MINNESOTA POWER & LIGHT CO
U-3A-2, 1995-02-24
ELECTRIC SERVICES
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<PAGE>

                                                            File No. 69-78
                                                                     -----

                              UNITED STATES
                    SECURITIES AND EXCHANGE COMMISSION
                           Washington, DC 20549
                               FORM U-3A-2

          Statement by Holding Company Claiming Exemption Under
          Rule U-3A-2 from the Provisions of the Public Utility
                         Holding Company Act of 1935

                    To Be Filed Annually Prior to March 1

                       MINNESOTA POWER & LIGHT COMPANY
                       -------------------------------
                               (Name of company)

hereby files with the Securities Exchange Commission, pursuant to Rule 2, its 
statement claiming exemption as a holding company from the provisions of the 
Public Utility Holding Company Act of 1935, and submits the following 
information:

     1.   Name, State of organization, location and nature of business of 
claimant and every subsidiary thereof, other than any exempt wholesale 
generator (EWG) or foreign utility company in which claimant directly or 
indirectly holds an interest.

<TABLE>
<CAPTION>
                                        State of
Name                                    Organization   Location       Nature of Business
- ----                                    ------------   --------       ------------------
<S>                                     <C>            <C>            <C>
Minnesota Power & Light                 Minnesota      Duluth, MN     Electric Utility
Company

Superior Water, Light and Power         Wisconsin      Superior, WI   Electric, Gas and Water
Company                                                               Utility

Energy Land, Incorporated <F5> <F6>     Wisconsin      Duluth, MN     Tugboat Leasing

BNI Coal, Ltd.                          North Dakota   Bismarck, ND   Coal Mining

Minnesota Paper, Incorporated <F1>      Minnesota      Duluth, MN     Paper Manufacturing

RendField Land Company, Inc. <F5> <F6>  Minnesota      Duluth, MN     Land Holding

Capital Re Corporation <F2>             Delaware       New York, NY   Financial Guaranty
                                                                      Reinsurance

Rainy River Energy Corporation          Minnesota      Duluth, MN     Steam Generation - Sold
<F4> <F5> <F6>

UtilEquip, Incorporated <F3> <F5> <F6>  Minnesota      Duluth, MN     Equipment Manufacturing

Synertec, Incorporated <F5>             Minnesota      Duluth, MN     Venture Investor in energy
                                                                      efficiency, pollution
                                                                      control and energy
                                                                      conservation activities

Superior Recycled Fiber Corporation     Minnesota      Duluth, MN     Pulp production from
<F9>                                                                  recycled office scrap paper

Minnesota Pulp, Incorporated <F5>       Minnesota      Duluth, MN     Pulp production from
<F6> <F9>                                                             recycled office scrap paper

Minnesota Pulp II, Incorporated         Minnesota      Duluth, MN     Pulp production from 
<F5> <F6> <F9>                                                        recycled office scrap paper

Lakeview Financial Corporation 1        Minnesota      Duluth, MN     Financial Investments
<F5> <F6>

Upper Minnesota Properties, Inc.        Minnesota      Duluth, MN     Affordable Housing Project
<F5> <F6>

Upper Minnesota Properties-             Minnesota      Duluth, MN     Affordable Housing Project
Meadowlands, Inc. <F5> <F6>

Upper Minnesota Properties-             Minnesota      Duluth, MN     Affordable Housing Project
Irving, Inc. <F5> <F6>

Topeka Group Incorporated               Minnesota      Duluth, MN     Diversification Activities

Pelican Utility Company                 Florida        Apopka, FL     Inactive

Heater Utilities, Incorporated          North          Cary, NC       Water and Wastewater
                                        Carolina                      Treatment Utility

Heater of Seabrook, Inc. <F5> <F6>      South          Seabrook       Water and Wastewater
                                        Carolina       Island, SC     Treatment Utility

Brookwood Water Corporation <F5> <F6>   North          Fayetteville,  Water Utility
                                        Carolina       NC

Upstate Heater Utilities, Inc.          South          Anderson, SC   Water Utility
<F5> <F6>                               Carolina

Southern States Utilities, Inc.         Florida        Apopka, FL     Water and Wastewater Treatment
                                                                      Utility

Lehigh Acquisition Corporation <F7>     Delaware       Lehigh Acres,  Subdivider, Developer
                                                       FL

Lehigh Corporation <F7> <F16>           Florida        Lehigh Acres,  Subdivider, Developer
                                                       FL

Lehigh Building Supply, Inc. <F5>       Florida        Lehigh Acres,  Distributive Trades
<F6> <F7>                                              FL

News-Star Publications, Inc.            Florida        Lehigh Acres,  Newspaper Publisher
<F5> <F6> <F7> <F8>                                    FL

Lehigh Land and Investment, Inc.        Florida        Lehigh Acres,  Real Estate Agent
<F5> <F6> <F7>                                         FL

Lehigh Country Club, Inc.               Florida        Lehigh Acres,  Recreation Services
<F5> <F6> <F7> <F10>                                   FL

Cliffside Properties, Inc.              California     Lehigh Acres,  Resort Operations
<F5> <F6> <F7> <F18>                                   FL

Home at Lehigh, Inc. <F5> <F6>          Florida        Lehigh Acres,  Construction Company
<F7> <F11>                                             FL

Meridian Mortgage Services, Inc.        Florida        Lehigh Acres,  Mortgage Broker
<F5> <F6> <F7> <F10>                                   FL

Interlachen Lake Estates, Inc.          Florida        Lehigh Acres,  Subdivider, Developer
<F5> <F6> <F7>                                         FL

Sundowner Properties, Inc. <F5>         Pennsylvania   Lehigh Acres,  Subdivider, Developer
<F6> <F7>                                              FL

Atlas Construction Services             New York       Lehigh Acres,  Real Estate Operator
Corporation <F5> <F6> <F7> <F10>                       FL

Orange State Property Services,         Florida        Lehigh Acres,  Property Management
Inc. <F5> <F6> <F7> <F13>                              FL

LRC of Georgia, Inc. <F5> <F6>          Georgia        McDonough, GA  Real Estate Operator
<F7> <F12>

SRC of Florida, Inc. <F5> <F6>          Florida        Homosassa      Subdivider, Developer
<F7> <F17>                                             Springs, FL

Able Land Services, Inc. <F5> <F6>      Florida        Lehigh Acres,  Land Management
<F7> <F14>                                             FL

Enterprise Lehigh, Inc. <F5> <F6>       Florida        Lehigh Acres,  Subdivider, Developer
<F7> <F15>                                             FL

East L.A. Services Corp. <F5> <F6>      Florida        Lehigh Acres,  Sanitation Services
                                                       FL

FiberCore, Incorporated <F4> <F5> <F6>  Minnesota      Duluth, MN     Fiberoptics - Sold
<FN>
     <F1> Minnesota Paper, Inc. is a 50 percent participant in a joint venture 
          with Pentair Duluth Corp. in Lake Superior Paper Industries (LSPI), 
          a paper mill in Duluth, MN.  Minnesota Paper, Inc. accounts for the 
          investment in LSPI by the equity method.

     <F2> Minnesota Power & Light Company has a 21.4 percent ownership interest 
          in Capital Re Corporation (Capital Re).  Capital Re is an investment 
          accounted for by the equity method and is not considered a 
          subsidiary in the consolidation of Minnesota Power & Light Company.

     <F3> UtilEquip, Incorporated owns 82.5 percent of Reach All Partnership 
          (Reach All), an equipment manufacturer in Duluth, MN.  Reach All 
          is accounted for by the equity method.

     <F4> Substantially all of the assets of Rainy River Energy Corporation 
          were sold in 1991.  Substantially all of the assets of FiberCore, 
          Incorporated were sold in 1988.  

     <F5> These companies each contributed less than 1 percent of consolidated 
          net income for the year ended December 31, 1994.

     <F6> These companies each consisted of less than 1 percent of 
          consolidated assets at December 31, 1994.

     <F7> Topeka Group Incorporated has an 80 percent ownership interest in 
          Lehigh Acquisition Corporation.

     <F8> Lehigh Acquisition Corporation has a 60 percent stock ownership in 
          this corporation.

     <F9> Superior Recycled Fiber Corporation owns 76 percent of 
          Superior Recycled Fiber Industries Joint Venture, a pulp production 
          plant in Duluth, MN.  The remaining 24 percent is owned by LSPI 
          Fiber Co., a partnership.  Minnesota Pulp II, Inc., a wholly owned 
          subsidiary of Minnesota Pulp, Incorporated, owns 50 percent of LSPI 
          Fiber Co.

    <F10> Corporation dissolved in 1994.

    <F11> Lehigh Corporation has a 98 percent stock ownership in this 
          corporation.

    <F12> Corporation in process of dissolution.

    <F13> Corporation sold in 1994.

    <F14> Lehigh Corporation has a 97 percent stock ownership in this 
          corporation.

    <F15> Lehigh Corporation has an 80 percent stock ownership in this 
          corporation.

    <F16> Lehigh Corporation owns 100 percent of J. W. Ford, Inc., an 
          investment accounted for under the equity method. J. W. Ford, Inc., 
          owns 50 percent of Joel/Bell Property, Inc., a land management 
          company in Lehigh Acres, FL.

    <F17> SRC of Florida, Inc. is a 50 percent partner in Guardian Title of 
          Lehigh, a title company in Lehigh Acres, FL, and is a 50 percent 
          participant in Greenbriar Lakes Joint Venture which is involved in 
          land management in Lehigh Acres, FL.

    <F18> Cliffside Properties, Inc., owns 50 percent of Admiral Lehigh 
          Resort, Ltd. Partnership, a resort operation in Lehigh Acres, FL.
</FN>
</TABLE>
     2.   A brief description of the properties of claimant and each of its 
subsidiary public utility companies used for the generation, transmission, and 
distribution of electric energy for sale, or for the production, transmission, 
and distribution of natural or manufactured gas, indicating the location of 
principal generating plants, transmission lines, producing fields, gas 
manufacturing plants, and electric and gas distribution facilities, including 
all such properties which are outside the State in which claimant and its 
subsidiaries are organized and all transmission or pipelines which deliver or 
receive electric energy or gas at the borders of such State.

Claimant - Minnesota Power & Light Company

     Reference is made to Annual Report Form 10-K (File No. 1-3548), filed by 
the claimant with the Commission on March 25, 1994, for the fiscal year ended 
December 31, 1993, particularly pages 22, 23, 31, and 34, which is hereby 
incorporated by reference in this statement.

Subsidiary - Superior Water, Light and Power Company

     Same reference as under claimant.

                                   - 4 -

<PAGE>
     3.   The following information for the last calendar year with respect to 
claimant and each of its subsidiary public utility companies:

     (a)  Number of kWh of electric energy sold (at retail or wholesale), and 
Mcf. of natural or manufactured gas distributed at retail.
<TABLE>
<CAPTION>
                                              Electricity                  Gas
<S>                                          <C>                 <C>
Minnesota Power & Light Company              8,382,001,627                 None

Superior Water, Light and Power Company       543,264,448               21,868,847

Southern States Utilities, Inc.                  None                     27,679
                                                                 (Liquefied Propane Gas)
</TABLE>

     (b)  Number of kWh of electric energy and Mcf. of natural or manufactured 
gas distributed at retail outside the State in which each such company is 
organized.

None

     (c)  Number of kWh of electric energy and Mcf. of natural or manufactured 
gas sold at wholesale outside the State in which each such company is 
organized, or at the State line.

<TABLE>
<CAPTION>
                                             Electricity                   Gas
<S>                                          <C>                           <C>
Minnesota Power & Light Company              543,810,000                   None

Superior Water, Light and Power Company          None                      None

Southern States Utilities, Inc.                  None                      None
</TABLE>

     (d)  Number of kWh of electric energy and Mcf. of natural or manufactured 
gas purchased outside the State in which each company is organized or at the 
State line.

<TABLE>
<CAPTION>
                                             Electricity                   Gas
<S>                                          <C>                           <C>
Minnesota Power & Light Company              3,997,963,726                 None

Superior Water, Light and Power Company       556,925,288                  None

Southern States Utilities, Inc. <F1>              None                     None

<FN>
<F1> Purchased only liquefied propane gas and all such purchases were made from 
     local distributors and delivered in Florida.
</FN>
</TABLE>

     4.   The following information for the reporting period with respect to 
claimant and each interest it holds directly or indirectly in an EWG or a 
foreign utility company, stating monetary amounts in United States dollars:

Not applicable to Minnesota Power & Light Company

                                   - 5 -

<PAGE>
                                   EXHIBITS

Exhibit A is the consolidating balance sheet of claimant and its subsidiary 
companies as of the close of such calendar year, together with a consolidating 
statement of income and consolidating statement of retained earnings of the 
claimant and its subsidiary companies for the last calendar year.

Exhibit A-1 is the consolidating financial statements for Topeka Group 
Incorporated (Topeka Group).  These statements are combined in the 
consolidating financial statements of Minnesota Power & Light Company which are 
filed as Exhibit A.

Exhibit A-2 is the consolidating financial statements for Lehigh Acquisition 
Corporation which are combined with Topeka Group.  These statements are 
combined in the consolidating financial statements of Minnesota Power & Light 
Company which are filed as Exhibit A.

Exhibit A-3 is the consolidating financial statements for Heater Utilities, 
Incorporated.  These statements are combined in the consolidated financial 
statements for Topeka Group.  These statements are combined in the 
consolidating financial statements of Minnesota Power & Light Company which are 
filed as Exhibit A.

Exhibit A-4 is the consolidating financial statements for RendField Land 
Company.  These statements are combined in the consolidating financial 
statements of Minnesota Power & Light Company which are filed as Exhibit A.

Exhibit A-5 is the consolidating financial statements for Synertec, 
Incorporated.  These statements are combined in the consolidating financial 
statements of Minnesota Power & Light Company which are filed as Exhibit A.

Exhibit A-6 is the consolidating financial statements for Superior Recycled 
Fiber Corporation which are combined with Synertec, Incorporated.  These 
statements are combined in the consolidating financial statements of 
Minnesota Power & Light Company which are filed as Exhibit A.

Exhibit A-7 is the consolidating financial statements for Upper Minnesota 
Properties, Inc.  These statements are combined in the consolidating financial 
statements of Minnesota Power & Light Company which are filed as Exhibit A.

Exhibit A-8 is the consolidating financial statements for Minnesota Pulp, 
Incorporated. These statements are combined in the consolidating financial 
statements of Minnesota Power & Light Company which are filed as Exhibit A.

Exhibit A-9 is a list of abbreviations used in the Exhibits.

Exhibit B is the Financial Data Schedule.

Exhibit C is not applicable to Minnesota Power & Light Company.

                                   - 6 -

<PAGE>
     The above-named claimant has caused this statement to be duly executed on 
its behalf by its authorized officer on this 24th day of February 1995.



                                        MINNESOTA POWER & LIGHT COMPANY
                                   -------------------------------------------
                                               (Name of claimant)



                                   By             D. G. Gartzke
                                      ----------------------------------------
                                             Senior Vice President -
                                        Finance and Chief Financial Officer



Attest:


           Philip R. Halverson
- -------------------------------------------
  General Counsel and Corporate Secretary


Name, title, and address of officer to whom notices and correspondence 
concerning this statement should be addressed:

David G. Gartzke    Senior Vice President - Finance and Chief Financial Officer
- ----------------    ----------------------------------------------------------
     (Name)                                  (Title)



                    Minnesota Power & Light Company
                        30 West Superior Street
                        Duluth, Minnesota 55802
                    -------------------------------
                               (Address)

                                   - 7 -


<PAGE>
<TABLE>
                               MINNESOTA POWER CONSOLIDATED BALANCE SHEET               Exhibit A
                                             DECEMBER  1994                             Page 1 of 8
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      MPL           SWL           CNTG
                                ------------  ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>           <C>         
PLANT AND OTHER ASSETS
  ELECTRIC               -U100   1185045,556     2,480,981   1159568,319    22,996,256             0
  ELECTRIC MISCELLANEOUS -U175     21948,451             0     16628,382     5,320,069             0
  GAS                    -U400     12017,376       775,307             0    11,242,069             0
  COAL               -U550,551     33067,304             0             0             0             0
  COMMON                 -U500             0     5,168,711-            0     5,168,711             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL ELECTRIC OPERATIONS    1252078,687     1,912,423-  1176196,701    44,727,105             0
                                ------------  ------------  ------------  ------------  ------------
  WATER                  -U300    366840,557     1,912,423             0    15,669,606   349,258,528
  WATER MISCELLANEOUS    -U350     11131,230             0             0             0    11,131,230
                                ------------  ------------  ------------  ------------  ------------
    TOTAL WATER OPERATIONS        377971,787     1,912,423             0    15,669,606   360,389,758
                                ------------  ------------  ------------  ------------  ------------
  PULP                   -N300     78484,000     1,158,413             0             0             0
  AFFORD HOUSING AND OTHE-N350      6345,677             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL INVEST OPERATIONS        84829,677     1,158,413             0             0             0
                                ------------  ------------  ------------  ------------  ------------
  TOTAL PLANT                    1714880,151     1,158,413   1176196,701    60,396,711   360,389,758
  ACCUMULATED DEPREC-U600,N600    582075,214-            0    452050,959-   22,921,793-   84,716,267-
  CONSTRUCTION IN PRO-U710,711     27619,002             0     21736,180       129,303     5,753,519
                                ------------  ------------  ------------  ------------  ------------
    NET PLANT                    1160423,939     1,158,413    745881,922    37,604,221   281,427,010
  SECURITIES INVESTES-N900,905    144053,181             0    137891,460             0        82,563
  EQUITY INVESTMENTS     -N910    109370,524     9,166,738-    72054,167             0             0
  REAL ESTATE            -N400     24091,033             0             0             0    24,091,033
  GOODWILL               -N700      1884,796             0             0             0     1,884,796
  OTHER                  -N500      2564,303             0      2435,486             0       128,817
  INV IN SUBSIDIARIES    -N200             3-  249,109,467-   249109,466             0             1-
                                ------------  ------------  ------------  ------------  ------------
    TOTAL PLANT AND ASSETS       1442387,773   257,117,792-  1207372,501    37,604,221   307,614,218
CURRENT ASSETS  (A)
  CASH                   -110      20605,204             1      3845,010       214,665     6,812,528
    WORKING FUNDS        -150        244,143             0       233,118        11,025             0
  TEMP CASH INVESTMENTS  -200       1996,921     1,900,000-     1980,040             0       426,537
  RESTRICTED CASH        -115       4154,573             0             0             0     4,154,572
  TRADING SECURITIES     -250      74045,797       490,275-    74536,072             0             0
  CUSTOMER ACCTS REC     -321      52146,687             0     35916,239     4,631,450     8,280,729
    RESERVE FOR UNCOL ACT-322       1041,479-            0       432,261-      251,091-      358,128-
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE     -310      35430,964             0       266,262             0       105,753
    OTHER ACCOUNTS REC   -409      26223,517       421,559-     5325,332       355,628     4,112,258
    ACCTS REC FROM ASSOC -432              0   115,483,307-    54723,036         7,222    44,729,841
  FUEL STOCK             -500       7726,644             0      7651,459        75,185             0
  PLANT & OPER SUPPLIES  -610      17428,791             0      9953,787       612,758       964,582
    MERCHANDISE          -620       1428,315             0      1428,315             0             0
    STORES EXPENSE UNDIST-630        179,171-            0        91,929-       87,242-            0
  PREPAYMENTS            -700      12806,664             0      9981,051       889,169     1,431,417
  OTHER CUR & ACCR ASSETS-900       7809,895             0      4580,659       206,117     2,957,919
    FUNDS HELD BY TRUSTEE-145              0             0             0             0             0
    INTEREST DEP & OTHER -120              0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL CURRENT ASSETS         260827,465   118,295,140-   209896,190     6,664,886    73,618,008
                                ------------  ------------  ------------  ------------  ------------
  ALLOW GAIN CAP SALE    -255              0             0             0             0             0
  OTHER                  -200      99271,505       177,959-    77576,146     3,876,159    14,428,672
                                ------------  ------------  ------------  ------------  ------------
     TOTAL DEFERRED DEBITS         99271,505       177,959-    77576,146     3,876,159    14,428,672
                                ------------  ------------  ------------  ------------  ------------
TOTAL ASSETS                     1802486,743   375,590,891-  1494844,837    48,145,266   395,660,898
                                ============  ============  ============  ============  ============
<CAPTION>
                                    ENLD          MPAP          CNRD          BNI           RAIN    
                                ------------  ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>           <C>         
PLANT AND OTHER ASSETS
  ELECTRIC               -U100             0             0             0             0             0
  ELECTRIC MISCELLANEOUS -U175             0             0             0             0             0
  GAS                    -U400             0             0             0             0             0
  COAL               -U550,551             0             0             0    33,067,304             0
  COMMON                 -U500             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL ELECTRIC OPERATIONS              0             0             0    33,067,304             0
                                ------------  ------------  ------------  ------------  ------------
  WATER                  -U300             0             0             0             0             0
  WATER MISCELLANEOUS    -U350             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL WATER OPERATIONS                 0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
  PULP                   -N300             0             0             0             0             0
  AFFORD HOUSING AND OTHE-N350             0       234,035       355,303             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL INVEST OPERATIONS                0       234,035       355,303             0             0
                                ------------  ------------  ------------  ------------  ------------
  TOTAL PLANT                              0       234,035       355,303    33,067,304             0
  ACCUMULATED DEPREC-U600,N600             0             0         4,060-   17,598,323-            0
  CONSTRUCTION IN PRO-U710,711             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    NET PLANT                              0       234,035       351,243    15,468,981             0
  SECURITIES INVESTES-N900,905     4,651,226             0             0     1,344,844             0
  EQUITY INVESTMENTS     -N910             0    35,967,095             0             0             0
  REAL ESTATE            -N400             0             0             0             0             0
  GOODWILL               -N700             0             0             0             0             0
  OTHER                  -N500             0             0             0             0             0
  INV IN SUBSIDIARIES    -N200             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL PLANT AND ASSETS         4,651,226    36,201,130       351,243    16,813,825             0
CURRENT ASSETS  (A)
  CASH                   -110          5,743         2,220        65,587       778,286        13,749
    WORKING FUNDS        -150              0             0             0             0             0
  TEMP CASH INVESTMENTS  -200              0             0             0     1,490,344             0
  RESTRICTED CASH        -115              0             0             0             0             0
  TRADING SECURITIES     -250              0             0             0             0             0
  CUSTOMER ACCTS REC     -321              0             0             0     3,318,270             0
    RESERVE FOR UNCOL ACT-322              0             0             0             0             0
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE     -310              0    35,058,949             0             0             0
    OTHER ACCOUNTS REC   -409              0             0     2,824,247             0             0
    ACCTS REC FROM ASSOC -432      1,910,289     3,805,641     4,049,695             0       540,793
  FUEL STOCK             -500              0             0             0             0             0
  PLANT & OPER SUPPLIES  -610              0             0             0     2,159,665             0
    MERCHANDISE          -620              0             0             0             0             0
    STORES EXPENSE UNDIST-630              0             0             0             0             0
  PREPAYMENTS            -700              0         6,775             0       487,298             0
  OTHER CUR & ACCR ASSETS-900              0             0             0        48,466             0
    FUNDS HELD BY TRUSTEE-145              0             0             0             0             0
    INTEREST DEP & OTHER -120              0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL CURRENT ASSETS          1,916,032    38,873,585     6,939,529     8,282,329       554,542
                                ------------  ------------  ------------  ------------  ------------
  ALLOW GAIN CAP SALE    -255              0             0             0             0             0
  OTHER                  -200              0             0         9,848     3,441,933             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL DEFERRED DEBITS                 0             0         9,848     3,441,933             0
                                ------------  ------------  ------------  ------------  ------------
TOTAL ASSETS                       6,567,258    75,074,715     7,300,620    28,538,087       554,542
                                ============  ============  ============  ============  ============
<CAPTION>
                                    CNSY
                                ------------
<S>                             <C>
PLANT AND OTHER ASSETS
  ELECTRIC               -U100             0
  ELECTRIC MISCELLANEOUS -U175             0
  GAS                    -U400             0
  COAL               -U550,551             0
  COMMON                 -U500             0
                                ------------
    TOTAL ELECTRIC OPERATIONS              0
                                ------------
  WATER                  -U300             0
  WATER MISCELLANEOUS    -U350             0
                                ------------
    TOTAL WATER OPERATIONS                 0
                                ------------
  PULP                   -N300    77,325,587
  AFFORD HOUSING AND OTHE-N350       845,836
                                ------------
    TOTAL INVEST OPERATIONS       78,171,423
                                ------------
  TOTAL PLANT                     78,171,423
  ACCUMULATED DEPREC-U600,N600     4,713,985-
  CONSTRUCTION IN PRO-U710,711             0
                                ------------
    NET PLANT                     73,457,438
  SECURITIES INVESTES-N900,905             0
  EQUITY INVESTMENTS     -N910             0
  REAL ESTATE            -N400             0
  GOODWILL               -N700             0
  OTHER                  -N500             0
  INV IN SUBSIDIARIES    -N200             0
                                ------------
    TOTAL PLANT AND ASSETS        73,457,438
CURRENT ASSETS  (A)
  CASH                   -110      8,767,934
    WORKING FUNDS        -150              0
  TEMP CASH INVESTMENTS  -200              0
  RESTRICTED CASH        -115              1
  TRADING SECURITIES     -250              0
  CUSTOMER ACCTS REC     -321              0
    RESERVE FOR UNCOL ACT-322              0
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE     -310              0
    OTHER ACCOUNTS REC   -409     14,016,242
    ACCTS REC FROM ASSOC -432      4,779,010
  FUEL STOCK             -500              0
  PLANT & OPER SUPPLIES  -610      3,738,000
    MERCHANDISE          -620              0
    STORES EXPENSE UNDIST-630              0
  PREPAYMENTS            -700              0
  OTHER CUR & ACCR ASSETS-900              0
    FUNDS HELD BY TRUSTEE-145              0
    INTEREST DEP & OTHER -120              0
                                ------------
     TOTAL CURRENT ASSETS         31,301,187
                                ------------
  ALLOW GAIN CAP SALE    -255              0
  OTHER                  -200         42,521
                                ------------
     TOTAL DEFERRED DEBITS            42,521
                                ------------
TOTAL ASSETS                     104,801,146
                                ============
</TABLE>

