UNITED STATES BANKRUPTCY COURT
                              DISTRICT OF DELAWARE

In re: The Great Train Store Company                     Case No. 00-01301 (RRM)
       Debtor                                           Reporting Period: Oct-00

                            MONTHLY OPERATING REPORT

File with Court and submit copy to United  States  Trustee  within 20 days after
end of month

Submit copy of report to any official committee appointed in the case.

                                                      Document      Explanation
REQUIRED DOCUMENTS                      Form No.      Attached        Attached
- --------------------------------------------------------------------------------
Schedule of Cash Receipts
and Disbursements                        MOR-1        Attached
- --------------------------------------------------------------------------------
Bank Reconciliation (or
copies of Debtor's bank
reconciliations)                   MOR-1(CONT)        Attached
- --------------------------------------------------------------------------------
Copies of bank statements                             Attached
- --------------------------------------------------------------------------------
Cash disbursements journals                                N/A
- --------------------------------------------------------------------------------
Statement of Operations                 MOR-2         Attached
- --------------------------------------------------------------------------------
Balance Sheet                           MOR-3         Attached
- --------------------------------------------------------------------------------
Status of Postpetition Taxes            MOR-4              N/A
- --------------------------------------------------------------------------------
Copies of IRS Form 6123
or payment receipt                                         N/A
- --------------------------------------------------------------------------------
Copies of tax returns filed
during reporting period                                    N/A
- --------------------------------------------------------------------------------
Summary of Unpaid Postpetition
Debts                                   MOR-4              N/A
- --------------------------------------------------------------------------------
Listing of aged accounts payable                           N/A
- --------------------------------------------------------------------------------
Accounts Receivable Reconciliation
and Aging                               MOR-5              N/A
- --------------------------------------------------------------------------------
Debtor Questionnaire                    MOR-5         Included
- --------------------------------------------------------------------------------

I declare under penalty of perjury (28 U.S.C. Section 1746) that this report and
the  attached  documents  are true and correct to the best of my  knowledge  and
belief.


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Debtor

                                       12/19/2000
- -------------------------------------- Date
Signature of Joint Debtor


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Authorized
Individual*

Cheryl A. Taylor                       Vice President - Finance & Administration
- -------------------------------------- Title of Authorized Individual
Printed Name of Authorized Individual


* Authorized individual must be an officer, director or shareholder if Debtor is
a corporation;  a partner if Debtor is a  partnership;  a manager if Debtor is a
limited liability company.



In re: The Great Train Store Company                    Case No.  00-01301 (RRM)
       Debtor                                        Reporting Period:    Oct-00




                  SCHEDULE OF CASH RECEIPTS AND DISBURSEMENTS
                                                                                    CUMULATIVE FILING TO DATE
- --------------------------------------------------------------------------------------------------------------
                  Merrill Lynch                                 ACTUAL     PROJECTED    ACTUAL   PROJECTED
- --------------------------------------------------------------------------------------------------------------
                                                                       
CASH BEGINNING
OF MONTH                766.22       -       -       -            766.22
- ----------------------------------------------------------------------------------------------------------
RECEIPTS
- ----------------------------------------------------------------------------------------------------------
CASH SALES                                                             -
- ----------------------------------------------------------------------------------------------------------
ACCOUNTS RECEIVABLE                                                    -
- ----------------------------------------------------------------------------------------------------------
LOANS AND ADVANCES                                                     -
- ----------------------------------------------------------------------------------------------------------
SALE OF ASSETS                                                         -
- ----------------------------------------------------------------------------------------------------------
OTHER (ATTACH LIST)                                                    -
- ----------------------------------------------------------------------------------------------------------
TRANSFERS
(FROM DIP ACCTS)                                                       -
- ----------------------------------------------------------------------------------------------------------
                                                                       -
- ----------------------------------------------------------------------------------------------------------
TOTAL RECEIPTS               -       -       -       -                 -
- ----------------------------------------------------------------------------------------------------------
DISBURSEMENTS
- ----------------------------------------------------------------------------------------------------------
NET PAYROLL                                                            -
- ----------------------------------------------------------------------------------------------------------
PAYROLL TAXES                                                          -
- ----------------------------------------------------------------------------------------------------------
SALES, USE &
OTHER TAXES                                                            -
- ----------------------------------------------------------------------------------------------------------
INVENTORY PURCHASES                                                    -
- ----------------------------------------------------------------------------------------------------------
SECURED/RENTAL/LEASES                                                  -
- ----------------------------------------------------------------------------------------------------------
INSURANCE                                                              -
- ----------------------------------------------------------------------------------------------------------
ADMINISTRATIVE                                                         -
- ----------------------------------------------------------------------------------------------------------
SELLING                                                                -
- ----------------------------------------------------------------------------------------------------------
OTHER
(ATTACH LIST)                -                                         -
- ----------------------------------------------------------------------------------------------------------
                                                                       -
- ----------------------------------------------------------------------------------------------------------
OWNER DRAW*                                                            -
- ----------------------------------------------------------------------------------------------------------
TRANSFERS (TO DIP ACCTS)                                               -
- ----------------------------------------------------------------------------------------------------------
                                                                       -
- ----------------------------------------------------------------------------------------------------------
PROFESSIONAL FEES                                                      -
- ----------------------------------------------------------------------------------------------------------
U.S. TRUSTEE QUARTERLY FEES                                            -
- ----------------------------------------------------------------------------------------------------------
COURT COSTS                                                            -
- ----------------------------------------------------------------------------------------------------------
TOTAL
DISBURSEMENTS                -       -       -       -                 -
- ---------------------------------------------------------------------------------------------------------
NET CASH FLOW                -       -       -       -                 -
(RECEIPTS LESS
DISBURSEMENTS)
- ----------------------------------------------------------------------------------------------------------
CASH - END
OF MONTH                766.22       -       -       -            766.22
- ----------------------------------------------------------------------------------------------------------



                    THE FOLLOWING SECTION MUST BE COMPLETED

              DISBURSEMENTS FOR CALCULATING U.S. TRUSTEE QUARTERLY
                    FEES: (FROM CURRENT MONTH ACTUAL COLUMN)
- ----------------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS                                                                                      -
- ----------------------------------------------------------------------------------------------------------
LESS: TRANSFERS TO DEBTOR IN POSSESSION                                                                  -
ACCOUNTS
- ----------------------------------------------------------------------------------------------------------
PLUS: ESTATE DISBURSEMENTS MADE BY OUTSIDE                                                               -
SOURCES (ie from escrow accounts)
- ----------------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS FOR CALCULATING U.S.                                                                 -
TRUSTEE QUARTERLY FEES                                                          --------------------------





In re: The Great Train Store Company                     Case No. 00-01301 (RRM)
       Debtor                                           Reporting Period: Oct-00

                              BANK RECONCILIATIONS
                          Continuation Sheet for MOR-1

A bank reconciliation must be included for each bank account.  The debtor's bank
reconciliations may be substituted for this page

                                     Merrill
                                      Lynch
- --------------------------------------------------------------------------------
BALANCE PER BOOKS                     766.22          -         -          -
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
BANK BALANCE                          766.22          -         -          -
- --------------------------------------------------------------------------------
(+) DEPOSITS IN TRANSIT                    -                    -
- --------------------------------------------------------------------------------
(-) OUTSTANDING CHECKS                     -                    -
- --------------------------------------------------------------------------------
OTHER                                      -          -         -
- --------------------------------------------------------------------------------
ADJUSTED BANK BALANCE                 766.22          -         -          -
- --------------------------------------------------------------------------------
*Adjusted Bank Balance must                -
equal balance per books
- --------------------------------------------------------------------------------
DEPOSITS
IN TRANSIT   Date    Amount   Date    Amount    Date      Amount    Date  Amount
          ----------------------------------------------------------------------

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

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

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

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

          ----------------------------------------------------------------------
CHECKS
OUTSTANDING   Ch#    Amount    Ch#    Amount     Ch#      Amount     Ch#  Amount
           ---------------------------------------------------------------------

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

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

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

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

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

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

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

OTHER:
________________________________________________________________________________
________________________________________________________________________________




In re: The Great Train Store Company                     Case No: 00-01301 (RRM)
       Debtor                                           Reporting Period: Oct-00

