revenue
requirements, rate of return, jurisdictional separations and access charges. Response is mandatory.
Public reporting burden for this collection of information is estimated to average 550 hours per
response,induding the time for reviewing instructions, searching existing data sources, gathering and
and maintaining the data needed, and completing and reviewing the collection of information. Send comments
regarding this burden estimate or any other aspect of this collection of information, induding suggestions
for reducing the burden, to the Federal Communications Commission, Office of Managing Director.
Washington, D.C. 20554.
An agency may not conduct or sponsor and a penon is not required to respond to a collection
of information unless it displays a currently valid control number.
FCC R a p 7 4342 ARMIS USOA REPORT
COMPANY: V m N.rr h#ud Td. L Td., I= lhmsbemVSnm !STUDY AREA N SUBMISSION 1 PERIOD: J n 2MO lo Dr 2MO COSA NETC TABLE C - 3
PAGE 1 OF 1 TABLE C 4 - RESPONDENT CORPORATE INFORMATION
I I I I I T a m t a M I Smwd 1
No. I (a) I (b) I (4 1 (6) 1 0010 I Exad Name d Respondent l~erizon New England Inc. 1 NIA I NIA 1 NIA
States d OpeIabOn 0020 State d Operation I I I NIA INIA M A 0021 0022 0023 0024 0025 0026 .... 0039
0101 0102 0103 0104 0105 0106 0107 0108 0109 0110 0111 0112 0113 0114 0115 0116 0117 0118 0119 0120 0121 0122 0123 0124 0125 .... 0199
0201 0202 0203 0204 0205 0206 0207 0208 0209 0210 0211 0212 0213 0214 0215 0216 0217 0218 0219 0220 0221 0222 0223 0224 0225 .... 0299
Stateofopefation StateofOpmbon Stateofopefation SWedOperatim StateofOpnati~n StateofOpefatim
Stateofoperation
Director Dire&# Dlreda D i i Dirsclrx Diredor Dindor Director Dire&# Dire&# Director Director Director Director Oi rect~ Director Diredor Director Director Director Directw Diredor Diredor Director Dindw
Dire-
Omar Omcef Omcef Omcer Omcef Omcef Omcef Omcef Omcef Omcer Omcer man Om~ar Om- Omcef Omcef Omcer Omcer Oman O m a man Omcer m a Om- Oman
Omcer
New Hampshire Vermont Miusachuseth Maine
Ivan G. Seidenbng. New York. NY Richard L. Canion. Hato Rey. PR Lodewijk J.R. de Wnk. Monis Plains. NJ Stanley P. Goldstein. Providence. RI Helene L. Kaplan. New Ywk. NY E l i t h T. Kennan. Ipswich. MA John F. Malpole. Mountain Lakes. NJ Joseph Neubauer, Philadelphia. PA Hugh B. Price. New York. NY Walter V. Shipley, New Ywk. NY John R. Staffwd. Madison. NJ J- R. Barker. Stamford. CT Edward H. Budd. Glatonbury. CT R W F. Daniell. Ha130rd. CT Charles R. Lee. New York. NY John W. Snow. Richmond. VA Russll E. Palmer, Philadelphia. PA R W D. Storey. Cleveland. OH Sandra 0. Moose. Boston. MA Thomas H. OBrien. Pittsburgh. PA
Ivan G. Seidenberg. New Ywk. NY Wayne A Budd. Boston MA Paulette M. Balich. Boston. MA Marianne Dmst New York. NY Phillip M. Huston. Jr.. New Yolk. NY Edwin F. Hall. Philadelphia. PA Paulette M. Balich. Boston. MA Wlliam F. I-teitmann. New York. NY Wlliam F. Heibnann. New York. NY
NIA NIA NIA NIA NIA NIA
NIA
Chairman of the Board. President (L CEO Group President - New England Region Preu'dent -0pemtions Seaetary SeaetW Chief Finandal Omcef Operations VPConsumer-New England Wm Pmident T~a?lurer
NIA NIA NIA NIA NIA NIA
NIA
NIA NIA NIA NIA NIA NIA
NIA
2W1 2001 zoo0 2006 2001 2006 2000 2001 2001 2001 2001 2001 2001 2001 2001 2001 2001 2001 2001 2001
2001 2001 2001 2001 2001 2001 2001 2001 2001
1M)lM997 to p-t 7012911997 to pnuent 10123/1997 to 05/24i2000 10123/1997 to OS24i2000 10123/1997 to pnsent 1012W997 to 05/24i2000 1012911997 to OS24i2000 1012911997 to present 10123/1997 to p-t 1012Wl997to present 1MW1997 to present 08103ROWto present ~ O o o t o p m t 08103RwOto prucnt 08/03RWO to present 08103R000 to p m t 08103R000 to present 08103R000 to present 08103RWOtopmt 05R4i2000 to present
10/0111997 to present 02/01/1998 to 0 1 n l n w l 01111RW1 to p-t 0111 IRW1 to present OlmlRMM to 0111112001 09RY1998 to present 11RY1999to o ~ n ~ m l 09RW1999 to p m t 06X)111999 to present
<<
<
nnn $
I$ $$5
$8
FCC Rrpaf 4102 ARMIS USOA REPORT
COMPANY: Vel l tm N a Endmd T 1 T.lnc. STUDY AREA: W PERIOD. Jm 2000 10 Dac 2000 C O U : NETC
U n r b t d a d V a l o n SUBMISSION 1
- D.t.01 mmg. (D
W A NIA WA WA WA W A WA WA WA WA WA WA WA WA WA WA WA WA
WA WA W A WA
WA WA WA WA WA WA W A WA WA WA
I WA W A WA WA WA NIA 1 WA WA
Row No.
