-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, VjsN/xI4mkWd72A4T8Soe09Zya9/kVdzkHv64CQWzU0Zb4usrW6kidpgBR3dnIwy //CfWoV2wIwz9ZRyM2NXLg== 0000950123-09-015339.txt : 20090619 0000950123-09-015339.hdr.sgml : 20090619 20090619130619 ACCESSION NUMBER: 0000950123-09-015339 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20090612 ITEM INFORMATION: Other Events ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20090619 DATE AS OF CHANGE: 20090619 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CAPITAL CORP OF THE WEST CENTRAL INDEX KEY: 0001004740 STANDARD INDUSTRIAL CLASSIFICATION: STATE COMMERCIAL BANKS [6022] IRS NUMBER: 770405791 STATE OF INCORPORATION: CA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 000-27384 FILM NUMBER: 09900702 BUSINESS ADDRESS: STREET 1: 2801 G STREET CITY: MERCED STATE: CA ZIP: 95340 BUSINESS PHONE: 2097252200 MAIL ADDRESS: STREET 1: 2801 G STREET CITY: MERCED STATE: CA ZIP: 95340 8-K 1 f52812e8vk.htm FORM 8-K e8vk
Table of Contents

 
 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549
 
FORM 8-K
CURRENT REPORT
PURSUANT TO SECTION 13 OR 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934
Date of report (Date of earliest event reported): June 12, 2009
CAPITAL CORP OF THE WEST
(Exact Name of Company as Specified in Charter)
         
California   0-27384   77-0147763
         
(State or Other Jurisdiction   (Commission File   (IRS Employer
of Incorporation)   Number)   Identification No.)
2801 G Street, Merced, California   95340
(Address of Principal Executive Offices)  (Zip Code)
(209) 580-4040
(Company’s telephone number, including area code)
N/A
(Former name or former address, if changed since last report.)
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the Company under any of the following provisions:
o   Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
 
o   Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
 
o   Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
 
o   Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
 
 

 


TABLE OF CONTENTS

Item 8.01. Other Events
Item 9.01. Financial Statements and Exhibits
SIGNATURES
EX-99.1


Table of Contents

Item 8.01.  Other Events.
Filing of Monthly Report
Capital Corp of the West, a California corporation (the “Company”), filed its Monthly Report of Operations for the partial month ended May 31, 2009, on June 12, 2009, with the United States Bankruptcy Court for the Eastern District of California, Fresno Division. A copy of this Bankruptcy Court report is filed as Exhibit 99.1 hereto and incorporated herein by reference.   Copies of all Bankruptcy Court filings made by the Company during the bankruptcy case (other than documents filed under seal or otherwise subject to confidentiality protections) will be made available on line at the website established by the Company’s bankruptcy counsel, www.ffwplaw.com . To access documents at the website, click on the “cases” link, enter the email “ cases@ffwplaw.com ” and the password “password” and then click on the “Capital Corp of the West” folder. Documents also are available at the court website through PACER. The Company’s case number is 09-14298. The proceeding is entitled In re Capital Corp of the West. The court website is www.caeb.uscourts.gov . The information set forth on the foregoing websites shall not be deemed to be a part of, or incorporated by reference into, this Form 8-K.
The Company cautions readers not to place undue reliance upon the information contained in the Bankruptcy Court report that is filed as Exhibit 99 hereto, or in any monthly or quarterly Bankruptcy Court reports that it may from time to time file as exhibits to past or future Securities and Exchange Commission reports on Form 8-K, because such Bankruptcy Court reports:
are not audited or reviewed by independent accountants;
are prepared in a format prescribed by bankruptcy law, which does not require conformity with generally accepted accounting principles (“GAAP”), and such reports therefore do not purport to reflect the financial condition or results of operations of the Company on a GAAP basis;
are not presented on a consolidated basis and therefore do not purport to present the consolidated financial condition and results of the Company and its subsidiaries;
contain information for periods which may be shorter or otherwise different than those contained in reports that are required to be filed by companies that are subject to reporting obligations under Section 13(a) of the 1934 Act; and
and are subject to future adjustment and reconciliation.
Item 9.01. Financial Statements and Exhibits.  
(c) Exhibits.
        99.1   Monthly Operating Report filed by the Company with the Bankruptcy Court on June 12, 2009.