<PAGE>
<TABLE>
                               MINNESOTA POWER CONSOLIDATED BALANCE SHEET               Exhibit A
                                             DECEMBER  1994                             Page 2 of 8
<CAPTION>
                                    LFC1          CNUP          CNPI
                                ------------  ------------  ------------
<S>                             <C>           <C>           <C>
PLANT AND OTHER ASSETS
  ELECTRIC               -U100             0             0             0
  ELECTRIC MISCELLANEOUS -U175             0             0             0
  GAS                    -U400             0             0             0
  COAL               -U550,551             0             0             0
  COMMON                 -U500             0             0             0
                                ------------  ------------  ------------
    TOTAL ELECTRIC OPERATIONS              0             0             0
                                ------------  ------------  ------------
  WATER                  -U300             0             0             0
  WATER MISCELLANEOUS    -U350             0             0             0
                                ------------  ------------  ------------
    TOTAL WATER OPERATIONS                 0             0             0
                                ------------  ------------  ------------
  PULP                   -N300             0             0             0
  AFFORD HOUSING AND OTHE-N350             0     4,910,503             0
                                ------------  ------------  ------------
    TOTAL INVEST OPERATIONS                0     4,910,503             0
                                ------------  ------------  ------------
  TOTAL PLANT                              0     4,910,503             0
  ACCUMULATED DEPREC-U600,N600             0        69,828-            0
  CONSTRUCTION IN PRO-U710,711             0             0             0
                                ------------  ------------  ------------
    NET PLANT                              0     4,840,675             0
  SECURITIES INVESTES-N900,905        83,088             0             0
  EQUITY INVESTMENTS     -N910             0             0    10,516,000
  REAL ESTATE            -N400             0             0             0
  GOODWILL               -N700             0             0             0
  OTHER                  -N500             0             0             0
  INV IN SUBSIDIARIES    -N200             0             0             0
                                ------------  ------------  ------------
    TOTAL PLANT AND ASSETS            83,088     4,840,675    10,516,000
CURRENT ASSETS  (A)
  CASH                   -110         16,428        56,818        26,234
    WORKING FUNDS        -150              0             0             0
  TEMP CASH INVESTMENTS  -200              0             0             0
  RESTRICTED CASH        -115              0             0             0
  TRADING SECURITIES     -250              0             0             0
  CUSTOMER ACCTS REC     -321              0             0             0
    RESERVE FOR UNCOL ACT-322              0             0             0
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE     -310              0             0             0
    OTHER ACCOUNTS REC   -409             51        11,318             0
    ACCTS REC FROM ASSOC -432          3,242       208,674       725,865
  FUEL STOCK             -500              0             0             0
  PLANT & OPER SUPPLIES  -610              0             0             0
    MERCHANDISE          -620              0             0             0
    STORES EXPENSE UNDIST-630              0             0             0
  PREPAYMENTS            -700              0        10,953             0
  OTHER CUR & ACCR ASSETS-900         16,734             0             0
    FUNDS HELD BY TRUSTEE-145              0             0             0
    INTEREST DEP & OTHER -120              0             0             0
                                ------------  ------------  ------------
     TOTAL CURRENT ASSETS             36,455       287,763       752,099
                                ------------  ------------  ------------
  ALLOW GAIN CAP SALE    -255              0             0             0
  OTHER                  -200              0        74,184             0
                                ------------  ------------  ------------
     TOTAL DEFERRED DEBITS                 0        74,184             0
                                ------------  ------------  ------------
TOTAL ASSETS                         119,543     5,202,622    11,268,099
                                ============  ============  ============
</TABLE>

<PAGE>
<TABLE>
                               MINNESOTA POWER CONSOLIDATED BALANCE SHEET               Exhibit A
                                             DECEMBER  1994                             Page 3 of 8
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      MPL           SWL           CNTG    
                                ------------  ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>           <C>         
CAPITALIZATION
  COMMON EQUITY  (C)
    COMMON STK&PD IN CAP -090     371178,007   130,501,325-   371178,006     5,800,000    62,765,345
    LOAN TO LEV ESOP     -210      76726,415-            0     76726,415-            0             0
    UNREAL GAINS INVEST  -215       5409,660-            0      5409,660-            0             0
    RETAINED EARNINGS    -400     272646,014   117,925,989-   272646,007    11,288,941    85,583,056
  PREFERRED STOCK  (P)
    5%                   -100      11491,693             0     11491,693             0             0
    $7.36 SERIES         -210      17054,910             0     17054,910             0             0
    $8.90 SERIES          220              0             0             0             0             0
    $6.70 SERIES         -250      10000,000             0     10000,000             0             0
    $9.125 SERIES        -320              0             0             0             0             0
    $7.125 SERIES        -330      10000,000             0     10000,000             0             0
  LONG-TERM DEBT  (D)
    BONDS                -100     493207,214     1,150,000-   407705,000     5,800,000    80,852,214
    BOND FUNDS HELD BY TRUST               0             0             0             0             0
    OTHER LONG-TERM DEBT -700     109535,638       649,709-    13966,059     7,350,000    36,502,600
    UNAMORT PREM ON DEBT -850              0             0             0             0             0
    UNAMORT DISC ON DEBT -860       1426,088-            0      1426,088-            0             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL CAPITALIZATION        1211551,313   250,227,023-  1030479,512    30,238,941   265,703,215
                                ------------  ------------  ------------  ------------  ------------

CURRENT LIABILITIES  (L)
  NOTES PAYABLE          -100      54098,180     1,900,000-    53443,000     1,900,000       655,180
  CURRENT MATURITIES     -200      12813,737     1,799,708             0             0     2,026,602
  ACCOUNTS PAYABLE
    ACCOUNTS PAYABLE     -310      36792,329       615,935-    23108,113       936,983     4,697,239
    ACCOUNTS PAY TO ASSOC-320              0   115,957,163-    60446,864     2,456,107     3,830,256
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401       4128,584-      364,109      4400,812-       33,835-      278,521-
    STATE INCOME TAXES   -450       1182,446-      112,152       677,652         1,119-      119,807-
    OTHER ACCRUED TAXES  -500      41133,253             0     37043,036        59,957     3,516,728
  ACCRD DIVIDEND & INTEREST
    INTEREST ACCRUED     -610      13355,079             0      9767,745       285,408     2,985,492
    DIVIDENDS DECLARED   -620        800,123             0       800,123             0             0
    MATURED INTEREST     -630          1,709             0         1,709             0             0
  OTHER
    CUSTOMER DEPOSITS    -910       2717,609             0       189,803        12,436     2,515,370
    TAX COLLECTIONS PAY  -920        755,979             0       579,454       176,525             0
    MISC CURR & ACCR LIAB-930      20325,279             1-    15213,606     1,191,296     2,680,972
                                ------------  ------------  ------------  ------------  ------------
     TOTAL CURRENT LIABILITIE     177482,247   116,197,130-   196870,293     6,983,758    22,509,511
                                ------------  ------------  ------------  ------------  ------------

  CONTR IN AID OF CONST F-300      87035,552             0             0     1,000,016    86,035,535
  ACCUM DEF INC TXS(H254)-100     156458,772             0    132907,500     4,595,451     1,630,015
  ACC DEF INV TAX CREDITS-200      35982,161             0     33681,478     1,063,797     1,236,886
  OTHER
    MINORITY INTEREST    -900      14394,812     9,166,738-            0             0     5,226,216
    CUST ADV FOR CONSTR  -910       2387,987             0       651,874     1,736,113             0
    OTHER DEF CREDITS    -920     112186,668             0     95246,949     2,527,190    13,319,520
    LOST TIME RESERVE    -930       5007,231             0      5007,231             0             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL DEFERRED CREDITS       413453,183     9,166,738-   267495,032    10,922,567   107,448,172
                                ------------  ------------  ------------  ------------  ------------

                                ------------  ------------  ------------  ------------  ------------
TOTAL LIAB & CAPITALIZATION      1802486,743   375,590,891-  1494844,837    48,145,266   395,660,898
                                ============  ============  ============  ============  ============
<CAPTION>
                                    ENLD          MPAP          CNRD          BNI           RAIN    
                                ------------  ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>           <C>         
CAPITALIZATION
  COMMON EQUITY  (C)
    COMMON STK&PD IN CAP -090          2,500    14,501,000     4,487,500     2,027,426       500,000
    LOAN TO LEV ESOP     -210              0             0             0             0             0
    UNREAL GAINS INVEST  -215              0             0             0             0             0
    RETAINED EARNINGS    -400      2,562,340    16,084,823     7,464,963-   10,820,908     1,111,098-
  PREFERRED STOCK  (P)
    5%                   -100              0             0             0             0             0
    $7.36 SERIES         -210              0             0             0             0             0
    $8.90 SERIES          220              0             0             0             0             0
    $6.70 SERIES         -250              0             0             0             0             0
    $9.125 SERIES        -320              0             0             0             0             0
    $7.125 SERIES        -330              0             0             0             0             0
  LONG-TERM DEBT  (D)
    BONDS                -100              0             0             0             0             0
    BOND FUNDS HELD BY TRUST               0             0             0             0             0
    OTHER LONG-TERM DEBT -700              0             0             0    10,257,548             0
    UNAMORT PREM ON DEBT -850              0             0             0             0             0
    UNAMORT DISC ON DEBT -860              0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL CAPITALIZATION          2,564,840    30,585,823     2,977,463-   23,105,882       611,098-
                                ------------  ------------  ------------  ------------  ------------

CURRENT LIABILITIES  (L)
  NOTES PAYABLE          -100              0             0             0             0             0
  CURRENT MATURITIES     -200              0             0     3,551,180     1,113,035             0
  ACCOUNTS PAYABLE
    ACCOUNTS PAYABLE     -310              0             0        50,890       676,866             0
    ACCOUNTS PAY TO ASSOC-320        194,536    35,835,012     7,692,734       250,173     1,131,630
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401         18,190-       82,460        59,931       169,357        47,340
    STATE INCOME TAXES   -450        192,180       851,016-      265,750-       16,038        13,330-
    OTHER ACCRUED TAXES  -500              0         1,233         7,731       545,698             0
  ACCRD DIVIDEND & INTEREST
    INTEREST ACCRUED     -610              0             0             0       249,473             0
    DIVIDENDS DECLARED   -620              0             0             0             0             0
    MATURED INTEREST     -630              0             0             0             0             0
  OTHER
    CUSTOMER DEPOSITS    -910              0             0             0             0             0
    TAX COLLECTIONS PAY  -920              0             0             0             0             0
    MISC CURR & ACCR LIAB-930              0             0       500,000       739,405             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL CURRENT LIABILITIE        368,526    35,067,689    11,596,716     3,760,045     1,165,640
                                ------------  ------------  ------------  ------------  ------------

  CONTR IN AID OF CONST F-300              0             0             0             0             0
  ACCUM DEF INC TXS(H254)-100      3,633,892     9,404,271     1,318,633-      596,084             0
  ACC DEF INV TAX CREDITS-200              0             0             0             0             0
  OTHER
    MINORITY INTEREST    -900              0             0             0             0             0
    CUST ADV FOR CONSTR  -910              0             0             0             0             0
    OTHER DEF CREDITS    -920              0        16,932             0     1,076,076             0
    LOST TIME RESERVE    -930              0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
     TOTAL DEFERRED CREDITS        3,633,892     9,421,203     1,318,633-    1,672,160             0
                                ------------  ------------  ------------  ------------  ------------

                                ------------  ------------  ------------  ------------  ------------
TOTAL LIAB & CAPITALIZATION        6,567,258    75,074,715     7,300,620    28,538,087       554,542
                                ============  ============  ============  ============  ============
<CAPTION>
                                    CNSY
                                ------------
<S>                             <C>
CAPITALIZATION
  COMMON EQUITY  (C)
    COMMON STK&PD IN CAP -090     28,231,266
    LOAN TO LEV ESOP     -210              0
    UNREAL GAINS INVEST  -215              0
    RETAINED EARNINGS    -400        419,088-
  PREFERRED STOCK  (P)
    5%                   -100              0
    $7.36 SERIES         -210              0
    $8.90 SERIES          220              0
    $6.70 SERIES         -250              0
    $9.125 SERIES        -320              0
    $7.125 SERIES        -330              0
  LONG-TERM DEBT  (D)
    BONDS                -100              0
    BOND FUNDS HELD BY TRUST               0
    OTHER LONG-TERM DEBT -700     39,343,244
    UNAMORT PREM ON DEBT -850              0
    UNAMORT DISC ON DEBT -860              0
                                ------------
     TOTAL CAPITALIZATION         67,155,422
                                ------------

CURRENT LIABILITIES  (L)
  NOTES PAYABLE          -100              0
  CURRENT MATURITIES     -200      4,026,348
  ACCOUNTS PAYABLE
    ACCOUNTS PAYABLE     -310      7,899,921
    ACCOUNTS PAY TO ASSOC-320      3,555,608
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401        161,614-
    STATE INCOME TAXES   -450        814,662-
    OTHER ACCRUED TAXES  -500         41,260-
  ACCRD DIVIDEND & INTEREST
    INTEREST ACCRUED     -610              0
    DIVIDENDS DECLARED   -620              0
    MATURED INTEREST     -630              0
  OTHER
    CUSTOMER DEPOSITS    -910              0
    TAX COLLECTIONS PAY  -920              0
    MISC CURR & ACCR LIAB-930              0
                                ------------
     TOTAL CURRENT LIABILITIE     14,464,341
                                ------------

  CONTR IN AID OF CONST F-300              0
  ACCUM DEF INC TXS(H254)-100      4,847,907
  ACC DEF INV TAX CREDITS-200              0
  OTHER
    MINORITY INTEREST    -900     18,333,476
    CUST ADV FOR CONSTR  -910              0
    OTHER DEF CREDITS    -920              0
    LOST TIME RESERVE    -930              0
                                ------------
     TOTAL DEFERRED CREDITS       23,181,383
                                ------------

                                ------------
TOTAL LIAB & CAPITALIZATION      104,801,146
                                ============
</TABLE>

<PAGE>
<TABLE>
                               MINNESOTA POWER CONSOLIDATED BALANCE SHEET               Exhibit A
                                             DECEMBER  1994                             Page 4 of 8
<CAPTION>
                                    LFC1          CNUP          CNPI
                                ------------  ------------  ------------
<S>                             <C>           <C>           <C>
CAPITALIZATION
  COMMON EQUITY  (C)
    COMMON STK&PD IN CAP -090         10,000     2,124,189    10,052,099
    LOAN TO LEV ESOP     -210              0             0             0
    UNREAL GAINS INVEST  -215              0             0             0
    RETAINED EARNINGS    -400          2,498-      499,330        84,244
  PREFERRED STOCK  (P)
    5%                   -100              0             0             0
    $7.36 SERIES         -210              0             0             0
    $8.90 SERIES          220              0             0             0
    $6.70 SERIES         -250              0             0             0
    $9.125 SERIES        -320              0             0             0
    $7.125 SERIES        -330              0             0             0
  LONG-TERM DEBT  (D)
    BONDS                -100              0             0             0
    BOND FUNDS HELD BY TRUST               0             0             0
    OTHER LONG-TERM DEBT -700              0     2,765,896             0
    UNAMORT PREM ON DEBT -850              0             0             0
    UNAMORT DISC ON DEBT -860              0             0             0
                                ------------  ------------  ------------
     TOTAL CAPITALIZATION              7,502     5,389,415    10,136,343
                                ------------  ------------  ------------

CURRENT LIABILITIES  (L)
  NOTES PAYABLE          -100              0             0             0
  CURRENT MATURITIES     -200              0       296,864             0
  ACCOUNTS PAYABLE
    ACCOUNTS PAYABLE     -310              1        10,370        27,886
    ACCOUNTS PAY TO ASSOC-320        111,620        76,518       376,104
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401              8        10,760-       51,943
    STATE INCOME TAXES   -450            412        22,800-       92,396-
    OTHER ACCRUED TAXES  -500              0           130             0
  ACCRD DIVIDEND & INTEREST
    INTEREST ACCRUED     -610              0        66,961             0
    DIVIDENDS DECLARED   -620              0             0             0
    MATURED INTEREST     -630              0             0             0
  OTHER
    CUSTOMER DEPOSITS    -910              0             0             0
    TAX COLLECTIONS PAY  -920              0             0             0
    MISC CURR & ACCR LIAB-930              0             0             0
                                ------------  ------------  ------------
     TOTAL CURRENT LIABILITIE        112,041       417,283       363,537
                                ------------  ------------  ------------

  CONTR IN AID OF CONST F-300              0             0             0
  ACCUM DEF INC TXS(H254)-100              0       605,934-      768,219
  ACC DEF INV TAX CREDITS-200              0             0             0
  OTHER
    MINORITY INTEREST    -900              0         1,858             0
    CUST ADV FOR CONSTR  -910              0             0             0
    OTHER DEF CREDITS    -920              0             0             0
    LOST TIME RESERVE    -930              0             0             0
                                ------------  ------------  ------------
     TOTAL DEFERRED CREDITS                0       604,076-      768,219
                                ------------  ------------  ------------

                                ------------  ------------  ------------
TOTAL LIAB & CAPITALIZATION          119,543     5,202,622    11,268,099
                                ============  ============  ============
</TABLE>

<PAGE>
<TABLE>
                            MINNESOTA POWER CONSOLIDATED STATEMENT OF INCOME            Exhibit A
                                    YEAR TO DATE AS OF DECEMBER 1994                    Page 5 of 8
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      MPL           SWL           CNTG    
                                ------------  ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>           <C>         
REVENUE  - ELECTRIC       R100   407,491,808    20,167,115-  402,950,211    24,708,712             0
         - ELECT MISC     T513     9,231,438    12,588,487-   21,765,538        77,298-            0
         - GAS            R400     9,455,807             0             0     9,455,807             0
         - COAL      R500,R501    26,999,023             0             0             0             0
         - AFDC           T101         3,934             0         3,934             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL ELECTRIC OPERATIONS    453,182,010    32,755,602-  424,719,683    34,087,221             0


         - WATER          R300    68,003,295             0             0     4,487,648    63,515,647
         - WATER MISC     R380    23,000,251             0             0             0    23,000,251
         - AFDC           T102       220,647             0             0             0       220,647
                                ------------  ------------  ------------  ------------  ------------
    TOTAL WATER OPERATIONS        91,224,193             0             0     4,487,648    86,736,545


         - INVESTMENT     T300     8,258,217     2,135,102-    6,876,214             0       676,911
         - PULP           T520    52,856,915             0             0             0              
         - REAL ESTATE    T711    31,653,105             0             0             0    31,653,105
         - OTHER          T530       607,513             0             0             0       151,229
         - EQUITY IN SUBS T200             0    26,354,344-   26,354,343             0             0
                                ------------  ------------  ------------  ------------  ------------
  TOTAL INV AND OTHER INCOME      93,375,750    28,489,446-   33,230,557             0    32,481,245
                                ------------  ------------  ------------  ------------  ------------
TOTAL OPER REVENUE AND INCOME    637,781,953    61,245,048-  457,950,240    38,574,869   119,217,790
                                ------------  ------------  ------------  ------------  ------------
OPERATING EXPENSES
  FUEL                    E100    69,905,952             0    69,905,952             0             0
  PURCHASED POWER         E200    87,781,139    17,318,331-   87,781,138    17,318,332             0
  OPERATION      E305,T512,350   145,548,877    15,379,888-   61,400,880     9,680,180    28,280,018
  MAINTENANCE             E405    27,471,642             0    20,544,805     1,069,945     4,115,836
  DEPRECIATION       E500,T590    50,236,181        40,000    33,634,777     1,861,570     8,812,887
  PROPERTY TAXES     E610,T570    38,373,226             0    33,328,176       793,377     3,905,078
  OTHER TAXES        E620,T571     8,974,307             0     4,376,041       456,672     3,558,598
  ADMIN AND GENERAL       E310    77,888,159             0    46,111,609     3,654,668    24,634,513
  MINORITY INTEREST       T511     2,033,096       508,000             0             0     2,541,123
  INTEREST EXPENSE
    INTEREST ON LTD       I100    44,452,174             0    27,980,132       999,011    10,965,981
    OTHER INTEREST EXP    I340     6,762,414     2,192,485-    5,140,432       264,698       955,030
    AMORT OF DEBT EXP     I300     1,479,030             0     1,429,184        49,846             0
  AFDC-DEBT               I200       623,236-            0       389,473-            0       233,763-
                                ------------  ------------  ------------  ------------  ------------
    TOTAL OPERATING EXPENSES     560,282,961    34,342,704-  391,243,653    36,148,299    87,535,301
                                ------------  ------------  ------------  ------------  ------------
INCOME FROM EQUITY INVESTMENT      5,299,242       508,000     8,138,142             0             0
                                ------------  ------------  ------------  ------------  ------------
OPERATING INCOME                  82,798,234    26,394,344-   74,844,729     2,426,570    31,682,489
INCOME TAX EXP   E700,T400,6,7    21,465,250-       16,000    13,511,750-      866,921-    8,675,703-
                                ------------  ------------  ------------  ------------  ------------
INCOME BEFORE EXTRAORDINARY       61,332,984    26,378,344-   61,332,979     1,559,649    23,006,786
EXTRAORDINARY ITEM        X100             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
NET INCOME                        61,332,984    26,378,344-   61,332,979     1,559,649    23,006,786
PREFERRED DIVIDENDS       V100     3,200,467-            0     3,200,467-            0             0
TAX BENEFITS OF ESOP DIV  P500             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
EARNINGS AVAILABLE FOR COMMMON    58,132,517    26,378,344-   58,132,512     1,559,649    23,006,786
COMMOND DIVIDENDS         V200    56,663,380-            0    56,663,380-            0             0
ADJ TO RETAINED EARNINGS  V300             0             0             0             0             0
BEGIN RETAINED EARNINGS   C425   271,176,872             0   271,176,872             0             0
                                ------------  ------------  ------------  ------------  ------------
ENDING RETAINED EARNINGS         272,646,009    26,378,344-  272,646,004     1,559,649    23,006,786
                                ============  ============  ============  ============  ============
<CAPTION>
                                    ENLD          MPAP          CNRD          BNI           RAIN    
                                ------------  ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>           <C>         
REVENUE  - ELECTRIC       R100             0             0             0             0             0
         - ELECT MISC     T513             0             0             0             0       131,685
         - GAS            R400             0             0             0             0             0
         - COAL      R500,R501             0             0             0    26,999,023             0
         - AFDC           T101             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL ELECTRIC OPERATIONS              0             0             0    26,999,023       131,685