                             STATEMENT OF OPERATIONS
                               (Income Statement)
                                                                    Cumulative
REVENUES                                              Month       Filing to Date
- --------------------------------------------------------------------------------
Gross Revenues                                          -                 -
- --------------------------------------------------------------------------------
Less: Returns and Allowances                            -                 -
- --------------------------------------------------------------------------------
Net Revenue                                             -                 -
- --------------------------------------------------------------------------------
COST OF GOODS SOLD
- --------------------------------------------------------------------------------
Beginning Inventory                                     -                 -
- --------------------------------------------------------------------------------
Add: Purchases                                          -                 -
- --------------------------------------------------------------------------------
Add: Cost of Labor                                      -                 -
- --------------------------------------------------------------------------------
Add: Other Costs (attach schedule)                      -                 -
- --------------------------------------------------------------------------------
Less: Ending Inventory                                  -                 -
- --------------------------------------------------------------------------------
Cost of Goods Sold                                      -                 -
- --------------------------------------------------------------------------------
Gross Profit                                            -                 -
- --------------------------------------------------------------------------------
OPERATING EXPENSES
- --------------------------------------------------------------------------------
Advertising                                             -                 -
- --------------------------------------------------------------------------------
Auto and Truck Expense                                                    -
- --------------------------------------------------------------------------------
Bad Debts                                                                 -
- --------------------------------------------------------------------------------
Contributions                                                             -
- --------------------------------------------------------------------------------
Employee Benefits Program                               -                 -
- --------------------------------------------------------------------------------
Insider Compensation*                                   -                 -
- --------------------------------------------------------------------------------
Insurance                                               -                 -
- --------------------------------------------------------------------------------
Management Fees/Bonuses                                 -                 -
- --------------------------------------------------------------------------------
Office Expense                                                            -
- --------------------------------------------------------------------------------
Pension and Profit-Sharing Plans                                          -
- --------------------------------------------------------------------------------
Repairs and Maintenance                                 -                 -
- --------------------------------------------------------------------------------
Rent and Lease Expense                                  -                 -
- --------------------------------------------------------------------------------
Salaries/Commissions/Fees                               -                 -
- --------------------------------------------------------------------------------
Supplies                                                -                 -
- --------------------------------------------------------------------------------
Taxes - Payroll                                         -                 -
- --------------------------------------------------------------------------------
Taxes - Real Estate                                     -                 -
- --------------------------------------------------------------------------------
Taxes - Other                                           -                 -
- --------------------------------------------------------------------------------
Travel and Entertainment                                -                 -
- --------------------------------------------------------------------------------
Utilities                                               -                 -
- --------------------------------------------------------------------------------
Other (attach schedule)                                 -            (19.56)
- --------------------------------------------------------------------------------
Total Operating Expenses
Before Depreciation                                     -            (19.56)
- --------------------------------------------------------------------------------
Depreciation/Depletion/Amortization                     -                 -
- --------------------------------------------------------------------------------
Net Profit (Loss) Before
Other Income & Expenses                                 -            (19.56)
- --------------------------------------------------------------------------------
OTHER INCOME AND EXPENSES
- --------------------------------------------------------------------------------
Other Income (attach schedule)                          -        534,191.41
- --------------------------------------------------------------------------------
Interest Expense                                        -                 -
- --------------------------------------------------------------------------------
Other Expense (attach schedule)                         -                 -
- --------------------------------------------------------------------------------



REORGANIZATION ITEMS
- --------------------------------------------------------------------------------
Professional Fees                                       -                 -
- --------------------------------------------------------------------------------
U.S. Trustee Quarterly Fees                                               -
- --------------------------------------------------------------------------------
Interest Earned on Accumulated Cash from
Chapter 11 (see continuation sheet)                                       -
- --------------------------------------------------------------------------------
Gain (Loss) from Sale of Equipment                      -                 -
- --------------------------------------------------------------------------------
Other Reorganization Expenses
(attach schedule)                                       -                 -
- --------------------------------------------------------------------------------
Total Reorganization Expenses                           -                 -
- --------------------------------------------------------------------------------
Income Taxes                                            -                 -
- --------------------------------------------------------------------------------
Net Profit (Loss)                                       -        534,210.97
- --------------------------------------------------------------------------------



In re: The Great Train Store Company                     Case No: 00-01301 (RRM)
       Debtor                                          Reporting Period:  Oct-00

                  STATEMENT OF OPERATIONS - continuation sheet

BREAKDOWN OF OTHER ACTIVITY                             MONTH        CUMULATIVE
- --------------------------------------------------------------------------------
Other Costs
- --------------------------------------------------------------------------------

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

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

Other Operational Expenses
- --------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
Misc Expenses                                             -             (19.56)
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
                                                          -                  -
- -------------------------------------------------------------------------------
Total                                                     -             (19.56)
- -------------------------------------------------------------------------------
Other Income
- -------------------------------------------------------------------------------
Intercompany - License Fee                                -         534,176.10
- -------------------------------------------------------------------------------
Interest Income                                                          15.31
- -------------------------------------------------------------------------------

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

- -------------------------------------------------------------------------------
Total                                                     -         534,191.41
- -------------------------------------------------------------------------------
Other Expense
- -------------------------------------------------------------------------------

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

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

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

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

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

- -------------------------------------------------------------------------------
Other Reorganization Expenses
- -------------------------------------------------------------------------------

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

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

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

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

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

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




In re: The Great Train Store Company                    Case No: 00-01301 (RRM)
       Debtor                                         Reporting Period:  Oct-00

                                  BALANCE SHEET

ASSETS                           BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH             PETITION DATE
- --------------------------------------------------------------------------------
CURRENT ASSETS
- --------------------------------------------------------------------------------
Unrestricted Cash and Equivalents               766.22               504,651.73
- --------------------------------------------------------------------------------
Restricted Cash and Cash Equivalents
(see continuation sheet)
- --------------------------------------------------------------------------------
Accounts Receivable (Net)                           -                         -
- --------------------------------------------------------------------------------
Notes Receivable
- --------------------------------------------------------------------------------
Inventories                                         -                         -
- --------------------------------------------------------------------------------
Prepaid Expenses
- --------------------------------------------------------------------------------
Professional Retainers                              -                         -
- --------------------------------------------------------------------------------
Other Current Assets (attach schedule)
- --------------------------------------------------------------------------------
TOTAL CURRENT ASSETS                           766.22                504,651.73
- --------------------------------------------------------------------------------
PROPERTY AND EQUIPMENT
- --------------------------------------------------------------------------------
Real Property and Improvements                      -                         -
- --------------------------------------------------------------------------------
Machinery and Equipment
- --------------------------------------------------------------------------------
Furniture, Fixtures and Office Equipment            -                         -
- --------------------------------------------------------------------------------
Leasehold Improvements
- --------------------------------------------------------------------------------
Vehicles
- --------------------------------------------------------------------------------
Less Accumulated Depreciation                       -                         -
- --------------------------------------------------------------------------------
TOTAL PROPERTY AND EQUIPMENT                        -                         -
- --------------------------------------------------------------------------------
OTHER ASSETS
- --------------------------------------------------------------------------------
Loans to Insiders *
- --------------------------------------------------------------------------------
Other Assets (attach schedule)          20,251,252.92             19,430,190.34
- --------------------------------------------------------------------------------
TOTAL OTHER ASSETS                      20,251,252.92             19,430,190.34
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
TOTAL ASSETS                            20,252,019.14             19,934,842.07
- --------------------------------------------------------------------------------

LIABILITIES AND OWNER EQUITY    BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH            PETITION DATE
- --------------------------------------------------------------------------------
LIABILITIES NOT SUBJECT TO
COMPROMISE (Postpetition)
- --------------------------------------------------------------------------------
Merchandise Payable
- --------------------------------------------------------------------------------
Accounts Payable
- --------------------------------------------------------------------------------
Taxes Payable (refer to FORM MOR-4)
- --------------------------------------------------------------------------------
Wages Payable
- --------------------------------------------------------------------------------
Notes Payable
- --------------------------------------------------------------------------------
Rent/Leases - Building/Equipment
- --------------------------------------------------------------------------------
Secured Debt/Adequate Protection Payments
- --------------------------------------------------------------------------------
Professional Fees
- --------------------------------------------------------------------------------
Amounts Due to Insiders*
- --------------------------------------------------------------------------------
Other Postpetition Liabilities
(attach schedule)                          (87,170.00)               (87,170.00)
- --------------------------------------------------------------------------------
TOTAL POSTPETITION LIABILITIES             (87,170.00)               (87,170.00)
- --------------------------------------------------------------------------------



LIABILITIES SUBJECT TO COMPROMISE
(Pre-Petition)
- --------------------------------------------------------------------------------
Secured Debt
- --------------------------------------------------------------------------------
Priority Debt                            2,942,328.00              2,942,328.00
- --------------------------------------------------------------------------------
Unsecured Debt
- --------------------------------------------------------------------------------
TOTAL PRE-PETITION LIABILITIES           2,942,328.00              2,942,328.00
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
TOTAL LIABILITIES                        2,855,158.00              2,855,158.00
- --------------------------------------------------------------------------------
OWNER EQUITY
- --------------------------------------------------------------------------------
Capital Stock                               45,212.73                 45,212.73
- --------------------------------------------------------------------------------
Additional Paid-In Capital              10,453,405.90             10,453,405.90
- --------------------------------------------------------------------------------
Partners' Capital Account                   94,119.00                 94,119.00
- --------------------------------------------------------------------------------
Owner's Equity Account
- --------------------------------------------------------------------------------
Retained Earnings - Pre-Petition         6,486,946.44              6,486,946.44
- --------------------------------------------------------------------------------
Retained Earnings - Postpetition           317,177.07
- --------------------------------------------------------------------------------
Adjustments to Owner Equity
(attach schedule)
- --------------------------------------------------------------------------------
NET OWNER EQUITY                        17,396,861.14             17,079,684.07
- --------------------------------------------------------------------------------

