<SUBMISSION>
<ACCESSION-NUMBER>0000720005-02-000020
<TYPE>10-Q
<PUBLIC-DOCUMENT-COUNT>2
<PERIOD>20020628
<FILING-DATE>20020809
<FILER>
<COMPANY-DATA>
<CONFORMED-NAME>RAYMOND JAMES FINANCIAL INC
<CIK>0000720005
<ASSIGNED-SIC>6211
<IRS-NUMBER>591517485
<STATE-OF-INCORPORATION>FL
<FISCAL-YEAR-END>0930
</COMPANY-DATA>
<FILING-VALUES>
<FORM-TYPE>10-Q
<ACT>34
<FILE-NUMBER>001-09109
<FILM-NUMBER>02724877
</FILING-VALUES>
<BUSINESS-ADDRESS>
<STREET1>880 CARILLON PKWY
<STREET2>P O BOX 12749
<CITY>ST PETERSBURG
<STATE>FL
<ZIP>33716
<PHONE>727-567-1000
</BUSINESS-ADDRESS>
<MAIL-ADDRESS>
<STREET1>P O BOX 12749
<CITY>ST. PETERSBURG
<STATE>FL
<ZIP>33716
</MAIL-ADDRESS>
<FORMER-COMPANY>
<FORMER-CONFORMED-NAME>RJ FINANCIAL CORP/FL
<DATE-CHANGED>19870303
</FORMER-COMPANY>
</FILER>
<DOCUMENT>
<TYPE>10-Q
<SEQUENCE>1
<FILENAME>june02.htm
<DESCRIPTION>PDF
<TEXT>
<HTML>
<HEAD>
<TITLE>&#9;FORM 10 Q</TITLE>
</HEAD>
<BODY>

<B><FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"><A NAME="OLE_LINK2"></a><A NAME="OLE_LINK1">FORM 10-Q</B><BR>
<B>SECURITIES AND EXCHANGE COMMISSION</B><BR>
<B>Washington, D. C. 20549</P>
</B><P ALIGN="JUSTIFY"></P>
<B><P ALIGN="JUSTIFY">(Mark one)</P>
<P>[ X ]&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF<BR>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;THE SECURITIES EXCHANGE ACT OF 1934.</P>
</B><P ALIGN="JUSTIFY"></P></FONT>
<P ALIGN="RIGHT"><TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=456>
<TR><TD WIDTH="261" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P>For the quarterly period ended</FONT></B></TD>
<TD WIDTH="163" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P><u>June 28, 2002</u></FONT> </B></TD>
</TR>
</TABLE>

<B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY"></P>
<P ALIGN="CENTER">OR</P>
<P ALIGN="JUSTIFY"></P>
<P>[&nbsp;&nbsp;&nbsp;]&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF<BR>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;THE SECURITIES EXCHANGE ACT OF 1934</P>
</B><P ALIGN="JUSTIFY"></P></FONT>
<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=586>
<TR><TD WIDTH="42%" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">For the transition period from</B></FONT></TD>
<TD WIDTH="23%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8%" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">To</B></FONT></TD>
<TD WIDTH="27%" VALIGN="TOP">&nbsp;</TD>
</TR>
</TABLE>

<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">Commission file number&nbsp;<U>&nbsp;&nbsp;1-9109 &nbsp;</U>&nbsp;&nbsp;&nbsp;&nbsp;</P>
<P ALIGN="JUSTIFY"></P>
<U><P ALIGN="CENTER">RAYMOND JAMES FINANCIAL, INC.</U> <BR>
(Exact name of registrant as specified in its charter)</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P></FONT>
<TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=708>
<TR><TD WIDTH="41%" VALIGN="TOP">
<P ALIGN="CENTER"><font face="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
Florida&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></font></TD>
<TD WIDTH="34%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="25%" VALIGN="TOP">
<P ALIGN="CENTER"><font face="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; No.&nbsp;59-1517485&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></font></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">(State or other jurisdiction of incorporation or organization)</FONT></TD>
<TD WIDTH="34%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="25%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">(I.R.S.&nbsp;Employer Identification No.)</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="34%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="25%" VALIGN="TOP">&nbsp;</TD>
</TR>
</TABLE>

<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<U><P ALIGN="CENTER"> 880 Carillon Parkway, St. Petersburg, Florida  33716<BR>
(Address of principal executive offices)    (Zip Code)</P>
</U><P ALIGN="JUSTIFY"></P>
<U><P ALIGN="CENTER">(727) 573-3800<BR>
</U>(Registrant's telephone number, including area code)<BR>
</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="CENTER">Yes<U> X </U> No___</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">Indicate the number of shares outstanding of each of the registrant's classes of common stock, as of the close of the latest practicable date.</P>
<P ALIGN="JUSTIFY"></P>
<U><P ALIGN="CENTER">48,408,932 shares of Common Stock and 176,276 exchangeable shares as of August 1, 2002.</P>
<P ALIGN="CENTER"></P>
</U><P>The exchangeable shares were issued on January 2, 2001 in connection with the acquisition of Goepel McDermid Inc.  They are exchangeable into shares of common stock on a one-for-one basis and entitle holders to payments equivalent<BR>
 to cash dividends paid on shares of common stock.</P></FONT>
<P ALIGN="CENTER"><CENTER><TABLE CELLSPACING=0 BORDER=0 CELLPADDING=0 WIDTH=696>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"></A></FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">RAYMOND JAMES FINANCIAL, INC. AND SUBSIDIARIES</U></FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Form 10-Q for the Quarter Ended March 28, 2002 </U></FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">INDEX</U></FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">PART I</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">FINANCIAL INFORMATION</U></FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">PAGE</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">Item 1. </FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Financial Statements (unaudited)</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Consolidated Statement of Financial Condition as of June 28, 2002 and September 28, 2001</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">2</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Consolidated Statement of Operations for the three and nine months ended June 28, 2002 and June 29, 2001</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">3</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Consolidated Statement of Cash Flows for the nine months ended June 28, 2002 and June 29, 2001</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">4</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Notes to Consolidated Financial Statements </FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">5</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">Item 2.</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Management's Financial Discussion and Analysis </FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">11</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">Item 3.</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Quantitative and Qualitative Disclosure of Market Risk    </FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">13</FONT></TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>PART II.</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P>OTHER INFORMATION</U></FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">Item 1</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Legal Proceedings</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">Item 6(a).</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Exhibit 99.1 Certification Pursuant to 18 U.S.C. Section 1350, as Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, filed herewith.</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Exhibit 99.2 Certification Pursuant to 18 U.S.C. Section 1350, as Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, filed herewith.</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">Item 6(b).</FONT></TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Exhibits and Reports on Form 8-K</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>None</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="11%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="80%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>All other items required in Part II have been previously filed or are not applicable for the quarter ended June 28, 2002.</FONT></TD>
<TD WIDTH="9%" VALIGN="TOP">&nbsp;</TD>
</TR>
</TABLE>
</CENTER>

