-----BEGIN PRIVACY-ENHANCED MESSAGE-----
Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
Originator-Key-Asymmetric:
 MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen
 TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB
MIC-Info: RSA-MD5,RSA,
 LybXaD084kaBLOilsHTjpO57Y9QTnBJplXeV1ds++eJ1ufQ8Y1jmafcxnQb3W1OK
 s2ry2WRPoPgYHqjuAXk0RA==

<SEC-DOCUMENT>0000821130-09-000003.txt : 20090506
<SEC-HEADER>0000821130-09-000003.hdr.sgml : 20090506
<ACCEPTANCE-DATETIME>20090506092148
ACCESSION NUMBER:		0000821130-09-000003
CONFORMED SUBMISSION TYPE:	8-K
PUBLIC DOCUMENT COUNT:		4
CONFORMED PERIOD OF REPORT:	20090506
ITEM INFORMATION:		Results of Operations and Financial Condition
ITEM INFORMATION:		Financial Statements and Exhibits
FILED AS OF DATE:		20090506
DATE AS OF CHANGE:		20090506

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			UNITED STATES CELLULAR CORP
		CENTRAL INDEX KEY:			0000821130
		STANDARD INDUSTRIAL CLASSIFICATION:	RADIO TELEPHONE COMMUNICATIONS [4812]
		IRS NUMBER:				621147325
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		8-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-09712
		FILM NUMBER:		09799765

	BUSINESS ADDRESS:	
		STREET 1:		8410 W BRYN MAWR AVE
		STREET 2:		STE 700
		CITY:			CHICAGO
		STATE:			IL
		ZIP:			60631
		BUSINESS PHONE:		7733998900

	MAIL ADDRESS:	
		STREET 1:		8410 W BRYN MAWR AVE
		STREET 2:		STE 700
		CITY:			CHICAGO
		STATE:			IL
		ZIP:			60631
</SEC-HEADER>
<DOCUMENT>
<TYPE>8-K
<SEQUENCE>1
<FILENAME>uscellularq109_8-kcoverpage.htm
<DESCRIPTION>8-K
<TEXT>

<HTML>
<HEAD>
   <TITLE>uscellularq109_8-kcoverpage.htm - Telephone and Data Systems, Inc.</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">

<A name="page_1"></A>
<HR style="MARGIN-TOP: -5px" color=#000000 noShade SIZE=4>
<HR style="MARGIN-TOP: -10px" color=#000000 noShade SIZE=1>
<P align=center></P>
<P align=center><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=5>FORM 8-K</FONT></B></P>
<P align=center><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=5>SECURITIES AND EXCHANGE COMMISSION</FONT></B><BR>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Washington, D.C. 20549</FONT></B><BR>
<BR>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">CURRENT REPORT</FONT></B><BR>
<BR>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">Pursuant to Section 13 or 15(d) of</FONT></B><BR>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">The Securities Exchange Act of 1934</FONT></B><BR>
<BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Date of Report (Date of earliest event reported): </FONT><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>May 6, 2009</FONT></B><BR>
<BR>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=5>UNITED STATES CELLULAR CORPORATION</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Exact name of registrant as specified in its charter)</FONT></P>
<TABLE style="WIDTH: 1158px; HEIGHT: 43px" cellSpacing=0 align=center border=0>
<TR vAlign=bottom>
     <TD style="TEXT-INDENT: 0px" vAlign=top align=center width="27%" rowSpan=4><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Delaware</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(State or other</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>jurisdiction of</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>incorporation)</FONT>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" vAlign=top align=center width="39%" rowSpan=4><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>1-9712</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Commission</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>File Number)</FONT></TD>
     <TD style="TEXT-INDENT: 0px" vAlign=top align=center width="32%" rowSpan=4><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>62-1147325</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(IRS Employer</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Identification No.)</FONT></TD></TR>
<TR vAlign=bottom></TR>
<TR vAlign=bottom></TR>
<TR vAlign=bottom></TR></TABLE><BR>
<TABLE style="WIDTH: 1158px; HEIGHT: 21px" cellSpacing=0 align=center border=0>
<TR vAlign=bottom>
     <TD style="TEXT-INDENT: 0px" vAlign=top align=center width="66%" rowSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>8410 West Bryn Mawr, Suite 700, Chicago, Illinois</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Address of principal executive offices)</FONT>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" vAlign=top align=center width="32%" rowSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>60631</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Zip Code)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom></TR></TABLE><BR>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Registrant's telephone number, including area code: </FONT><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>(773) 399-8900</FONT></B></P>
<TABLE style="WIDTH: 1158px; HEIGHT: 34px" cellSpacing=0 align=center border=0>
<TR vAlign=bottom>
     <TD align=center width="100%" rowSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Not Applicable</FONT></B><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Former name or former address, if changed since last report)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom></TR></TABLE><BR>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant </FONT><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>under any of the following provisions (see General Instruction A.2. below):</FONT></P>
<TABLE style="WIDTH: 1158px; HEIGHT: 112px" cellSpacing=0 align=center border=0>
<TR vAlign=bottom>
     <TD vAlign=center align=left width="2%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face=Wingdings>&#168;</FONT></FONT></TD>
     <TD vAlign=center align=left width="50%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Written communications pursuant to Rule 425 under the Securities Act (17 CFR</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>230.425)</FONT>&nbsp;</TD></TR>
<TR height=20>
     <TD vAlign=center align=center></TD>
     <TD vAlign=center align=center></TD></TR>
<TR>
     <TD vAlign=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face=Wingdings>&#168;</FONT></FONT></TD>
     <TD vAlign=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Soliciting material pursuant to Rule 14a</FONT><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>-12 under the Exchange Act (17 CFR 240.14a-12)</FONT></TD></TR>
<TR height=20>
     <TD vAlign=center></TD>
     <TD vAlign=center></TD></TR>
<TR height=20>
     <TD vAlign=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face=Wingdings>&#168;</FONT></FONT></TD>
     <TD vAlign=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Pre</FONT><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))</FONT></TD></TR>
<TR height=20>
     <TD vAlign=center></TD>
     <TD vAlign=center></TD></TR>
<TR vAlign=top height=20>
     <TD vAlign=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face=Wingdings>&#168;</FONT></FONT></TD>
     <TD style="TEXT-INDENT: 0px" vAlign=center>
<P><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Pre</FONT><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))</FONT></P>
</TD></TR></TABLE><BR>
<HR style="MARGIN-TOP: -5px" color=#000000 noShade SIZE=1>
<HR style="MARGIN-TOP: -13px" color=#000000 noShade SIZE=4>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>
<A name=page_2></A>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Item 2.02. </FONT><U><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Results of Operations and Financial Condition</FONT></U></P>
<P align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>On May 6, 2009, United States Cellular Corporation (&#147;U.S. Cellular&#148;) issued a news release announcing its results of operations for the period ended March 31, 2009. A copy of the news release is attached hereto as Exhibit 99.1 and incorporated by reference herein.</FONT></P>
<P align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>The information in this Item 2.02 of Form 8-K is being furnished and shall not be deemed &#147;filed&#148; for the purposes of Section 18 of the Securities Exchange Act of 1934, as amended, or otherwise subject to the liabilities of that Section.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Item 9.01. </FONT><U><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Financial Statements and Exhibits</FONT></U></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (d) </FONT><U><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Exhibits:</FONT></U></P>
<P align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>In accordance with the provisions of Item 601 of Regulation S-K, any Exhibits filed or furnished herewith are set forth on the Exhibit Index attached hereto.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Attached as Exhibit 99.2 is a safe harbor cautionary statement under the Private Securities Litigation Reform Act of 1995.</FONT></P>
<P align=center><FONT face="Times New Roman" size=2>2</FONT></P>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>
<A name="page_3"></A>
<P align=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>SIGNATURES</FONT></P>
<P align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>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, thereto duly authorized.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>United States Cellular Corporation</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Registrant)</FONT><BR>
<BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Date: May 6, 2009</FONT></P>
<TABLE style="WIDTH: 388px; HEIGHT: 83px" cellSpacing=0 border=0>
<TR>
     <TD width="7%"></TD>
     <TD width="92%"></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>By:</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><FONT size=2>/s/ Steven T. Campbell</FONT></TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" vAlign=top align=left rowSpan=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Steven T. Campbell</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Executive Vice President &#150; Finance,</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Chief Financial Officer and Treasurer</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD></TR></TABLE>
<P align=center><FONT size=2>3</FONT><BR>
</P>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>
<A name="page_4"></A>
<P align=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>EXHIBIT INDEX</FONT></P>
<P align=center><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>The following exhibits are filed or furnished herewith as noted below.</FONT></P>
<TABLE style="WIDTH: 1158px; HEIGHT: 117px" cellSpacing=0 border=0>
<TR>
     <TD width="7%"></TD>
     <TD width="2%"></TD>
     <TD width="91%"></TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left rowSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Exhibit</FONT></B><BR>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>No.</FONT></B>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=center></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=center><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Description</FONT></B>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>99.1</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Earnings Press Release dated May 6, 2009</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>99.2</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Private Securities Litigation Reform Act of 1995 Safe Harbor Cautionary Statement</FONT>&nbsp;</TD></TR></TABLE>
<P align=center><FONT size=2>4</FONT><BR>
</P>
<HR width="100%" color=#000000 SIZE=3>
<PAGE>
</BODY>

</HTML>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99
<SEQUENCE>2
<FILENAME>uscellularq109_exhibit991.htm
<DESCRIPTION>EX-99.1
<TEXT>

<HTML>
<HEAD>
   <TITLE>uscellularq109_exhibit991.htm - United States Cellular Corporation</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">

<A name="page_1"></A>
<P align=right><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Exhibit 99.1</FONT></B></P>
<P align=right>
<IMG height=68 src="uscellularq109_exhibit99x1x1.jpg" width=318 border=0>
&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;&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;&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;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <FONT size=2><B>NEWS RELEASE</B></FONT></P>
<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" color=#000000 size=2>As previously announced, U.S. Cellular<SUP>&#174;</SUP> will hold a teleconference on May 6, 2009, at 10:00 a.m. Chicago time. Interested parties may listen to the call live via the Internet by accessing the Conference Calls page of </FONT></B><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" color=#000000 size=2>www.teldta.com </FONT></B><B><FONT face="TimesNewRomanPS-BoldMT,Times New &#13;&#10;Roman,Times,serif" color=#000000 size=2>or </FONT></B><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" color=#000000 size=2>www.uscc.com</FONT></B><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" color=#000000 size=2>.</FONT></B>
<TABLE style="WIDTH: 1110px; HEIGHT: 140px" cellSpacing=0 border=0>
<TR>
     <TD width="12%"></TD>
     <TD width="88%"></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Contact:</FONT>&nbsp;</TD>
     <TD vAlign=center align=left rowSpan=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Mark A. Steinkrauss, Vice President, Corporate Relations</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(312) 592-5384 mark.steinkrauss@teldta.com</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD></TR>
<TR height=2>
     <TD style="TEXT-INDENT: 0px" align=left colSpan=2>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD vAlign=top align=left rowSpan=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Julie D. Mathews, Manager, Investor Relations</FONT><BR>
<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(312) 592-5341 julie.mathews@teldta.com</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD></TR></TABLE><BR>
<P align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>FOR RELEASE: IMMEDIATE</FONT></B></P>
<TABLE style="WIDTH: 1110px; HEIGHT: 35px" cellSpacing=0 border=0>
<TR vAlign=bottom>
     <TD align=center width="99%"><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>U.S. CELLULAR REPORTS INCREASES IN SERVICE, DATA REVENUES</FONT></B>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=center><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Service and data revenues increase 2&nbsp;and 36 percent in the quarter</FONT></I>&nbsp;</TD></TR></TABLE><BR>
