For
the quarterly period ended
|
September
30, 2007
|
|
Commission
file number
|
1-8966
|
SJW
Corp.
|
(Exact
name of registrant as specified in its
charter)
|
California
|
77-0066628
|
|
(State
or other jurisdiction of
|
(I.R.S.
Employer
|
|
incorporation
or organization)
|
Identification
No.)
|
|
374
West Santa Clara Street, San Jose, CA
|
95113
|
|
(Address
of principal executive offices)
|
(Zip
Code)
|
408-279-7800
|
(Registrant’s
telephone number, including area code)
|
Not
Applicable
|
(Former
name, former address and former fiscal year changed since last
report)
|
THREE MONTHS
|
NINE MONTHS
|
||||||||||||
ENDED SEPT 30
|
ENDED SEPT 30
|
||||||||||||
2007
|
2006
|
2007
|
2006
|
||||||||||
OPERATING
REVENUE
|
$
|
64,847
|
$
|
63,119
|
$
|
158,999
|
$
|
144,734
|
|||||
OPERATING
EXPENSE:
|
|||||||||||||
Operation:
|
|||||||||||||
Purchased
water
|
16,760
|
16,067
|
39,373
|
34,233
|
|||||||||
Power
|
2,565
|
2,415
|
5,741
|
4,137
|
|||||||||
Groundwater
extraction charges
|
10,222
|
8,023
|
22,343
|
14,527
|
|||||||||
Total
production costs
|
29,547
|
26,505
|
67,457
|
52,897
|
|||||||||
Administrative
and general
|
5,575
|
5,632
|
16,630
|
15,670
|
|||||||||
Other
|
3,724
|
3,709
|
10,973
|
11,084
|
|||||||||
Maintenance
|
2,819
|
2,680
|
8,606
|
7,308
|
|||||||||
Property
taxes and other nonincome taxes
|
1,583
|
1,565
|
4,739
|
4,414
|
|||||||||
Depreciation
and amortization
|
5,690
|
5,508
|
16,975
|
15,984
|
|||||||||
Income
taxes
|
5,178
|
6,119
|
10,419
|
12,558
|
|||||||||
Total
operating expense
|
54,116
|
51,718
|
135,799
|
119,915
|
|||||||||
OPERATING
INCOME
|
10,731
|
11,401
|
23,200
|
24,819
|
|||||||||
OTHER
(EXPENSE) INCOME:
|
|||||||||||||
Interest
on senior notes
|
(2,706
|
)
|
(2,222
|
)
|
(8,159
|
)
|
(6,837
|
)
|
|||||
Mortgage
and other interest expense
|
(541
|
)
|
(161
|
)
|
(1,483
|
)
|
(700
|
)
|
|||||
Dividends
|
319
|
317
|
957
|
949
|
|||||||||
Gain
on sale of nonutility property, net of taxes of $1,056
|
-
|
-
|
-
|
1,535
|
|||||||||
Other,
net
|
208
|
(477
|
)
|
1,024
|
(234
|
)
|
|||||||
NET
INCOME
|
8,011
|
8,858
|
15,539
|
19,532
|
|||||||||
Other
comprehensive income (loss):
|
|||||||||||||
Unrealized
income (loss) on investment
|
1,088
|
1,309
|
(2,113
|
)
|
(1,430
|
)
|
|||||||
Less:
income taxes related to other comprehensive income (loss)
|
(446
|
)
|
(537
|
)
|
866
|
586
|
|||||||
Other
comprehensive income (loss), net
|
642
|
772
|
(1,247
|
)
|
(844
|
)
|
|||||||
COMPREHENSIVE
INCOME
|
$
|
8,653
|
$
|
9,630
|
$
|
14,292
|
$
|
18,688
|
|||||
EARNINGS
PER SHARE
|
|||||||||||||
Basic
|
$
|
0.44
|
$
|
0.48
|
$
|
0.85
|
$
|
1.07
|
|||||
Diluted
|
$
|
0.43
|
$
|
0.48
|
$
|
0.84
|
$
|
1.05
|
|||||
