<ARTICLE> UT <LEGEND> Exhibit 27-1 Restated summary information extracted from the restated Consolidated Balance Sheets as of 3-31-96, 6-30-96, 9-30-96, 12-31-96, and the restated Consolidated Statements of Income for the 3, 6, 9, and 12-month periods ended 3-31-96, 6-30-96, 9-30-96, and 12-31-96, respectively. </LEGEND> <RESTATED> <MULTIPLIER> 1,000 <PERIOD-TYPE> 3-MOS 6-MOS 9-MOS 12-MOS <FISCAL-YEAR-END> DEC-31-1996 DEC-31-1996 DEC-31-1996 DEC-31-1996 <PERIOD-END> MAR-31-1996 JUN-30-1996 SEP-30-1996 DEC-31-1996 <BOOK-VALUE> PER-BOOK PER-BOOK PER-BOOK PER-BOOK <TOTAL-NET-UTILITY-PLANT> 440,439 447,250 449,718 452,155 <OTHER-PROPERTY-AND-INVEST> 87,015 107,707 116,613 121,846 <TOTAL-CURRENT-ASSETS> 84,940 86,175 81,140 81,912 <TOTAL-DEFERRED-CHARGES> 12,069 11,514 11,428 13,791 <OTHER-ASSETS> 0 0 0 0 <TOTAL-ASSETS> 624,463 652,646 658,899 669,704 <COMMON> 57,508 57,508 57,508 57,680 <CAPITAL-SURPLUS-PAID-IN> 28,949 28,949 28,949 29,885 <RETAINED-EARNINGS> 105,236 105,764 106,653 107,864 <TOTAL-COMMON-STOCKHOLDERS-EQ> 191,693 192,221 193,110 195,429 <PREFERRED-MANDATORY> 18,000 18,000 18,000 18,000 <PREFERRED> 20,831 20,831 20,831 20,831 <LONG-TERM-DEBT-NET> 172,777 183,846 189,702 163,176 <SHORT-TERM-NOTES> 0 2,450 4,650 7,200 <LONG-TERM-NOTES-PAYABLE> 0 0 0 0 <COMMERCIAL-PAPER-OBLIGATIONS> 0 10,300 15,700 18,400 <LONG-TERM-DEBT-CURRENT-PORT> 20,014 25,131 18,859 42,587 <PREFERRED-STOCK-CURRENT> 0 0 0 0 <CAPITAL-LEASE-OBLIGATIONS> 0 0 0 0 <LEASES-CURRENT> 0 0 0 0 <OTHER-ITEMS-CAPITAL-AND-LIAB> 201,148 199,867 198,047 204,081 <TOT-CAPITALIZATION-AND-LIAB> 624,463 652,646 658,899 669,704 <GROSS-OPERATING-REVENUE> 90,568 182,442 277,718 370,933 <INCOME-TAX-EXPENSE> 5,619 8,365 10,337 14,010 <OTHER-OPERATING-EXPENSES> 71,512 150,743 233,151 311,561 <TOTAL-OPERATING-EXPENSES> 77,131 159,108 243,488 325,571 <OPERATING-INCOME-LOSS> 13,437 23,334 34,230 45,362 <OTHER-INCOME-NET> 492 905 1,091 2,125 <INCOME-BEFORE-INTEREST-EXPEN> 13,929 24,239 35,321 47,487 <TOTAL-INTEREST-EXPENSE> 3,734 7,771 12,114 16,863 <NET-INCOME> 10,195 16,468 23,207 30,624 <PREFERRED-STOCK-DIVIDENDS> 590 1,179 1,769 2,358 <EARNINGS-AVAILABLE-FOR-COMM> 9,605 15,289 21,438 28,266 <COMMON-STOCK-DIVIDENDS> 5,031 10,062 15,093 20,124 <TOTAL-INTEREST-ON-BONDS> 3,675 7,635 11,774 16,026 <CASH-FLOW-OPERATIONS> 14,602 26,322 49,682 69,398 <EPS-PRIMARY> 0.84 1.33 1.86 2.46 <EPS-DILUTED> 0.84 1.33 1.86 2.46