GENERAL DYNAMICS CORP
10-K405/A, 1997-06-17
SHIP & BOAT BUILDING & REPAIRING
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<PAGE>   1
- -------------------------------------------------------------------------------


                       SECURITIES AND EXCHANGE COMMISSION
                                WASHINGTON, D.C.

                            ----------------------

                                  FORM 10-K/A

                    AMENDMENT TO APPLICATION ON REPORT FILED
                     PURSUANT TO SECTION 12, 13 OR 15(D) OF
                           THE SECURITIES ACT OF 1934

                            ----------------------

                          GENERAL DYNAMICS CORPORATION
                            3190 Fairview Park Drive
                       Falls Church, Virginia 22042-4523


                                AMENDMENT NO. 1


         The undersigned registrant hereby amends the following items,
financial statements, exhibits or other portions of its 1996 Annual Report on
Form 10-K as set forth in the pages attached hereto:

                       Index to Exhibits
                       
                       Exhibit 99(d) Annual Report on Form 11-K
                       for the General Dynamics Corporation
                       Savings and Stock Investment Plan.
                       
                       Exhibit 99(e) Annual Report on Form 11-K
                       for the General Dynamics Corporation Hourly
                       Employees Savings and Stock Investment
                       Plan.

Pursuant to the requirements of the Securities and Exchange Act of 1934, the
registrant has duly caused this amendment to be signed on its behalf by the
undersigned thereto duly authorized.



                                        GENERAL DYNAMICS CORPORATION


                                        By  /s/  P.A. HESSE
                                           -----------------
                                                 P.A. Hesse
                                                 Secretary

June 17, 1997

                                     -1-

<PAGE>   2
                               INDEX TO EXHIBITS


<TABLE>
<CAPTION>

 NOTE          EXHIBIT
NUMBER         NUMBER                                           DESCRIPTION
- ------         ------                                           -----------

<S>            <C>            <C>
   (5)           3-1A          --Restated Certificate of Incorporation, effective May 21, 1991
                 3-2C          --Bylaws as amended effective August 7, 1996
                 4             --Letter re agreement to furnish copy of indenture
   (1)          10-1A          --Amendment of Mining Leases between American National Bank and Trust
                                       of Chicago, Trustee, and La Salle National Bank, Trustee, to Freeman Coal Mining
                                       Corporation, dated January 1, 1960
   (1)          10-1B          --Amendatory Agreement between Freeman United Coal Mining Company and American
                                       National Bank and Trust Company, as Trustee, and La Salle National Bank, as Trustee,
                                       dated January 1, 1975
   (3)          10-6A          --General Dynamics Corporation Incentive Compensation Plan adopted February 3, 1988,
                                       approved by the shareholders on May 4, 1988
   (4)          10-6B          --General Dynamics Corporation Incentive Compensation Plan (as amended),
                                       approved by shareholders on May 1, 1991
   (2)          10-7D          --Facilities Contract DAAE07-83-E-A007 dated January 29, 1983, between
                                       General Dynamics Land Systems, Inc. and the United States relating to
                                       government-owned equipment at the Scranton Defense Plant, Eynon, Pennsylvania
   (4)          10-7E          --Facilities Contract DAAE07-90-E-A001 dated June 24, 1990, between General Dynamics
                                       Land Systems, Inc. and the United States relating to government-owned facilities and
                                       equipment at the Lima Army Tank Plant, Lima, Ohio
   (7)          10-8B          --General Dynamics Corporation Retirement Plan for Directors adopted March 6, 1986, as
                                       amended May 5, 1993
                10-14A         --Lease Agreement dated December 20, 1996, between Electric Boat Corporation and the
                                       Rhode Island Economic Development Corporation
   (6)          10-18          --Employment Agreement between the company and James R. Mellor dated as of
                                       March 17, 1993
   (9)          10-18A         --Amendment to employment agreement between the company and James R. Mellor dated as of
                                       October 3, 1995
                10-18B         --Amendment to employment agreement between the company and James R. Mellor dated as of
                                       November 5, 1996
   (6)          10-22          --Form of Agreement entered into in 1993 between the company and Corporate Officers who
                                       were being retained in employment with the company
   (8)          10-24          --Asset Purchase Agreement, dated August 17, 1995, between the company and Bath Iron Works
                                       Corporation
   (9)          10-25          --Lease Agreement dated January 14, 1982, between Bath Iron Works Corporation and the City
                                       of Portland, Maine, relating to pier facilities in the Portland, Maine harbor
   (9)          10-26          --Lease Agreement dated January 14, 1982, between Bath Iron Works Corporation and the State
                                       of Maine, relating to a dry dock facility in the Portland, Maine harbor
   (9)          10-27          --Form of Employment Agreement pertaining to change of control entered into between the
                                       company and key executives
  (10)          10-28          --Asset Purchase and Sale Agreement, dated November 6, 1996, as amended December 20,
                                       1996, between the company and Lockheed Martin Corporation
                10-29          --Employment agreement between the company and Nicholas D. Chabraja dated
                                       November 12, 1996
                10-30          --General Dynamics Corporation Incentive Compensation Plan adopted by the board of directors
                                       as of February 5, 1997
</TABLE>

                                     -2-
<PAGE>   3
                               INDEX TO EXHIBITS

<TABLE>
<CAPTION>

 NOTE          EXHIBIT
NUMBER         NUMBER                                           DESCRIPTION
- ------         ------                                           -----------

<S>            <C>            <C>

                11             --Statement re computation of per share earnings
                13             --1996 Shareholder Report (pages 18 through 39)
                21             --Subsidiaries
                23             --Consent of Independent Public Accountants
                24             --Power of Attorney of the Board of Directors
                27             --Financial Data Schedule
                99(d)          --1996 Annual Report on Form 11-K for the General Dynamics Corporation Savings and Stock
                               Investment Plan
                99(e)          --1996 Annual Report on Form 11-K for the General Dynamics Corporation Hourly Employees
                               Savings and Stock Investment Plan
</TABLE>


                                     -3-
<PAGE>   4



                                     NOTES

(1)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1980, and filed with the Commission March 31,
     1981, and incorporated herein by reference.

(2)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1982, and filed with the Commission March 30,
     1983, and incorporated herein by reference.

(3)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1987, and filed with the Commission March 17,
     1988, and incorporated herein by reference.

(4)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1990, and filed with the Commission March 29,
     1991, and incorporated herein by reference.

(5)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1991, and filed with the Commission March 26,
     1992, and incorporated herein by reference.

(6)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1992, and filed with the Commission March 30,
     1993, and incorporated herein by reference.

(7)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1994, and filed with the Commission March 9,
     1995, and incorporated herein by reference.

(8)  Filed as an exhibit to the company's current report on Form 8-K filed with
     the Commission September 28, 1995, and incorporated herein by reference.

(9)  Filed as an exhibit to the company's annual report on Form 10-K for the
     year ending December 31, 1995, and filed with the Commission March 21,
     1996, and incorporated herein by reference.

(10) Filed as an exhibit to the company's current report on Form 8-K filed with
     the Commission January 15, 1997, and incorporated herein by reference.




                                     -4-

<PAGE>   1



- -------------------------------------------------------------------------------

                                                        ANNUAL EXHIBIT 99(d) TO
                                                     ANNUAL REPORT ON FORM 10-K
                                                OF GENERAL DYNAMICS CORPORATION
                                                            SEC FILE NO. 1-3671

                             ---------------------

                       SECURITIES AND EXCHANGE COMMISION
                             WASHINGTON, D.C. 20549

                             ---------------------

                                   FORM 11-K
                                 ANNUAL REPORT

                           PURSUANT TO SECTION 19(D)
                   OF THE SECURITIES AND EXCHANGE ACT OF 1934

                 FOR THE FISCAL YEAR ENDED December 31, 1996


A.   Full title of the Plan and the address of the Plan, if different from
     the issuer named below:

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

B.   Name of the issuer of the securities held pursuant to the Plan and the
     address of the principal executive office:

                          GENERAL DYNAMICS CORPORATION
                            3190 FAIRVIEW PARK DRIVE
                       FALLS CHURCH, VIRGINIA 23042-4523




                                     -5-
<PAGE>   2



                          GENERAL DYNAMICS CORPORATION

                   INDEX OF FINANCIAL STATEMENTS AND EXHIBITS



                                                                  Pages of this
                                                                  Form 11-K

(a)      FINANCIAL STATEMENTS

         Report of Independent Public Accountants                       10

         Statements of Net Assets Available for Benefits,
         December 31, 1996 and 1995                                   11-12

         Statement of Changes in Net Assets Available for Benefits,       
         Fiscal Year Ended December 31, 1996                            13

         Notes to Financial Statements                                14-16

         Schedule I - Combined Statement of Investments
         in Master Trust Funds                                        17-37

(b)      SIGNATURE                                                      7

(c)      EXHIBITS                                                        

         Consent of Independent Public Accountants                      8



                                      -6-
<PAGE>   3



                                   SIGNATURE

         Pursuant to the requirements of the Securities and Exchange Act of
1934, the Plan Administrator has caused this Annual Report to be signed by the
undersigned thereunto duly authorized.



                               GENERAL DYNAMICS CORPORATION
                               As Plan Administrator of the General Dynamics
                               Corporation Savings and Stock Investment Plan


                               By  /s/  P. A. Hesse
                                   ----------------
                                        P. A. Hesse
                                        Secretary


June 17, 1997


                                     -7-
<PAGE>   4



                   CONSENT OF INDEPENDENT PUBLIC ACCOUNTANTS

         As independent public accountants, we hereby consent to the
incorporation of our report included in this Form 11-K, into General Dynamics
Corporation's previously filed Registration Statement on Form S-8, File No.
2-23904.



                                                  By  /s/  Arthur Andersen LLP
                                                      ------------------------
                                                      Arthur Andersen LLP

Washington, D.C.
June 17, 1997

                                     -8-
<PAGE>   5
                         GENERAL DYNAMICS CORPORATION
                      SAVINGS AND STOCK INVESTMENT PLAN
                                      
                             FINANCIAL STATEMENTS
                       AS OF DECEMBER 31, 1996 AND 1995
                        TOGETHER WITH AUDITORS' REPORT
                                      


                                     -9-

<PAGE>   6


                    REPORT OF INDEPENDENT PUBLIC ACCOUNTANTS



To General Dynamics Corporation:

We have audited the accompanying statements of net assets available for
benefits of the General Dynamics Corporation Savings and Stock Investment Plan
as of December 31, 1996 and 1995, and the related statement of changes in net
assets available for benefits for the year ended December 31, 1996. These
financial statements and the schedule referred to below are the responsibility
of the Plan Administrator. Our responsibility is to express an opinion on these
financial statements and schedule based on our audits. 

We conducted our audits in accordance with generally accepted auditing
standards. Those standards require that we plan and perform the audit to obtain
reasonable assurance about whether the financial statements are free of
material misstatement. An audit includes examining, on a test basis, evidence
supporting the amounts and disclosures in the financial statements. An audit
also includes assessing the accounting principles used and significant
estimates made by management, as well as evaluating the overall financial
statement presentation. We believe that our audits provide a reasonable basis
for our opinion.

In our opinion, the financial statements referred to above present fairly, in
all material respects, the net assets available for benefits of the General
Dynamics Corporation Savings and Stock Investment Plan as of December 31, 1996
and 1995, and the changes in its net assets available for benefits for the year
ended December 31, 1996, in conformity with generally accepted accounting
principles.

Our audit was made for the purpose of forming an opinion on the basic financial
statements taken as a whole. The Combined Statement of Investments in Master
Trust Funds (Schedule I), is presented for the purpose of additional analysis
and is not a required part of the basic financial statement but is
supplementary information required by the Department of Labor's Rules and
Regulations for Reporting and Disclosure under the Employee Retirement Income
Security Act of 1974. The Fund Information in the statements of net assets
available for benefits and the statement of changes in net assets available for
benefits is presented for purposes of additional analysis rather than to
present the net assets available for benefits and changes in net assets
available for benefits of each fund. The supplemental schedule and Fund
Information have been subjected to the auditing procedures applied in the
audits of the basic financial statements and, in our opinion, are fairly stated
in all material respects in relation to the basic financial statements taken as
a whole. 

Washington, D.C.                                        Arthur Andersen LLP

June 17, 1997
                                     -10-
<PAGE>   7
                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                 STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                                                 FUNDS                     
                                                                                    -------------------------------
                                                                                       COMPANY          GOVERNMENT     
                                                                     TOTAL              STOCK             BONDS      
                                                                --------------      ------------        -----------        
<S>                                                             <C>                 <C>                 <C>                

ASSETS:
     Investment in common stock of
       General Dynamics Corporation,
       at market value - 5,236,392 shares
       (Cost $146,741,199)-
         Participant-directed                                     $237,696,980      $237,696,980       $          -        
         Non-participant-directed                                  132,777,759       132,777,759                  -        
     Investments in securities of unaffiliated issuers,
       at market value
         U.S. Government bonds
           (Cost $98,896,305)                                       97,703,893                 -         97,703,893        
         Other securities (Cost $322,357,407)                      372,537,084                 -                  -        
     Guaranteed investment contracts, at fair value (Cost
       $1,208,000,753)                                           1,255,348,014                 -                  -        
     Loans receivable (payable)                                     15,130,746           110,992              1,313        
     Amounts receivable from (payable to) General
       Dynamics Corporation                                            (18,232)          (30,519)            (1,656)       
                                                                --------------      ------------        -----------        
                  Total Assets                                   2,111,176,244       370,555,212         97,703,550        
                                                                --------------      ------------        -----------        

LIABILITIES:
     Fund transfers                                                     (3,008)        2,205,381            659,735        
     Administrative fees payable                                       189,656            17,557              4,553        
     Loans payable (receivable)                                              -            51,587             91,693        
                                                                --------------      ------------        -----------        
                  Total Liabilities                                    186,648         2,274,525            755,981        
                                                                --------------      ------------        -----------        
     Net Assets Available for Benefits                          $2,110,989,596      $368,280,687        $96,947,569        
                                                                ==============      ============        ===========        
</TABLE>

<TABLE>
<CAPTION>
                                                                                                 FUNDS
                                                                 --------------------------------------------------------------
                                                                  DIVERSIFIED         FIXED            SPECIAL
                                                                   PORTFOLIO         INCOME         DISTRIBUTION         LOAN
                                                                 ------------    --------------     ------------    -----------
<S>                                                              <C>             <C>                <C>             <C>        

ASSETS:
     Investment in common stock of
       General Dynamics Corporation,
       at market value - 5,236,392 shares
       (Cost $146,741,199)-
         Participant-directed                                    $          -      $          -    $          -    $          -
         Non-participant-directed                                           -                 -               -               -
     Investments in securities of unaffiliated issuers,
       at market value
         U.S. Government bonds
           (Cost $98,896,305)                                               -                 -               -               -
         Other securities (Cost $322,357,407)                     352,149,275                 -      20,387,809               -
     Guaranteed investment contracts, at fair value (Cost
       $1,208,000,753)                                                            1,255,348,014               -               -
     Loans receivable (payable)                                         9,854            20,273               -      14,988,314
     Amounts receivable from (payable to) General
       Dynamics Corporation                                             4,124             9,819               -               -
                                                                 ------------    --------------     -----------     -----------
                  Total Assets                                    352,163,253     1,255,378,106      20,387,809      14,988,314
                                                                 ------------    --------------     -----------     -----------

LIABILITIES:
     Fund transfers                                                (1,286,389)       (1,686,422)        104,687               -
     Administrative fees payable                                      109,146            55,911           2,489               -
     Loans payable (receivable)                                       191,950           957,773          23,697      (1,316,700)
                                                                 ------------    --------------     -----------     -----------
                  Total Liabilities                                  (985,293)         (672,738)        130,873      (1,316,700)
                                                                 ------------    --------------     -----------     -----------
     Net Assets Available for Benefits                           $353,148,546    $1,256,050,844     $20,256,936     $16,305,014
                                                                 ============    ==============     ===========     ===========
</TABLE>


  The accompanying notes are an integral part of these financial statements.


                                      -11-
<PAGE>   8
                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


                 STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS
                            AS OF DECEMBER 31, 1995

<TABLE>
<CAPTION>
                                                                                                   FUNDS              
                                                                                    --------------------------------
                                                                                       COMPANY          GOVERNMENT    
                                                                     TOTAL              STOCK              BONDS       
                                                                --------------      ------------        ------------   
<S>                                                             <C>                 <C>                 <C>            

ASSETS:
     Investment in common stock of
       General Dynamics Corporation,
       at market value - 5,454,175 shares
       (Cost $140,443,105)-
         Participant-directed                                     $191,226,070      $191,226,070        $          -   
         Non-participant-directed                                  131,252,015       131,252,015                   -   
     Investments in securities of unaffiliated issuers,
       at market value
         U.S. Government bonds
           (Cost $112,186,744)                                     111,397,508                 -         111,397,508   
         Other securities (Cost $310,399,422)                      343,097,590                 -                   -   
     Guaranteed investment contracts, at fair value (Cost
       $1,267,924,294)                                           1,348,372,519                 -                   -   
     Loans receivable (payable)                                     19,381,252           435,692             (42,175)  
     Amounts receivable from (payable to) General
       Dynamics Corporation                                            184,227           195,130               4,495   
                                                                --------------      ------------        ------------   
                  Total Assets                                   2,144,911,181       323,108,907         111,359,828   
                                                                --------------      ------------        ------------   


LIABILITIES:
     Fund transfers                                                          -         2,607,321           1,332,952   
     Administrative fees payable                                       267,727            31,024              15,528   
     Loans payable (receivable)                                              -           103,123              76,666   
                                                                --------------      ------------        ------------   
                  Total Liabilities                                    267,727         2,741,468           1,425,146   
                                                                --------------      ------------        ------------   
     Net Assets Available for Benefits                          $2,144,643,454      $320,367,439        $109,934,682   
                                                                ==============      ============        ============   
</TABLE>

<TABLE>
<CAPTION>
                                                                                             FUNDS
                                                            ---------------------------------------------------------------------
                                                            DIVERSIFIED            FIXED              SPECIAL
                                                             PORTFOLIO            INCOME           DISTRIBUTION           LOAN
                                                            ------------       --------------      ------------       -----------
<S>                                                         <C>                <C>                  <C>               <C>        

ASSETS:
     Investment in common stock of
       General Dynamics Corporation,
       at market value - 5,454,175 shares
       (Cost $140,443,105)-
         Participant-directed                               $          -         $          -      $          -      $          -
         Non-participant-directed                                      -                    -                 -                 -
     Investments in securities of unaffiliated issuers,
       at market value
         U.S. Government bonds
           (Cost $112,186,744)                                         -                    -                 -                 -
         Other securities (Cost $310,399,422)                320,488,543                    -        22,609,047                 -
     Guaranteed investment contracts, at fair value (Cost
       $1,267,924,294)                                                 -        1,348,372,519                 -                 -
     Loans receivable (payable)                                 (163,176)             (49,847)                -        19,200,758
     Amounts receivable from (payable to) General
       Dynamics Corporation                                       10,577              (25,975)                -                 -
                                                            ------------       --------------       -----------       -----------
                  Total Assets                               320,335,944        1,348,296,697        22,609,047        19,200,758
                                                            ------------       --------------       -----------       -----------


LIABILITIES:
     Fund transfers                                             (846,478)          (3,431,919)          338,124                 -
     Administrative fees payable                                  90,404              128,055             2,716                 -
     Loans payable (receivable)                                  258,243              811,757            14,411        (1,264,200)
                                                            ------------       --------------       -----------       -----------
                  Total Liabilities                             (497,831)          (2,492,107)          355,251        (1,264,200)
                                                            ------------       --------------       -----------       -----------
     Net Assets Available for Benefits                      $320,833,775       $1,350,788,804       $22,253,796       $20,464,958
                                                            ============       ==============       ===========       ===========
</TABLE>



  The accompanying notes are an integral part of these financial statements.