DIVIDENDS
PER SHARE
|
$
|
0.15
|
$
|
0.14
|
$
|
0.45
|
$
|
0.42
|
|||||
WEIGHTED
AVERAGE SHARES OUTSTANDING
|
|||||||||||||
Basic
|
18,350,007
|
18,277,728
|
18,325,206
|
18,273,558
|
|||||||||
Diluted
|
18,561,631
|
18,558,508
|
18,539,587
|
18,539,781
|
SEPTEMBER
30
|
DECEMBER
31
|
||||||
2007
|
2006
|
||||||
ASSETS
|
|||||||
Utility
plant:
|
|||||||
Land
|
$
|
5,668
|
$
|
4,837
|
|||
Depreciable
plant and equipment
|
764,249
|
716,679
|
|||||
Construction
in progress
|
14,748
|
10,863
|
|||||
Intangible
assets
|
8,040
|
8,040
|
|||||
792,705
|
740,419
|
||||||
Less
accumulated depreciation and amortization
|
251,836
|
234,173
|
|||||
540,869
|
506,246
|
||||||
Nonutility
property
|
88,010
|
43,868
|
|||||
Less
accumulated depreciation and amortization
|
3,291
|
3,303
|
|||||
84,719
|
40,565
|
||||||
CURRENT
ASSETS:
|
|||||||
Cash
and cash equivalents
|
2,227
|
3,788
|
|||||
Accounts
receivable:
|
|||||||
Customers,
net of allowances for uncollectible accounts
|
13,915
|
9,861
|
|||||
Other
|
911
|
1,028
|
|||||
Accrued
unbilled utility revenue
|
18,711
|
11,067
|
|||||
Sale
proceeds held in trust account
|
-
|
31,261
|
|||||
Materials
and supplies
|
871
|
932
|
|||||
Prepaid
expenses
|
1,971
|
1,538
|
|||||
38,606
|
59,475
|
||||||
OTHER
ASSETS:
|
|||||||
Investment
in California Water Service Group
|
42,337
|
44,438
|
|||||
Unamortized
debt issuance and reacquisition costs
|
3,264
|
3,220
|
|||||
Regulatory
assets
|
49,581
|
50,483
|
|||||
Other
|
2,230
|
1,437
|
|||||
97,412
|
99,578
|
||||||
$
|
761,606
|
$
|
705,864
|
SEPTEMBER
30
|
DECEMBER
31
|
||||||
2007
|
2006
|
||||||
CAPITALIZATION
AND LIABILITIES
|
|||||||
CAPITALIZATION:
|
|||||||
Shareholders’
equity:
|
|||||||
Common
stock, $0.521 par value; authorized 36,000,000 shares;
issued
and outstanding 18,360,952 shares on September 30, 2007 and
18,280,646 in 2006
|
$
|
9,563
|
$
|
9,522
|
|||
Additional
paid-in capital
|
18,574
|
16,267
|
|||||
Retained
earnings
|
194,377
|
186,876
|
|||||
Accumulated
other comprehensive income
|
14,270
|
15,517
|
|||||
Total
shareholders’ equity
|
236,784
|
228,182
|
|||||
Long-term
debt, less current portion
|
196,461
|
163,648
|
|||||
433,245
|
391,830
|
||||||
CURRENT
LIABILITIES:
|
|||||||
Line
of credit
|
7,500
|
15,500
|
|||||
Current
portion of long-term debt
|
654
|
485
|
|||||
Accrued
groundwater extraction charges and purchased water
|
12,033
|
4,244
|
|||||
Purchased
power
|
1,601
|
301
|
|||||
Accounts
payable
|
7,978
|
7,267
|
|||||
Accrued
interest
|
3,004
|
3,871
|
|||||
Accrued
taxes
|
2,863
|
-
|
|||||
Accrued
payroll
|
1,148
|
1,432
|
|||||
Work
order deposit
|
489
|
417
|
|||||
Other
current liabilities
|
3,793
|
3,729
|
|||||