<B><U><FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"><BR>
</P>
<P ALIGN="CENTER">&nbsp;
</P>
<P ALIGN="CENTER">&nbsp;
</P>
<!-- The following table was generated by the Internet Assistant Wizard for Microsoft Excel. -->
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<!-- START OF CONVERTED OUTPUT -->
<!-- ------------------------- -->
<table border="0" cellspacing="0" cellpadding="0" width="636">
  <tr ALIGN="center" VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td COLSPAN="6" width="614"><font FACE="Arial"><b><u>RAYMOND JAMES
      FINANCIAL, INC. AND SUBSIDIARIES</u></b></font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td COLSPAN="6" width="614"><font FACE="Arial"><b><u>CONSOLIDATED STATEMENT
      OF FINANCIAL CONDITION</u></b></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="center" COLSPAN="6" width="614"><font FACE="Arial"><b><u>(UNAUDITED)</u></b></font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td COLSPAN="6" width="614"><font FACE="Arial">(in thousands, except per
      share amounts)</font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="right" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="right" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="110"><font FACE="Arial"><b>June 28,</b></font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="111"><font FACE="Arial"><b>September 28,</b></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="right" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="110">
      <p style="border-bottom-style: solid"><font FACE="Arial"><b>2002</b></font></p>
    </td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="111">
      <p style="border-bottom-style: solid"><font FACE="Arial"><b>2001</b></font></p>
    </td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="left" width="389"><font FACE="Arial"><b>ASSETS</b></font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Cash
      and cash equivalents</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      421,447&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      458,468&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="left" width="389"><font FACE="Arial">Assets segregated pursuant
      to federal regulations:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Cash and cash equivalents</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">307&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">74,426&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Securities purchased under agreements to resell</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">1,942,613&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">1,671,158&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Securities
      owned:</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Trading and investment account securities, at fair value</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">462,521&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">296,288&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Available for sale securities, at fair value</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">339,130&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">366,533&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Receivables:</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Clients</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">1,655,238&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">1,596,539&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Stock borrowed</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">1,148,052&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">1,251,554&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Brokers-dealers and clearing organizations</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">111,683&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">181,713&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Other</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">131,787&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">135,087&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Property
      and equipment, net</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">106,661&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">104,694&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Deferred
      income taxes, net</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">44,310&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">37,817&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Deposits
      with clearing organizations</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">22,727&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">22,069&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Goodwill</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">62,575&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">62,575&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Investment
      in leveraged leases</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">25,048&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">24,868&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Prepaid
      expenses and other assets</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      80,871&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      88,265&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="right" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="110">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      6,554,970&nbsp;</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="111">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      6,372,054&nbsp;</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="left" width="389"><font FACE="Arial"><b>LIABILITIES AND
      SHAREHOLDERS' EQUITY</b></font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Loans
      payable</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      292,393&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      162,426&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Payables:</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Clients</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">3,606,216&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">3,611,594&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Stock loaned</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">1,258,689&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">1,265,089&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Brokers-dealers and clearing organizations</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">68,009&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">168,401&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Trade and other</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">146,836&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">140,504&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;
      Trading account securities sold but not yet</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;
      purchased</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">177,875&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">65,419&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Accrued
      compensation, commissions and benefits</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">166,663&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">187,745&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Income
      taxes payable</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      7,172&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      -&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      5,723,853&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      5,601,178&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Commitments
      and contingencies</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">-&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">-&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial"><b>Shareholders'
      equity</b></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Preferred
      stock; $.10 par value; authorized</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;
      10,000,000 shares; issued and outstanding -0- shares</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">-&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">-&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Common
      Stock; $.01 par value; authorized</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;
      100,000,000 shares; issued 48,997,995 shares</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">490&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">490&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Shares
      exchangeable into common stock; 176,276</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">5,180&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">6,423&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Additional
      paid-in capital</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">72,784&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">67,464&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Accumulated
      other comprehensive income</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">(6,593)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">(6,881)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Retained
      earnings</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      764,300&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      721,183&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">836,161&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">788,679&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">Less:
      265,677 and 1,002,753 common shares</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;
      in treasury, at cost</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      (5,044)</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      (17,803)</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      831,117&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      770,876&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:#,##0_)[semicolon](#,##0)">
    <td ALIGN="right" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="110">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      6,554,970&nbsp;</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="111">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      6,372,054&nbsp;</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="389"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="6"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="110"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]_)[semicolon]_(@_)'" width="111"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="center" STYLE="vnd.ms-excel.numberformat: #, ##0_)[semicolon](#, ##0)" width="614" colspan="6"><font FACE="Arial" SIZE="-1">&nbsp;</font><font face="Arial">See
      accompanying Notes to Consolidated Financial Statements</font></td>
  </tr>
</table>
<!-- ------------------------- -->
<!-- END OF CONVERTED OUTPUT -->
<!-- ------------------------- -->
<P ALIGN="CENTER"><BR>
</P>
<P ALIGN="CENTER">&nbsp;
</P>
<P ALIGN="CENTER">
<BR>
</P>
<!-- The following table was generated by the Internet Assistant Wizard for Microsoft Excel. -->
<!-- ------------------------- -->
<!-- START OF CONVERTED OUTPUT -->
<!-- ------------------------- -->
<table border="0" cellspacing="0" cellpadding="0">
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="left"></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom">
    <td COLSPAN="10"><font FACE="Arial"><b><u>RAYMOND JAMES FINANCIAL, INC. AND
      SUBSIDIARIES</u></b></font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom">
    <td COLSPAN="10"><font FACE="Arial"><b><u>CONSOLIDATED STATEMENT OF
      OPERATIONS</u></b></font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom">
    <td COLSPAN="10"><font FACE="Arial"><b><u>(UNAUDITED)</u></b></font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom">
    <td COLSPAN="10"><font FACE="Arial">(in thousands, except per share amounts)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="left"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="left"></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" COLSPAN="3">
      <p style="border-bottom-style: solid"><font FACE="Arial">Three Months
      Ended</font></p>
    </td>
    <td ALIGN="left"></td>
    <td ALIGN="center" COLSPAN="3">
      <p style="border-bottom-style: solid"><font FACE="Arial">Nine Months Ended</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center"><font FACE="Arial">June 28,</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center"><font FACE="Arial">June 29,</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center"><font FACE="Arial">June 28,</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center"><font FACE="Arial">June 29,</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center">
      <p style="border-bottom-style: solid"><font FACE="Arial">2002</font></p>
    </td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center">
      <p style="border-bottom-style: solid"><font FACE="Arial">2001</font></p>
    </td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center">
      <p style="border-bottom-style: solid"><font FACE="Arial">2002</font></p>
    </td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center">
      <p style="border-bottom-style: solid"><font FACE="Arial">2001</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Revenues:</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Securities commissions and
      fees</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">$&nbsp;&nbsp;
      248,724</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">$&nbsp;&nbsp;
      256,532</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">$&nbsp;&nbsp;
      740,032</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">$&nbsp;&nbsp;
      758,081</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Investment banking</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">40,909</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">33,127</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">95,707</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">70,020</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Investment advisory fees</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">29,745</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">28,534</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">87,327</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">93,547</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Interest</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">38,494</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">75,626</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">122,460</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">273,088</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Correspondent clearing</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">1,001</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">857</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">2,741</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">2,922</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Net trading profits</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">3,125</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">7,889</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">12,899</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">21,995</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Financial service fees</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">15,716</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">14,186</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">44,019</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">39,568</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Other</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      10,409</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      8,782</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      28,088</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      28,733</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Total revenues</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;
      388,123</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;
      425,533</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;1,133,273</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;
      1,287,954</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Expenses</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Compensation, commissions
      and benefits</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">263,660</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">270,634</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">766,629</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">776,702</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Communication and
      information processing</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">18,209</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">19,591</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">58,078</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">54,818</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Occupancy and equipment</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">15,524</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">15,469</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">45,228</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">44,632</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Clearance and floor
      brokerage</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">3,924</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">4,485</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">10,916</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">11,502</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Interest</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">17,178</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">50,870</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">61,540</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">188,963</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Business development</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">11,939</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">14,271</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">35,798</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">44,259</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Other</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      23,750</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      1,778</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      61,075</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      32,588</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Total expenses</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;
      354,184</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;
      377,098</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;1,039,264</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;
      1,153,464</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Income before provision for income taxes</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">33,939</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">48,435</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">94,009</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">134,490</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp;&nbsp; Provision for income taxes</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      13,546</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      19,505</u></font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      36,701</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      50,714</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Net income</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;
      20,393</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;
      28,930</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;
      57,308</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0_)[semicolon]_($* (#,##0)[semicolon]_($* [dquote]-[dquote]_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;
      83,776</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Net income per share-basic</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      0.42</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      0.60</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      1.18</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      1.76</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Net income per share-diluted</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      0.41</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      0.59</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      1.15</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_($* #,##0.00_)[semicolon]_($* (#,##0.00)[semicolon]_($* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      1.71</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Weighted average common shares</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp; outstanding-basic</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">48,864</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">48,034</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">48,667</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">47,503</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">Weighted average common and common</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left"><font FACE="Arial">&nbsp; equivalent shares
      outstanding-diluted</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">49,866</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">49,191</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">49,654</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)">
      <p style="border-bottom-style: solid"><font FACE="Arial">48,859</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat:_(* #,##0_)[semicolon]_(* (#,##0)[semicolon]_(* [dquote]-[dquote]??_)[semicolon]_(@_)"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom">
    <td COLSPAN="10"><font FACE="Arial">See accompanying Notes to Consolidated
      Financial Statements.</font></td>
  </tr>
</table>
<!-- ------------------------- -->
<!-- END OF CONVERTED OUTPUT -->
<!-- ------------------------- -->
<!-- The following table was generated by the Internet Assistant Wizard for Microsoft Excel. -->
<!-- ------------------------- -->
<!-- START OF CONVERTED OUTPUT -->
<!-- ------------------------- -->
<table border="0" cellspacing="0" cellpadding="0" width="599">
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" COLSPAN="5" width="591">&nbsp;
      <p>&nbsp;</p>
      <p>&nbsp;</p>
      <p>&nbsp;</td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" COLSPAN="5" width="591"><font FACE="Arial"><u>RAYMOND
      JAMES FINANCIAL, INC. AND SUBSIDIARIES</u></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" COLSPAN="5" width="591"><font FACE="Arial"><u>CONSOLIDATED
      STATEMENT OF CASH FLOWS</u></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" COLSPAN="5" width="591"><font FACE="Arial">(UNAUDITED)</font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" COLSPAN="5" width="591"><font FACE="Arial">(in thousands)</font></td>
  </tr>
  <tr ALIGN="center" VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td width="417"></td>
    <td width="4"><font FACE="Arial">&nbsp;</font></td>
    <td width="75"><font FACE="Arial">&nbsp;</font></td>
    <td width="16"><font FACE="Arial">&nbsp;</font></td>
    <td width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" COLSPAN="2" width="417"></td>
    <td ALIGN="center" COLSPAN="3" width="172">
      <p style="border-bottom-style: solid"><font FACE="Arial"><b>Nine Months
      Ended</b></font></p>
    </td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="right" width="417"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="75"><font FACE="Arial"><b>June 28,</b></font></td>
    <td ALIGN="right" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="77"><font FACE="Arial"><b>June 29,</b></font></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="left" width="417"><font FACE="Arial"><b>Cash Flows from operating
      activities:</b></font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="75">
      <p style="border-bottom-style: solid"><font FACE="Arial"><b>2002</b></font></p>
    </td>
    <td ALIGN="right" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="center" width="77">
      <p style="border-bottom-style: solid"><font FACE="Arial"><b>2001</b></font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp; Net
      Income</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>$&nbsp;&nbsp;
      57,308&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>$&nbsp;&nbsp;
      83,776&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;
      Adjustments to reconcile net income to net</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><b>&nbsp;</b></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><b>&nbsp;</b></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;
      cash provided by (used in) operating activities:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Depreciation and amortization</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">16,832&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">17,490&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Amortization of goodwill</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">-&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">3,823&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Deferred income taxes</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(6,493)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">8,029&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Unrealized loss and premium amortization</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      on available for sale securities</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">626&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">24&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Ineffectiveness of cash flow hedges</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">391&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(662)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Provision for bad debts and legal reserves</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">8,237&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(10,493)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Net effect of stock and option compensation</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">7,716&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">14,704&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; (Increase)
      decrease in assets:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Assets segregated pursuant to federal regulations</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(197,336)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(746,826)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Receivables:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Clients, net</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(59,355)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">498,988&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Stock borrowed</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">103,502&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">437,892&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Brokers-dealers and clearing organizations</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">70,030&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">18,036&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Other</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">3,300&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(21,722)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Trading and investment account securities, net</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(53,777)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(94,814)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Prepaid expenses and other assets</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">6,556&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(27,260)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Increase
      (decrease) in liabilities:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Payables:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Clients</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(5,378)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">411,232&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Stock loaned</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(6,400)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(435,540)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Brokers-dealers and clearing organizations</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(100,392)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(16,041)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Trade and other</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(1,249)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(10,046)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Accrued compensation, commissions and benefits</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(21,082)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(41,376)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Income taxes payable</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      7,172&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      (1,991)</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      Total adjustments</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>(227,100)</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      3,447&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">Net cash (used in) provided
      by operating activities</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>(169,792)</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      87,223&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial"><b>Cash Flows from investing
      activities:</b></font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Additions to
      property and equipment, net</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(18,799)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(22,261)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Purchases of
      available for sale securities</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(166,462)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(127,914)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Sales of
      available for sale securities</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">34,983&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">41,780&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Maturations and
      repayments of available for sale securities</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">158,178&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">104,324&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Acquisition of
      Goepel</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      -&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;
      (48,469)</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">Net cash provided by (used
      in) investing activities</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      7,900&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;
      (52,540)</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial"><b>Cash Flows from financing
      activities:</b></font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Proceeds from
      borrowed funds</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">184,457&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">120,194&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Repayments on
      mortgage and borrowings</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(54,490)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(62,883)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Exercise of
      stock options and employee stock purchases</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">10,253&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">9,507&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Purchase of
      treasury stock</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(1,134)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">(522)</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Cash dividends
      on common stock</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;
      (14,190)</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;
      (13,128)</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">Net cash provided by
      financing activities</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;
      124,896&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      53,168&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">Currency adjustments:</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Effect of
      exchange rate changes on cash</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      (25)</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
      (172)</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Net increase
      (decrease) in cash and cash equivalents</font></td>
    <td ALIGN="left" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">(37,021)</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">87,679&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Cash and cash
      equivalents at beginning of period</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial"><u>&nbsp;&nbsp;
      458,468&nbsp;</u></font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial"><u>&nbsp;&nbsp;
      305,284&nbsp;</u></font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_(* #', '##0_)[semicolon]_(* #', '##0)[semicolon]_(* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">Cash and cash equivalents at
      end of period</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75">
      <p style="border-bottom-style: solid"><font FACE="Arial">$ 421,447&nbsp;</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77">
      <p style="border-bottom-style: solid"><font FACE="Arial">$ 392,963&nbsp;</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="right" width="417"></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">Supplemental disclosures of
      cash flow information</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77"><font FACE="Arial">&nbsp;</font></td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Cash paid for
      interest</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;
      60,304&nbsp;</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77">
      <p style="border-bottom-style: solid"><font FACE="Arial">$ 174,796&nbsp;</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom">
    <td ALIGN="left" width="417"><font FACE="Arial">&nbsp;&nbsp; Cash paid for
      taxes</font></td>
    <td ALIGN="right" width="4"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="75">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;
      34,817&nbsp;</font></p>
    </td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="16"><font FACE="Arial">&nbsp;</font></td>
    <td ALIGN="right" STYLE="vnd.ms-excel.numberformat: '_($* #', '##0_)[semicolon]_($* #', '##0)[semicolon]_($* dquote]-[dquote]??_)[semicolon]_(@_)'" width="77">
      <p style="border-bottom-style: solid"><font FACE="Arial">$&nbsp;&nbsp;
      47,959&nbsp;</font></p>
    </td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="right" width="417"></td>
    <td ALIGN="right" width="4"></td>
    <td ALIGN="right" width="75"></td>
    <td ALIGN="right" width="16"></td>
    <td ALIGN="right" width="77"></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="right" width="417"></td>
    <td ALIGN="right" width="4"></td>
    <td ALIGN="right" width="75"></td>
    <td ALIGN="right" width="16"></td>
    <td ALIGN="right" width="77"></td>
  </tr>
  <tr VALIGN="bottom" STYLE="vnd.ms-excel.numberformat:@">
    <td ALIGN="center" colspan="5" width="591">&nbsp;
      <p><font FACE="Arial">See accompanying Notes to Consolidated Financial
      Statements</font></p>
    </td>
  </tr>
</table>
<!-- ------------------------- -->
<!-- END OF CONVERTED OUTPUT -->
<!-- ------------------------- -->
<P ALIGN="CENTER">
<BR>
</P>
<P ALIGN="CENTER">
&nbsp;
</P>
</FONT></U>
</B><U><FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">RAYMOND JAMES FINANCIAL, INC. AND SUBSIDIARIES
</FONT></U><FONT FACE="Arial" SIZE=3><BR>
<U>NOTES TO CONSOLIDATED FINANCIAL STATEMENTS (UNAUDITED)</U><BR>
<U>June 28, 2002 </U> </P>
</FONT><B><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P>
</FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Basis of Presentation</P>
</FONT><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P>
</B></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The consolidated financial statements include the accounts of Raymond James Financial, Inc. and its consolidated subsidiaries (the "Company").  All material intercompany balances and transactions have been eliminated in consolidation.  Certain financial information that is normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America ("GAAP") but not required for interim reporting purposes has been condensed or omitted.  Pursuant to GAAP, these unaudited consolidated financial statements reflect, in the opinion of management, all adjustments (consisting of normal recurring accruals) necessary for a fair presentation of the consolidated financial position and results of operations for the interim periods presented.  The nature of the Company's business is such that the results of any interim period are not necessarily indicative of results for a full year. These consolidated financial statements should be read in conjunction with the consolidated financial statements and notes thereto included in the Company's Annual Report on form 10-K for the year ended September 28, 2001.  To prepare consolidated financial statements in conformity with accounting principles generally accepted in the United States of America, management must estimate certain amounts that affect the reported assets and liabilities, disclosure of contingent assets and liabilities, and reported revenues and expenses. Actual results could differ from those estimates.  Certain other reclassifications have been made to prior year consolidated financial statements to conform to the current presentation.</FONT></P>
<P ALIGN="JUSTIFY"><B><FONT FACE="Arial" SIZE=3>Effects of recently issued accounting standards
</FONT></P>
</B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In June 2001, the Financial Accounting Standards Board ("FASB") issued Statement of Financial Accounting Standards No. 141, Business Combinations ("SFAS 141"), and Statement of Financial Accounting Standards No. 142, Goodwill and Other Intangible Assets ("SFAS 142").  SFAS 141 requires all business combinations initiated after June 30, 2001 to be accounted for using the purchase method of accounting and that certain intangible assets acquired in a business combination shall be recognized as assets apart from goodwill.  SFAS 142 requires goodwill to be tested for impairment at least annually, as well as under certain circumstances, and written down when impaired, rather than being amortized as previous standards required.  Furthermore, SFAS 142 requires purchased intangible assets other than goodwill to be amortized over their useful lives unless these lives are determined to be indefinite.  Purchased intangible assets are carried at cost less accumulated amortization.  SFAS 142 is effective for fiscal years beginning after December 15, 2001; however the Company elected to early-adopt the standard as of the beginning of fiscal 2002. As a result, the Company ceased all goodwill amortization and did not recognize $3,488,000 of goodwill amortization expense that would have been recognized ratably in the first three quarters of fiscal 2002 under the previous accounting standard.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The following table presents the impact of SFAS 142 on net income and net income per share had the standard been in effect for the three quarters of fiscal 2001 (in thousands): </P>
</FONT><B><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P></B></FONT>
<TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=660>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="30%" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">Three months ended</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="26%" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">Nine months ended</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Reported net income</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$20,393</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$28,930  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$57,308</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$83,776  </FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Adjustments:</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>  Amortization of Goodwill</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">-</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">1,162  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">-</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">2,908  </FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>  Income tax effect</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
-</u></FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
(224)</u></FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
-</u></FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
(673)</u></FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Adjusted net income</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$20,393</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$29,868  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$57,308</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$86,011  </FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Reported net income per share- basic</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..42</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..60  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.18</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.76  </FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Adjusted net income per share - basic</FONT></TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..42</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..62  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.18</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.81  </FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Reported net income per share -<br>
&nbsp; diluted</FONT></TD>
<TD WIDTH="15%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..41</FONT></TD>
<TD WIDTH="3%" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..59  </FONT></TD>
<TD WIDTH="3%" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.15</FONT></TD>
<TD WIDTH="3%" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.71  </FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>Adjusted net income per share -<br>
&nbsp; diluted</FONT></TD>
<TD WIDTH="15%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..41</FONT></TD>
<TD WIDTH="3%" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="13%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
..61  </FONT></TD>
<TD WIDTH="3%" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.15</FONT></TD>
<TD WIDTH="3%" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="12%" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1.76  </FONT></TD>
</TR>
</TABLE>