                                      -12-
<PAGE>   9
                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


           STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
                      FOR THE YEAR ENDED DECEMBER 31, 1996




<TABLE>
<CAPTION>
                                                                                                  FUNDS                    
                                                                            ----------------------------------------------------
                                                                                     COMPANY STOCK
                                                                            ------------------------------
                                                                                                   NON-
                                                                            PARTICIPANT-       PARTICIPANT-          GOVERNMENT 
                                                             TOTAL            DIRECTED           DIRECTED               BONDS   
                                                        --------------      ------------       ------------         ----------- 
<S>                                                     <C>                 <C>                <C>                  <C>         

INVESTMENT INCOME-
     Dividends                                          $   14,597,595      $  5,661,129       $  2,840,438        $          - 
     Interest                                              105,178,820            57,920             29,061           6,321,944 
                                                        --------------      ------------       ------------        ------------ 
                                                           119,776,415         5,719,049          2,869,499           6,321,944 

ADD (DEDUCT)-

NET REALIZED AND UNREALIZED GAIN (LOSS) ON 
 ASSETS                                                     94,582,108        40,252,124         20,196,270          (1,335,702)

ROLLOVER CONTRIBUTIONS                                         288,657            38,006                  -               9,368 

DEPOSITS BY PARTICIPANTS                                    22,936,791        13,858,616                  -             673,579 

CONTRIBUTIONS BY GENERAL DYNAMICS
 CORPORATION                                                16,066,335          (156,233)        16,226,043                 (35)

LOAN REPAYMENTS                                              1,285,711         5,823,226                  -             406,762 

LOANS ISSUED                                                         -          (352,796)                 -            (435,911)

TRANSFER BETWEEN INVESTMENT FUNDS                                3,008        (8,725,212)                 -          (2,406,941)

DISTRIBUTIONS TO WITHDRAWN PARTICIPANTS
                                                          (286,367,810)      (31,574,862)       (16,023,394)        (16,128,403)

PLAN EXPENSES                                               (2,225,073)         (237,088)                 -             (91,774)
                                                        --------------      ------------       ------------        ------------ 
                  Net increase (decrease)                  (33,653,858)       24,644,830         23,268,418         (12,987,113)


NET ASSETS AVAILABLE FOR BENEFITS:
     Beginning of year                                   2,144,643,454       186,777,430        133,590,009         109,934,682 
                                                        --------------      ------------       ------------        ------------ 
     End of year                                        $2,110,989,596      $211,422,260       $156,858,427        $ 96,947,569 
                                                        ==============      ============       ============        ============ 
</TABLE>

<TABLE>
<CAPTION>
                                                                                      FUNDS
                                                     -----------------------------------------------------------------------
                                                    
                                                    
                                                    
                                                      DIVERSIFIED           FIXED              SPECIAL
                                                       PORTFOLIO            INCOME          DISTRIBUTION             LOAN
                                                     ------------       --------------      ------------         -----------
<S>                                                  <C>                <C>                  <C>                 <C>        

INVESTMENT INCOME-
     Dividends                                       $  6,096,028       $            -       $         -         $         -
     Interest                                             430,519           97,202,028         1,137,348                   -
                                                     ------------       --------------       -----------         -----------
                                                        6,526,547           97,202,028         1,137,348                   -

ADD (DEDUCT)-

NET REALIZED AND UNREALIZED GAIN (LOSS) ON
 ASSETS                                                67,320,291          (31,850,875)                -                   -

ROLLOVER CONTRIBUTIONS                                    154,487               86,796                 -                   -

DEPOSITS BY PARTICIPANTS                                2,536,303            5,868,293                 -                   -

CONTRIBUTIONS BY GENERAL DYNAMICS
 CORPORATION                                                 (461)              (1,785)           (1,194)                  -

LOAN REPAYMENTS                                         1,217,398            3,461,754                 -          (9,623,429)

LOANS ISSUED                                           (1,719,720)          (5,295,242)         (117,131)          7,920,800

TRANSFER BETWEEN INVESTMENT FUNDS                       2,715,964            9,084,160          (664,963)                  -

DISTRIBUTIONS TO WITHDRAWN PARTICIPANTS
                                                      (45,468,700)        (172,382,765)       (2,332,371)         (2,457,315)

PLAN EXPENSES                                            (967,338)            (910,324)          (18,549)                  -
                                                     ------------       --------------       -----------         -----------
                  Net increase (decrease)              32,314,771          (94,737,960)       (1,996,860)         (4,159,944)


NET ASSETS AVAILABLE FOR BENEFITS:
     Beginning of year                                320,833,775        1,350,788,804        22,253,796          20,464,958
                                                     ------------       --------------       -----------         -----------
     End of year                                     $353,148,546       $1,256,050,844       $20,256,936         $16,305,014
                                                     ============       ==============       ===========         ===========
</TABLE>


   The accompanying notes are an integral part of these financial statements.
                                     -13-

<PAGE>   10


                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


                         NOTES TO FINANCIAL STATEMENTS
                        AS OF DECEMBER 31, 1996 AND 1995



1.   The General Dynamics Corporation Savings and Stock Investment Plan (the
     "Plan") is a contributory defined contribution plan covering eligible
     salaried employees of General Dynamics Corporation (the "Company") that
     have completed one year of continuous service. The following is a brief
     description of the Plan provided for general information purposes.
     Participants should refer to the Plan agreement for more complete
     information. A member may contribute from 2% to 10% of the first $25,000
     of base earnings and 2% - 6% of base earnings in excess of $25,000. In
     addition, non-highly compensated members, as determined by the Plan
     Administrator, may also contribute another 1% - 4% of base salary on an
     unmatched basis. Each member shall direct his contributions to be invested
     in accordance with one of the following options:
              
     1)   33-1/3% Government Bonds Fund, 33-1/3% Diversified Portfolio Fund and
          33-1/3% Company Stock Fund,

     2)   33-1/3% Government Bonds Fund and 66-2/3% Company Stock Fund,

     3)   33-1/3% Government Bonds Fund and 66-2/3% Diversified Portfolio Fund,

     4)   100% Government Bonds Fund,

     5)   33-1/3% Fixed Income Fund and 66-2/3% Diversified Portfolio Fund,

     6)   33-1/3% Fixed Income Fund and 66-2/3% Company Stock Fund,

     7)   100% Fixed Income Fund, or

     8)   100% Company Stock Fund.

     
                                      -14-

<PAGE>   11



     All Company matching contributions to the Plan are invested in Company
     common stock. Options 1 through 7 receive a 50 percent Company matching
     contribution in Company common stock. Option 8 participants receive a
     higher Company matching contribution of 100 percent. Contributions
     invested in the Company Stock Fund must be maintained in that fund for 5
     years before becoming eligible for transfer to any other fund. All Company
     matching contributions to the Plan are classified as
     non-participant-directed investments in the financial statements.
     Participant contributions to the Company Stock Fund are reflected as
     participant-directed investments. With the exception of the Company Stock
     Fund, all other investment funds are completely participant-directed.

     The Plan provides that any special distributions payable with respect to
     Company Stock allocated to participant accounts would be credited to the
     participants in the Special Distribution Fund rather than being
     automatically reinvested in additional shares of Company Stock.
     Participants are entitled to transfer amounts credited to their accounts
     in the Special Distribution Fund to other investment funds. Special
     distributions include all proceeds received from tenders or sales of
     Company Stock and other distributions, except regular quarterly dividends
     which would continue to be invested in Company Stock. Funds credited to
     these accounts in the Special Distribution Fund are invested in high
     quality securities.

     In addition, the Plan was amended to permit participants who have shares
     of Company Stock allocated to their accounts to direct the trustee with
     respect to tender of shares pursuant to any Company Stock repurchase
     program or tender offer. Any proceeds realized from such share repurchase
     will be treated as a Special Distribution.

     Plan members are allowed to elect one fund transfer per calendar year.
     Participants may transfer both their contributions and the Company's
     contributions invested in any fund to any other investment fund, except as
     follows:

          -    transfers may not be made from the Fixed Income Fund,

          -    funds may not be transferred into and out of the same 
               investment fund during a transfer, and

          -    all investments in Company common stock must be held for five 
               plan years before they may be transferred.


     The Plan permits active participants and employed inactive participants to
     borrow up to 50% of the vested amount in their accounts (as limited by the
     Plan) and to repay the loan by regular payroll deductions over a period of
     up to five years.
     
2.   According to the Plan Document, the five plan funds may hold the following
     types of investments:

     a)   Government Bonds Fund - includes only direct obligations of the
          United States Government and its agencies or obligations guaranteed
          as to the payment of interest and principal by the United States
          Government and may also include other investments of a short-term
          nature as provided in the trust agreement.

                                      -15-

<PAGE>   12



     b)   Diversified Portfolio Fund - includes only common or capital stocks
          of issuers other than the Company, bonds or debentures or preferred
          stocks convertible into common or capital stocks of issuers other
          than the Company, and other similar types of equity investments, and
          may also include other investments of a short-term nature as provided
          in the trust agreement.

     c)   Company Stock Fund - includes only common stock of the Company.

     d)   Fixed Income Fund - includes investments in fixed income and other
          investment contracts with insurance companies designated by the
          Company and may also include other investments of a short-term nature
          as provided in the trust agreement.

     e)   Special Distribution Fund - includes obligations issued or fully
          guaranteed as to payment of principal and interest by the United
          States of America or its agencies, high quality commercial paper,
          certificates of deposit, short-term investment vehicles or any high
          quality securities selected by the Company or any investment manager
          of the fund.

     All of the above Funds may hold a small cash balance for purpose of
     liquidity and expense control.

     During June 1997, the Company extended the investment options for plan
     participants.  Two of the options offered in 1996 will remain available to
     participants: the Company Stock Fund and the Fixed Income Fund. The new
     options include: Bond Index Fund, Balanced Fund, S&P 500 Stock Index Fund,
     International Index Fund and Small Cap Index Fund.  These investment
     options will offer participants the opportunity to invest in a broader
     range of the risk/return spectrum for actively traded securities. 
     Description of the new options include:
                  
          a)   Bond Index Fund - Includes investments in government,
               mortgage-backed and asset-backed securities.  The Fund also
               invests in high quality bonds.

          b)   Balanced Fund - The Fund is mixed portfolio of commingled stocks
               and bond funds.  The Fund is made up of international equities,
               U.S. large cap equities, fixed income securities, U.S. small cap
               equities, and a small cash balance.

          c)   S&P 500 Stock Index Fund - The Fund invests in 500 U.S. common
               stocks constructed by Standard & Poor's.  It may also hold 2%-5%
               of its value in S&P 500 futures contracts.

          d)   International Index Fund - The Fund invests in over 1,000 stocks
               in major markets outside the United States and Canada. 
               Investments are made in all stocks in the MSCI EAFE Index in
               approximate proportion to the weighing in the Index.

          e)   Small Cap Index Fund - The Fund invests in all 2,0000 stocks in
               the Russell 2000 Index in proportion to their weighing in the
               Index.  The Russell Index represents the smallest two-thirds of
               the 3,000 largest U.S. companies.


3.   The preparation of financial statements in accordance with generally
     accepted accounting principles requires management to make estimates and
     assumptions that affect the reported amounts of assets and liabilities and
     disclosures of contingent assets and liabilities at the date of the
     financial statements and the reported amounts of additions and deductions
     from net assets available for benefits during the reporting period. Actual
     results could differ from those estimates.

4.   The accompanying financial statements are prepared on the accrual basis of
     accounting.

5.   The Company has received a determination from the Internal Revenue Service
     that the Plan, including all amendments through June 20, 1994, is a
     qualified profit sharing plan under Section 401 (a) of the Internal
     Revenue Code. The trust formed thereunder is exempt from Federal income
     tax under Section 501 (a). The plan administrator and plan's tax counsel
     believe that the Plan is currently designed and being operated in
     compliance with the applicable requirements of the Internal Revenue Code.
     Therefore, they believe that the Plan was qualified and the related trust
     was tax exempt as of the financial statement date.

6.   In the event the Plan is terminated, each member will automatically be
     vested in the undistributed Company contributions. Each member will
     receive payments based on the specific dollar amounts and shares of
     company stock in his account.

7.   The assets of the Plan are combined in a Master Trust Fund for investment
     purposes, with the assets of the General Dynamics Hourly Employees Savings
     and Stock Investment Plan. The value shown in the accompanying financial
     statements represents the Plan's proportionate interest in the reported
     fair value of the assets in the Master Trust Fund. Investment income and
     net realized and unrealized gains or losses are allocated to the
     respective plans based on their proportionate interest, at market value,
     in the Master Trust Fund. 

     Administrative expenses are primarily paid by the Plan although certain
     administrative functions are performed by employees of the Company.
     Although no costs were reimbursed by the Company in 1996, the Plan
     document provides that these costs may be reimbursed by the Company.

8.   In accordance with generally accepted accounting principles, amounts
     allocated to accounts of participants who have elected to withdraw from
     the Plan but have not yet been paid as of year end are not reported as
     liabilities on the Statements of Net Assets Available for Benefits.
     However, the Department of Labor requires that these amounts be reported
     as liabilities on Form 5500. At December 31, 1996 and 1995, amounts
     payable on withdrawals and distributions were $30,544,627 and $37,466,541,
     respectively. In addition, on the Statement of Changes in Net Assets
     Available for Benefits, 1996 distributions to withdrawn participants would
     have been $279,445,896 instead of $286,367,810 if the December 31 amounts
     payable on withdrawals and distributions had been included.

9.   Most investments held by the Plan are recorded at quoted market value as
     stated on public exchanges as of December 31, 1996 and 1995. The Company
     values its guaranteed investment contracts in accordance with AICPA
     Statement of Position No. 94-4, "Reporting of Investment Contracts Held by
     Health and Welfare Benefit Plans and Defined Contribution Pension Plans."
     The statement requires that investment contracts be reported at fair value
     at either the quoted market price from reliable third-party evidence or
     determined by discounting the future cash flows by an appropriate discount
     rate. Previously, the Plan accounted for these investments at contract
     value. The effects of recognizing the fair values based on the discounted
     cash flow method resulted in a net realized and unrealized loss of
     approximately $27 million during 1996 and a gain of approximately $74
     million in 1995.

                                      -16-

<PAGE>   13




                                                                     SCHEDULE I



                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN



                      COMBINED STATEMENT OF INVESTMENTS IN
                               MASTER TRUST FUNDS


                            AS OF DECEMBER 31, 1996






                                     -17-
<PAGE>   14
                                                                     SCHEDULE I
                                                                   PAGE 1 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


                               COMPANY STOCK FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                                  <C>          <C>                  <C>         

COMPANY STOCK FUND:
    Investment in common stock of
         General Dynamics Corporation                                5,923,123    $      168,743,683    $      419,069,977
                                                                                  ===================   ==================

    PROPORTIONATE INTEREST                                           5,236,392    $      146,741,199    $      370,474,739
                                                                                  ===================   ==================



LOANS RECEIVABLE (prime rate, December 31, 1996-8.25%)                  N/A       $       16,401,791    $       16,401,791
                                                                                  ===================   ==================

    PROPORTIONATE INTEREST                                              N/A       $       15,130,746    $       15,130,746
                                                                                  ===================   ==================
</TABLE>

                                     -18-

<PAGE>   15

                                                                     SCHEDULE I
                                                                   PAGE 2 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


                             GOVERNMENT BONDS FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------

<S>                                                                        <C>          <C>               <C>        
GOVERNMENT BONDS FUND:
    U.S. Treasury Notes
         U.S. Treasury Notes 5.875% due April 30, 1998                     30,000,000   $    30,103,125   $    30,046,800
         U.S. Treasury Notes 4.75% due August 31, 1998                     26,600,000        25,877,533        26,147,002
         U.S. Treasury Notes 4.75% due October 31, 1998                     3,400,000         3,337,313         3,335,196
         U.S. Treasury Notes 5.875% due October 31, 1998                   30,000,000        30,024,937        29,995,200
         U.S. Treasury Notes 5.50% due November 15, 1998                   30,000,000        29,948,438        29,798,400
         U.S. Treasury Notes 8.875% due November 15, 1998                  30,000,000        31,589,063        31,565,700
         U.S. Treasury Notes 7.50% due October 31, 1999                    12,100,000        12,565,092        12,549,999
                                                                                        ----------------  ----------------
              Total U.S. Treasury Notes                                                     163,445,501       163,438,297
                                                                                        ----------------  ----------------

    Temporary Investments
         The Northern Trust Company
              Collective Short-Term Investment Fund                           548,050           548,050           548,050
    Income Receivable                                                                         2,606,926         2,606,926
                                                                                        ----------------  ----------------
TOTAL GOVERNMENT BONDS FUND                                                             $   166,600,477   $   166,593,273
                                                                                        ================  ================

PROPORTIONATE INTEREST                                                                  $    98,896,305   $    97,703,893
                                                                                        ================  ================
</TABLE>

                                     -19-

<PAGE>   16


                                                                     SCHEDULE I
                                                                   PAGE 3 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996

<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                                <C>                  <C>               <C>   

COMMON STOCKS:
Aerospace:
    Allied Signal Incorporated                                                 20,800   $       664,108   $     1,393,600
    Boeing Company                                                             42,200         3,560,371         4,494,300
    Coltec Industries Incorporated                                              2,200            39,994            41,525
    Lockheed Martin Corporation                                                14,300         1,083,329         1,308,450
    McDonnell Douglas Corporation                                              18,300           744,471         1,200,937
    Northrop Gruman Corporation                                                 2,300           164,356           190,325
    Precision Castparts Corporation                                               100             4,934             4,963
    Raytheon Company                                                            5,200           116,862           250,250
    Sundstrand Corporation                                                      1,000            38,040            42,500
    Textron, Incorporated                                                       4,000           326,794           377,000
    United Technologies Corporation                                            30,000         1,781,555         1,987,500
                                                                                        ----------------  ----------------