2


Table of Contents

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the Company has duly caused this Report to be signed on its behalf by the undersigned hereunto duly authorized.
         
  Capital Corp of the West
            (Company)
 
 
Dated: June 19, 2009  By:   /s/ David A. Heaberlin    
    David A. Heaberlin   
    Executive Vice President/Chief Financial Officer   
 

3

EX-99.1 2 f52812exv99w1.htm EX-99.1 exv99w1
Exhibit 99.1
Monthly Report of Operations
Period ended May 31, 2009
UNITED STATES BANKRUPTCY COURT
EASTERN DISTRICT OF CALIFORNIA
(STAMP)
         
In re:
  Capital Corp of the West   Case no. [ILLEGIBLE]
 
       
 
      MONTHLY REPORT OF
OPERATIONS
             
 
 MONTH ENDING   5/11-5/31   20 09
 
     
 
   
Debtor in possession hereby submits its Monthly Report on the Cash Basis of accounting.
CASH BASIS
     Attached hereto are the following schedules:
             
 
  A.   Cash Receipts and Cash Disbursements  
X
 
           
 
           
 
  B.   Summary of Receipts & Disbursements to Date  
X
 
           
 
           
 
  C.   Balance in Debtor in Possession Account  
N/A
 
           
 
           
 
  D.   Balance in Tax Account  
N/A
 
           
 
           
 
  E.   Balance in Citibank                      Account  
N/A
 
           
 
           
 
  F.   Post Petition Debts  
N/A
 
           
 
           
 
  G.   Accounts Receivable Balance  
N/A
 
           
 
           
 
  H.   Inventory Balance  
N/A
 
           
 
           
 
  I.   Federal and State Taxes  
N/A
 
           
 
           
 
  J.   Monthly Operating Statement Questionnaire  
X
 
           
 
           
 
  K.   Other Appropriate Schedules  
X
 
           
     NOTES:  Schedules A, B, C, F, I & J MUST be filed.
Attach Schedules D, E, G, H & K if they are maintained in the ordinary course of the business.
(MOR-1:6/90)

 


 

SCHEDULE A
CASH RECEIPTS AND DISBURSEMENTS
RECEIPTS
                 
Cash sales
    N/A            
 
             
Rents collected
      N/A          
 
             
Accounts receivable collected
    —            
 
             
Other receipts (describe):
               
a.
               
 
             
b.
               
 
             
 
               
1.                                        TOTAL RECEIPTS
            $ —    
 
             
 
               
DISBURSEMENTS
Payments to vendors for merchandise
    N/A            
 
             
Net payroll paid
    30,885.90            
 
             
Payroll taxes paid/deposited to tax account:
               
Employee withholdings
    N/A            
 
             
Employer portion
    N/A            
 
             
Sales taxes paid/deposited to tax account
    N/A            
 
             
Other disbursements (describe):
               
a.
  NONE          
 
             
b.
               
 
             
c.
               
 
             
d.
               
 
             
e.
               
 
             
f.
               
 
             
g.
               
 
             
h.
               
 
             
i.
               
 
             
j.
               
 
             
k.
               
 
             
Miscellaneous (attach listing)
               
 
             
Living allowance or draw
    N/A            
 
             
2.                                         TOTAL DISBURSEMENTS
            $   30,885.90   
 
           
3.                 Receipts OVER or (UNDER) disbursements
            $ (30,885.90 )  
 
           
(MOR-1:6/90)

 


 

SCHEDULE B
SUMMARY OF CASH TRANSACTIONS
SINCE FILING PETITION
                 
  4.    
Total receipts to date
    $ -    
       
 
     
       
(Prior month Schedule B line 4 plus current month Schedule A line 1)
       
  5.    
Total disbursements to date
    $ -    
       
 
     
       
(Prior month Schedule B line 5 plus current month Schedule A line 2)
       
  6.    
Net receipts over (under) disbursements
    $ -    
       
 
     
SCHEDULE C - SEE ATTACHED SPREADSHEET
BALANCE IN DEBTOR IN POSSESSION ACCOUNT
                 
       
Balance at end of last month
    $ -    
       
 
     
