<ARTICLE>                                       5
                   
            
            This schedule contains summary financial information extracted from the
            balance sheet of Bryan Steam Corporation as of March 31, 1995, and the related
            condensed income statement for the nine-month period then ended, and is
            qualified in its entirety by reference to such financial statements.
                                                        
            <PERIOD-TYPE>                                  9-MOS
            <FISCAL-YEAR-END>                              JUN-30-1995
            <PERIOD-END>                                   MAR-31-1995
            <CASH>                                            484,122
            <SECURITIES>                                    3,077,359
            <RECEIVABLES>                                   2,562,993
            <ALLOWANCES>                                            0
            <INVENTORY>                                     3,403,511
            <CURRENT-ASSETS>                                9,808,368
            <PP&E>                                          5,907,598
            <DEPRECIATION>                                  2,577,081
            <TOTAL-ASSETS>                                 13,155,887
            <CURRENT-LIABILITIES>                           1,179,012
            <BONDS>                                                 0
            <PREFERRED-MANDATORY>                                   0
            <PREFERRED>                                             0
            <COMMON>                                          810,272
            <OTHER-SE>                                              0
            <TOTAL-LIABILITY-AND-EQUITY>                   13,155,887
            <SALES>                                        13,386,105
            <TOTAL-REVENUES>                               13,386,105
            <CGS>                                           8,949,487
            <TOTAL-COSTS>                                  12,752,347
            <OTHER-EXPENSES>                                        0
            <LOSS-PROVISION>                                        0
            <INTEREST-EXPENSE>                                      0
            <INCOME-PRETAX>                                   633,758
            <INCOME-TAX>                                      247,382
            <INCOME-CONTINUING>                               386,376
            <DISCONTINUED>                                          0
            <EXTRAORDINARY>                                         0
            <CHANGES>                                               0
            <NET-INCOME>                                      386,376
            <EPS-PRIMARY>                                        2.02
            <EPS-DILUTED>                                        2.02