1610 1811 1612 I613 1614 1615 1616 1617 1616 1619 I620 1621 16Zl 1611 1624 1615 1620 1617 1628 1629 1610 I611 1632 1613 I614 1615 16% 1637 1618 1619 1640 I641 1642 1641 I644 1645 1646 I647 I M ~ 1649 1650 1651 1652 1653
WA WA NIA WA NIA WA NIA WA NIA WA WA NIA NIA NIA WA WA WA WA WA WA WA WA NIA WA HIA WA WA WA NIA WA WA NIA WA WA NIA WA NIA NIA NIA WA WA NIA NIA
TABLE 42.6 - I M P O R T A N T
C l u d l u t l m (8)
krssdMt Coot*- 1-1 C m b a d u Ageanml I W l C m h e d u A g s . m n 1 InpaUntCmb8daAgramw4 I- Cmbad a Agaenml I- Cmbmd a Ageemsrl I n p o l M C m t a d u & a e m e n l 1-1 C m b e d u A g a e d 1-1 C m b a d u Aqnamml InpOtlmI CmbadaA,ynamn( I ~ I C m b a d a A p e a d Inpo~ lu l l C m b a d u Asaanunl Inpa(.nl C m b e d u Asaomar Inpor(.nlCmbaduA!#eemsrl I rnpoNn1Cmb.d~ A g e a m 1 Inpoltan1 C m b a d or A,yee& Inpol lml C m b e d u A p e e m n l I n p a l u l l Cm6b.d a A g e e m n l I v c d W Cmbed a Agmemnl I w c d m l C m b a d u A p e e m 1 1-1 C m b a d u Age .mn l 1-1 C m b a d u Agaemrd I W l C m b m u & e e m n I 1-1 CmCmd u A v e e m n l Inpoltan1 Cmbad a Avee-t 1-1 Cmbad a Aseemcnl ImpaUnl Cmbad a Agaemcnt InwdanI Cmbad u A s a e m l Inpatlull C m b - d u A v e e m n l I n p a t l ~ t Cmbad a A v m l Inpatlant C m b a d u Ageamon1 I w w M C m l e d a Ag.emsn1 lnpulml Cmbad u Agae-1 Impul.nl C m b l d u Ayaen*nl I ~ I C m b a d u A g r e m n l I-Contadu*.creamnl InpaUntCmbeduA&veenmt 1-1 Cmbmd u Apeamnt Inpollull Conbad u & ~ e m m l 1-1 ~ m b a d u * . c r e a m 1 I ~ l Cmbad u &eemml Inpollnl Cmbad u A p ~ r m c n l InpuUnl Cmbad u A p e e m n l 1-1 Cmbmd uApaemm( 1-1 C m b a d u Avcemcol
WA WA W A WA WA WA W A WA W A WA WA WA WA NIA WA WA WA WA NIA W A WA NIA WA WA WA W A W A WA WA WA NIA WA WA WA WA WA NIA WA WA WA WA WA WA NIA
WA WA NIA NIA NIA WA NIA NIA NIA M NIA NIA WA WA WA WA WA WA WA WA NIA NIA WA NIA NIA WA NIA WA WA WA WA NIA NIA WA NIA WA NIA WA NIA NIA NIA NIA WA NMI
Dascrlplm 01 C m t a d (d)
Fadlidor-Baaad FaMer-Bared Wrelsaa Wderm Fadiusm-Based Fadllnr-Bared Fadtitins-Based Fadilea-Bared Fadltler-Barad Fadtie*-B8red FacYiUesBamcd FadiUerBared Fa&lar-Buad Fad~Uem.Enred FasNiUes-Barad FadliUel.Eaaod F.ditl.a-8aa.d F.dlitler.Ba..d FacUtlaa-Baaed Fae~itlaa-Baaed Fadus.-Bared FacUlk~.8aaed FadliUer.Eued Fadilisr-Based Resale Fadlitln-Becad Fmcililiea-Baaed Faultlea-Eared Fatililem.B.~ad ~adlitlaa-8.red Fedidel-Basad Facililss-Eased Facilitler-Based Fadlitiea-Baaed Fadlitlea-Eared Fadlitiem-Eared Faciltier-Bared F.dilss-Eaaed Fadlitlet.B.aed Fadlitlea-Eased Fadlitlea.Bamnd FmdW.8-Baaed Fmdktiem-Bued Fadlitlea-Baaad