       
Net transactions for this month (Line 3 - Schedule A)
    -    
       
 
     
       
Balance at end of this month
    $ -    
       
 
     
SCHEDULE D - SEE ATTACHED SPREADSHEET
BALANCE IN TAX ACCOUNT
                 
       
Balance at end of last month
    $ -    
       
 
     
       
Add deposits from general account
     -    
       
 
     
       
Subtotal
    $ -    
       
 
     
       
Deduct payments to taxing agencies
       
       
 
     
       
Balance at end of this month
    $ -    
       
 
     
SCHEDULE E - SEE ATTACHED SPREADSHEET
BALANCE IN
  Citibank           ACCOUNT
                 
       
Balance at end of last month
    $ -    
       
 
     
       
Add deposits from general account
       
       
 
     
       
Subtotal
    $ -    
       
 
     
       
Deduct disbursements
       
       
 
     
       
Balance at end of this month
    $ -    
       
 
     
(MOR-1:6/90)

 


 

SCHEDULE F
POST PETITION DEBTS
                 
       
Balance at end of last month ----------- Not Applicable
    $ -    
       
 
     
       
Add debts incurred this month
        
       
 
     
       
Subtotal
    $ -    
       
 
     
       
Deduct payments made this month on this balance
    -    
       
 
     
       
Subtotal
    $ -    
       
 
     
       
Adjustments (Explain on separate sheet)
    -    
       
 
     
       
Balance at end of this month. (Attach listing)
    $ -    
       
 
     
SCHEDULE G
ACCOUNTS RECEIVABLE BALANCE
                 
       
Balance of receivables at end of last month ----------- Not Applicable
    $ -    
       
 
     
       
Add new receivables for this month
    -    
       
 
     
       
Subtotal
    $ -    
       
 
     
       
Deduct accounts collected (From Schedule A)
    -    
       
 
     
       
Subtotal
    $ -    
       
 
     
       
Adjustments (Explain on separate sheet)
    -    
       
 
     
       
Balance at end of this month (Attach listing)
    $ -    
       
 
     
SCHEDULE H
INVENTORY AND COST OF GOODS SOLD
                 
       
Inventory balance at end of last month ----------- Not Applicable
    $ -    
       
 
     
       
Add merchandise purchase
    -    
       
 
     
       
Total inventory available
    -    
       
 
     
       
Adjustments (Explain on separate sheet)
    -    
       
 
     
       
Less inventory balance at end of this month
    -    
       
 
     
       
Total (Cost of goods sold)
    $ -    
       
 
     
(MOR-1:6/90)

 


 

SCHEDULE I
FEDERAL AND STATE TAXES
                                 
1.     Tax balance at end of last month ----------- Not Applicable             $ -
 
                           
PAYROLL TAX LIABILITY THIS MONTH:
                                         
 
  Period:   o   Weekly   o   Biweekly   o   Semimonthly   o   Monthly    
Fed. Employer or S.S. #                                                 EDD ID#        
                                 
Withholdings:
                               
 
                               
Federal income tax
                    $ -          
 
                             
 
                               
FICA withheld
                               
 
                             
 
                               
State income tax
                               
 
                             
 
                               
State disability
                               
 
                             
 
                               
Employer tax liability:
                               
 
                               
FICA
                               
 
                             
 
                               
Federal unemployment
                               
 
                             
 
                               
State unemployment
                               
 
                             
                                 
2.               Total payroll taxes due                 $ -      
 
                             
SALES TAX LIABILITY THIS MONTH:
     State Board of Equalization ID#                                             
                         
Sales tax liability     $ -          
Other (excise, city, business, etc.)              
 
