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Interfaith Medical Center Financial Statements For the Twelve Months Ended December 31, 2012 (UNAUDITED)

TABLE OF CONTENTS Page Statement of Financial Position 1 Statement of Operations 2 Statement of Changes in Net Assets 3 Statement of Cash Flows 4 Schedule of Liabilities Subject to Compromise 5 Schedule of Other Revenues 6 Ratios 7 Statistical Data 8A - 8B

STATEMENTS OF FINANCIAL POSITION Audited Audited December 31, December 31, December 31, December 31, 2012 2011 2012 2011 ASSETS LIABILITIES AND EQUITIES Current assets Current liabilities Cash and cash equivalents $ 12,793,796 $ 9,914,451 Accounts payable and accrued expenses $ 4,303,722 $ 23,035,202 Accrued salaries and related withholdings 2,066,822 3,035,027 Accounts receivable: Accrued vacation payable 3,868,251 3,589,889 Patient care, less allowance for Accrued fringe benefits payable 1,216,010 1,948,399 uncollectibles 17,831,751 18,411,552 Accrued interest payable - 2,224,678 Receivable from public goods pools 6,559,163 4,710,018 Bond payable - 118,880,000 Grants & other receivable 2,460,510 2,753,972 Current portion of long term debt - 15,638,625 Net accounts receivable 26,851,424 25,875,542 Due to Foundation 4,300,000 9,283,694 Other current liabilities - 1,483,000 Inventories 774,118 580,066 Current portion of estimated professional Prepaid and other current assets 384,717 262,431 liabilities - 5,145,297 Assets limited as to use-current portion - 5,604,454 Deferred revenue 19,000 - Total current assets 40,804,055 42,236,944 Total current liabilities 15,773,806 184,263,812 Noncurrent liabilities: Noncurrent assets: Long-term debt, less current installments - 7,397,826 Assets limited as to use Estimated professional liabilities, less current portion - 61,038,179 Marketable securities Accrued retirement benefits - 52,367,516 Under bond indenture 10,565,216 15,092,036 Lease obligations - 14,949,404 Lovett Escrow 5,842,707 6,785,398 Other noncurrent liabilities, less current portion - 23,926,038 Escrow funds 20,079 22,214 Total noncurrent liabilities - 159,678,964 Self Insured malpractice fund - 14,324 Total liabilities 15,773,806 343,942,775 Donor restricted 1,235,774 1,108,930 - - Liabilities subject to compromise: 338,160,272-17,663,776 23,022,902 Less assets limited as to use-current portion - (5,604,454) Fund balance: Total assets limited as to use-noncurrent 17,663,776 17,418,448 Unrestricted fund balance (207,314,390) (183,629,277) Specific Purpose funds 126,926 160,515 Property, buildings and equipment-net 72,261,767 86,564,470 Permanently restricted funds 1,108,848 1,108,848 Deferred financing fees 1,723,677 1,922,181 Net assets deficiency (206,078,615) (182,359,914) Other long term assets 15,402,188 13,440,818 Total assets $ 147,855,463 $ 161,582,861 Total liabilities and net deficit $ 147,855,463 $ 161,582,861 Page - 1