<B><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P>
</B></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In accordance with the requirements of SFAS 142 the Company completed its transitional impairment testing and determined that there is no indication of impairment as of the date of adoption.  The Company will be required to perform goodwill impairment tests on at least an annual basis.  There can be no assurance that future goodwill impairment tests will not result in a charge to earnings.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;As of June 28, 2002 and September 28, 2001, total purchased intangible assets, other than goodwill, consisted only of a noncompete agreement with an original gross carrying amount of $3 million arising from the acquisition of Goepel McDermid.  The noncompete agreement is being amortized over a two year period and will be fully amortized at the end of the first quarter of fiscal 2003, resulting in an expense of $375,000 per quarter until that time.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In July 2001, the FASB issued SFAS No. 143 - Accounting for Asset Retirement Obligations.  Statement 143 relates to the accounting for the obligations associated with the retirement of long-lived assets.  In August 2001, the FASB issued SFAS No. 144 - Accounting for Impairment or Disposal of Long-lived Assets.  Statement 144 establishes methods of accounting and reporting for the impairment of long-lived assets other than goodwill and intangible assets not being amortized.  In April 2002, the FASB issued SFAS No. 145 - Recession of FASB statements No. 4, 44 and 64, Amendment of FASB Statement No. 13, and Technical Corrections.  In June 2002, the FASB issued SFAS No. 146 - Accounting for Costs Associated with Exit or Disposal Activities.  The Company is currently reviewing these statements and does not expect that their adoption will impact its financial position, results of operations or cash flows.  The Company will implement these Statements as required during fiscal 2003</FONT><B><FONT FACE="Arial" SIZE=1>.  </P>
</FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Commitments and Contingencies</P>
</FONT>
</B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company has committed to lend to, or guarantee other debt for, Raymond James Tax Credit Funds, Inc. (&quot;RJ Tax Credit&quot;) up to $60 million upon request. Any borrowings bear interest at broker call plus 1% per annum. The borrowings are secured by properties under development. In addition, RJ Tax Credit is charged 1% for amounts guaranteed.  At June 28, 2002, balances of $13,569,000 were loaned to RJ Tax Credit and there were no guarantees outstanding.  The commitment expires in November 2002, at which time any outstanding balances will be due and payable. </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;RJBank has outstanding at any time a significant number of commitments to extend credit.  These arrangements are subject to strict credit control assessments and each customer's creditworthiness is evaluated on a case-by-case basis.  At June 30, 2002, RJBank had standby letters of credit of $4,062,258, consumer lines of credit of $7,165,469 and commercial lines of credit of $22,038,379 outstanding. In addition, RJBank had commitments to fund loans at fixed and variable rates of $4,330,430 and $52,900,153, respectively, at June 30, 2002.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;As part of an effort to increase brand awareness, the Company entered into a stadium naming rights contract in July 1998.  The contract has a thirteen-year term with a five-year renewal option and a 4% annual escalator.  Expenses of $1,862,000 and $1,791,000 were recognized in the nine months ended June 2002 and 2001, respectively.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In the normal course of business, the Company enters into underwriting commitments.  Transactions relating to such commitments that were open at June 28, 2002 and were subsequently settled had no material effect on the consolidated financial statements as of that date.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company utilizes client marginable securities to satisfy deposits with clearing organizations.  At June 28, 2002, the Company had client margin securities valued at $57,036,000 on deposit with a clearing organization.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company has guaranteed lines of credit for their various consolidated foreign joint ventures as follows: three lines of credit totaling $7.5 million in Turkey and a $325,000 letter of credit in India.  In addition, the Company has guaranteed trades with counterparties in Turkey not to exceed $7 million and Argentina not to exceed $10 million.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company has committed to investments in 32 third party primarily private equity investment funds.  At June 28, 2002 the Company had $10.9 million in unfunded commitments to these funds.  Through June 28, 2002 the Company has funded $19.9 million and received approximately $12 million in distributions.</P>
</FONT><B><FONT FACE="Courier New" SIZE=1>
</B></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company has committed to an expansion of its corporate headquarters.  The Company has completed construction of a second parking garage with a cost of approximately $5.9 million and will be breaking ground on a fourth tower during the next quarter.  The anticipated cost for the building is $25.6 million.</FONT></P>
<P ALIGN="JUSTIFY"><B><FONT FACE="Arial" SIZE=3>Capital Transactions</FONT>
</B></P>
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company's Board of Directors has, from time to time, adopted resolutions authorizing the Company to repurchase its common stock for general corporate purposes.  At June 28, 2002, pursuant to prior authorizations from the Board of Directors, 1,668,000 shares were available to be repurchased at the discretion of management.  Subsequent to quarter end the Company has repurchased 325,000 shares.</P>
</FONT><B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Acquisition of Goepel McDermid Inc.</P>
</FONT>
</B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Effective January 1, 2001, the Company purchased 100% of Goepel McDermid Inc., a Canadian broker-dealer, for $78 million plus the establishment of CDN $17.5 million in deferred compensation.  The $78 million consisted of $48 million in cash and one million shares exchangeable for RJF common stock.  The exchangeable shares have dividend rights equivalent to those of common shares.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Effective January 23, 2001 Goepel McDermid Inc. changed its name to Raymond James Ltd.  For consolidated financial statement purposes the acquisition was accounted for as a purchase and, accordingly, Raymond James Ltd.'s results are included in the consolidated financial statements since the date of acquisition. The aggregate purchase price has been allocated to the assets based on their estimated fair value, with the remainder of the purchase price (approximately $35 million) recorded as goodwill.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The unaudited pro forma results of operations as though Goepel McDermid Inc. had been acquired as of the beginning of fiscal 2001 are as follows:</P>
</FONT>
<P ALIGN="LEFT"><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=322>
<TR><TD WIDTH="52%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="48%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Nine months ended</FONT></TD>
</TR>
<TR><TD WIDTH="52%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="48%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="CENTER" style="border-bottom-style: solid">June 29, 2001</FONT></TD>
</TR>
<TR><TD WIDTH="52%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Revenues (000s)</FONT></TD>
<TD WIDTH="48%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$1,298,640</FONT></TD>
</TR>
<TR><TD WIDTH="52%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Net Income (000s)</FONT></TD>
<TD WIDTH="48%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$  83,467</FONT></TD>
</TR>
<TR><TD WIDTH="52%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Net income per share:</FONT></TD>
<TD WIDTH="48%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="52%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Basic</FONT></TD>
<TD WIDTH="48%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$      1.73</FONT></TD>
</TR>
<TR><TD WIDTH="52%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Diluted</FONT></TD>
<TD WIDTH="48%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$      1.70</FONT></TD>
</TR>
</TABLE>