41,063
|
37,246
|
||||||
DEFERRED
INCOME TAXES
|
78,695
|
81,552
|
|||||
UNAMORTIZED
INVESTMENT TAX CREDITS
|
1,750
|
1,795
|
|||||
ADVANCES
FOR CONSTRUCTION
|
74,677
|
67,955
|
|||||
CONTRIBUTIONS
IN AID OF CONSTRUCTION
|
97,670
|
95,225
|
|||||
DEFERRED
REVENUE
|
1,339
|
1,262
|
|||||
POSTRETIREMENT
BENEFIT PLANS
|
28,921
|
26,298
|
|||||
OTHER
NONCURRENT LIABILITIES
|
4,246
|
2,701
|
|||||
COMMITMENTS
AND CONTINGENCIES
|
-
|
-
|
|||||
$
|
761,606
|
$
|
705,864
|
NINE MONTHS
ENDED SEPTEMBER 30
|
|||||||
2007
|
2006
|
||||||
OPERATING
ACTIVITIES:
|
|||||||
Net
income
|
$
|
15,539
|
$
|
19,532
|
|||
Adjustments
to reconcile net income to net cash provided by operating
activities:
|
|||||||
Depreciation
and amortization
|
16,975
|
15,984
|
|||||
Deferred
income taxes
|
(2,902
|
)
|
(1,483
|
)
|
|||
Share-based
compensation
|
579
|
522
|
|||||
Gain
on sale of nonutility property, net of taxes
|
-
|
(1,535
|
)
|
||||
Changes
in operating assets and liabilities:
|
|||||||
Accounts
receivable and accrued unbilled utility revenue
|
(11,581
|
)
|
(12,351
|
)
|
|||
Accounts
payable, purchased power and other current liabilities
|
(682
|
)
|
4,547
|
||||
Accrued
groundwater extraction charges and purchased water
|
7,789
|
3,439
|
|||||
Accrued
taxes
|
2,868
|
3,491
|
|||||
Accrued
interest
|
(867
|
)
|
(1,189
|
)
|
|||
Accrued
payroll
|
(284
|
)
|
383
|
||||
Prepaid
expenses and materials and supplies
|
(372
|
)
|
(344
|
)
|
|||
Postretirement
benefits
|
2,717
|
(1,390
|
)
|
||||
Other
noncurrent assets and noncurrent liabilities
|
2,459
|
985
|
|||||
Other
changes, net
|
1,291
|
880
|
|||||
NET
CASH PROVIDED BY OPERATING ACTIVITIES
|
33,529
|
31,471
|
|||||
INVESTING
ACTIVITIES:
|
|||||||
Additions
to utility plant
|
(46,954
|
)
|
(45,619
|
)
|
|||
Additions
to nonutility property
|
(48,245
|
)
|
(12,630
|
)
|
|||
Cost
to retire utility plant, net of salvage
|
(893
|
)
|
(599
|
)
|
|||
Proceeds
from sale of nonutility property
|
-
|
2,739
|
|||||
Cash
acquired from the acquisition of Canyon Lake Water Supply Corporation,
net
of payments made for the acquisition
|
-
|
4,083
|
|||||
Sale
proceeds from trust account
|
31,261
|
-
|
|||||
NET
CASH USED IN INVESTING ACTIVITIES
|
(64,831
|
)
|
(52,026
|
)
|
|||
FINANCING
ACTIVITIES:
|
|||||||
Discharge
of Canyon Lake Water Supply Corporation bonds
|
-
|
(19,951
|
)
|
||||
Borrowings
from line of credit
|
16,800
|
29,500
|
|||||
Repayments
of line of credit
|
(24,800
|
)
|
(1,500
|
)
|
|||
Long-term
borrowings
|
33,500
|
3,854
|
|||||
Repayments
of long-term borrowings
|
(519
|
)
|
(280
|
)
|
|||
Dividends
paid
|
(8,312
|
)
|
(7,744
|
)
|
|||
Exercise
of stock options and similar instruments
|
1,392
|
278