                                                                   Total                      8,524,814        11,291,350
                                                                                        ----------------  ----------------

Airlines:
    AMR Corporation                                                             2,900           250,091           255,563
    KLM Royal Dutch Airlines                                                   77,615         2,373,917         2,163,517
    Northwest Airlines Corporation                                            100,800         3,388,771         3,943,800
    Southwest Airlines Corporation                                              4,600           128,522           101,200
    UAL Corporation                                                            92,800         2,689,490         5,800,000
    U.S. Air Group                                                              4,000            82,540            93,500
                                                                                        ----------------  ----------------

                                                                   Total                      8,913,331        12,357,580
                                                                                        ----------------  ----------------

Automotive:
    Arvin Industries, Incorporated                                             25,000           593,475           618,750
    Chrysler Corporation                                                      161,300         5,159,221         5,322,900
    Ford Motor Company                                                         35,900         1,022,744         1,157,774
    General Motors Corporation                                                 64,400         3,241,310         3,590,300
    General Motors Corporation, Class H                                        21,000         1,158,997         1,181,250
    Illinois Tool Works Incorporated                                            1,000            71,665            79,875
    Lear Corporation                                                            1,900            64,876            64,838
    Modine Manufacturing Company                                                1,700            46,137            45,475
    Snap-On Incorporated                                                        2,000            62,140            71,250
                                                                                        ----------------  ----------------

                                                                   Total                     11,420,565        12,132,412
                                                                                        ----------------  ----------------
</TABLE>

                                     -20-
<PAGE>   17


                                                                     SCHEDULE I
                                                                   PAGE 4 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   

Building:
    Centex Corporation                                                       25,000     $      822,671    $       940,625
    Fleetwood Enterprises, Incorporated                                      12,000            392,415            330,000
    Johnson Controls, Incorporated                                            4,100            287,600            339,787
    Louisiana-Pacific Corporation                                             5,100            118,881            107,738
    Owens Corning                                                             3,800            155,633            161,975
    USG Corporation                                                           2,300             60,326             77,913
                                                                                      -----------------   ----------------

                                                                 Total                       1,837,526          1,958,038
                                                                                      -----------------   ----------------

Chemicals:
    Air Products and Chemicals, Incorporated                                  3,500            197,960            241,937
    Albermarle Corporation                                                    3,700             65,153             67,063
    Avery Dennison Corporation                                               18,000            537,590            636,750
    Crompton & Knowles Corporation                                            2,400             37,944             46,200
    Dow Chemical Company                                                     29,400          2,412,080          2,304,225
    DuPont, (E.I) DeNemours & Company                                        39,900          2,919,457          3,755,587
    Eastman Kodak Company                                                    10,000            730,274            802,500
    Ecolab Incorporated                                                       2,100             68,368             79,013
    Georgia Gulf Corporation                                                  1,100             33,341             29,563
    Lyondell Petrochemical Company                                            2,600             62,881             57,525
    Monsanto Company                                                          2,000             83,030             77,750
    Praxair Incorporated                                                      1,000             47,135             46,125
    Rohm & Haas Company                                                      11,000            758,335            897,875
    Tyco International Limited                                               24,700          1,027,780          1,306,012
    Union Carbide Corporation                                                 4,800            206,112            196,200
    Wellman Incorporated                                                      1,400             36,496             23,975
                                                                                      -----------------   ----------------

                                                                 Total                       9,223,936         10,568,300
                                                                                      -----------------   ----------------
</TABLE>

                                     -21-
<PAGE>   18


                                                                     SCHEDULE I
                                                                   PAGE 5 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   

Consumer Goods:
    ADR Unilever NV                                                          15,500     $    2,394,161    $     2,716,375
    Anheuser-Busch Companies Incorporated                                     8,300            316,896            332,000
    Avon Products, Incorporated                                              17,100            816,160            976,838
    Black & Decker Corporation                                                6,400            225,757            192,800
    Campbell Soup Company                                                    24,100          1,880,521          1,934,024
    Coca Cola Company                                                       107,200          5,258,999          5,641,400
    Colgate-Palmolive Company                                                 3,100            251,796            285,975
    Conagra Incorporated                                                      8,000            372,080            398,000
    CPC International Incorporated                                            5,800            308,593            449,500
    Darden Restaurants Incorporated                                          20,000            172,309            175,000
    Dean Foods Company                                                       10,000            298,850            322,500
    Emerson Electric Company                                                 14,000          1,359,337          1,356,250
    General Electric Company                                                 78,100          5,752,942          7,722,137
    General Mills, Incorporated                                              17,400          1,073,317          1,107,075
    Gillette Company                                                          3,000            165,591            233,250
    Hershey Foods Corporation                                                 3,000            127,902            131,250
    International Flavors & Fragrances Incorporated                           5,200            249,093            234,000
    Kellogg Company                                                           8,900            629,932            584,063
    Maytag Corporation                                                       12,000            253,456            237,000
    McDonalds Corporation                                                     5,700            196,283            258,638
    Nabisco Holdings Corporation                                              3,000            110,465            116,625
    Pepsico, Incorporated                                                   124,200          3,210,397          3,632,850
    Philip Morris Companies Incorporated                                    139,700         10,570,257         15,786,100
    Pioneer Hi-Bred International, Incorporated                               3,000            193,155            210,000
    Procter & Gamble Company                                                 54,700          4,239,327          5,887,087
    Ralston-Ralston Purina Group                                             25,700          1,645,427          1,885,737
    Rubbermaid Incorporated                                                  10,900            256,272            246,613
    Ruby Tuesday Incorporated                                                10,000            200,593            187,500
    Sara Lee Corporation                                                      2,900             94,069            108,025
    Sensormatic Electronics Corporation                                       2,900             51,634             48,575
    TSL Holdings Incorporated                                                   330                  -                  1
    W.W. Grainger, Incorporated                                               2,600            165,835            208,650
    Whirlpool Corporation                                                     5,400            263,253            251,775
                                                                                      -----------------   ----------------

                                                                 Total                      43,104,659         53,857,613
                                                                                      -----------------   ----------------

Energy:
    ADR British Petroleum                                                     2,100            275,772            296,888
    Amerada Hess Corporation                                                  5,000            276,925            289,375
    Amoco Corporation                                                           400             29,174             32,250
</TABLE>

                                     -22-
<PAGE>   19


                                                                     SCHEDULE I
                                                                   PAGE 6 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   

    Anadarko Petroleum Corporation                                            1,700     $       77,823    $       110,075
    Ashland Incorporated                                                      1,700             59,860             74,588
    Atlantic Richfield Company                                               13,000          1,584,755          1,722,500
    Baker Hughes Incorporated                                                28,900            907,292            997,050
    Burlington Resources Incorporated                                        17,000            889,670            856,375
    Chevron Corporation                                                      36,200          2,115,962          2,353,000
    Cooper Cameron Corporation                                                  700             13,284             53,550
    Dresser Industries Incorporated                                           1,000             29,268             31,000
    Enron Corporation                                                        12,300            391,152            530,437
    Exxon Corporation                                                        63,300          5,408,083          6,203,400
    Halliburton Company                                                       5,000            306,925            301,250
    Input/Output Incorporated                                                 1,300             47,203             24,050
    Kerr-McGee Corporation                                                   10,000            652,600            720,000
    Mobil Corporation                                                        11,600          1,331,783          1,418,100
    Murphy Oil Corporation                                                    8,000            384,455            447,856
    Oryx Energy Company                                                       8,000            161,830            198,000
    Phillips Petroleum Company                                               16,500            691,470            730,125
    Pogo Producing Company                                                      900             30,767             42,525
    Ranger Oil Limited                                                        8,000             66,080             79,000
    Royal Dutch Petroleum Company                                            28,100          3,737,958          4,798,074
    Schlumberger Limited                                                     14,900          1,398,753          1,488,137
    Smith International, Incorporated                                         1,100             32,241             49,363
    Texaco, Incorporated                                                     30,900          2,613,051          3,032,062
    Tidewater, Incorporated                                                   5,000            206,985            226,250
    Tosco Corporation                                                         1,200             61,794             94,950
    Ultramar-Diamond Shamrock Corporation                                     2,000             51,356             63,250
    Union Pacific Resources Group Incorporated                                5,700            124,478            165,300
    Union Tex Pete Holdings Incorporated                                     12,000            226,620            268,500
    Western Atlas Incorporated                                                3,000            198,780            212,625
                                                                                      -----------------   ----------------

                                                                 Total                      24,384,149         27,909,905
                                                                                      -----------------   ----------------
</TABLE>

                                     -23-
<PAGE>   20


                                                                     SCHEDULE I
                                                                   PAGE 7 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                                       <C>            <C>               <C>   
Financial Services & Insurance:
    A.G. Edwards Incorporated                                                 2,200      $      52,681     $       73,975
    Advanta Corporation                                                         900             40,611             36,788
    AMBAC Incorporated                                                        7,700            395,421            511,088
    Allstate Corporation                                                     13,000            668,076            752,375
    American General Corporation                                             11,500            427,211            470,063
    American International Group, Incorporated                               35,650          3,329,013          3,859,112
    American Express Company                                                 18,000            969,930          1,017,000
    Banc One Corporation                                                     24,300            916,498          1,044,900
    Bancorporation Hawaii Incorporated                                        5,500            201,374            231,000
    Bank of Boston Corporation                                                1,000             55,727             64,250
    Bankamerica Corporation                                                  27,000          1,881,577          2,693,250
    Barnett Banks Incorporated                                               11,800            458,739            485,275
    Bear Stearns & Companies, Incorporated                                    4,400            101,884            122,650
    Beneficial Corporation                                                    2,000            113,270            126,750
    Boatmen's Bancshares, Incorporated                                        7,300            443,808            470,850
    Case Corporation                                                          5,000            222,491            272,500
    Central Fidelity Banks, Incorporated                                      2,200             50,977             56,650
    Charter One Financial Incorporated                                        1,800             62,548             75,600
    Chubb Corporation                                                        10,400            498,918            559,000
    CIGNA Corporation                                                        15,500          1,885,778          2,117,687
    Citicorp                                                                 47,300          4,115,583          4,871,900
    Comerica, Incorporated                                                   10,000            427,700            523,750
    Contifinancial Corporation                                                1,700             52,031             61,413
    Corestates Financial Corporation                                          8,300            325,596            430,563
    Countrywide Credit Industries, Incorporated                               1,000             27,510             28,625
    Credit Acceptance Corporation                                             1,500             35,425             35,250
    Crestar Financial Corporation                                             1,500             83,009            111,563
    Crown Northcorp Incorporated                                                849                  -                535
    Dean Witter Discover & Company                                           14,100            692,196            934,125
    Dime Bancorp Incorporated                                                 4,000             54,916             59,000
    Equifax Incorporated                                                     10,000            289,350            306,250
    FHLMC                                                                    24,900          1,643,219          2,748,338
    Federal National Mortgage Association                                   138,100          4,149,752          5,196,012
    Finova Group Incorporated                                                   900             44,379             57,825
    First Hawaiian Incorporated                                               1,000             35,217             35,000
    First Chicago NBD Corporation                                            11,800            482,239            634,250
    First of America Bank Corporation                                        13,000            703,005            781,625
    First Tennessee National Corporation                                      2,400             73,332             90,000
    First USA Incorporated                                                    4,600            126,382            159,275
    First Union Corporation                                                  29,700          1,775,971          2,197,800
</TABLE>

                                     -24-
<PAGE>   21


                                                                     SCHEDULE I
                                                                   PAGE 8 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                                       <C>            <C>              <C>   
    First Virginia Banks Incorporated                                         1,100      $      44,479    $        52,662
    Firstar Corporation                                                       2,800            123,774            147,000
    Fleet Financial Group Incorporated                                        9,800            401,334            488,775
    General Re Corporation                                                    7,500          1,127,970          1,183,125
    Golden West Financial Corporation                                         2,100            115,829            132,563
    Great Western Financial Corporation                                       4,900            113,268            142,100
    Greenpoint Financial Corporation                                            500             14,280             23,750
    Greentree Financial Corporation                                          17,800            573,593            687,524
    H.F. Ahmanson & Company                                                   4,000             95,276            130,000
    Hormel Foods Corporation                                                 28,000            756,134            752,500
    Household International Incorporated                                     24,600          2,050,656          2,269,350
    ITT Hartford Group Incorporated                                           7,000            318,701            472,500
    J.P. Morgan & Company, Incorporated                                      10,000            858,961            976,250
    Keycorp                                                                  51,000          2,567,539          2,575,500
    Lehman Brothers Holdings Incorporated                                    15,600            385,616            489,450
    Lincoln National Corporation                                              5,500            256,783            288,750
    Loews Corporation                                                         9,000            791,130            848,250
    MBIA Incorporated                                                         2,600            194,221            263,250
    MBNA Corporation                                                        171,200          3,975,670          7,029,900
    MGIC Investment Corporation                                               9,300            660,902            706,800
    Mark Twain Bancshares                                                     2,400            113,338            117,000
    Marsh & McLennan Company's, Incorporated                                  3,000            280,837            312,000
    Mellon Bank Corporation                                                   2,000            135,580            142,000
    Mercantile Bankshares Corporation                                         1,800             47,528             57,600
    Mercury Financial Company                                                 6,200             73,583             75,950
    Merrill Lynch & Company, Incorporated                                    70,600          4,028,466          5,753,900
    Money Store Incorporated                                                  1,900             51,705             52,487
    Morgan Stanley Group Incorporated                                        68,700          3,185,165          3,924,487
    National City Corporation                                                 6,000            247,560            269,250
    NationsBank Corporation                                                  17,500          1,227,889          1,710,624
    Norwest Corporation                                                      50,400          1,330,578          2,192,400
    Ohio Casualty Corporation                                                 2,100             71,528             74,550
    PNC Bank Corporation                                                     12,100            373,869            455,262
    PMI Group Incorporated                                                    1,900            104,667            105,213
    Paine Webber Group Incorporated                                          12,500            292,379            351,563
    Progressive Corporation                                                  15,000            858,969          1,010,625
    Providian Corporation                                                     5,700            224,490            292,837
    Regions Financial Corporation                                             2,200            101,902            113,711
    Republic New York Corporation                                             5,100            334,471            416,288
    Safeco Corporation                                                        5,900            199,050            232,678
    Salomon Incorporated                                                      3,900            167,885            183,788
    Charles Schwab Corporation                                                2,000             49,270             64,000
</TABLE>

                                     -25-
<PAGE>   22


                                                                     SCHEDULE I
                                                                   PAGE 9 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   

    Signet Banking Corporation                                                2,200     $       63,826    $        67,650
    Southtrust Corporation                                                    3,500             99,791            122,062
    St. Paul Companies, Incorporated                                          5,000            264,213            293,125
    Standard Federal Bancorporation Incorporated                              1,100             42,691             62,563
    TCF Financial Corporation                                                 1,300             42,584             56,550
    Torchmark Corporation                                                     3,300            141,031            166,650
    Transamerica Corporation                                                  4,100            287,485            323,900
    Travelers Group Incorporated                                             26,000            794,330          1,179,750
    U.S. Bancorp                                                             10,000            398,585            449,370
    US Life Corporation                                                       2,100             61,104             69,825
    Union Planters Corporation                                                  800             24,048             31,200
    Wachovia Corporation                                                     10,000            550,662            565,000
    Washington Federal Incorporated                                           1,500             32,050             39,750
    Washington Mutual Incorporated                                            2,600             76,143            112,610
    Wilmington Trust Corporation                                              1,300             43,914             51,350
                                                                                      -----------------   ----------------

                                                                 Total                      59,762,626         75,463,429
                                                                                      -----------------   ----------------

Health Care:
    ADR Astra AB                                                             19,200            377,864            940,800
    Amgen Incorporated                                                       76,300          4,219,882          4,148,812
    Bausch & Lomb, Incorporated                                               4,800            198,286            168,000
    C.R. Bard Incorporated                                                    4,800            146,871            134,400
    Centocor                                                                  5,000            155,050            178,750
    Columbia/HCA Healthcare Corporation                                     161,800          5,190,872          6,593,350
    Health Management Associates Incorporated                                 8,700            196,513            195,750
    Humana Incorporated                                                      15,100            366,167            286,900
    Johnson & Johnson                                                        71,200          3,531,276          3,542,200
    Manor Care, Incorporated                                                  5,300            104,002            143,100
    Medtronic, Incorporated                                                  22,800          1,436,664          1,550,400
    Novacare Incorporated                                                    20,000            185,111            220,000
    Tenet Healthcare Corporation                                             17,700            379,347            387,187
    Transitional Hospitals Corporation                                           21                  -                202
    United Healthcare Corporation                                            29,100          1,373,716          1,309,500
    United States Surgical Corporation                                        9,000            325,626            354,375
    Vencor Incorporated                                                      18,000            567,930            569,250
    Vivra Incorporated                                                        3,800            105,741            104,975
                                                                                      -----------------   ----------------

                                                                 Total                      18,860,918         20,827,951
                                                                                      -----------------   ----------------
</TABLE>

                                     -26-
<PAGE>   23


                                                                     SCHEDULE I
                                                                  PAGE 10 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   

Leisure Time and Communications:
    Boyd Gaming Corporation                                                   2,700     $       39,869    $        22,275
    Carnival Corporation                                                      8,700            220,352            287,100
    Circus Circus Enterprises Incorporated                                    5,300            175,098            182,187
    Extended Stay American Incorporated                                       2,300             33,925             46,288
    Harrah's Entertainment Incorporated                                       5,300            135,825            105,338
    Hilton Hotels Corporation                                                13,900            367,994            364,875
    ITT Corporation                                                           5,900            258,946            255,913
    International Game Technology                                             6,300             96,341            114,975
    Frontier Corporation                                                      2,100             57,450             47,513
    King World Productions Incorporated                                      27,000            993,127            995,624
    MFS Communications Company                                               20,900          1,043,891          1,139,050
    MGM Grand Incorporated                                                    3,000            109,597            104,625
    Marriott International                                                   18,100            994,047          1,000,024
    Mattel Incorporated                                                      10,000            282,393            277,500
    Mirage Resorts Incorporated                                               7,000            177,246            151,375
    Promus Hotel Corporation                                                  7,000            206,570            207,374
    TCI Satellite Entertainment Incorporated                                  2,300             37,028             22,713
    Telephone Communications Incorporated                                    40,525            846,859          1,157,475
    Telephone Communications Incorporated                                    80,800          1,239,459          1,055,410
    Time Warner Incorporated                                                 18,300            643,709            686,250
    Tribune Company                                                           4,000            332,090            315,500
    Walt Disney Company                                                      78,100          5,058,849          5,447,474
                                                                                      -----------------   ----------------