<FONT FACE="Courier New" SIZE=1>
</FONT><B><FONT FACE="Arial" SIZE=3><P>Net Capital Requirements</P>
</FONT>
</B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The broker-dealer subsidiaries of the Company are subject to the requirements of the Uniform Net Capital Rule (Rule 15c3-1) under the Securities Exchange Act of 1934.  Raymond James &amp; Associates, Inc. (&quot;RJA&quot;), a member firm of the New York Stock Exchange, Inc. (&quot;NYSE&quot;) is also subject to the rules of the NYSE, whose requirements are substantially the same.  Rule 15c3-1 requires that aggregate indebtedness, as defined, not exceed fifteen times net capital, as defined. Rule 15c3-1 also provides for an &quot;alternative net capital requirement&quot;, which RJA has elected.  It requires that minimum net capital, as defined, be equal to the greater of $250,000 or two percent of Aggregate Debit Items arising from client transactions.  The NYSE may require a member firm to reduce its business if its net capital is less than four percent of Aggregate Debit Items and may prohibit a member firm from expanding its business and declaring cash dividends if its net capital is less than five percent of Aggregate Debit Items.  The net capital position of the Company's primary U.S. broker-dealer subsidiaries as of June 28, 2002 were as follows:</P>
</FONT>
<P ALIGN="CENTER"><CENTER><TABLE CELLSPACING=0 BORDER=0 CELLPADDING=0 WIDTH=552>
<TR><TD WIDTH="82%" VALIGN="TOP">
<B><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Raymond James &amp; Associates, Inc.:</B></U></FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">(alternative method elected)</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;Net capital as a percent of aggregate debit items</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">28.17%</FONT></TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;Net capital (000's)</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$329,015</FONT></TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;Required net capital (000's)</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$23,356</FONT></TD>
</TR>
</TABLE>
</CENTER>