<P align=left><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Note: Comparisons are year over year unless otherwise noted.</FONT></I><BR>
<BR>
<B><U><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>1Q 2009 Highlights</FONT></U></B></P>
<DIV align=center>
<TABLE style="WIDTH: 1110px; HEIGHT: 66px" cellSpacing=0 border=0>
<TR>
     <TD style="TEXT-INDENT: 0px" vAlign=center noWrap width="2%"><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
     <TD width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2 percent increase in service revenues, to $981.9 million.</FONT> </TD></TR>
<TR>
     <TD style="TEXT-INDENT: 0px" vAlign=center noWrap width="2%"><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
     <TD width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>36 percent increase in data revenues, to $157.0 million, representing 16 percent of service revenues.</FONT> </TD></TR>
<TR>
     <TD style="TEXT-INDENT: 0px" vAlign=center noWrap width="2%"><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
     <TD width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1 percent increase in ARPU (average monthly service revenue per unit), to $52.54.</FONT> </TD></TR>
<TR>
     <TD style="TEXT-INDENT: 0px" vAlign=center noWrap width="2%"><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
     <TD width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Postpay churn remained low at 1.<FONT face="Times New Roman" size=2>5</FONT> percent; postpay customers comprised 95 percent of retail customers.</FONT></TD></TR>
<TR>
     <TD style="TEXT-INDENT: 0px" vAlign=center noWrap width="2%"><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
     <TD width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>8 percent increase in cell sites in service, to 6,942, of which approximately 4,000 are company-owned.</FONT> </TD></TR>
<TR>
     <TD style="TEXT-INDENT: 0px" vAlign=center noWrap width="2%"><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
     <TD width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Repurchased 367,000 common shares for $13.3 million to offset dilution from employee benefit plans.</FONT> </TD></TR></TABLE></DIV>
<P align=left><U><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>CHICAGO &#150; May 6, 2009 </FONT></U><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&#150; United States Cellular Corporation [NYSE:USM] reported service revenues of $981.9 million for the first quarter of 2009, a 2 percent increase from $962.1 million in the comparable period one year ago. The company recorded operating income of $114.8 million, down from $119.0 million in the first quarter of 2008. Net income attributable to U.S. Cellular&nbsp;and&nbsp;<FONT face="Times New Roman" size=2>related Diluted</FONT>&nbsp;earnings per share were $84.6 million and $0.97, respectively, for the first quarter of 2009, compared to $70.6 million and $0.80, respectively, in the comparable period one year ago.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&#147;We had solid gains in postpay customers, who are the cornerstone of our strategy,&#148; said John E. Rooney, U.S. Cellular president and CEO. &#147;These postpay customers make up 95 percent of U.S. Cellular&#146;s retail base, and they are buying more of our smart phones and touchscreen phones, and using more <FONT face="Times New Roman" size=2>of our </FONT>data services.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&#147;As a result,&#148; added Rooney, &#147;we had strong gains in data revenues and increased service revenues despite a loss in roaming revenues resulting&nbsp;from the acquisition of Alltel Corporation by Verizon Wireless. Also, U.S. Cellular has had 14 consecutive quarters of year-over-year ARPU growth. And, <FONT face="Times New Roman" size=2>w</FONT>e&nbsp;kept churn low&#151;a sign that our customer satisfaction strategy continues to be effective.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&#147;To keep our product mix optimized, we rolled out new handsets in the quarter, and brought the HTC Touch Pro&#153; to our lineup in April,&#148; continued Rooney. &#147;Sales of all smartphones and premium devices, including our BlackBerry&#174; and Windows Mobile&#174; solutions, <FONT face="Times New Roman" size=2>have nearly tripled year over year</FONT>. As we expand our 3G network to more of our cell sites, we expect continued revenue growth in this area.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&#147;We are committed to growing U.S. Cellular for the long term,&#148; said Rooney, &#147;and we have the sound strategy and dedicated associates to provide quality services and products and unmatched customer support. We recently received a seventh-consecutive award for call quality from J.D. Power and Associates. We&#146;re proud of our network, and we&#146;re proud to be a company our customers can believe in.&#148;</FONT></P>
<HR width="100%" color=#000000 SIZE=3>
<P align=left></P>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>
<A name="page_2"></A>
<P align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Guidance</FONT></B></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Guidance for the year ending Dec. 31, 2009 is as follows. G<FONT face="Times New Roman" size=2>uidance is unchanged from Feb. 26, 2009. </FONT>There can be no assurance that final results will not differ materially from this guidance.</FONT></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>U.S. Cellular 2009 guidance as of May 6, 2009 is as follows:</FONT></P>
<DIV align=left>
<TABLE style="WIDTH: 732px; HEIGHT: 123px" cellSpacing=0 border=0>
<TR vAlign=bottom height=10>
     <TD align=left width="10%"></TD>
     <TD style="TEXT-INDENT: 0px" align=left width="55%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net Retail Customer Additions</FONT>&nbsp;</TD>
     <TD align=left width="45%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>75,000 - 150,000</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD align=left></TD>
     <TD style="TEXT-INDENT: 0px" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Service Revenues</FONT>&nbsp;</TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$3,900 - $4,000 million</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD align=left></TD>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Operating Income</FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1)</FONT></SUP>&nbsp;</TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$275 - $350 million</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD align=left></TD>
     <TD style="TEXT-INDENT: 0px" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Depreciation, Amortization &amp; Accretion</FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1)</FONT></SUP>&nbsp;</TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Approx. $600 million</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD align=left></TD>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>
<P><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Capital Expenditures</FONT>&nbsp;</P>
</TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Approx. $575 million</FONT>&nbsp;</TD></TR></TABLE></DIV><BR>
<HR style="WIDTH: 20.93%; HEIGHT: 1px" align=left width="20.93%" color=#000000 SIZE=1>
<SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1) </FONT></SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Includes losses on disposals of assets.</FONT>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>The foregoing guidance represents the views of management as of May 6, 2009 and should not be assumed to be accurate as of any other date. U.S. Cellular undertakes no legal duty to update such information, whether as a result of new information, future events, or otherwise.</FONT></P>
<P align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Conference call information</FONT></B></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>U.S. Cellular will hold a conference call on May 6, 2009 at 10:00 a.m. Chicago time.</FONT></P>
<DIV align=center>
<TABLE style="WIDTH: 1110px; HEIGHT: 26px" cellSpacing=0 border=0>
<TR vAlign=bottom>
     <TD align=left width="2%"><FONT face="SymbolMT,Times New Roman,Times,serif" size=2><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT></FONT></TD>
     <TD align=left width="98%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Access the live call online on the Conference Calls page of www.uscellular.com or at http://phx.corporate-<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>ir.net/phoenix.zhtml?p=irol-eventDetails&amp;c=67422&amp;eventID=2189425</FONT>&nbsp;</FONT></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face=Wingdings-Regular,WingDings size=2>&#167;</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Access the call by phone at 800/706-9695 (US/Canada) and use conference ID #96977513.</FONT>&nbsp;</TD></TR></TABLE></DIV><BR>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Before the call, certain financial and statistical information to be discussed during the call will be posted to the Conference Calls page of www.uscellular.com, together with reconciliations to generally accepted accounting principles (GAAP) of any non-GAAP information to be disclosed. The call will be archived on the Conference Calls page of www.uscellular.com.</FONT></P>
<P align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>About U.S. Cellular</FONT></B></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>United States Cellular Corporation, the nation's fifth-largest, full-service wireless carrier, provides a comprehensive range of wireless products and services, excellent customer support, and a high-quality network to nearly 6.2 million customers in 26 states. The Chicago-based company employed approximately 8,800 full-time equivalent associates as of March 31, 2009. For more information about U.S. Cellular, visit www.uscellular.com.</FONT></P>
<P align=left><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Safe Harbor Statement Under the Private Securities Litigation Reform Act of 1995: </FONT></I><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>All information set forth in this news release, except historical and factual information, represents forward-looking statements. This includes all statements about the company&#146;s plans, beliefs, estimates, and expectations. These statements are based on current estimates, projections, and assumptions, which involve certain risks and uncertainties that could cause actual results to differ materially from those in the forward-looking statements. Important factors that may affect these forward-looking statements include, but are not limited to: The ability of the company to successfully <FONT face="Times New Roman" size=2>manage and </FONT>grow&nbsp;<FONT face="Times New Roman" size=2>its</FONT>&nbsp;markets; the current credit crisis affecting financial markets
, and its effects on the overall economy;&nbsp;<FONT face="Times New Roman" size=2>competition; the state and federal telecommunications regulatory environment;&nbsp;the value of assets and investments; </FONT>adverse changes in the ratings afforded&nbsp;<FONT face="Times New Roman" size=2>the company's</FONT>&nbsp;debt securities by accredited ratings organizations; industry consolidation; advances in telecommunications technology; uncertainty of access to the capital markets; pending and future litigation; changes in income tax rates, laws, regulations or rulings; acquisitions/divestitures of properties and/or licenses;&nbsp;changes in customer growth rates, average monthly revenue per unit, churn rates, roaming revenue and terms, the availability of&nbsp;<FONT face="Times New Roman" size=2>handset devices,</FONT>&nbsp;<FONT face="Times New Roman" size=2>or</FONT> the mix of products and services offered by the company<FONT face="Times New Roman" size=2>; and the ability to obtain or maintain roaming arran
gements with other carriers</FONT>. Investors are encouraged to consider these and other risks and uncertainties that are discussed in the Form 8-K used by U.S. Cellular to furnish this press release to the SEC, which are incorporated by reference herein.</FONT></P>
<P align=center><FONT face="Times New Roman" size=2>2</FONT></P>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always">&nbsp;</DIV>
<A name="page_3"></A>
<TABLE style="WIDTH: 1110px; HEIGHT: 613px" cellSpacing=0 border=0>
<TR>
     <TD width="30%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="8%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="8%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="8%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="8%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="8%"></TD>
     <TD width="2%"></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=21><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>UNITED STATES CELLULAR CORPORATION</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=21><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>SUMMARY OPERATING DATA</FONT></B></TD></TR>
<TR>
     <TD colSpan=21>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><B><FONT style="FONT-SIZE: 8pt" face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">Quarter Ended</FONT></B><FONT style="FONT-SIZE: 8pt">&nbsp;</FONT></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=center colSpan=3><B><FONT style="FONT-SIZE: 8pt" face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">3/31/2009</FONT></B></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=center colSpan=3><B><FONT style="FONT-SIZE: 8pt" face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">12/31/2008</FONT></B></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=center colSpan=3><B><FONT style="FONT-SIZE: 8pt" face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">9/30/2008</FONT></B></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=center colSpan=3><B><FONT style="FONT-SIZE: 8pt" face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">6/30/2008</FONT></B></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=center colSpan=3><B><FONT style="FONT-SIZE: 8pt" face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif">3/31/2008</FONT></B></TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Total Population:</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff colSpan=20></TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Consolidated markets </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1)</FONT></SUP>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>83,726,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>83,014,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>82,875,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>82,875,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>82,846,000</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Consolidated operating markets </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1)</FONT></SUP>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46,306,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46,009,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>45,493,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>45,493,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>45,262,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>All customers:</FONT>&nbsp;</TD>
