<div dir="ltr"><p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif"><span style="font-size:12pt">Our cash position increased slightly to $284,371. Our
accumulated surplus was essentially flat at $231,349.</span></p>
<p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif"> </p>
<p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif">Our net income was a modest $607 and YTD was a loss of $42,982.
The budget for 2019 was for a loss of $28,663, so we were worse than plan by
$14,319. </p><p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif"><br></p><p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif">We were better than plan at the Operating Income level – the worse
than expected loss is primarily because of contracted interop fees payable to
UNH-IOL which were not recovered from participation fees. This was discussed
earlier in the year</p>
<p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif"> </p>
<p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif">Comments/questions are more than welcome, whether to me or
the group. I’ll send the actual report to anyone who wants to see it.</p>
<p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif"> </p>
<p class="MsoNormal" style="margin:0in 0in 0.0001pt;font-size:12pt;font-family:Calibri,sans-serif">Thanks, Jim Acting Treasurer</p></div>