<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY"></P></FONT>
<P ALIGN="CENTER"><CENTER><TABLE CELLSPACING=0 BORDER=0 CELLPADDING=0 WIDTH=552>
<TR><TD WIDTH="82%" VALIGN="TOP">
<B><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Raymond James Financial Services, Inc.:</B></U></FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">(alternative method elected)</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;Net capital as a percent of aggregate debit items</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">132%</FONT></TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;Net capital (000's)</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$31,968</FONT></TD>
</TR>
<TR><TD WIDTH="82%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;Required net capital (000's)</FONT></TD>
<TD WIDTH="18%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$2,820</FONT></TD>
</TR>
</TABLE>
</CENTER>

<FONT FACE="Arial" SIZE=3>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Canadian broker-dealer subsidiary of the Company is subject to the Investment Dealers Association of Canada's capital requirements, which require minimum risk adjusted capital of CDN $250,000. The Company was in compliance at June 28, 2002 and September 28, 2001.</P>
</FONT><B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Earnings Per Share</P>
</FONT>
</B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">(in 000's, expect per share amounts)</P>
<TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=720>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="191" VALIGN="TOP" COLSPAN=8>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Three months ended</FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="161" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Nine months ended</FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>Net income</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$20,393</FONT></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$  28,930</FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$57,308</FONT></TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$  83,776 </FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>Weighted average common</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>  &nbsp; Shares outstanding - basic</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">48,864 </FONT></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">     48,034 </FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">48,667 </FONT></TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">     47,503 </FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>Additional shares assuming:</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>  &nbsp; Exercise of stock options<br>
&nbsp; and&nbsp; warrants (1)</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="bottom" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">702 </FONT></TD>
<TD WIDTH="35" VALIGN="bottom"></TD>
<TD WIDTH="74" VALIGN="bottom" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">         857 </FONT></TD>
<TD WIDTH="12" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="77" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">687 </FONT></TD>
<TD WIDTH="8" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="72" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">      1,056 </FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>

<FONT FACE="Arial" SIZE=3><P align="left">    &nbsp; Issuance of contingent<br>
&nbsp; exchangeable shares (2)
</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="BOTTOM" COLSPAN=3>
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">       &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
300</FONT> </U></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="BOTTOM" COLSPAN=4>
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">         &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
300</FONT> </U></TD>
<TD WIDTH="12" VALIGN="BOTTOM">&nbsp;</TD>
<TD WIDTH="77" VALIGN="BOTTOM">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">       &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
300</FONT> </U></TD>
<TD WIDTH="8" VALIGN="BOTTOM">&nbsp;</TD>
<TD WIDTH="72" VALIGN="BOTTOM">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">         &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
300</FONT> </U></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>Weighted average common and</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>  &nbsp;&nbsp; Common equivalent shares -&nbsp;<br>
&nbsp;&nbsp; diluted</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="bottom" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">  49,866 </FONT></TD>
<TD WIDTH="35" VALIGN="bottom"></TD>
<TD WIDTH="74" VALIGN="bottom" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">    49,191 </FONT></TD>
<TD WIDTH="12" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="77" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">  49,654 </FONT></TD>
<TD WIDTH="8" VALIGN="bottom">&nbsp;</TD>
<TD WIDTH="72" VALIGN="bottom">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">    48,859 </FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>    Net income per share - basic</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$    0.42</FONT></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$      0.60</FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$    1.18</FONT></TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$      1.76 </FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P>    Net income per share - diluted</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$    0.41 </FONT></TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$      0.59 </FONT></TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$    1.15 </FONT></TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$      1.71 </FONT></TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>&nbsp;</TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="TOP" COLSPAN=3>&nbsp;</TD>
<TD WIDTH="35" VALIGN="TOP"></TD>
<TD WIDTH="74" VALIGN="TOP" COLSPAN=4>&nbsp;</TD>
<TD WIDTH="12" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="77" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="72" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="237" VALIGN="TOP" COLSPAN=2>
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Securities excluded from<br>
&nbsp; weighted average common<br>
&nbsp; shares diluted because their<br>
&nbsp; effect would be antidilutive</FONT></TD>
<TD WIDTH="109" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="78" VALIGN="BOTTOM" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">       505</FONT></TD>
<TD WIDTH="35" VALIGN="BOTTOM"></TD>
<TD WIDTH="74" VALIGN="BOTTOM" COLSPAN=4>
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">         600</FONT></TD>
<TD WIDTH="12" VALIGN="BOTTOM">&nbsp;</TD>
<TD WIDTH="77" VALIGN="BOTTOM">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">       452</FONT></TD>
<TD WIDTH="8" VALIGN="BOTTOM">&nbsp;</TD>
<TD WIDTH="72" VALIGN="BOTTOM">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">         245</FONT></TD>
</TR>
<TR><TD WIDTH="195" VALIGN="TOP" HEIGHT=10><P></P></TD>
<TD WIDTH="152" VALIGN="TOP" COLSPAN=3 HEIGHT=10><P></P></TD>
<TD WIDTH="77" VALIGN="TOP" HEIGHT=10><P></P></TD>
<TD WIDTH="46" VALIGN="TOP" COLSPAN=4 HEIGHT=10><P></P></TD>
<TD WIDTH="63" VALIGN="TOP" HEIGHT=10><P></P></TD>
<TD WIDTH="175" VALIGN="TOP" COLSPAN=5 HEIGHT=10><P></P></TD>
</TR>
<TR><TD WIDTH="716" VALIGN="TOP" HEIGHT=71 colspan="15">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">(1)&nbsp; Represents the number of shares of common stock issuable on the exercise of dilutive employee stock options less the number of shares which could have been purchased with the proceeds from the exercise of such options.  These purchases were assumed to have been made at the average market price of the common stock during the period, or that part of the period for which the option was outstanding.
</FONT>
  </TD>
</TR>
<TR><TD WIDTH="195" VALIGN="TOP" HEIGHT=7><P></P></TD>
<TD WIDTH="152" VALIGN="TOP" COLSPAN=3 HEIGHT=7><P></P></TD>
<TD WIDTH="77" VALIGN="TOP" HEIGHT=7><P></P></TD>
<TD WIDTH="46" VALIGN="TOP" COLSPAN=3 HEIGHT=7><P></P></TD>
<TD WIDTH="63" VALIGN="TOP" COLSPAN=2 HEIGHT=7><P></P></TD>
<TD WIDTH="175" VALIGN="TOP" COLSPAN=5 HEIGHT=7><P></P></TD>
</TR>
<TR><TD WIDTH="716" VALIGN="TOP" HEIGHT=54 colspan="15">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">(2)&nbsp; Represents the exchangeable shares issued on January 2, 2001 in connection with the acquisition of Goepel McDermid Inc. They are exchangeable on a one-for-one basis and entitle holders to dividends equivalent to that paid on shares of common stock.
</FONT>
  </TD>
</TR>
</TABLE>

</FONT>

<FONT FACE="Arial" SIZE=1>
</FONT><B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Comprehensive Income</P>
</B></FONT><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P>
</FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Total comprehensive income for the three months and nine months ended June 28, 2002 and </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;June 29, 2001 is as follows (in thousands):</P>
</FONT><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P></FONT>
<TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=696>
<TR><TD WIDTH="47%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="25%" VALIGN="BOTTOM" COLSPAN=3 HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Three months ended</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="25%" VALIGN="BOTTOM" COLSPAN=3 HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Nine months ended</FONT></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P>Net income </FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$20,393&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$28,930&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$57,308&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$83,776&nbsp;</FONT></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P>Other comprehensive income:</FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="BOTTOM" HEIGHT=21>

<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;Unrealized gain (loss) on securities available<br>
&nbsp;&nbsp; for sale, net of tax
</FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">120&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">167&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">(78)</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">1,090&nbsp;</FONT></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="BOTTOM" HEIGHT=21>