TOTAL LIABILITIES AND OWNERS' EQUITY    20,252,019.14             19,934,842.07
- --------------------------------------------------------------------------------




In re: The Great Train Store Company                    Case No: 00-01301 (RRM)
       Debtor                                          Reporting Period:  Oct-00

                       Balance Sheet - continuation sheet

                            Book Value at end of                   Book Value
     Assets               Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Current Assets
- --------------------------------------------------------------------------------

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

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

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

- --------------------------------------------------------------------------------
Other Assets
- --------------------------------------------------------------------------------
Intercompany                 9,370,184.44                       8,866,331.02
- --------------------------------------------------------------------------------
Intercompany Advances
to TGTS Partners              (872,615.09)                       (872,615.09)
- --------------------------------------------------------------------------------
Intercompany License
Fee Receivable               9,067,732.13                       8,750,589.93
- --------------------------------------------------------------------------------
Intercompany Investment
in TGTS Partners             3,823,270.22                       3,823,270.22
- --------------------------------------------------------------------------------
Intercompany Investment
in GTS Partner, Inc.        (1,137,318.78)                     (1,137,318.78)
- --------------------------------------------------------------------------------
Other                                                                 (66.96)
- --------------------------------------------------------------------------------

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

- --------------------------------------------------------------------------------
                            20,251,252.92                      19,430,190.34
- --------------------------------------------------------------------------------
Liabilities and             Book Value at end of                  Book Value
Owners Equity             Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Postpetition
Liabilities
- --------------------------------------------------------------------------------
Intercompany                  (100,000.00)                       (100,000.00)
- --------------------------------------------------------------------------------
Other                           12,830.00                          12,830.00
- --------------------------------------------------------------------------------

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

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

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

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

- --------------------------------------------------------------------------------
Total                          (87,170.00)                        (87,170.00)
- --------------------------------------------------------------------------------
Adjustments to
Owner's Equity
- --------------------------------------------------------------------------------

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

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

- --------------------------------------------------------------------------------
Postpetition Contributions
(Distributions) (Draws)
- --------------------------------------------------------------------------------

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

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

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

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

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



                              DEBTOR QUESTIONNAIRE

Must be completed each month                                    Yes          No
- --------------------------------------------------------------------------------
1.  Have any assets been sold or transferred outside the                     No
    normal course of business this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
2.  Have any funds been disbursed from any account other                     No*
    than a debtor in possession account this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
3.  Have all postpetition tax returns been timely filed?        Yes
    If no, provide an explanation below.
- --------------------------------------------------------------------------------
4.  Are workers compensation, general liability and             N/A
    other necessary insurance coverages in effect?
    If no, provide an explanation below.
- --------------------------------------------------------------------------------

* The  court approved  the use of  already existing  bank accounts, so all  bank
  accounts used were "Debtor in Possesson" accounts.



                         UNITED STATES BANKRUPTCY COURT
                              DISTRICT OF DELAWARE

In re: The Great Train Store Partners, L.P.              Case No. 00-01302 (RRM)
       Debtor                                           Reporting Period: Oct-00


                            MONTHLY OPERATING REPORT

File with Court and submit copy to United  States  Trustee  within 20 days after
end of month

Submit copy of report to any official committee appointed in the case.

REQUIRED DOCUMENTS                      Form No.      Document      Explanation
                                                      Attached        Attached
- --------------------------------------------------------------------------------
Schedule of Cash Receipts
and Disbursements                        MOR-1        Attached
- --------------------------------------------------------------------------------
Bank Reconciliation (or
copies of Debtor's bank
reconciliations)                   MOR-1(CONT)        Attached
- --------------------------------------------------------------------------------
Copies of bank statements                             Attached
- --------------------------------------------------------------------------------
Cash disbursements journals                           Attached
- --------------------------------------------------------------------------------
Statement of Operations                 MOR-2         Attached
- --------------------------------------------------------------------------------
Balance Sheet                           MOR-3         Attached
- --------------------------------------------------------------------------------
Status of Postpetition Taxes            MOR-4         Attached
- --------------------------------------------------------------------------------
Copies of IRS Form 6123
or payment receipt
- --------------------------------------------------------------------------------
Copies of tax returns filed
during reporting period
- --------------------------------------------------------------------------------
Summary of Unpaid Postpetition
Debts                                   MOR-4          Attached
- --------------------------------------------------------------------------------
Listing of aged accounts payable
- --------------------------------------------------------------------------------
Accounts Receivable Reconciliation
and Aging                               MOR-5           Attached
- --------------------------------------------------------------------------------
Debtor Questionnaire                    MOR-5           Attached
- --------------------------------------------------------------------------------

I declare under penalty of perjury (28 U.S.C. Section 1746) that this report and
the  attached  documents  are true and correct to the best of my  knowledge  and
belief.


GTS PARTNER, INC.
By Cheryl A. Taylor, Vice President    12/19/2000
- -------------------------------------- Date
Signature of Debtor

                                       12/19/2000
- -------------------------------------- Date
Signature of Joint Debtor


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Authorized
Individual*

Cheryl A. Taylor                       Vice President - Finance & Administration
- -------------------------------------- Title of Authorized Individual
Printed Name of Authorized Individual


* Authorized individual must be an officer, director or shareholder if Debtor is
a corporation;  a partner if Debtor is a  partnership;  a manager if Debtor is a
limited liability company.



In re: The Great Train Store Partners, L.P.             Case No.  00-01302 (RRM)
       Debtor                                           Reporting Period: Oct-00


                  SCHEDULE OF CASH RECEIPTS AND DISBURSEMENTS
                                                                                          CUMULATIVE FILING TO DATE
- ---------------------------------------------------------------------------------------------------------------------
                    OPER.       A/P TRADE    EXPENSE   CONCENTRATION       ACTUAL     PROJECTED    ACTUAL   PROJECTED
- ---------------------------------------------------------------------------------------------------------------------
                                                                                   
CASH BEGINNING
OF MONTH           31,362.72    2,998.53     34,420.80               -      68,782.05           2,260,900.86
- ---------------------------------------------------------------------------------------------------------------------
RECEIPTS
- ---------------------------------------------------------------------------------------------------------------------
CASH SALES                                                           -              -           4,643,856.07
- ---------------------------------------------------------------------------------------------------------------------
ACCOUNTS
RECEIVABLE                                                           -              -           1,364,640.51
- ---------------------------------------------------------------------------------------------------------------------
LOANS AND
ADVANCES           13,811.52           -     31,316.47               -      45,127.99           7,056,468.34
- ---------------------------------------------------------------------------------------------------------------------
SALE OF ASSETS    110,194.52                                         -     110,194.52           2,099,072.99
- ---------------------------------------------------------------------------------------------------------------------
OTHER
(ATTACH LIST)       6,124.33           -                                     6,124.33           6,498,245.57
- ---------------------------------------------------------------------------------------------------------------------
TRANSFERS
(FROM DIP ACCTS)           -           -                                            -              78,182.00
- ---------------------------------------------------------------------------------------------------------------------
                                                                                    -                      -
- ---------------------------------------------------------------------------------------------------------------------
TOTAL RECEIPTS    130,130.37           -     31,316.47              -      161,446.84          21,740,465.48
- ---------------------------------------------------------------------------------------------------------------------
DISBURSEMENTS
- ---------------------------------------------------------------------------------------------------------------------
NET PAYROLL        10,143.48                                                10,143.48           1,130,392.45
- ---------------------------------------------------------------------------------------------------------------------
PAYROLL TAXES       3,668.04                                                 3,668.04             470,172.70
- ---------------------------------------------------------------------------------------------------------------------
SALES, USE &
OTHER TAXES                                                                         -                      -
- ---------------------------------------------------------------------------------------------------------------------
INVENTORY PURCHASES                                                                 -                      -
- ---------------------------------------------------------------------------------------------------------------------
SECURED/RENTAL/LEASES                                                               -                      -
- ---------------------------------------------------------------------------------------------------------------------
INSURANCE                                                                           -                      -
- ---------------------------------------------------------------------------------------------------------------------
ADMINISTRATIVE        461.04                                                   461.04               5,863.49
- ---------------------------------------------------------------------------------------------------------------------
SELLING                                                                             -              95,000.00
- ---------------------------------------------------------------------------------------------------------------------
OTHER
(ATTACH LIST)              -           -     48,297.73              -       48,297.73          12,652,087.65
- ---------------------------------------------------------------------------------------------------------------------
Liquidator
Reimbursements                                                      -               -           1,345,287.72
- ---------------------------------------------------------------------------------------------------------------------
OWNER DRAW*                                                                         -                      -
- ---------------------------------------------------------------------------------------------------------------------
TRANSFERS
(TO DIP ACCTS)     90,000.00                                                90,000.00           5,926,780.84
- ---------------------------------------------------------------------------------------------------------------------
                                                                                    -                      -
- ---------------------------------------------------------------------------------------------------------------------
PROFESSIONAL FEES                                                                   -             381,786.09
- ---------------------------------------------------------------------------------------------------------------------
U.S. TRUSTEE QUARTERLY FEES                                                         -                      -
- ---------------------------------------------------------------------------------------------------------------------
COURT COSTS                                                                         -                      -
- ---------------------------------------------------------------------------------------------------------------------
TOTAL
DISBURSEMENTS     104,272.56           -     48,297.73              -      152,570.29          22,007,370.94
- ---------------------------------------------------------------------------------------------------------------------
NET CASH FLOW
(RECEIPTS LESS
DISBURSEMENTS)     25,857.81           -    (16,981.26)             -        8,876.55            (266,905.46)
- ---------------------------------------------------------------------------------------------------------------------
CASH - END
OF MONTH           57,220.53    2,998.53     17,439.54              -       77,658.60           1,993,995.40
- ---------------------------------------------------------------------------------------------------------------------