                                                                 Total                      13,350,665         13,986,858
                                                                                      -----------------   ----------------

Machinery:
    Caterpillar Incorporated                                                 21,900          1,506,045          1,647,974
    Cincinnati Milacron Incorporated                                          1,900             44,764             41,563
    Crane Company                                                             8,000            230,993            232,000
    Cummins Engine Company                                                    6,900            289,167            317,400
    Deere & Company                                                           6,000            251,841            243,000
    Foster Wheeler Corporation                                                2,000             81,473             74,250
    Ingersoll-Rand Company                                                   20,100            886,094            894,450
    PACCAR Incorporated                                                         600             28,998             40,800
    Parker-Hannifin Corporation                                               3,400            135,099            131,750
    Trinova Corporation                                                       1,500             50,153             54,563
                                                                                      -----------------   ----------------

                                                                 Total                       3,504,627          3,677,750
                                                                                      -----------------   ----------------
</TABLE>

                                     -27-
<PAGE>   24


                                                                      SCHEDULE I
                                                                   PAGE 11 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   
Merchandising:
    Albertson's Incorporated                                                  8,400     $      298,023    $       299,250
    American Greetings Corporation                                           14,000            394,433            397,250
    American Stores Company                                                  17,000            687,844            694,875
    Autozone Incorporated                                                     5,900            159,206            162,250
    Best Buy, Incorporated                                                    1,700             38,989             18,063
    Borders Group Incorporated                                                1,300             45,127             46,638
    Circuit City Stores, Incorporated                                         3,900            117,593            117,487
    Dayton-Hudson Corporation                                                29,000          1,123,450          1,138,250
    Dollar General Corporation                                                5,000            163,800            160,000
    Federated Department Stores Incorporated                                  8,400            278,754            286,650
    Fruit of the Loom                                                         5,100            131,235            193,163
    Gap Incorporated                                                          3,000             91,655             90,375
    General Nutrition Companies                                               3,400             57,879             57,375
    Great Atlantic & Pacific Tea Company, Incorporated                       33,000            981,795          1,051,875
    Home Depot Incorporated                                                  52,000          2,618,233          2,606,500
    Kimberly-Clark Corporation                                               20,000          1,813,212          1,905,000
    K-mart Corporation                                                       10,000            106,802            103,750
    Kohls Corporation                                                        33,500          1,338,924          1,314,874
    J.C. Penney Company, Incorporated                                         9,100            431,545            443,625
    Lands End Incorporated                                                   13,000            344,435            344,500
    Limited Incorporated                                                      9,900            201,918            181,912
    Lowes Companies Incorporated                                             16,000            619,952            570,000
    Neiman Marcus Group Incorporated                                          3,000             93,360             76,500
    Nine West Group Incorporated                                              1,500             56,633             69,563
    Nordstrom, Incorporated                                                   4,600            191,721            163,010
    Safeway Incorporated                                                      4,000            170,048            171,000
    Sears, Roebuck and Company                                              138,200          6,567,875          6,357,200
    Tiffany & Company                                                         7,000            248,570            256,375
    Toys "R" Us, Incorporated                                                26,000            764,443            776,750
    Wal-Mart Stores, Incorporated                                           197,000          5,033,955          4,481,750
    Woolworth Corporation                                                    39,000            821,827            858,000
                                                                                      -----------------   ----------------

                                                                 Total                      25,993,236         25,393,810
                                                                                      -----------------   ----------------
</TABLE>

                                     -28-
<PAGE>   25


                                                                      SCHEDULE I
                                                                   PAGE 12 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   
Metals:
    Allegheny Teledyne Incorporated                                           8,900     $      179,505    $       204,700
    Aluminum Company of American                                              9,300            541,121            592,875
    Bethlehem Steel Corporation                                               5,800             68,499             51,475
    Coeur D Alene Mines Corporation                                          23,000            365,426            347,875
    Freeport McMoran Cooper & Gold Incorporated                                 700             19,661             19,688
    Inco Limited                                                                600             19,618             19,125
    Inland Steel Industries Incorporated                                      2,600             51,181             52,000
    Nucor Corporation                                                         3,900            195,980            198,900
    Phelps Dodge Corporation                                                  3,400            221,629            229,500
    Reynolds Metals Company                                                   3,500            194,098            197,312
    USX-US Steel Group                                                        6,800            199,221            213,350
    Worthington Industries, Incorporated                                      1,200             23,049             21,750
                                                                                      -----------------   ----------------

                                                                 Total                       2,078,988          2,148,550
                                                                                      -----------------   ----------------

Miscellaneous:
    Anixter International Incorporated                                        1,900             33,002             30,638
    Bemis Company, Incorporated                                               2,000             67,520             73,750
    Caliber Systems Incorporated                                              1,100             38,428             21,175
    Commercial Intertec Corporation                                          11,000            119,623            149,875
    Consolidated Freightways Incorporated                                     1,300             25,260             28,925
    Consolidated Freightways Corporation                                        700              4,441              6,213
    Cooper Industries, Incorporated                                           9,400            399,588            395,974
    Cooper Tire & Rubber Company                                              2,400             58,007             47,400
    Cytec Industries                                                          1,500             38,558             60,938
    Eaton Corporation                                                         3,800            221,578            265,050
    ITT Industries Incorporated                                               4,300             89,425            105,350
    Jacobs Engineering Group, Incorporated                                   10,000            235,725            236,250
    Minnesota Mining and Manufacturing Company                                6,000            393,993            498,000
    Newport News Shipbuilding Incorporated                                    2,300             35,932             34,500
    Rockwell International Corporation                                        8,000            458,698            487,000
    Shaw Industries, Incorporated                                             7,000            107,188             83,125
    Tenneco Incorporated                                                     11,500            501,124            518,938
    UCAR International Incorporated                                             300             10,897             11,288
    V.F. Corporation                                                          2,700            163,457            182,250
    WMX Technology Incorporated                                              37,700          1,254,643          1,225,250
                                                                                      -----------------   ----------------

                                                                 Total                       4,257,087          4,461,889
                                                                                      -----------------   ----------------
</TABLE>

                                     -29-
<PAGE>   26


                                                                      SCHEDULE I
                                                                   PAGE 13 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   
Office Equipment:
    Amdahl Corporation                                                       20,000     $      219,002    $       242,500
    Apple Computer, Incorporated                                             10,000            249,344            208,750
    Applied Magnetics Corporation                                             4,000            111,160            120,000
    Bay Networks Incorporated                                                 4,100             89,023             86,100
    Compaq Computer Corporation                                              86,800          4,519,199          6,455,750
    Data General Corporation                                                  2,000             29,020             29,000
    Dell Computer Corporation                                                42,200          2,037,691          2,241,875
    EMC Corporation                                                           9,100            180,825            301,437
    Gateway 2000 Incorporated                                                 1,000             50,528             53,562
    Hewlett-Packard Company                                                  89,100          3,901,228          4,477,275
    Honeywell Incorporated                                                    6,000            314,169            394,500
    International Business Machines Corporation                              29,200          3,653,916          4,423,800
    Quantum Corporation                                                       2,200             40,633             62,975
    Sterling Software Incorporated                                            5,000            162,550            158,125
    Sun Microsystems Incorporated                                            44,600          1,124,559          1,145,640
    Tandem Computers, Incorporated                                           14,000            194,390            192,500
                                                                                      -----------------   ----------------

                                                                 Total                      16,877,237         20,593,789
                                                                                      -----------------   ----------------

Pharmaceuticals:
    ALZA Corporation                                                          5,300            138,159            137,138
    American Home Products Corporation                                       27,900          1,306,632          1,635,638
    Biogen Incorporated                                                       4,000            163,074            155,000
    Bristol Myers Squibb Company                                             39,000          3,735,868          4,251,000
    Forest Laboratories, Incorporated                                         2,600            112,395             85,150
    Merck & Company Incorporated                                             90,800          6,073,203          7,229,950
    Pfizer Incorporated                                                      95,600          6,461,815          7,934,800
    Schering-Plough Corporation                                              17,800          1,113,258          1,152,550
    Warner Lambert Company                                                   19,300          1,077,844          1,447,500
    Watson Pharmaceuticals Incorporated                                         400             16,119             17,975
                                                                                      -----------------   ----------------

                                                                 Total                      20,198,367         24,046,701
                                                                                      -----------------   ----------------
</TABLE>

                                     -30-
<PAGE>   27


                                                                      SCHEDULE I
                                                                   PAGE 14 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   
Printing, Publishing and Paper:
    Boise Cascade Corporation                                                 3,200     $      102,377    $       101,600
    Bowater Incorporated                                                      2,600            102,531             97,825
    Champion International Corporation                                        6,500            287,202            281,125
    James River Corporation                                                   7,000            214,981            231,875
    Longview Fibre Company                                                    7,000            131,320            128,624
    Mead Corporation                                                          3,700            197,167            215,062
    Potlatch Corporation                                                      9,000            365,715            387,000
    Temple Inland Incorporated                                                3,800            185,862            205,675
    Washington Post Company                                                   1,000            322,470            335,124
    Weyerhaeuser Company                                                      3,200            146,252            151,600
                                                                                      -----------------   ----------------

                                                                 Total                       2,055,877          2,135,510
                                                                                      -----------------   ----------------

Railroads:
    Burlington Northern Santa Fe Corporation                                 27,800          2,343,607          2,401,224
    CSX Corporation                                                          10,900            525,928            460,524
    Norfolk Southern Corporation                                             13,500          1,205,986          1,188,000
    Union Pacific Corporation                                                 6,800            259,823            408,850
                                                                                      -----------------   ----------------

                                                                 Total                       4,335,344          4,458,598
                                                                                      -----------------   ----------------
</TABLE>

                                     -31-
<PAGE>   28


                                                                      SCHEDULE I
                                                                   PAGE 15 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   
Service Industries:
    ADR Reuters Holdings PLC                                                 16,100     $    1,180,844    $     1,231,650
    Cox Communications Incorporated                                          60,200          1,161,762          1,392,124
    Federal Express Corporation                                               2,000             80,667             89,000
    First Data Corporation                                                   56,300          2,190,820          2,054,950
    Gannett Company Incorporated                                              4,000            277,138            299,500
    Health Care & Retirement Corporation                                      3,900             69,626            111,637
    Interpublic Group of Companies, Incorporated                             10,000            445,100            475,000
    John H. Harland Company                                                   2,000             61,698             66,000
    Learning Company Incorporated                                               900             20,037             12,938
    Meredith Corporation                                                     10,000            467,725            527,500
    Moore Corporation, Limited                                               10,000            176,350            205,000
    National Service Industries, Incorporated                                 9,000            355,534            336,374
    Oxford Health Plans Incorporated                                         16,100            714,197            942,847
    R.R. Donnelley & Sons Company                                             5,700            198,059            178,837
    Ryder System, Incorporated                                                2,600             73,923             73,125
    Service Corporation International                                         9,000            129,714            252,000
    Thermo Instrument Systems, Incorporated                                   2,000             62,520             66,250
                                                                                      -----------------   ----------------

                                                                 Total                       7,665,714          8,314,732
                                                                                      -----------------   ----------------
</TABLE>

                                    - 32 -
<PAGE>   29


                                                                      SCHEDULE I
                                                                   PAGE 16 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                              <C>                    <C>               <C>   
Technology:
    360 Communications Company                                                  700     $       16,404    $        16,275
    ADR Ericsson L.M. Telephone Company                                      55,330          1,180,205          1,670,246
    Applied Materials, Incorporated                                           5,500            175,372            197,654
    Ascend Communications Incorporated                                        7,900            569,875            490,787
    Autodesk Incorporated                                                     1,300             40,880             36,400
    BMC Software Incorporated                                                 2,000             81,603             82,750
    CISCO Systems Incorporated                                              138,600          6,272,571          8,818,424
    Computer Associates International, Incorporated                           6,400            333,373            318,400
    Electronic Data Systems Corporation                                      19,400            904,525            839,050
    Gartner Group Incorporated                                               10,000            345,575            389,370
    General Instrument Corporation                                            6,900            170,085            150,074
    Harris Corporation                                                        1,500             92,373            102,938
    Intel Corporation                                                       136,700         10,163,581         17,899,087
    Lucent Technologies Incorporated                                         40,600          1,922,369          1,877,750
    Microsoft Corporation                                                   102,800          4,900,365          8,493,850
    National Semiconductor Corporation                                        4,800             77,088            117,600
    Netscape Communications Corporation                                      18,700            918,643          1,063,562
    Molex Incorporated                                                        1,700             50,464             60,562
    Northern Telecom Limited                                                 10,000            556,940            618,750
    Oracle Corporation                                                       42,100          1,580,555          1,757,674
    Paging Network Incorporated                                               4,600             92,138             70,150
    Parametric Technology Corporation                                         2,000            103,895            102,750
    Perkin-Elmer Corporation                                                  4,100            217,067            241,387
    Scientific-Atlanta, Incorporated                                            300              4,480              4,500
    Stratus Computer Incorporated                                             8,000            194,080            218,000
    Symbol Technologies, Incorporated                                         2,000             85,570             88,500
    Tektronix, Incorporated                                                   4,000            165,040            205,000
    Texas Instruments Incorporated                                           13,400            803,504            854,250
    Thermo Electron Corporation                                               2,000             79,723             82,500
    Three Com Corporation                                                    21,100          1,113,318          1,548,213
    Universal Corporation                                                     8,000            218,080            257,000
    VLSI Technology, Incorporated                                             7,000            130,004            167,125
    Xerox Corporation                                                        29,700          1,499,735          1,562,992
                                                                                      -----------------   ----------------

                                                                 Total                      35,059,480         50,403,570
                                                                                      -----------------   ----------------
</TABLE>

                                    - 33 -
<PAGE>   30


                                                                      SCHEDULE I
                                                                   PAGE 17 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                                       <C>           <C>               <C>   
Utilities:
    ADR British Telecommunications                                            7,000     $      416,740    $       480,374
    Airtouch Communications Incorporated                                    281,000          7,798,453          7,095,250
    Allegheny Power System, Incorporated                                      3,200             94,992             97,200
    American Electric Power Company, Incorporated                            56,000          2,355,562          2,303,000
    American Water Works Company, Incorporated                                2,000             39,520             41,250
    Ameritech Corporation                                                    33,600          1,881,626          2,037,000
    AT&T Corporation                                                         81,000          3,057,537          3,562,733
    Baltimore Gas and Electric Company                                        3,400             92,750             90,950
    Bell Atlantic Corporation                                                10,800            665,440            699,300
    BellSouth Corporation                                                    86,000          3,434,396          3,483,000
    Carolina Power & Light Company                                            2,000             70,423             73,000
    Cascade Communications Corporation                                       22,500          1,607,313          1,240,312
    Century Telephone Enterprises, Incorporated                               1,000             33,010             30,875
    Cinergy Corporation                                                       4,100            138,668            136,837
    Columbia Gas System, Incorporated                                         2,400            113,844            152,700
    Comcast Corporation                                                      16,700            294,051            297,460
    Consolidated Edison Company of New York, Incorporated                     7,900            226,301            230,087
    Consolidated Natural Gas Company                                          1,400             79,484             77,350
    Dominion Resources Incorporated                                           5,200            190,535            200,200
    DTE Energy Company                                                        3,900            112,365            126,262
    Edison International                                                     64,000          1,097,782          1,272,000
    El Paso Natural Gas Company                                                   1                 22                 25
    GTE Corporation                                                          65,200          2,703,569          2,958,450
    Idaho Power Company                                                       4,000            120,160            124,500
    Illinova Corporation                                                     10,000            265,100            275,000
    MCI Communications Corporation                                           20,300            456,041            663,545
    New England Electric System                                               1,900             64,518             66,263
    Nipsco Industry Incorporated                                              3,000            112,960            118,874
    Northeast Utilities                                                       3,900             38,834             51,187
    Northern States Power Company                                             4,000            184,287            183,500
    Nynex Corporation                                                        11,000            506,869            529,374
    P P & L Res Incorporated                                                  1,500             35,941             34,500
    Pacific Gas & Electric                                                   12,500            299,879            262,500
    Panenergy Corporation                                                    10,500            383,469            472,500
    Pinnacle West Capital Corporation                                         2,600             72,778             82,550
    Portland General Corporation                                              2,500             84,234            105,000
    Potomac Electric Power Company                                            1,200             29,656             30,900
    Puget Sound Power and Light Company                                       3,000             70,185             72,000
    SBC Communications Incorporated                                          10,900            533,851            565,437
    Seagull Energy Corporation                                                4,000             86,980             88,000
</TABLE>



                                    - 34 -
<PAGE>   31


                                                                      SCHEDULE I
                                                                   PAGE 18 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN

                          DIVERSIFIED PORTFOLIO FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                           NUMBER OF
                                                                           SHARES OR                          QUOTED
                                                                           PRINCIPAL                          MARKET
                                                                            AMOUNT           COST              VALUE
                                                                          ------------  ----------------  ----------------
<S>                                                <C>                                  <C>               <C>   
    Southern Company                                                         18,600     $      423,256     $      420,825
    Sprint Corporation                                                       10,900            446,394            434,638
    Texas Utilities Company                                                  23,000            938,375            937,250
    Tuscon Electric Power Company                                            10,000            195,100            165,000
    U.S. West Incorporated-COM-MEDIA Group                                   22,900            409,454            420,787
    U.S. West Communications Group                                           14,400            434,418            464,400
    Unicom Corporation                                                       54,000          1,466,328          1,464,750
    Union Electric Company                                                    1,000             37,510             38,500
    Viacom                                                                   13,300            524,284            463,838
    Worldcom Incorporated                                                    57,100          1,395,042          1,488,139
                                                                                      -----------------   ----------------

                                                                 Total                      36,120,286         36,709,372
                                                                                      -----------------   ----------------

                                                   Total Common Stocks                     357,529,432        422,697,707
                                                                                      -----------------   ----------------

PREFERRED STOCK
    MLP Lakehead Pipe Line Partners L.P.                                      4,000            121,539            138,000

TEMPORARY INVESTMENTS
    The Northern Trust Company
         Collective Short-Term Investment Fund                            3,575,191          3,575,191          3,575,191

INCOME RECEIVABLE                                                                              904,060            904,060

                                                                                      -----------------   ----------------
TOTAL DIVERSIFIED PORTFOLIO FUND                                                        $  362,130,222     $  427,314,958
                                                                                      =================   ================

PROPORTIONATE INTEREST                                                                  $  301,969,598     $  352,149,275
                                                                                      =================   ================
</TABLE>


                                    - 35 -
<PAGE>   32



                                                                      SCHEDULE I
                                                                   PAGE 19 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