C H A N G E S DURING THE Y E A R
Dcd+l lmndsnl l lu lm (b)
A c c w Poht. Inc. A l l a d m u Te l *ea olM~aamahrumtb. Inc. A d 8 V&d.sa Comrmnlulloru. lnc. ATLT Wdeu B d u a . lnc. Ef.hrmCom. Inc. b o a h a n d D I ~ T e d n d o @ e e , lnc. Broahand O n u Ccmwmlcaha. Inc. BroadSbeam Corporatlm B r w b F h CwMlrJut lmm 0fMruachumslb. Ins. C o u W Inlomat h u . Ins. CueTd ManadwnnL. Ins. CueComm Mauar)w.lb. Ins. CTC C o r m u J u t l m Cup. Eada C d u t l m , k c . F o u l Commnlu lo ru Canvmy Fod Pdn l Tmlsphme Colrpany. Inc. W P d Efom&md. Ino. G I P d HAPS S w h . Ins. ICO TelecomGroup. Ins. Jato Opuahp Two Cup. KMC T d w m V, Inc. L n d 3 Comnnlut loru. U C U&hreve Conmnlut lma. LLC L m h g G1a.e Nahrorlu. IK MAX-TEL Cormunlcmtlmm. lnr. MsgaCLEC. lnc. MGC C o m n n l u l m a Inc.drmm Upamr Comu-kallmm. Cup. MVX.Com Commullutlmonl. Inc. N~dp.lu T~I.somnnlcmlmm. LLC NET-Id C-atlm N.uEdgaNewuk. IK. W a N a E d p a Nslwotb N h Anurlun Tdecmmwdut lm l C-mum &Site Accas. L d . LLC Pahnet. Inc. Aduamtd, LLC drma Plan B Ccmwmlu lma Ru*ParAelComnunlutlma ol h e NuUwad Rhyhm lhb. Inc. Rlrhmmd C a e d m , kc . W a Rlchmmd N s k m RNK. Inc. drma RNK TeI.eom SBC Tdasom. IN. W a SBC NaUmsI. Inc. TaIk.com Hddng, Inc. T d u w N s M S e n l a . Ins. Mrda Lop, Ino. B c l Atlentlc N e M Dab. Ins.
Dele le)
00ROt2000 06nM000 OUl7RWO 07131R000 1 ~ 1 1 7 ~ 0 0 0 07nIR000 OW232000 OWW2000 O M M O W MIlZRWO O2lMR000 07114R000 1 lm7R000 0613M000 O9RBROW OYlM000 O7R4RWO 06nlROW 01117R000 0 7 l l 7 ~ 0 0 0 IIIOlROW O7RW000 lIR8R000 07105RoM) l M M 0 0 0 OYlM000 W I M W O 09RDR000 O W M W O O~IOIRWO 06nMWO l l m M 0 0 0 O6mlRWo M l l M 0 0 0 O7D4RWO 1M7ROM lO l lM000 1 lllY;L000 01117R000 O(V11R000 OII14RWO OlnlR000 OYODRCCd OYIZROW
lm**lby ~ww**W m pa4uo3 pn4w3 I~~CW IWI 0191 6991
~u*uwalby m pmm3 1-1 eool ~vw**W mpeqw3 IWI 1-1 lme*W ~vw**lby mp-nw31ulrodul lo p.4~3 1-1 PSI WI
luwwdy mp*quo31uladu1 t00
IUUI..&~P~~W;~I 2ri1
id I 'ON
IYO~BLI vosn SIWW ZOCt WY 331
Top Related