                     
                         
3.                Total sales taxes due               $ -
 
                   
SUMMARY OF TAX PAYMENTS MADE THIS MONTH:
                   
Payee   Date Paid   Bank Acct. #   Check #   Amount
 
                $ -
 
               
 
                 
 
               
 
                 
 
               
 
                 
 
               
 
                 
 
               
                   
4.                Total payments made             $ -
 
               
Tax balance at end of this month (add line 1+2+3 less line 4)         $ -
 
               
(MOR-1:6/90)

0


 

SCHEDULE J
MONTHLY OPERATING STATEMENT QUESTIONNAIRE
                 
        Yes   No   N/A
1.
  Copies of checkbooks or receipts and disbursements listings attached:            
 
               
 
            Debtor in possession account (Activated As Of June 5)       X    
 
               
 
            Tax account           X
 
               
 
            Other account (Citibank Pre-DIP A/C # 203084249)   X        
 
               
2.
  Listing of unpaid post-petition debts           N/A
 
  (include unpaid professional fees and interest owed)            
 
               
3.
  Have any payments been made to secured creditors or lessors?       X    
 
  (If yes - attach listing of payments made)            
 
               
4.
  (a) Have any payments been made to officers, shareholders, insiders,   X        
 
       relatives or professionals? See Attached Payroll Summaries            
 
       (If yes - attach listing of payments made)            
 
  (b) Were these payments approved by the court?       X    
 
               
5.
  (a) Have any payments been made on prepetition debts?       X    
 
       (If yes - attach listing of payments made)            
 
  (b) Were these payments approved by the court?            
 
               
6.
  Do you carry insurance coverage of any kind?   X        
 
  Attach copies of declaration pages (Data Previously Provided)            
 
  Note: If you have previously submitted copies of declaration pages &            
 
  there have been no changes in coverage initial here (no copies needed)            
 
               
7.
  Have U.S. Trustee quarterly fees been paid?       X    
 
  (If yes - attach listing of payments made)            
 
  (If no - attach explanation)                Fees Not Yet Due            
DECLARATION OF DEBTOR
I certify under penalty of perjury that the foregoing is true and correct.
         
Executed on   June 12, 2009   /s/ David A. Heaberlin
         
        (Signature)
Debtor in
Possession
I have reviewed the Monthly Report of Operations and, after making reasonable inquiry, believe that the information is true and correct.
         
 
            /s/ David A. Heaberlin
 
(Signature of Preparer)
(Attorney or Accountant)
   
(MOR-1:6/90)


 

Capital Corp of the West
09-14298-B-11F
                                                       
       
  Cash/Bank Account     Beginning Balance                           Transfers       Ending Balance    
  Bank & Acct #     11-May-09       Receipts       Disbursements       in (+)/out (-)       31-May-09    
                                   
 
Citibank A/C # 203084249
    $ 6,735,188.17                 $ 30,885.90                 $ 6,704,302.27    
 
 
    $ -                                     $ -    
 
Citibank DIP Accounts (Active as of June 4, 2009):
    $ -                                     $ -    
 
Operating A/C # 9951707360
    $ -                                     $ -    
 
Federal Itax Refund A/C # 9951707387
    $ -                                     $ -    
 
California Tax Refund A/C # 9951707416
    $ -                                     $ -    
 
Insurance Refund A/C # 9951 707424
    $ -                                     $ -    
 
 
    $ -                                     $ -    
                                   
 
Total
    $ 6,735,188.17       $ -       $ 30,885.90       $ -       $ 6,704,302.27    
                                   
 
Notes:
 
1.   All cash accounts (including petty cash) should be reflected on spreadsheet
 
2.   Transfers must total zero
 
3.   Total ending cash on hand must be supported by detailed registers, bank recs, balance sheet, etc.
 
4.   Net change in cash (receipts less disbursements) must be supported by detailed registers and Schedule A.
 
5.   Schedules C, D and/or E need not be completed if this spreadsheet is used. Notation should be made on Schedules C, D and/or E to “see attached spreadsheet.”
 
6.   Beg balance must agree with the prior month’s ending balance or, for the first month only, this amount should agree with the cash on hand as of the filing date.