|
|||||
Tax
benefits realized from share options exercised
|
377
|
-
|
|||||
Receipts
of advances and contributions in aid of construction
|
12,935
|
11,409
|
|||||
Refunds
of advances for construction
|
(1,632
|
)
|
(1,513
|
)
|
|||
NET
CASH PROVIDED BY FINANCING ACTIVITIES
|
29,741
|
14,053
|
|||||
NET
CHANGE IN CASH AND CASH EQUIVALENTS
|
(1,561
|
)
|
(6,502
|
)
|
|||
CASH
AND CASH EQUIVALENTS, BEGINNING OF PERIOD
|
3,788
|
9,398
|
|||||
CASH
AND CASH EQUIVALENTS, END OF PERIOD
|
$
|
2,227
|
$
|
2,896
|
|||
Cash
paid during the period for:
|
|||||||
Interest
|
|
11,074
|
9,308
|
||||
Income
taxes
|
8,023
|
10,907
|
|||||
Supplemental
disclosure of non-cash activities:
|
|||||||
Increase
in accrued payables for additions to utility plant
|
2,659
|
2,289
|
|||||
Decrease
in nonutility property due to transfer to utility property
|
3,035
|
-
|
Three Months Ended
September 30, 2007
|
Three Months Ended
September 30, 2006
|
||||||||||||||||||
Non
|
Non
|
||||||||||||||||||
Regulated
|
Regulated
|
Total
|
Regulated
|
Regulated
|
Total
|
||||||||||||||
Revenue
|
$
|
61,743
|
$
|
3,104
|
$
|
64,847
|
$
|
60,287
|
$
|
2,832
|
$
|
63,119
|
|||||||
Expenses
|
52,023
|
2,093
|
54,116
|
49,530
|
2,188
|
51,718
|
|||||||||||||
Operating
income
|
$
|
9,720
|
$
|
1,011
|
$
|
10,731
|
$
|
10,757
|
$
|
644
|
$
|
11,401
|
Nine Months Ended
September 30, 2007
|
Nine Months Ended
September 30, 2006
|
||||||||||||||||||
Non
|
Non
|
||||||||||||||||||
Regulated
|
Regulated
|
Total
|
Regulated
|
Regulated
|
Total
|
||||||||||||||
Revenue
|
$
|
150,471
|
$
|
8,528
|
$
|
158,999
|
$
|
137,499
|
$
|
7,235
|
$
|
144,734
|
|||||||
Expenses
|
129,785
|
6,014
|
135,799
|
113,982
|
5,933
|
119,915
|
|||||||||||||
Operating
income
|
$
|
20,686
|
$
|
2,514
|
$
|
23,200
|
$
|
23,517
|
$
|
1,302
|
$
|
24,819
|
September 30,
2007
|
December 31,
2006
|
||||||
Land
|
$
|
30,103
|
$
|
8,947
|
|||
Buildings
and improvements
|
57,676
|
34,690
|
|||||
Intangibles
|
231
|
231
|
|||||
Subtotal
|
88,010
|
43,868
|
|||||
Less:
accumulated depreciation and amortization
|
3,291
|
3,303
|
|||||
Total
|
$
|
84,719
|
$
|
40,565
|
Three Months Ended
September 30
|
Nine Months Ended
September 30
|
||||||||||||
2007
|
2006
|
2007
|
2006
|
||||||||||
Service
cost
|
$
|
620
|
$
|
571
|
$
|
1,860
|
$
|
1,713
|
|||||
Interest
cost
|
1,068
|
958
|
3,206
|
2,874
|
|||||||||
Other
cost
|
369
|
413
|
1,106
|
1,239
|
|||||||||
Expected
return on assets
|
(885
|
)
|
(769
|
)
|
(2,656
|
)
|
(2,307
|
)
|
|||||
$
|
1,172
|
$
|
1,173
|
$
|
3,516
|
$
|
3,519
|
Three
Months Ended September 30, 2007
|
|||||||||||||
Water
Utility
|
Real Estate
|
All
|
SJW
|
||||||||||
Services
|
Services
|
Other*
|
Corp.