         - WATER          R300             0             0             0             0             0
         - WATER MISC     R380             0             0             0             0             0
         - AFDC           T102             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL WATER OPERATIONS                 0             0             0             0             0


         - INVESTMENT     T300       131,969     1,793,842       194,232       116,002             0
         - PULP           T520             0             0             0             0             0
         - REAL ESTATE    T711             0             0             0             0             0
         - OTHER          T530             0             0        52,066-            0             0
         - EQUITY IN SUBS T200             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
  TOTAL INV AND OTHER INCOME         131,969     1,793,842       142,166       116,002             0
                                ------------  ------------  ------------  ------------  ------------
TOTAL OPER REVENUE AND INCOME        131,969     1,793,842       142,166    27,115,025       131,685
                                ------------  ------------  ------------  ------------  ------------
OPERATING EXPENSES
  FUEL                    E100             0             0             0             0             0
  PURCHASED POWER         E200             0             0             0             0             0
  OPERATION      E305,T512,350             0             0             0    16,815,679             0
  MAINTENANCE             E405             0             0             0     1,741,056             0
  DEPRECIATION       E500,T590             0             0           840     1,351,533             0
  PROPERTY TAXES     E610,T570             0         1,118         6,419        24,417             0
  OTHER TAXES        E620,T571             0             0             0       582,996             0
  ADMIN AND GENERAL       E310         7,736       311,714       237,816     1,274,331       267,738
  MINORITY INTEREST       T511             0             0             0             0             0
  INTEREST EXPENSE
    INTEREST ON LTD       I100             0             0             0     1,031,745             0
    OTHER INTEREST EXP    I340             0     1,955,223       630,680         3,338            10
    AMORT OF DEBT EXP     I300             0             0             0             0             0
  AFDC-DEBT               I200             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
    TOTAL OPERATING EXPENSES           7,736     2,268,055       875,755    22,825,095       267,748
                                ------------  ------------  ------------  ------------  ------------
INCOME FROM EQUITY INVESTMENT              0     1,527,500     5,166,109-            0             0
                                ------------  ------------  ------------  ------------  ------------
OPERATING INCOME                     124,233     1,053,287     5,899,698-    4,289,930       136,063-
INCOME TAX EXP   E700,T400,6,7        15,787        91,469-    2,492,113     1,153,680-       68,418
                                ------------  ------------  ------------  ------------  ------------
INCOME BEFORE EXTRAORDINARY          140,020       961,818     3,407,585-    3,136,250        67,645-
EXTRAORDINARY ITEM        X100             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
NET INCOME                           140,020       961,818     3,407,585-    3,136,250        67,645-
PREFERRED DIVIDENDS       V100             0             0             0             0             0
TAX BENEFITS OF ESOP DIV  P500             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
EARNINGS AVAILABLE FOR COMMMON       140,020       961,818     3,407,585-    3,136,250        67,645-
COMMOND DIVIDENDS         V200             0             0             0             0             0
ADJ TO RETAINED EARNINGS  V300             0             0             0             0             0
BEGIN RETAINED EARNINGS   C425             0             0             0             0             0
                                ------------  ------------  ------------  ------------  ------------
ENDING RETAINED EARNINGS             140,020       961,818     3,407,585-    3,136,250        67,645-
                                ============  ============  ============  ============  ============
<CAPTION>
                                    CNSY
                                ------------
<S>                             <C>
REVENUE  - ELECTRIC       R100             0
         - ELECT MISC     T513             0
         - GAS            R400             0
         - COAL      R500,R501             0
         - AFDC           T101             0
                                ------------
    TOTAL ELECTRIC OPERATIONS              0


         - WATER          R300             0
         - WATER MISC     R380             0
         - AFDC           T102             0
                                ------------
    TOTAL WATER OPERATIONS                 0


         - INVESTMENT     T300       588,265
         - PULP           T520    52,856,915
         - REAL ESTATE    T711             0
         - OTHER          T530       403,576
         - EQUITY IN SUBS T200             0
                                ------------
  TOTAL INV AND OTHER INCOME      53,848,756
                                ------------
TOTAL OPER REVENUE AND INCOME     53,848,756
                                ------------
OPERATING EXPENSES
  FUEL                    E100             0
  PURCHASED POWER         E200             0
  OPERATION      E305,T512,350    44,690,000
  MAINTENANCE             E405             0
  DEPRECIATION       E500,T590     4,459,984
  PROPERTY TAXES     E610,T570       312,000
  OTHER TAXES        E620,T571             0
  ADMIN AND GENERAL       E310     1,313,820
  MINORITY INTEREST       T511     1,016,000-
  INTEREST EXPENSE
    INTEREST ON LTD       I100     3,364,777
    OTHER INTEREST EXP    I340             8
    AMORT OF DEBT EXP     I300             0
  AFDC-DEBT               I200             0
                                ------------
    TOTAL OPERATING EXPENSES      53,124,589
                                ------------
INCOME FROM EQUITY INVESTMENT              0
                                ------------
OPERATING INCOME                     724,167
INCOME TAX EXP   E700,T400,6,7       348,663-
                                ------------
INCOME BEFORE EXTRAORDINARY          375,504
EXTRAORDINARY ITEM        X100             0
                                ------------
NET INCOME                           375,504
PREFERRED DIVIDENDS       V100             0
TAX BENEFITS OF ESOP DIV  P500             0
                                ------------
EARNINGS AVAILABLE FOR COMMMON       375,504
COMMOND DIVIDENDS         V200             0
ADJ TO RETAINED EARNINGS  V300             0
BEGIN RETAINED EARNINGS   C425             0
                                ------------
ENDING RETAINED EARNINGS             375,504
                                ============
</TABLE>

<PAGE>
<TABLE>
                            MINNESOTA POWER CONSOLIDATED STATEMENT OF INCOME            Exhibit A
                                    YEAR TO DATE AS OF DECEMBER 1994                    Page 6 of 8
<CAPTION>
                                    LFC1          CNUP          CNPI
                                ------------  ------------  ------------
<S>                             <C>           <C>           <C>
REVENUE  - ELECTRIC       R100             0             0             0
         - ELECT MISC     T513             0             0             0
         - GAS            R400             0             0             0
         - COAL      R500,R501             0             0             0
         - AFDC           T101             0             0             0
                                ------------  ------------  ------------
    TOTAL ELECTRIC OPERATIONS              0             0             0


         - WATER          R300             0             0             0
         - WATER MISC     R380             0             0             0
         - AFDC           T102             0             0             0
                                ------------  ------------  ------------
    TOTAL WATER OPERATIONS                 0             0             0


         - INVESTMENT     T300         9,939         5,944             0
         - PULP           T520             0             0             0
         - REAL ESTATE    T711             0             0             0
         - OTHER          T530             0       104,774             0
         - EQUITY IN SUBS T200             0             0             1
                                ------------  ------------  ------------
  TOTAL INV AND OTHER INCOME           9,939       110,718             1
                                ------------  ------------  ------------
TOTAL OPER REVENUE AND INCOME          9,939       110,718             1
                                ------------  ------------  ------------
OPERATING EXPENSES
  FUEL                    E100             0             0             0
  PURCHASED POWER         E200             0             0             0
  OPERATION      E305,T512,350             0        62,010             0
  MAINTENANCE             E405             0             0             0
  DEPRECIATION       E500,T590             0        74,589             0
  PROPERTY TAXES     E610,T570             0         2,641             0
  OTHER TAXES        E620,T571             0             0             0
  ADMIN AND GENERAL       E310             0        63,231        10,981
  MINORITY INTEREST       T511             0            27-            0
  INTEREST EXPENSE
    INTEREST ON LTD       I100             0       110,529             0
    OTHER INTEREST EXP    I340         5,480             0             0
    AMORT OF DEBT EXP     I300             0             0             0
  AFDC-DEBT               I200             0             0             0
                                ------------  ------------  ------------
    TOTAL OPERATING EXPENSES           5,480       312,973        10,981
                                ------------  ------------  ------------
INCOME FROM EQUITY INVESTMENT              0             0       291,709
                                ------------  ------------  ------------
OPERATING INCOME                       4,459       202,255-      280,729
INCOME TAX EXP   E700,T400,6,7         1,703-      702,207       109,885-
                                ------------  ------------  ------------
INCOME BEFORE EXTRAORDINARY            2,756       499,952       170,844
EXTRAORDINARY ITEM        X100             0             0             0
                                ------------  ------------  ------------
NET INCOME                             2,756       499,952       170,844
PREFERRED DIVIDENDS       V100             0             0             0
TAX BENEFITS OF ESOP DIV  P500             0             0             0
                                ------------  ------------  ------------
EARNINGS AVAILABLE FOR COMMMON         2,756       499,952       170,844
COMMOND DIVIDENDS         V200             0             0             0
ADJ TO RETAINED EARNINGS  V300             0             0             0
BEGIN RETAINED EARNINGS   C425             0             0             0
                                ------------  ------------  ------------
ENDING RETAINED EARNINGS               2,756       499,952       170,844
                                ============  ============  ============
</TABLE>

<PAGE>
<TABLE>
                            MINNESOTA POWER & LIGHT COMPANY AND SUBSIDIARIES            Exhibit A
                              CONSOLIDATING STATEMENT OF RETAINED EARNINGS              Page 7 of 8
                                  FOR THE YEAR ENDED DECEMBER 31, 1994
<CAPTION>
                                                                                      Superior
                                                  Eliminations          Minnesota    Water, Light
                                   Consolidated       and             Power & Light   and Power
                                      Total       Adjustments            Company       Company
                                      -----       -----------            -------       -------
<S>                                <C>            <C>                 <C>            <C>
RETAINED EARNINGS
Balance at beginning of period     $271,176,874   $(107,347,646)      $271,176,874   $11,329,292

Add
 Net Income (Loss)
  Statement of Income                61,332,979     (26,378,349)        61,332,979     1,559,649
                                   ------------   -------------       ------------   -----------
   Total                            332,509,853    (133,725,995)       332,509,853    12,888,941
                                   ------------   -------------       ------------   -----------

Deduct
 Dividends - Cash
  5% Preferred Stock
   ($5.00 per share)                    566,770                            566,770
  Serial Preferred Stock
   ($7.36 per share)                  1,251,200                          1,251,200
  Serial (A) Preferred Stock
   ($6.70 per share)                    669,996                            669,996
  Serial (A) Preferred Stock
   ($7.125 per share)                   712,500                            712,500
  Common Stock                       56,663,380     (15,800,000) <F1>   56,663,380     1,600,000
                                   ------------   -------------       ------------   -----------
  Total Deduction from Earnings      59,863,846     (15,800,000)        59,863,846     1,600,000
                                   ------------   -------------       ------------   -----------

Balance at close of period         $272,646,007   $(117,925,995)      $272,646,007   $11,288,941
                                   ------------   -------------       ------------   -----------
<CAPTION>

                                   Consolidated                   Minnesota
                                      Topeka      Energy Land,      Paper,      Consolidated
                                      Group       Incorporated   Incorporated    RendField
                                      -----       ------------   ------------    ---------
<S>                                <C>            <C>            <C>            <C>
RETAINED EARNINGS
Balance at beginning of period     $74,576,270    $2,422,320     $15,123,005    $(4,057,378)

Add
 Net Income (Loss)
  Statement of Income               23,006,786       140,020         961,818     (3,407,585)
                                   -----------    ----------     -----------    -----------
   Total                            97,583,056     2,562,340      16,084,823     (7,464,963)
                                   -----------    ----------     -----------    -----------

Deduct
 Dividends - Cash
  5% Preferred Stock
   ($5.00 per share)
  Serial Preferred Stock
   ($7.36 per share)
  Serial (A) Preferred Stock
   ($6.70 per share)
  Serial (A) Preferred Stock
   ($7.125 per share)
  Common Stock                      12,000,000
                                   -----------    ----------     -----------    -----------
  Total Deduction from Earnings     12,000,000
                                   -----------    ----------     -----------    -----------

Balance at close of period         $85,583,056    $2,562,340     $16,084,823    $(7,464,963)
                                   -----------    ----------     -----------    -----------
<CAPTION>


                                      BNI         Rainy River    Consolidated
                                   Coal, Ltd.     Energy, Inc.     Synertec
                                   ----------     ------------     --------
<S>                                <C>            <C>            <C>
RETAINED EARNINGS
Balance at beginning of period      $9,884,658    $(1,043,453)   $(794,592)

Add
 Net Income (Loss)
  Statement of Income                3,136,250        (67,645)     375,504
                                   -----------    -----------    ---------
   Total                            13,020,908     (1,111,098)    (419,088)
                                   -----------    -----------    ---------

Deduct
 Dividends - Cash
  5% Preferred Stock
   ($5.00 per share)
  Serial Preferred Stock
   ($7.36 per share)
  Serial (A) Preferred Stock
   ($6.70 per share)
  Serial (A) Preferred Stock
   ($7.125 per share)
  Common Stock                       2,200,000
                                   -----------    -----------    ---------
  Total Deduction from Earnings      2,200,000
                                   -----------    -----------    ---------

Balance at close of period         $10,820,908    $(1,111,098)   $(419,088)
                                   -----------    -----------    ---------
<FN>
<F1>
Common dividends from Superior Water, Light and Power Company, Topeka Group and BNI Coal of $1,600,000,
$12,000,000 and $2,200,000, respectively.
</FN>
</TABLE>

<PAGE>
<TABLE>
                            MINNESOTA POWER & LIGHT COMPANY AND SUBSIDIARIES            Exhibit A
                              CONSOLIDATING STATEMENT OF RETAINED EARNINGS              Page 8 of 8
                                  FOR THE YEAR ENDED DECEMBER 31, 1994
<CAPTION>
                                                  Consolidated
                                    Lakeview          Upper      Consolidated
                                    Financial      Minnesota      Minnesota
                                   Corporation     Properties       Pulp
                                   -----------     ----------       ----
<S>                                <C>            <C>            <C>
RETAINED EARNINGS
Balance at beginning of period     $(5,254)       $   (622)      $ (86,600)

Add
 Net Income (Loss)
  Statement of Income                2,756         499,952         170,844
                                   -------        --------       ---------
   Total                            (2,498)        499,330          84,244
                                   -------        --------       ---------

Deduct
 Dividends - Cash
  5% Preferred Stock
   ($5.00 per share)
  Serial Preferred Stock
   ($7.36 per share)
  Serial (A) Preferred Stock
   ($6.70 per share)
  Serial (A) Preferred Stock
   ($7.125 per share)
  Common Stock
                                   -------        --------       ---------
   Total Deduction from Earnings
                                   -------        --------       ---------

Balance at close of period         $(2,498)       $499,330       $  84,244
                                   -------        --------       ---------
</TABLE>

<PAGE>
<TABLE>
                                 TOPEKA GROUP CONSOLIDATED BALANCE SHEET                Exhibit A-1
                                              DECEMBER  1994                            Page 1 of 3
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS    TOPEKA GROUP      ELAG       FIBERCORE  
                                ------------  ------------    ------------  ------------  ------------
<S>                             <C>           <C>             <C>           <C>           <C>         
UTILITY PLANT (U)
  -WATER                 -300    349,258,528       165,686-              0             0             0
  -GAS                   -400              0             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL GROSS PLANT           349,258,528       165,686-              0             0             0
  ACCUM DEPRECIATION     -600     83,361,576-            0               0             0             0
  CONSTR WORK IN PROGRESS-710      5,753,519             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     NET UTILITY PLANT           271,650,471       165,686-              0             0             0
                                ------------  ------------    ------------  ------------  ------------
NONUTIL PROP & INVESTMENTS(N)
  NONUTILITY & OTHER
    NONUTILITY PLANT     -100     11,132,061             0             830     1,582,192             0
    ACCUM-DEPR NONUTILITY-600      1,354,691-            0             830-    1,353,861-            0
    GOODWILL             -700      1,884,796             0       1,884,796             0             0
    OTHER                -950     24,219,020             0         127,987             0             0
  INVESTMENTS            -900         82,563             0               0             0             0
  INVEST IN ASSOC CO.    -200              1-  108,264,449-    108,264,448             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL NONUTIL PROP & INV     35,963,748   108,264,449-    110,277,231       228,331             0
                                ------------  ------------    ------------  ------------  ------------
CURRENT ASSETS   (A)
  CASH
    CASH                 -110      6,812,528             0         515,893       239,050         1,384
    WORKING FUNDS        -150              0             0               0             0             0
  TEMP CASH INVESTMENTS  -200        426,537             0               0             0             0
  RESTRICTED CASH        -115      4,154,572             0               0             0             0
  TRADE ACCOUNTS RECEIVABLE
    CUSTOMER ACCOUNTS REC-321      8,280,729             0               0             0             0
    ACCUM PROV UNCOL ACT -322        358,128-            0               0             0             0
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE     -310        105,753             0          97,500             0             0
    OTHER ACCTS REC      -409      4,112,258             0               0       207,815             0
    ACCTS REC FROM ASSOC -432     44,729,842    45,456,829-     79,144,012       307,161           557
  FUEL STOCK             -500              0             0               0             0             0
  MATERIALS & SUPPLIES
    PLANT & OPER SUPPLIES-610        964,582             0               0             0             0
    MERCHANDISE          -620              0             0               0             0             0
    STORES EXPENSE UNDIST-630              0             0               0             0             0
  PREPAYMENTS            -700      1,431,417             0          28,674             0             0
  OTHER
    OTH CUR & ACCR ASSETS-900      2,957,919             0               0        78,184             0
    FUNDS HELD BY TRUSTEE-145              0             0               0             0             0
    INTEREST DEP & OTHER -120              0             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL CURRENT ASSETS         73,618,009    45,456,829-     79,786,079       832,210         1,941
                                ------------  ------------    ------------  ------------  ------------
  ACCUM DEF INC TAXES   H-254     19,113,678             0         208,606             0             0
  OTHER                  -200     14,428,672             0         207,103             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL DEFERRED DEBITS        33,542,350             0         415,709             0             0
                                ------------  ------------    ------------  ------------  ------------
TOTAL ASSETS                     414,774,578   153,886,964-    190,479,019     1,060,541         1,941
                                ============  ============    ============  ============  ============
<CAPTION>
                                    LAC           HEATER         SSU
                                ------------   ------------  ------------
<S>                             <C>            <C>           <C>
UTILITY PLANT (U)
  -WATER                 -300              0     42,965,015   306,459,198
  -GAS                   -400              0              0             0
                                ------------   ------------  ------------
     TOTAL GROSS PLANT                     0     42,965,015   306,459,198
  ACCUM DEPRECIATION     -600              0     12,478,612-   70,882,963-
  CONSTR WORK IN PROGRESS-710              0              0     5,753,519
                                ------------   ------------  ------------
     NET UTILITY PLANT                     0     30,486,403   241,329,754
                                ------------   ------------  ------------
NONUTIL PROP & INVESTMENTS(N)
  NONUTILITY & OTHER
    NONUTILITY PLANT     -100              0         33,295     9,515,744
    ACCUM-DEPR NONUTILITY-600              0              0             0
    GOODWILL             -700              0              0             0
    OTHER                -950     24,091,033              0             0
  INVESTMENTS            -900              0         82,563             0
  INVEST IN ASSOC CO.    -200              0              0             0
                                ------------   ------------  ------------
     TOTAL NONUTIL PROP & INV     24,091,033        115,858     9,515,744
                                ------------   ------------  ------------
CURRENT ASSETS   (A)
  CASH
    CASH                 -110      4,262,457        486,325     1,307,421
    WORKING FUNDS        -150              0              0             0
  TEMP CASH INVESTMENTS  -200              0        426,537             0
  RESTRICTED CASH        -115              0              0     4,154,572
  TRADE ACCOUNTS RECEIVABLE
    CUSTOMER ACCOUNTS REC-321              0        947,235     7,333,494
    ACCUM PROV UNCOL ACT -322              0         31,342-      326,785-
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE     -310              0          8,253             0
    OTHER ACCTS REC      -409      3,463,783        197,474       243,186
    ACCTS REC FROM ASSOC -432      1,351,230        536,278     8,847,433
  FUEL STOCK             -500              0              0             0
  MATERIALS & SUPPLIES
    PLANT & OPER SUPPLIES-610        235,677        377,332       351,572
    MERCHANDISE          -620              0              0             0
    STORES EXPENSE UNDIST-630              0              0             0
  PREPAYMENTS            -700              0      1,322,391        80,352
  OTHER
    OTH CUR & ACCR ASSETS-900      2,495,881          7,893       375,961
    FUNDS HELD BY TRUSTEE-145              0              0             0
    INTEREST DEP & OTHER -120              0              0             0
                                ------------   ------------  ------------
     TOTAL CURRENT ASSETS         11,809,028      4,278,376    22,367,206
                                ------------   ------------  ------------
  ACCUM DEF INC TAXES   H-254              0              0    18,905,072
  OTHER                  -200              0              0    14,221,569
                                ------------   ------------  ------------
     TOTAL DEFERRED DEBITS                 0              0    33,126,641
                                ------------   ------------  ------------
TOTAL ASSETS                      35,900,061     34,880,637   306,339,345
                                ============   ============  ============
</TABLE>