STATEMENTS OF OPERATIONS TWELVE MONTHS ENDED DECEMBER 31, 2012 CURRENT MONTH YEAR TO DATE ACTUAL BUDGET VARIANCE ACTUAL BUDGET VARIANCE Revenue: Net inpatient revenue 12,555,821 13,051,994 (496,173) 145,034,558 152,971,481 (7,936,923) Net outpatient revenue 2,986,449 2,513,196 473,253 32,972,789 29,133,209 3,839,580 Net capitation revenue 210,641 125,000 85,641 4,204,529 1,500,000 2,704,529 Net patient revenue 15,752,911 15,690,190 62,721 182,211,876 183,604,690 (1,392,814) Other operating 1,090,610 520,743 569,867 9,732,865 6,199,757 3,533,108 Total revenue 16,843,522 16,210,934 632,588 191,944,741 189,804,447 2,140,294 Expenses: Salaries and wages 8,736,421 8,205,762 (530,659) 102,635,680 97,142,466 (5,493,215) Employee benefits 2,501,502 2,850,591 349,089 33,228,662 33,655,365 426,703 Professional fees 605,355 91,419 (513,936) 3,449,503 1,079,328 (2,370,175) Medical supplies 1,130,963 880,126 (250,837) 10,442,118 10,391,121 (50,997) Other supplies 443,971 511,652 67,681 6,565,543 6,040,954 (524,589) Purchased services 1,907,726 1,865,836 (41,890) 20,513,140 22,028,836 1,515,696 Utilities 309,273 334,103 24,830 3,817,056 3,944,560 127,504 Insurance-est. malpractice 514,535 520,581 6,046 3,372,373 6,146,197 2,773,824 Provision for bad debt 657,484 657,484 0 7,762,549 7,762,549 0 Interest & mortgage fees 584,879 600,253 15,374 6,723,575 7,086,852 363,277 Depreciation & amortization 1,392,418 1,336,981 (55,437) 15,100,498 15,785,000 684,502 Total operating expenses 18,784,526 17,854,788 (929,738) 213,610,697 211,063,228 (2,547,469) Loss from operations before Reorganization Costs (1,941,005) (1,643,854) (297,151) (21,665,956) (21,258,781) (407,175) Reorganization 728,000 - (728,000) 2,019,157 - (2,019,157) Net profit/(loss) from operations ($ 2,669,005) ($ 1,643,854) $ 430,849 ($ 23,685,112) ($ 21,258,781) $ 1,611,981 Page - 2

STATEMENT OF CHANGES IN NET ASSETS TEMPORARILY PERMANENTLY UNRESTRICTED RESTRICTED RESTRICTED BALANCE BALANCE, JANUARY 1, 2012 ($ 183,629,277) $ 160,515 $ 1,108,848 ($ 182,359,914) Net profit/(loss) from operations (23,685,112) (33,588) - (23,718,701) BALANCE, DECEMBER 31, 2012 ($ 207,314,390) $ 126,926 $ 1,108,848 ($ 206,078,615) Page - 3

STATEMENT OF CASH FLOWS TWELVE MONTHS ENDED DECEMBER 31, 2012 Operating Activities YEAR TO DATE Change in net assets ($ 23,718,701) Adjustments to reconcile net income to net cash provided by operating activities Depreciation and leasehold improvement amortization 15,100,498 Amortization of deferred financing fees & original issued premium (531,136) Changes in operating assets and liabilities: Decrease/(Increase) in accounts receivable 579,800 Decrease/(Increase) in other accounts receivable (1,555,683) Decrease/(Increase) in inventories (194,052) Decrease/(Increase) in prepaid other current assets (122,286) Decrease/(Increase) in due to/from IM Foundation (66,251) Decrease/(Increase) in other assets (1,961,370) (Decrease)/Increase in accounts payable 3,618,960 (Decrease)/Increase in accrued salaries and related benefits (968,205) (Decrease)/Increase in accrued vacation payable 278,362 (Decrease)/Increase in accrued fringe benefits payable 1,177,134 (Decrease)/Increase in accrued interest payable (82,116) (Decrease)/Increase in other liabilities 7,002,205 (Decrease)/Increase in estimated professional liabilities (3,857,572) (Decrease)/Increase in retirement benefits 4,178,923 (Decrease)/Increase in liabilities subject to compromise (0) (Decrease)/Increase in deferred revenue 19,000 Net cash provided by operating activities (1,102,487) Investing activities Acquisitions of property, building and equipment (797,794) Changes in assets limited as to use 5,359,125 Net cash used in investing activities 4,561,331 Financing activities Principal payments and repayment of long-term debt (579,499) Net cash used in financing activities (579,499) Net (decrease)/increase in cash and cash equivalents 2,879,345 Cash and cash equivalents at beginning of year 9,914,451 Cash and cash equivalents, December 31, 2012 $ 12,793,796 Page - 4

SCHEDULE OF LIABILITIES SUBJECT TO COMPROMISE 12/31/2012 DASNY Mortgage, including accrued interes $ 128,047,879 DASNY Restructuring Loan 2,000,000 DASNY Loan B 12,181,775 Lease Obligations 15,456,289 Total Debt Obligations 157,685,943 AP & Accrued expenses & benefit 24,273,298 IM Foundation 4,917,443 Third Party Payor Obilgation 32,411,244 Accrued retirement benefits 56,546,439 Accrued Malpractice Liability 62,325,905 $ 338,160,272 Page - 5