     <TD align=left colSpan=20></TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="Times New Roman" size=2>Total at end of period</FONT></FONT></TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,243,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,196,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,176,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,194,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,175,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Gross additions</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>404,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>395,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>367,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>365,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>408,000</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net additions (losses)</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>47,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>20,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(18,000</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>16,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>73,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Market penetration at end of period:</FONT>&nbsp;</TD>
     <TD align=left colSpan=20></TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Consolidated markets </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2)</FONT></SUP>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7.5</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7.5</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7.5</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7.5</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7.5</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Consolidated operating markets </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2)</FONT></SUP>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>13.5</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>13.5</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>13.6</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>13.6</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>13.6</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Retail customers:</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff colSpan=20></TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="Times New Roman" size=2>Total at end of period</FONT></FONT></TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,770,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,707,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,674,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,677,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,640,000</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Gross additions</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>366,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>352,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>325,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>318,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>360,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net postpay additions</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>60,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>41,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>12,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>33,000</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>72,000</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net prepay additions</FONT><FONT size=2>&nbsp;(losses)</FONT></TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(8,000</FONT></TD>
     <TD style="TEXT-INDENT: 0px" vAlign=center align=left bgColor=#cceeff><FONT size=2>)&nbsp;</FONT></TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(15,000</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>13,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR height=10>
     <TD style="TEXT-INDENT: 0px" colSpan=21>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Cell sites in service</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,942</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,877</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,716</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,596</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,452</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>
<P><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Average monthly revenue per unit </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3)</FONT></SUP>&nbsp;</P>
</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52.54</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52.71</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>54.59</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>53.27</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52.24</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Retail service revenue per unit <SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3)</FONT></SUP>&nbsp;<SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(5)</FONT></SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=1><SUP>&nbsp;</SUP></FONT>&nbsp;</FONT></TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.78</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.43</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.97</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.53</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.18</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Inbound roaming revenue per unit </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3)</FONT></SUP>&nbsp;<SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(5)</FONT></SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=1><SUP>&nbsp;</SUP></FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3.21</FONT></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4.25</FONT></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5.03</FONT></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4.54</FONT></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3.95</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other revenue per&nbsp;unit&nbsp;<SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3)</FONT></SUP>&nbsp;<SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(5)</FONT></SUP></FONT></TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.55</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.03</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.59</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.20</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.11</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Postpay churn rate </FONT><SUP><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4)</FONT></SUP>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1.5</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1.6</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1.6</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1.4</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1.4</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom height=10>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Construction expenditures (000s)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>137,700</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>190,000</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>146,100</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>137,800</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>111,700</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR></TABLE>
<HR style="WIDTH: 25.16%; HEIGHT: 1px" align=left width="25.16%" color=#000000 SIZE=1>
<TABLE style="WIDTH: 1110px; HEIGHT: 70px" cellSpacing=0 border=0>
<TR vAlign=bottom>
     <TD vAlign=top align=left width="2%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1)</FONT></TD>
     <TD align=left width="2%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2></FONT></TD>
     <TD vAlign=top align=left width="96%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&#147;Total population of consolidated markets&#148; and &#147;Total population of consolidated operating markets&#148; are used only for the</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>purposes of calculating market penetration of consolidated markets and consolidated operating&nbsp;</FONT><FONT size=2>markets, respectively, which </FONT><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>is calculated by dividing customers by the total market population (without duplication of population in overlapping</FONT><FONT size=2>&nbsp;</FONT><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>markets<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>).</FONT></FONT></TD></TR>
<TR vAlign=bottom>
     <TD vAlign=top align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2)</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD vAlign=top align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Calculated by dividing the number of wireless customers at the end of the period by the total population of consolidated</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>markets and consolidated operating markets, respectively, as estimated by Claritas.</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD vAlign=top align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3)</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD vAlign=top align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Per unit revenue measurements are derived from Service Revenues as reported in Financial Highlights for each respective</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>quarter as follows:</FONT>&nbsp;</TD></TR></TABLE><BR>
<TABLE style="WIDTH: 1110px; HEIGHT: 263px" cellSpacing=0 border=0>
<TR vAlign=bottom>
     <TD align=left width="30%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Service Revenues (000s)</FONT>&nbsp;</TD>
     <TD align=right width="4%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right width="8%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>981,874</FONT>&nbsp;</TD>
     <TD align=right width="6%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right width="8%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>976,952</FONT>&nbsp;</TD>
     <TD align=right width="6%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right width="8%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,013,928</FONT>&nbsp;</TD>
     <TD align=right width="6%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right width="8%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>987,352</FONT>&nbsp;</TD>
     <TD align=right width="6%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right width="8%" bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>962,094</FONT>&nbsp;</TD>
     <TD align=right width="2%" bgColor=#cceeff></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Components:</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Retail service revenue (000s)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>874,098</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>860,503</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>872,397</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>862,392</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>850,470</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Inbound roaming revenue (000s)</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>60,057</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>78,768</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>93,472</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>84,201</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>72,755</FONT>&nbsp;</TD>
     <TD align=right></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other revenue (000s)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>47,719</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>37,681</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>48,059</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>40,759</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>38,869</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD></TR>
<TR>
     <TD colSpan=11>&nbsp;</TD>
     <TD></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Divided by average customers (000s)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,229</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,178</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,191</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,178</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,139</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Divided by three months in each quarter</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3</FONT>&nbsp;</TD>
     <TD align=right></TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=11>&nbsp;</TD>
     <TD bgColor=#cceeff></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Average monthly revenue per unit</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52.54</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52.71</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>54.59</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>53.27</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52.24</FONT>&nbsp;</TD>
     <TD align=right></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Retail service revenue per unit</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.78</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.43</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.97</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.53</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>46.18</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Inbound roaming revenue per unit</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3.21</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4.25</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5.03</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4.54</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3.95</FONT>&nbsp;</TD>