<PAGE>
<TABLE>
                                 TOPEKA GROUP CONSOLIDATED BALANCE SHEET                Exhibit A-1
                                              DECEMBER  1994                            Page 2 of 3
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS    TOPEKA GROUP      ELAG       FIBERCORE
                                ------------  ------------    ------------  ------------  ------------
<S>                             <C>           <C>             <C>           <C>           <C>         
CAPITALIZATION
  COMMON EQUITY   (C)
    COMMON STK&PD IN CAP -090     62,765,345    90,013,993-     62,765,345       263,928     5,125,000
    CAPITAL STOCK EXPENSE-300              0             0               0             0             0
    RETAINED EARNINGS    -400     85,583,056    23,476,672-     85,583,055       567,816     4,976,047-
  PREFERRED STOCK  (P)
    5% SERIES            -100              0             0               0             0             0
    $7.36  SERIES        -210              0             0               0             0             0
    $8.90  SERIES        -220              0             0               0             0             0
    $8.30  SERIES        -310              0             0               0             0             0
    $9.125 SERIES        -320              0             0               0             0             0
  LONG-TERM DEBT (D)
    BONDS                         80,852,214             0               0             0             0
    BONDS HELD BY TRUSTEE                  0             0               0             0             0
    OTHER LONG-TERM DEBT -700     36,502,600    29,896,250-     30,000,000             0             0
    UNAMORT PREM ON DEBT -850              0             0               0             0             0
    UNAMORT DISC ON DEBT -860              0             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL CAPITALIZATION        265,703,215   143,386,915-    178,348,400       831,744       148,953
                                ------------  ------------    ------------  ------------  ------------
CURRENT LIABILITIES   (L)
  NOTES PAYABLE          -100        655,180             0               0        31,826             0
  CURRENT MATURITIES     -200      2,026,602             0               0             0             0
  ACCOUNTS PAYABLE
    ACCOUNTS PAYABLE     -310      4,697,241             0               3        93,452             0
    ACCTS PAY TO ASSOC CO-320      3,830,256    15,560,579-     10,143,604        75,612       210,638
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401        278,521-            0          15,732         3,968-      341,079-
    STATE INCOME TAXES   -450        119,807-            0          96,946-            0        16,571-
    OTHER ACCRUED TAXES  -500      3,516,728             0             255             0             0
  ACCRD DIVIDENDS & INTEREST
    INTEREST ACCRUED     -610      2,985,492             0       1,174,505             0             0
    DIVIDENDS DECLARED   -620              0             0               0             0             0
    MATURED INTEREST     -630              0             0               0             0             0
  OTHER
    CUSTOMER DEPOSITS    -910      2,515,370             0               0             0             0
    TAX COLLECTIONS PAY  -920              0             0               0             0             0
    MISC CURR & ACCR LIAB-930      2,680,972             0         419,351        41,965             0
                                ------------  ------------    ------------  ------------  ------------
    TOTAL CURRENT LIABILITIES     22,509,513    15,560,579-     11,656,504       238,887       147,012-
                                ------------  ------------    ------------  ------------  ------------

  CONTR IN AID OF CONST F-300     86,035,535             0               0             0             0
  ACCUM DEF INCOME TAXES -100     20,743,693             0         387,549        10,090-            0
  ACC DEF INV TAX CREDITS-200      1,236,886             0               0             0             0
  OTHER
    MINORITY INTEREST    -900      5,226,216     5,226,216               0             0             0
    CUST ADV FOR CONSTR  -910              0             0               0             0             0
    OTHER DEF CREDITS    -920     13,319,520       165,686-         86,566             0             0
    LOST TIME RESERVE    -930              0             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL DEFERRED CREDITS      126,561,850     5,060,530         474,115        10,090-            0
                                ------------  ------------    ------------  ------------  ------------
TOTAL LIABILITY & CAPITAL        414,774,578   153,886,964-    190,479,019     1,060,541         1,941
                                ============  ============    ============  ============  ============
<CAPTION>
                                    LAC           HEATER         SSU
                                ------------   ------------  ------------
<S>                             <C>            <C>           <C>
CAPITALIZATION
  COMMON EQUITY   (C)
    COMMON STK&PD IN CAP -090      5,952,410      5,840,250    72,832,405
    CAPITAL STOCK EXPENSE-300              0              0             0
    RETAINED EARNINGS    -400     20,178,664      2,361,345     5,344,894
  PREFERRED STOCK  (P)
    5% SERIES            -100              0              0             0
    $7.36  SERIES        -210              0              0             0
    $8.90  SERIES        -220              0              0             0
    $8.30  SERIES        -310              0              0             0
    $9.125 SERIES        -320              0              0             0
  LONG-TERM DEBT (D)
    BONDS                                  0              0    80,852,214
    BONDS HELD BY TRUSTEE                  0              0             0
    OTHER LONG-TERM DEBT -700              0     12,202,600    24,196,250
    UNAMORT PREM ON DEBT -850              0              0             0
    UNAMORT DISC ON DEBT -860              0              0             0
                                ------------   ------------  ------------
     TOTAL CAPITALIZATION         26,131,074     20,404,195   183,225,763
                                ------------   ------------  ------------
CURRENT LIABILITIES   (L)
  NOTES PAYABLE          -100        623,354              0             0
  CURRENT MATURITIES     -200              0         15,457     2,011,144
  ACCOUNTS PAYABLE
    ACCOUNTS PAYABLE     -310        394,744        300,616     3,908,429
    ACCTS PAY TO ASSOC CO-320      1,242,825        411,240     7,306,916
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401         32,424-        83,218             0
    STATE INCOME TAXES   -450              0          6,290-            0
    OTHER ACCRUED TAXES  -500        495,516        324,539     2,696,418
  ACCRD DIVIDENDS & INTEREST
    INTEREST ACCRUED     -610              0              0     1,810,987
    DIVIDENDS DECLARED   -620              0              0             0
    MATURED INTEREST     -630              0              0             0
  OTHER
    CUSTOMER DEPOSITS    -910        598,571        219,125     1,697,673
    TAX COLLECTIONS PAY  -920              0              0             0
    MISC CURR & ACCR LIAB-930        572,213        651,969       995,475
                                ------------   ------------  ------------
    TOTAL CURRENT LIABILITIES      3,894,799      1,999,874    20,427,042
                                ------------   ------------  ------------

  CONTR IN AID OF CONST F-300              0     13,397,757    72,637,779
  ACCUM DEF INCOME TAXES -100              0        921,189-   21,287,423
  ACC DEF INV TAX CREDITS-200              0              0     1,236,886
  OTHER
    MINORITY INTEREST    -900              0              0             0
    CUST ADV FOR CONSTR  -910              0              0             0
    OTHER DEF CREDITS    -920      5,874,188              0     7,524,452
    LOST TIME RESERVE    -930              0              0             0
                                ------------   ------------  ------------
     TOTAL DEFERRED CREDITS        5,874,188     12,476,568   102,686,540
                                ------------   ------------  ------------
TOTAL LIABILITY & CAPITAL         35,900,061     34,880,637   306,339,345
                                ============   ============  ============
</TABLE>

<PAGE>
<TABLE>
                              TOPEKA GROUP CONSOLIDATED STATEMENT OF INCOME             Exhibit A-1
                                     YEAR TO DATE AS OF DECEMBER 1994                   Page 3 of 3
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS    TOPEKA GROUP      ELAG       FIBERCORE
                                ------------  ------------    ------------  ------------  ------------
<S>                             <C>           <C>             <C>           <C>           <C>         
REVENUE - ELECTRIC     R-100               0             0               0             0             0
         - WATER         -300     63,515,647             0               0             0             0
         - GAS           -400              0             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL OPERATING REVENUE      63,515,647             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
OPERATING EXPENSES (E)
  FUEL FOR GENERATION    -100              0             0               0             0             0
  PURCHASE & INTER POWER -200              0             0               0             0             0
  OTHER OPERATION        -300     31,891,940             0               0             0             0
  MAINTENANCE            -410      3,764,958             0               0             0             0
  DEPRECIATION           -500      8,411,576             0               0             0             0
  INCOME TAXES
    FEDERAL INCOME TAXES -710        344,765-            0               0             0             0
    STATE INCOME TAXES   -720          9,735-            0               0             0             0
    DEF INV TAX CREDITS  -750         41,002-            0               0             0             0
    DEFERRED INCOME TAXES-770        690,901             0               0             0             0
  PROPERTY TAXES         -610      3,905,078             0               0             0             0
  OTHER TAXES            -620      3,473,856             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL OPERATING EXPENSES     51,742,807             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------

OPERATING INCOME                  11,772,840             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
OTHER INCOME & DEDUCTIONS (T)
  EQUITY IN EARN OF SUBS -200              0    23,851,983-     23,851,983             0             0
  ALLOW FOR FUNDS-EQUITY -100        220,647             0               0             0             0
  INVESTMENT INCOME      -300        676,911     3,139,104-      3,088,755        15,779             0
  GAIN ON SALE OF SUB    -505              0             0               0             0             0
  MISCELLANEOUS INCOME   -500     30,403,940     2,541,123-        943,987-      621,683             0
  INCOME TAXES - INVEST  -400      2,495,789-            0       2,283,651-            0             0
               - MISC    -600      5,884,515-            0       2,685,062       289,287-            0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL OTHER INC & DEDUCT     22,921,194    29,532,210-     26,398,162       348,175             0
                                ------------  ------------    ------------  ------------  ------------

INCOME BEFORE INTEREST            34,694,034    29,532,210-     26,398,162       348,175             0
                                ------------  ------------    ------------  ------------  ------------
INTEREST CHARGES (I)
  INTEREST EXPENSE
    INTEREST ON LTD      -100     10,965,981     3,139,104-      3,132,000         7,807             0
    AMORT OF DEBT EXPENSE-300              0             0               0             0             0
    OTHER INTEREST EXP   -340        955,030             0         259,377             0             0
  ALLOW FOR FUNDS - DEBT -200        233,763-            0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
     TOTAL INTEREST CHARGES       11,687,248     3,139,104-      3,391,377         7,807             0
                                ------------  ------------    ------------  ------------  ------------

INCOME BEFORE EXTRAORD ITEM       23,006,786    26,393,106-     23,006,785       340,368             0
  EXTRAORD GAIN REPAY OF DEBT
  NET OF MINOR INT $2,415,457              0             0               0             0             0
                                ------------  ------------    ------------  ------------  ------------
NET INCOME                        23,006,786    26,393,106-     23,006,785       340,368             0
                                ============  ============    ============  ============  ============
<CAPTION>
                                    LAC           HEATER         SSU
                                ------------   ------------  ------------
<S>                             <C>            <C>           <C>
REVENUE - ELECTRIC     R-100               0              0             0
         - WATER         -300              0      8,832,828    54,682,819
         - GAS           -400              0              0             0
                                ------------   ------------  ------------
     TOTAL OPERATING REVENUE               0      8,832,828    54,682,819
                                ------------   ------------  ------------
OPERATING EXPENSES (E)
  FUEL FOR GENERATION    -100              0              0             0
  PURCHASE & INTER POWER -200              0              0             0
  OTHER OPERATION        -300              0      4,951,616    26,940,324
  MAINTENANCE            -410              0        101,764     3,663,194
  DEPRECIATION           -500              0      1,286,373     7,125,203
  INCOME TAXES
    FEDERAL INCOME TAXES -710              0        586,090       930,855-
    STATE INCOME TAXES   -720              0        103,929       113,664-
    DEF INV TAX CREDITS  -750              0             60-       40,942-
    DEFERRED INCOME TAXES-770              0        274,583-      965,484
  PROPERTY TAXES         -610              0        216,122     3,688,956
  OTHER TAXES            -620              0        439,947     3,033,910
                                ------------   ------------  ------------
     TOTAL OPERATING EXPENSES              0      7,411,198    44,331,610
                                ------------   ------------  ------------

OPERATING INCOME                           0      1,421,630    10,351,209
                                ------------   ------------  ------------
OTHER INCOME & DEDUCTIONS (T)
  EQUITY IN EARN OF SUBS -200              0              0             0
  ALLOW FOR FUNDS-EQUITY -100              0              0       220,647
  INVESTMENT INCOME      -300              0        131,626       579,855
  GAIN ON SALE OF SUB    -505              0              0             0
  MISCELLANEOUS INCOME   -500     13,408,100        181,957    19,677,310
  INCOME TAXES - INVEST  -400              0         47,204-      164,934-
               - MISC    -600        691,064-        56,816     7,646,042-
                                ------------   ------------  ------------
     TOTAL OTHER INC & DEDUCT     12,717,036        323,195    12,666,836
                                ------------   ------------  ------------

INCOME BEFORE INTEREST            12,717,036      1,744,825    23,018,045
                                ------------   ------------  ------------
INTEREST CHARGES (I)
  INTEREST EXPENSE
    INTEREST ON LTD      -100         11,415      1,051,033     9,902,830
    AMORT OF DEBT EXPENSE-300              0              0             0
    OTHER INTEREST EXP   -340              0         17,855       677,797
  ALLOW FOR FUNDS - DEBT -200              0              0       233,763-
                                ------------   ------------  ------------
     TOTAL INTEREST CHARGES           11,415      1,068,888    10,346,864
                                ------------   ------------  ------------

INCOME BEFORE EXTRAORD ITEM       12,705,621        675,937    12,671,181
  EXTRAORD GAIN REPAY OF DEBT
  NET OF MINOR INT $2,415,457              0              0             0
                                ------------   ------------  ------------
NET INCOME                        12,705,621        675,937    12,671,181
                                ============   ============  ============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 1 of 10
<TABLE>

LEHIGH ACQUISITION CORPORATION AND SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF         31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>

                                                                        PURCHASE ACCOUNTING
                                                COMBINED                    ADJUSTMENTS
                                                ENTITIES              DR                  CR
                                             -------------       -------------       -------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents                        9,367,928
Inventory and supplies                             235,677
Residential construction in progress               786,761
Trade and miscellaneous accounts rec               525,829

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels       3,353,905              48,170
   Timeshare                                       851,277               2,317
   Commercial notes                              2,919,518
                                             -------------       -------------       -------------
   Total contracts receivable-postacq            7,124,700              50,487
                                             -------------       -------------       -------------

Contracts receivable-preacquisition              8,514,393           9,786,578          15,363,017

Due from affiliates:
   Water and wastewater connections              1,347,388
   Tax share
   Other                                        16,857,514
                                             -------------       -------------       -------------
   Total due from affiliates                    18,204,902
                                             -------------       -------------       -------------
Investments/advances to subsidiaries
     
Property and equipment                           7,113,111           1,956,943
  Less accum depreciation                       (4,552,383)            141,707           1,917,210
  Less bargain differential-PP&E                                        29,075             866,286
                                             -------------       -------------       -------------
     Net property and equipment                  2,560,728           2,127,725           2,783,496
                                             -------------       -------------       -------------

Land, land improvements and CIP                 32,381,287           4,380,536
  Less bargain differential-land                                     2,978,800          29,962,015
                                             -------------       -------------       -------------
     Net land, land improvements                32,381,287           7,359,336          29,962,015
                                             -------------       -------------       -------------

Investment in joint venture                         20,161
Other assets                                     1,807,179
                                             -------------       -------------       -------------
                                                81,529,545                              28,784,402
                                             =============       =============       =============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                             387,424
Customer Deposits                                  598,571

Accrued expenses:
   Real estate taxes                               495,516
   Other                                           572,213
                                             -------------       -------------       -------------
   Total accrued expenses                        1,067,729
                                             -------------       -------------       -------------
Due to affiliates:
   Utility fee credit                              800,000
   Tax share                                     1,046,900
   Other                                                50
                                             -------------       -------------       -------------
   Total due to affiliates                       1,846,950
                                             -------------       -------------       -------------
Contingency reserves                             4,855,621                                 425,661
Deferred income                                    227,764                                 254,396
Income taxes payable                             1,575,000
Notes payable                                      623,354
Minority interest                                  110,746

Common stock and R/E (deficit):
  Common stock                                      22,600
  Capital in excess of par value                81,312,351          56,219,827
  Retained earnings (deficit)                  (11,098,565)                             26,755,368
                                             -------------       -------------       -------------
    Total C/S and R/E (deficit)                 70,236,386          56,219,827          26,755,368
                                             -------------       -------------       -------------
                                                81,529,545          28,784,402
                                             =============       =============       =============
<CAPTION>

                                             COMBINED ENTITIES             LEHIGH
                                                ADJUSTED FOR             ACQUISITION
                                             PURCHASE ADJUSTMTS          CORPORATION
                                             ------------------       ----------------
<S>                                          <C>                      <C>
               ASSETS

Cash and cash equivalents                             9,367,928             101,812
Inventory and supplies                                  235,677
Residential construction in progress                    786,761
Trade and miscellaneous accounts rec                    525,829

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels            3,402,075
   Timeshare                                            853,594
   Commercial notes                                   2,919,518
                                             ------------------       -------------
   Total contracts receivable-postacq                 7,175,187
                                             ------------------       -------------

Contracts receivable-preacquisition                   2,937,954

Due from affiliates:
   Water and wastewater connections                   1,347,388
   Tax share                                                              1,046,900
   Other                                             16,857,514
                                             ------------------       -------------
   Total due from affiliates                         18,204,902           1,046,900
                                             ------------------       -------------
Investments/advances to subsidiaries                                     40,771,929
     
Property and equipment                                9,070,054               5,286
  Less accum depreciation                            (6,327,886)               (449)
  Less bargain differential-PP&E                       (837,211)
                                             ------------------       -------------
     Net property and equipment                       1,904,957               4,837
                                             ------------------       -------------

Land, land improvements and CIP                      36,761,823
  Less bargain differential-land                    (26,983,215)
                                             ------------------       -------------
     Net land, land improvements                      9,778,608
                                             ------------------       -------------

Investment in joint venture                              20,161
Other assets                                          1,807,179             (98,059)
                                             ------------------       -------------
                                                     52,745,143          41,827,419
                                             ==================       =============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                                  387,424               7,320
Customer Deposits                                       598,571

Accrued expenses:
   Real estate taxes                                    495,516
   Other                                                572,213
                                             ------------------       -------------
   Total accrued expenses                             1,067,729
                                             ------------------       -------------
Due to affiliates:
   Utility fee credit                                   800,000
   Tax share                                          1,046,900
   Other                                                     50          16,853,624
                                             ------------------       -------------
   Total due to affiliates                            1,846,950          16,853,624
                                             ------------------       -------------
Contingency reserves                                  5,281,282
Deferred income                                         482,160
Income taxes payable                                  1,575,000          (1,164,599)
Notes payable                                           623,354
Minority interest                                       110,746

Common stock and R/E (deficit):
  Common stock                                           22,600                 117
  Capital in excess of par value                     25,092,524           5,952,293
  Retained earnings (deficit)                        15,656,803          20,178,664
                                             ------------------       -------------
    Total C/S and R/E (deficit)                      40,771,927          26,131,074
                                             ------------------       -------------
                                                     52,745,143          41,827,419
                                             ==================       =============
<CAPTION>
                                                                  CONSOLIDATED
                                                                    LEHIGH
                                               ELIMINATIONS       ACQUISITION
                                             AND ADJUSTMENTS      CORPORATION
                                             ----------------    -------------
<S>                                          <C>                 <C>
               ASSETS

Cash and cash equivalents                                            9,469,740
Inventory and supplies                                                 235,677
Residential construction in progress                                   786,761
Trade and miscellaneous accounts rec                                   525,829

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels                           3,402,075
   Timeshare                                                           853,594
   Commercial notes                                                  2,919,518
                                             ----------------    -------------
   Total contracts receivable-postacq                                7,175,187
                                             ----------------    -------------

Contracts receivable-preacquisition                                  2,937,954

Due from affiliates:
   Water and wastewater connections                                  1,347,388
   Tax share                                       (1,046,900)
   Other                                          (16,853,672)           3,842
                                             ----------------    -------------
   Total due from affiliates                      (17,900,572)       1,351,230
                                             ----------------    -------------
Investments/advances to subsidiaries              (40,771,929)
     
Property and equipment                                               9,075,340
  Less accum depreciation                                           (6,328,335)
  Less bargain differential-PP&E                                      (837,211)
                                             ----------------    -------------
     Net property and equipment                                      1,909,794
                                             ----------------    -------------

Land, land improvements and CIP                                     36,761,823
  Less bargain differential-land                                   (26,983,215)
                                             ----------------    -------------
     Net land, land improvements                                     9,778,608
                                             ----------------    -------------

Investment in joint venture                                             20,161
Other assets                                                         1,709,120
                                             ----------------    -------------
                                                  (58,672,501)      35,900,061
                                             ================    =============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                                                 394,744
Customer Deposits                                                      598,571

Accrued expenses:
   Real estate taxes                                                   495,516
   Other                                                               572,213
                                             ----------------    -------------
   Total accrued expenses                                            1,067,729
                                             ----------------    -------------
Due to affiliates:
   Utility fee credit                                                  800,000
   Tax share                                       (1,046,900)
   Other                                          (16,853,674)
                                             ----------------    -------------
   Total due to affiliates                        (17,900,574)         800,000
                                             ----------------    -------------
Contingency reserves                                                 5,281,282
Deferred income                                                        482,160
Income taxes payable                                                   410,401
Notes payable                                                          623,354
Minority interest                                                      110,746

Common stock and R/E (deficit):
  Common stock                                        (22,600)             117
  Capital in excess of par value                  (25,092,524)       5,952,293
  Retained earnings (deficit)                     (15,656,803)      20,178,664
                                             ----------------    -------------
    Total C/S and R/E (deficit)                   (40,771,927)      26,131,074
                                             ----------------    -------------
                                                  (58,672,501)      35,900,061
                                             ================    =============
</TABLE>
<PAGE>
                                                       Exhibit A-2
                                                       Page 2 of 10

<TABLE>
LEHIGH ACQUISITION CORPORATION AND SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF         31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>

                                                                        PURCHASE ACCOUNTING
                                                COMBINED                    ADJUSTMENTS
                                                ENTITIES              DR                  CR
                                             -------------       -------------       -------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only                           1,426,842
  Builder lots (serviced)                        1,479,108              37,794
    Less estimated uncollectible sales            (284,191)
                                             -------------       -------------       -------------
      Net homesite sales                         2,621,759              37,794
                                             -------------       -------------       -------------
  Commercial/bulk land sales                     6,595,975
  Timeshare sales                                   94,658
  Residential sales                              3,683,935
  Discount earned on acquired receivables        1,903,564                               3,809,662

  Bargain differential earned:
    Lots with roads only                                                                   465,394
    Builder lots (serviced)                                                                585,220
    Timeshare
    Commercial/bulk land                                               351,194           1,928,186
    Receivables
    Property and equipment                                                                  29,075
                                             -------------       -------------       -------------
      Total bargain differential earned                                351,194           3,007,875
                                             -------------       -------------       -------------

  Finance income                                   936,843
  Operating revenues - subsidiaries              3,386,440                                 307,683
  Other revenues                                 5,547,296               3,159              39,864
                                             -------------       -------------       -------------
         Total revenues                         24,770,470             392,147           7,165,084
                                             -------------       -------------       -------------

Cost of Sales: 
  Lots with roads only                             586,833                                   3,633
  Builder lots (serviced)                          518,612             364,947
  Commercial/bulk land sales                     3,078,058                                 315,107
  Timeshare sales                                   14,075                                  14,075
  Residential sales                              3,413,959
                                             -------------       -------------       -------------
     Total cost of sales                         7,611,537             364,947             332,815
                                             -------------       -------------       -------------

Expenses:
  Selling expenses                               2,798,339
  Property taxes                                 1,536,671
  General and administrative expenses            2,813,484                                  55,266
  Operating expenses - subsidiaries              2,418,475                                  18,067
  Other expenses                                   510,976                                   6,666
  Depreciation                                     417,568                                 141,707
  Interest expense                                  11,415
                                             -------------       -------------       -------------
       Total expenses                           10,506,928                                 221,706
                                             -------------       -------------       -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                       6,652,005             757,094           7,719,605