                    THE FOLLOWING SECTION MUST BE COMPLETED

              DISBURSEMENTS FOR CALCULATING U.S. TRUSTEE QUARTERLY
                    FEES: (FROM CURRENT MONTH ACTUAL COLUMN)
- ---------------------------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS                                                                                        152,570.29
- ---------------------------------------------------------------------------------------------------------------------
LESS: TRANSFERS TO DEBTOR IN POSSESSION
ACCOUNTS                                                                                                            -
- ---------------------------------------------------------------------------------------------------------------------
PLUS: ESTATE DISBURSEMENTS MADE BY OUTSIDE
SOURCES (ie. from escrow accounts)                                                                                  0
- ---------------------------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS FOR CALCULATING U.S.                                                                   150,570.29
TRUSTEE QUARTERLY FEES                                                          -------------------------------------





The Great Train Store Partners, L.P.
Detail of Other Items for Schedule of Cash Receipts and Disbursements


Collection Account
Other Receipts                                                      -

Other Disbursements
                                                                    -

Operating Account
Other Receipts                                               6,124.33
              closed account refunds                                -
              PR checks/refund                               1,030.96
              utility refunds                                  610.48
              employee cobra payments                               -
              insurance refunds                              2,242.36
              tax refunds                                    2,240.53
              IBJ Refund                                            -

Other Disbursements                                                 -
                                                                    -
                                                                    -





A/P Trade Account
Other Receipts                                                      -
              nsf Reversal                                          -
Other Disbursements                                                 -
              cleared checks per bank statement                     -

Expense Trade Account
Other Receipts                                                      -

Other Disbursements                                         48,297.73
              cleared checks per bank statement             48,297.73





In re: The Great Train Store Partners, L.P.              Case No. 00-01302 (RRM)
       Debtor                                       Reporting Period:     Oct-00

                              BANK RECONCILIATIONS
                          Continuation Sheet for MOR-1

A bank reconciliation must be included for each bank account.  The debtor's bank
reconciliations may be substituted for this page

                            OPERATING   A/P TRADE     EXPENSE    CONCENTRATION
- --------------------------------------------------------------------------------
BALANCE PER BOOKS           51,674.44    3,135.40     5,065.36              -
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
BANK BALANCE                57,220.53    2,998.53    17,439.54              -
- --------------------------------------------------------------------------------
(+) DEPOSITS IN TRANSIT            -       236.87           -               -
- --------------------------------------------------------------------------------
(-) OUTSTANDING CHECKS       5,546.09      100.00    12,374.18
- --------------------------------------------------------------------------------
OTHER                              -            -           -
- --------------------------------------------------------------------------------
ADJUSTED BANK BALANCE       51,674.44    3,135.40     5,065.36              -
- --------------------------------------------------------------------------------
*Adjusted Bank Balance must
equal balance per books
- --------------------------------------------------------------------------------
DEPOSITS
IN TRANSIT   Date    Amount   Date    Amount    Date      Amount    Date  Amount
          ----------------------------------------------------------------------
                                                                    List
                                                                    Attached
          ----------------------------------------------------------------------

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

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

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

          ----------------------------------------------------------------------
CHECKS
OUTSTANDING   Ch#    Amount    Ch#    Amount     Ch#      Amount     Ch#  Amount
           ---------------------------------------------------------------------
                               List              List
                               Attached          Attached
           ---------------------------------------------------------------------

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

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

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

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

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

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

OTHER:
________________________________________________________________________________
________________________________________________________________________________



In re: The Great Train Store Partners, L.P.              Case No: 00-01302 (RRM)
       Debtor                                           Reporting Period: Oct-00

                             STATEMENT OF OPERATIONS
                               (Income Statement)
                                                                    Cumulative
REVENUES                                          Month           Filing to Date
- --------------------------------------------------------------------------------
Gross Revenues                                             -      5,390,405.18
- --------------------------------------------------------------------------------
Less: Returns and Allowances                               -        436,547.93
- --------------------------------------------------------------------------------
Net Revenue                                                -      4,953,857.25
- --------------------------------------------------------------------------------
COST OF GOODS SOLD
- --------------------------------------------------------------------------------
Beginning Inventory                                        -     21,680,598.78
- --------------------------------------------------------------------------------
Add: Purchases                                             -      1,547,836.19
- --------------------------------------------------------------------------------
Add: Cost of Labor                                         -                 -
- --------------------------------------------------------------------------------
Add: Other Costs (attach schedule)                         -     (5,359,331.07)
- --------------------------------------------------------------------------------
Less: Ending Inventory                                     -     15,165,269.99
- --------------------------------------------------------------------------------
Cost of Goods Sold                                         -      2,703,833.91
- --------------------------------------------------------------------------------
Gross Profit                                               -      2,250,023.34
- --------------------------------------------------------------------------------
OPERATING EXPENSES
- --------------------------------------------------------------------------------
Advertising                                                         132,095.54
- --------------------------------------------------------------------------------
Auto and Truck Expense                                     -                 -
- --------------------------------------------------------------------------------
Bad Debts                                                  -                 -
- --------------------------------------------------------------------------------
Contributions                                              -                 -
- --------------------------------------------------------------------------------
Employee Benefits Program                                            61,162.65
- --------------------------------------------------------------------------------
Insider Compensation*                                               113,750.37
- --------------------------------------------------------------------------------
Insurance                                           (2,242.36)       71,052.12
- --------------------------------------------------------------------------------
Management Fees/Bonuses                                     -                -
- --------------------------------------------------------------------------------
Office Expense                                              -                -
- --------------------------------------------------------------------------------
Pension and Profit-Sharing Plans                            -                -
- --------------------------------------------------------------------------------
Repairs and Maintenance                                     -        56,658.43
- --------------------------------------------------------------------------------
Rent and Lease Expense                                (544.99)    1,311,918.29
- --------------------------------------------------------------------------------
Salaries/Commissions/Fees                           12,780.56     1,682,704.61
- --------------------------------------------------------------------------------
Supplies                                                             79,269.29
- --------------------------------------------------------------------------------
Taxes - Payroll                                                     212,077.25
- --------------------------------------------------------------------------------
Taxes - Real Estate                                         -                -
- --------------------------------------------------------------------------------
Taxes - Other                                       (2,240.53)      (31,532.46)
- -------------------------------------------------------------------------------
Travel and Entertainment                                             77,410.31
- --------------------------------------------------------------------------------
Utilities                                                           108,014.96
- --------------------------------------------------------------------------------
Other (attach schedule)                              2,701.36       613,532.64
- --------------------------------------------------------------------------------
Total Operating Expenses
Before Depreciation                                 10,454.04     4,488,114.00
- --------------------------------------------------------------------------------
Depreciation/Depletion/Amortization                         -       178,885.38
- --------------------------------------------------------------------------------
Net Profit (Loss) Before Other Income & Expenses   (10,454.04)   (2,416,976.04)
- --------------------------------------------------------------------------------
OTHER INCOME AND EXPENSES
- --------------------------------------------------------------------------------
Other Income (attach schedule)                                     (217,939.52)
- --------------------------------------------------------------------------------
Interest Expense                                    25,852.25       375,268.03
- --------------------------------------------------------------------------------
Other Expense (attach schedule)                             -       317,142.20
- --------------------------------------------------------------------------------



REORGANIZATION ITEMS
- --------------------------------------------------------------------------------
Professional Fees                                                   885,180.29
- --------------------------------------------------------------------------------
U.S. Trustee Quarterly Fees                         (6,000.00)        8,250.00
- --------------------------------------------------------------------------------
Interest Earned on Accumulated Cash from
Chapter 11 (see continuation sheet)                         -               -
- --------------------------------------------------------------------------------
Gain (Loss) from Sale of Equipment                (111,335.73)     (369,917.74)
- --------------------------------------------------------------------------------
Other Reorganization Expenses
(attach schedule)                                  (72,034.59)    3,874,001.19
- --------------------------------------------------------------------------------
Total Reorganization Expenses                     (189,370.32)    4,397,513.74
- --------------------------------------------------------------------------------
Income Taxes                                                -                -
- --------------------------------------------------------------------------------
Net Profit (Loss)                                  153,064.03    (8,242,003.55)
- --------------------------------------------------------------------------------