                               FIXED INCOME FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                       INTEREST RATE
                                                          AS OF
                                                        DECEMBER 31,    MATURITY                             CURRENT
                                                           1996           DATE            COST                VALUE
                                                       -------------  ------------- ------------------   -----------------
<S>                                                         <C>       <C>            <C>                 <C>       
GUARANTEED INVESTMENT CONTRACTS:
    Aetna Life Insurance Company                             10.00%      1/3/00      $     84,966,893    $     90,651,000
    The Prudential Insurance Company of America              10.25%      7/5/99            55,597,953          59,828,000
    The Prudential Insurance Company of America               9.92%      5/1/98            83,091,023          87,082,000
    The Prudential Insurance Company of America               9.65%     8/31/00            41,250,835          45,953,000
    The Prudential Insurance Company of America               9.80%     8/31/00            61,904,532          69,248,000
    The Travelers Insurance Company                           8.15%      2/1/98             1,793,847           2,270,000
    The Travelers Insurance Company                           9.26%      2/1/98             1,260,529           1,600,000
    Aetna Life and Casualty Company                           7.10%       Open            280,696,038         291,300,000
    Metropolitan Life Insurance Company                       7.33%       Open            272,766,951         284,900,000
    Metropolitan Life Insurance Company                       6.91%       Open            279,597,276         283,800,000
    The Prudential Insurance Company of America               6.84%       Open            276,963,064         279,600,000
                                                                                    ------------------   -----------------
              Total Guaranteed Investment Contracts                                     1,439,888,941       1,496,232,000
                                                                                    ------------------   -----------------

TEMPORARY INVESTMENTS
    The Northern Trust Company
         Collective Short-Term Investment Fund                                              4,765,949           4,765,949

INCOME RECEIVABLE                                                                              16,785              16,785
                                                                                    ------------------   -----------------

TOTAL FIXED INCOME FUND                                                              $  1,444,671,675    $  1,501,014,734
                                                                                    ==================   =================

PROPORTIONATE INTEREST                                                               $  1,208,000,753    $  1,255,348,014
                                                                                    ==================   =================
</TABLE>



                                    - 36 -
<PAGE>   33



                                                                      SCHEDULE I
                                                                   PAGE 20 OF 20

                          GENERAL DYNAMICS CORPORATION
                       SAVINGS AND STOCK INVESTMENT PLAN


                           SPECIAL DISTRIBUTION FUND
            COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                            AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                       NUMBER OF
                                                                       SHARES OR                              QUOTED
                                                                       PRINCIPAL                              MARKET
                                                                         AMOUNT           COST                VALUE
                                                                      ------------- ------------------   -----------------
<S>                                                                   <C>             <C>                 <C>        
SPECIAL DISTRIBUTION FUND:
    The Northern Trust Company
         Collective Short-Term Investment Fund                          27,930,447    $    27,930,447     $    27,930,447

INCOME RECEIVABLE                                                                             127,149             127,149
                                                                                    ------------------   -----------------

TOTAL SPECIAL DISTRIBUTION FUND                                                       $    28,057,596     $    28,057,596
                                                                                    ==================   =================

PROPORTIONATE INTEREST                                                                $    20,387,809     $    20,387,809
                                                                                    ==================   =================
</TABLE>



                                    - 37 -


<PAGE>   1
===============================================================================


                                                        ANNUAL EXHIBIT 99(e) TO
                                                     ANNUAL REPORT ON FORM 10-K
                                                OF GENERAL DYNAMICS CORPORATION
                                                            SEC FILE NO. 1-3671


                               -----------------

                       SECURITIES AND EXCHANGE COMMISION
                             WASHINGTON, D.C. 20549

                               -----------------

                                   FORM 11-K
                                 ANNUAL REPORT

                           PURSUANT TO SECTION 19(d)
                   OF THE SECURITIES AND EXCHANGE ACT OF 1934

                 FOR THE FISCAL YEAR ENDED DECEMBER 31, 1996


A.   Full title of the Plan and the address of the Plan, if different from the
     issuer named below:

                          GENERAL DYNAMICS CORPORATION
                                HOURLY EMPLOYEES
                       SAVINGS AND STOCK INVESTMENT PLAN

B.   Name of the issuer of the securities held pursuant to the Plan and the
     address of the principal executive office:

                          GENERAL DYNAMICS CORPORATION
                            3190 FAIRVIEW PARK DRIVE
                       FALLS CHURCH, VIRGINIA 23042-4523



                                    - 1 -
<PAGE>   2



                          GENERAL DYNAMICS CORPORATION

                   INDEX OF FINANCIAL STATEMENTS AND EXHIBITS



                                                                  Pages of this
                                                                  Form 11-K

(a)      FINANCIAL STATEMENTS

         Report of Independent Public Accountants                          6

         Statements of Net Assets Available for Benefits,
         December 31, 1996 and 1995                                       7-8

         Statement of Changes in Net Assets Available for Benefits,
         Fiscal Year Ended December 31, 1996                               9

         Notes to Financial Statements                                   10-13

         Schedule I - Combined Statement of Investments
         in Master Trust Funds                                           14-34

(b)      SIGNATURE                                                         3

(c)      EXHIBITS

         Consent of Independent Public Accountants                         4


                                    - 2 -
<PAGE>   3



                                   SIGNATURE

     Pursuant to the requirements of the Securities and Exchange Act of 1934,
the Plan Administrator has caused this Annual Report to be signed by the
undersigned thereunto duly authorized.



                                 GENERAL DYNAMICS CORPORATION
                                 As Plan Administrator of the General Dynamics
                                 Corporation Savings and Stock Investment Plan


                                 By  /s/  P. A. Hesse
                                     ----------------
                                         P. A. Hesse
                                         Secretary


June 17, 1997



                                    - 3 -
<PAGE>   4



                   CONSENT OF INDEPENDENT PUBLIC ACCOUNTANTS

     As independent public accountants, we hereby consent to the incorporation
of our report included in this Form 11-K, into General Dynamics Corporation's
previously filed Registration Statement on Form S-8, File No. 2-24270.



                                             By  /s/  Arthur Andersen LLP
                                                 ------------------------
                                                 Arthur Andersen LLP

Washington, D.C.
June 17, 1997





                                    - 4 -

<PAGE>   5
                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN

                              FINANCIAL STATEMENTS
                        AS OF DECEMBER 31, 1996 AND 1995
                         TOGETHER WITH AUDITORS' REPORT










                                    - 5 -



<PAGE>   6

                    REPORT OF INDEPENDENT PUBLIC ACCOUNTANTS



To General Dynamics Corporation:

We have audited the accompanying statements of net assets available for
benefits of the General Dynamics Corporation Hourly Employees Savings and Stock
Investment Plan as of December 31, 1996 and 1995, and the related statement of
changes in net assets available for benefits for the year ended December 31,
1996. These financial statements and the schedule referred to below are the
responsibility of the Plan Administrator. Our responsibility is to express an
opinion on these financial statements and schedule based on our audits.

We conducted our audits in accordance with generally accepted auditing
standards. Those standards require that we plan and perform the audit to obtain
reasonable assurance about whether the financial statements are free of
material misstatement. An audit includes examining, on a test basis, evidence
supporting the amounts and disclosures in the financial statements. An audit
also includes assessing the accounting principles used and significant
estimates made by management, as well as evaluating the overall financial
statement presentation. We believe that our audits provide a reasonable basis
for our opinion.

In our opinion, the financial statements referred to above present fairly, in
all material respects, the net assets available for benefits of the General
Dynamics Corporation Hourly Employees Savings and Stock Investment Plan as of
December 31, 1996 and 1995, and the changes in its net assets available for
benefits for the year ended December 31, 1996, in conformity with generally
accepted accounting principles.

Our audit was made for the purpose of forming an opinion on the basic financial
statements taken as a whole. The Combined Statement of Investments in Master
Trust Funds (Schedule I), is presented for the purpose of additional analysis
and is not a required part of the basic financial statement but is
supplementary information required by the Department of Labor's Rules and
Regulations for Reporting and Disclosure under the Employee Retirement Income
Security Act of 1974. The Fund Information in the statements of net assets
available for benefits and the statement of changes in net assets available for
benefits is presented for purposes of additional analysis rather than to
present the net assets available for benefits and changes in net assets
available for benefits of each fund. The supplemental schedule and Fund
Information have been subjected to the auditing procedures applied in the
audits of the basic financial statements and, in our opinion, are fairly stated
in all material respects in relation to the basic financial statements taken as
a whole.




Washington, D.C.                                 Arthur Andersen LLP
June 17, 1997






                                    - 6 -
<PAGE>   7


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                 STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS
                            AS OF DECEMBER 31, 1996



<TABLE>
<CAPTION>
                                                                                                   FUNDS
                                                                                     -----------------------------------
                                                                                        COMPANY          GOVERNMENT
                                                                        TOTAL            STOCK              BONDS
                                                                     -------------   ----------------  -----------------

<S>                                                                   <C>               <C>              <C>  
ASSETS:
     Investment in common stock of General Dynamics Corporation,
       at market value - 686,858 shares (Cost $22,002,484)
         Participant-directed                                         $ 39,427,345      $39,427,345       $         -
         Non-participant-directed                                        9,167,893        9,167,893                 -
     Investments in securities of unaffiliated issuers, at
       market value-
         U.S. Government bonds (Cost $67,704,172)                       68,889,380                -        68,889,380
         Other securities (Cost $67,830,411)                            82,835,470                -                 -
     Guaranteed investment contracts, at fair value (Cost
       $236,670,922)                                                   245,666,720                -                 -
     Loans receivable (payable)                                          1,271,045           (5,076)            1,455
     Amounts receivable (payable) from General Dynamics
       Corporation                                                        (606,271)        (133,202)          (86,638)
                                                                      ------------      -----------       -----------
                  Total Assets                                         446,651,582       48,456,960        68,804,197
                                                                      ------------      -----------       -----------

LIABILITIES:
     Fund transfers                                                          3,008           78,562           453,805
     Administrative fees payable                                           116,582            9,764            15,471
     Loans payable (receivable)                                                  -            1,040             8,415
                                                                      ------------      -----------       -----------
                  Total Liabilities                                        119,590           89,366           477,691
                                                                      ------------      -----------       -----------
     Net Assets Available for Benefits                                $446,531,992      $48,367,594       $68,326,506
                                                                      ============      ===========       ===========
</TABLE>




<TABLE>
<CAPTION>
                                                                                            FUNDS
                                                                   --------------------------------------------------------------
                                                                     DIVERSIFIED          FIXED           SPECIAL
                                                                      PORTFOLIO          INCOME        DISTRIBUTION       LOAN
                                                                   ----------------   -------------  ----------------- ----------

<S>                                                                    <C>              <C>             <C>             <C>
ASSETS:
     Investment in common stock of General Dynamics Corporation,
       at market value - 686,858 shares (Cost $22,002,484)
         Participant-directed                                          $          -     $          -    $         -     $        -
         Non-participant-directed                                                 -                -              -              -
     Investments in securities of unaffiliated issuers, at
       market value-
         U.S. Government bonds (Cost $67,704,172)                                 -                -              -              -
         Other securities (Cost $67,830,411)                             75,165,683                -      7,669,787              -
     Guaranteed investment contracts, at fair value (Cost
       $236,670,922)                                                              -      245,666,720              -              -
     Loans receivable (payable)                                               2,501            4,423              -      1,267,742
     Amounts receivable (payable) from General Dynamics
       Corporation                                                         (125,345)        (261,086)             -              -
                                                                       ------------     ------------    -----------     ----------
                  Total Assets                                           75,042,839      245,410,057      7,669,787      1,267,742
                                                                       ------------     ------------    -----------     ----------

LIABILITIES:
     Fund transfers                                                         (77,203)        (458,792)         6,636              -
     Administrative fees payable                                             46,605           43,824            918              -
     Loans payable (receivable)                                              35,709           17,040          3,096        (65,300)
                                                                       ------------     ------------    -----------     ----------
                  Total Liabilities                                           5,111         (397,928)        10,650        (65,300)
                                                                       ------------     ------------    -----------     ----------
     Net Assets Available for Benefits                                 $ 75,037,728     $245,807,985    $ 7,659,137     $1,333,042
                                                                       ============     ============    ===========     ==========
</TABLE>


   The accompanying notes are an integral part of these financial statements.

                                     - 7 -

<PAGE>   8



                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                 STATEMENT OF NET ASSETS AVAILABLE FOR BENEFITS
                            AS OF DECEMBER 31, 1995



<TABLE>
<CAPTION>
                                                                                                       FUNDS
                                                                                   -----------------------------------------------
                                                                                      COMPANY       GOVERNMENT      DIVERSIFIED
                                                                        TOTAL          STOCK           BONDS         PORTFOLIO
                                                                      -----------  -------------  ---------------- ---------------

<S>                                                                  <C>             <C>             <C>             <C>
ASSETS:
     Investment in common stock of General Dynamics Corporation,
       at market value - 797,904 shares (Cost $24,115,605)-
         Participant-directed                                        $  39,138,221   $39,138,221     $         -      $          -
         Non-participant-directed                                        8,037,891     8,037,891               -                 -
     Investments in securities of unaffiliated issuers, at
       market value-
         U.S. Government bonds (Cost $77,327,729)                       78,803,590             -      78,803,590                 -
         Other securities (Cost $65,641,519)                            76,920,790             -               -        67,704,005
     Guaranteed investment contracts, at fair value
       (Cost $244,292,825)                                             261,281,304             -               -                 -
     Loans receivable (payable)                                          1,612,018        (2,454)            832             1,508
     Amounts receivable (payable) from General Dynamics
       Corporation                                                         (35,084)        7,187         (13,302)           (3,791)
                                                                     -------------   -----------     -----------       -----------
                  Total Assets                                         465,758,730    47,180,845      78,791,120        67,701,722
                                                                     -------------   -----------     -----------       -----------

LIABILITIES:
     Fund transfers                                                              -       434,721         360,682           (38,289)
     Administrative fees payable                                            99,061         8,707          17,782            24,843
     Loans payable (receivable)                                                  -         9,602          26,735            23,794
                                                                     -------------   -----------     -----------       -----------
                  Total Liabilities                                         99,061       453,030         405,199            10,348
                                                                     -------------   -----------     -----------       -----------
     Net Assets Available for Benefits                               $ 465,659,669   $46,727,815     $78,385,921       $67,691,374
                                                                     =============   ===========     ===========       ===========
</TABLE>


<TABLE>
<CAPTION>
                                                                                         FUNDS
                                                                   ---------------------------------------------------
                                                                       FIXED              SPECIAL
                                                                       INCOME           DISTRIBUTION          LOAN
                                                                   ---------------   -------------------   -----------

<S>                                                                  <C>                  <C>               <C>
ASSETS:
     Investment in common stock of General Dynamics Corporation,
       at market value - 797,904 shares (Cost $24,115,605)-
         Participant-directed                                        $           -        $        -        $        -
         Non-participant-directed                                                -                 -                 -
     Investments in securities of unaffiliated issuers, at
       market value-
         U.S. Government bonds (Cost $77,327,729)                                -                 -                 -
         Other securities (Cost $65,641,519)                                     -         9,216,785                 -
     Guaranteed investment contracts, at fair value
       (Cost $244,292,825)                                             261,281,304                 -                 -
     Loans receivable (payable)                                              4,797                 -         1,607,335
     Amounts receivable (payable) from General Dynamics
       Corporation                                                         (25,178)                -                 -
                                                                     -------------        ----------        ----------
                  Total Assets                                         261,260,923         9,216,785         1,607,335
                                                                     -------------        ----------        ----------

LIABILITIES:
     Fund transfers                                                       (832,738)           75,624                 -
     Administrative fees payable                                            45,817             1,912                 -
     Loans payable (receivable)                                             32,237             7,832          (100,200)
                                                                     -------------        ----------        ----------
                  Total Liabilities                                       (754,684)           85,368          (100,200)
                                                                     -------------        ----------        ----------
     Net Assets Available for Benefits                               $ 262,015,607        $9,131,417        $1,707,535
                                                                     =============        ==========        ==========
</TABLE>

   The accompanying notes are an integral part of these financial statements.

                                     - 8 -

<PAGE>   9



                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


           STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
                      FOR THE YEAR ENDED DECEMBER 31, 1996



<TABLE>
<CAPTION>
                                                                                                     FUNDS
                                                                            -------------------------------------------------
                                                                                    COMPANY STOCK
                                                                            ---------------------------------
                                                                                                  NON-
                                                                             PARTICIPANT-       PARTICIPANT-      GOVERNMENT
                                                               TOTAL           DIRECTED          DIRECTED           BONDS
                                                          ---------------   --------------    ----------------  -------------

<S>                                                        <C>                <C>              <C>              <C>
INVESTMENT INCOME:
     Dividends                                             $    2,455,081     $   978,787      $   193,167      $         -
     Interest                                                  23,681,855          21,806            4,304           4,402,174
                                                           --------------     -----------      -----------      --------------
                                                               26,136,936       1,000,593          197,471           4,402,174

ADD (DEDUCT)-

NET REALIZED AND UNREALIZED GAIN (LOSS) ON ASSETS              13,751,377       6,886,898        1,359,156            (936,531)

ROLLOVER CONTRIBUTIONS                                              1,076               -                -                 359

DEPOSITS BY PARTICIPANTS                                       11,603,913       1,430,776                -           1,488,586

CONTRIBUTIONS BY GENERAL DYNAMICS CORPORATION                   5,472,494         325,787          978,234             610,554

LOAN REPAYMENTS                                                    87,276         315,606                -              97,430

LOANS ISSUED                                                            -         (38,143)               -            (103,415)

TRANSFER BETWEEN INVESTMENT FUNDS                                  (3,008)       (691,567)               -          (1,556,797)

DISTRIBUTIONS TO WITHDRAWN PARTICIPANTS                       (75,161,832)     (9,044,473)        (987,307)        (13,913,150)

PLAN EXPENSES                                                  (1,015,909)        (93,252)               -            (148,625)
                                                           --------------     -----------      -----------      --------------
     Net increase (decrease)                                  (19,127,677)         92,225        1,547,554         (10,059,415)

NET ASSETS AVAILABLE FOR BENEFITS:
     Beginning of year                                        465,659,669      39,092,868        7,634,947          78,385,921
                                                           --------------     -----------      -----------      --------------
     End of year                                           $  446,531,992     $39,185,093      $ 9,182,501      $   68,326,506
                                                           ==============     ===========      ===========      ==============
</TABLE>





<TABLE>
<CAPTION>
                                                                                    FUNDS
                                                       -----------------------------------------------------------------



                                                         DIVERSIFIED          FIXED            SPECIAL
                                                          PORTFOLIO          INCOME          DISTRIBUTION         LOAN
                                                       -----------------  ------------     ----------------     --------

<S>                                                    <C>                <C>              <C>                <C>
INVESTMENT INCOME:
     Dividends                                         $  1,283,127       $       -         $      -          $        -
     Interest                                                52,636         18,750,309          450,626                -
                                                       ------------       ------------      -----------       ----------
                                                          1,335,763         18,750,309          450,626                -

ADD (DEDUCT)-

NET REALIZED AND UNREALIZED GAIN (LOSS) ON ASSETS        14,183,487         (7,741,633)               -                -

ROLLOVER CONTRIBUTIONS                                          717                  -                -                -

DEPOSITS BY PARTICIPANTS                                  2,353,561          6,330,990                -                -

CONTRIBUTIONS BY GENERAL DYNAMICS CORPORATION               943,929          2,613,990                -                -

LOAN REPAYMENTS                                             147,424            269,309                -         (742,493)

LOANS ISSUED                                               (226,393)          (371,089)         (38,160)         777,200

TRANSFER BETWEEN INVESTMENT FUNDS                           349,505          2,008,744         (112,893)               -

DISTRIBUTIONS TO WITHDRAWN PARTICIPANTS                 (11,442,850)       (37,608,844)      (1,756,008)        (409,200)

PLAN EXPENSES                                              (298,789)          (459,398)         (15,845)               -
                                                       ------------       ------------      -----------       ----------
     Net increase (decrease)                              7,346,354        (16,207,622)      (1,472,280)        (374,493)

NET ASSETS AVAILABLE FOR BENEFITS:
     Beginning of year                                   67,691,374        262,015,607        9,131,417        1,707,535
                                                       ------------       ------------      -----------       ----------
     End of year                                       $ 75,037,728       $245,807,985      $ 7,659,137       $1,333,042
                                                       ============       ============      ===========       ==========
</TABLE>

   The accompanying notes are an integral part of these financial statements.