 


 

         
    Capital Corp of the West    
    Profit & Loss    
Cash Basis   May 11 - 31, 2009    
         
    May 11 - 31, 09  
Income
    0.00  
Expense
       
Compensation Costs
    30,885.90  
 
     
Total Expense
    30,885.90  
 
     
 
       
Net Income
    -30,885.90  
 
     
Page 1

 


 

         
    Capital Corp of the West    
    Profit & Loss Detail    
Cash Basis   May 11 - 31, 2009    
                                 
Type   Date   Name   Memo   Split   Original A...     Paid Amount  
Income
                               
Expense
                               
Compensation Costs
                               
Check
  5/15/2009   Administaff   Week Ending May 15   Citibank     8,473.20       8,473.20  
Check
  5/22/2009   Administaff   Week Ending May 22   Citibank     11,206.35       11,206.35  
Check
  5/29/2009   Administaff   Week Ending May 29   Citibank     11,206.35       11,206.35  
 
                             
Total Compensation Costs
                            30,885.90  
 
                             
 
                               
Total Expense
                            30,885.90  
 
                             
 
                               
Net Income
                            -30,885.90  
 
                             

 


 

     
WebPayroll - Invoice Report
  Page 1 of 1
 
     
Invoice Report
  (ADMINSTAFF)
     
CAPITAL CORP OF THE WEST (2606900)
  Invoice #: 2943270
2801 G ST
  Payroll Date: 05/15/2009
MERCED, CA95340-2133
  Payroll #: 1
Payroll Contact: DAVID A HEABERLIN
  Payroll Type: REGULAR - 1
Report Date: 5/12/2009
  Period: 05/9/2009 through 05/15/2009
 
                                         
Billing Groups:                
No. Name   No. EEs   Service Fee %   Payroll Gross     Total Cost
0    
UNASSIGNED
    1     5.92         $8,000.00         $8,473.20
       
 
                               
Total Summary:     1               $8,000.00         $8,473.20
       
 
                               
Total additional charges or credits:                               $0.00
Payroll amount due from client:                               $8,473.20
       
 
                               
TOTAL amount due from client:                               $8,473.20
 
 
Due to Direct Deposit with ePayStub enrollment in this client number, the debit date for this payroll is paydate.
 
 
                                                                         
        Check #   Check #                        
Employees   Status   Non DD   DD   Prev/Curr   W/C Code   W/C State   Benefits   Service Fee   Payroll Gross
HEABERLIN, DAVID
              DD/EP             0       0 / 0       8810C     CA     S       5.92 %       $8,000.00
 
                                                                       
Direct Deposit Gross Pay:               $ 8,000.00
Check Gross Pay:               $  0.00
 
             
Non DD
  NonDirect Deposit   E   Employee Coverage
DD
  Direct Deposit   S   Employee & Spouse Coverage
D
  Dental Only   C   Employee & Child Coverage
NH
  New Hire   F   Employee & Family Coverage
EP
  EPaystub   K   Employee & Children Coverage
C
  W/C Cap   W   Coverage Waived
 
      I   Coverage Not Available

 


 

     
WebPayroll - Invoice Report
  Page 1 of 1
 
     
Invoice Report
  (ADMINSTAFF)
     
CAPITAL CORP OF THE WEST (2606900)
  Invoice #: 2947392
2801 G ST
  Payroll Date: 05/22/2009
MERCED, CA95340-2133
  Payroll #: 1
Payroll Contact: DAVID A HEABERLIN
  Payroll Type: REGULAR - 1
Report Date: 5/20/2009
  Period: 05/16/2009 through 05/22/2009
 
                                         
Billing Groups:                
No. Name   No. EEs   Service Fee %   Payroll Gross     Total Cost
0    
UNASSIGNED
    2     6.73         $10,500.00         $11,206.35
       
 
                               
Total Summary:     2               $10,500.00         $11,206.35
       
 
                               
Total additional charges or credits:                               $0.00
Payroll amount due from client:                               $11,206.35
       
 
                               
TOTAL amount due from client:                               $11,206.35
 
 
Due to Direct Deposit with ePayStub enrollment in this client number, the debit date for this payroll is paydate.
 