In re: The Great Train Store Partners, L.P.              Case No: 00-01302 (RRM)
       Debtor                                          Reporting Period:  Oct-00

                  STATEMENT OF OPERATIONS - continuation sheet

BREAKDOWN OF OTHER ACTIVITY                        MONTH             CUMULATIVE
- --------------------------------------------------------------------------------
Other Costs
- --------------------------------------------------------------------------------
Freight                                                              61,104.62
- --------------------------------------------------------------------------------
Cash Discounts                                                      (27,405.42)
- --------------------------------------------------------------------------------
Train Repair                                                          2,327.25
- --------------------------------------------------------------------------------
Inventory Variation                                                  70,515.16
- --------------------------------------------------------------------------------
Inventory W/O                                                       (94,847.79)
- --------------------------------------------------------------------------------
Change in Prepaid Inventory                                         362,087.33
- --------------------------------------------------------------------------------
Change in Transfers in transit                                      (22,178.73)
- --------------------------------------------------------------------------------
Change in Inventory Adjustments                                     818,248.61
- --------------------------------------------------------------------------------
Change in Accrued Shrink                                            (72,391.16)
- --------------------------------------------------------------------------------
Change in Def. Allowance                                             (6,740.71)
- --------------------------------------------------------------------------------
Change in Capitalized Freight                                                -
- --------------------------------------------------------------------------------
Change in Reserve                                                   242,704.18
- --------------------------------------------------------------------------------
Returns                                                             (55,642.22)
- --------------------------------------------------------------------------------
Change in A/P POD                                                   104,649.89
- --------------------------------------------------------------------------------
Total                                                     -       1,382,431.01
- --------------------------------------------------------------------------------
Other Operational Expenses
- --------------------------------------------------------------------------------
Bad Check Expense                                                     8,838.92
- --------------------------------------------------------------------------------
Board Meeting                                                         6,250.00
- --------------------------------------------------------------------------------
Credit Card Charges                                                  59,247.21
- --------------------------------------------------------------------------------
Cash Over/Short                                                       4,748.80
- --------------------------------------------------------------------------------
Casual Labor                                                            188.00
- --------------------------------------------------------------------------------
Consulting Fees                                                      10,094.77
- --------------------------------------------------------------------------------
Computer Processing                                  426.77          16,383.41
- --------------------------------------------------------------------------------
Licenses and Permits                                                  9,902.79
- --------------------------------------------------------------------------------
Postage                                              354.04          74,870.65
- --------------------------------------------------------------------------------
Public Co. Expense                                   525.00           2,578.15
- --------------------------------------------------------------------------------
Satellite Office                                                      7,600.00
- --------------------------------------------------------------------------------
Service Charges                                      461.04         144,607.01
- --------------------------------------------------------------------------------
Wrap and Pack                                                        21,144.14
- --------------------------------------------------------------------------------
Relocation                                                           12,799.81
- --------------------------------------------------------------------------------
Personnel Advertising                                                 6,227.17
- --------------------------------------------------------------------------------
Telephone                                            (65.49)         77,957.96
- --------------------------------------------------------------------------------
Legal                                              1,000.00          44,417.77
- --------------------------------------------------------------------------------
Misc. Exp.                                                           (6,867.16)
- --------------------------------------------------------------------------------
Total                                              2,701.36         505,989.40
- --------------------------------------------------------------------------------
Other Income
- --------------------------------------------------------------------------------
Sales Tax Discount                                                    3,314.02
- --------------------------------------------------------------------------------
Interest Income                                                         155.21
- --------------------------------------------------------------------------------


Other Income                                                       (223,907.49)
- --------------------------------------------------------------------------------
                                                                             -
- --------------------------------------------------------------------------------
Total                                                              (220,438.26)
- --------------------------------------------------------------------------------
Other Expense
- --------------------------------------------------------------------------------
Intercompany - License Fees                               -        (534,176.10)
- -------------------------------------------------------------------------------

- -------------------------------------------------------------------------------
Other Reorganization Expenses
- -------------------------------------------------------------------------------
See attached list                               (209,370.32)     (1,197,860.75)
- -------------------------------------------------------------------------------



In re: The Great Train Store Partners, L.P.              Case No: 00-01302 (RRM)
       Debtor                                          Reporting Period:  Oct-00

                                  BALANCE SHEET

ASSETS                           BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH             PETITION DATE
- --------------------------------------------------------------------------------
CURRENT ASSETS
- --------------------------------------------------------------------------------
Unrestricted Cash and Equivalents              61,728.93            350,140.77
- --------------------------------------------------------------------------------
Restricted Cash and Cash Equivalents
(see continuation sheet)
- --------------------------------------------------------------------------------
Accounts Receivable (Net)                              -             68,872.67
- --------------------------------------------------------------------------------
Notes Receivable
- --------------------------------------------------------------------------------
Inventories                                                       7,210,202.06
- --------------------------------------------------------------------------------
Prepaid Expenses
- --------------------------------------------------------------------------------
Professional Retainers                                                       -
- --------------------------------------------------------------------------------
Other Current Assets (attach schedule)
- --------------------------------------------------------------------------------
TOTAL CURRENT ASSETS                           61,728.93          7,629,215.50
- --------------------------------------------------------------------------------
PROPERTY AND EQUIPMENT
- --------------------------------------------------------------------------------
Real Property and Improvements                         -          5,484,908.96
- --------------------------------------------------------------------------------
Machinery and Equipment                                -
- --------------------------------------------------------------------------------
Furniture, Fixtures and Office Equipment               -          3,459,836.11
- --------------------------------------------------------------------------------
Leasehold Improvements                                 -
- --------------------------------------------------------------------------------
Vehicles                                               -
- --------------------------------------------------------------------------------
Less Accumulated Depreciation                          -          3,890,914.43
- --------------------------------------------------------------------------------
TOTAL PROPERTY AND EQUIPMENT                           -          5,053,830.64
- --------------------------------------------------------------------------------
OTHER ASSETS
- --------------------------------------------------------------------------------
Loans to Insiders *
- --------------------------------------------------------------------------------
Other Assets (attach schedule)                954,115.40            579,726.72
- --------------------------------------------------------------------------------
TOTAL OTHER ASSETS                            954,115.40            579,726.72
- --------------------------------------------------------------------------------
TOTAL ASSETS                                1,015,844.33         13,262,772.86
- --------------------------------------------------------------------------------

LIABILITIES AND OWNER EQUITY    BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH            PETITION DATE
- --------------------------------------------------------------------------------
LIABILITIES NOT SUBJECT TO
COMPROMISE (Postpetition)
- --------------------------------------------------------------------------------
Merchandise Payable                            95,588.89
- --------------------------------------------------------------------------------
Accounts Payable                              128,663.33            517,821.08
- --------------------------------------------------------------------------------
Taxes Payable (refer to FORM MOR-4)                    -            135,314.56
- --------------------------------------------------------------------------------
Wages Payable                                  80,363.61            245,761.18
- --------------------------------------------------------------------------------
Notes Payable                                 282,022.38            312,825.81
- --------------------------------------------------------------------------------
Rent/Leases - Building/Equipment
- --------------------------------------------------------------------------------
Secured Debt/Adequate Protection Payments              -          3,642,084.38
- --------------------------------------------------------------------------------
Professional Fees
- --------------------------------------------------------------------------------
Amounts Due to Insiders*
- --------------------------------------------------------------------------------
Other Postpetition Liabilities             17,293,262.22         18,248,391.83
(attach schedule)
- --------------------------------------------------------------------------------
TOTAL POSTPETITION LIABILITIES             17,879,900.43         23,102,198.84
- --------------------------------------------------------------------------------



LIABILITIES SUBJECT TO COMPROMISE
(Pre-Petition)
- --------------------------------------------------------------------------------
Secured Debt                                         -                     -
- --------------------------------------------------------------------------------
Priority Debt
- --------------------------------------------------------------------------------
Unsecured Debt                              4,199,769.37         2,931,820.57
- --------------------------------------------------------------------------------
TOTAL PRE-PETITION LIABILITIES              4,199,769.37         2,931,820.57
- --------------------------------------------------------------------------------
TOTAL LIABILITIES                          22,079,669.80        26,034,019.41
- --------------------------------------------------------------------------------
OWNER EQUITY
- --------------------------------------------------------------------------------
Capital Stock
- --------------------------------------------------------------------------------
Additional Paid-In Capital
- --------------------------------------------------------------------------------
Partners' Capital Account                 (10,807,323.52)      (10,807,323.52)
- --------------------------------------------------------------------------------
Owner's Equity Account                                 -
- --------------------------------------------------------------------------------
Retained Earnings - Pre-Petition           (1,963,923.03)       (1,963,923.03)
- --------------------------------------------------------------------------------
Retained Earnings - Postpetition           (8,292,578.92)
- --------------------------------------------------------------------------------
Adjustments to Owner Equity
(attach schedule)
- --------------------------------------------------------------------------------
NET OWNER EQUITY                          (21,063,825.47)      (12,771,246.55)
- --------------------------------------------------------------------------------