<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;Unrealized gain (loss) on interest rate swaps<br>
&nbsp; accounted for as cash flow hedges (net of tax)
</FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">(977)</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">  25&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">391&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">(662)</FONT></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;Foreign currency translation adjustment</FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
3,310&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
849&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">        &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
(25)</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21>
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;(172)</FONT></U></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="TOP" HEIGHT=8><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=8><P></P></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=8><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=8><P></P></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=8><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=8><P></P></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=8><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=8><P></P></TD>
</TR>
<TR><TD WIDTH="47%" VALIGN="BOTTOM" HEIGHT=21>
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;Total comprehensive income</FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21 align="right">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$22,846&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="BOTTOM" HEIGHT=21 align="right"><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21 align="right">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$ 29,971</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21 align="right"><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21 align="right">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$57,596&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP" HEIGHT=21 align="right"><P></P></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" HEIGHT=21 align="right">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$84,032&nbsp;</FONT></TD>
</TR>
</TABLE>

<FONT FACE="Arial" SIZE=1>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
</FONT><B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Derivative Financial Instruments and Hedging Activities</P>
</FONT>
</B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company has only limited involvement with derivative financial instruments. Certain derivative financial instruments are used to manage well-defined interest rate risk at RJBank and others are used to hedge fixed income inventories.  On October 1, 2000, the Company adopted Statement of Financial Accounting Standards ("SFAS") No. 133, Accounting for Derivative Instruments and Hedging Activities, as subsequently amended by SFAS 137 and SFAS 138, which establishes accounting and reporting standards for derivatives and hedging activities.  This statement establishes standards for designating a derivative as a hedge.  Derivatives in a broker-dealer and derivatives that do not meet the criteria for designation as a hedge are accounted for as trading account assets.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;To manage interest rate exposures, RJBank uses interest rate swaps.  Interest rate swaps are agreements to exchange interest rate payment streams based on a notional principal amount.  RJBank specifically designates interest rate swaps as hedges during the initial fixed rate period of adjustable rate loan pools and recognizes interest differentials as adjustments to net interest income in the period they occur.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;All RJBank derivative instruments are recognized on the balance sheet at their fair value.  On the date the derivative contract is entered into, RJBank designates the derivative as a hedge of the variability of cash flows to be paid related to a recognized liability ("cash flow" hedge).  RJBank formally documents all relationships between hedging instruments and hedged items, as well as its risk-management objective and strategy for undertaking various hedge transactions.  This process includes linking all derivatives that are designated as cash flow hedges to specific liabilities on the balance sheet.  RJBank also formally assesses, both at the hedge's inception and on an ongoing basis, whether the derivatives that are used in hedging transactions are highly effective in offsetting changes in the cash flows of the hedged items.  When it is determined that a derivative is not highly effective as a hedge or that it has ceased to be a highly effective hedge, RJBank discontinues hedge accounting prospectively.  When hedge accounting is discontinued, RJBank continues to carry the derivative at its fair value on the balance sheet and recognizes any changes in its fair value in earnings.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;To the extent of the effectiveness of a hedge, changes in the fair value of a derivative that is designated and qualifies as a cash flow hedge are recorded in other comprehensive income, net of tax. For all hedge relationships, ineffectiveness resulting from differences between the changes in cash flows of the hedged item and changes in fair value of the derivative are recognized in the results of operations as other income or other expense. </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company uses interest rate swaps and interest rate futures.  The primary purpose of this activity is to hedge certain fixed income inventory positions against interest rate movements.  In addition to these transactions, the Company enters into swaps with some of its institutional customers and dealer counterparties where the Company's interest rate risk is hedged by offsetting swaps, interest rate futures or cash instruments.  While inventory and proprietary swap positions are normally hedged, in some cases the Company will leave a portion of these positions unhedged.  While the Company generally seeks to minimize exposure to interest rate risk, there can exist basis risk between the long positions and the short hedge positions.  All positions are marked to market with the gain or loss recorded in income for the period.  The Company's management performs evaluations of its potential interest rate risk and is of the opinion that the exposure to interest rate risk is not material to its financial position.  </P>
</FONT><B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Segment Information</P>
</B></FONT>
<U><FONT FACE="Arial" SIZE=1>
</U></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In connection with the revision of certain reporting lines and the analysis done in conjunction with the adoption of FAS 141 and 142, the Company reviewed its operating segment conclusions during the quarter ended March 28, 2002.  As a result, the Company made changes in its reportable segments.  Prior year's results have been restated based on the composition of the new segments.  The Company's reportable segments are retail, capital markets, asset management, RJBank and other. </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The retail segment includes the retail branches of the Company's broker-dealer subsidiaries located throughout the U.S., Canada and the U.K.  These branches provide securities brokerage services including the sale of equities, mutual funds, fixed income products and insurance to their retail clients.  The segment also includes net interest earnings on client margin loans and cash balances.  The capital markets segment includes institutional sales and trading in the U.S., Canada and Europe providing securities brokerage services, trading and research with an emphasis on the sale of U.S. equities and fixed income products to institutions; this segment also includes management of and</FONT><FONT FACE="Courier New"> </FONT><FONT FACE="Arial" SIZE=3>participation in underwritings, merger and acquisition services and public finance activities.  The asset management segment includes investment portfolio management services of Eagle Asset Management, Inc., Awad Asset Management, Inc., and the Raymond James &amp; Associates</FONT><FONT FACE="Courier New"> </FONT><FONT FACE="Arial" SIZE=3>asset management services division, mutual fund management by Heritage Asset Management, Inc., private equity management by Raymond James Capital and Raymond James Ventures and trust services of Raymond James Trust Company and Raymond James Trust Company West.  Raymond James Bank, FSB, is a separate segment.  The results of operations of consolidated foreign joint ventures, stock loan/stock borrow and corporate legal items are included in Other.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The financial results of the Company's segments are presented using the same policies as those described in the &quot;Summary of Significant Accounting Policies&quot;.  Segment data includes charges allocating corporate overhead to each segment. Intersegment revenues, charges, receivables and payables are eliminated between segments.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Information concerning operations in these segments of business (assets by segments were not available as of June 29, 2001) is as follows:</P>
</FONT><FONT FACE="Arial" SIZE=2></FONT>
<P ALIGN="CENTER">&nbsp;<CENTER><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=618>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="34%" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Three months ended</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="32%" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Nine months ended</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<B><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Revenues:</B></U>(000's)</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Retail</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp; 259,451&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp; 280,359  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 752,110&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp; 843,159</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Capital markets</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">78,294&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">79,825  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">237,992&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">214,743</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Asset management</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">33,607&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">32,616  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">98,211&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">102,483</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;RJBank</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">7,207&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">11,668  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">23,350&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">38,375</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Other</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">      &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
9,564&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">    &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
21,065</FONT>  </U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">      &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
21,610&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">       &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
89,194</FONT></U></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Total</B></FONT></TD>
</CENTER>

<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;
388,123&nbsp;</FONT></TD>
<CENTER>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;
425,533</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$1,133,273&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$1,287,954</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<B><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Pre-tax Income:</B></U>(000's)</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Retail</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
16,164&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
20,294  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp; 43,356&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp; 79,687</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Capital markets</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">10,009&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">4,772  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">28,937&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">7,994</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Asset management</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">5,607&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">5,375  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">16,164&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">19,953</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;RJBank</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">1,350&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">1,680  </FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">5,021&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">5,227</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Other</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">         &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
809&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
16,314*</FONT> </U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">           &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
531&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">        &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
21,629</FONT></U></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Total</B></FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
33,939&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
48,435</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;
94,009&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;
134,490</FONT></TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<B><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Assets: (</B></U>000's)</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Retail</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp; 3,496,365&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Capital markets</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">638,396&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Asset management</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">57,683&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;RJBank</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">869,227&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;Other</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">&nbsp;&nbsp;&nbsp; 1,493,299&nbsp;</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="31%" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Total</B></FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P align="RIGHT" style="border-bottom-style: solid">$&nbsp;
6,554,970&nbsp;</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="15%" VALIGN="TOP">&nbsp;</TD>
</TR>
</TABLE>
</CENTER>

<U><FONT FACE="Arial" SIZE=2>
</U></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">* Includes the $15.8 reversal related to the Corporex case.</P>
</FONT><U><FONT FACE="Arial" SIZE=2>
</U></FONT><FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company has operations in the US, Canada, Europe and several consolidated joint ventures overseas including: India, France, Turkey, and Argentina.  All long-lived assets are located in the US.</P>
</FONT><U><FONT FACE="Arial" SIZE=2></U></FONT>
<P ALIGN="CENTER">&nbsp;<CENTER><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=600>
<TR><TD WIDTH="23%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="35%" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Three months ended</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="39%" VALIGN="TOP" COLSPAN=3>
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">Nine months ended</FONT></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">
<B><U><FONT FACE="Arial" SIZE=3><P>Revenue:</B></U></FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;United States</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp; 352,067</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
385,934</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
1,035,400</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp; 1,206,160</FONT></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Canada</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">25,001</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">26,849</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">65,649</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">50,658</FONT></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Europe</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">6,677</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">8,820</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">19,596</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">18,972</FONT></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Other</FONT></TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">      &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
4,378</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">      &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
3,930</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">       &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
12,628</FONT></U></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<U><FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">       &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
12,164</FONT></U></TD>
</TR>
<TR><TD WIDTH="23%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<B>Total</B></FONT></TD>
</CENTER>