     <TD align=right></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other revenue per unit</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.55</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.03</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.59</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.20</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2.11</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD></TR></TABLE><BR>
<TABLE style="WIDTH: 1110px; HEIGHT: 38px" cellSpacing=0 border=0>
<TR vAlign=bottom>
     <TD vAlign=top align=left width="2%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4)</FONT></TD>
     <TD align=left width="2%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2></FONT></TD>
     <TD vAlign=top align=left width="96%"><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Postpay churn rate is calculated by dividing the total postpay customer disconnects during the quarter by the average postpay</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>customer base for the quarter.</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD vAlign=top align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(5)</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD vAlign=top align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Long-distance revenue was&nbsp;<FONT face="Times New Roman" size=2>reclassified</FONT> in the fourth quarter of 2008 from Long-distance/Other revenue to Retail service</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>revenue and Inbound roaming revenue. Previous quarters have been adjusted to reflect this change.</FONT>&nbsp;</TD></TR>
<TR height=20>
     <TD vAlign=top align=left></TD>
     <TD align=left></TD>
     <TD vAlign=top align=left></TD></TR>
<TR height=20>
     <TD vAlign=top align=center colSpan=3><FONT size=2>3</FONT></TD></TR></TABLE>
<P align=center></P>
<HR width="100%" color=#000000 SIZE=3>
<P></P>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_4"></A>
<TABLE style="WIDTH: 1110px; HEIGHT: 834px" cellSpacing=0 border=0>
<TR>
     <TD width="42%"></TD>
     <TD width="2%"></TD>
     <TD width="10%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="10%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="10%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="8%"></TD>
     <TD width="2%"></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=15><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>United States Cellular Corporation</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=15><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Consolidated Statement of Operations Highlights</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=15><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Three Months Ended March 31,</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=15><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Unaudited, dollars and shares in thousands, except per share amounts)</FONT></TD></TR>
<TR>
     <TD colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=center></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=6><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Increase (Decrease)</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2009</FONT></B></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2008</FONT></B></TD>
     <TD align=center></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Amount</FONT></B></TD>
     <TD align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Percent</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Operating revenues</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom height=5>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Service</FONT>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>981,874</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" align=left></TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>962,094</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" align=left></TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>19,780</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=left>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" align=right>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2</FONT></TD>
     <TD style="TEXT-INDENT: 0px" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Equipment sales</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>70,890</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>75,762</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4,872</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(6</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Total operating revenues</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,052,764</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,037,856</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>14,908</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Operating expenses</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>System operations (excluding Depreciation,</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>amortization and accretion <BR>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; reported below)</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>200,003</FONT></FONT></FONT></FONT></FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>191,016</FONT></FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>8,987</FONT></FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5</FONT></FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Cost of equipment sold</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>185,701</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>178,045</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7,656</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Selling, general and administrative</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>412,448</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>403,626</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>8,822</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Depreciation, amortization and accretion</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>137,651</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>142,530</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4,879</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Loss on asset disposals, net</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,191</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,673</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1,482</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(40</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Total operating expenses</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>937,994</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>918,890</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>19,104</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Operating income</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>114,770</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>118,966</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4,196</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Investment and other income (expense)</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Equity in earnings of unconsolidated entities</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>25,327</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>21,235</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4,092</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>19</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Interest and dividend income</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>477</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,905</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1,428</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(75</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Interest expense</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(19,022</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(20,115</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,093</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other, net</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>280</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>118</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>162</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>N/M</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Total investment and other income</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(expense)</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7,062</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,143</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,919</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>N/M</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Income before income taxes</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>121,832</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>122,109</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(277</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2></FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>---</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Income tax expense</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>31,232</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>47,540</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(16,308</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(34</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Net income</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>90,600</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>74,569</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>16,031</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>21</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Less: Net income attributable to noncontrolling</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>interests, net of tax</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(6,008</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(4,012</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1,996</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(50</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Net income attributable to U.S. Cellular</FONT></B>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>84,592</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>70,557</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>14,035</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>20</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Basic weighted average shares outstanding</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>87,196</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>87,571</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(375</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2></FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>---</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Basic earnings per share attributable to</FONT></B>&nbsp;&nbsp;<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>U.S. Cellular shareholders</FONT></B>&nbsp;</TD>
     <TD style="TEXT-INDENT: 0px; BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>0.97</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>0.81</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>0.16</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>20</FONT></TD>
     <TD align=left>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Diluted weighted average shares outstanding</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>87,446</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>88,064</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(618</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Diluted earnings per share attributable to</FONT></B>&nbsp;<B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>U.S. Cellular shareholders</FONT></B>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>0.97</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>0.80</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>0.17</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>21</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>%</FONT></TD></TR>
<TR>
     <TD colSpan=15>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD style="TEXT-INDENT: 0px" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>N/M - Percentage change not meaningful</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR height=20>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=left></TD>
     <TD align=left></TD></TR>
<TR height=20>
     <TD align=center colSpan=14><FONT size=2>4</FONT></TD>
     <TD align=left></TD></TR></TABLE>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_5"></A>
<TABLE style="WIDTH: 1110px; HEIGHT: 793px" cellSpacing=0 border=0>
<TR>
     <TD width="65%"></TD>
     <TD width="3%"></TD>
     <TD width="13%"></TD>
     <TD width="3%"></TD>
     <TD width="3%"></TD>
     <TD width="13%"></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=6><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>United State Cellular Corporation</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=6><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Consolidated Balance Sheet Highlights</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=6><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Unaudited, dollars in thousands)</FONT></TD></TR>
<TR>
     <TD colSpan=6>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=6><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>ASSETS</FONT></B></TD></TR>
<TR>