|
||||||||||
Operating
revenue
|
63,174
|
1,673
|
-
|
$
|
64,847
|
||||||||
Operating
expense
|
53,160
|
648
|
308
|
$
|
54,116
|
||||||||
Net
income (loss)
|
7,576
|
521
|
(86
|
)
|
$
|
8,011
|
|||||||
Depreciation
and amortization
|
5,320
|
370
|
-
|
$
|
5,690
|
||||||||
Interest
expense
|
2,705
|
484
|
58
|
$
|
3,247
|
||||||||
Income
tax expense (benefit) in operations income
|
5,129
|
210
|
(161
|
)
|
$
|
5,178
|
|||||||
Assets
|
633,990
|
85,215
|
42,401
|
$
|
761,606
|
Three
Months Ended September 30, 2006
|
|||||||||||||
Water
Utility
Services
|
Real Estate
Services
|
All
Other*
|
SJW
Corp.
|
||||||||||
Operating
revenue
|
61,803
|
1,070
|
246
|
$
|
63,119
|
||||||||
Operating
expense
|
50,688
|
565
|
465
|
$
|
51,718
|
||||||||
Net
income
|
8,581
|
217
|
60
|
$
|
8,858
|
||||||||
Depreciation
and amortization
|
5,251
|
238
|
19
|
$
|
5,508
|
||||||||
Interest
expense
|
2,222
|
161
|
-
|
$
|
2,383
|
||||||||
Income
tax expense (benefit) in operations income
|
6,063
|
168
|
(112
|
)
|
$
|
6,119
|
|||||||
Assets
|
557,980
|
47,323
|
43,083
|
$
|
648,386
|
Nine
Months Ended September 30, 2007
|
|||||||||||||
Water
Utility
Services
|
Real Estate
Services
|
All
Other*
|
SJW
Corp.
|
||||||||||
Operating
revenue
|
154,074
|
4,814
|
111
|
$
|
158,999
|
||||||||
Operating
expense
|
132,640
|
2,162
|
997
|
$
|
135,799
|
||||||||
Net
income
|
13,938
|
1,544
|
57
|
$
|
15,539
|
||||||||
Depreciation
and amortization
|
15,919
|
1,049
|
7
|
$
|
16,975
|
||||||||
Interest
expense
|
8,242
|
1,322
|
78
|
$
|
9,642
|
||||||||
Income
tax expense (benefit) in operations income
|
9,789
|
875
|
(245
|
)
|
$
|
10,419
|
|||||||
Assets
|
633,990
|
85,215
|
42,401
|
$
|
761,606
|
Nine
Months Ended September 30, 2006
|
|||||||||||||
Water
Utility
Services
|
Real Estate
Services
|
All
Other*
|
SJW
Corp.