TOTAL LIABILITIES AND OWNERS' EQUITY        1,015,844.33        13,262,772.86
- --------------------------------------------------------------------------------




In re: The Great Train Store Partners, L.P.              Case No: 00-01302 (RRM)
       Debtor                                          Reporting Period:  Oct-00

                       Balance Sheet - continuation sheet

                                 Book Value at end of              Book Value
     Assets                    Current Reporting Month         on Petition Date
- --------------------------------------------------------------------------------
Other Current Assets
- --------------------------------------------------------------------------------

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

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

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

- --------------------------------------------------------------------------------
Other Assets
- --------------------------------------------------------------------------------
Professional Retainers                 783,795.40
- --------------------------------------------------------------------------------
Committee Funds                        150,000.00
- --------------------------------------------------------------------------------
Escrow Accounts held at
Pachulski St                            20,320.00
- --------------------------------------------------------------------------------
Deposits                                        -                    28,124.04
- --------------------------------------------------------------------------------
Wrap and Pack                                   -                    47,610.65
- --------------------------------------------------------------------------------
Prepaid Financing Tandem                        -                   135,875.84
- --------------------------------------------------------------------------------
Prepaid Financing Paragon                       -                   180,629.05
- --------------------------------------------------------------------------------
Lease Negotiation Costs - Stores                -                   187,487.14
- --------------------------------------------------------------------------------
Prepaid Issuance                                -
- --------------------------------------------------------------------------------
Total                                  954,115.40                   579,726.72
- --------------------------------------------------------------------------------

Liabilities and             Book Value at end of                  Book Value
Owners Equity             Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Postpetition
Liabilities
- --------------------------------------------------------------------------------
Gift Certificates Issued               131,880.16                   158,520.20
- --------------------------------------------------------------------------------
Straight Lined Rent                             -                 1,247,153.67
- --------------------------------------------------------------------------------
Note Payable - License Fee           8,677,448.13                 8,360,305.93
- --------------------------------------------------------------------------------
Intercompany                         8,483,933.93                 8,483,933.93
- --------------------------------------------------------------------------------
Fixture Sale Payable                            -
- --------------------------------------------------------------------------------
Other                                           -                    (1,521.90)
- --------------------------------------------------------------------------------

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

- --------------------------------------------------------------------------------
Total                               17,293,262.22                18,248,391.83
- --------------------------------------------------------------------------------
Adjustments to
Owner's Equity
- --------------------------------------------------------------------------------

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

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

- --------------------------------------------------------------------------------
Postpetition Contributions
(Distributions) (Draws)
- --------------------------------------------------------------------------------

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

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

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

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

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



In re: The Great Train Store Partners, L.P.              Case No: 00-01302 (RRM)
       Debtor                                           Reporting Period: Oct-00

                          STATUS OF POSTPETITION TAXES

               Beginning      Amount                                     Ending
                  Tax      Withheld or    Amount   Date   Check No.        Tax
               Liability     Accrued      Paid     Paid    or EFT      Liability
- --------------------------------------------------------------------------------
Federal
- --------------------------------------------------------------------------------
Withholding             -    3,159.32    3,159.32  10/5/00,
                                                   10/19/00
- --------------------------------------------------------------------------------
FICA-Employee           -      254.36      254.36  10/5/00,
                                                   10/19/00
- --------------------------------------------------------------------------------
FICA-Employer           -      254.36      254.36  10/5/00,
                                                   10/19/00
- --------------------------------------------------------------------------------
Unemployment            -
- --------------------------------------------------------------------------------
Income                 -

- --------------------------------------------------------------------------------
Other:  Less
Ozer Tax
Liability              -

- --------------------------------------------------------------------------------
Total Federal
Taxes                   -    3,668.04    3,668.04                             -

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

State and Local
- --------------------------------------------------------------------------------
Withholding             -

- --------------------------------------------------------------------------------
Sales                   -                                                     -

- --------------------------------------------------------------------------------
Excise                  -
- --------------------------------------------------------------------------------
Unemployment            -

- --------------------------------------------------------------------------------
Real Property           -
- --------------------------------------------------------------------------------
Personal
Property                -
- --------------------------------------------------------------------------------
Other: Less Ozer
Tax Liability           -

- --------------------------------------------------------------------------------
Total State             -                                                     -
and Local Taxes

- --------------------------------------------------------------------------------
Total Taxes             -    3,668.04    3,668.04                             -
- --------------------------------------------------------------------------------



                      SUMMARY OF UNPAID POSTPETITION DEBTS

Attach aged listing of accounts payable

                                        Number of Days Past Due
                      ----------------------------------------------------------
                      Current    0-30     31-60     61-90    Over 90     Total
- --------------------------------------------------------------------------------
Accounts Payable         -         -          -        -  224,252.22  224,252.22
- --------------------------------------------------------------------------------

Wages Payable            -                                                 -
- --------------------------------------------------------------------------------
Taxes Payable            -                                                 -
- --------------------------------------------------------------------------------
Rent/Leases-
Building                 -         -                                       -
- --------------------------------------------------------------------------------
Rent/Leases-
Equipment                -                                                 -
- --------------------------------------------------------------------------------
Secured Debt/
Adequate
Protection
Payments                 -                                                 -
- --------------------------------------------------------------------------------
Professional Fees        -                                                 -
- --------------------------------------------------------------------------------
Amounts Due to
Insiders*                -                                                 -
- --------------------------------------------------------------------------------
Other: Interest on
Tandem Warrants          -                                                 -
- --------------------------------------------------------------------------------
Other:
______________           -                                                 -
- --------------------------------------------------------------------------------
Total Postpetition
Debts                    -         -          -       -   224,252.22  224,252.22
- --------------------------------------------------------------------------------

Explain how and when the Debtor intends to pay any past-due postpetition debts






In Re: The Great Train Store Partners, L.P.              Case No: 00-01302 (RRM)
       Debtor                                        Reporting Period: June 2000


                  ACCOUNTS RECEIVABLE RECONCILIATION AND AGING


     Accounts Receivable Reconciliation                                Amount
- --------------------------------------------------------------------------------
Total Accounts Receivable at the
beginning of the reporting period                                             -
- --------------------------------------------------------------------------------
Add: Amounts billed during the period
- --------------------------------------------------------------------------------
Less: Amounts collected during the period
- --------------------------------------------------------------------------------
Less: A/R Write Off*
- --------------------------------------------------------------------------------
Total Accounts Receivable at the
end of the reporting period
- --------------------------------------------------------------------------------

     Accounts Receivable Aging                                         Amount
- --------------------------------------------------------------------------------
0-30 days old                                                                 -
- --------------------------------------------------------------------------------
31-60 days old                                                                -
- --------------------------------------------------------------------------------
61-90 days old                                                                -
- --------------------------------------------------------------------------------
Total Accounts Receivable                                                     -
- --------------------------------------------------------------------------------
Amount considered uncollectible (Bad Debt)
- --------------------------------------------------------------------------------
Accounts Receivable (Net)                                                     -
- --------------------------------------------------------------------------------




                              DEBTOR QUESTIONNAIRE

Must be completed each month                                    Yes          No
- --------------------------------------------------------------------------------
1.  Have any assets been sold or transferred outside the        Yes**
    normal course of business this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
2.  Have any funds been disbursed from any account other                     No*
    than a debtor in possession account this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
3.  Have all postpetition tax returns been timely filed?        Yes
    If no, provide an explanation below.
- --------------------------------------------------------------------------------
4.  Are workers compensation, general liability and             Yes
    other necessary insurance coverages in effect?
    If no, provide an explanation below.
- --------------------------------------------------------------------------------

*  The court approved the use of already existing bank accounts, so all bank
   accounts used were "Debtor in Possesson" accounts.

** Store assets are being sold by the liquidation company as the stores are
   closing.



                         UNITED STATES BANKRUPTCY COURT
                              DISTRICT OF DELAWARE

In re: GTS Limited Partner, Inc.                         Case No. 00-01303 (RRM)
       Debtor                                           Reporting Period: Oct-00


                            MONTHLY OPERATING REPORT

File with Court and submit copy to United  States  Trustee  within 20 days after
end of month

Submit copy of report to any official committee appointed in the case.