     <TD colSpan=6>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD align=center colSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>March 31,</FONT></B>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=center colSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>December 31,</FONT></B>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2009</FONT></B>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=2><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2008</FONT></B>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Current assets</FONT></B>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Cash and cash equivalents</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>191,797</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>170,996</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accounts receivable from customers and other</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>414,383</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>419,619</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Inventory</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>108,051</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>116,564</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Prepaid income taxes</FONT>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2></FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>---</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>22,515</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Prepaid expenses</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>57,766</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>51,645</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net deferred income tax asset</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>19,481</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>19,481</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other current assets</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>8,283</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>14,227</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>799,761</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>815,047</FONT>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=6>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Investments</FONT></B>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Licenses</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,445,665</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,433,415</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Goodwill</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>494,737</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>494,279</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Customer lists</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7,656</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>8,936</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Investments in unconsolidated entities</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>175,571</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>156,637</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Notes and interest receivable &#150; long-term</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4,265</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>4,297</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,127,894</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,097,564</FONT>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=6>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Property, plant and equipment</FONT></B>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>In service and under construction</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,527,778</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,884,383</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Less: accumulated depreciation</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,904,973</FONT>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,264,007</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,622,805</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,620,376</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=6>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Other assets and deferred&nbsp;<FONT face="Times New Roman" size=2>charges</FONT></FONT></B>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>69,495</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>33,055</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=6>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Total assets</FONT></B>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,619,955</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,566,042</FONT>&nbsp;</TD></TR>
<TR height=20>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=right></TD>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=right></TD></TR>
<TR height=20>
     <TD align=center colSpan=6><FONT size=2>5</FONT></TD></TR></TABLE>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_6"></A>
<TABLE style="WIDTH: 1110px; HEIGHT: 1023px" cellSpacing=0 border=0>
<TR>
     <TD width="66%"></TD>
     <TD width="2%"></TD>
     <TD width="13%"></TD>
     <TD width="1%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="13%"></TD>
     <TD width="1%"></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>United States Cellular Corporation</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Consolidated Balance Sheet Highlights</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Unaudited, dollars in thousands)</FONT></TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>LIABILITIES AND SHAREHOLDERS' EQUITY</FONT></B></TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>March 31,</FONT></B></TD>
     <TD align=left></TD>
     <TD align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>December 31,</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2009</FONT></B></TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2008</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Current liabilities</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Current portion of long-term debt</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>10,086</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>10,258</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accounts payable</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Affiliated</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7,255</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>9,613</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Trade</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>218,031</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>248,785</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Customer deposits and deferred revenues</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>149,690</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>151,082</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accrued taxes</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>34,729</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>17,643</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accrued compensation</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>43,202</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>55,969</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other current liabilities</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>106,858</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>108,533</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>569,851</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>601,883</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Deferred liabilities and credits</FONT></B>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net deferred income tax liability</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>481,196</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>478,106</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other deferred liabilities and credits</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>236,478</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>233,619</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>717,674</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>711,725</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Long-term debt</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>997,534</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>996,636</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Commitments and contingencies</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Noncontrolling interests with redemption features</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>612</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>589</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR>
     <TD bgColor=#cceeff colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Equity</FONT></B>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>U.S. Cellular&nbsp;shareholders' equity</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Common Shares, par value $1 per share</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>55,068</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>55,068</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Series A Common Shares, par value $1 per share</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>33,006</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>33,006</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Additional paid-in capital</FONT>&nbsp;</TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,343,599</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,340,146</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Treasury shares</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(61,835</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(50,258</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Retained earnings</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,911,995</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=left></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,828,680</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Total&nbsp;U.S. Cellular&nbsp;shareholders' equity</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,281,833</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,206,642</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Noncontrolling interests</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>52,451</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>48,567</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Total equity</FONT>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,334,284</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,255,209</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Total liabilities and equity</FONT></B>&nbsp;</TD>
     <TD style="BORDER-TOP: #000000 1pt solid; BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-TOP: #000000 1pt solid; BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,619,955</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff></TD>
     <TD style="BORDER-TOP: #000000 1pt solid; BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-TOP: #000000 1pt solid; BORDER-BOTTOM: #000000 2pt double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,566,042</FONT></TD>
     <TD style="BORDER-TOP: #000000 1pt solid; BORDER-BOTTOM: #000000 2pt double" align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR height=20>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=right></TD>
     <TD align=left></TD>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=right></TD>
     <TD align=left></TD></TR>
<TR height=20>
     <TD align=center colSpan=8><FONT size=2>6</FONT></TD></TR></TABLE>
<HR width="100%" color=#000000 SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_7"></A>
<TABLE style="WIDTH: 1110px; HEIGHT: 1064px" cellSpacing=0 border=0>
<TR>
     <TD width="68%"></TD>
     <TD width="2%"></TD>
     <TD width="12%"></TD>
     <TD width="1%"></TD>
     <TD width="2%"></TD>
     <TD width="2%"></TD>
     <TD width="12%"></TD>
     <TD width="1%"></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>United States Cellular Corporation</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Consolidated Statement of Cash Flows</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Three Months Ended March 31,</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=center colSpan=8><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(Unaudited, dollars in thousands)</FONT></TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2009</FONT></B></TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=center colSpan=3><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>2008</FONT></B></TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Cash flows from operating activities</FONT></B>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Net income</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>90,600</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>74,569</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Add (deduct) adjustments to reconcile net income to net</FONT>&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>cash flows from operating activities</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Depreciation, amortization and accretion</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>137,651</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>142,530</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Bad debts expense</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>18,704</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>17,962</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Stock-based compensation expense</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,964</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,773</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Deferred income taxes, net</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>1,673</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>15,926</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Equity in earnings of unconsolidated entities</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(25,327</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(21,235</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Distributions from unconsolidated entities</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>5,908</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,933</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Loss on asset disposals, net</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>2,191</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3,673</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Excess tax benefit from stock awards</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(764</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other noncash expense</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>443</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>443</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Changes in assets and liabilities from operations</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accounts