Provision for (reduction) income taxes:
  Current                                        1,115,900
  Deferred                                        (896,600)
                                             -------------       -------------       -------------
                                                   219,300
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                      6,432,705             757,094           7,719,605
Minority interest                                  (59,920)
                                             -------------       -------------       -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries          6,372,785             757,094           7,719,605
Equity in earnings of subsidiaries
                                             -------------       -------------       -------------
Net income (loss)                                6,372,785             757,094           7,719,605
R/E (deficit) begin of period                   (9,550,497)                             19,792,857
Dividends from (advances to) subs               (7,920,853)
                                             -------------       -------------       -------------
R/E (deficit) end of period                    (11,098,565)                             26,755,368
                                             =============       =============       =============
<CAPTION>

                                             COMBINED ENTITIES             LEHIGH
                                                ADJUSTED FOR             ACQUISITION
                                             PURCHASE ADJUSTMTS          CORPORATION
                                             ------------------       ----------------
<S>                                          <C>                      <C>
Revenues:
  Lots with roads only                                1,426,842
  Builder lots (serviced)                             1,441,314
    Less estimated uncollectible sales                 (284,191)
                                             ------------------       -------------
      Net homesite sales                              2,583,965
                                             ------------------       -------------
  Commercial/bulk land sales                          6,595,975
  Timeshare sales                                        94,658
  Residential sales                                   3,683,935
  Discount earned on acquired receivables             5,713,226

  Bargain differential earned:
    Lots with roads only                                465,394
    Builder lots (serviced)                             585,220
    Timeshare
    Commercial/bulk land                              1,576,992
    Receivables
    Property and equipment                               29,075
                                             ------------------       -------------
      Total bargain differential earned               2,656,681
                                             ------------------       -------------

  Finance income                                        936,843               8,150
  Operating revenues - subsidiaries                   3,694,123
  Other revenues                                      5,584,001             101,548
                                             ------------------       -------------
         Total revenues                              31,543,407             109,698
                                             ------------------       -------------

Cost of Sales: 
  Lots with roads only                                  583,200
  Builder lots (serviced)                               883,559
  Commercial/bulk land sales                          2,762,951
  Timeshare sales                            
  Residential sales                                   3,413,959
                                             ------------------       -------------
     Total cost of sales                              7,643,669
                                             ------------------       -------------

Expenses:
  Selling expenses                                    2,798,339
  Property taxes                                      1,536,671
  General and administrative expenses                 2,758,218             267,310
  Operating expenses - subsidiaries                   2,400,408
  Other expenses                                        504,310
  Depreciation                                          275,861                 299
  Interest expense                                       11,415
                                             ------------------       -------------
       Total expenses                                10,285,222             267,609
                                             ------------------       -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                           13,614,516            (157,911)

Provision for (reduction) income taxes:
  Current                                             1,115,900             353,305
  Deferred                                             (896,600)            118,459
                                             ------------------       -------------
                                                        219,300             471,764
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                          13,395,216            (629,675)
Minority interest                                       (59,920)
                                             ------------------       -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries              13,335,296            (629,675)
Equity in earnings of subsidiaries                                       13,335,296
                                             ------------------       -------------
Net income (loss)                                    13,335,296          12,705,621
R/E (deficit) begin of period                        10,242,360          15,223,043
Dividends from (advances to) subs                    (7,920,853)         (7,750,000)
                                             ------------------       -------------
R/E (deficit) end of period                          15,656,803          20,178,664
                                             ==================       =============
<CAPTION>
                                                                  CONSOLIDATED
                                                                    LEHIGH
                                               ELIMINATIONS       ACQUISITION
                                             AND ADJUSTMENTS      CORPORATION
                                             ----------------    -------------
<S>                                          <C>                 <C>
Revenues:
  Lots with roads only                                               1,426,842
  Builder lots (serviced)                                            1,441,314
    Less estimated uncollectible sales                                (284,191)
                                             ----------------    -------------
      Net homesite sales                                             2,583,965
                                             ----------------    -------------
  Commercial/bulk land sales                                         6,595,975
  Timeshare sales                                                       94,658
  Residential sales                                                  3,683,935
  Discount earned on acquired receivables                            5,713,226

  Bargain differential earned:
    Lots with roads only                                               465,394
    Builder lots (serviced)                                            585,220
    Timeshare
    Commercial/bulk land                                             1,576,992
    Receivables
    Property and equipment                                              29,075
                                             ----------------    -------------
      Total bargain differential earned                              2,656,681
                                             ----------------    -------------

  Finance income                                                       944,993
  Operating revenues - subsidiaries                                  3,694,123
  Other revenues                                                     5,685,549
                                             ----------------    -------------
         Total revenues                                             31,653,105
                                             ----------------    -------------

Cost of Sales: 
  Lots with roads only                                                 583,200
  Builder lots (serviced)                                              883,559
  Commercial/bulk land sales                                         2,762,951
  Timeshare sales
  Residential sales                                                  3,413,959
                                             ----------------    -------------
     Total cost of sales                                             7,643,669
                                             ----------------    -------------

Expenses:
  Selling expenses                                                   2,798,339
  Property taxes                                                     1,536,671
  General and administrative expenses                                3,025,528
  Operating expenses - subsidiaries                                  2,400,408
  Other expenses                                                       504,310
  Depreciation                                                         276,160
  Interest expense                                                      11,415
                                             ----------------    -------------
       Total expenses                                               10,552,831
                                             ----------------    -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                                          13,456,605

Provision for (reduction) income taxes:
  Current                                                            1,469,205
  Deferred                                                            (778,141)
                                             ----------------    -------------
                                                                       691,064
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                                         12,765,541
Minority interest                                                      (59,920)
                                             ----------------    -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries                             12,705,621
Equity in earnings of subsidiaries                (13,335,296)
                                             ----------------    -------------
Net income (loss)                                 (13,335,296)      12,705,621
R/E (deficit) begin of period                     (10,242,360)      15,223,043 
Dividends from (advances to) subs                   7,920,853       (7,750,000)
                                             ----------------    -------------
R/E (deficit) end of period                       (15,656,803)      20,178,664
                                             ================    =============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 3 of 10

<TABLE>
COMBINED ENTITIES CONSOLIDATING BALANCE SHEET AS OF                                       31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>
                                                 LEHIGH            COMBINED          ORANGE STATE
                                               CORPORATION           WEBB              PROPERTY
                                             AND SUBSIDIARIES        GROUP           SERVICES, INC
                                             ----------------    -------------       -------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents                           9,316,507           51,421
Inventory and supplies                                235,677
Residential construction in progress                  786,761
Trade and miscellaneous accounts rec                  525,829

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels          3,107,589          246,316  
   Timeshare                                          851,277
   Commercial notes                                 2,919,518
                                             ----------------    -------------       -------------
   Total contracts receivable-postacq               6,878,384          246,316
                                             ----------------    -------------       -------------

Contracts receivable-preacquisition                 9,130,421         (616,028)

Due from affiliates:
   Water and wastewater connections                 1,347,388
   Tax share
   Other                                           14,802,436        1,632,415
                                             ----------------    -------------       -------------
   Total due from affiliates                       16,149,824        1,632,415
                                             ----------------    -------------       -------------
Investments/advances to subsidiaries

Property and equipment                              7,113,111
  Less accum depreciation                          (4,552,383)
  Less bargain differential-PP&E
                                             ----------------    -------------       -------------
     Net property and equipment                     2,560,728
                                             ----------------    -------------       -------------

Land, land improvements and CIP                    32,257,204          124,083
  Less bargain differential-land
                                             ----------------    -------------       -------------
     Net land, land improvements                   32,257,204          124,083
                                             ----------------    -------------       -------------

Investment in joint venture                             3,409
Other assets                                        1,188,879          586,900
                                             ----------------    -------------       -------------
                                                   79,033,623        2,025,107
                                             ================    =============       =============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                                378,929            8,495
Customer Deposits                                     592,284            6,287

Accrued expenses:
   Real estate taxes                                  389,444          106,072
   Other                                              570,527            1,537
                                             ----------------    -------------       -------------
   Total accrued expenses                             959,971          107,609
                                             ----------------    -------------       -------------
Due to affiliates:
   Utility fee credit                                 800,000
   Tax share                                          837,600          168,800
   Other
                                             ----------------    -------------       -------------
   Total due to affiliates                          1,637,600          168,800
                                             ----------------    -------------       -------------
Contingency reserves                                4,855,621
Deferred income                                       227,764
Income taxes payable                                1,575,000
Notes payable                                         623,354
Minority interest                                     110,746

Common stock and R/E (deficit):
  Common stock                                            500           20,500
  Capital in excess of par value                   71,290,534        9,339,164
  Retained earnings (deficit)                      (3,218,680)      (7,625,748)
                                             ----------------    -------------       -------------
    Total C/S and R/E (deficit)                    68,072,354        1,733,916
                                             ----------------    -------------       -------------
                                                   79,033,623        2,025,107
                                             ================    =============       =============
<CAPTION>
                                                ATLAS
                                             CONSTRUCTION           LRC OF              SRC OF
                                               SERVICES             GEORGIA             FLORIDA
                                             -------------       -------------       -------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents
Inventory and supplies
Residential construction in progress
Trade and miscellaneous accounts rec

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels
   Timeshare
   Commercial notes
                                             -------------       -------------       -------------
   Total contracts receivable-postacq
                                             -------------       -------------       -------------

Contracts receivable-preacquisition

Due from affiliates:
   Water and wastewater connections
   Tax share
   Other                                           109,089                                 313,574
                                             -------------       -------------       -------------
   Total due from affiliates                       109,089                                 313,574
                                             -------------       -------------       -------------
Investments/advances to subsidiaries

Property and equipment
  Less accum depreciation
  Less bargain differential-PP&E
                                             -------------       -------------       -------------
     Net property and equipment
                                             -------------       -------------       -------------

Land, land improvements and CIP
  Less bargain differential-land
                                             -------------       -------------       -------------
     Net land, land improvements
                                             -------------       -------------       -------------

Investment in joint venture                                                                 16,752
Other assets                                                                                31,400
                                             -------------       -------------       -------------
                                                   109,089                                 361,726
                                             =============       =============       =============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable
Customer Deposits

Accrued expenses:
   Real estate taxes
   Other                                               149
                                             -------------       -------------       -------------
   Total accrued expenses                              149
                                             -------------       -------------       -------------
Due to affiliates:
   Utility fee credit
   Tax share                                                                                40,500
   Other                                                                    50
                                             -------------       -------------       -------------
   Total due to affiliates                                                  50              40,500
                                             -------------       -------------       -------------
Contingency reserves
Deferred income
Income taxes payable
Notes payable
Minority interest

Common stock and R/E (deficit):
  Common stock                                       1,000                 500                 100
  Capital in excess of par value                   124,712             449,490             108,451
  Retained earnings (deficit)                      (16,772)           (450,040)            212,675
                                             -------------       -------------       -------------
    Total C/S and R/E (deficit)                    108,940                 (50)            321,226
                                             -------------       -------------       -------------
                                                   109,089                                 361,726
                                             =============       =============       =============
<CAPTION>
                                                 TOTAL
                                                COMBINED
                                                ENTITIES
                                             -------------
<S>                                          <C>
               ASSETS

Cash and cash equivalents                        9,367,928
Inventory and supplies                             235,677
Residential construction in progress               786,761
Trade and miscellaneous accounts rec               525,829

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels       3,353,905
   Timeshare                                       851,277
   Commercial notes                              2,919,518
                                             -------------
   Total contracts receivable-postacq            7,124,700
                                             -------------

Contracts receivable-preacquisition              8,514,393

Due from affiliates:
   Water and wastewater connections              1,347,388
   Tax share
   Other                                        16,857,514
                                             -------------
   Total due from affiliates                    18,204,902
                                             -------------
Investments/advances to subsidiaries

Property and equipment                           7,113,111
  Less accum depreciation                       (4,552,383)
  Less bargain differential-PP&E
                                             -------------
     Net property and equipment                  2,560,728
                                             -------------

Land, land improvements and CIP                 32,381,287
  Less bargain differential-land
                                             -------------
     Net land, land improvements                32,381,287
                                             -------------

Investment in joint venture                         20,161
Other assets                                     1,807,179
                                             -------------
                                                81,529,545
                                             =============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                             387,424
Customer Deposits                                  598,571

Accrued expenses:
   Real estate taxes                               495,516
   Other                                           572,213
                                             -------------
   Total accrued expenses                        1,067,729
                                             -------------
Due to affiliates:
   Utility fee credit                              800,000
   Tax share                                     1,046,900
   Other                                                50
                                             -------------
   Total due to affiliates                       1,846,950
                                             -------------
Contingency reserves                             4,855,621
Deferred income                                    227,764
Income taxes payable                             1,575,000
Notes payable                                      623,354
Minority interest                                  110,746

Common stock and R/E (deficit):
  Common stock                                      22,600
  Capital in excess of par value                81,312,351
  Retained earnings (deficit)                  (11,098,565)
                                             -------------
    Total C/S and R/E (deficit)                 70,236,386
                                             -------------
                                                81,529,545
                                             =============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 4 of 10

<TABLE>
COMBINED ENTITIES CONSOLIDATING BALANCE SHEET AS OF                                       31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>
                                                 LEHIGH            COMBINED          ORANGE STATE
                                               CORPORATION           WEBB              PROPERTY
                                             AND SUBSIDIARIES        GROUP           SERVICES, INC
                                             ----------------    -------------       -------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only                              1,426,842
  Builder lots (serviced)                           1,479,108
    Less estimated uncollectible sales               (284,191)
                                             ----------------    -------------       -------------
      Net homesite sales                            2,621,759
                                             ----------------    -------------       -------------
  Commercial/bulk land sales                        6,595,975
  Timeshare sales                                      94,658
  Residential sales                                 3,683,935
  Discount earned on acquired receivables           1,549,959          353,605

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             ----------------    -------------       -------------
      Total bargain differential earned
                                             ----------------    -------------       -------------

  Finance income                                      895,791           41,052
  Operating revenues - subsidiaries                 2,592,509          318,092             338,773
  Other revenues                                    5,547,296
                                             ----------------    -------------       -------------
         Total revenues                            23,581,882          712,749             338,773
                                             ----------------    -------------       -------------

Cost of Sales:
  Lots with roads only                                586,833
  Builder lots (serviced)                             518,612
  Commercial/bulk land sales                        3,078,058
  Timeshare sales                                      14,075
  Residential sales                                 3,413,959
                                             ----------------    -------------       -------------
     Total cost of sales                            7,611,537
                                             ----------------    -------------       -------------

Expenses:
  Selling expenses                                  2,771,658           26,681
  Property taxes                                    1,510,414           22,855               3,402
  General and administrative expenses               2,809,110            4,374
  Operating expenses - subsidiaries                 2,179,372           18,067             216,536
  Other expenses                                      510,976
  Depreciation                                        394,644                               22,924
  Interest expense                                     11,415
                                             ----------------    -------------       -------------
       Total expenses                              10,187,589           71,977             242,862
                                             ----------------    -------------       -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                          5,782,756          640,772              95,911

Provision for (reduction) income taxes:
  Current                                             879,100          168,800              27,500
  Deferred                                           (675,100)        (168,800)            (21,300)
                                             ----------------    -------------       -------------
                                                      204,000                                6,200
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                         5,578,756          640,772              89,711
Minority interest                                     (59,920)
                                             ----------------    -------------       -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries             5,518,836          640,772              89,711
Equity in earnings of subsidiaries
                                             ----------------    -------------       -------------
Net income (loss)                                   5,518,836          640,772              89,711
R/E (deficit) begin of period                      (1,237,516)      (8,266,520)            331,142
Dividends from (advances to) subs                  (7,500,000)                            (420,853)
                                             ----------------    -------------       -------------
R/E (deficit) end of period                        (3,218,680)      (7,625,748)
                                             ================    =============       =============
<CAPTION>
                                                ATLAS
                                             CONSTRUCTION           LRC OF              SRC OF
                                               SERVICES             GEORGIA             FLORIDA
                                             -------------       -------------       -------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only
  Builder lots (serviced)
    Less estimated uncollectible sales
                                             -------------       -------------       -------------
      Net homesite sales
                                             -------------       -------------       -------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
  Discount earned on acquired receivables

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             -------------       -------------       -------------
      Total bargain differential earned
                                             -------------       -------------       -------------

  Finance income
  Operating revenues - subsidiaries                                                        137,066
  Other revenues
                                             -------------       -------------       -------------
         Total revenues                                                                    137,066
                                             -------------       -------------       -------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
                                             -------------       -------------       -------------
     Total cost of sales
                                             -------------       -------------       -------------

Expenses:
  Selling expenses
  Property taxes
  General and administrative expenses
  Operating expenses - subsidiaries                                                          4,500
  Other expenses
  Depreciation
  Interest expense
                                             -------------       -------------       -------------
       Total expenses                                                                        4,500
                                             -------------       -------------       -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                                                                 132,566

Provision for (reduction) income taxes:
  Current                                                                                   40,500
  Deferred                                                                                 (31,400)
                                             -------------       -------------       -------------
                                                                                             9,100
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                                                                123,466
Minority interest
                                             -------------       -------------       -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries                                                    123,466
Equity in earnings of subsidiaries
                                             -------------       -------------       -------------
Net income (loss)                                                                          123,466
R/E (deficit) begin of period                      (16,772)           (450,040)             89,209
Dividends from (advances to) subs
                                             -------------       -------------       -------------
R/E (deficit) end of period                        (16,772)           (450,040)            212,675
                                             =============       =============       =============
<CAPTION>
                                                 TOTAL
                                                COMBINED
                                                ENTITIES
                                             -------------
<S>                                          <C>
Revenues:
  Lots with roads only                           1,426,842
  Builder lots (serviced)                        1,479,108
    Less estimated uncollectible sales            (284,191)
                                             -------------
      Net homesite sales                         2,621,759
                                             -------------
  Commercial/bulk land sales                     6,595,975
  Timeshare sales                                   94,658
  Residential sales                              3,683,935
  Discount earned on acquired receivables        1,903,564

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             -------------
      Total bargain differential earned
                                             -------------

  Finance income                                   936,843
  Operating revenues - subsidiaries              3,386,440
  Other revenues                                 5,547,296
                                             -------------
         Total revenues                         24,770,470
                                             -------------

Cost of Sales:
  Lots with roads only                             586,833
  Builder lots (serviced)                          518,612
  Commercial/bulk land sales                     3,078,058
  Timeshare sales                                   14,075
  Residential sales                              3,413,959
                                             -------------
     Total cost of sales                         7,611,537
                                             -------------

Expenses:
  Selling expenses                               2,798,339
  Property taxes                                 1,536,671
  General and administrative expenses            2,813,484
  Operating expenses - subsidiaries              2,418,475
  Other expenses                                   510,976
  Depreciation                                     417,568
  Interest expense                                  11,415
                                             -------------
       Total expenses                           10,506,928
                                             -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                       6,652,005

Provision for (reduction) income taxes:
  Current                                        1,115,900
  Deferred                                        (896,600)
                                             -------------
                                                   219,300
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                      6,432,705
Minority interest                                  (59,920)
                                             -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries          6,372,785
Equity in earnings of subsidiaries
                                             -------------
Net income (loss)                                6,372,785
R/E (deficit) begin of period                   (9,550,497)
Dividends from (advances to) subs               (7,920,853)
                                             -------------
R/E (deficit) end of period                    (11,098,565)
                                             =============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 5 of 10

<TABLE>
LEHIGH CORPORATION AND SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF                     31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>

                                                HOME AT             LEHIGH           OTHER LEHIGH
                                              LEHIGH, INC.         BUILDING           CORPORATION
                                             (98% ownership)      SUPPLY, INC.       SUBSIDIARIES
                                             --------------      -------------       -------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents                           259,018             27,395             196,532
Inventory and supplies                                                 223,514
Residential construction in progress                694,736
Trade and miscellaneous accounts rec                                    27,170             198,541

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels
   Timeshare
   Commercial notes
                                             --------------      -------------       -------------
   Total contracts receivable-postacq
                                             --------------      -------------       -------------

Contracts receivable-preacquisition

Due from affiliates:
   Water and wastewater connections
   Tax share                                         15,400             13,200              65,100
   Other                                                                                   798,904
                                             --------------      -------------       -------------
   Total due from affiliates                         15,400             13,200             864,004
                                             --------------      -------------       -------------
Investments/advances to subsidiaries

Property and equipment                              564,427            979,710           1,416,774
  Less accum depreciation                           (82,027)          (530,149)         (1,093,693)
  Less bargain differential-PP&E
                                             --------------      -------------       -------------
     Net property and equipment                     482,400            449,561             323,081
                                             --------------      -------------       -------------
                              
Land, land improvements and CIP                                                            631,449
  Less bargain differential-land
                                             --------------      -------------       -------------
     Net land, land improvements                                                           631,449
                                             --------------      -------------       -------------

Investment in joint venture
Other assets                                         60,003             30,100              (7,305)
                                             --------------      -------------       -------------
                                                  1,511,557            770,940           2,206,302
                                             ==============      =============       =============
                         
     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                              189,971             42,349              34,983
Customer Deposits                                   562,954                                     10

Accrued expenses:
   Real estate taxes                                                                        14,158
   Other                                             79,657             35,657              46,106
                                             --------------      -------------       -------------
   Total accrued expenses                            79,657             35,657              60,264
                                             --------------      -------------       -------------
Due to affiliates:
   Utility fee credit
   Tax share                                                                                16,800
   Other                                             41,756            984,258             232,403
                                             --------------      -------------       -------------
   Total due to affiliates                           41,756            984,258             249,203
                                             --------------      -------------       -------------
Contingency reserves                                 26,195
Deferred income                                                                              1,457
Income taxes payable
Notes payable                                       620,916             49,533               4,470
Minority interest                                      (686)                               111,432

Common stock and R/E (deficit):
  Common stock                                          490                500               3,525
  Capital in excess of par value                    250,783             37,927           4,148,358
  Retained earnings (deficit)                      (260,479)          (379,284)         (2,407,400)
                                             --------------      -------------       -------------
    Total C/S and R/E (deficit)                      (9,206)          (340,857)          1,744,483
                                             --------------      -------------       -------------
                                                  1,511,557            770,940           2,206,302
                                             ==============      =============       =============
<CAPTION>
                                                                                      TOTAL LEHIGH
                                                                                      CORPORATION
                                                 LEHIGH                                   AND
                                              CORPORATION        ELIMINATIONS        SUBSIDIARIES
                                             -------------       -------------       -------------
<S>                                          <C>                 <C>                 <C>

               ASSETS

Cash and cash equivalents                        8,833,562                               9,316,507
Inventory and supplies                              12,163                                 235,677
Residential construction in progress                92,025                                 786,761
Trade and miscellaneous accounts rec               304,090              (3,972)            525,829

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels       3,107,589                               3,107,589
   Timeshare                                       851,277                                 851,277
   Commercial notes                              2,980,968             (61,450)          2,919,518
                                             -------------       -------------       -------------
   Total contracts receivable-postacq            6,939,834             (61,450)          6,878,384
                                             -------------       -------------       -------------

Contracts receivable-preacquisition              9,130,421                               9,130,421

Due from affiliates:
   Water and wastewater connections              1,347,388                               1,347,388
   Tax share                                                           (93,700)
   Other                                        15,261,947          (1,258,415)         14,802,436
                                             -------------       -------------       -------------
   Total due from affiliates                    16,609,335          (1,352,115)         16,149,824
                                             -------------       -------------       -------------
Investments/advances to subsidiaries            28,151,625         (28,151,625)

