Case MFW Doc 2517 Filed 02/06/17 Page 1 of 10

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1 Case MFW Doc 2517 Filed 02/06/17 Page 1 of 10 U.S. TRUSTEE'S FEES DUE Entity Disbursements U.S. Trustee Fee EBHI Holdings Inc. 42, Total 42,

2 Case MFW Doc 2517 Filed 02/06/17 Page 2 of 10 CALCULATION OF QUARTERLY DISBURSEMENTS (ADJUSTED): October , November , December , TOTAL DISBURSEMENTS FOR THE QUARTER 42, Less: Prior Period Disbursements Voided in Current Quarter (Per Schedule) - NET DISBURSEMENTS FOR THE QUARTER 42, EBHI Q Report\Disb. Summary 1/13/2017

3 Case MFW Doc 2517 Filed 02/06/17 Page 3 of 10 SUMMARY OF CASH ACCOUNTS BANK ACCOUNT 09/30/2016 BALANCE OCT. RECEIPTS OCT. DISBURSEMENT 10/31/16 BALANCE NOV. RECEIPTS NOV. DISBURSEMENT 11/30/2016 BALANCE DEC. RECEIPTS DEC. DISBURSEMENT 12/31/2016 BALANCE LIQUIDATING TRUST ACCOUNTS US Bank # , , , , US Bank # US Bank #3002 1,457, ,457, ,457, ,457, Banc of Cal # , , , , , , , Sub-Totals 2,058, , ,053, , ,028, , ,016, Less Inter-Account Transfers Totals 2,058, , ,053, , ,028, , ,016, EBHI Q Report\Summary 1/13/2017

4 Case MFW Doc 2517 Filed 02/06/17 Page 4 of 10 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 POST-CONFIRMATION QUARTERLY SUMMARY REPORT EBHI Holdings Inc. Bank: US Bank Bankruptcy Number: (MFW) Account Number: 3000 Date of Confirmation: 04/06/10 Account Type Escrow Reporting Period (month/year): 12/2016 Beginning Cash Balance: 56, All receipts received by the debtor: Cash Sales: Collection of Accounts Receivable: Proceeds from Litigation (settlement or otherwise): Sale of Debtor's Assets Capital Infusion pursuant to the Plan: Interest Income Distributions from Canadian Sub per Court Order Transfer of Funds Total of cash received: Total of cash available: 56, Less all disbursements or payments (including payments made under the confirmed plan) made by the Debtor: Disbursements made under the plan, excluding the administrative claims of bankruptcy professionals: Disbursements made pursuant to the administrative claims of bankruptcy professionals: All other disbursements made in the ordinary course: Transfers 0.00 Total Disbursements 0.00 Ending Cash Balance 56, Pursuant to 28 U.S.C. Section 1746(2), I hereby declare under penalty of perjury that the foregoing is true and correct to the best of my knowledge and belief. Date: 1/13/2017 Name/Title: Liquidating Trustee Debtor: EBHI Holdings Inc.

5 Case MFW Doc 2517 Filed 02/06/17 Page 5 of 10 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 POST-CONFIRMATION QUARTERLY SUMMARY REPORT EBHI Holdings Inc. Bank: US Bank Bankruptcy Number: (MFW) Account Number: 3001 Date of Confirmation: 04/06/10 Account Type Escrow Reporting Period (month/year): 12/2016 Beginning Cash Balance: 0.65 All receipts received by the debtor: Cash Sales: Collection of Accounts Receivable: Proceeds from Litigation (settlement or otherwise): Sale of Debtor's Assets Capital Infusion pursuant to the Plan: Interest Income 0.00 Distributions from Canadian Sub per Court Order Transfer of Funds Total of cash received: 0.00 Total of cash available: 0.65 Less all disbursements or payments (including payments made under the confirmed plan) made by the Debtor: Disbursements made under the plan, excluding the administrative claims of bankruptcy professionals: Disbursements made pursuant to the administrative claims of bankruptcy professionals: All other disbursements made in the ordinary course: Transfers 0.00 Total Disbursements 0.00 Ending Cash Balance 0.65 Pursuant to 28 U.S.C. Section 1746(2), I hereby declare under penalty of perjury that the foregoing is true and correct to the best of my knowledge and belief. Date: 1/13/2017 Name/Title: Liquidating Trustee Debtor: EBHI Holdings Inc.

6 Case MFW Doc 2517 Filed 02/06/17 Page 6 of 10 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 POST-CONFIRMATION QUARTERLY SUMMARY REPORT EBHI Holdings Inc. Bank: US Bank Bankruptcy Number: (MFW) Account Number: 3002 Date of Confirmation: 04/06/10 Account Type Escrow Reporting Period (month/year): 12/2016 Beginning Cash Balance: 1,457, All receipts received by the debtor: Cash Sales: Collection of Accounts Receivable: Proceeds from Litigation (settlement or otherwise): Sale of Debtor's Assets Capital Infusion pursuant to the Plan: Interest Income Transfer of Funds Total of cash received: Total of cash available: 1,457, Less all disbursements or payments (including payments made under the confirmed plan) made by the Debtor: Disbursements made under the plan, excluding the administrative claims of bankruptcy professionals: Disbursements made pursuant to the administrative claims of bankruptcy professionals: All other disbursements made in the ordinary course: Transfers 0.00 Total Disbursements 0.00 Ending Cash Balance 1,457, Pursuant to 28 U.S.C. Section 1746(2), I hereby declare under penalty of perjury that the foregoing is true and correct to the best of my knowledge and belief. Date: 1/13/2017 Name/Title: Liquidating Trustee Debtor: EBHI Holdings Inc.