receivable</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(13,468</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(8,615</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Inventory</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>7,204</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(13,697</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accounts payable - trade</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(30,754</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2,418</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accounts payable - affiliate</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2,358</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(117</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Customer deposits and deferred revenues</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(1,392</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,515</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accrued taxes</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>39,591</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>32,949</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Accrued interest</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>9,337</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>9,337</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other assets and liabilities</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(57,402</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(35,967</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>185,562</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>229,797</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Cash flows from investing activities</FONT></B>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Additions to property, plant and equipment</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(137,741</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(111,690</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Cash received from divestitures</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2></FONT></TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>---</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>6,838</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Cash paid for acquisitions and licenses</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(12,127</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(102,000</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other investing activities</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>240</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>239</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(149,628</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(206,613</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Cash flows from financing activities</FONT></B>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Common shares reissued for benefit plans, net of tax payments</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>356</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2,526</FONT></TD>
     <TD align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Common shares repurchased</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(13,291</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(6,201</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Excess tax benefit from stock awards</FONT>&nbsp;</TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>3</FONT></TD>
     <TD align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD align=right>&nbsp;</TD>
     <TD align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>764</FONT></TD>
     <TD align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Distributions to noncontrolling interests</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(2,101</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(3,231</FONT></TD>
     <TD align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Other financing activities</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(100</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(48</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(15,133</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>(11,242</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>)</FONT>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Net increase (decrease) in cash and cash equivalents</FONT></B>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>20,801</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>11,942</FONT></TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR>
     <TD colSpan=8>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Cash and cash equivalents</FONT></B>&nbsp;</TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD align=right bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>Beginning of period</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>170,996</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD>
     <TD align=right></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=right><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>204,533</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1px solid" align=left>&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD align=left bgColor=#cceeff>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>End of period</FONT>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>191,797</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=left bgColor=#cceeff>&nbsp;</TD>
     <TD align=right bgColor=#cceeff></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>$</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=right bgColor=#cceeff><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>216,475</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 3px double" align=left bgColor=#cceeff>&nbsp;</TD></TR>
<TR height=20>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=right></TD>
     <TD align=left></TD>
     <TD align=right></TD>
     <TD align=right></TD>
     <TD align=right></TD>
     <TD align=left></TD></TR>
<TR height=20>
     <TD align=center colSpan=8><FONT size=2>7</FONT></TD></TR></TABLE>
<HR width="100%" color=#000000 SIZE=3>
</BODY>

</HTML>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99
<SEQUENCE>3
<FILENAME>uscellularq109_exhibit992.htm
<DESCRIPTION>EX-99.2
<TEXT>

<HTML>
<HEAD>
   <TITLE>uscellularq109_exhibit992.htm - United States Cellular Corporation</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">

<P align=right><B><FONT face="TimesNewRomanPS-BoldMT,Times New Roman,Times,serif" size=2>Exhibit 99.2</FONT></B></P>
<P align=center><B><I><FONT face="TimesNewRomanPS-BoldItalicMT,Times New Roman,Times,serif" size=2>PRIVATE SECURITIES LITIGATION REFORM ACT OF 1995 <BR>
</FONT></I></B><B><I><FONT face="TimesNewRomanPS-BoldItalicMT,Times New Roman,Times,serif" size=2>SAFE HARBOR CAUTIONARY STATEMENT</FONT></I></B></P>
<P align=left><FONT face="TimesNewRomanPSMT,Times New Roman,Times,serif" size=2>This Form 8-K and/or press release attached to this Form 8-K contain statements that are not based on historical fact<FONT face="Times New Roman" size=2>s</FONT> and represent forward-looking statements, as this term is defined in the Private Securities Litigation Reform Act of 1995. All statements, other than statements of historical facts, that address activities, events or developments that U.S. Cellular intends, expects, projects, believes, estimates, plans or anticipates will or may occur in the future are forward-looking statements. The words &#147;believes,&#148; &#147;anticipates,&#148; &#147;estimates,&#148; &#147;expects,&#148; &#147;plans,&#148; &#147;intends,&#148; &#147;projects&#148; and similar expressions are intended to identify these forward-looking statements, but are not the exclusive means of identifying them. Such forward-looking statements involve known and unknown risks, uncertainties and other factors tha
t may cause actual results, events or developments to be significantly different from any future results, events or developments expressed or implied by such forward-looking statements. Such risks, uncertainties and other factors include those set forth below, as more fully discussed under &#147;Risk Factors&#148; in the most recent filing of U.S. Cellular&#146;s Form 10-K, as updated by any U.S. Cellular Form 10-Q filed subsequent to such Form 10-K. However, such factors are not necessarily all of the important factors that could cause actual results, performance or achievements to differ materially from those expressed in, or implied by, the forward-looking statements contained in this document. Other unknown or unpredictable factors also could have material adverse effects on future results, performance or achievements. U.S. Cellular undertakes no obligation to update publicly any forward-looking statements whether as a result of new information, future events or otherwise. You should carefully consider t
he Risk Factors in the most recent filing of U.S. Cellular&#146;s Form 10-K, as updated by any U.S. Cellular Form 10-Q filed subsequent to such Form 10-K, the following factors and other information contained in, or incorporated by reference into, this Form 8-K and/or press release attached to this Form 8-K to understand the material risks relating to U.S. Cellular&#146;s business.</FONT></P>
<TABLE style="WIDTH: 1110px; HEIGHT: 419px" cellSpacing=0 border=0>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Intense competition in the markets in which U.S. Cellular operates could adversely affect U.S. Cellular's revenues or</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>increase</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>its costs to compete.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>A failure by U.S. Cellular&#146;s service offerings to meet customer expectations could limit U.S. Cellular&#146;s ability to attract and</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>retain</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>customers and could have an adverse effect on U.S. Cellular&#146;s operations.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular&#146;s system infrastructure may not be capable of supporting changes in technologies and services expected by</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>customers,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>which could result in lost customers and revenues.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>An inability to obtain or maintain roaming arrangements with other carriers on terms that are acceptable to U.S. Cellular</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>could</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>have an adverse effect on U.S. Cellular&#146;s business, financial condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular currently receives a significant amount of roaming revenues. As a result of recent acquisitions by other</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>companies</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>in the wireless industry, U.S. Cellular's roaming revenues have declined. U.S. Cellular anticipates that this trend</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>will</FONT></I>&nbsp;<I><FONT size=2>increase</FONT></I><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2> <FONT face="Times New Roman" size=2>over the next several quarters</FONT>. Further industry consolidation and</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>continued</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Tim
es,serif" size=2>build outs by existing and new wireless carriers could cause roaming revenues to decline even more, which would</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>have</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>an adverse effect on U.S. Cellular's business, financial condition and results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>A failure by U.S. Cellular to obtain access to adequate radio spectrum could have an adverse effect on U.S. Cellular&#146;s</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>business</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>and operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>To the extent conducted by the FCC, U.S. Cellular is likely to participate in FCC auctions of additional spectrum in the</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>future</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>as an applicant or as a non-controlling partner in another auction applicant and, during certain periods, will be</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>subject</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>to the FCC&#146;s anti-collusion rules, which could have an adverse effect on U.S. Cellular.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>An inability to attract and/or retain management, technical, sales and other personnel could have an adverse effect on</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>S. Cellular&#146;s business, financial condition or results of operations.</FONT></I></FONT></I></TD></TR></TABLE>
<HR align=center width="100%" color=#000000 noShade SIZE=2>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_2"></A>
<TABLE cellSpacing=0 border=0>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular&#146;s assets are concentrated in the U.S. wireless telecommunications industry. As a result, its results of operations</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>may <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>fluctuate based on factors related entirely to conditions in this industry.</FONT></I> </FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>The completion of acquisitions has led to increased consolidation in the wireless telecommunications industry. U.S.</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Cellular's</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>lower scale relative to larger wireless carriers has in the past and could in the future prevent or delay its access to</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>new</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>products including handsets, new technology and/or new content and applications which could adversely affect U.S.</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Cellular's</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>ability to attract
