<ARTICLE> 7 <PERIOD-TYPE> YEAR <FISCAL-YEAR-END> DEC-31-1995 <PERIOD-END> DEC-31-1995 <DEBT-HELD-FOR-SALE> 33,581,000 <DEBT-CARRYING-VALUE> 33,581,000 <DEBT-MARKET-VALUE> 33,581,000 <EQUITIES> 377,000 <MORTGAGE> 0 <REAL-ESTATE> 0 <TOTAL-INVEST> 44,302,000 <CASH> 6,339,000 <RECOVER-REINSURE> 27,423,000 <DEFERRED-ACQUISITION> 293,000 <TOTAL-ASSETS> 224,005,000 <POLICY-LOSSES> 61,031,000 <UNEARNED-PREMIUMS> 2,658,000 <POLICY-OTHER> 0 <POLICY-HOLDER-FUNDS> 0 <NOTES-PAYABLE> 2,476,000 <PREFERRED-MANDATORY> 0 <PREFERRED> 0 <COMMON> 16,773,000 <OTHER-SE> (6,586,000) <TOTAL-LIABILITY-AND-EQUITY> 224,005,000 <PREMIUMS> 11,274,000 <INVESTMENT-INCOME> 4,330,000 <INVESTMENT-GAINS> 164,000 <OTHER-INCOME> 50,415,000 <BENEFITS> 13,466,000 <UNDERWRITING-AMORTIZATION> 3,794,000 <UNDERWRITING-OTHER> 47,773,000 <INCOME-PRETAX> 1,150,000 <INCOME-TAX> (2,000) <INCOME-CONTINUING> 1,152,000 <DISCONTINUED> 0 <EXTRAORDINARY> 0 <CHANGES> 0 <NET-INCOME> 1,152,000 <EPS-PRIMARY> 0.07 <EPS-DILUTED> 0.07 <RESERVE-OPEN> 77,967,000 <PROVISION-CURRENT> 9,546,000 <PROVISION-PRIOR> 3,375,000 <PAYMENTS-CURRENT> 7,014,000 <PAYMENTS-PRIOR> 22,843,000 <RESERVE-CLOSE> 61,031,000 <CUMULATIVE-DEFICIENCY> 3,375,000