 
                                                                         
        Check #   Check #                        
Employees   Status   Non DD   DD   Prev/Curr   W/C Code   W/C State   Benefits   Service Fee   Payroll Gross
CUPP, RICHARD
              DD/EP             0       0 / 0       8810C     CA     I       9.33 %       $2,500.00
HEABERLIN, DAVID
              DD/EP             0       0 / 0       8810C     CA     S       5.92 %       $8,000.00
 
                                                                       
Direct Deposit Gross Pay:               $ 10,500.00
Check Gross Pay:               $  0.00
 
             
Non DD
  NonDirect Deposit   E   Employee Coverage
DD
  Direct Deposit   S   Employee & Spouse Coverage
D
  Dental Only   C   Employee & Child Coverage
NH
  New Hire   F   Employee & Family Coverage
EP
  EPaystub   K   Employee & Children Coverage
C
  W/C Cap   W   Coverage Waived
 
      I   Coverage Not Available

 


 

     
WebPayroll - Invoice Report
  Page 1 of 1
 
     
Invoice Report
  (ADMINSTAFF)
     
CAPITAL CORP OF THE WEST (2606900)
  Invoice #: 2953234
2801 G ST
  Payroll Date: 05/29/2009
MERCED, CA95340-2133
  Payroll #: 1
Payroll Contact: DAVID A HEABERLIN
  Payroll Type: REGULAR - 1
Report Date: 5/26/2009
  Period: 05/23/2009 through 05/29/2009
 
                                         
Billing Groups:                
No. Name   No. EEs   Service Fee %   Payroll Gross     Total Cost
0    
UNASSIGNED
    2     6.73         $10,500.00         $11,206.35
       
 
                               
Total Summary:     2               $10,500.00         $11,206.35
       
 
                               
Total additional charges or credits:                               $0.00
Payroll amount due from client:                               $11,206.35
       
 
                               
TOTAL amount due from client:                               $11,206.35
 
 
Due to Direct Deposit with ePayStub enrollment in this client number, the debit date for this payroll is paydate.
 
 
                                                                         
        Check #   Check #                        
Employees   Status   Non DD   DD   Prev/Curr   W/C Code   W/C State   Benefits   Service Fee   Payroll Gross
CUPP, RICHARD
              DD/EP             0       0 / 0       8810C     CA     I       9.33 %       $2,500.00
HEABERLIN, DAVID
              DD/EP             0       0 / 0       8810C     CA     S       5.92 %       $8,000.00
 
                                                                       
Direct Deposit Gross Pay:               $ 10,500.00
Check Gross Pay:               $  0.00
 
             
Non DD
  NonDirect Deposit   E   Employee Coverage
DD
  Direct Deposit   S   Employee & Spouse Coverage
D
  Dental Only   C   Employee & Child Coverage
NH
  New Hire   F   Employee & Family Coverage
EP
  EPaystub   K   Employee & Children Coverage
C
  W/C Cap   W   Coverage Waived
 
      I   Coverage Not Available

 


 

Capital Corp of the West
Balance Sheet
As of May 11, 2009
Cash Basis
           
    May 11, 09  
ASSETS
         
Current Assets
         
Checking/Savings
         
Citibank
      6,735,188.17  
 
     
Total Checking/Savings
      6,735,188.17  
 
     
Total Current Assets
      6,735,188.17  
 
         
Fixed Assets
         
Furniture and Equipment
         
Computers
    4,299.75   
Furniture
    1,662.38   
 
       
 
         
Total Furniture and Equipment
      5,962.13  
 
     
 
         
Total Fixed Assets
      5,962.13  
 
     
 
         
TOTAL ASSETS
      6,741,150.30  
 
     
LIABILITIES & EQUITY
         
Liabilities
         
Long Term Liabilities
         
Trust Preferred Securities
         
County Statutory Trust 1
    6,186,000.00   
County Statutory Trust II
    10,310,000.00   
County Statutory Trust III
    15,464,000.00   
County Statutory Trust IV
    25,774,000.00   
 
      
Total Trust Preferred Securities
      57,734,000.00  
 
     
 
         
Total Long Term Liabilities
      57,734,000.00  
 
     
 
         
Total Liabilities
      57,734,000.00  
Equity
         
Opening Balance Equity
      -57,734,000.00  
Net Income
      6,741,150.30  
 
     
Total Equity
      -50,992,849.70  
 
     
 
         
TOTAL LIABILITIES & EQUITY
      6,741,150.30  
 
     
Page 1

 


 

Capital Corp of the West
Balance Sheet
As of May 31, 2009
Cash Basis
         
    May 31, 09  
ASSETS
       
Current Assets
       
Checking/Savings
       
Citibank
    6,704,302.27  
 
     
Total Checking/Savings
    6,704,302.27  
 
     
 