Property and equipment                           4,206,954             (54,754)          7,113,111
  Less accum depreciation                       (2,848,349)              1,835          (4,552,383)
  Less bargain differential-PP&E
                                             -------------       -------------       -------------
     Net property and equipment                  1,358,605             (52,919)          2,560,728
                                             -------------       -------------       -------------
                              
Land, land improvements and CIP                 31,354,284             271,471          32,257,204
  Less bargain differential-land
                                             -------------       -------------       -------------
     Net land, land improvements                31,354,284             271,471          32,257,204
                                             -------------       -------------       -------------

Investment in joint venture                          3,409                                   3,409
Other assets                                     1,106,081                               1,188,879
                                             -------------       -------------       -------------
                                               103,895,434         (29,350,610)         79,033,623
                                             =============       =============       =============
                         
     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                             111,626                                 378,929
Customer Deposits                                   29,320                                 592,284

Accrued expenses:
   Real estate taxes                               375,286                                 389,444
   Other                                           413,079              (3,972)            570,527
                                             -------------       -------------       -------------
   Total accrued expenses                          788,365              (3,972)            959,971
                                             -------------       -------------       -------------
Due to affiliates:
   Utility fee credit                              800,000                                 800,000
   Tax share                                       914,500             (93,700)            837,600
   Other                                                            (1,258,417)
                                             -------------       -------------       -------------
   Total due to affiliates                       1,714,500          (1,352,117)          1,637,600
                                             -------------       -------------       -------------
Contingency reserves                             4,829,426                               4,855,621
Deferred income                                    (45,164)            271,471             227,764
Income taxes payable                             1,575,000                               1,575,000
Notes payable                                        9,885             (61,450)            623,354
Minority interest                                                                          110,746

Common stock and R/E (deficit):
  Common stock                                         500              (4,515)                500
  Capital in excess of par value                71,290,534          (4,437,068)         71,290,534
  Retained earnings (deficit)                   23,591,442         (23,762,959)         (3,218,680)
                                             -------------       -------------       -------------
    Total C/S and R/E (deficit)                 94,882,476         (28,204,542)         68,072,354
                                             -------------       -------------       -------------
                                               103,895,434         (29,350,610)         79,033,623
                                             =============       =============       =============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 6 of 10

<TABLE>
LEHIGH CORPORATION AND SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF                     31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>

                                                HOME AT             LEHIGH           OTHER LEHIGH
                                              LEHIGH, INC.         BUILDING           CORPORATION
                                             (98% ownership)      SUPPLY, INC.       SUBSIDIARIES
                                             --------------      -------------       -------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only                                      
  Builder lots (serviced)                           371,572 
    Less estimated uncollectible sales                      
                                             --------------      -------------       -------------
      Net homesite sales                            371,572
                                             --------------      -------------       -------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales                               3,683,935
  Discount earned on acquired receivables

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             --------------      -------------       -------------
      Total bargain differential earned
                                             --------------      -------------       -------------

  Finance income
  Operating revenues - subsidiaries                  15,862          1,087,094           1,908,936
  Other revenues                                     67,241             79,052              30,321
                                             --------------      -------------       -------------
         Total revenues                           4,138,610          1,166,146           1,939,257
                                             --------------      -------------       -------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales                               3,413,959
                                             --------------      -------------       -------------
     Total cost of sales                          3,413,959
                                             --------------      -------------       -------------

Expenses:
  Selling expenses                                  305,363
  Property taxes                                                        20,713              14,722
  General and administrative expenses               360,519
  Operating expenses - subsidiaries                                  1,072,958           1,525,797
  Other expenses
  Depreciation                                       46,068             43,720              70,502
  Interest expense                                                       7,858              26,189
                                             --------------      -------------       -------------
       Total expenses                               711,950          1,145,249           1,637,210
                                             --------------      -------------       -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                           12,701             20,897             302,047

Provision for (reduction) income taxes:
  Current                                           (15,400)           (13,200)             (6,800)
  Deferred                                           15,400             13,200              51,300
                                             --------------      -------------       -------------
                                                                                            44,500
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                          12,701             20,897             257,547
Minority interest                                      (254)                               (59,666)
                                             --------------      -------------       -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries              12,447             20,897             197,881
Equity in earnings of subsidiaries
                                             --------------      -------------       -------------
Net income (loss)                                    12,447             20,897             197,881
R/E (deficit) begin of period                      (272,926)          (400,181)         (2,577,234)
Dividends from (advances to) subs                                                          (28,047)
                                             --------------      -------------       -------------
R/E (deficit) end of period                        (260,479)          (379,284)         (2,407,400)
                                             ==============      =============       =============
<CAPTION>
                                                                                      TOTAL LEHIGH
                                                                                      CORPORATION
                                                 LEHIGH                                   AND
                                              CORPORATION        ELIMINATIONS        SUBSIDIARIES
                                             -------------       -------------       -------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only                           1,426,842                               1,426,842
  Builder lots (serviced)                        1,107,536                               1,479,108
    Less estimated uncollectible sales            (284,191)                               (284,191)
                                             -------------       -------------       -------------
      Net homesite sales                         2,250,187                               2,621,759
                                             -------------       -------------       -------------
  Commercial/bulk land sales                     6,595,975                               6,595,975
  Timeshare sales                                   94,658                                  94,658
  Residential sales                                                                      3,683,935
  Discount earned on acquired receivables        1,549,959                               1,549,959

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             -------------       -------------       -------------
      Total bargain differential earned
                                             -------------       -------------       -------------

  Finance income                                   920,326             (24,535)            895,791
  Operating revenues - subsidiaries                                   (419,383)          2,592,509
  Other revenues                                 5,509,310            (138,628)          5,547,296
                                             -------------       -------------       -------------
         Total revenues                         16,920,415            (582,546)         23,581,882 
                                             -------------       -------------       -------------

Cost of Sales:
  Lots with roads only                             586,833                                 586,833
  Builder lots (serviced)                          518,612                                 518,612
  Commercial/bulk land sales                     3,078,058                               3,078,058
  Timeshare sales                                   14,075                                  14,075
  Residential sales                                                                      3,413,959
                                             -------------       -------------       -------------
     Total cost of sales                         4,197,578                               7,611,537
                                             -------------       -------------       -------------

Expenses:
  Selling expenses                               2,466,295                               2,771,658
  Property taxes                                 1,474,979                               1,510,414
  General and administrative expenses            2,448,591                               2,809,110
  Operating expenses - subsidiaries                                   (419,383)          2,179,372
  Other expenses                                   649,604            (138,628)            510,976
  Depreciation                                     236,189              (1,835)            394,644
  Interest expense                                   1,903             (24,535)             11,415
                                             -------------       -------------       -------------
       Total expenses                            7,277,561            (584,381)         10,187,589
                                             -------------       -------------       -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                       5,445,276               1,835           5,782,756

Provision for (reduction) income taxes:
  Current                                          914,500                                 879,100
  Deferred                                        (755,000)                               (675,100)
                                             -------------       -------------       -------------
                                                   159,500                                 204,000
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                      5,285,776               1,835           5,578,756
Minority interest                                                                          (59,920)
                                             -------------       -------------       -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries          5,285,776               1,835           5,518,836
Equity in earnings of subsidiaries               7,195,571          (7,195,571)
                                             -------------       -------------       -------------
Net income (loss)                               12,481,347          (7,193,736)          5,518,836
R/E (deficit) begin of period                   18,610,095         (16,597,270)         (1,237,516)
Dividends from (advances to) subs               (7,500,000)             28,047          (7,500,000)
                                             -------------       -------------       -------------
R/E (deficit) end of period                     23,591,442         (23,762,959)         (3,218,680)
                                             =============       =============       =============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 7 of 10

<TABLE>
OTHER LEHIGH CORPORATION SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF                   31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>
                                                                                        NEWS-STAR
                                             LEHIGH LAND &         CLIFFSIDE          PUBLICATIONS,
                                              INVESTMENT,          PROPERTIES             INC.
                                                 INC.                 INC.           (60% ownership)
                                             -------------       -------------       --------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents                                                                    95,425
Inventory and supplies
Residential construction in progress
Trade and miscellaneous accounts rec                                                         91,225

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels
   Timeshare
   Commercial notes
                                             -------------       -------------       --------------
   Total contracts receivable-postacq
                                             -------------       -------------       --------------

Contracts receivable-preacquisition

Due from affiliates:
   Water and wastewater connections
   Tax share                                                            65,000
   Other                                                               798,904
                                             -------------       -------------       --------------
   Total due from affiliates                                           863,904
                                             -------------       -------------       --------------
Investments/advances to subsidiaries

Property and equipment                                                                      211,837
  Less accum depreciation                                                                  (101,432)
  Less bargain differential-PP&E
                                             -------------       -------------       --------------
     Net property and equipment                                                             110,405
                                             -------------       -------------       --------------

Land, land improvements and CIP
  Less bargain differential-land
                                             -------------       -------------       --------------
     Net land, land improvements
                                             -------------       -------------       --------------

Investment in joint venture
Other assets                                                           (23,800)                 995
                                             -------------       -------------       --------------
                                                                       840,104              298,050
                                             =============       =============       ==============

     LIAB, CAP STOCK AND R/E (DEFICIT)
                                   
Trade accounts payable                                                                        7,234
Customer Deposits

Accrued expenses:
   Real estate taxes                                                                          2,350
   Other                                                                                      7,512
                                             -------------       -------------       --------------
   Total accrued expenses                                                                     9,862
                                             -------------       -------------       --------------
Due to affiliates:
   Utility fee credit
   Tax share
   Other                                                                                     37,200
                                             -------------       -------------       --------------
   Total due to affiliates                                                                   37,200
                                             -------------       -------------       --------------
Contingency reserves
Deferred income                                                                               1,457
Income taxes payable
Notes payable                                                                                 4,470
Minority interest                                                                            93,015

Common stock and R/E (deficit):
  Common stock                                         500               1,000                1,500
  Capital in excess of par value                 2,493,054             909,424               32,187
  Retained earnings (deficit)                   (2,493,554)            (70,320)             111,125
                                             -------------       -------------       --------------
    Total C/S and R/E (deficit)                                        840,104              144,812
                                             -------------       -------------       --------------
                                                                       840,104              298,050
                                             =============       =============       ==============
<CAPTION>

                                               ABLE LAND          ENTERPRISE            LEHIGH
                                               SERVICES,          LEHIGH, INC.          COUNTRY
                                                  INC.           80% ownership          CLUB, INC.
                                             -------------       --------------      --------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents                           99,321                1,786
Inventory and supplies
Residential construction in progress
Trade and miscellaneous accounts rec               107,316

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels
   Timeshare
   Commercial notes
                                             -------------       --------------      --------------
   Total contracts receivable-postacq
                                             -------------       --------------      --------------

Contracts receivable-preacquisition

Due from affiliates:
   Water and wastewater connections
   Tax share                                                                100
   Other
                                             -------------       --------------      --------------
   Total due from affiliates                                                100
                                             -------------       --------------      --------------
Investments/advances to subsidiaries

Property and equipment                           1,204,937
  Less accum depreciation                         (992,261)
  Less bargain differential-PP&E
                                             -------------       --------------      --------------
     Net property and equipment                    212,676
                                             -------------       --------------      --------------

Land, land improvements and CIP                                         631,449
  Less bargain differential-land
                                             -------------       --------------      --------------
     Net land, land improvements                                        631,449
                                             -------------       --------------      --------------

Investment in joint venture
Other assets                                        15,600                 (100)
                                             -------------       --------------      --------------
                                                   434,913              633,235
                                             =============       ==============      ==============

     LIAB, CAP STOCK AND R/E (DEFICIT)
                                   
Trade accounts payable                              25,490                2,259
Customer Deposits                                                            10

Accrued expenses:
   Real estate taxes                                11,808
   Other                                            38,594
                                             -------------       --------------      --------------
   Total accrued expenses                           50,402
                                             -------------       --------------      --------------
Due to affiliates:
   Utility fee credit
   Tax share                                        16,800
   Other                                           195,203
                                             -------------       --------------      --------------
   Total due to affiliates                         212,003
                                             -------------       --------------      --------------
Contingency reserves
Deferred income
Income taxes payable
Notes payable
Minority interest                                    8,488                9,929

Common stock and R/E (deficit):
  Common stock                                         485                   40
  Capital in excess of par value                    92,411              621,282
  Retained earnings (deficit)                       45,634                 (285)
                                             -------------       --------------      --------------
    Total C/S and R/E (deficit)                    138,530              621,037
                                             -------------       --------------      --------------
                                                   434,913              633,235
                                             =============       ==============      ==============
<CAPTION>
                                             TOTAL OTHER 
                                                LEHIGH
                                              CORPORATION
                                              SUBSIDIARIES
                                             --------------
<S>                                          <C>
               ASSETS

Cash and cash equivalents                           196,532
Inventory and supplies
Residential construction in progress
Trade and miscellaneous accounts rec                198,541

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels
   Timeshare
   Commercial notes
                                             --------------
   Total contracts receivable-postacq
                                             --------------

Contracts receivable-preacquisition

Due from affiliates:
   Water and wastewater connections
   Tax share                                         65,100
   Other                                            798,904
                                             --------------
   Total due from affiliates                        864,004
                                             --------------
Investments/advances to subsidiaries

Property and equipment                            1,416,774
  Less accum depreciation                        (1,093,693)
  Less bargain differential-PP&E
                                             --------------
     Net property and equipment                     323,081
                                             --------------

Land, land improvements and CIP                     631,449
  Less bargain differential-land
                                             --------------
     Net land, land improvements                    631,449
                                             --------------

Investment in joint venture
Other assets                                         (7,305)
                                             --------------
                                                  2,206,302
                                             ==============

     LIAB, CAP STOCK AND R/E (DEFICIT)
                                   
Trade accounts payable                               34,983
Customer Deposits                                        10

Accrued expenses:
   Real estate taxes                                 14,158
   Other                                             46,106
                                             --------------
   Total accrued expenses                            60,264
                                             --------------
Due to affiliates:
   Utility fee credit
   Tax share                                         16,800
   Other                                            232,403
                                             --------------
   Total due to affiliates                          249,203
                                             --------------
Contingency reserves
Deferred income                                       1,457
Income taxes payable
Notes payable                                         4,470
Minority interest                                   111,432

Common stock and R/E (deficit):
  Common stock                                        3,525
  Capital in excess of par value                  4,148,358
  Retained earnings (deficit)                    (2,407,400)
                                             --------------
    Total C/S and R/E (deficit)                   1,744,483
                                             --------------
                                                  2,206,302
                                             ==============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 8 of 10

<TABLE>
OTHER LEHIGH CORPORATION SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF                   31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>
                                                                                        NEWS-STAR
                                             LEHIGH LAND &         CLIFFSIDE          PUBLICATIONS,
                                              INVESTMENT,          PROPERTIES             INC.
                                                 INC.                 INC.           (60% ownership)
                                             -------------       -------------       --------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only
  Builder lots (serviced)
    Less estimated uncollectible sales
                                             -------------       -------------       --------------
      Net homesite sales
                                             -------------       -------------       --------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
  Discount earned on acquired receivables

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             -------------       -------------       --------------
      Total bargain differential earned
                                             -------------       -------------       --------------

  Finance income
  Operating revenues - subsidiaries                                                         732,646
  Other revenues
                                             -------------       -------------       --------------
         Total revenues                                                                     732,646
                                             -------------       -------------       --------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
                                             -------------       -------------       --------------
     Total cost of sales
                                             -------------       -------------       --------------

Expenses:
  Selling expenses
  Property taxes                                                                              2,350
  General and administrative expenses
  Operating expenses - subsidiaries                                                         514,920
  Other expenses
  Depreciation                                                                               18,079
  Interest expense                                                                            8,665
                                             -------------       -------------       --------------
       Total expenses                                                                       544,014
                                             -------------       -------------       --------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                                                                  188,632

Provision for (reduction) income taxes:
  Current                                                              (65,000)              41,500
  Deferred                                                              65,000
                                             -------------       -------------       --------------
                                                                                             41,500
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                                                                 147,132
Minority interest                                                                           (58,853)
                                             -------------       -------------       --------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries                                                      88,279
Equity in earnings of subsidiaries
                                             -------------       -------------       --------------
Net income (loss)                                                                            88,279
R/E (deficit) begin of period                   (2,493,554)            (70,320)              22,846
Dividends from (advances to) subs
                                             -------------       -------------       --------------
R/E (deficit) end of period                     (2,493,554)            (70,320)             111,125
                                             =============       =============       ==============
<CAPTION>

                                               ABLE LAND          ENTERPRISE            LEHIGH
                                               SERVICES,          LEHIGH, INC.          COUNTRY
                                                  INC.           80% ownership          CLUB, INC.
                                             -------------       --------------      --------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only
  Builder lots (serviced)
    Less estimated uncollectible sales
                                             -------------       --------------      --------------
      Net homesite sales
                                             -------------       --------------      --------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
  Discount earned on acquired receivables

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             -------------       --------------      --------------
      Total bargain differential earned
                                             -------------       --------------      --------------

  Finance income
  Operating revenues - subsidiaries              1,176,290
  Other revenues                                    30,321
                                             -------------       --------------      --------------
         Total revenues                          1,206,611
                                             -------------       --------------      --------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
                                             -------------       --------------      --------------
     Total cost of sales
                                             -------------       --------------      --------------

Expenses:
  Selling expenses
  Property taxes                                    12,372
  General and administrative expenses
  Operating expenses - subsidiaries              1,010,521                  356
  Other expenses
  Depreciation                                      52,423
  Interest expense                                  17,524
                                             -------------       --------------      --------------
       Total expenses                            1,092,840                  356
                                             -------------       --------------      --------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                         113,771                 (356)

Provision for (reduction) income taxes:
  Current                                           16,800                 (100)
  Deferred                                         (13,800)                 100
                                             -------------       --------------      --------------
                                                     3,000
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                        110,771                 (356)
Minority interest                                     (884)                  71
                                             -------------       --------------      --------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries            109,887                 (285)
Equity in earnings of subsidiaries
                                             -------------       --------------      --------------
Net income (loss)                                  109,887                 (285)
R/E (deficit) begin of period                      (64,253)                                  28,047
Dividends from (advances to) subs                                                           (28,047)
                                             -------------       --------------      --------------
R/E (deficit) end of period                         45,634                 (285)
                                             =============       ==============      ==============
<CAPTION>
                                              TOTAL OTHER
                                                LEHIGH
                                              CORPORATION
                                              SUBSIDIARIES
                                             --------------
<S>                                          <C>
Revenues:
  Lots with roads only
  Builder lots (serviced)
    Less estimated uncollectible sales
                                             --------------
      Net homesite sales
                                             --------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
  Discount earned on acquired receivables

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             --------------
      Total bargain differential earned
                                             --------------

  Finance income
  Operating revenues - subsidiaries               1,908,936
  Other revenues                                     30,321
                                             --------------
         Total revenues                           1,939,257
                                             --------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
                                             --------------
     Total cost of sales
                                             --------------

Expenses:
  Selling expenses
  Property taxes                                     14,722
  General and administrative expenses
  Operating expenses - subsidiaries               1,525,797
  Other expenses
  Depreciation                                       70,502
  Interest expense                                   26,189
                                             --------------
       Total expenses                             1,637,210
                                             --------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                          302,047

Provision for (reduction) income taxes:
  Current                                            (6,800)
  Deferred                                           51,300
                                             --------------
                                                     44,500
Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                         257,547
Minority interest                                   (59,666)
                                             --------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries             197,881
Equity in earnings of subsidiaries
                                             --------------
Net income (loss)                                   197,881
R/E (deficit) begin of period                    (2,577,234)
Dividends from (advances to) subs                   (28,047)
                                             --------------
R/E (deficit) end of period                      (2,407,400)
                                             ==============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 9 of 10

<TABLE>
OTHER FLORIDA SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF                              31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>
                                               INTERLACHEN
                                                  LAKES             SUNDOWNER
                                                 ESTATES         PROPERTIES, INC.
                                             --------------      ---------------     -------------
<S>                                          <C>                 <C>                 <C>
               ASSETS

Cash and cash equivalents                            32,806               18,615
Inventory and supplies
Residential construction in progress
Trade and miscellaneous accounts rec

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels          145,712              100,604
   Timeshare
   Commercial notes
                                             --------------      ---------------     -------------
   Total contracts receivable-postacq               145,712              100,604
                                             --------------      ---------------     -------------

Contracts receivable-preacquisition                (337,010)            (279,018)

Due from affiliates:
   Water and wastewater connections
   Tax share
   Other                                            857,872              774,543
                                             --------------      ---------------     -------------
   Total due from affiliates                        857,872              774,543
                                             --------------      ---------------     -------------
Investments/advances to subsidiaries

Property and equipment
  Less accum depreciation
  Less bargain differential-PP&E
                                             --------------      ---------------     -------------
     Net property and equipment
                                             --------------      ---------------     -------------
                         
Land, land improvements and CIP                      60,659               63,424
  Less bargain differential-land
                                             --------------      ---------------     -------------
     Net land, land improvements                     60,659               63,424
                                             --------------      ---------------      -------------

Investment in joint venture
Other assets                                        325,000              261,900
                                             --------------      ---------------     -------------
                                                  1,085,039              940,068
                                             ==============      ===============     =============

     LIAB, CAP STOCK AND R/E (DEFICIT)
                         
Trade accounts payable                                8,495
Customer Deposits                                     1,100                5,187

Accrued expenses:
   Real estate taxes                                 51,708               54,364
   Other                                                725                  812
                                             --------------      ---------------     -------------
   Total accrued expenses                            52,433               55,176
                                             --------------      ---------------     -------------
Due to affiliates:
   Utility fee credit
   Tax share                                         96,200               72,600
   Other
                                             --------------      ---------------     -------------
   Total due to affiliates                           96,200               72,600
                                             --------------      ---------------     -------------
Contingency reserves
Deferred income
Income taxes payable
Notes payable
Minority interest

Common stock and R/E (deficit):
  Common stock                                       20,000                  500
  Capital in excess of par value                  2,089,677            7,249,487
  Retained earnings (deficit)                    (1,182,866)          (6,442,882)
                                             --------------      ---------------     -------------
    Total C/S and R/E (deficit)                     926,811              807,105
                                             --------------      ---------------     -------------
                                                  1,085,039              940,068
                                             ==============      ===============     =============
<CAPTION>

                                                                    COMBINED
                                              ELIMINATIONS         WEBB GROUP
                                             --------------      --------------
<S>                                          <C>                 <C>
               ASSETS

Cash and cash equivalents                                                51,421
Inventory and supplies
Residential construction in progress
Trade and miscellaneous accounts rec

Contracts receivable-postacquisition:
   Homesites, net of allowance for cancels                              246,316
   Timeshare
   Commercial notes
                                             --------------      --------------
   Total contracts receivable-postacq                                   246,316
                                             --------------      --------------

Contracts receivable-preacquisition                                    (616,028)

Due from affiliates:
   Water and wastewater connections
   Tax share
   Other                                                              1,632,415
                                             --------------      --------------
   Total due from affiliates                                          1,632,415
                                             --------------      --------------
Investments/advances to subsidiaries

Property and equipment
  Less accum depreciation
  Less bargain differential-PP&E
                                             --------------      --------------
     Net property and equipment
                                             --------------      --------------
                         
Land, land improvements and CIP                                         124,083
  Less bargain differential-land
                                             --------------      --------------
     Net land, land improvements                                        124,083
                                             --------------      --------------

Investment in joint venture
Other assets                                                            586,900
                                             --------------      --------------
                                                                      2,025,107
                                             ==============      ==============

