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2007 Annual Report Highlights
III. Financial Statements
FSLIC Resolution Fund (FSLIC)
FSLIC Resolution Fund Balance Sheet at
December 31, condensed
Dollars in Thousands
|
|
2007 |
2006 |
Assets |
Cash and cash equivalents |
$3,617,133 |
$3,616,466 |
Receivables from thrift resolutions and other assets, net |
34,812 |
36,730 |
Receivables from U.S. Treasury for goodwill judgments |
35,350 |
251,827 |
Total Assets |
$3,687,295 |
$3,905,023 |
Liabilities |
Accounts payable and other liabilities |
$4,276 |
$5,497 |
Contingent liabilities for litigation losses and other |
35,350 |
279,327 |
Total Liabilities |
39,626 |
284,824 |
Resolution Equity |
Contributed capital |
127,417,582 |
127,453,996 |
Accumulated deficit |
(123,769,913) |
(123,833,797) |
Total Resolution Equity |
3,647,669 |
3,620,199 |
Total Liabilities and Resolution Equity |
$3,687,295 |
$3,905,023 |
FSLIC Resolution Fund Statement
of Income and Accumulated Deficit for the Years Ended December 31, condensed
Dollars in Thousands
|
|
2007 |
2006 |
Revenue |
Interest on U.S. Treasury obligations |
$156,034 |
$151,648 |
Other revenue |
31,558 |
17,650 |
Total Revenue |
187,592 |
169,298 |
Expenses and Losses |
Operating expenses |
3,364 |
12,002 |
Provision for losses |
(10,135) |
(19,257) |
Goodwill/Guarini litigation expenses |
195,939 |
411,056 |
Recovery of tax benefits |
(68,217) |
(34,783) |
Other expenses |
2,757 |
2,783 |
Total Expenses and Losses |
123,708 |
371,801 |
Net Income/(Loss) |
63,884 |
(202,503) |
Accumulated Deficit - Beginning |
(123,833,797) |
(123,631,294) |
Accumulated Deficit - Ending |
$(123,769,913) |
$(123,833,797) |
FSLIC Resolution Fund Statement of Cash Flows
for the Years Ended December 31, condensed
Dollars in Thousands
|
|
2007 |
2006 |
Operating Activities |
Net Income/(Loss) |
$63,884 |
$(202,503) |
Adjustments to reconcile net income/(loss) to net cash (used by) operating activities: |
Provision for losses |
(10,135) |
(19,257) |
Change in Operating Assets and Liabilities: |
Decrease in receivables from thrift resolutions and other assets |
12,053 |
21,273 |
(Decrease) in accounts payable and other liabilities |
(1,221) |
(2,302) |
(Decrease)/Increase in contingent liabilities for litigation losses and other |
(243,977) |
21,824 |
Net Cash Used by Operating Activities |
(179,396) |
(180,965) |
Financing Activities |
Provided by: |
U.S. Treasury payments for goodwill litigation |
405,063 |
194,728 |
Used by: |
Payments to Resolution Funding Corporation |
(225,000) |
0 |
Net Cash Provided by Financing Activities |
180,063 |
194,728 |
Net Increase in Cash and Cash Equivalents |
667 |
13,763 |
Cash and Cash Equivalents - Beginning |
3,616,466 |
3,602,703 |
Cash and Cash Equivalents - Ending |
$3,617,133 |
$3,616,466 |
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