       
Total Current Assets
    6,704,302.27  
 
       
Fixed Assets
       
Furniture and Equipment
       
Computers
    4,299.75  
Furniture
    1,662.38  
 
     
Total Furniture and Equipment
    5,962.13  
 
     
 
       
Total Fixed Assets
    5,962.13  
 
     
 
       
TOTAL ASSETS
    6,710,264.40  
 
     
LIABILITIES & EQUITY
       
Liabilities
       
Long Term Liabilities
       
Trust Preferred Securities
       
County Statutory Trust I
    6,186,000.00  
County Statutory Trust II
    10,310,000.00  
County Statutory Trust III
    15,464,000.00  
County Statutory Trust IV
    25,774,000.00  
 
     
Total Trust Preferred Securities
    57,734,000.00  
 
     
 
       
Total Long Term Liabilities
    57,734,000.00  
 
     
 
       
Total Liabilities
    57,734,000.00  
Equity
       
Opening Balance Equity
    -57,734,000.00  
Net Income
    6,710,264.40  
 
     
Total Equity
    -51,023,735.60  
 
     
 
       
TOTAL LIABILITIES & EQUITY
    6,710,264.40  
 
     
Page 1

 


 

(LOGO)   (LOGO)
                 
 
               
(GRAPHICS)   Citibank, N.A.     983
       
  P.O. Box 26892
  (GRAPHICS)   320815/R1/20F013/0
    San Francisco, CA 94126-6892     013
 
              CITIBANK, N.A.
 
              Account
 
              203084249
 
              Statement Period
        CAPITAL CORP OF THE WEST
  May 1 - May 31, 2009
Relationship Manager
        2801 G STREET
  US SERVICE CENTER
        MERCED               CA 95340
  1 -877-528-0990
 
      (LOGO)                 Page 1 of 6
         
         
 
CitiBusiness® ACCOUNT AS OF MAY 31, 2009
     
         

         
Relationship Summary:        
 
Checking
  $ 6,704,302.27  
Savings
    ---  
Investments
    ---  
(not FDIC insured)
       
Checking Plus
    ---  

WHEN PLANNING THAT NEXT GETAWAY
Plan on Citibank’s World Wallet® Service to make ordering Foreign Currency easier than ever.
You have a wide variety of Foreign Currencies,delivered right to
your door or place of business.
(Anywhere in the Continental U.S). Visit your nearest Financial
Center or Call 1-800-756-7050
Limits/Fees apply.


         
         
 
SERVICE CHARGE SUMMARY FROM APRIL 1, 2009 THRU APRIL 30, 2009
     
         
                         
Type of Charge   No./Units     Price/Unit     Amount  
 
 
CITIBUSINESS CHECKING # 203084249
                       
 
                       
Average Daily Collected Balance
                  $6,553,011.08  
 
                       
DEPOSIT SERVICES
                       
MONTHLY MAINTENANCE FEE
    1       15.0000       15.00  
CHECKS PAID
    14       .1400       1.96  
DEPOSIT TICKETS
    2       1.2500       2.50  
ITEMS DEPOSITED
    1       .1000       0.10  
 
                       
CITIBUSINESS ONLINE
                       
CASH MANAGER SUITE
    1       52.0000       52.00  
 
                       
TRANSFER SERVICES
                       
INCOMING WIRE TRANSFER
    4       10.0000       40.00  
 
                       
AUTOMATED CLEARING HOUSE (ACH)
                       
ACH DEBIT RECEIVED
    4       .1100       0.44  
 
                       
Total Charges for Services
                  $112.00  
 
                       
Average collected balances
                  $6,553,011.08  
Less 10% reserve requirement
                  $655,301.10  
Balances eligible for Earnings Credit
                  $5,897,709.98  
 
                       
Balances Required to Offset Service Charges
                  $227,136.00  
 
                       
Earnings Credit allowance at 0.60000%
                  $112.00  1
Charges Subject to Earnings Credit
                  $112.00  
 
                       
Net Service Charge
                  $0.00  
   1   - Maximum Earnings Credit cannot exceed monthly fees eligible for offset