|
||||||||||
Operating
revenue
|
140,727
|
3,105
|
902
|
$
|
144,734
|
||||||||
Operating
expense
|
116,515
|
1,780
|
1,620
|
$
|
119,915
|
||||||||
Net
income (loss)
|
18,599
|
972
|
(39
|
)
|
$
|
19,532
|
|||||||
Depreciation
and amortization
|
15,323
|
602
|
59
|
$
|
15,984
|
||||||||
Interest
expense
|
6,837
|
700
|
-
|
$
|
7,537
|
||||||||
Income
tax expense (benefit) in operations income
|
12,350
|
647
|
(439
|
)
|
$
|
12,558
|
|||||||
Assets
|
557,980
|
47,323
|
43,083
|
$
|
648,386
|
Jurisdiction
|
Years
Open
|
|
Federal
|
2004
- 2006
|
|
California
|
2003
- 2006
|
|
Arizona
|
2006
|
|
Connecticut
|
2003
- 2006
|
|
Florida
|
2003
- 2006
|
|
Texas
|
2005
- 2006
|
Description
|
Approximate
Acreage
|
Location
|
Approximate
Square
Footage
|
|||||||
Three
commercial buildings
|
2
|
San
Jose, California
|
50,000
|
|||||||
Warehouse
|
17
|
Windsor,
Connecticut
|
170,000
|
|||||||
Warehouse
|
8
|
Orlando,
Florida
|
147,000
|
|||||||
Retail
building
|
2
|
El
Paso, Texas
|
14,000
|
|||||||
Warehouse
|
11
|
Phoenix,
Arizona
|
176,000
|
|||||||
Warehouse
and commercial building
|
54
|
Knoxville,
Tennessee
|
494,000
|
|||||||
Undeveloped
land
|
5
|
San
Jose, California
|
N/A
|
(2) |
Regional
nonregulated water utility related services provided in accordance
with
the guidelines established by the
CPUC.
|
·
|
regulatory
environment;
|
·
|
synergy
potential;
|
·
|
general
economic conditions;
|
·
|
potential
profitability;
|
·
|
additional
growth opportunities within the region;
|
·
|
water
quality and environmental issues; and
|
·
|
capital
requirements.
|
Operating
Revenue by Segment
|
|||||||||||||
Three
Months Ended
|
Nine
Months Ended
|
||||||||||||
September
30
|
September
30
|
||||||||||||
2007
|
2006
|
2007
|
2006
|
||||||||||
Water
Utility Services
|
$
|
63,174
|
$
|
61,803
|
$
|
154,074
|
$
|
140,727
|
|||||
Real
Estate Services
|
1,673
|
1,070
|
4,814
|
3,105
|
|||||||||
All
Other
|
-
|
246
|
111
|
902
|
|||||||||
$
|
64,847
|
$
|
63,119
|
$
|
158,999
|
$
|
144,734
|
Three
Months Ended
|
Nine
Months Ended
|
||||||||||||
Sept.
30, 2007 vs. 2006
|
Sept.
30, 2007 vs. 2006
|
||||||||||||
Increase/(decrease)
|
Increase/(decrease)
|
||||||||||||
Utility:
|
|||||||||||||
Consumption
changes
|
$
|
(2,046
|
)
|
(3%
|
)
|
$
|
2,912
|
2%
|
|
||||
New
customers increase
|
260
|
-
|
2,711
|
2%
|
|
||||||||
Rate
increases
|
3,157
|
5%
|
|
7,723
|
5%
|
|
|||||||
Real
Estate Services
|
603
|
1%
|
|
1,710
|
1%
|
|
|||||||
All
Other
|
(246
|
)
|
-
|
(791
|
)
|
-
|
|||||||
$
|
1,728
|
3%
|
|
$
|
14,265
|
10%
|
|
Operating
Expense by Segment
|
|||||||||||||
Three
Months Ended
|
Nine
Months Ended
|
||||||||||||
September
30
|
September
30
|
||||||||||||
2007
|
2006
|
2007
|
2006
|
||||||||||
Water
Utility Services
|
$
|
53,160
|
$
|
50,688
|
$
|
132,640
|
$
|
116,515
|
|||||
Real
Estate Services
|
648
|
565
|
2,162
|
1,780
|
|||||||||
All
Other
|
308
|
465
|
997
|
1,620
|
|||||||||
$
|
54,116
|
$
|
51,718
|
$
|
135,799
|
$
|
119,915
|
Three
Months Ended
|
Nine
Months Ended
|
||||||||||||
Sept.
30, 2007 vs. 2006
|
Sept.