                                     - 9 -


<PAGE>   10



                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                         NOTES TO FINANCIAL STATEMENTS
                        AS OF DECEMBER 31, 1996 AND 1995



1. The General Dynamics Corporation Hourly Employees Savings and Stock
   Investment Plan (the "Plan") is a contributory defined contribution plan
   covering eligible hourly employees of General Dynamics Corporation (the
   "Company") that have completed one year of continuous service. The
   following is a brief description of the Plan provided for general
   information purposes. Participants should refer to the Plan agreement for
   more complete information.
   
   A member may contribute from 2% to 10% of base earnings up to $12.01 per
   hour and 2% - 6% of base earnings in excess of $12.01 per hour up to
   $16.01 per hour. Maximum contributions for represented employees are
   determined by the applicable collective bargaining agreements. In
   addition, members at some locations may contribute another 1% - 4% of base
   earnings up to $16.01 per hour on an unmatched basis.
   
   Each member shall direct his contributions to be invested in accordance
   with any one of the following options:

     1)   33-1/3% Government Bonds Fund, 33-1/3% Diversified Portfolio Fund and
          33-1/3% Company Stock Fund,

     2)   33-1/3% Government Bonds Fund and 66-2/3% Company Stock Fund,

     3)   33-1/3% Government Bonds Fund and 66-2/3% Diversified Portfolio Fund,

     4)   100% Government Bonds Fund,

     5)   33-1/3% Fixed Income Fund and 66-2/3% Diversified Portfolio Fund,

     6)   33-1/3% Fixed Income Fund and 66-2/3% Company Stock Fund,

     7)   100% Fixed Income Fund, or

     8)   100% Company Stock Fund.

Certain plan members not covered by collective bargaining agreements are
allowed to select investment Option 8, under which 100% of their contributions
to the Plan are invested in Company common stock. Participants selecting Option
8 receive a higher Company matching contribution of 100%. The nonrepresented
plan members who do not elect Option 8, receive a 50% Company matching
contribution in Company common stock. Contributions invested in the Company
Stock Fund must be held in that fund for five years before becoming eligible
for withdrawal or transfer to any other fund.

Also, with respect to participants who are eligible for selection of investment
Option 8, another series of plan provisions has been added:

     Investment fund transfer rules allow all plan members to elect one fund
     transfer per calendar year. Participants may transfer both their
     contributions and the Company's contributions invested in any fund to any
     other investment fund, except as follows:

     -    transfers may not be made from the Fixed Income Fund,

     -    funds may not be transferred into and out of the same investment fund
          during a transfer, and

     -    all investments in Company common stock must be held for five plan
          years before they may be transferred.

All Company matching contributions to the Plan after January 1, 1992 for
non-union participants and union participants who are members of unions that
have adopted the Option 8 provisions pursuant to collective bargaining
agreements are classified as non-participant-directed investments in the
financial statements. All participant contributions to the Company Stock Fund
and Company matching contributions to the Company Stock Fund for union
participants who are members of unions that have not adopted the Option 8
provisions pursuant to collective


                                    - 10 -


<PAGE>   11


bargaining agreements are reflected as participant-directed investments. With
the exception of the Company Stock Fund, all other investment funds are
completely participant-directed.

All non-union plan members and certain members covered by collective bargaining
agreements with the Company become fully vested in all investments purchased
with Company contributions upon the earlier of completion of five years of
continuous service with the Company or death, retirement, layoff (for four
consecutive weeks), permanent or total disability or involuntary entry into
military service.

Certain plan members covered by various collective bargaining agreements are
eligible to make additional matched and unmatched contributions to the Plan.
These additional contributions may not exceed the maximum percentages of base
earnings specified in the collective bargaining agreements.

The Plan provides that any special distributions payable to non-union members
with respect to Company Stock allocated to participant accounts would be
credited to the participants' Special Distribution Fund, rather than being
automatically reinvested in additional shares of Company Stock. Participants
are entitled to transfer amounts credited to their accounts in the Special
Distribution Fund to other investment funds. Special distributions include all
proceeds received from tenders or sales of Company Stock and other
distributions, except regular quarterly dividends which would continue to be
invested in Company Stock. Funds credited to these accounts in the Special
Distribution Fund would be invested in high quality securities. The Company has
negotiated similar changes in the Plan as applicable to unionized employees
with those employees' collective bargaining units.

In addition, the Plan was amended to permit non-union participants who have
shares of Company Stock allocated to their accounts to direct the trustee with
respect to tender of shares pursuant to any Company Stock repurchase program or
tender offer. Any proceeds realized from such share repurchase will be treated
as a Special Distribution. Similar changes have been negotiated with respect to
unionized employees in the Plan.

Nonunion hourly and union hourly active or employed inactive participants who
are members of unions that have adopted the loan provisions pursuant to
collective bargaining agreements are permitted to borrow up to 50% of the
vested amount in their accounts in accordance with the specific provisions of
the Plan. Participants may repay the loan by regular payroll deductions over a
period of up to five years.

2.   According to the Plan Document, the five plan funds may hold the following
     types of investments:

     a)   Government Bonds Fund - includes only direct obligations of the
          United States Government and its agencies or obligations guaranteed
          as to the payment of interest and principal by the United States
          Government and may also include other investments of a short-term
          nature as provided in the trust agreement.

     b)   Diversified Portfolio Fund - includes only common or capital stocks
          of issuers other than the Company, bonds or debentures or preferred
          stocks convertible into common or capital stocks of issuers other
          than the Company, and other similar types of equity investments, and
          may also include other investments of a short-term nature as provided
          in the trust agreement.



                                    - 11 -


<PAGE>   12
     c)   Company Stock Fund - includes only common stock of the Company.

     d)   Fixed Income Fund - includes investments in fixed income and other
          investment contracts with insurance companies designated by the
          Company and may also include other investments of a short-term nature
          as provided in the trust agreement.

     e)   Special Distribution Fund - includes obligations issued or fully
          guaranteed as to payment of principal and interest by the United
          States of America or its agencies, high quality commercial paper,
          certificates of deposit, short-term investment vehicles or any high
          quality securities selected by the Company or any investment manager
          of the fund.

     All of the above Funds may hold a small cash balance for purpose of
     liquidity and expense control.

     During June 1997, the Company extended the investment options for plan
     participants.  Two of the options offered in 1996 will remain available to
     participants: the Company Stock Fund and the Fixed Income Fund.  The new
     options include:  Bond Index Fund, Balanced Fund, S&P 500 Stock Index Fund,
     International Index Fund and Small Cap Index Fund.  These investment 
     options will offer participants the opportunity to invest in a broader 
     range of the risk/return spectrum for actively traded securities. 
     Description of the new options include:

     a)   Bond Index Fund - Includes investments in government, mortgage-backed 
          and asset-backed securities.  The Fund also invests in high quality 
          bonds.

     b)   Balanced Fund - The Fund is mixed portfolio of commingled stocks and
          bond funds.  The Fund is made up of international equities, U.S. 
          large cap equities, fixed income securities, U.S. small cap 
          equities, and a small cash balance.

     c)   S&P 500 Stock Index Fund - The Fund invests in 500 U.S. common stocks
          constructed by Standard & Poor's.  It may also hold 2%-5% of its 
          value in S&P 500 futures contracts.

     d)   International Index Fund - The Fund invests in over 1,000 stocks in
          major markets outside the United States and Canada.  Investments are 
          made in all stocks in the MSCI EAFE Index in approximate proportion 
          to the weighing in the Index.

     e)   Small Cap Index Fund - The Fund invests in all 2,000 stocks in the
          Russell 2000 Index in proportion to their weighing in the Index.  
          The Russell Index represents the smallest two-thirds of the 3,000 
          largest U.S. companies.

3.   The preparation of financial statements in accordance with generally
     accepted accounting principles requires management to make estimates and
     assumptions that affect the reported amounts of assets and liabilities and
     disclosures of contingent assets and liabilities at the date of the
     financial statements and the reported amounts of additions and deductions
     from net assets available for benefits during the reporting period. Actual
     results could differ from those estimates.

4.   The accompanying financial statements are prepared on the accrual basis of
     accounting.

5.   The Company has received a determination from the Internal Revenue Service
     that the Plan, including all amendments through June 20, 1994, is a
     qualified profit sharing plan under Section 401 (a) of the Internal
     Revenue Code. The trust formed thereunder is exempt from Federal income
     tax under Section 501 (a). The Plan Administrator and Plan's tax counsel
     believe that the Plan is currently designed and being operated in
     compliance with the applicable requirements of the Internal Revenue Code.
     Therefore, they believe that the Plan was qualified and the related trust
     was tax exempt as of the financial statement date.

6.   In the event the Plan is terminated, each member will automatically be
     vested in the undistributed Company contributions. Each member will
     receive payments based on the specific dollar amounts and shares of
     Company stock in his account.

7.   The assets of the Plan are combined in a Master Trust Fund for investment
     purposes with the assets of the General Dynamics Corporation Savings and
     Stock Investment Plan. The value shown in the accompanying financial


                                    - 12 -
<PAGE>   13


     statements represents the Plan's proportionate interest in the reported
     market value of the assets in the Master Trust Fund. Investment income and
     net realized and unrealized gains or losses are allocated to the
     respective plans based on their proportionate interest, at market value,
     in the Master Trust Fund.

     Administrative expenses are primarily paid by the Plan although certain
     administrative functions are performed by employees of the Company.
     Although no costs were reimbursed by the Company in 1996, the Plan
     document provides that these costs may be reimbursed by the Company.

8.   In accordance with generally accepted accounting principles, amounts
     allocated to accounts of participants who have elected to withdraw from
     the Plan but have not yet been paid as of year end are not reported as
     liabilities on the Statements of Net Assets Available for Benefits.
     However, the Department of Labor requires that these amounts be reported
     as liabilities on Form 5500. At December 31, 1996 and 1995, amounts
     payable on withdrawals and distributions were $8,898,407 and $14,257,541,
     respectively. In addition, on the Statement of Changes in Net Assets
     Available for Benefits, 1996 distributions to withdrawn participants would
     have been $69,802,698 instead of $75,161,832 if the December 31 amounts
     payable on withdrawals and distributions had been included.

9.   Most investments held by the Plan are recorded at quoted market value as
     stated on public exchanges as of December 31, 1996 and 1995. The Company
     values its guaranteed investment contracts in accordance with AICPA
     Statement of Position No. 94-4, "Reporting of Investment Contracts Held by
     Health and Welfare Benefit Plans and Defined Contribution Pension Plans."
     The statement requires that investment contracts be reported at fair value
     at either the quoted market price from reliable third-party evidence or
     determined by discounting the future cash flows by an appropriate discount
     rate. Previously, the Plan accounted for these investments at contract
     value. The effects of recognizing the fair values based on the discounted 
     cash flow method resulted in a net realized and unrealized loss of 
     approximately $7 million during 1996 and a gain of approximately $16 
     million in 1995.


                                     - 13 -
<PAGE>   14


                                                                     SCHEDULE I


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN



                      COMBINED STATEMENT OF INVESTMENTS IN
                               MASTER TRUST FUNDS


                            AS OF DECEMBER 31, 1996





                                    - 14 -
<PAGE>   15
                                                                      SCHEDULE I
                                                                    PAGE 1 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                               COMPANY STOCK FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                   NUMBER OF
                                                   SHARES OR                               QUOTED
                                                   PRINCIPAL                               MARKET
                                                    AMOUNT             COST                 VALUE
                                                 -------------- -------------------   ------------------
<S>                                                <C>          <C>                   <C>
COMPANY STOCK FUND:
    Investment in common stock of
         General Dynamics Corporation              5,923,123      $ 168,743,683         $ 419,069,977
                                                                ===================   ==================

    PROPORTIONATE INTEREST                          686,858       $  22,002,484         $  48,595,238
                                                                ===================   ==================



LOANS RECEIVABLE (prime rate, December 31,
   1996 - 8.25%):                                     N/A         $  16,401,791         $  16,401,791
                                                                ===================   ==================

    PROPORTIONATE INTEREST                            N/A         $   1,271,045         $   1,271,045
                                                                ===================   ==================
</TABLE>




                                    - 15 -
<PAGE>   16
                                                                      SCHEDULE I
                                                                    PAGE 2 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                              GOVERNMENT BONDS FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                                   <C>         <C>                   <C>
GOVERNMENT BONDS FUND:
    U.S. Treasury Notes
         U.S. Treasury Notes 5.875% due April 30, 1998                30,000,000    $     30,103,125      $    30,046,800
         U.S. Treasury Notes 4.75% due August 31, 1998                26,600,000          25,877,533           26,147,002
         U.S. Treasury Notes 4.75% due October 31, 1998                3,400,000           3,337,313            3,335,196
         U.S. Treasury Notes 5.875% due October 31, 1998              30,000,000          30,024,937           29,995,200
         U.S. Treasury Notes 5.50% due November 15, 1998              30,000,000          29,948,438           29,798,400
         U.S. Treasury Notes 8.875% due November 15, 1998             30,000,000          31,589,063           31,565,700
         U.S. Treasury Notes 7.50% due October 31, 1999               12,100,000          12,565,092           12,549,999
                                                                                  -------------------   ------------------
              Total U.S. Treasury Notes                                                  163,445,501          163,438,297
                                                                                  -------------------   ------------------

    Temporary Investments
         The Northern Trust Company
              Collective Short-Term Investment Fund                      548,050             548,050              548,050
    Income Receivable                                                                      2,606,926            2,606,926
                                                                                  -------------------   ------------------
TOTAL GOVERNMENT BONDS FUND                                                         $    166,600,477      $   166,593,273
                                                                                  ===================   ==================

PROPORTIONATE INTEREST                                                              $     67,704,172      $    68,889,380
                                                                                  ===================   ==================
</TABLE>




                                    - 16 -
<PAGE>   17
                                                                      SCHEDULE I
                                                                    PAGE 3 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
COMMON STOCKS:
Aerospace:
    Allied Signal Incorporated                                            20,800   $         664,108     $      1,393,600
    Boeing Company                                                        42,200           3,560,371            4,494,300
    Coltec Industries Incorporated                                         2,200              39,994               41,525
    Lockheed Martin Corporation                                           14,300           1,083,329            1,308,450
    McDonnell Douglas Corporation                                         18,300             744,471            1,200,937
    Northrop Gruman Corporation                                            2,300             164,356              190,325
    Precision Castparts Corporation                                          100               4,934                4,963
    Raytheon Company                                                       5,200             116,862              250,250
    Sundstrand Corporation                                                 1,000              38,040               42,500
    Textron, Incorporated                                                  4,000             326,794              377,000
    United Technologies Corporation                                       30,000           1,781,555            1,987,500
                                                                                  -------------------   ------------------

                                                            Total                          8,524,814           11,291,350
                                                                                  -------------------   ------------------

Airlines:
    AMR Corporation                                                        2,900             250,091              255,563
    KLM Royal Dutch Airlines                                              77,615           2,373,917            2,163,517
    Northwest Airlines Corporation                                       100,800           3,388,771            3,943,800
    Southwest Airlines Corporation                                         4,600             128,522              101,200
    UAL Corporation                                                       92,800           2,689,490            5,800,000
    U.S. Air Group                                                         4,000              82,540               93,500
                                                                                  -------------------   ------------------

                                                            Total                          8,913,331           12,357,580
                                                                                  -------------------   ------------------

Automotive:
    Arvin Industries, Incorporated                                        25,000             593,475              618,750
    Chrysler Corporation                                                 161,300           5,159,221            5,322,900
    Ford Motor Company                                                    35,900           1,022,744            1,157,774
    General Motors Corporation                                            64,400           3,241,310            3,590,300
    General Motors Corporation, Class H                                   21,000           1,158,997            1,181,250
    Illinois Tool Works Incorporated                                       1,000              71,665               79,875
    Lear Corporation                                                       1,900              64,876               64,838
    Modine Manufacturing Company                                           1,700              46,137               45,475
    Snap-On Incorporated                                                   2,000              62,140               71,250
                                                                                  -------------------   ------------------

                                                            Total                         11,420,565           12,132,412
                                                                                  -------------------   ------------------
</TABLE>




                                    - 17 -
<PAGE>   18
                                                                      SCHEDULE I
                                                                    PAGE 4 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Building:
    Centex Corporation                                                    25,000   $         822,671     $        940,625
    Fleetwood Enterprises, Incorporated                                   12,000             392,415              330,000
    Johnson Controls, Incorporated                                         4,100             287,600              339,787
    Louisiana-Pacific Corporation                                          5,100             118,881              107,738
    Owens Corning                                                          3,800             155,633              161,975
    USG Corporation                                                        2,300              60,326               77,913
                                                                                  -------------------   ------------------

                                                            Total                          1,837,526            1,958,038
                                                                                  -------------------   ------------------

Chemicals:
    Air Products and Chemicals, Incorporated                               3,500             197,960              241,937
    Albermarle Corporation                                                 3,700              65,153               67,063
    Avery Dennison Corporation                                            18,000             537,590              636,750
    Crompton & Knowles Corporation                                         2,400              37,944               46,200
    Dow Chemical Company                                                  29,400           2,412,080            2,304,225
    DuPont, (E.I) DeNemours & Company                                     39,900           2,919,457            3,755,587
    Eastman Kodak Company                                                 10,000             730,274              802,500
    Ecolab Incorporated                                                    2,100              68,368               79,013
    Georgia Gulf Corporation                                               1,100              33,341               29,563
    Lyondell Petrochemical Company                                         2,600              62,881               57,525
    Monsanto Company                                                       2,000              83,030               77,750
    Praxair Incorporated                                                   1,000              47,135               46,125
    Rohm & Haas Company                                                   11,000             758,335              897,875
    Tyco International Limited                                            24,700           1,027,780            1,306,012
    Union Carbide Corporation                                              4,800             206,112              196,200
    Wellman Incorporated                                                   1,400              36,496               23,975
                                                                                  -------------------   ------------------