 


 

                 
CAPITAL CORP OF THE WEST
  Account 203084249   Page 2 of 6     320816/R1/20F013/0  
    Statement Period - May 1 - May 31, 2009      
         
         
 
     CHECKING ACTIVITY
     
         
             
CitiBusiness Checking
           
0203084249
  Beginning Balance:   $ 6,962,125.46  
 
  Ending Balance:   $ 6,704,302.27  
                                         
Date     Description           Debits     Credits     Balance  
 
  5/01    
ACH DEBIT
            11,246.61               6,950,878.85  
        ADMINISTAFF COMP PAYROLL 0002606900     May 01              
  5/05    
DEPOSIT
                    50,530.00       7,001,408.85  
  5/05    
CHECK NO:
    1037       806.01               7,000,602.84  
  5/05    
CHECK NO:
    1038       146,272.73               6,854,330.11  
  5/05    
CHECK NO:
    1039       500.00               6,853,830.11  
  5/05    
CHECK NO:
    1041       400.00               6,853,430.11  
  5/06    
CHECK NO:
    1017       600.00               6,852,830.11  
  5/06    
CHECK NO:
    1042       400.00               6,852,430.11  
  5/06    
CHECK NO:
    1033       220.00               6,852,210.11  
  5/06    
CHECK NO:
    1044       200.00               6,852,010.11  
  5/07    
DEPOSIT
                    359.31       6,852,369.42  
  5/07    
CHECK NO:
    1035       3,164.50               6,849,204.92  
  5/08    
ACH DEBIT
            11,202.94               6,838,001.98  
        ADMINISTAFF COMP PAYROLL 0002606900     May 08              
  5/11    
DOM WIRE OUT
            64,577.23               6,773,424.75  
  5/11    
DOM WIRE OUT
            27,487.19               6,745,937.56  
  5/11     CBUSOL TRANSFER DEBIT 7,388.60               6,738,548.96  
       
WIRE TO ADP
                               
  5/11     CBUSOL TRANSFER DEBIT 975.00               6,737,573.96  
        WIRE TO JAS Development Cop                        
  5/14    
CHECK NO:
    1049       1,280.00               6,736,293.96  
  5/14    
CHECK NO:
    1050       305.79               6,735,988.17  
  5/15    
ACH DEBIT
            8,473.20               6,727,514.97  
        ADMINISTAFF COMP PAYROLL 0002606900     May 15              
  5/15    
CHECK NO:
    1043       400.00               6,727,114.97  
  5/22    
ACH DEBIT
            11,206.35               6,715,908.62  
        ADMINISTAFF COMP PAYROLL 0002606900     May 22              
  5/22    
CHECK NO:
    1040       400.00               6,715,508,62  
  5/29    
ACH DEBIT
            11,206.35               6,704,302.27  
        ADMINISTAFF COMP PAYROLL 0002606900     May 29              
       
Total Debits /Credits
      308,712.50       50,889.31          
                                                                                               
  Checks Paid
Check   Date     Amount       Check     Date     Amount       Check     Date     Amount       Check     Date     Amount  
 
                                                                                             
1017
    5/06       600.00         1038       5/05       146,272.73         1041       5/05       400.00         1044       5/06       200.00  
1033*
    5/06       220.00         1039       5/05       500.00         1042       5/06       400.00         1049 *     5/14       1,280.00  
1035*
    5/07       3,164.50         1040       5/22       400.00         1043       5/15       400.00         1050       5/14       305.79  
1037*
    5/05       806.01                                                                                
                         
* Indicates gap in check number sequence
  Number Checks Paid:     13     Totaling:   $ 154,949.03  
         
         
 
     CUSTOMER SERVICE INFORMATION
     
         
         
IF YOU HAVE QUESTIONS ON:
  YOU CAN CALL:   YOU CAN WRITE:
 
       
Checking
  877-528-0990*
(For Speech and Hearing
Impaired Customers Only
TDD: 800-945-0258)
  Citibank, N.A.
P.O. Box 26892
San Francisco, CA 94126-6892
For change in address, call your account officer or visit your branch.
*To ensure quality service, calls are randomly monitored.

 

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