REQUIRED DOCUMENTS                      Form No.      Document      Explanation
                                                      Attached        Attached
- --------------------------------------------------------------------------------
Schedule of Cash Receipts
and Disbursements                        MOR-1             N/A
- --------------------------------------------------------------------------------
Bank Reconciliation (or
copies of Debtor's bank
reconciliations)                   MOR-1(CONT)             N/A
- --------------------------------------------------------------------------------
Copies of bank statements                                  N/A
- --------------------------------------------------------------------------------
Cash disbursements journals                                N/A
- --------------------------------------------------------------------------------
Statement of Operations                 MOR-2              N/A
- --------------------------------------------------------------------------------
Balance Sheet                           MOR-3         Included
- --------------------------------------------------------------------------------
Status of Postpetition Taxes            MOR-4              N/A
- --------------------------------------------------------------------------------
Copies of IRS Form 6123
or payment receipt                                         N/A
- --------------------------------------------------------------------------------
Copies of tax returns filed
during reporting period                                    N/A
- --------------------------------------------------------------------------------
Summary of Unpaid Postpetition
Debts                                   MOR-4              N/A
- --------------------------------------------------------------------------------
Listing of aged accounts payable                           N/A
- --------------------------------------------------------------------------------
Accounts Receivable Reconciliation
and Aging                               MOR-5              N/A
- --------------------------------------------------------------------------------
Debtor Questionnaire                    MOR-5         Included
- --------------------------------------------------------------------------------

I declare under penalty of perjury (28 U.S.C. Section 1746) that this report and
the  attached  documents  are true and correct to the best of my  knowledge  and
belief.


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Debtor

                                       12/19/2000
- -------------------------------------- Date
Signature of Joint Debtor


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Authorized
Individual*

Cheryl A. Taylor                       Vice President - Finance & Administration
- -------------------------------------- Title of Authorized Individual
Printed Name of Authorized Individual


* Authorized individual must be an officer, director or shareholder if Debtor is
a corporation;  a partner if Debtor is a  partnership;  a manager if Debtor is a
limited liability company.



In re: GTS Limited Partner, Inc.                         Case No. 00-01303 (RRM)
       Debtor                                           Reporting Period: Oct-00

                                  BALANCE SHEET

ASSETS                           BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH             PETITION DATE
- --------------------------------------------------------------------------------
CURRENT ASSETS
- --------------------------------------------------------------------------------
Unrestricted Cash and Equivalents                   -                         -
- --------------------------------------------------------------------------------
Restricted Cash and Cash Equivalents
(see continuation sheet)
- --------------------------------------------------------------------------------
Accounts Receivable (Net)                           -                         -
- --------------------------------------------------------------------------------
Notes Receivable
- --------------------------------------------------------------------------------
Inventories                                         -                         -
- --------------------------------------------------------------------------------
Prepaid Expenses                                    -
- --------------------------------------------------------------------------------
Professional Retainers                              -                         -
- --------------------------------------------------------------------------------
Other Current Assets (attach schedule)
- --------------------------------------------------------------------------------
TOTAL CURRENT ASSETS                                -                         -
- --------------------------------------------------------------------------------
PROPERTY AND EQUIPMENT
- --------------------------------------------------------------------------------
Real Property and Improvements                      -                         -
- --------------------------------------------------------------------------------
Machinery and Equipment                                                       -
- --------------------------------------------------------------------------------
Furniture, Fixtures and Office Equipment            -                         -
- --------------------------------------------------------------------------------
Leasehold Improvements
- --------------------------------------------------------------------------------
Vehicles
- --------------------------------------------------------------------------------
Less Accumulated Depreciation                       -                         -
- --------------------------------------------------------------------------------
TOTAL PROPERTY AND EQUIPMENT                        -                         -
- --------------------------------------------------------------------------------
OTHER ASSETS
- --------------------------------------------------------------------------------
Loans to Insiders *
- --------------------------------------------------------------------------------
Other Assets (attach schedule)            (360,265.26)             (360,265.26)
- --------------------------------------------------------------------------------
TOTAL OTHER ASSETS                        (360,265.26)             (360,265.26)
- --------------------------------------------------------------------------------
TOTAL ASSETS                              (360,265.26)             (360,265.26)
- --------------------------------------------------------------------------------

LIABILITIES AND OWNER EQUITY    BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH            PETITION DATE
- --------------------------------------------------------------------------------
LIABILITIES NOT SUBJECT TO
COMPROMISE (Postpetition)
- --------------------------------------------------------------------------------
Merchandise Payable                                 -
- --------------------------------------------------------------------------------
Accounts Payable                                    -                       -
- --------------------------------------------------------------------------------
Taxes Payable (refer to FORM MOR-4)                 -                       -
- --------------------------------------------------------------------------------
Wages Payable                                       -                       -
- --------------------------------------------------------------------------------
Notes Payable                                       -                       -
- --------------------------------------------------------------------------------
Rent/Leases - Building/Equipment
- --------------------------------------------------------------------------------
Secured Debt/Adequate Protection Payments           -
- --------------------------------------------------------------------------------
Professional Fees
- --------------------------------------------------------------------------------
Amounts Due to Insiders*
- --------------------------------------------------------------------------------
Other Postpetition Liabilities                      -                        -
(attach schedule)
- --------------------------------------------------------------------------------
TOTAL POSTPETITION LIABILITIES                      -                        -
- --------------------------------------------------------------------------------



LIABILITIES SUBJECT TO COMPROMISE
(Pre-Petition)
- --------------------------------------------------------------------------------
Secured Debt                                        -                        -
- --------------------------------------------------------------------------------
Priority Debt
- --------------------------------------------------------------------------------
Unsecured Debt                                      -                        -
- --------------------------------------------------------------------------------
TOTAL PRE-PETITION LIABILITIES                      -                        -
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
TOTAL LIABILITIES                                   -                        -
- --------------------------------------------------------------------------------
OWNER EQUITY
- --------------------------------------------------------------------------------
Capital Stock                                  100.00                    100.00
- --------------------------------------------------------------------------------
Additional Paid-In Capital
- --------------------------------------------------------------------------------
Partners' Capital Account                           -                         -
- --------------------------------------------------------------------------------
Owner's Equity Account                              -                         -
- --------------------------------------------------------------------------------
Retained Earnings - Pre-Petition          (360,365.26)              (360,365.26)
- --------------------------------------------------------------------------------
Retained Earnings - Postpetition                    -
- --------------------------------------------------------------------------------
Adjustments to Owner Equity
(attach schedule)
- --------------------------------------------------------------------------------
NET OWNER EQUITY                          (360,265.26)              (360,265.26)
- --------------------------------------------------------------------------------
TOTAL LIABILITIES AND OWNERS' EQUITY      (360,265.26)              (360,265.26)
- --------------------------------------------------------------------------------



In re: GTS Limited Partner, Inc.                         Case No. 00-01303 (RRM)
       Debtor                                           Reporting Period: Oct-00


                       Balance Sheet - continuation sheet

                            Book Value at end of                   Book Value
     Assets               Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Current Assets
- --------------------------------------------------------------------------------

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

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

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

- --------------------------------------------------------------------------------
Other Assets
- --------------------------------------------------------------------------------
Investment in TGTS Partners         (360,265.26)               (360,265.26)
- --------------------------------------------------------------------------------

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

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

- --------------------------------------------------------------------------------
Total                               (360,265.26)               (360,265.26)
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
Liabilities and             Book Value at end of                  Book Value
Owners Equity             Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Postpetition
Liabilities
- --------------------------------------------------------------------------------

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

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

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

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

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

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

- --------------------------------------------------------------------------------
Total                                           -                        -
- --------------------------------------------------------------------------------
Adjustments to
Owner's Equity
- --------------------------------------------------------------------------------

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

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

- --------------------------------------------------------------------------------
Postpetition Contributions
(Distributions) (Draws)
- --------------------------------------------------------------------------------

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

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

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

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

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




                              DEBTOR QUESTIONNAIRE

Must be completed each month                                    Yes          No
- --------------------------------------------------------------------------------
1.  Have any assets been sold or transferred outside the                     No
    normal course of business this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
2.  Have any funds been disbursed from any account other        N/A
    than a debtor in possession account this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
3.  Have all postpetition tax returns been timely filed?        Yes
    If no, provide an explanation below.
- --------------------------------------------------------------------------------
4.  Are workers compensation, general liability and             N/A
    other necessary insurance coverages in effect?
    If no, provide an explanation below.
- --------------------------------------------------------------------------------



                         UNITED STATES BANKRUPTCY COURT
                              DISTRICT OF DELAWARE

In re: The GTS Partner, Inc.                             Case No. 00-01304 (RRM)
       Debtor                                           Reporting Period: Oct-00

                            MONTHLY OPERATING REPORT

File with Court and submit copy to United  States  Trustee  within 20 days after
end of month

Submit copy of report to any official committee appointed in the case.