                                                            Total                          9,223,936           10,568,300
                                                                                  -------------------   ------------------
</TABLE>


                                    - 18 -
<PAGE>   19
                                                                      SCHEDULE I
                                                                    PAGE 5 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>

Consumer Goods:
    ADR Unilever NV                                                       15,500  $        2,394,161    $       2,716,375
    Anheuser-Busch Companies Incorporated                                  8,300             316,896              332,000
    Avon Products, Incorporated                                           17,100             816,160              976,838
    Black & Decker Corporation                                             6,400             225,757              192,800
    Campbell Soup Company                                                 24,100           1,880,521            1,934,024
    Coca Cola Company                                                    107,200           5,258,999            5,641,400
    Colgate-Palmolive Company                                              3,100             251,796              285,975
    Conagra Incorporated                                                   8,000             372,080              398,000
    CPC International Incorporated                                         5,800             308,593              449,500
    Darden Restaurants Incorporated                                       20,000             172,309              175,000
    Dean Foods Company                                                    10,000             298,850              322,500
    Emerson Electric Company                                              14,000           1,359,337            1,356,250
    General Electric Company                                              78,100           5,752,942            7,722,137
    General Mills, Incorporated                                           17,400           1,073,317            1,107,075
    Gillette Company                                                       3,000             165,591              233,250
    Hershey Foods Corporation                                              3,000             127,902              131,250
    International Flavors & Fragrances Incorporated                        5,200             249,093              234,000
    Kellogg Company                                                        8,900             629,932              584,063
    Maytag Corporation                                                    12,000             253,456              237,000
    McDonalds Corporation                                                  5,700             196,283              258,638
    Nabisco Holdings Corporation                                           3,000             110,465              116,625
    Pepsico, Incorporated                                                124,200           3,210,397            3,632,850
    Philip Morris Companies Incorporated                                 139,700          10,570,257           15,786,100
    Pioneer Hi-Bred International, Incorporated                            3,000             193,155              210,000
    Procter & Gamble Company                                              54,700           4,239,327            5,887,087
    Ralston-Ralston Purina Group                                          25,700           1,645,427            1,885,737
    Rubbermaid Incorporated                                               10,900             256,272              246,613
    Ruby Tuesday Incorporated                                             10,000             200,593              187,500
    Sara Lee Corporation                                                   2,900              94,069              108,025
    Sensormatic Electronics Corporation                                    2,900              51,634               48,575
    TSL Holdings Incorporated                                                330                   -                    1
    W.W. Grainger, Incorporated                                            2,600             165,835              208,650
    Whirlpool Corporation                                                  5,400             263,253              251,775
                                                                                  -------------------   ------------------

                                                            Total                         43,104,659           53,857,613
                                                                                  -------------------   ------------------

Energy:
    ADR British Petroleum                                                  2,100             275,772              296,888
    Amerada Hess Corporation                                               5,000             276,925              289,375
    Amoco Corporation                                                        400              29,174               32,250
</TABLE>




                                    - 19 -
<PAGE>   20
                                                                      SCHEDULE I
                                                                    PAGE 6 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
    Anadarko Petroleum Corporation                                         1,700  $           77,823    $         110,075
    Ashland Incorporated                                                   1,700              59,860               74,588
    Atlantic Richfield Company                                            13,000           1,584,755            1,722,500
    Baker Hughes Incorporated                                             28,900             907,292              997,050
    Burlington Resources Incorporated                                     17,000             889,670              856,375
    Chevron Corporation                                                   36,200           2,115,962            2,353,000
    Cooper Cameron Corporation                                               700              13,284               53,550
    Dresser Industries Incorporated                                        1,000              29,268               31,000
    Enron Corporation                                                     12,300             391,152              530,437
    Exxon Corporation                                                     63,300           5,408,083            6,203,400
    Halliburton Company                                                    5,000             306,925              301,250
    Input/Output Incorporated                                              1,300              47,203               24,050
    Kerr-McGee Corporation                                                10,000             652,600              720,000
    Mobil Corporation                                                     11,600           1,331,783            1,418,100
    Murphy Oil Corporation                                                 8,000             384,455              447,856
    Oryx Energy Company                                                    8,000             161,830              198,000
    Phillips Petroleum Company                                            16,500             691,470              730,125
    Pogo Producing Company                                                   900              30,767               42,525
    Ranger Oil Limited                                                     8,000              66,080               79,000
    Royal Dutch Petroleum Company                                         28,100           3,737,958            4,798,074
    Schlumberger Limited                                                  14,900           1,398,753            1,488,137
    Smith International, Incorporated                                      1,100              32,241               49,363
    Texaco, Incorporated                                                  30,900           2,613,051            3,032,062
    Tidewater, Incorporated                                                5,000             206,985              226,250
    Tosco Corporation                                                      1,200              61,794               94,950
    Ultramar-Diamond Shamrock Corporation                                  2,000              51,356               63,250
    Union Pacific Resources Group Incorporated                             5,700             124,478              165,300
    Union Tex Pete Holdings Incorporated                                  12,000             226,620              268,500
    Western Atlas Incorporated                                             3,000             198,780              212,625
                                                                                  -------------------   ------------------

                                                            Total                         24,384,149           27,909,905
                                                                                  -------------------   ------------------
</TABLE>




                                    - 20 -
<PAGE>   21
                                                                      SCHEDULE I
                                                                    PAGE 7 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                                      <C>      <C>                   <C>
Financial Services & Insurance:
    A.G. Edwards Incorporated                                              2,200  $           52,681    $          73,975
    Advanta Corporation                                                      900              40,611               36,788
    AMBAC Incorporated                                                     7,700             395,421              511,088
    Allstate Corporation                                                  13,000             668,076              752,375
    American General Corporation                                          11,500             427,211              470,063
    American International Group, Incorporated                            35,650           3,329,013            3,859,112
    American Express Company                                              18,000             969,930            1,017,000
    Banc One Corporation                                                  24,300             916,498            1,044,900
    Bancorporation Hawaii Incorporated                                     5,500             201,374              231,000
    Bank of Boston Corporation                                             1,000              55,727               64,250
    Bankamerica Corporation                                               27,000           1,881,577            2,693,250
    Barnett Banks Incorporated                                            11,800             458,739              485,275
    Bear Stearns & Companies, Incorporated                                 4,400             101,884              122,650
    Beneficial Corporation                                                 2,000             113,270              126,750
    Boatmen's Bancshares, Incorporated                                     7,300             443,808              470,850
    Case Corporation                                                       5,000             222,491              272,500
    Central Fidelity Banks, Incorporated                                   2,200              50,977               56,650
    Charter One Financial Incorporated                                     1,800              62,548               75,600
    Chubb Corporation                                                     10,400             498,918              559,000
    CIGNA Corporation                                                     15,500           1,885,778            2,117,687
    Citicorp                                                              47,300           4,115,583            4,871,900
    Comerica, Incorporated                                                10,000             427,700              523,750
    Contifinancial Corporation                                             1,700              52,031               61,413
    Corestates Financial Corporation                                       8,300             325,596              430,563
    Countrywide Credit Industries, Incorporated                            1,000              27,510               28,625
    Credit Acceptance Corporation                                          1,500              35,425               35,250
    Crestar Financial Corporation                                          1,500              83,009              111,563
    Crown Northcorp Incorporated                                             849                   -                  535
    Dean Witter Discover & Company                                        14,100             692,196              934,125
    Dime Bancorp Incorporated                                              4,000              54,916               59,000
    Equifax Incorporated                                                  10,000             289,350              306,250
    FHLMC                                                                 24,900           1,643,219            2,748,338
    Federal National Mortgage Association                                138,100           4,149,752            5,196,012
    Finova Group Incorporated                                                900              44,379               57,825
    First Hawaiian Incorporated                                            1,000              35,217               35,000
    First Chicago NBD Corporation                                         11,800             482,239              634,250
    First of America Bank Corporation                                     13,000             703,005              781,625
    First Tennessee National Corporation                                   2,400              73,332               90,000
    First USA Incorporated                                                 4,600             126,382              159,275
    First Union Corporation                                               29,700           1,775,971            2,197,800
</TABLE>




                                    - 21 -
<PAGE>   22
                                                                      SCHEDULE I
                                                                    PAGE 8 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                                      <C>      <C>                   <C>
    First Virginia Banks Incorporated                                      1,100  $           44,479    $          52,662
    Firstar Corporation                                                    2,800             123,774              147,000
    Fleet Financial Group Incorporated                                     9,800             401,334              488,775
    General Re Corporation                                                 7,500           1,127,970            1,183,125
    Golden West Financial Corporation                                      2,100             115,829              132,563
    Great Western Financial Corporation                                    4,900             113,268              142,100
    Greenpoint Financial Corporation                                         500              14,280               23,750
    Greentree Financial Corporation                                       17,800             573,593              687,524
    H.F. Ahmanson & Company                                                4,000              95,276              130,000
    Hormel Foods Corporation                                              28,000             756,134              752,500
    Household International Incorporated                                  24,600           2,050,656            2,269,350
    ITT Hartford Group Incorporated                                        7,000             318,701              472,500
    J.P. Morgan & Company, Incorporated                                   10,000             858,961              976,250
    Keycorp                                                               51,000           2,567,539            2,575,500
    Lehman Brothers Holdings Incorporated                                 15,600             385,616              489,450
    Lincoln National Corporation                                           5,500             256,783              288,750
    Loews Corporation                                                      9,000             791,130              848,250
    MBIA Incorporated                                                      2,600             194,221              263,250
    MBNA Corporation                                                     171,200           3,975,670            7,029,900
    MGIC Investment Corporation                                            9,300             660,902              706,800
    Mark Twain Bancshares                                                  2,400             113,338              117,000
    Marsh & McLennan Company's, Incorporated                               3,000             280,837              312,000
    Mellon Bank Corporation                                                2,000             135,580              142,000
    Mercantile Bankshares Corporation                                      1,800              47,528               57,600
    Mercury Financial Company                                              6,200              73,583               75,950
    Merrill Lynch & Company, Incorporated                                 70,600           4,028,466            5,753,900
    Money Store Incorporated                                               1,900              51,705               52,487
    Morgan Stanley Group Incorporated                                     68,700           3,185,165            3,924,487
    National City Corporation                                              6,000             247,560              269,250
    NationsBank Corporation                                               17,500           1,227,889            1,710,624
    Norwest Corporation                                                   50,400           1,330,578            2,192,400
    Ohio Casualty Corporation                                              2,100              71,528               74,550
    PNC Bank Corporation                                                  12,100             373,869              455,262
    PMI Group Incorporated                                                 1,900             104,667              105,213
    Paine Webber Group Incorporated                                       \12,500             292,379              351,563
    Progressive Corporation                                               15,000             858,969            1,010,625
    Providian Corporation                                                  5,700             224,490              292,837
    Regions Financial Corporation                                          2,200             101,902              113,711
    Republic New York Corporation                                          5,100             334,471              416,288
    Safeco Corporation                                                     5,900             199,050              232,678
    Salomon Incorporated                                                   3,900             167,885              183,788
    Charles Schwab Corporation                                             2,000              49,270               64,000
</TABLE>




                                    - 22 -
<PAGE>   23
                                                                      SCHEDULE I
                                                                    PAGE 9 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
    Signet Banking Corporation                                             2,200  $           63,826    $          67,650
    Southtrust Corporation                                                 3,500              99,791              122,062
    St. Paul Companies, Incorporated                                       5,000             264,213              293,125
    Standard Federal Bancorporation Incorporated                           1,100              42,691               62,563
    TCF Financial Corporation                                              1,300              42,584               56,550
    Torchmark Corporation                                                  3,300             141,031              166,650
    Transamerica Corporation                                               4,100             287,485              323,900
    Travelers Group Incorporated                                          26,000             794,330            1,179,750
    U.S. Bancorp                                                          10,000             398,585              449,370
    US Life Corporation                                                    2,100              61,104               69,825
    Union Planters Corporation                                               800              24,048               31,200
    Wachovia Corporation                                                  10,000             550,662              565,000
    Washington Federal Incorporated                                        1,500              32,050               39,750
    Washington Mutual Incorporated                                         2,600              76,143              112,610
    Wilmington Trust Corporation                                           1,300              43,914               51,350
                                                                                  -------------------   ------------------

                                                            Total                         59,762,626           75,463,429
                                                                                  -------------------   ------------------

Health Care:
    ADR Astra AB                                                          19,200             377,864              940,800
    Amgen Incorporated                                                    76,300           4,219,882            4,148,812
    Bausch & Lomb, Incorporated                                            4,800             198,286              168,000
    C.R. Bard Incorporated                                                 4,800             146,871              134,400
    Centocor                                                               5,000             155,050              178,750
    Columbia/HCA Healthcare Corporation                                  161,800           5,190,872            6,593,350
    Health Management Associates Incorporated                              8,700             196,513              195,750
    Humana Incorporated                                                   15,100             366,167              286,900
    Johnson & Johnson                                                     71,200           3,531,276            3,542,200
    Manor Care, Incorporated                                               5,300             104,002              143,100
    Medtronic, Incorporated                                               22,800           1,436,664            1,550,400
    Novacare Incorporated                                                 20,000             185,111              220,000
    Tenet Healthcare Corporation                                          17,700             379,347              387,187
    Transitional Hospitals Corporation                                        21                   -                  202
    United Healthcare Corporation                                         29,100           1,373,716            1,309,500
    United States Surgical Corporation                                     9,000             325,626              354,375
    Vencor Incorporated                                                   18,000             567,930              569,250
    Vivra Incorporated                                                     3,800             105,741              104,975
                                                                                  -------------------   ------------------

                                                            Total                         18,860,918           20,827,951
                                                                                  -------------------   ------------------
</TABLE>




                                    - 23 -


<PAGE>   24
                                                                      SCHEDULE I
                                                                   PAGE 10 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Leisure Time and Communications:
    Boyd Gaming Corporation                                                2,700  $           39,869    $          22,275
    Carnival Corporation                                                   8,700             220,352              287,100
    Circus Circus Enterprises Incorporated                                 5,300             175,098              182,187
    Extended Stay American Incorporated                                    2,300              33,925               46,288
    Harrah's Entertainment Incorporated                                    5,300             135,825              105,338
    Hilton Hotels Corporation                                             13,900             367,994              364,875
    ITT Corporation                                                        5,900             258,946              255,913
    International Game Technology                                          6,300              96,341              114,975
    Frontier Corporation                                                   2,100              57,450               47,513
    King World Productions Incorporated                                   27,000             993,127              995,624
    MFS Communications Company                                            20,900           1,043,891            1,139,050
    MGM Grand Incorporated                                                 3,000             109,597              104,625
    Marriott International                                                18,100             994,047            1,000,024
    Mattel Incorporated                                                   10,000             282,393              277,500
    Mirage Resorts Incorporated                                            7,000             177,246              151,375
    Promus Hotel Corporation                                               7,000             206,570              207,374
    TCI Satellite Entertainment Incorporated                               2,300              37,028               22,713
    Telephone Communications Incorporated                                 40,525             846,859            1,157,475
    Telephone Communications Incorporated                                 80,800           1,239,459            1,055,410
    Time Warner Incorporated                                              18,300             643,709              686,250
    Tribune Company                                                        4,000             332,090              315,500
    Walt Disney Company                                                   78,100           5,058,849            5,447,474
                                                                                  -------------------   ------------------

                                                            Total                         13,350,665           13,986,858
                                                                                  -------------------   ------------------

Machinery:
    Caterpillar Incorporated                                              21,900           1,506,045            1,647,974
    Cincinnati Milacron Incorporated                                       1,900              44,764               41,563
    Crane Company                                                          8,000             230,993              232,000
    Cummins Engine Company                                                 6,900             289,167              317,400
    Deere & Company                                                        6,000             251,841              243,000
    Foster Wheeler Corporation                                             2,000              81,473               74,250
    Ingersoll-Rand Company                                                20,100             886,094              894,450
    PACCAR Incorporated                                                      600              28,998               40,800
    Parker-Hannifin Corporation                                            3,400             135,099              131,750
    Trinova Corporation                                                    1,500              50,153               54,563
                                                                                  -------------------   ------------------

                                                            Total                          3,504,627            3,677,750
                                                                                  -------------------   ------------------
</TABLE>




                                    - 24 -

<PAGE>   25
                                                                      SCHEDULE I
                                                                   PAGE 11 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Merchandising:
    Albertson's Incorporated                                               8,400  $          298,023    $         299,250
    American Greetings Corporation                                        14,000             394,433              397,250
    American Stores Company                                               17,000             687,844              694,875
    Autozone Incorporated                                                  5,900             159,206              162,250
    Best Buy, Incorporated                                                 1,700              38,989               18,063
    Borders Group Incorporated                                             1,300              45,127               46,638
    Circuit City Stores, Incorporated                                      3,900             117,593              117,487
    Dayton-Hudson Corporation                                             29,000           1,123,450            1,138,250
    Dollar General Corporation                                             5,000             163,800              160,000
    Federated Department Stores Incorporated                               8,400             278,754              286,650
    Fruit of the Loom                                                      5,100             131,235              193,163
    Gap Incorporated                                                       3,000              91,655               90,375
    General Nutrition Companies                                            3,400              57,879               57,375
    Great Atlantic & Pacific Tea Company, Incorporated                    33,000             981,795            1,051,875
    Home Depot Incorporated                                               52,000           2,618,233            2,606,500
    Kimberly-Clark Corporation                                            20,000           1,813,212            1,905,000
    K-mart Corporation                                                    10,000             106,802              103,750
    Kohls Corporation                                                     33,500           1,338,924            1,314,874
    J.C. Penney Company, Incorporated                                      9,100             431,545              443,625
    Lands End Incorporated                                                13,000             344,435              344,500
    Limited Incorporated                                                   9,900             201,918              181,912
    Lowes Companies Incorporated                                          16,000             619,952              570,000
    Neiman Marcus Group Incorporated                                       3,000              93,360               76,500
    Nine West Group Incorporated                                           1,500              56,633               69,563
    Nordstrom, Incorporated                                                4,600             191,721              163,010
    Safeway Incorporated                                                   4,000             170,048              171,000
    Sears, Roebuck and Company                                           138,200           6,567,875            6,357,200
    Tiffany & Company                                                      7,000             248,570              256,375
    Toys "R" Us, Incorporated                                             26,000             764,443              776,750
    Wal-Mart Stores, Incorporated                                        197,000           5,033,955            4,481,750
    Woolworth Corporation                                                 39,000             821,827              858,000
                                                                                  -------------------   ------------------

