IPUC CLOSED MULTI-UTILITY CASES

                                                                                                                                                                                                                                                     
                                                                                                                                                                                                                                                          
AVU-P-03-01 - APPLICATION FOR WAIVER OF GAS SAFETY RULE NO. 201                                                   
AVU-U-00-01 - SECURITY ISSUANCE
AVU-U-00-02 - SECURITY ISSUANCE
AVU-U-00-03 - APPLICATION FOR APPROVAL OF SECURITY ISSUANCE
AVU-U-01-01 - SECURITY ISSUANCE
AVU-U-01-02 - SECURITIES ISSUANCE & SALE NOT TO EXCEED $250,000,000
AVU-U-01-03 - SECURITIES ISSUANCE & SALE NOT TO EXCEED $83,700,000
AVU-U-04-01 - SECURITY ISSUANCE
AVU-U-04-02 - AVISTA CORPORATION SECURITY ISSUANCE
AVU-U-04-03 - SECURITIES ISSUANCE -- AMENDMENT TO CASES WWP-U-97-1 AND AVU-U-01-03
AVU-U-05-01 - AVISTA CORPORATION -- SECURITIES ISSUANCE
AVU-U-05-02 - AVISTA CORPORATION -- SECURITIES ISSUANCE
AVU-U-06-01 - AVISTA CORPORATION -- SECURITIES ISSUANCE
AVU-U-06-02 - AVISTA CORPORATION -- SECURITIES ISSUANCE
AVU-U-08-01 - AVISTA CORPORATION -- SECURITIES ISSUANCE
AVU-U-08-02 - AVISTA UTILITIES, INC -- SECURITIES ISSUANCE
AVU-U-08-03 - AVISTA CORPORATION -- SECURITIES ISSUANCE
AVU-U-10-01 - AVISTA CORPORATION DBA AVISTA UTILITIES, INC -- SECURITIES ISSUANCE
AVU-U-10-02 - AVISTA CORPORATION DBA AVISTA UTILITIES, INC. -- SECURITIES ISSUANCE
AVU-U-11-01 - AVISTA CORPORATION DBA AVISTA UTILITIES, INC. -- SECURITIES ISSUANCE
AVU-U-11-02 - AVISTA CORPORATION DBA AVISTA UTILITIES, INC -- SECURITIES ISSUANCE
AVU-U-99-01 - $400,000,000 DEBT SECURITIES
CUC-U-89-01 - SECURITIES ISSUANCE ($50,000,000)
CUC-U-90-01 - SECURITY ISSUANCE 3,750,000 SHARES CLASS B COMMON
CUC-U-91-01 - SECURITIES ISSUANCE - $135,000,000 BONDS
CUC-U-91-02 - SECURITIES ISSUANCE - COMMON STOCK-EQUITY INCENTIVE PLAN
CUC-U-91-03 - SECURITIES ISSUANCE - $250,000,000 OF DEBT
CUC-U-91-04 - $250,000,000 OF UNSECURED PROMISSORY NOTES
CUC-U-92-01 - SECURITIES ISSUANCE - STOCK SPLIT
CUC-U-92-02 - 1992 EMPLOYEE STOCK PURCHASE PLAN
CUC-U-92-03 - SECURITIES ISSUANCE - 25,750 SHARES COMMON STOCK SERIES B
CUC-U-92-04 - SECURITIES ISSUANCE - $212,500,000 INDUSTRIAL DEV. BONDS
FCC-U-93-01 - AMENDMENT OF PART 36 OF RULES & ESTABLISHMENT OF JOINT BORD.