REQUIRED DOCUMENTS                      Form No.      Document      Explanation
                                                      Attached        Attached
- --------------------------------------------------------------------------------
Schedule of Cash Receipts
and Disbursements                        MOR-1             N/A
- --------------------------------------------------------------------------------
Bank Reconciliation (or
copies of Debtor's bank
reconciliations)                   MOR-1(CONT)             N/A
- --------------------------------------------------------------------------------
Copies of bank statements                                  N/A
- --------------------------------------------------------------------------------
Cash disbursements journals                                N/A
- --------------------------------------------------------------------------------
Statement of Operations                 MOR-2              N/A
- --------------------------------------------------------------------------------
Balance Sheet                           MOR-3         Attached
- --------------------------------------------------------------------------------
Status of Postpetition Taxes            MOR-4              N/A
- --------------------------------------------------------------------------------
Copies of IRS Form 6123
or payment receipt                                         N/A
- --------------------------------------------------------------------------------
Copies of tax returns filed
during reporting period                                    N/A
- --------------------------------------------------------------------------------
Summary of Unpaid Postpetition
Debts                                   MOR-4              N/A
- --------------------------------------------------------------------------------
Listing of aged accounts payable                           N/A
- --------------------------------------------------------------------------------
Accounts Receivable Reconciliation
and Aging                               MOR-5              N/A
- --------------------------------------------------------------------------------
Debtor Questionnaire                    MOR-5         Included
- --------------------------------------------------------------------------------

I declare under penalty of perjury (28 U.S.C. Section 1746) that this report and
the  attached  documents  are true and correct to the best of my  knowledge  and
belief.


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Debtor

                                       12/19/2000
- -------------------------------------- Date
Signature of Joint Debtor


/s/ Cheryl A. Taylor                   12/19/2000
- -------------------------------------- Date
Signature of Authorized
Individual*


Cheryl A. Taylor                       Vice President - Finance & Administration
- -------------------------------------- Title of Authorized Individual
Printed Name of Authorized Individual


* Authorized individual must be an officer, director or shareholder if Debtor is
a corporation;  a partner if Debtor is a  partnership;  a manager if Debtor is a
limited liability company.



In re: The GTS Partner, Inc.                             Case No. 00-01304 (RRM)
       Debtor                                           Reporting Period: Oct-00


                                  BALANCE SHEET

ASSETS                           BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH             PETITION DATE
- --------------------------------------------------------------------------------
CURRENT ASSETS
- --------------------------------------------------------------------------------
Unrestricted Cash and Equivalents                   -                    176.00
- --------------------------------------------------------------------------------
Restricted Cash and Cash Equivalents
(see continuation sheet)
- --------------------------------------------------------------------------------
Accounts Receivable (Net)                           -                         -
- --------------------------------------------------------------------------------
Notes Receivable
- --------------------------------------------------------------------------------
Inventories                                         -                         -
- --------------------------------------------------------------------------------
Prepaid Expenses                                    -
- --------------------------------------------------------------------------------
Professional Retainers                              -                         -
- --------------------------------------------------------------------------------
Other Current Assets (attach schedule)
- --------------------------------------------------------------------------------
TOTAL CURRENT ASSETS                                -                    176.00
- --------------------------------------------------------------------------------
PROPERTY AND EQUIPMENT
- --------------------------------------------------------------------------------
Real Property and Improvements                      -                         -
- --------------------------------------------------------------------------------
Machinery and Equipment
- --------------------------------------------------------------------------------
Furniture, Fixtures and Office Equipment            -                         -
- --------------------------------------------------------------------------------
Leasehold Improvements
- --------------------------------------------------------------------------------
Vehicles
- --------------------------------------------------------------------------------
Less Accumulated Depreciation                       -                         -
- --------------------------------------------------------------------------------
TOTAL PROPERTY AND EQUIPMENT                        -                         -
- --------------------------------------------------------------------------------
OTHER ASSETS
- --------------------------------------------------------------------------------
Loans to Insiders *
- --------------------------------------------------------------------------------
Other Assets (attach schedule)          (1,150,464.06)            (1,150,464.06)
- --------------------------------------------------------------------------------
TOTAL OTHER ASSETS                      (1,150,464.06)            (1,150,464.06)
- --------------------------------------------------------------------------------
TOTAL ASSETS                            (1,150,464.06)            (1,150,288.06)
- --------------------------------------------------------------------------------

LIABILITIES AND OWNER EQUITY    BOOK VALUE AT END OF CURRENT      BOOK VALUE ON
                                       REPORTING MONTH            PETITION DATE
- --------------------------------------------------------------------------------
LIABILITIES NOT SUBJECT TO
COMPROMISE (Postpetition)
- --------------------------------------------------------------------------------
Merchandise Payable                                -
- --------------------------------------------------------------------------------
Accounts Payable                                   -                         -
- --------------------------------------------------------------------------------
Taxes Payable (refer to FORM MOR-4)                -                         -
- --------------------------------------------------------------------------------
Wages Payable                                      -                         -
- --------------------------------------------------------------------------------
Notes Payable                                      -                         -
- --------------------------------------------------------------------------------
Rent/Leases - Building/Equipment
- --------------------------------------------------------------------------------
Secured Debt/Adequate Protection Payments          -
- --------------------------------------------------------------------------------
Professional Fees
- --------------------------------------------------------------------------------
Amounts Due to Insiders*
- --------------------------------------------------------------------------------
Other Postpetition Liabilities
(attach schedule)                                  -                         -
- --------------------------------------------------------------------------------
TOTAL POSTPETITION LIABILITIES                     -                         -
- --------------------------------------------------------------------------------



LIABILITIES SUBJECT TO COMPROMISE
(Pre-Petition)
- --------------------------------------------------------------------------------
Secured Debt                                       -                         -
- --------------------------------------------------------------------------------
Priority Debt
- --------------------------------------------------------------------------------
Unsecured Debt                                     -                         -
- --------------------------------------------------------------------------------
TOTAL PRE-PETITION LIABILITIES                     -                         -
- --------------------------------------------------------------------------------

- --------------------------------------------------------------------------------
TOTAL LIABILITIES                                  -                         -
- --------------------------------------------------------------------------------
OWNER EQUITY
- --------------------------------------------------------------------------------
Capital Stock                                 190.00                     190.00
- --------------------------------------------------------------------------------
Additional Paid-In Capital                (13,159.28)                (13,159.28)
- --------------------------------------------------------------------------------
Partners' Capital Account                          -                         -
- --------------------------------------------------------------------------------
Owner's Equity Account                             -
- --------------------------------------------------------------------------------
Retained Earnings - Pre-Petition       (1,137,318.78)             (1,137,318.78)
- --------------------------------------------------------------------------------
Retained Earnings - Postpetition             (176.00)
- --------------------------------------------------------------------------------
Adjustments to Owner Equity
(attach schedule)
- --------------------------------------------------------------------------------
NET OWNER EQUITY                       (1,150,464.06)             (1,150,288.06)
- --------------------------------------------------------------------------------

TOTAL LIABILITIES AND OWNERS' EQUITY   (1,150,464.06)             (1,150,288.06)
- --------------------------------------------------------------------------------




In re: The GTS Partner, Inc.                             Case No. 00-01304 (RRM)
       Debtor                                           Reporting Period: Oct-00


                       Balance Sheet - continuation sheet

                            Book Value at end of                   Book Value
     Assets               Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Current Assets
- --------------------------------------------------------------------------------

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

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

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

- --------------------------------------------------------------------------------
Other Assets
- --------------------------------------------------------------------------------
Investment in TGTS Partners      (790,098.80)                    (790.098.80)
- --------------------------------------------------------------------------------

Investment in GTS Ltd.
Ptr. Inc.                        (360,365.26)                    (360,365.26)
- --------------------------------------------------------------------------------

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

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

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

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

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

- --------------------------------------------------------------------------------
Total                          (1,150,464.06)                  (1,150,464.06)
- --------------------------------------------------------------------------------
Liabilities and             Book Value at end of                  Book Value
Owners Equity             Current Reporting Month              on Petition Date
- --------------------------------------------------------------------------------
Other Postpetition
Liabilities
- --------------------------------------------------------------------------------

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

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

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

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

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

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

- --------------------------------------------------------------------------------
Total                               -                                 -
- --------------------------------------------------------------------------------
Adjustments to
Owner's Equity
- --------------------------------------------------------------------------------

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

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

- --------------------------------------------------------------------------------
Postpetition Contributions
(Distributions) (Draws)
- --------------------------------------------------------------------------------

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

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

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

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

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




                              DEBTOR QUESTIONNAIRE

Must be completed each month                                    Yes          No
- --------------------------------------------------------------------------------
1.  Have any assets been sold or transferred outside the                     No
    normal course of business this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
2.  Have any funds been disbursed from any account other        N/A
    than a debtor in possession account this reporting period?
    If yes, provide an explanation below.
- --------------------------------------------------------------------------------
3.  Have all postpetition tax returns been timely filed?        Yes
    If no, provide an explanation below.
- --------------------------------------------------------------------------------
4.  Are workers compensation, general liability and             N/A
    other necessary insurance coverages in effect?
    If no, provide an explanation below.
- --------------------------------------------------------------------------------