<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;
388,123</FONT></TD>
<CENTER>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
425,533</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
1,133,273</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="17%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;&nbsp;
1,287,954</FONT></TD>
</TR>
</TABLE>
</CENTER>

<U><FONT FACE="Arial" SIZE=3>
</U><P>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;While the dollar amount invested in emerging market joint ventures is only $4.5 million, these investments carry greater risk than amounts invested in developed markets.</P>
</FONT><B><FONT FACE="Arial">
</FONT><FONT FACE="Arial" SIZE=3><P>Subsequent Event</P>
</B></FONT><U><FONT FACE="Arial">
</U></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On August 2, 2002, a New York Stock Exchange arbitration panel rendered an award against Raymond James &amp; Associates, Inc. (RJA) in the matter of <U>First Union Securities v. Raymond James &amp; Associates and David Shaw</U>. The panel awarded $2 million in compensatory and $4 million in punitive damages against RJA, as well as Attorney Fees of $564,301 and forum fees. The reserve for this judgment and the related expense have been recorded in these financial statements for the three months ended June 28, 2002. </P>
</FONT><U><FONT FACE="Arial">
</FONT><FONT FACE="Arial" SIZE=3><P>Item 2.</P>
<P ALIGN="CENTER">MANAGEMENT'S FINANCIAL DISCUSSION AND ANALYSIS</P>
</U>
<P ALIGN="JUSTIFY">(Any statements containing forward looking information should be read in conjunction with Management's Discussion and Analysis of Results of Operations and Financial Condition in the Company's Annual Report on Form 10-K for the year ended September 28, 2001).</P>

<U><P>Results of Operations</U> - <U>Three months ended June 28, 2002 compared with three<br>
</U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <U>months ended June 29, 2001.</P>
</U></FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Quarterly revenues of $388,123,000 declined 9% from the prior year quarter's $425,533,000.  Net income of $20,393,000, or $0.41 per diluted share, was a 30% decrease from the $28,930,000, or $0.59 per diluted share, in the prior year quarter.  The prior year quarter included a $15.8 million reversal to the legal reserve related to the settlement of the Corporex case for less than the judgment amount; excluding that reversal net income would have been $20,198,000 or $0.41 per diluted share.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Retail commissions and interest are the most significant components of the retail segment.  Lower revenues for the quarter are a direct result of lower interest revenues and less retail client activity.  Pre-tax income is lower than the prior year quarter  due to an adverse legal judgment and related expense to increase the legal reserves.  Excluding that expense, pre-tax income would have been approximately flat as the margin on interest revenues has improved after several quarters of poor margins, and expenses within retail were well controlled.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Commission revenues of $248.7 million represent a modest 3% decrease from the prior year quarter.  The results reflect continued volatile equity markets and its negative impact on retail investors' behavior, as they continue to be cautious in their approach to the market.  The number of retail Financial Advisors at the end of June was 4,960, representing an 8% increase from the prior year quarter.  Thus, average production continued to decline.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The decline in gross interest revenues of $37 million from the prior year quarter represented the Company's total decline in revenue from the prior year quarter.  Net interest income of $21.3 million was 14% below the comparable prior year quarter but 10% above the immediately preceding quarter.  Retail customer margin balances, the most significant source of interest income for the Company, are relatively flat with the prior year quarter, following a decline from the period of relatively high balances in calendar year 2000.  Customer cash balances continue to remain at relatively high levels, thus the Company's regulatorily segregated cash balances have increased.  The interest rates earned on these assets, however, are far lower than those earned on margin balances.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The capital markets segment displayed the most dramatic improvement over the prior year quarter, more than doubling its pre-tax income.  This is the net result of improved equity investment banking, consistently strong institutional commissions and lower fixed income trading profits.  The increase in pre-tax income displays the impact of leverage in the investment banking area, where increased revenues led to a significant rise in pre-tax income.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Investment banking revenues increased 23% from the comparable prior year quarter.  The Company managed or co-managed 26 domestic new issues vs. 9 in the prior year quarter, as well as 2 Canadian deals vs. 3 in the prior year quarter.  The increase in investment banking revenues was due to both underwriting management fees on the increased number of public offerings and increased sales credits on those underwritings.  Merger and acquisition fees were also up over the same quarter prior year, with $6.9 million in the U.S. and $ 5.1 million in Canada vs. $3.8 million in the U.S. and $ 4.4 million in Canada in the prior year quarter.  Trading profits reflect a 60%, or $4.8 million, decline from the prior year quarter.  Most of this decline is the result of weaker fixed income trading results.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Within the asset management segment, investment advisory fees are up 4% from the prior year quarter due to the relatively high total assets under management as of the end of March 2002.  Assets under Heritage management, consisting largely of money market fund assets, have increased during the current year.  Eagle and Investment Advisory Services assets continue to decline in the current equity markets as depreciation has continued to more than offset net positive sales.</P>
</FONT>
<P ALIGN="LEFT"><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=672>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 28,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">June 29,</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">March 28,</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2001</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER" style="border-bottom-style: solid">2002</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<B><FONT FACE="Arial" SIZE=3><P>Assets Under Management</B> (000's):</FONT></TD>
<TD WIDTH="14%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;Eagle Asset Management, Inc.   </FONT></TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$ &nbsp;4,995,366</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$ &nbsp;5,214,844</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 5,191,000</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;Heritage Family of Mutual Funds    </FONT></TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">7,312,938</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">6,765,531</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">7,462,000</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;Investment Advisory Services      </FONT></TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">3,575,000</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">4,594,000</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT">4,142,000</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;Awad Asset Management      </FONT></TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
&nbsp;730,000</u></FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;644,000</u></FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT"><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
&nbsp;&nbsp;756,000</u></FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P>&nbsp;&nbsp;&nbsp;Total Financial Assets Under Management</FONT></TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$16,613,304</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="14%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$17,218,375</FONT></TD>
<TD WIDTH="3%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="16%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="RIGHT" style="border-bottom-style: solid">$&nbsp;&nbsp;
17,551,000</FONT></TD>
</TR>
</TABLE>

<FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P>
</FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Quarterly results in the RJBank segment reflect the lower revenue levels that are the result of lower interest rates.  The pre-tax income comparison reflects an addition to the loan loss reserve related to the overall increase in the loan portfolio.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Compensation, commission and benefit expense has declined 3% from the prior year quarter and has increased 3% since the immediately preceding quarter.  The changes in the commission expense portion correlate closely with the changes in commission revenues.  Incentive compensation in the current year quarter is greater than the prior year quarter as investment banking results improved.  Administrative expense is 3% higher than the prior year quarter, but 3% below the immediately preceding quarter, a result of cost control and attrition.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Business development and occupancy and equipment expenses are down from the prior year quarter as the Company continues to carefully monitor controllable expenses such as travel and client entertainment.  Communication and information processing expenses are down 7% from the prior year quarter reflecting cost control efforts.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Other expense appears to be up dramatically from the prior year quarter; however, the prior year quarter includes a $15.8 million reversal of the legal reserve for the Corporex case when it was settled for less than the original judgment.  Excluding this reversal, other expense would have been $17.6 million, or 25% below the current year's expense. As this was a corporate case not related to any of the Company's current business lines, this reversal caused the same distortion in the "Other" segment's pre-tax income.  The current year includes expenses related to increased legal reserves, primarily related to an adverse judgment in a Financial Advisor recruiting case, as discussed in the Subsequent Event Note to the Consolidated Financial Statements.  </P>
</FONT><U><FONT FACE="Arial" SIZE=3><P>Results of Operations</U> - <U>Nine months ended June 28, 2002 compared with nine<br>
  </U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <U>months ended June 29, 2001.</P>
  </U><DIR>
<DIR>
<DIR>
<DIR>
<DIR>
<DIR>