FER-U-93-01 - PRICING POLICY FOR TRANSMISSION SERVICES UNDER FED. PWR ACT
GNR-U-00-01 - RULEMAKING NEW USF
GNR-U-00-02 - ASSESSMENT SHOW CAUSE
GNR-U-00-03 - ASSESSMENT SHOW CAUSE
GNR-U-00-04 - ASSESSMENT SHOW CAUSE
GNR-U-00-05 - FIX INTEREST RATES ON UTILITY DEPOSITS
GNR-U-01-01 - NON PAYMENT OF UTILITY FEES
GNR-U-01-02 - ELECTRONIC FILING OF TARIFFS & PRICE LIST
GNR-U-01-03 - INTEREST RATES ON DEPOSITS
GNR-U-02-01 - AUTHORIZATIONS TO ESTABLISH MINIMUM MONTHLY PAYMENTS
GNR-U-02-02 - DETERMINATION OF UTILITY INTEREST RATE ON DEPOSITS FOR 2003
GNR-U-03-03 - ORDER TO SHOW CAUSE FOR FAILURE TO REMIT 2002 REGULATORY FEE
GNR-U-03-04 - SHOW CAUSE - FAILURE TO REPORT INTRASTATE GROSS REV & PAY ASSESSMENTS
GNR-U-03-05 - INTEREST RATES ON CUSTOMER DEPOSITS COLLECTED FROM UTILITIES IN 2004
GNR-U-04-01 - INTEREST RATES ON CUSTOMER DEPOSITS COLLECTED FROM UTILITIES IN 2005
GNR-U-05-01 - ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS COLLECTED FROM CUSTOMERS IN 2006
GNR-U-06-01 - ASSESSMENT SHOW CAUSE
GNR-U-06-02 - ASSESSMENT SHOW CAUSE
GNR-U-06-03 - ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS
GNR-U-07-01 - ANNUAL DETERMINATION OF THE INTEREST RATES ON DEPOSITS
GNR-U-08-01 - GENERIC -- ENERGY AFFORDABILITY ISSUES
GNR-U-08-02 - GENERIC -- ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS COLLECTED (FOR 2009)
GNR-U-09-01 - GENERIC -- ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS COLLECTED (FOR 2010)
GNR-U-10-01 - GENERIC -- ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS
GNR-U-11-01 - GENERIC -- ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS
GNR-U-12-01 - GENERIC -- ANNUAL DETERMINATION OF INTEREST RATES ON DEPOSITS
GNR-U-87-01 - INVEST EFFECT OF REVISIONS TO FED TAX CODE ON CIAC POLICY
GNR-U-91-01 - MOTION ID CODE 67-2302 APPLIES TO PAYMENT FOR UTILITY SER.
GNR-U-94-01 - UPDATE OF INTEREST RATE ON DEPOSITS
GNR-U-95-01 - UPDATE OF INTEREST RATES ON DEPOSITS FOR 1996
GNR-U-96-01 - UPDATE OF INTEREST RATE ON DEPOSITS FOR 1997
GNR-U-97-01 - PROCEDURAL REQUIREMENTS TO EXEMPT CERTAIN SECURITIES
GNR-U-97-02 - 1998 INTEREST RATES ON DEPOSITS
GNR-U-98-01 - INTEREST RATES ON DEPOSITS FOR 1999
GNR-U-99-01 - ELECTRONIC FILING
GNR-U-99-02 - RATE DEPOSITS
HLY-P-90-01 - RATE INCREASE FOR FUEL TO MTN HOME AFB
HLY-P-92-01 - RATE INCREASE
INT-P-05-01 - INTERMOUNTAIN GAS COMPANY -- PETITION FOR WAIVER
PAC-U-90-01 - SECURITY ISSUE $70,000,000 POLLUTION CONTROL REVENUE BONDS
PAC-U-90-02 - SECURITY ISSUE $15,000,000 COMMON STOCK DIVIDEND REINVESTMEN
PAC-U-90-03 - SECURITY ISSUE GUAR $75,000,000 DEBT:SELL 7 MIL SHARES COMMO
PAC-U-91-01 - SECURITIES ISSUANCE - AMENDMENT TO CASE NO. PPL-E-88-3
PAC-U-91-03 - SECURITIES ISSUANCE/5,000,000 SHARES OF COMMON STOCK
PAC-U-91-04 - SECURITIES ISSUANCE - $200,000,000 OF NO PAR SERIAL PREF.STK
PAC-U-91-05 - SECURITIES ISSUANCE/ISSUE BONDS NOT TO EXCEED $260,000,000
PAC-U-92-01 - SECURITIES ISSUANCE/$500,000,000 OF DEBT
PAC-U-92-02 - SECURITIES ISSUANCE- $100,000,000 AUCTION RATE PREFERRED STK
PAC-U-92-03 - SECURITIES ISSUANCE- $500,000,000 REVLVING CR./COMRCIAL NOTS