SCHEDULE OF OTHER REVENUES TWELVE MONTHS ENDED DECEMBER 31, 2012 THIS MONTH YEAR TO DATE ACTUAL BUDGET VARIANCE ACTUAL BUDGET VARIANCE Other operating revenue Grants 333,879 266,730 67,149 3,078,350 3,200,757 (122,407) Investment income 232,655 3,727 228,928 2,737,889 44,000 2,693,889 Rental of space 26,988 48,702 (21,714) 447,014 575,000 (127,986) General contributions 59,769-59,769 180,779-180,779 Medical student training 383,150 159,235 223,915 2,686,800 1,880,000 806,800 Resident training 29,969-29,969 245,286-245,286 Miscellaneous 24,201 42,350 (18,149) 356,746 500,000 (143,254) Total 1,090,610 520,743 569,867 9,732,865 6,199,757 3,533,108 Page - 6

FINANCIAL RATIO ANALYSIS Audited December 31, December 31, Ratio 2012 2011 Cash summary Unrestricted Operating $ 12,793,796 $ 9,914,451 Total unrestricted $ 12,793,796 $ 9,914,451 Restricted Under bond indenture 10,565,216 15,092,036 Lovett Escrow 5,842,707 6,785,398 Escrow funds 20,079 22,214 Self insured malpractice fund - 14,324 Permanently restricted 1,235,774 1,108,930 Total Restricted 17,663,776 23,022,902 Debt subschedule Long-term debt Current portion - 118,880,000 Capitalized leases Current portion - 15,638,625 Noncurrent portion - 14,949,404 Other Debt - 7,397,826 Key Indicators Days in AR 37.5 38.4 Current Ratio 2.59 0.23 Days in AP & Other Accrued Expenses 25.9 121 Days Cash On Hand (Unrestricted) 24.5 19.2 DSCR na 0.54 Page - 7

STATEMENT OF STATISTICS -INPATIENT DECEMBER 31, 2012 THIS MONTH YEAR-TO-DATE Actual Budget Variance Fav(Unfav) Prior Year Actual Actual Budget Variance Prior Year Fav(Unfav) Actual INPATIENT STATISTICS Discharges Medical/Surgical 523 485 38 469 5,704 6,071 (367) 5,617 Intensive Care Units 15 21 (6) 20 147 232 (85) 211 GYN 9 5 4 8 103 113 (10) 106 Pediatrics 64 70 (6) 59 661 724 (63) 665 Sub-total Medical/Surgical 611 581 30 556 6,615 7,140 (525) 6,599 Psychiatry 202 204 (2) 195 2,418 2,353 65 2,139 Alcohol Detox 132 104 28 107 1,406 1,304 102 1,199 Drug Rehab 27 27-23 267 321 (54) 301 Total Discharges 972 916 56 881 10,706 11,118 (412) 10,238 Patient Days Medical/Surgical 2,820 2,258 562 2,287 30,402 28,289 2,113 26,235 Intensive Care Units 363 407 (44) 346 4,058 4,516 (458) 4,134 GYN 21 19 2 37 349 394 (45) 371 Pediatrics 156 175 (19) 155 1,654 1,818 (164) 1,685 Sub-total Medical/Surgical 3,360 2,859 501 2,825 36,463 35,017 1,446 32,425 Psychiatry 3,666 3,605 61 3,364 42,787 41,784 1,003 38,219 Alcohol Detox 512 485 27 498 5,552 6,108 (556) 5,668 Drug Rehab 422 455 (33) 445 4,888 5,453 (565) 5,147 Total Patient Days 7,960 7,404 556 7,132 89,690 88,362 1,328 81,459 Average Length of Stay Medical/Surgical 5.39 4.66 (0.74) 4.88 5.33 4.66 (0.67) 4.67 Intensive Care Units 5.42 19.38 13.96 17.30 7.08 19.47 12.38 19.59 GYN 2.33 3.80 1.47 4.63 3.39 3.49 0.10 3.50 Pediatrics 2.44 2.50 0.06 2.63 2.50 2.51 0.01 2.53 Sub-total Medical/Surgical 5.50 4.92 (0.58) 5.08 5.51 4.90 (0.61) 4.91 Psychiatry 18.15 17.67 (0.48) 17.25 17.70 17.76 0.06 17.87 Alcohol Detox 3.88 4.66 0.78 4.65 3.95 4.68 0.73 4.73 Drug Rehab 15.63 16.85 1.22 19.35 18.31 16.99 (1.32) 17.10 Total Average Length of Stay 8.19 8.08 (0.11) 8.10 8.38 7.95 (0.43) 7.96 Case Mix Index (DRG) Medicare Indemnity 1.69 1.51 0.18 1.50 1.50 1.51 (0.01) 1.59 Medicare Mng 1.24 1.25 (0.01) 1.49 1.25 1.25 0.00 1.36 Medicaid Indemnity 1.01 1.04 (0.04) 1.19 1.05 1.04 0.01 1.05 Medicaid Mng 1.04 1.04 0.00 0.90 1.07 1.04 0.03 0.95 Percentage of Occupancy 89.50% 83.20% 6.30% 82.80% 85.38% 84.12% 1.26% 85.00% Inpatient Payor Mix Medicare 13.1% 17.5% (4.4%) 18.4% 16.4% 17.5% (1.1%) 17.4% Medicare Mng 10.6% 9.2% 1.4% 8.6% 9.9% 9.2% 0.7% 9.3% Medicaid 21.9% 36.9% (15.0%) 34.9% 28.9% 36.9% (8.0%) 37.3% Medicaid Mng 37.8% 25.7% 12.1% 21.5% 33.5% 25.7% 7.8% 25.2% Blue Cross, Com.Ins/Other 6.6% 6.7% (0.1%) 5.1% 7.6% 6.7% 0.9% 6.8% Self Pay 10.1% 4.0% 6.1% 11.5% 3.7% 4.0% (0.3%) 4.0% Total 100.0% 100.0% 100.0% 100.0% 100.0% 100.0% Full Time Equivalent Employees 1,432.3 1,414.9 17.4 1,473.2 1,432.3 1,414.9 17.4 1,526.4 Page - 8A