</FONT><FONT FACE="Arial" SIZE=1><P ALIGN="JUSTIFY"></P></DIR>
</DIR>
</DIR>
</DIR>
</DIR>
</DIR>

</FONT><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Revenues of $1,133,273,000 declined 12% from the prior year's $1,287,954,000.  Net income of $57,308,000, or $1.15 per diluted share, was a 32% decrease from the $83,776,000, or $1.71 per diluted share, in the prior year.  Results for the current year include three quarters of Raymond James Ltd. ("RJ Ltd.") while the prior year includes only two quarters of their results. RJ Ltd. was acquired as of January 1, 2001 and has added approximately $20 million in revenues and expenses per quarter since the acquisition.  The prior year results include a $15.8 reversal to the legal reserve related to the Corporex case.  Excluding that reversal, net income was $75,044,000, or $1.54, per diluted share for the nine months ended June 29, 2001.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(Except as discussed below, the underlying reasons for the variances to the prior year period are substantially the same as the comparative quarterly discussion above and the statements contained in such foregoing discussion also apply to the nine month comparison.)</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The retail segment results for the year reflect the difficulties faced in maintaining interest margins in the declining rate environment and the lower commissions resulting from the hesitant behavior of retail clients in the current volatile equity market and the adverse judgment in the Financial Advisor recruiting case.  </P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The significant increase of pre-tax income in the capital markets segment demonstrates the Company's capacity and resulting leverage in investment banking.  Pre-tax income has improved appreciably in the past few quarters as a result of improved investment banking activity, therefore year to date pre-tax income is significantly greater than in the prior year.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Year to date results in the asset management segment reflect the impact of higher compensation expenses on relatively flat revenues.  This segment has been negatively impacted by declining equity values.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Communications and information processing is up for the year as the year to date expense includes the $4 million write down of the investment in CSS, a software joint venture in Colorado, taken in the second quarter of fiscal 2002, when the Company converted to the equity method of accounting due to an increase in the Company's ownership percentage.  This is reflected as information processing expense as it replaces what would be internal software development efforts.  Exclusive of this charge, communications and information processing expense is down slightly, reflecting cost control efforts.</P>
</FONT><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Financial Condition </P>
</FONT> </U> <FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company's total assets have increased only 3% since fiscal year end, reflecting changes related to normal business activity including increased client receivables, inventory levels and the related segregated assets and financing.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company's credit risks remain consistent with those disclosed in the Company's annual report on Form 10-K dated September 28, 2001.  The Company's balance sheet includes approximately $1.7 billion in receivables from clients.  These receivables consist predominantly of client margin loans and bank loans.  The Company monitors exposure to industry sectors and individual securities and performs analysis on a regular basis in connection with its margin lending activities.  The Company adjusts its margin requirements if it believes its risk exposure is not appropriate based on market conditions.  RJBank offers a variety of loan products; including mortgage, commercial real estate, and consumer loans, which are collateralized, and corporate loans for which the borrower is carefully evaluated and monitored.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In addition to the $37 million mortgage on the corporate headquarters complex, loans payable at June 28, 2002 include a $50 million term debt at the parent company, $60 million in advances from the Federal Home Loan Bank to RJBank, and $141 million in short-term financing within RJA and $3.6 million at RJ Ltd. related to customer settlements. </P>
</FONT><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Liquidity and Capital Resources</P>
  </FONT>
</U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net cash used in operating activities during the nine months was $170 million.  Cash was predominantly used for increased segregated assets, securities inventories and increased client receivables net of a decrease in broker/dealer payables.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Investing activities provided $8 million during the nine months due to the sales and maturations of available for sale securities exceeding purchases.  </P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Financing activities provided $125 million, the result of net borrowings exceeding repayments and the payment of cash dividends netting with the exercise of stock options and employee stock purchases. </P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;RJF has a $125 million line of credit, Raymond James &amp; Associates, Inc. has uncommitted lines of credit aggregating $355 million, and RJ Ltd. has an uncommitted CDN $40 million line of credit, all with commercial banks.</P>
  <P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company's broker-dealer subsidiaries are subject to requirements of the SEC and the Investment Dealers Association of Canada relating to liquidity and capital standards (see Notes to Consolidated Financial Statements under Net Capital Requirements).</P>
</FONT><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Effects of Inflation</P>
  </FONT>
</U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company's assets are primarily liquid in nature and are not significantly affected by inflation.  Management believes that the changes in replacement cost of property and equipment are adequately insured and therefore would not materially affect operating results.  However, the rate of inflation affects the Company's expenses, including employee compensation, communications and occupancy, which may not be readily recoverable through charges for services provided by the Company.</P>
</FONT><U><FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Item 3.
</FONT></U>  <FONT FACE="Arial" SIZE=3>  Quantitative and Qualitative Disclosure of Market Risk
</FONT></P>
  <FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Information about market risks for the three months ended June 28, 2002 does not differ materially from that discussed under Item 7a of the Company's Annual Report on Form 10-K for the year ended September 28, 2001. Additional information is discussed under Derivative Financial Instruments in the notes to the consolidated financial</FONT>
  <FONT FACE="Arial" SIZE=3>statements of this Form 10-Q. </P>
<U><P ALIGN="JUSTIFY"></P>
</U><P ALIGN="JUSTIFY">Part II  <U>OTHER INFORMATION
</U></P>
<U><P ALIGN="JUSTIFY">Item 1</U>. Legal Proceedings</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On August 2, 2002, a New York Stock Exchange arbitration panel rendered an award against Raymond James &amp; Associates, Inc. (RJA) in the matter of <U>First Union Securities v. Raymond James &amp; Associates and David Shaw</U>. The panel awarded $2 million in compensatory and $4 million in punitive damages against RJA, as well as Attorney Fees of $564,301 and forum fees.  The panel also made references to the New York Stock Exchange for possible disciplinary action against one former and three present RJA employees.</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The Company is considering its options for appeal. The amount of the award has been reflected in the financial statements for the three months ended June 28, 2002.</P>
<U><P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">SIGNATURES</P>
</U><P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">  </P></FONT>
<P ALIGN="CENTER"><CENTER><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=602>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">RAYMOND JAMES FINANCIAL, INC.</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">(Registrant)</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Date:&nbsp;&nbsp;<U>August 9, 2002</U></FONT></TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"><u>/s/ Thomas A. James</u></FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Thomas A. James</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Chairman and Chief</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Executive Officer</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"><u>/s/ Jeffrey P. Julien</u></FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Jeffrey P. Julien</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Senior Vice President - Finance</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">and Chief Financial</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Officer</FONT></TD>
</TR>
</TABLE>
</CENTER>

<FONT FACE="Arial" SIZE=3>
<P ALIGN="JUSTIFY">&nbsp;</P>
<B><P ALIGN="CENTER">&nbsp;</P>
</B><P ALIGN="RIGHT">Exhibit 99.1</P>
<B><P ALIGN="CENTER"></P>
<P ALIGN="CENTER">CERTIFICATION OF CHIEF EXECUTIVE OFFICER</P>
<P ALIGN="CENTER">PURSUANT TO 18 U.S.C. SECTION 1350,</P>
<P ALIGN="CENTER">AS ADOPTED PURSUANT TO </P>
<P ALIGN="CENTER">SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002</P>
</B><P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;I, Thomas A. James, certify that the foregoing quarterly report on form 10Q containing the financial statements set forth within fully comply with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934 (15 U.S.C. 78m or 78 o (d)) and that information contained in the quarterly report fairly presents, in all material respects, the financial condition and results of operations of Raymond James Financial, Inc.</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">  </P></FONT>
<P ALIGN="CENTER"><CENTER><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=602>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Date:&nbsp;&nbsp;<U>August 9, 2002</U></FONT></TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"><u>/s/ Thomas A. James</u></FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Thomas A. James</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Chairman and Chief</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Executive Officer</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
</TABLE>
</CENTER>

<FONT FACE="Arial" SIZE=3>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="RIGHT">Exhibit 99.2</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<B><P ALIGN="CENTER">&nbsp;</P>
<P ALIGN="CENTER">CERTIFICATION OF CHIEF FINANCIAL OFFICER</P>
<P ALIGN="CENTER">PURSUANT TO 18 U.S.C. SECTION 1350,</P>
<P ALIGN="CENTER">AS ADOPTED PURSUANT TO </P>
<P ALIGN="CENTER">SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002</P>
</B><P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">&nbsp;</P>
<P ALIGN="JUSTIFY">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;I, Jeffrey P. Julien, certify that the foregoing quarterly report on form 10Q containing the financial statements set forth within fully comply with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934 (15 U.S.C. 78m or 78 o (d)) and that information contained in the quarterly report fairly presents, in all material respects, the financial condition and results of operations of Raymond James Financial, Inc.</P>
<P ALIGN="JUSTIFY"></P>
<P ALIGN="JUSTIFY">  </P></FONT>
<P ALIGN="CENTER"><CENTER><TABLE BORDER="0" CELLSPACING=0 CELLPADDING=0 WIDTH=602>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="JUSTIFY">Date:&nbsp;&nbsp;<U>August 9, 2002</U></FONT></TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER"><u>/s/ Jeffrey P. Julien</u></FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Jeffrey P. Julien</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Senior Vice President - Finance</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">And Chief Financial</FONT></TD>
</TR>
<TR><TD WIDTH="50%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT FACE="Arial" SIZE=3><P ALIGN="CENTER">Officer</FONT></TD>
</TR>
</TABLE>
</CENTER>

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</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>10-Q
<SEQUENCE>2
<FILENAME>june02.pdf
<TEXT>
<PDF>
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