7 Case MFW Doc 2517 Filed 02/06/17 Page 7 of 10 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 POST-CONFIRMATION QUARTERLY SUMMARY REPORT EBHI Holdings Inc. Bank: Banc of California Bankruptcy Number: (MFW) Account Number: 5425 Date of Confirmation: 04/06/10 Account Type Checking Reporting Period (month/year): 12/2016 Beginning Cash Balance: 544, All receipts received by the debtor: Cash Sales: Collection of Accounts Receivable: 0.00 Proceeds from Litigation (settlement or otherwise): Sale of Debtor's Assets Capital Infusion pursuant to the Plan: Interest Income Transfer of Funds 0.00 Total of cash received: 0.00 Total of cash available: 544, Less all disbursements or payments (including payments made under the confirmed plan) made by the Debtor: Disbursements made under the plan, excluding the administrative claims of bankruptcy professionals: 0.00 Disbursements made pursuant to the administrative claims of bankruptcy professionals: 15, All other disbursements made in the ordinary course: 26, Transfers Total Disbursements 42, Ending Cash Balance 502, Pursuant to 28 U.S.C. Section 1746(2), I hereby declare under penalty of perjury that the foregoing is true and correct to the best of my knowledge and belief. Date: 1/13/2017 Name/Title: Liquidating Trustee Debtor: EBHI Holdings Inc.

8 Case MFW Doc 2517 Filed 02/06/17 Page 8 of 10 BANC OF CAL #5425 PLAN DISBURSEMENTS 0.00 Total Payments Pursant to the Plan 0.00 BANKRUPTCY PROFESSIONALS DISBURSEMENTS 10/3/ Kurtzman Carson Consultants LLC /5/ Kurtzman Carson Consultants LLC 2, /19/ Whiteford, Taylor & Preston 1, /1/ Kurtzman Carson Consultants LLC 1, /15/ Cooley LLP 3, /18/ Whiteford, Taylor & Preston 2, /22/ Cooley LLP 4, /15/ Cooley LLP Total Bankruptcy Professionals 15, ORDINARY COURSE DISBURSEMENTS 10/26/ U.S. Trustee 1, /2/2016 Transfer Province, Inc. 12, /26/2016 Transfer Province, Inc. 12, Total Ordinary Course 26, Total Disbursements 42,380.13

9 Case MFW Doc 2517 Filed 02/06/17 Page 9 of 10 PERIOD PERIOD PERIOD PERIOD Dec.'16 Sept.'16 June'16 Mar'16 Cash (Unrestricted) 2,016, ,058, ,669, ,099, Cash (Restricted) Accounts Receivable (Net) Inventory Notes Receivable Prepaid Expenses Other (Attach List) Total Current Assets 2,016, ,058, ,669, ,099, Property, Plant & Equipment Real Property & Improvements Machinery & Equipment Furniture, Fixtures & Office Equipment Vehicles Leasehold Improvements Less: Accumulated Deprec/Depletion Total Property, Plant & Equipment Due from Affiliates & Insiders Other (Attach List) Total Assets 2,016, ,058, ,669, ,099, Liabilities Not Subject to Compromise (Postpetition Liabilities) Accounts Payable Wages Payable Taxes Payable Notes Payable Professional Fees Secured Debt Due to Affiliates & Insiders Other (Attach List) Total Postpetition Liabilities Liabilities Subject to Compromise (Prepetition Liabilities) Secured Debt - Per Plan Priority Debt - Per Plan Unsecured Debt - Per Plan 107,868, ,868, ,868, ,868, Other (Attach List) - Per Plan Total Prepetition Liabilities 107,868, ,868, ,868, ,868, Total Liabilities 107,868, ,868, ,868, ,868, Equity Trust-Corpus -100,575, ,575, ,575, ,575, Retained Earnings (Deficit) -5,283, ,852, ,355, ,241, Total Equity (Deficit) -105,859, ,428, ,931, ,817, Total Liabilities & Owners Equity 2,008, ,439, ,937, ,050,988.49

10 Case MFW Doc 2517 Filed 02/06/17 Page 10 of 10 U. S. BANKRUPTCY POST CONFIRMATION REPORT CORPUS: RETAINED EARNINGS: 12/31/16-100,575, ,241, Interest Income US Bank Sovereign Bank 0.00 Univest 0.00 Foreign Income Refunds** Distributions 0.00 Fees & Expenses -42, /31/16-100,575, ,283, ** per the trust agreement refunds are considered part of corpus and not income EBHI Q Report\Balance Sheet-Analysis 1/13/2017

11 Case MFW Doc Filed 02/06/17 Page 1 of 1 CERTIFICATE OF SERVICE I, L. Katherine Good, do hereby certify that on February 6, 2017, a copy of the foregoing Post-Confirmation Quarterly Summary Report for the Quarter Ended December 31, 2016 was served on the party listed below by hand delivery. David Buchbinder, Esq. Office of the United States Trustee 844 King Street, Room 2207 Lockbox 35 Wilmington, Delaware /s/ L. Katherine Good L. Katherine Good (No. 5101)

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