STATEMENT OF STATISTICS - OUTPATIENT DECEMBER 31, 2012 THIS MONTH Variance Fav(Unfav) Prior Year Actual Actual Budget YEAR-TO-DATE Variance Fav(Unfav) Prior Year Actual Actual Budget AMBULATORY STATISTICS E.R. Total Visits (including Admits) 4,345 4,210 135 4,237 50,615 48,823 1,792 49,123 Total Admits 904 767 137 764 9,638 9,870 (232) 9,825 Total Visits (excluding Admits) 3,441 3,443 (2) 3,473 40,977 38,953 2,024 39,298 CLINICS Orris Walker 2,933 3,397 (464) 3,423 41,110 39,527 1,583 39,721 Primary Care/HIV 251 263 (12) 265 3,383 3,008 375 3,022 Dental Center 678 772 (94) 773 8,514 9,514 (1,000) 9,494 Sub-total Medical/Surgical 3,862 4,432 (570) 4,461 53,007 52,049 958 52,237 Chemical Dependence Outpatient Services 395 506 (111) 505 4,865 6,408 (1,543) 6,377 Center for Mental Health 2,020 2,092 (72) 2,057 24,569 25,099 (530) 24,609 CORS 700 735 (35) 700 8,578 9,351 (773) 10,094 Mentally Ill Chemical Abuser 404 338 66 334 4,598 4,640 (42) 4,576 Intensive Psychiatric Rehabilitation Therapy Program 163 183 (20) 181 2,100 2,467 (367) 2,431 Partial Hospital Program 221 219 2 326 2,870 2,548 322 3,780 Behavioral Health Program - Adult Clinic 407 501 (94) 501 5,502 6,608 (1,106) 9,501 Continuing Day Treatment Program 1,300 1,673 (373) 18,850 20,073 (1,223) 20,165 MMTP 1,697 1,673 24 1,766 22,072 20,074 1,998 Sub-total Behavioral Clinics 7,307 7,920 (613) 6,370 94,004 97,268 (3,264) 81,533 Total Clinic Visits 11,169 12,352 (1,183) 10,831 147,011 149,317 (2,306) 133,770 AMBULATORY SURGERY Specialty Surgeries 115 104 11 99 1,398 1,354 44 1,416 Endoscopy 70 84 (14) 70 919 1,065 (146) 1,090 Cardiac Cath 27 25 2 37 320 275 45 311 Page - 8B