 and retain customers and, as a result, could adversely affect its business, financial condition or</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>results <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>of operations.</FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Inability to manage its supply chain or inventory successfully could have an adverse effect on U.S. Cellular's business,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>financial</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in general economic and business conditions, both nationally and in the markets in which U.S. Cellular operates,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>could</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>have an adverse effect on U.S. Cellular&#146;s business, financial condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in various business factors could have an adverse effect on U.S. Cellular&#146;s business, financial condition or results</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>of</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Advances or changes in telecommunications technology, such as Voice over Internet Protocol ("VoIP"), High-Speed Packet</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Access,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>WiMAX or Long-Term Evolution ("LTE"), could render certain technologies used by U.S. Cellular obsolete, could</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>reduce</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular&#146;s revenues or could increase its costs of doing business.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in U.S. Cellular&#146;s enterprise value, changes in the market supply or demand for wireless licenses, adverse</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>developments <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>in the business or the industry in which U.S. Cellular is involved and/or other factors could require</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>S. Cellular to recognize impairments in the carrying value of its license costs, goodwill, customer lists and/or physical</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>assets.</FONT></I></FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Costs, integration problems or other factors associated with acquisitions/divestitures of properties or licenses and/or</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>expansion</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>of U.S. Cellular&#146;s business could have an adverse effect on U.S. Cellular&#146;s business, financial condition or results</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>of <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>operations.</FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>A significant portion of U.S. Cellular&#146;s revenues is derived from customers who buy services through independent agents</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>who</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>market U.S. Cellular&#146;s services on a commission basis. If U.S. Cellular&#146;s relationships with these agents are seriously</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>harmed,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>its revenues could be adversely affected.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular&#146;s investments in technologies which are unproven or for which success has not yet been demonstrated may not&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>produce</FONT></I></FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>the benefits that U.S. Cellular expects.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>A failure by U.S. Cellular to complete significant network construction and systems implementation activities as part of its</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>plans</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>to improve the quality, coverage, capabilities and capacity of its network and support systems could have an adverse</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>effect</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>on its operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Financial difficulties (including bankruptcy proceedings) of U.S. Cellular&#146;s key suppliers or vendors, termination or</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>impairment</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>of U.S. Cellular&#146;s relationships with such suppliers or vendors, or a failure by U.S. Cellular to manage its supply</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>chain</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>effectively could result in delays or termination of U.S. Cellular&#146;s receipt of required equipment or services, or could</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>result</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>
in excess quantities of required equipment or services, any of which could adversely affect U.S. Cellular&#146;s business,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>financial</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular has significant investments in entities that it does not control. Losses in the value of such investments could</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>have</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>an adverse effect on U.S. Cellular&#146;s financial condition or results of operations.</FONT></I></TD></TR></TABLE>
<HR align=center width="100%" color=#000000 noShade SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_3"></A>
<TABLE cellSpacing=0 border=0>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>A material disruption in U.S. Cellular&#146;s telecommunication networks or information technology, including breaches of network or information technology security, could have an adverse effect on U.S. Cellular&#146; business, financial condition or results of operations. </FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Wars, conflicts, hostilities and/or terrorist attacks or equipment failures, power outages, natural disasters or other events could have an adverse effect on U.S. Cellular&#146;s business, financial condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>The market price of U.S. Cellular&#146;s Common Shares is subject to fluctuations due to a variety of factors.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in interpretations of accounting requirements, changes in industry practice, identification of errors or changes in management assumptions could require amendments to or restatements of financial information or disclosures included in this or prior filings with the SEC.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Restatements of financial statements by U.S. Cellular and related matters, including resulting delays in filing periodic reports with the SEC, could have an adverse effect on U.S. Cellular&#146;s business, financial condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>The existence of material weaknesses in the effectiveness of internal control over financial reporting could result in inaccurate financial statements or other disclosures or failure to prevent fraud, which could have an adverse effect on U.S. <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Cellular&#146;s business, financial condition or results of operations.</FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in facts or circumstances, including new or additional information that affects the calculation of potential liabilities for contingent obligations under guarantees, indemnities or otherwise, could require U.S. Cellular to record charges in excess of amounts accrued in the financial statements, if any, which could have an adverse effect on U.S. Cellular&#146;s financial condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Early redemptions or repurchases of debt, issuances of debt, changes in operating leases, changes in purchase obligations or other factors or developments could cause the amounts reported under Contractual Obligations in U.S. Cellular's most recent Annual Report on Form 10-K, as updated by the Quarterly Reports on Form 10-Q, to be different from the amounts actually incurred.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>An increase in the amount of U.S. Cellular&#146;s debt in the future could subject U.S. Cellular to higher interest costs and restrictions on its financing, investing and operating activities and could decrease its net income and cash flows.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Recent market events and conditions, including disruption in credit and other financial markets and the deterioration of U.S. and global economic conditions, could, among other things, impede U.S. Cellular's access to or increase the cost of financing its operating and investment activities and/or result in reduced revenues and lower operating income and cash flows, which would have an adverse effect on U.S. Cellular's financial condition or results of operations.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Uncertainty of access to capital for telecommunications companies, deterioration in the capital markets, other changes in market conditions, changes in U.S. Cellular&#146;s credit ratings or other factors could limit or restrict the availability of financing on terms and prices acceptable to U.S. Cellular, which could require U.S. Cellular to reduce its construction, development or acquisition programs.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in the regulatory environment or a failure by U.S. Cellular to timely or fully comply with any applicable regulatory requirements could adversely affect U.S. Cellular&#146;s financial condition, results of operations or ability to do business.</FONT></I></TD></TR>
<TR height=5>
     <TD></TD>
     <TD vAlign=top colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in USF funding and/or intercarrier compensation could have a material adverse impact on U.S. Cellular&#146;s financial position or results of operations.</FONT></I> </TD></TR></TABLE>
<HR align=center width="100%" color=#000000 noShade SIZE=3>
<DIV style="PAGE-BREAK-BEFORE: always"></DIV>&nbsp;
<A name="page_4"></A>
<TABLE cellSpacing=0 border=0>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Changes in income tax rates, laws, regulations or rulings, or federal or state tax assessments could have an adverse effect on</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>S. Cellular&#146;s financial condition or results of operations.</FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Settlements, judgments, restraints on its current or future manner of doing business and/or legal costs resulting from pending</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>and <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>future litigation could have an adverse effect on U.S. Cellular&#146;s financial condition, results of operations or ability to do <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>business.</FONT></I></FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>The possible development of adverse precedent in litigation or conclusions in professional studies to the effect that radio</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>frequency <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>emissions from handsets, wireless data devices and/or cell sites cause harmful health consequences, including</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>cancer</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>or tumors, or may interfere with various electronic medical devices such as pacemakers, could have an adverse effect</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>on</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>U.S. Cellular&#146;s business
, financial condition or results of operations.</FONT></I></FONT></I></TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Claims of infringement of intellectual property and proprietary rights of others, primarily involving patent infringement</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>claims,</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>could prevent U.S. Cellular from using necessary technology to provide services or subject U.S. Cellular to expensive</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>intellectual</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>property litigation or monetary penalties, which could have an adverse effect on U.S. Cellular's business,</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>financial</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>condition o
r results of operations.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>There are potential conflicts of interests between TDS and U.S. Cellular.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Certain matters, such as control by TDS and provisions in the U.S. Cellular Restated Certificate of Incorporation, may serve</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>to</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>discourage or make more difficult a change in control of U.S. Cellular.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>A failure by U.S. Cellular to successfully execute its business strategy could have an adverse effect on U.S. Cellular&#146;s</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>business,</FONT></I>&nbsp;<I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>financial condition or results of operations.</FONT></I> </TD></TR>
<TR height=5>
     <TD width="5%"></TD>
     <TD vAlign=top width="95%" colSpan=2></TD></TR>
<TR>
     <TD vAlign=top noWrap width="5%">
<LI></LI></TD>
     <TD width="95%" colSpan=2><I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>Any of the foregoing events or other events could cause revenues, customer additions, operating income, capital expenditures</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>and/or <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>any other financial or statistical information to vary from U.S. Cellular&#146;s forward-looking estimates by a material</FONT></I> <I><FONT face="TimesNewRomanPS-ItalicMT,Times New Roman,Times,serif" size=2>amount.</FONT></I></FONT></I></TD></TR></TABLE>
<HR align=center width="100%" color=#000000 noShade SIZE=3>
</BODY>

</HTML>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>4
<FILENAME>uscellularq109_exhibit99x1x1.jpg
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 uscellularq109_exhibit99x1x1.jpg
M_]C_X``02D9)1@`!`0'_____``#_[@`.061O8F4`9``````!_]L`0P`0"PP.
M#`H0#@T.$A$0$Q@H&A@6%A@Q(R4=*#HS/3PY,S@W0$A<3D!$5T4W.%!M45=?