PAC-U-92-04 - $150,000,000 POLLUTION CONTROL REVENUE REFUNDING BONDS
PAC-U-92-05 - SECURITIES ISSUANCE - 5,000,000 SHARES COMMON STOCK
PAC-U-92-06 - SECURITIES ISSUANCE - $500,000,000 OF DEBT
PAC-U-93-01 - SECURITIES ISSUANCE - 9,067,678 ADDITNL. SHARES COMMON STOCK
PAC-U-93-02 - SECURITIES ISSUANCE - $150,000,000 DEBT & STOCK
PAC-U-93-03 - SECURITIES ISSUANCE - $750,000,000 OF DEBT
PAC-U-93-04 - SECURITIES ISSUANCE- 5,000,000 SHARES OF COMMON STOCK
PAC-U-94-01 - $225,000,000 OF POLLUTION CONTROL BONDS
PAC-U-94-02 - SEC. ISSUANCE-PREFERRED STOCK NOT TO EXCEED $150,000,000
PAC-U-94-03 - $500,000,000 REVOLVING CR.; $750,000,000 OTHER BORROWINGS
PAC-U-94-04 - SECURITIES ISSUANCE - DEMAND-SIDE RESOURCE RECEIVABLES
PAC-U-95-01 - $125,000,000 OF JUNIOR SUBORDINATED DEBENTURES
PAC-U-95-02 - TO BORROW $125,000,000 OF POLLUTION CONTROL REVENUE BONDS
PAC-U-96-01 - SECURITIES ISSUANCE ($750,000,000 DEBT)
PAC-U-96-02 - SECURITIES ISSUANCE($250,000,000 PREFERRED STOCK)
RUL-U-00-01 - AMENDMENTS TO RULES GOVERNING SAFETY & ACCIDENT REPORTING
RUL-U-00-02 - AMENDMENTS TO COMMISSION'S UTILITY CUSTOMER RELATIONS RULES
RUL-U-02-01 - TITLE 11 - SAFETY & ACCIDENT REPORTING RULES FOR UTILITIES
RUL-U-02-02 - UTILITY CUSTOMER RELATIONS RULES
RUL-U-03-01 - SAFETY & ACCIDENT REPORTING RULES FOR UTILITIES REGULATED BY IPUC (AMENDING RULES 202 & 203)
RUL-U-03-02 - AMENDING COMMISSION'S RULES OF PROCEDURE
RUL-U-03-03 - REVISIONS TO THE UTILITY CUSTOMER RELATIONS RULES
RUL-U-04-01 - RULEMAKING -- UTILITY CUSTOMER RELATIONS RULES - 31-2101-0401
RUL-U-04-02 - RULEMAKING -- IDAHO COMMUNITY ACTION NETWORK (ICAN) PETITION
RUL-U-07-01 - RULEMAKING -- UPDATING THE SAFETY AND ACCIDENT REPORTING RULES, DOCKET NO. 31-1101-0701
RUL-U-07-02 - RULEMAKING -- REVISION OF THE UTILITY CUSTOMER RELATIONS RULES, DOCKET 31-2101-0701
RUL-U-07-03 - RULEMAKING -- UPDATING THE SYSTEMS OF ACCOUNTS RULES, DOCKET NO. 31-1201-0701
RUL-U-08-01 - RULEMAKING -- AMEND COMMISSION RULES OF PROCEDURE IDAPA 31-0101-0801
RUL-U-09-01 - RULES -- AMEND UTILITY CUSTOMER RELATIONS RULES
RUL-U-09-02 - RULES -- REPEAL OF CHAPTER IN UTILITY CUSTOMER INFORMATION RULES
RUL-U-10-01 - RULES -- NEGOTIATED RULEMAKING -- RULES OF PROCEDURE
RUL-U-11-01 - RULEMAKING--UPDATING THE SAFETY AND ACCIDENT REPORTING RULES-DOCKET NO.31-1101-1101
RUL-U-90-01 - REVISIONS TO RULES OF PRACTICE & PROCEDURE
RUL-U-90-02 - INTEREST RATES ON DEPOSITS
RUL-U-90-03 - RULES UNDER THE PUBLIC RECORDS ACT
RUL-U-91-01 - CUST. RELATIONS GAS, ELEC., WATER (PROPOSED RULE 21)
RUL-U-91-02 - INTEREST RATES ON DEPOSITS (ELEC. & GAS) SEE 31.D-R-91-2
RUL-U-92-01 - INTEREST RATES ON DEPOSITS FOR 1993
RUL-U-93-01 - REFORMATTING OF RULES(PUBLIC RECORDS ACT)
RUL-U-93-02 - REFORMATTING OF RULES(SAFETY & ACCIDENT REPORTING)
RUL-U-93-03 - REFORMATTING OF RULES(UNIFORM SYSTEMS OF ACCOUNTS)
RUL-U-93-04 - REFORMATTING OF RULES(CUSTOMER RELATIONS FOR GAS, ELEC. ETC)
RUL-U-93-05 - REFORMATTING THE RULES(GAS, ELEC., WATER - CUSTOMER NOTICES)
RUL-U-93-06 - REFORMATTING RULES OF PROCEDURE(31.A)
RUL-U-93-07 - INTEREST RATES ON DEPOSITS FOR ELEC, GAS, & WATER CUST.