     LIAB, CAP STOCK AND R/E (DEFICIT)

Trade accounts payable                                                    8,495
Customer Deposits                                                         6,287

Accrued expenses:
   Real estate taxes                                                    106,072
   Other                                                                  1,537
                                             --------------      --------------
   Total accrued expenses                                               107,609
                                             --------------      --------------
Due to affiliates:
   Utility fee credit
   Tax share                                                            168,800
   Other
                                             --------------      --------------
   Total due to affiliates                                              168,800
                                             --------------      --------------
Contingency reserves
Deferred income
Income taxes payable
Notes payable
Minority interest

Common stock and R/E (deficit):
  Common stock                                                           20,500
  Capital in excess of par value                                      9,339,164 
  Retained earnings (deficit)                                        (7,625,748)
                                             --------------      --------------
    Total C/S and R/E (deficit)                                       1,733,916
                                             --------------      --------------
                                                                      2,025,107
                                             ==============      ==============
</TABLE>

<PAGE>
                                                       Exhibit A-2
                                                       Page 10 of 10

<TABLE>
OTHER FLORIDA SUBSIDIARIES CONSOLIDATING BALANCE SHEET AS OF                              31-Dec-94
INCOME STATEMENT FOR THE                     12 MONTHS ENDED                              31-Dec-94
<CAPTION>
                                               INTERLACHEN
                                                  LAKES             SUNDOWNER
                                                 ESTATES         PROPERTIES, INC.
                                             --------------      ---------------     -------------
<S>                                          <C>                 <C>                 <C>
Revenues:
  Lots with roads only
  Builder lots (serviced)
    Less estimated uncollectible sales
                                             --------------      ---------------     -------------
      Net homesite sales
                                             --------------      ---------------     -------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
  Discount earned on acquired receivables           169,836              183,769

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             --------------      ---------------     -------------
      Total bargain differential earned
                                             --------------      ---------------     -------------
                         
  Finance income                                     23,057               17,995
  Operating revenues - subsidiaries                 209,983              108,109
  Other revenues
                                             --------------      ---------------     -------------
         Total revenues                             402,876              309,873
                                             --------------      ---------------     -------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
                                             --------------      ---------------     -------------
     Total cost of sales
                                             --------------      ---------------     -------------

Expenses:
  Selling expenses                                   14,129               12,552
  Property taxes                                     15,461                7,394
  General and administrative expenses                 2,861                1,513
  Operating expenses - subsidiaries                   9,883                8,184
  Other expenses
  Depreciation
  Interest expense
                                             --------------      ---------------     -------------
       Total expenses                                42,334               29,643
                                             --------------      ---------------     -------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                          360,542              280,230

Provision for (reduction) income taxes:
  Current                                            96,200               72,600
  Deferred                                          (96,200)             (72,600)
                                             --------------      ---------------     -------------

Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                         360,542              280,230
Minority interest
                                             --------------      ---------------     -------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries             360,542              280,230
Equity in earnings of subsidiaries
                                             --------------      ---------------     -------------
Net income (loss)                                   360,542              280,230
R/E (deficit) begin of period                    (1,543,408)          (6,723,112)
Dividends from (advances to) subs
                                             --------------      ---------------     -------------
R/E (deficit) end of period                      (1,182,866)          (6,442,882)
                                             ==============      ===============     =============
<CAPTION>

                                                                    COMBINED
                                              ELIMINATIONS         WEBB GROUP
                                             --------------      --------------
<S>                                          <C>                 <C>
Revenues:
  Lots with roads only
  Builder lots (serviced)
    Less estimated uncollectible sales
                                             --------------      --------------
      Net homesite sales
                                             --------------      --------------
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
  Discount earned on acquired receivables                               353,605

  Bargain differential earned:
    Lots with roads only
    Builder lots (serviced)
    Timeshare
    Commercial/bulk land
    Receivables
    Property and equipment
                                             --------------      --------------
      Total bargain differential earned
                                             --------------      --------------
                         
  Finance income                                                         41,052
  Operating revenues - subsidiaries                                     318,092
  Other revenues
                                             --------------      --------------
         Total revenues                                                 712,749
                                             --------------      --------------

Cost of Sales:
  Lots with roads only
  Builder lots (serviced)
  Commercial/bulk land sales
  Timeshare sales
  Residential sales
                                             --------------      --------------
     Total cost of sales
                                             --------------      --------------

Expenses:
  Selling expenses                                                       26,681
  Property taxes                                                         22,855
  General and administrative expenses                                     4,374
  Operating expenses - subsidiaries                                      18,067
  Other expenses
  Depreciation
  Interest expense
                                             --------------      --------------
       Total expenses                                                    71,977
                                             --------------      --------------
Income (loss) before income taxes,
  minority interest, and equity in
  earnings of subsidiaries                                              640,772

Provision for (reduction) income taxes:
  Current                                                               168,800
  Deferred                                                             (168,800)
                                             --------------      --------------

Income (loss) before minority
  interest and equity in earnings of
  consolidated subsidiaries                                             640,772
Minority interest
                                             --------------      --------------
Net income (loss) before equity in
  earnings of consolidated subsidiaries                                 640,772
Equity in earnings of subsidiaries
                                             --------------      --------------
Net income (loss)                                                       640,772
R/E (deficit) begin of period                                        (8,266,520)
Dividends from (advances to) subs
                                             --------------      --------------
R/E (deficit) end of period                                          (7,625,748)
                                             ==============      ==============
</TABLE>

<PAGE>
<TABLE>
HEATER UTILITIES, INC.                                                                  Exhibit A-3
CONSOLIDATED BALANCE SHEET                                                              Page 1 of 3
FOR THE YEAR ENDED DECEMBER 31, 1994
<CAPTION>
                                             HEATER       HEATER OF     BROOKWOOD      UPSTATE
                                            UTILITIES     SEABROOK      WATER CORP.     HEATER
<S>                                         <C>           <C>           <C>           <C>
ASSETS

PROPERTY AND EQUIPMENT
   Utility plant                            $31,036,581    $7,917,611    $6,267,067    $1,269,767
   Non utility property                          33,295
                                            -----------   -----------   -----------   -----------
                                             31,069,876     7,917,611     6,267,067     1,269,767
                                            -----------   -----------   -----------   -----------
   Less: 
      Acquisition adjustment  (net)          (3,581,776)       98,241        74,028      (116,503)
      Accumulated depreciation               (8,365,964)   (1,849,442)   (1,960,582)     (302,625)
                                            -----------   -----------   -----------   -----------
                                            (11,947,740)   (1,751,201)   (1,886,554)     (419,128)
                                            -----------   -----------   -----------   -----------


INVESTMENTS
   Other Investments                            618,841
   Investments In Subs.                       3,491,542
                                            -----------   -----------   -----------   -----------
                                              4,110,383             0             0             0
                                            -----------   -----------   -----------   -----------

CURRENT ASSETS
   Cash                                         448,528         2,831        17,576          7473
   Working funds                                  9,167                                       750
   Investment in CD's                           256,316       100,221        20,000        50,000
   Customer accounts receivable                 548,166       211,163       152,231        35,674
     less allowances for doubtful accounts      (21,399)       (6,292)       (1,677)       (1,975)
   Notes receivable                           4,186,269                       8,253
   Other accounts receivable                    186,998           808         9,139           529
   Accts. receivable from Assoc. Companies      254,339
   Installation materials and supplies          300,737        37,160        27,490        11,946
   Prepaid expenses                             902,035       183,475       182,467        54,414
   Other current and accrued assets                                             950
                                            -----------   -----------   -----------   -----------
      TOTAL CURRENT ASSETS                    7,071,156       529,366       416,430       158,811
                                            -----------   -----------   -----------   -----------

REGULATORY ASSETS                                                             1,320         5,623


   TOTAL ASSETS                             $30,303,674    $6,695,776    $4,798,263    $1,015,073
                                            ===========   ===========   ===========   ===========
<CAPTION>

                                            ELIMINATIONS   TOTAL
<S>                                         <C>            <C>
ASSETS

PROPERTY AND EQUIPMENT
   Utility plant                                           $46,491,025
   Non utility property                                         33,295
                                            -----------    -----------
                                                      0     46,524,320
                                            -----------    -----------
   Less: 
      Acquisition adjustment  (net)                         (3,526,010)
      Accumulated depreciation                             (12,478,612)
                                            -----------    -----------
                                                      0    (16,004,622)
                                            -----------    -----------


INVESTMENTS
   Other Investments                                           618,841
   Investments In Subs.                      (3,491,542)             0
                                            -----------    -----------
                                             (3,491,542)       618,841
                                            -----------    -----------

CURRENT ASSETS
   Cash                                                        476,408
   Working funds                                                 9,917
   Investment in CD's                                          426,537
   Customer accounts receivable                                947,235
     less allowances for doubtful accounts                     (31,342)
   Notes receivable                          (4,186,269)         8,253
   Other accounts receivable                         (0)       197,474
   Accts. receivable from Assoc. Companies     (254,339)             0
   Installation materials and supplies                         377,332
   Prepaid expenses                                          1,322,391
   Other current and accrued assets                                950
                                            -----------    -----------
      TOTAL CURRENT ASSETS                   (4,440,608)     3,735,154
                                            -----------    -----------

REGULATORY ASSETS                                                6,943


   TOTAL ASSETS                             ($7,932,150)   $34,880,636
                                            ===========    ===========
</TABLE>

<PAGE>
<TABLE>
HEATER UTILITIES, INC.                                                                  Exhibit A-3
CONSOLIDATED BALANCE SHEET                                                              Page 2 of 3
FOR THE YEAR ENDED DECEMBER 31, 1994

<CAPTION>
                                               HEATER       HEATER OF    BROOKWOOD       UPSTATE
                                              UTILITIES     SEABROOK     WATER CORP.     HEATER
<S>                                         <C>           <C>           <C>           <C>
LIABILITIES AND SHAREHOLDERS' EQUITY
SHAREHOLDERS' EQUITY
  Capital stock, par value $1.00 per
  share--authorized 13,500 shares, 
  issued and outstanding 13,500
  shares                                        $13,500        $1,000        $7,500        $1,000
  Additional paid in capital                  5,826,750     2,241,745       212,024       456,430
  Retained Earnings                           2,618,655      (332,365)      746,668       (99,773)
                                            -----------   -----------   -----------   -----------
                                              8,458,905     1,910,380       966,193       357,656


LONG-TERM DEBT                               12,202,600     2,527,186     1,181,072       478,012



CURRENT LIABILITIES
  Accounts payable to vendors                   234,750        44,979        41,830         1,483
  Accts. payable to Assoc. Companies                          (70,959)      221,293        58,349
  Accounts payable to MP&L                      387,706           323           665           121
  Income taxes payable - Federal                161,067       (16,854)      (12,533)       (2,806)
  Income taxes payable - State                   (5,845)        4,744        (3,970)       (1,219)
  Taxes other than income                       177,924        97,168        28,893        20,554
  Customer deposits                              72,848           117       146,151             9
  Other accrued expenses                        484,842        21,890       105,861         1,638
  Current portion of long-term debt              15,457
                                            -----------   -----------   -----------   -----------
TOTAL CURRENT LIABILITIES                     1,528,751        81,407       528,190        78,130


C.I.A.C.                                      8,897,717     2,124,971     2,311,368        63,701

ACCUM. DEFERRED INC. TAXES                     (790,272)       21,210      (190,903)       25,980

REGULATORY LIABILITIES                            5,974        30,622         2,344        11,594
                                            -----------   -----------   -----------   -----------
                                            $30,303,674    $6,695,776    $4,798,263    $1,015,073
                                            ===========   ===========   ===========   ===========
<CAPTION>

                                            ELIMINATIONS     TOTAL
<S>                                         <C>            <C>
LIABILITIES AND SHAREHOLDERS' EQUITY
SHAREHOLDERS' EQUITY
  Capital stock, par value $1.00 per
  share--authorized 13,500 shares, 
  issued and outstanding 13,500
  shares                                        ($9,500)       $13,500
  Additional paid in capital                 (2,910,199)     5,826,750
  Retained Earnings                            (571,843)     2,361,342
                                            -----------    -----------
                                             (3,491,542)     8,201,592


LONG-TERM DEBT                               (4,186,269)    12,202,600



CURRENT LIABILITIES
  Accounts payable to vendors                                  323,043
  Accts. payable to Assoc. Companies           (208,683)            (0)
  Accounts payable to MP&L                                     388,815
  Income taxes payable - Federal                (45,656)        83,218
  Income taxes payable - State                                  (6,290)
  Taxes other than income                                      324,539
  Customer deposits                                            219,125
  Other accrued expenses                                       614,231
  Current portion of long-term debt                             15,457
                                            -----------    -----------
TOTAL CURRENT LIABILITIES                      (254,339)     1,962,138


C.I.A.C.                                                    13,397,757

ACCUM. DEFERRED INC. TAXES                                    (933,985)

REGULATORY LIABILITIES                                          50,534
                                            -----------    -----------
                                            ($7,932,150)   $34,880,636
                                            ===========    ===========
</TABLE>

<PAGE>
<TABLE>
HEATER UTILITIES, INC.                                                                  Exhibit A-3
CONSOLIDATED STATEMENT OF INCOME                                                        Page 3 of 3
FOR THE YEAR ENDED DECEMBER 31, 1994
<CAPTION>
                                            HEATER           HEATER OF     BROOKWOOD          UPSTATE
                                          UTILITIES          SEABROOK     WATER CORP.          HEATER
<S>                                       <C>               <C>           <C>               <C>
Operating Revenues
   Water                                  $5,131,515          $736,758    $1,324,611          $336,205
   Sewer                                     464,547           532,007
   Other                                     115,777            89,126        72,680            29,602
                                          ----------        ----------    ----------        ----------
      Total Operating Revenues             5,711,839         1,357,891     1,397,291           365,807
                                          ----------        ----------    ----------        ----------


Operating Revenue Deductions
   Operations and Maintenance              2,006,369           473,638       536,752           152,908
   Administrative and General              1,143,402           229,702       392,854           117,755
   Taxes Other Than Income                   306,873            38,320        81,518            13,236
   Property Taxes                            110,105            69,800        18,050            18,167
   Depreciation                              904,075           173,322       161,030            47,947
                                          ----------        ----------    ----------        ----------
      Total Operating Revenue Deductions   4,470,824           984,781     1,190,204           350,013
                                          ----------        ----------    ----------        ----------

Income From Operations                     1,241,015           373,110       207,087            15,794
                                          ----------        ----------    ----------        ----------
Other Income
   Interest Income                            85,036            26,401        13,611              6578
   Other Non-Utility income                  141,269            35,846        40,261              2436

Other Income Deductions
   Interest Expense                          695,856           220,534       110,755            41,743
   Other Non-Utility Deductions               32,534             1,734         3,500                89
                                          ----------        ----------    ----------        ----------
      Total Other Income and Income 
         Deductions                          502,084           160,022        60,382            32,817
                                          ----------        ----------    ----------        ----------

Net Income (Loss) Before Income Taxes        738,931           213,088       146,705           (17,023)

   Estimated Income Taxes                    292,585            78,868        39,470            (5,158)

Net Profit (Loss)                           $446,346          $134,220      $107,235          ($11,865)
                                          ==========        ==========    ==========        ==========
<CAPTION>

                                           TOTAL
<S>                                       <C>
Operating Revenues
   Water                                    $7,529,090
   Sewer                                       996,554
   Other                                       307,184
                                          -------------
      Total Operating Revenues               8,832,828
                                          -------------


Operating Revenue Deductions
   Operations and Maintenance                3,169,667
   Administrative and General                1,883,713
   Taxes Other Than Income                     439,947
   Property Taxes                              216,122
   Depreciation                              1,286,373
                                          -------------
      Total Operating Revenue Deductions      6,995,822
                                          -------------

Income From Operations                       1,837,006
                                          -------------
Other Income
   Interest Income                             131,626
   Other Non-Utility income                    219,813

Other Income Deductions
   Interest Expense                          1,068,888
   Other Non-Utility Deductions                 37,856
                                          -------------
      Total Other Income and Income 
         Deductions                            755,305
                                          -------------

Net Income (Loss) Before Income Taxes        1,081,701

   Estimated Income Taxes                      405,764

Net Profit (Loss)                             $675,937
                                          =============
</TABLE>

<PAGE>
<TABLE>
                                  RENDFIELD CONSOLIDATED BALANCE SHEET                  Exhibit A-4
                                             DECEMBER  1994                             Page 1 of 2
<CAPTION>
                                CONSOLIDATED   ELIMINATIONS      REND           UTIL
                                -------------  ------------  -------------  ------------
<S>                             <C>            <C>           <C>            <C>
NONUTIL PROP & INVESTMENTS(N)
  NONUTILITY & OTHER
    NONUTILITY PLANT -100             355,303             0        355,303             0
    ACCUM DEPR-NONUTIL-600              4,060-            0          4,060-            0
    OTHER -950                              0             0              0             0
  SECURITIES INVEST - 900                   0             0              0             0
  EQUITY INVESTMENTS - 910                  0             0              0             0
  INVEST IN SUBSIDIARIES-200                0       564,629        564,629-            0
                                -------------  ------------  -------------  ------------
    TOTAL NONU PROP & INVEST          351,243       564,629        213,386-            0
                                -------------  ------------  -------------  ------------

CURRENT ASSETS (A)
  CASH
    CASH -110                          65,587             0         63,475         2,113
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE -310                   0             0              0             0
    OTHER ACCOUNTS REC -409         2,824,247             0              0     2,824,247
    ACCTS REC FROM ASSOC -432       4,049,695     8,351,039-     8,607,900     3,792,834
                                -------------  ------------  -------------  ------------
     TOTAL CURRENT ASSETS           6,939,529     8,351,039-     8,671,375     6,619,194
                                -------------  ------------  -------------  ------------

  ACCUM DEF INC TAXES H-254         1,988,945             0         61,864     1,927,081
  OTHER -200                            9,848             0          9,848             0
                                -------------  ------------  -------------  ------------
     TOTAL DEFERRED DEDITS          1,998,793             0         71,712     1,927,081
                                -------------  ------------  -------------  ------------

TOTAL ASSETS                        9,289,565     7,786,410-     8,529,701     8,546,275
                                =============  ============  =============  ============

CAPITALIZATION
  COMMON EQUITY (C)
    COMMON STK&PD IN CAP-090        4,487,500     6,397,500-     4,487,500     6,397,500
    CAPITAL STOCK EXP-300                   0             0              0             0
    RETAINED EARNINGS-400           7,464,963-    6,962,129      7,464,963-    6,962,129-
  LONG-TERM DEBT D-700                      0             0              0             0


                                -------------  ------------  -------------  ------------
      TOTAL CAPITALIZATION          2,977,463-      564,629      2,977,463-      564,629-
                                -------------  ------------  -------------  ------------

CURRENT LIABILITIES (L)
 CURRENT MATURITITES  - 200         3,551,180             0              0     3,551,180
    ACCOUNTS PAYABLE                   50,890             0         50,890             1
    ACCOUNTS PAY TO ASSOC-322       7,692,734     8,351,039-    11,485,569     4,558,204
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401          59,931             0         12,668-       72,599
    STATE INCOME TAXES -450           265,750-            0         25,072-      240,678-
    OTHER ACCRUED TAXES -500            7,731             0          7,731             0
  MISC CURRENT LIAB -930              500,000             0              0       500,000
                                -------------  ------------  -------------  ------------
     TOTAL CURRENT LIABILITIE      11,596,716     8,351,039-    11,506,450     8,441,306
                                -------------  ------------  -------------  ------------

  ACCUM DEF INC TAXES F-100           670,312             0            714       669,598
                                -------------  ------------  -------------  ------------
TOTAL LIAB & CAPITALIZATION         9,289,565     7,786,410-     8,529,701     8,546,275
                                =============  ============  =============  ============
</TABLE>

<PAGE>
<TABLE>
                               RENDFIELD CONSOLIDATED STATEMENT OF INCOME               Exhibit A-4
                                   YEAR TO DATE AS OF DECEMBER  1994                    Page 2 of 2
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      REND          UTIL
                                ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>
OTHER INCOME & DEDUCTIONS (T)
  EQUITY IN EARN OF SUBS -200              0     3,180,778     3,180,778-            0
  ALLOW FOR FUNDS-EQUITY -100              0             0             0             0
  INVESTMENT INCOME -300             194,232             0           905       193,328
  EARNINGS FROM REACHALL -542      5,166,109-            0             0     5,166,109-
  ALLOW-GAIN ON CAP SALE -543              0             0             0             0
  OTHER MISCELLANEOUS INC-500        297,141-            0        99,223-      197,919-
  INCOME TAXES - INVEST -400          80,357-            0           375-       79,982-
               - MISC -600         2,572,470             0       166,158     2,406,312
                                ------------  ------------  ------------  ------------
    TOTAL OTHER INC & DEDUCT       2,776,905-    3,180,778     3,113,313-    2,844,370-
                                ------------  ------------  ------------  ------------

                                ------------  ------------  ------------  ------------
INCOME BEFORE INTEREST CHARGE      2,776,905-    3,180,778     3,113,313-    2,844,370-
                                ------------  ------------  ------------  ------------

OTHER INTEREST EXPENSE               630,680             0       294,272       336,407
                                ------------  ------------  ------------  ------------
NET INCOME                         3,407,585-    3,180,778     3,407,585-    3,180,777-
                                ============  ============  ============  ============
</TABLE>

<PAGE>
<TABLE>
                                  SYNERTEC CONSOLIDATED BALANCE SHEET                   Exhibit A-5
                                             DECEMBER  1994                             Page 1 of 2
<CAPTION>
                                CONSOLIDATED   ELIMINATIONS      SYNR           CNSR
                                -------------  ------------  -------------  ------------
<S>                             <C>            <C>           <C>            <C>
ASSETS
CURRENT ASSETS            (A)
  CASH                   -110       8,767,934             2        539,087     8,228,847
  RESTRICTED CASH        -115               1             0              0             1
  ACCOUNTS RECEIVABLE
    MINNESOTA POWER      -433       4,472,829             0      4,472,829             0
    SUP REC FIB CORP     -436         306,181    10,177,759-     6,318,821     4,165,118
    OTHER                -409      14,016,242             0         52,366    13,963,875
  NOTES RECEIVABLE - SRF -310               0             1-             0             0
  INVENTORY              -610       3,738,000             0              0     3,738,000
  PREPAYMENTS            -700               0             0              0             0
                                -------------  ------------  -------------  ------------
    TOTAL CURRENT ASSETS           31,301,187    10,177,758-    11,383,103    30,095,841


INVESTMENTS IN SUB      -N200               0    24,273,484-    24,273,484             0
LEASE RECEIVABLE        -N950       3,382,940             0        795,940     2,587,000
DEFERRED COST           -H200          42,521             0         42,521             0
CWIP AND OTH ASSETS -N100-600      70,074,498       328,184-        16,911    70,385,771
                                -------------  ------------  -------------  ------------
    TOTAL ASSETS                  104,801,146    34,779,426-    36,511,959   103,068,612
                                =============  ============  =============  ============