M8F=H9SY-<7EP9'A<96=C_]L`0P$1$A(8%1@O&AHO8T(X0F-C8V-C8V-C8V-C
M8V-C8V-C8V-C8V-C8V-C8V-C8V-C8V-C8V-C8V-C8V-C8V-C8V-C_\``$0@`
M0@%"`P$B``(1`0,1`?_$`!\```$%`0$!`0$!```````````!`@,$!08'"`D*
M"__$`+40``(!`P,"!`,%!00$```!?0$"`P`$$042(3%!!A-180<B<10R@9&A
M""-"L<$54M'P)#-B<H()"A87&!D:)28G*"DJ-#4V-S@Y.D-$149'2$E*4U15
M5E=865IC9&5F9VAI:G-T=79W>'EZ@X2%AH>(B8J2DY25EI>8F9JBHZ2EIJ>H
MJ:JRL[2UMK>XN;K"P\3%QL?(R<K2T]35UM?8V=KAXN/DY>;GZ.GJ\?+S]/7V
M]_CY^O_$`!\!``,!`0$!`0$!`0$````````!`@,$!08'"`D*"__$`+41``(!
M`@0$`P0'!00$``$"=P`!`@,1!`4A,08205$'87$3(C*!"!1"D:&QP0DC,U+P
M%6)RT0H6)#3A)?$7&!D:)B<H*2HU-C<X.3I#1$5&1TA)2E-455976%E:8V1E
M9F=H:6IS='5V=WAY>H*#A(6&AXB)BI*3E)66EYB9FJ*CI*6FIZBIJK*SM+6V
MM[BYNL+#Q,7&Q\C)RM+3U-76U]C9VN+CY.7FY^CIZO+S]/7V]_CY^O_:``P#
M`0`"$0,1`#\`]`HHHH`****`"BBB@`HI**`"D=U1"[L%51DDG``J&]O(+&V>
M>X<(BCOW]AZFJ5L+O4E$MVIM[<G*V_\`$X_V_P#XD?CFG;2XKFC#-%.@>&19
M$/1E.0:DJ*"&*WC$<,:QH.BJ,"I*0Q:*2B@!:*2B@!:*2EH`**2B@!:***`"
MBDHH`6BDHH`6BDHH`6BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`
M****`"DI:*`*%]975R3Y&H26ZGLJ`_KUK+?2]0MU9Y+N.XC4$L99YH^/7AB*
MZ.N?\8W)CTM;=7V&XD"$GLHY/X=*N+;=B)))7,ZU>'4W@N9[*X%E$3P&#1EN
M[LS$'`'\OK5F:_T<SBWL;5[N<_=$3E1GZD_RS4.FV<NN+&)0T.E086*)>#+C
MN?RZ_EZUT4NEV4T`A>UB\L#``7&WZ$=/PJI-)V)2;1B#3=6N#N0)9(?X?M<S
MLOY-BM33=/O+0YN-2DN1C[K(`/SY/ZTU+6\T[FVF:YMQR89CEQ_NN?Y'\Q5V
MRO;>^A\VVD$B`X)'8_Y-0Y="E'J9OB.\N=.M$GMYB"T@3:5!'0GT]JM:-+-=
M:?#<S2L[2IDC``'TP*I^+8))]*7RD+^7*'8`9.,$9_6F^']3LDT>"*6YBC>)
M=K*[!>Y]:RO[QO:\-"?S;D:\++[3)Y1M_.SM7.=V,=.E0W^L&'6!8O+]FA$>
MYIBN22>@&>`/<CM4;7UN-;;43)BSCMO),V#M+ELX'KQ2W%UIU]>RVNHI&$7:
M8)6RN]2H/WOJ:+A;75%E)KDSP/9WB7MNS[9<[24'J"N*UNU<A=:9%:7ENVC7
M+R3&0;D5MVU>N21T'U]:Z6SO;74(F:VE$B`[6(!&#^-.+[BDNJ,BWUV;5=7-
MGIQ1+=`6>9ER2`<?*.G4]ZTYK>]6-FMKTM+U`F12I]OE`-<WHUJWAW6Y$O/E
MMI$*).?NGD$9/:NFNM4LK2'S)KF,`_=`.2WT`ZUM)6:Y3"+NM1(+[RM.AGU)
MH[:1E&\,=H#>@S4AO[43I"TRI+)]Q'^4M],]:Y#76N[I].U&>%T@V@L`I_=G
M<2<^G&/RK8U&WTO4A"\MZ]Q(@/E)#(N\YQT`'L.O3VHY4',]D,.IWD7BN+33
M,7@;KN49^X3U`]:;%JMZOBW^S'FWVX)'S*,G]WNZ@>M4IIX5\<02><A10`7+
M#'W".33!<0_\)]YWFIY6[[^X;?\`4^M7RKMT)YG^)U::E:/=?95G7[1_SS/#
M=,]/I1)J5I'<K;23JDS$!4;@G)P*Y9V%GX\\ZX(CB<Y5V.`08\=?KQ4>L7,,
MOB^SF213$#%\^?E.'.3GT_PJ?9W?R&YV1HW6J7MMXI@L!.6MW9<AE7/.>,@5
MO&^MA<FV\T-,HR8U^9@/<#IU%<EJ5Q"WC.VF65&C!CRX88'7O4]MJ._Q'=)<
M/!8+AL2A5#2`$`?,WJ.?PH<+I>@*5F_4Z6#4;2XE>*&=6ECSN3^(8Z\=:C&K
M6)G:$7*>:IP4YSGTQZURFFS1V_C"62639$^_:\IQN!`P<GUQFG:6\#>-)Y&=
M"A>0HQ(P2>!C\Z/9_D'._P`3K[2]MKZ,R6LRRH#@E3T-3U5L$LHT9;%8E7.6
M$8`Y]\5;K)FB"BBB@84444`%%%%`!1110`4444`%%%%`!1110`4444`%9>L:
M+'JTML9I&5(6)90/O@XXSVZ5J44TVG=":OHQD<:Q1JB*%11@`=`*?112&)2*
MJJ,*`![4ZB@!*888B<F-"?7;4E%`#2BE=I4$>A%#(K##*"/<4ZB@!JHJC"J`
M/84*BK]T`?2G44`(0",$9%,6&-#E8U4^PQ4E%`"8%-6-$^XBKGT&*?10`W8G
M]T?E1L7^Z/RIU%`#&C1_O*K8]12[5]!3J*`&[%_NC\J#&A()4$CID=*=10`A
M4'J!2;1Z"G44`)C%+110`4444`%%%%`!1110`4444`%%%%`!1110`4444`%%
M%%`!1110`4444`%%%%`!13)/,V_N]N[_`&CQ46;OTA_,T`6**K_Z5Z0_F:/]
M+_Z8_K3%<L457_TO_IC^M'^E_P#3']:`N6**K_Z7ZP_D:/\`2_6#\C18+EBB
MJ^+O^]#_`-\G_&C%U_?A_P"^#_C0%RQ15?%U_?A_[X/^-&+K_GI#_P!\'_&@
M+EBBJ^+K_GI#_P!^S_C1BZ_YZ0_]^S_C0%RQ15?;=_\`/2'_`+]G_&C;=_\`
M/6'_`+]G_P"*H"Y8HJOMN_\`GK#_`-^S_P#%4;;O_GI#_P!^S_\`%4@N6**K
M[;O_`)ZP_P#?H_\`Q5&V[_YZP_\`?H__`!5`7+%%5]MW_P`]H?\`OT?_`(JC
M;=?\]H?^_1_^*H`L45!MNO\`GM#_`-^C_P#%4;;K_GM#_P!^C_\`%4#)Z*K[
M;K_GM#_WZ/\`\51MN_\`GM#_`-^C_P#%4"+%%5]MW_SVA_[\G_XJC;=_\]H?
M^_)_^*IA<L457VW?_/:'_OR?_BJ*`N6****0PHHHH`****`"BBB@`HHHH`**
M**`$HHHH`6BBB@!****`%HHHH`****`"BBB@`HHHH`****`"BBB@`I***`"B
6BB@!:***`$HHHH`6DHHH`6BBB@#_V3\_
`
end
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
-----END PRIVACY-ENHANCED MESSAGE-----