RUL-U-93-08 - INTEREST RATES ON DEPOSITS FOR TELEPHONE COMPANIES
RUL-U-94-01 - VOID
RUL-U-95-01 - RULES IMPLEMENTING ENERGY CONSUMPTION ACT
RUL-U-97-01 - 1101-9701 AMENDMENTS TO SAFETY & ACCIDENT REPORTING RULES
RUL-U-98-01 - 31-0000-9801 NOTICE OF ADDRESS CHANGE IN ADMISTRATIVE RULES
RUL-U-99-01 - -0000-9901 TO AMEND ADMINISTRATIVE RULES
RUL-U-99-02 - -0101-9901 AMENDMENTS TO PROCEDURE RULES
RUL-U-99-03 - -2102-9901 AMENDMENTS TO INFORMATION TO CUSTOMER RULES
RWC-U-95-01 - SEE: WWP-S-95-1
SUP-U-94-01 - ROSEBUD VS. IPUC, IPCO, PACIFICORP. (IPC-E-92-31)
THO-V-04-01 - APPLICATION FOR AUTHORITY AS A COMMON CARRIER
WWP-U-90-03 - SECURITIES ISSUANCE/300,000 SHARES OF PREFERRED & COMMON STK
WWP-U-90-05 - LINE OF CREDIT; $70,000,000 OF PROMISORY NOTES
WWP-U-90-06 - SECURITIES ISSUANCE - $10,000,000 PROMISSORY NOTES
WWP-U-91-01 - SECURITIES ISSUANCE $150,000,000 OF MEDIUM TERM, NOTES
WWP-U-91-02 - SECURITIES ISSUANCE 1,300,000 SHARES OF COMMON STOCK
WWP-U-91-03 - SECURITIES ISSUANCE - 750,000 COMMON STOCK
WWP-U-91-04 - SECURITIES ISSUANCE - NOTES UP TO $30,000,000
WWP-U-92-01 - APPL. FOR ISSUANCE & SALE OF UP TO & INCLUDING 750,000 COMMO
WWP-U-92-02 - SECURITIES ISSUANCE - $35,000,000 PREFERRED STOCK
WWP-U-92-03 - $220,000,000 - COMMERCIAL PAPER PROG./OTHER CR. & BORROWINGS
WWP-U-93-01 - WP FUNDING, LIMITED PARTNERSHIP(COMBUSTION TURBINE)
WWP-U-93-02 - SECURITIES ISSUANCE- $250,000,000 MORTGAGE BONDS
WWP-U-93-03 - SECURITIES NOT TO EXCEED 4,100,000 (POLLUTION CONTROL REV.)
WWP-U-93-04 - SECURITIES ISSUANCE - TWO-FOR-ONE SPLIT COMMON STOCK
WWP-U-93-05 - SECURITIES ISSUANCE -$250,000,000 FIRST MORTGAGE BONDS
WWP-U-94-01 - 1,000,000 ADDITIONAL SHARES OF COMMON STOCK
WWP-U-95-01 - SECURITIES ISSUANCE - RESULT OF MERGER CASE
WWP-U-96-01 - PREFERRED STOCK VALUE UP TO $150,000,000.00
WWP-U-97-01 - $250,000,000 DEBT/$60,000,000 CNSRVATN. BNDS/$85,000,000 TAX
WWP-U-98-01 - ISSUE PREFERRED STOCK IN EXCHANGE FOR COMMON STOCK