LIABILITIES AND
STOCKHOLDER'S EQUITY
  CURRENT LIABILITIES     (L)
    ACCOUNTS PAYABLE
      MINNESOTA POWER    -321       3,377,652             0      3,377,651             0
      SUP REC FIB CORP   -322               1-   10,177,760-     3,858,938     6,318,821
      OTHER              -310       7,899,920             0              0     7,899,920
    CURRENT MATURITIES   -200       4,026,348             0        645,313     3,381,035
    NOTES PAY-LSPI FIBER -100               0             1-             0             0
    NOTES PAYABLE - MP   -101         177,958             0        177,958             0
    ACC INCOME TAXES -401-450         976,276-      134,696-        45,340-      796,239-
    ACCRUED OTHER TAXES  -500          41,260-            0              0        41,260-
    ACCRUED INT PAY      -610               0             0              0             0
    ACCRUED OTH LIAB     -930               0             0              0             0
                                -------------  ------------  -------------  ------------
    TOTAL CURRENT LIABILITIES      14,464,341    10,312,457-     8,014,520    16,762,277


  LONG TERM DEBT        -D700      39,343,244             0              0    39,343,244
  DEFFERED INCOME TAXES -F100       4,847,907             0          3,113     4,844,794
  MINORITY INTEREST     -F900      18,333,476             0              0    18,333,476
                                -------------  ------------  -------------  ------------
    TOTAL LIABILITIES              76,988,968    10,312,457-     8,017,633    79,283,791
                                -------------  ------------  -------------  ------------

STOCKHOLDER'S EQUITY
  COMMON STOCK, WITHOUT PAR
    5000 SHARES AUTHORIZED
    ISSUED AND OUTST    -C090      28,231,266    23,302,655-    28,231,266    23,302,655
  RET EARNINGS  -C400-INCELIM         419,088-    1,164,314-       263,060       482,166
                                -------------  ------------  -------------  ------------
    TOTAL STOCKHOLDER'S EQ         27,812,178    24,466,969-    28,494,326    23,784,821
                                -------------  ------------  -------------  ------------

    TOTAL LIABILITIES AND
      STOCKHOLDER'S EQUITY        104,801,146    34,779,426-    36,511,959   103,068,612
                                =============  ============  =============  ============
</TABLE>

<PAGE>
<TABLE>
                                  SYNERTEC CONSOLIDATED STATEMENT OF INCOME             Exhibit A-5
                                       YEAR TO DATE AS OF DECEMBER 1994                 Page 2 of 2
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      SYNR          CNSR
                                ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>
INCOME

  PULP REVENUE          -T520     52,856,915             0             0    52,856,915


  EQUITY IN SUB EARNINGS-T200              0       717,101-      717,101             0


  INTEREST              -T300        588,265             0        27,739       560,526


  MISCELLANEOUS         -T535        403,576             0             0       403,576
                                ------------  ------------  ------------  ------------
    TOTAL INCOME                  53,848,756       717,101-      744,840    53,821,017
                                ------------  ------------  ------------  ------------

EXPENSES

  PULP VARIABLE COSTS   -T539     37,315,000             0             0    37,315,000


  PULP FIXED COSTS      -T540      7,375,000             0             0     7,375,000


  DEPRECIATION          -T595      4,459,984        10,000-        9,984     4,460,000


  LABOR                 -T563        648,005             0       387,761       260,244


  INTEREST         -I100-I340      3,364,785             0             8     3,364,777


  PROPERTY TAXES        -T570        312,000             0             0       312,000


  MISCELLANEOUS         -T562        665,815             0       258,088       407,728
                                ------------  ------------  ------------  ------------
    TOTAL EXPENSES                54,140,589        10,000-      655,841    53,494,749
                                ------------  ------------  ------------  ------------

INCOME (LOSS) BEFORE TAXES           291,833-      707,101-       88,999       326,268


MINORITY INTEREST        -T511     1,016,000             0             0     1,016,000


INC TAX (EXP) BENEF -T401-420        348,663-        4,000-      262,504       607,167-


             T610 620 640 650              0             0             0             0


                                ------------  ------------  ------------  ------------
NET INCOME (LOSS)                    375,504       711,101-      351,503       735,101
                                ============  ============  ============  ============
</TABLE>

<PAGE>
<TABLE>
                          SUPERIOR RECYCLED FIBER CONSOLIDATED BALANCE SHEET            Exhibit A-6
                                            DECEMBER  1994                              Page 1 of 2
<CAPTION>
                                CONSOLIDATED   ELIMINATIONS      SRFC           SRJV
                                -------------  ------------  -------------  ------------
<S>                             <C>            <C>           <C>            <C>
ASSETS
CURRENT ASSETS            (A)
  CASH                   -110       8,228,847             0          1,847     8,227,000
  RESTRICTED CASH        -115               1             0              1             0
  ACCOUNTS RECEIVABLE
    ASSOCIATED COMPANIES -436       4,165,118       769,874-     4,165,118       769,874
    OTHER                -409      13,963,875             0     13,540,980       422,895
  NOTES RECEIVABLE       -310               0             0              0             0
  INVENTORY              -610       3,738,000             0              0     3,738,000
  PREPAYMENTS            -700               0             0              0             0
                                -------------  ------------  -------------  ------------
    TOTAL CURRENT ASSETS           30,095,841       769,874-    17,707,946    13,157,769


INVEST IN JOINT VENTURE -N200               0    62,028,641-    62,028,641             0
DEFERRED COST           -H200               0             0              0             0
NONUTILITY PLANT        -N100      75,066,771       830,229-             0    75,897,000
ACCUMULATED DEPRECIATION-N600       4,681,000-            0              0     4,681,000-
OTHER ASSETS           N-N950       2,587,000             0              0     2,587,000
                                -------------  ------------  -------------  ------------
      TOTAL ASSETS                103,068,612    63,628,744-    79,736,587    86,960,769
                                =============  ============  =============  ============

LIABILITIES AND
STOCKHOLDER'S EQUITY
  CURRENT LIABILITIES     (L)
    ACCOUNTS PAYABLE
      ASSOC COMPANIES    -322       6,318,821       769,873-     7,088,694             0
      OTHER              -310       7,899,920             0      1,301,268     6,598,652
    CURRENT MATURITIES   -200       3,381,035             0      3,381,035             0
    NOTES PAYABLE        -100               0             0              0             0
    ACCR INC TAXES   -401-450         796,239-      341,567-       454,672-            0
    ACCRUED OTHER TAXES  -500          41,260-            0         41,260-            0
    ACCRUED INTEREST     -610               0             0              0             0
                                -------------  ------------  -------------  ------------
    TOTAL CURRENT LIABILITIES      16,762,277     1,111,440-    11,275,065     6,598,652


  LONG TERM DEBT        -D700      39,343,244             0     39,343,244             0
  DEFERRED INCOME TAXES -F100       4,844,794             0      4,844,794             0
  MINORITY INTEREST     -F900      18,333,476    18,333,476              0             0
  OTH DEFERRED CREDITS  -F920               0             0              0             0
                                -------------  ------------  -------------  ------------
    TOTAL LIABILITIES              79,283,791    17,222,036     55,463,103     6,598,652
                                -------------  ------------  -------------  ------------

STOCKHOLDER'S EQUITY
  COMMON STOCK, WITHOUT PAR,
    50 SHARES ISSUED
    AND OUTSTANDING     -C090      23,302,655    85,540,117-    23,302,655    85,540,117
  RET EARNINGS  -C400-INCELIM         482,166     4,689,337        970,829     5,178,000-
                                -------------  ------------  -------------  ------------
   TOTAL STOCKHOLDER'S EQUITY      23,784,821    80,850,780-    24,273,484    80,362,117
                                -------------  ------------  -------------  ------------

   TOTAL LIABILITIES AND
     STOCKHOLDER'S EQUITY         103,068,612    63,628,744-    79,736,587    86,960,769
                                =============  ============  =============  ============
</TABLE>

<PAGE>
<TABLE>
                    SUPERIOR RECYCLED FIBER CONSOLIDATED STATEMENT OF INCOME            Exhibit A-6
                               YEAR TO DATE AS OF DECEMBER  1994                        Page 2 of 2
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      SRFC          SRJV
                                ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>
INCOME

  PULP REVENUE          -T520     52,856,915    34,247,223-   42,368,138    44,736,000
  EQUITY IN JV EARNINGS -T200              0     3,474,000     3,474,000-            0
  INTEREST              -T300        560,526             0       294,526       266,000
  MISCELLANEOUS         -T535        403,576             0       403,576             0
                                ------------  ------------  ------------  ------------
    TOTAL INCOME                  53,821,017    30,773,223-   39,592,240    45,002,000
                                ------------  ------------  ------------  ------------

EXPENSES

  COST OF PULP          -T565              1-   34,247,223-   34,247,223             0
  PULP VARIABLE COSTS   -T539     37,315,000             0             0    37,315,000
  PULP FIXED COSTS      -T540      7,375,000             0             0     7,375,000
  DEPRECIATION     -T590,T595      4,460,000        30,000-            0     4,490,000
  LABOR                 -T563        260,244             0       260,244             0
  INTEREST              -I100      3,364,777             0     3,364,777             0
  PROPERTY TAXES        -T570        312,000             0             0       312,000
  MISCELLANEOUS         -T562        407,728             0       407,728             0
                                ------------  ------------  ------------  ------------
    TOTAL EXPENSES                53,494,748    34,277,223-   38,279,972    49,492,000
                                ------------  ------------  ------------  ------------

INCOME (LOSS) BEFORE TAXES           326,269     3,504,000     1,312,268     4,490,000-


MINORITY INTEREST        -T511     1,016,000     1,016,000             0             0


INCOME TAX (EXPENSE) BENEFIT         607,167-       12,000-      595,167-            0
            -T410,420,610,620

                                ------------  ------------  ------------  ------------
NET INCOME (LOSS)                    735,102     4,508,000       717,101     4,490,000-
                                ============  ============  ============  ============
</TABLE>

<PAGE>
<TABLE>
                           UPPER MINNESOTA PROPERTIES CONSOLIDATED BALANCE SHEET        Exhibit A-7
                                              DECEMBER  1994                            Page 1 of 2
<CAPTION>
                                CONSOLIDATED   ELIMINATIONS      UMPI           IRV             MEAD
                                -------------  ------------  -------------  ------------    ------------
<S>                             <C>            <C>           <C>            <C>             <C>
NONUTIL PROP & INVESTMENTS(N)
  NONUTILITY & OTHER
    NONUTILITY PLANT -100           4,169,695             0              0     4,169,695              0
    ACCUM DEPR-NONUTIL-600             69,828-            0              0        53,422-        16,406-
    OTHER             -950            740,808             0              0             0        740,808
  SECURITIES INVEST - 900                   0             0              0             0              0
  INVEST IN SUBSIDIARIES-200                0     2,666,581-     2,666,581             0              0
                                -------------  ------------  -------------  ------------    ------------
    TOTAL NONU PROP & INVEST        4,840,675     2,666,581-     2,666,581     4,116,273        724,402
                                -------------  ------------  -------------  ------------    ------------

CURRENT ASSETS (A)
  CASH -110                            56,818             0            100        24,742         31,976
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE -310                   0             0              0             0              0
    OTHER ACCOUNTS REC -409            11,318             0              0        10,892            426
    ACCTS REC FROM ASSOC -432         208,674       221,574-       229,007       190,040         11,200
  PREPAYMENTS -700                     10,953             0              0        10,953              0
                                -------------  ------------  -------------  ------------    ------------
     TOTAL CURRENT ASSETS             287,763       221,574-       229,107       236,627         43,602
                                -------------  ------------  -------------  ------------    ------------

  ACCUM DEF INC TAXES H-254           889,954             0              0       841,507         48,447
  OTHER -200                           74,184             0              0        64,536          9,647
                                -------------  ------------  -------------  ------------    ------------
     TOTAL DEFERRED DEBITS            964,138             0              0       906,043         58,094
                                -------------  ------------  -------------  ------------    ------------

TOTAL ASSETS                        6,092,576     2,888,155-     2,895,688     5,258,943        826,098
                                =============  ============  =============  ============    ============

CAPITALIZATION
    COMMON STK&PD IN CAP-090        2,124,189     2,134,189-     2,124,189     2,099,074         35,115
    RETAINED EARNINGS-400             499,331       532,392-       499,331       501,767         30,625
  LONG-TERM DEBT D-700              2,765,896             0              0     2,103,830        662,066


                                -------------  ------------  -------------  ------------    ------------
      TOTAL CAPITALIZATION          5,389,416     2,666,581-     2,623,520     4,704,671        727,806
                                -------------  ------------  -------------  ------------    ------------

CURRENT LIABILITIES (L)
  CURRENT MATURITITES  - 200          296,864             0              0       239,297         57,567
  ACCOUNTS PAYABLE                     10,368             0              0         8,168          2,200
  ACCOUNTS PAY TO ASSOC-322            76,518       221,574-       277,758         7,496         12,838
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401          10,760-            0            170-        9,750-           840-
    STATE INCOME TAXES -450            22,800-            0          5,420-       13,640-         3,740-
    OTHER ACCRUED TAXES -500              130             0              0             0            130
  INTEREST ACCRUED - 610               66,961             0              0        41,882         25,079
                                -------------  ------------  -------------  ------------    ------------
     TOTAL CURRENT LIABILITIES        417,281       221,574-       272,168       273,453         93,234
                                -------------  ------------  -------------  ------------    ------------

  ACCUM DEF INC TAXES F-100           284,020             0              0       280,820          3,200


  MINORITY INTEREST   F-900             1,858             0              0             0          1,858
                                -------------  ------------  -------------  ------------    ------------
TOTAL LIAB & CAPITALIZATION         6,092,575     2,888,155-     2,895,688     5,258,944        826,098
                                =============  ============  =============  ============    ============
</TABLE>

<PAGE>
<TABLE>
                       UPPER MINNESOTA PROPERTIES CONSOLIDATED STATEMENT OF INCOME      Exhibit A-7
                                      YEAR TO DATE AS OF DECEMBER 1994                  Page 2 of 2
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      UMPI          IRV            MEAD
                                ------------  ------------  ------------  ------------   ------------
<S>                             <C>           <C>           <C>           <C>            <C>
INCOME

  EQUITY IN SUB EARNS   -T200              0       532,392-      532,392             0              0
  RENTAL- RESIDENTIAL   -T700        102,409             0             0        61,130         41,279
  MISCELLANEOUS         -T710          2,365             0             0         1,696            669
  INVESTMENT            -T300          5,944             0             0         5,944              0
                                ------------  ------------  ------------  ------------   ------------
.                                    110,718       532,392-      532,392        68,770         41,948
                                ------------  ------------  ------------  ------------   ------------

EXPENSES

  MAINTENANCE        -T800             9,563             0             0         5,161          4,402
  UTILITIES          -T830            18,733             0             0        11,957          6,777
  INSURANCE          -T840             7,000             0             0         4,598          2,403
  DEPRECIATION       -T595            74,589             0             0        57,424         17,164
  INTEREST           -I100           110,529             0             0        78,824         31,705
  OPERATIONS         -T860            26,714             0             0        20,121          6,593
  PROPERTY TAXES     -T850             2,641             0             0         2,641              0
  ADMINISTRATIVE     -T531             3,060             0         2,241           619            200
  LABOR              -T532            60,172             0        53,102         3,936          3,134
                                ------------  ------------  ------------  ------------   ------------
.                                    313,001             0        55,343       185,281         72,378
                                ------------  ------------  ------------  ------------   ------------

INCOME (LOSS) BEFORE TAXES

  AND MINORITY INTEREST              202,283-      532,392-      477,049       116,511-        30,430-


INCOME TAX (EXPENSE) BENEFIT         702,207             0        22,903       618,277         61,027


MINORITY INTEREST                         27             0             0             0             27
                                ------------  ------------  ------------  ------------   ------------
NET INCOME                           499,951       532,392-      499,952       501,766         30,624
                                ============  ============  ============  ============   ============
</TABLE>

<PAGE>
<TABLE>
                               MINNESOTA PULP CONSOLIDATED BALANCE SHEET                Exhibit A-8
                                             DECEMBER  1994                             Page 1 of 2
<CAPTION>
                                CONSOLIDATED   ELIMINATIONS      MNPI           MNP2
                                -------------  ------------  -------------  ------------
<S>                             <C>            <C>           <C>            <C>
NONUTIL PROP & INVESTMENTS(N)
  NONUTILITY & OTHER
    NONUTILITY PLANT -100                   0             0              0             0
    ACCUM DEPR-NONUTIL-600                  0             0              0             0
  SECURITIES INVEST - 900                   0             0              0             0
  EQUITY INVESTMENTS - 910         10,516,000             0        210,320    10,305,680
  INVEST IN SUBSIDIARIES-200                0     9,857,778-     9,857,778             0
                                -------------  ------------  -------------  ------------
    TOTAL NONU PROP & INVEST       10,516,000     9,857,778-    10,068,098    10,305,680
                                -------------  ------------  -------------  ------------

CURRENT ASSETS (A)
  CASH -110                            26,234             0         26,234             0
  OTHER ACCOUNTS RECEIVABLE
    NOTES RECEIVABLE -310                   0             0              0             0
    OTHER ACCOUNTS REC -409                 0             0              0             0
    ACCTS REC FROM ASSOC -432         725,865       656,339-     1,028,523       353,680
                                -------------  ------------  -------------  ------------
     TOTAL CURRENT ASSETS             752,099       656,339-     1,054,757       353,680
                                -------------  ------------  -------------  ------------

  ACCUM DEF INC TAXES H-254                 0             0              0             0
  OTHER -200                                0             0              0             0
                                -------------  ------------  -------------  ------------
     TOTAL DEFERRED DEBITS                  0             0              0             0
                                -------------  ------------  -------------  ------------

TOTAL ASSETS                       11,268,099    10,514,117-    11,122,855    10,659,360
                                =============  ============  =============  ============

CAPITALIZATION
    COMMON STK&PD IN CAP-090       10,052,099     9,690,994-    10,052,100     9,690,993
    RETAINED EARNINGS-400              84,244       166,784-        84,244       166,785
  LONG-TERM DEBT D-700                      0             0              0             0


                                -------------  ------------  -------------  ------------
      TOTAL CAPITALIZATION         10,136,343     9,857,778-    10,136,344     9,857,778
                                -------------  ------------  -------------  ------------

CURRENT LIABILITIES (L)
  CURRENT MATURITITES  - 200                0             0              0             0
  ACCOUNTS PAYABLE                     27,885             0          5,322-       33,208
  ACCOUNTS PAY TO ASSOC-322           376,104       656,339-       729,785       302,658
  ACCRUED TAXES
    FEDERAL INCOME TAXES -401          51,943             0          6,984-       58,927
    STATE INCOME TAXES -450            92,396-            0          2,788-       89,608-
    OTHER ACCRUED TAXES -500                0             0              0             0
  INTEREST ACCRUED - 610                    0             0              0             0
                                -------------  ------------  -------------  ------------
     TOTAL CURRENT LIABILITIES        363,536       656,339-       714,691       305,185
                                -------------  ------------  -------------  ------------

  ACCUM DEF INC TAXES F-100           768,219             0        271,822       496,397
                                -------------  ------------  -------------  ------------
TOTAL LIAB & CAPITALIZATION        11,268,098    10,514,117-    11,122,857    10,659,360
                                =============  ============  =============  ============
</TABLE>

<PAGE>
<TABLE>
                             MINNESOTA PULP CONSOLIDATED STATEMENT OF INCOME            Exhibit A-8
                                     YEAR TO DATE AS OF DECEMBER 1994                   Page 2 of 2
<CAPTION>
                                CONSOLIDATED  ELIMINATIONS      MNPI          MNP2
                                ------------  ------------  ------------  ------------
<S>                             <C>           <C>           <C>           <C>
OTHER INCOME & DEDUCTIONS (T)
  EQUITY IN EARN OF SUBS -200              1       166,784-      166,785             0
  ALLOW FOR FUNDS-EQUITY -100              0             0             0             0
  INVESTMENT INCOME -300                   0             0             0             0
  EARNINGS FROM LSPI FIBER 543       291,709             0         5,834       285,875
  OTHER MISCELLANEOUS INC-500         10,981-            0         9,807-        1,174-
  INCOME TAXES - INVEST -400               0             0             0             0
               - MISC -600           109,885-            0         8,031       117,916-
                                ------------  ------------  ------------  ------------
    TOTAL OTHER INC & DEDUCT         170,844       166,784-      170,843       166,785
                                ------------  ------------  ------------  ------------

                                ------------  ------------  ------------  ------------
INCOME BEFORE INTEREST CHARGE        170,844       166,784-      170,843       166,785
                                ------------  ------------  ------------  ------------

OTHER INTEREST EXPENSE                     0             0             0             0
                                ------------  ------------  ------------  ------------
NET INCOME                           170,844       166,784-      170,843       166,785
                                ============  ============  ============  ============
</TABLE>




<PAGE>
                                                                 Exhibit A-9

                    Abbreviations Used In Exhibits

Exhibit A
     Minnesota Power & Light Company (MPL)
     Superior Water, Light and Power Company (SWL)
     Consolidated Topeka Group (CNTG)
     Energy Land, Incorporated (ENLD)
     Minnesota Paper, Incorporated (MPAP)
     Consolidated RendField (CNRD)
     BNI Coal, Ltd. (BNI)
     Rainy River Energy Corporation (RAIN)
     Consolidated Synertec (CNSY)
     Lakeview Financial Corporation 1 (LFC1)
     Consolidated Upper Minnesota Properties (CNUP)
     Minnesota Pulp, Incorporated (MNPI)

Exhibit A-1
     Topeka Group Incorporated (Topeka Group)
     East L.A. Services Corp. (ELAG)
     Fibercore, Incorporated (Fibercore)
     Lehigh Acquisition Corporation (LAC)
     Heater Utilities, Incorporated (Heater)
     Southern States Utilities, Inc. (SSU)

Exhibit A-3
     Heater Utilities, Incorporated (Heater Utilities)
     Heater of Seabrook, Inc. (Heater of Seabrook)
     Brookwood Water Corporation (Brookwood Water Corp.)
     Upstate Heater Utilities, Inc. (Upstate Heater)

Exhibit A-4
     RendField Land Company, Inc. (REND)
     UtilEquip, Incorporated (UTIL)

Exhibit A-5
     Synertec, Incorporated (SYNR)
     Consolidated Superior Recycled Fiber (CNSR)

Exhibit A-6
     Superior Recycled Fiber Corporation (SRFC)
     Superior Recycled Fiber Industries Joint Venture (SRJV)

Exhibit A-7
     Upper Minnesota Properties, Inc. (UMPI)
     Upper Minnesota Properties - Irving, Inc. (IRV)
     Upper Minnesota Properties - Meadowlands, Inc. (MEAD)

Exhibit A-8
     Minnesota Pulp, Inc. (MNPI)
     Minnesota Pulp II, Inc. (MNP2)



<TABLE> <S> <C>

<ARTICLE> OPUR3
<LEGEND>
THIS SCHEDULE CONTAINS SUMMARY FINANCIAL INFORMATION EXTRACTED FROM MINNESOTA
POWER'S CONSOLIDATED BALANCE SHEET AND STATEMENT OF INCOME FOR THE PERIOD ENDED
DECEMBER 31, 1994, AND IS QUALIFIED IN ITS ENTIRETY BY REFERENCE TO SUCH
FINANCIAL STATEMENTS.
</LEGEND>
<MULTIPLIER> 1,000
       
<S>                             <C>
<PERIOD-TYPE>                   YEAR
<FISCAL-YEAR-END>                          DEC-31-1994
<PERIOD-START>                             JAN-01-1994
<PERIOD-END>                               DEC-31-1994
<BOOK-VALUE>                                  PER-BOOK
<TOTAL-ASSETS>                               1,807,798
<TOTAL-OPERATING-REVENUES>                     637,782
<NET-INCOME>                                    61,333
        

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