AMERICAN INTERNATIONAL SPECIALTY LINES INSURANCE COMPANY CONDENSED STATEMENT OF ADMITTED ASSETS, LIABILITIES, CAPITAL AND SURPLUS (Statutory Basis) As of (Unaudited) September 30, December 31, 1998 1999 ASSETS Bonds $483,457,870 $425,547,936 Cash and short-term investments 2,825,562 4,353,273 Other invested assets 532,490 39,376,538 Subtotals, cash and invested assets 486,815,922 469,277,747 Agents' balances or uncollected premiums (net as to commissions and dividends): Premiums and agents' balances in course of collection (after deducting ceded reinsurance balances payable) 20,479,584 48,788,446 Premiums, agents' balances and installments booked but deferred and not yet due (after deducting ceded reinsurance balances payable) 88,264,310 38,185,589 Reinsurance recoverables on loss and loss adjustment expense payments 28,720,304 47,014,930 Federal income tax recoverable and interest thereon -0- 3,294,852 Interest, dividends and real estate income due and accrued 8,976,714 7,293,968 Receivable from parent, subsidiaries and affiliates 27,736,718 6,911,531 Loss Funds on Deposit 5,686,063 5,622,057 Totals $666,679,615 $626,389,120 LIABILITIES, SURPLUS AND OTHER FUNDS Losses $182,857,226 $186,943,712 Reinsurance payable on paid loss and loss adjustment expenses 33,576,262 28,464,421 Loss adjustment expenses 29,579,537 35,010,432 Other expenses (excluding taxes, licenses and fees) 36,798 2,164,805 Federal and foreign income taxes (excluding deferred taxes) 3,823,557 -0- Unearned premiums (after deducting ceded reinsurance unearned premiums) 133,907,776 104,710,777 Funds held by company under reinsurance treaties 82,278 4,231 Provision for reinsurance 9,639,712 9,639,712 Drafts outstanding 7,178,085 18,161,275 Payable to parent, subsidiaries and affiliates -0- -0- Other liabilities 4,889,781 409,910 Total liabilities 405,571,012 385,509,275 Common capital stock 5,002,500 5,002,500 Gross paid in and contributed surplus 98,377,500 98,377,500 Unassigned funds (surplus) 157,728,603 137,499,845 Surplus as regards policyholders 261,108,603 240,879,845 Totals $666,679,615 $626,389,120 AMERICAN INTERNATIONAL SPECIALTY LINES INSURANCE COMPANY Condensed Statement of Income and Capital and Surplus Account (Statutory Basis) For the Nine Months Ended September 30 (Unaudited) 1999 1998 UNDERWRITING INCOME: Premiums earned: $425,265,034 $484,455,374 Direct 137,027,736 20,589,029 Assumed 501,181,568 421,051,665 Ceded 61,111,202 83,992,738 Net Deductions: Losses incurred: Direct 332,272,180 341,810,850 Assumed 18,900,450 16,222,900 Ceded 308,904,073 315,227,018 Net 42,268,557 42,806,732 Loss expenses incurred 7,265,482 18,692,331 Other underwriting expenses incurred 8,821,595 9,444,328 Total underwriting deductions 58,355,634 70,943,391 Net underwriting gain or (loss) 2,755,568 13,049,347 INVESTMENT INCOME Net investment income earned 20,288,181 17,823,580 Net realized capital gains 355,880 291,296 Net investment gain 20,644,061 18,114,876 OTHER INCOME Net income before federal and foreign income taxes 23,399,629 31,164,223 Federal and foreign income taxes incurred 3,573,409 3,799,598 Net income $19,826,220 $27,364,625 CAPITAL AND SURPLUS ACCOUNT Surplus as regards policyholders, December 31 previous year $240,879,845 $212,200,853 GAINS AND (LOSSES) IN SURPLUS Net income 19,826,220 27,364,625 Net unrealized capital gains or losses (169) 26,202 Change in non-admitted assets 402,707 6,033,531 Change in provision for reinsurance -0- -0- Change in surplus as regards policyholders 20,228,758 33,424,358 Surplus as regards policyholders, as of September 30 $261,108,603 $245,625,211 AMERICAN INTERNATIONAL SPECIALTY LINES INSURANCE COMPANY AMERICAN INTERNATIONAL SPECIALTY LINES INSURANCE COMPANY Condensed Statement of Cash Flows (Statutory Basis) For the Nine Months Ended September 30 (Unaudited) 1999 1998 CASH FROM OPERATIONS Premiums collected net of reinsurance $68,941,050 $85,036,652 Loss and loss adjustment expenses paid (net of salvage and subrogation) 46,628,142 60,870,923 Underwriting expenses paid 10,949,602 9,437,083 Cash from underwriting 11,363,306 14,728,646 Net investment income 18,682,832 16,840,265 Other income 78,047 Federal and foreign income taxes recovered 3,545,000 (415,000) Net cash from operations 33,669,185 31,153,911 CASH FROM INVESTMENTS Proceeds from investments sold, matured or repaid: Bonds 9,219,030 11,777,873 Other invested assets 64,100,000 30,520,000 Total investment proceeds 73,319,030 42,297,873 Cost of investments acquired (long-term only): Bonds 66,724,649 32,439,017 Other invested assets 25,381,944 36,913,757 Total investments acquired 92,106,593 69,352,774 Net cash from investments (18,787,563) (27,054,901) CASH FROM FINANCING AND MISCELLANEOUS SOURCES Cash provided: Net transfers from affiliates -0- -0- Other cash provided 4,415,859 41,252,867 Total 4,415,859 41,252,867 Net transfers to affiliates 20,825,187 39,945,662 Other applications -0- 195,651 Total 20,825,187 40,141,313 Net cash from financing and miscellaneous sources (16,409,328) 1,111,554 RECONCILIATION OF CASH AND SHORT-TERM INVESTMENTS Net change in cash and short-term investments (1,527,706) 5,210,564 Cash and short-term investments: Beginning of year 4,353,267 5,211,431 End of September 30 $2,825,561 $10,421,995