30, 2007 vs. 2006
|
||||||||||||
Increase/(decrease)
|
Increase/(decrease)
|
||||||||||||
Water
production costs:
|
|||||||||||||
Decreased
surface water supply
|
$
|
2,029
|
4%
|
|
$
|
7,378
|
6%
|
|
|||||
Change
in consumption usage and new customers
|
(1,218
|
)
|
(2%
|
)
|
3,832
|
3%
|
|
||||||
Groundwater
extraction charges and purchased water price increase
|
2,080
|
4%
|
|
3,070
|
3%
|
|
|||||||
Other
|
151
|
-
|
280
|
-
|
|||||||||
Total
water production costs
|
3,042
|
6%
|
|
14,560
|
12%
|
|
|||||||
Nonwater
production costs:
|
|||||||||||||
Administrative
and general
|
(57
|
)
|
-
|
960
|
1%
|
|
|||||||
Other
operating expense
|
15
|
-
|
(111
|
)
|
-
|
||||||||
Maintenance
|
139
|
-
|
1,298
|
1%
|
|
||||||||
Property
taxes and other nonincome taxes
|
18
|
-
|
325
|
-
|
|||||||||
Depreciation
and amortization
|
182
|
-
|
991
|
1%
|
|
||||||||
Total
nonwater production costs
|
297
|
-
|
3,463
|
3%
|
|
||||||||
Income
taxes
|
(941
|
)
|
(1%
|
)
|
(2,139
|
)
|
(2%
|
)
|
|||||
Total
operating expenses
|
$
|
2,398
|
5%
|
|
$
|
15,884
|
13%
|
|
Three
Months Ended
|
Nine
Months Ended
|
||||||||||||
Sept.
30, 2007 vs. 2006
|
Sept.
30, 2007 vs. 2006
|
||||||||||||
Increase/(decrease)
|
Increase/(decrease)
|
||||||||||||
Purchased
water
|
(337
|
)
|
(2%
|
)
|
1,942
|
5%
|
|
||||||
Surface
water
|
(1,252
|
)
|
(7%
|
)
|
(4,510
|
)
|
(11%
|
)
|
|||||
Ground
water
|
970
|
5%
|
|
5,091
|
13%
|
|
|||||||
Reclaimed
water
|
(30
|
)
|
-
|
29
|
-
|
||||||||
(649
|
)
|
(4%
|
)
|
2,552
|
7%
|
|
September
30, 2007
|
December 31, 2006
|
||||||
Under-collected
balancing account 11/29/2001 to 12/31/2004, including surcharge
and
interest
|
$ |
140
|
$ |
402
|
|||
Over-collected
memorandum type balancing account 1/1/2005 to 12/31/2005
|
(152
|
)
|
(146
|
)
|
|||
Over-collected
memorandum type balancing account 1/1/2006 to 12/31/2006
|
(1,034
|
)
|
(995
|
)
|
|||
Over-collected
memorandum type balancing account 1/1/2007 to 6/30/2007
|
(48
|
)
|
-
|
||||
Net
over-collected balancing account
|
$
|
(1,094
|
)
|
$ |
(739
|
)
|
SJW
CORP.
|
||||
DATE:
November 2, 2007
|
By
|
/s/
ANGELA YIP
|
||
Angela
Yip
|
||||
Chief
Financial Officer and Treasurer
|
||||
(Principal
financial officer)
|
Exhibit
No.
|
Description
of Document
|
|||||
31.1
|
Certification
Pursuant to Rule 13a-14(a)/15d-14(a) by President and Chief Executive
Officer. (1)
|
|||||
31.2
|
Certification
Pursuant to Rule 13a-14(a)/15d-14(a) by Chief Financial Officer and
Treasurer. (1)
|
|||||
32.1
|
Certification
Pursuant to 18 U.S.C. Section 1350 by President and Chief
Executive Officer, as adopted pursuant to Section 906 of the
Sarbanes-Oxley Act of 2002. (1)
|
|||||
32.2
|
Certification
Pursuant to 18 U.S.C. Section 1350 by Chief Financial Officer
and Treasurer, as adopted pursuant to Section 906 of the
Sarbanes-Oxley Act of
2002. (1)
|