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HomeMy WebLinkAbout20191108Decision Memo.pdfRE DECISION MEMORANDUM TO COMMISSIONER KJELLANDER COMMISSIONER RAPER COMMISSIONER ANDERSON COMMISSION SECRETARY LEGAL WORKING FILE FROM: TERRICARLOCK DATE: NOVEMBER8,2019 ANNUAL DETERMINATION OF THE INTEREST RATES ON DEPOSITS COLLECTED FROM CUSTOMERS FOR THE CALENDAR YEAR 2020; CASE NO. GNR-U-I9-01. Every year the Commission sets the interest rate to be paid on customer deposits for the next calendar year. Rule 106 of the of the Customer Relations Rules for Gas, Electric and Water Utilities provides: "the Commission will determine the twelve-month average interest rate for one-year Treasury Bills for the previous Novernber I through October 3l , round that rate to the nearest whole percent...". (IDAPA3l.2l.0l.l06andIDAPA3l.4l.01.l04). This average interest rate is 2.24Yo as shown on Attachment A. Staff recommends the rate be rounded to the nearest whole percent and set al 2Yo for the calendar year 2020. COMMISSION DECISION Should the interest rate paid on deposits collected from customers for the calendar year 2020 be sel al2o/o? Jd Cofudt u,tcflrloc/AnnDetlnlRatesl I'08-2020 TC Terri Carlock Week Ended ATTACHMENT ONE-YEAR TREASURY RATES Rate %week Ended 17l212078 tLl9l2018 LLlL6l2Ol8 LLl23l2OL8 tLl30lz0ts L2l7l2ot8 L2lL4l2078 t2lztl2Ot8 t2128120L8 71412o7e LlrtlzoTe tlL8l2ot9 Llz5l2O7e 2lLlzotg 2/8lzote 2ltslzote zl22l2O7e 3h|2079 tl8l20le slLslzotg 3l22l2Ot9 3l29lzote 4lslzoLe 4lLzl2Ot9 4lt8l2OLe 4l26lZOtg slslzoLe slLOl2OL9 slLT l?oLs sl24l20L9 sl3,.lzoLe 617l2OL9 6lL4lzore 6lzLlz0le 6l?,8l7Ot9 7lSl2o7s 711212079 Thelzo,g 7l76lzote 81217019 slslzo,9 th6lzole 8l2tl2ole 8l70l2oLe el6lzo:.e elLtl2ol9 elzol2oL9 9127120t9 tol4lzote L0llLl2079 LOlt8l2019 LOl25l20L9 Rate % 2.41 2.t6 2,33 2.33 2.2L L.97 2.00 1.95 1.92 1.98 1.96 t.94 2.00 1.85 1.78 1.71 7.73 1.76 1.73 1.88 1.84 7.74 1.58 L.67 1.58 1.50 z.z4 2.70 2.73 2.68 2.67 2.70 2.68 2.68 2.62 2.57 2.57 2.58 2.60 2.50 2.56 2.54 2.55 2.55 2.55 2.53 2.52 2.45 2.40 2.43 2.44 2.44 2.4t AVERAGE Source: Federal Reserve Treasury Rates One-Y€ar Constant Maturities ATTACHMENT A Calendar Year Interest Rates on Deposits Interest Rate 9o/o 8o/o 60/o 4o/o 3o/o 5% 60/o 6% 6% 5o/o 5o/o 6% 4% 2% t% 'lO/ 3% 5% 5o/o 2o/o t% lo/o t% 1% lo/o lo/o lo/o lo l% 2% Order No. 1990 I 991 1992 1993 1994 t99s 1996 199',7 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 201I 2012 2013 20t4 2015 20t6 20t7 2018 2019 22836 23425 23971 24578 2s242 2s788 26233 2668t 27248 27828 28234 28575 28896 29158 29386 29653 29932 30200 30469 10692 30965 32t09 32403 32684 32922 33187 33426 33664 33936 34204 ATTACHI\lENT B