                                                            Total                         25,993,236           25,393,810
                                                                                  -------------------   ------------------
</TABLE>




                                    - 25 -

<PAGE>   26
                                                                      SCHEDULE I
                                                                   PAGE 12 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Metals:
    Allegheny Teledyne Incorporated                                        8,900  $          179,505    $         204,700
    Aluminum Company of American                                           9,300             541,121              592,875
    Bethlehem Steel Corporation                                            5,800              68,499               51,475
    Coeur D Alene Mines Corporation                                       23,000             365,426              347,875
    Freeport McMoran Cooper & Gold Incorporated                              700              19,661               19,688
    Inco Limited                                                             600              19,618               19,125
    Inland Steel Industries Incorporated                                   2,600              51,181               52,000
    Nucor Corporation                                                      3,900             195,980              198,900
    Phelps Dodge Corporation                                               3,400             221,629              229,500
    Reynolds Metals Company                                                3,500             194,098              197,312
    USX-US Steel Group                                                     6,800             199,221              213,350
    Worthington Industries, Incorporated                                   1,200              23,049               21,750
                                                                                  -------------------   ------------------

                                                            Total                          2,078,988            2,148,550
                                                                                  -------------------   ------------------

Miscellaneous:
    Anixter International Incorporated                                     1,900              33,002               30,638
    Bemis Company, Incorporated                                            2,000              67,520               73,750
    Caliber Systems Incorporated                                           1,100              38,428               21,175
    Commercial Intertec Corporation                                       11,000             119,623              149,875
    Consolidated Freightways Incorporated                                  1,300              25,260               28,925
    Consolidated Freightways Corporation                                     700               4,441                6,213
    Cooper Industries, Incorporated                                        9,400             399,588              395,974
    Cooper Tire & Rubber Company                                           2,400              58,007               47,400
    Cytec Industries                                                       1,500              38,558               60,938
    Eaton Corporation                                                      3,800             221,578              265,050
    ITT Industries Incorporated                                            4,300              89,425              105,350
    Jacobs Engineering Group, Incorporated                                10,000             235,725              236,250
    Minnesota Mining and Manufacturing Company                             6,000             393,993              498,000
    Newport News Shipbuilding Incorporated                                 2,300              35,932               34,500
    Rockwell International Corporation                                     8,000             458,698              487,000
    Shaw Industries, Incorporated                                          7,000             107,188               83,125
    Tenneco Incorporated                                                  11,500             501,124              518,938
    UCAR International Incorporated                                          300              10,897               11,288
    V.F. Corporation                                                       2,700             163,457              182,250
    WMX Technology Incorporated                                           37,700           1,254,643            1,225,250
                                                                                  -------------------   ------------------

                                                            Total                          4,257,087            4,461,889
                                                                                  -------------------   ------------------
</TABLE>




                                    - 26 -
<PAGE>   27
                                                                      SCHEDULE I
                                                                   PAGE 13 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Office Equipment:
    Amdahl Corporation                                                    20,000  $          219,002    $         242,500
    Apple Computer, Incorporated                                          10,000             249,344              208,750
    Applied Magnetics Corporation                                          4,000             111,160              120,000
    Bay Networks Incorporated                                              4,100              89,023               86,100
    Compaq Computer Corporation                                           86,800           4,519,199            6,455,750
    Data General Corporation                                               2,000              29,020               29,000
    Dell Computer Corporation                                             42,200           2,037,691            2,241,875
    EMC Corporation                                                        9,100             180,825              301,437
    Gateway 2000 Incorporated                                              1,000              50,528               53,562
    Hewlett-Packard Company                                               89,100           3,901,228            4,477,275
    Honeywell Incorporated                                                 6,000             314,169              394,500
    International Business Machines Corporation                           29,200           3,653,916            4,423,800
    Quantum Corporation                                                    2,200              40,633               62,975
    Sterling Software Incorporated                                         5,000             162,550              158,125
    Sun Microsystems Incorporated                                         44,600           1,124,559            1,145,640
    Tandem Computers, Incorporated                                        14,000             194,390              192,500
                                                                                  -------------------   ------------------

                                                            Total                         16,877,237           20,593,789
                                                                                  -------------------   ------------------

Pharmaceuticals:
    ALZA Corporation                                                       5,300             138,159              137,138
    American Home Products Corporation                                    27,900           1,306,632            1,635,638
    Biogen Incorporated                                                    4,000             163,074              155,000
    Bristol Myers Squibb Company                                          39,000           3,735,868            4,251,000
    Forest Laboratories, Incorporated                                      2,600             112,395               85,150
    Merck & Company Incorporated                                          90,800           6,073,203            7,229,950
    Pfizer Incorporated                                                   95,600           6,461,815            7,934,800
    Schering-Plough Corporation                                           17,800           1,113,258            1,152,550
    Warner Lambert Company                                                19,300           1,077,844            1,447,500
    Watson Pharmaceuticals Incorporated                                      400              16,119               17,975
                                                                                  -------------------   ------------------

                                                            Total                         20,198,367           24,046,701
                                                                                  -------------------   ------------------
</TABLE>




                                    - 27 -

<PAGE>   28
                                                                      SCHEDULE I
                                                                   PAGE 14 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Printing, Publishing and Paper:
    Boise Cascade Corporation                                              3,200  $          102,377    $         101,600
    Bowater Incorporated                                                   2,600             102,531               97,825
    Champion International Corporation                                     6,500             287,202              281,125
    James River Corporation                                                7,000             214,981              231,875
    Longview Fibre Company                                                 7,000             131,320              128,624
    Mead Corporation                                                       3,700             197,167              215,062
    Potlatch Corporation                                                   9,000             365,715              387,000
    Temple Inland Incorporated                                             3,800             185,862              205,675
    Washington Post Company                                                1,000             322,470              335,124
    Weyerhaeuser Company                                                   3,200             146,252              151,600
                                                                                  -------------------   ------------------

                                                            Total                          2,055,877            2,135,510
                                                                                  -------------------   ------------------

Railroads:
    Burlington Northern Santa Fe Corporation                              27,800           2,343,607            2,401,224
    CSX Corporation                                                       10,900             525,928              460,524
    Norfolk Southern Corporation                                          13,500           1,205,986            1,188,000
    Union Pacific Corporation                                              6,800             259,823              408,850
                                                                                  -------------------   ------------------

                                                            Total                          4,335,344            4,458,598
                                                                                  -------------------   ------------------
</TABLE>




                                    - 28 -
<PAGE>   29
                                                                      SCHEDULE I
                                                                   PAGE 15 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Service Industries:
    ADR Reuters Holdings PLC                                              16,100  $        1,180,844    $       1,231,650
    Cox Communications Incorporated                                       60,200           1,161,762            1,392,124
    Federal Express Corporation                                            2,000              80,667               89,000
    First Data Corporation                                                56,300           2,190,820            2,054,950
    Gannett Company Incorporated                                           4,000             277,138              299,500
    Health Care & Retirement Corporation                                   3,900              69,626              111,637
    Interpublic Group of Companies, Incorporated                          10,000             445,100              475,000
    John H. Harland Company                                                2,000              61,698               66,000
    Learning Company Incorporated                                            900              20,037               12,938
    Meredith Corporation                                                  10,000             467,725              527,500
    Moore Corporation, Limited                                            10,000             176,350              205,000
    National Service Industries, Incorporated                              9,000             355,534              336,374
    Oxford Health Plans Incorporated                                      16,100             714,197              942,847
    R.R. Donnelley & Sons Company                                          5,700             198,059              178,837
    Ryder System, Incorporated                                             2,600              73,923               73,125
    Service Corporation International                                      9,000             129,714              252,000
    Thermo Instrument Systems, Incorporated                                2,000              62,520               66,250
                                                                                  -------------------   ------------------

                                                            Total                          7,665,714            8,314,732
                                                                                  -------------------   ------------------
</TABLE>




                                    - 29 -
<PAGE>   30
                                                                      SCHEDULE I
                                                                   PAGE 16 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                         <C>                   <C>                   <C>
Technology:
    360 Communications Company                                               700  $           16,404    $          16,275
    ADR Ericsson L.M. Telephone Company                                   55,330           1,180,205            1,670,246
    Applied Materials, Incorporated                                        5,500             175,372              197,654
    Ascend Communications Incorporated                                     7,900             569,875              490,787
    Autodesk Incorporated                                                  1,300              40,880               36,400
    BMC Software Incorporated                                              2,000              81,603               82,750
    CISCO Systems Incorporated                                           138,600           6,272,571            8,818,424
    Computer Associates International, Incorporated                        6,400             333,373              318,400
    Electronic Data Systems Corporation                                   19,400             904,525              839,050
    Gartner Group Incorporated                                            10,000             345,575              389,370
    General Instrument Corporation                                         6,900             170,085              150,074
    Harris Corporation                                                     1,500              92,373              102,938
    Intel Corporation                                                    136,700          10,163,581           17,899,087
    Lucent Technologies Incorporated                                      40,600           1,922,369            1,877,750
    Microsoft Corporation                                                102,800           4,900,365            8,493,850
    National Semiconductor Corporation                                     4,800              77,088              117,600
    Netscape Communications Corporation                                   18,700             918,643            1,063,562
    Molex Incorporated                                                     1,700              50,464               60,562
    Northern Telecom Limited                                              10,000             556,940              618,750
    Oracle Corporation                                                    42,100           1,580,555            1,757,674
    Paging Network Incorporated                                            4,600              92,138               70,150
    Parametric Technology Corporation                                      2,000             103,895              102,750
    Perkin-Elmer Corporation                                               4,100             217,067              241,387
    Scientific-Atlanta, Incorporated                                         300               4,480                4,500
    Stratus Computer Incorporated                                          8,000             194,080              218,000
    Symbol Technologies, Incorporated                                      2,000              85,570               88,500
    Tektronix, Incorporated                                                4,000             165,040              205,000
    Texas Instruments Incorporated                                        13,400             803,504              854,250
    Thermo Electron Corporation                                            2,000              79,723               82,500
    Three Com Corporation                                                 21,100           1,113,318            1,548,213
    Universal Corporation                                                  8,000             218,080              257,000
    VLSI Technology, Incorporated                                          7,000             130,004              167,125
    Xerox Corporation                                                     29,700           1,499,735            1,562,992
                                                                                  -------------------   ------------------

                                                            Total                         35,059,480           50,403,570
                                                                                  -------------------   ------------------
</TABLE>




                                    - 30 -


<PAGE>   31
                                                                      SCHEDULE I
                                                                   PAGE 17 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                                                      <C>      <C>                   <C>
Utilities:
    ADR British Telecommunications                                         7,000  $          416,740    $         480,374
    Airtouch Communications Incorporated                                 281,000           7,798,453            7,095,250
    Allegheny Power System, Incorporated                                   3,200              94,992               97,200
    American Electric Power Company, Incorporated                         56,000           2,355,562            2,303,000
    American Water Works Company, Incorporated                             2,000              39,520               41,250
    Ameritech Corporation                                                 33,600           1,881,626            2,037,000
    AT&T Corporation                                                      81,000           3,057,537            3,562,733
    Baltimore Gas and Electric Company                                     3,400              92,750               90,950
    Bell Atlantic Corporation                                             10,800             665,440              699,300
    BellSouth Corporation                                                 86,000           3,434,396            3,483,000
    Carolina Power & Light Company                                         2,000              70,423               73,000
    Cascade Communications Corporation                                    22,500           1,607,313            1,240,312
    Century Telephone Enterprises, Incorporated                            1,000              33,010               30,875
    Cinergy Corporation                                                    4,100             138,668              136,837
    Columbia Gas System, Incorporated                                      2,400             113,844              152,700
    Comcast Corporation                                                   16,700             294,051              297,460
    Consolidated Edison Company of New York, Incorporated                  7,900             226,301              230,087
    Consolidated Natural Gas Company                                       1,400              79,484               77,350
    Dominion Resources Incorporated                                        5,200             190,535              200,200
    DTE Energy Company                                                     3,900             112,365              126,262
    Edison International                                                  64,000           1,097,782            1,272,000
    El Paso Natural Gas Company                                                1                  22                   25
    GTE Corporation                                                       65,200           2,703,569            2,958,450
    Idaho Power Company                                                    4,000             120,160              124,500
    Illinova Corporation                                                  10,000             265,100              275,000
    MCI Communications Corporation                                        20,300             456,041              663,545
    New England Electric System                                            1,900              64,518               66,263
    Nipsco Industry Incorporated                                           3,000             112,960              118,874
    Northeast Utilities                                                    3,900              38,834               51,187
    Northern States Power Company                                          4,000             184,287              183,500
    Nynex Corporation                                                     11,000             506,869              529,374
    P P & L Res Incorporated                                               1,500              35,941               34,500
    Pacific Gas & Electric                                                12,500             299,879              262,500
    Panenergy Corporation                                                 10,500             383,469              472,500
    Pinnacle West Capital Corporation                                      2,600              72,778               82,550
    Portland General Corporation                                           2,500              84,234              105,000
    Potomac Electric Power Company                                         1,200              29,656               30,900
    Puget Sound Power and Light Company                                    3,000              70,185               72,000
    SBC Communications Incorporated                                       10,900             533,851              565,437
    Seagull Energy Corporation                                             4,000              86,980               88,000
</TABLE>




                                    - 31 -
<PAGE>   32
                                                                      SCHEDULE I
                                                                   PAGE 18 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                           DIVERSIFIED PORTFOLIO FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                               QUOTED
                                                                     PRINCIPAL                               MARKET
                                                                      AMOUNT             COST                 VALUE
                                                                   -------------- -------------------   ------------------
<S>                                           <C>                                 <C>                   <C>
    Southern Company                                                      18,600  $          423,256    $         420,825
    Sprint Corporation                                                    10,900             446,394              434,638
    Texas Utilities Company                                               23,000             938,375              937,250
    Tuscon Electric Power Company                                         10,000             195,100              165,000
    U.S. West Incorporated-COM-MEDIA Group                                22,900             409,454              420,787
    U.S. West Communications Group                                        14,400             434,418              464,400
    Unicom Corporation                                                    54,000           1,466,328            1,464,750
    Union Electric Company                                                 1,000              37,510               38,500
    Viacom                                                                13,300             524,284              463,838
    Worldcom Incorporated                                                 57,100           1,395,042            1,488,139
                                                                                  -------------------   ------------------

                                                            Total                         36,120,286           36,709,372
                                                                                  -------------------   ------------------

                                              Total Common Stocks                        357,529,432          422,697,707
                                                                                  -------------------   ------------------

PREFERRED STOCK
    MLP Lakehead Pipe Line Partners L.P.                                   4,000             121,539              138,000

TEMPORARY INVESTMENTS
    The Northern Trust Company
         Collective Short-Term Investment Fund                         3,575,191           3,575,191            3,575,191

INCOME RECEIVABLE                                                                            904,060              904,060

                                                                                  -------------------   ------------------
TOTAL DIVERSIFIED PORTFOLIO FUND                                                  $      362,130,222    $     427,314,958
                                                                                  ===================   ==================

PROPORTIONATE INTEREST                                                            $       60,160,624    $      75,165,683
                                                                                  ===================   ==================
</TABLE>




                                    - 32 -
<PAGE>   33
                                                                      SCHEDULE I
                                                                   PAGE 19 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                                FIXED INCOME FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                      INTEREST RATE
                                                         AS OF
                                                       DECEMBER 31,  MATURITY                               CURRENT
                                                          1996         DATE             COST                 VALUE
                                                       ----------- -------------- ------------------   ------------------
<S>                                                        <C>        <C>          <C>                  <C>
GUARANTEED INVESTMENT CONTRACTS:
    Aetna Life Insurance Company                           10.00%     1/3/00       $     84,966,893     $     90,651,000
    The Prudential Insurance Company of America            10.25%     7/5/99             55,597,953           59,828,000
    The Prudential Insurance Company of America             9.92%     5/1/98             83,091,023           87,082,000
    The Prudential Insurance Company of America             9.65%     8/31/00            41,250,835           45,953,000
    The Prudential Insurance Company of America             9.80%     8/31/00            61,904,532           69,248,000
    The Travelers Insurance Company                         8.15%     2/1/98              1,793,847            2,270,000
    The Travelers Insurance Company                         9.26%     2/1/98              1,260,529            1,600,000
    Aetna Life and Casualty Company                         7.10%      Open             280,696,038          291,300,000
    Metropolitan Life Insurance Company                     7.33%      Open             272,766,951          284,900,000
    Metropolitan Life Insurance Company                     6.91%      Open             279,597,276          283,800,000
    The Prudential Insurance Company of America             6.84%      Open             276,963,064          279,600,000
                                                                                  ------------------   ------------------
              Total Guaranteed Investment Contracts                                   1,439,888,941        1,496,232,000
                                                                                  ------------------   ------------------

TEMPORARY INVESTMENTS
    The Northern Trust Company
         Collective Short-Term Investment Fund                                            4,765,949            4,765,949

INCOME RECEIVABLE                                                                            16,785               16,785
                                                                                  ------------------   ------------------

TOTAL FIXED INCOME FUND                                                            $  1,444,671,675     $  1,501,014,734
                                                                                  ==================   ==================

PROPORTIONATE INTEREST                                                             $    236,670,922     $    245,666,720
                                                                                  ==================   ==================
</TABLE>




                                    - 33 -
<PAGE>   34
                                                                      SCHEDULE I
                                                                   PAGE 20 OF 20


                          GENERAL DYNAMICS CORPORATION
               HOURLY EMPLOYEES SAVINGS AND STOCK INVESTMENT PLAN


                            SPECIAL DISTRIBUTION FUND
             COMBINED STATEMENT OF INVESTMENTS IN MASTER TRUST FUNDS
                             AS OF DECEMBER 31, 1996


<TABLE>
<CAPTION>
                                                                     NUMBER OF
                                                                     SHARES OR                              QUOTED
                                                                     PRINCIPAL                              MARKET
                                                                      AMOUNT            COST                 VALUE
                                                                   -------------- ------------------   ------------------
<S>                                                                   <C>          <C>                  <C>
SPECIAL DISTRIBUTION FUND:
    The Northern Trust Company
         Collective Short-Term Investment Fund                        27,930,447   $     27,930,447     $     27,930,447

INCOME RECEIVABLE                                                                           127,149              127,149
                                                                                  ------------------   ------------------

TOTAL SPECIAL DISTRIBUTION FUND                                                    $     28,057,596     $     28,057,596
                                                                                  ==================   ==================

PROPORTIONATE INTEREST                                                             $      7,669,787     $      7,669,787
                                                                                  ==================   ==================
</TABLE>




                                    - 34 -


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