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<SEC-DOCUMENT>0000105418-02-000032.txt : 20021104
<SEC-HEADER>0000105418-02-000032.hdr.sgml : 20021104
<ACCEPTANCE-DATETIME>20021104142916
ACCESSION NUMBER:		0000105418-02-000032
CONFORMED SUBMISSION TYPE:	10-Q
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20020928
FILED AS OF DATE:		20021104

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			WEIS MARKETS INC
		CENTRAL INDEX KEY:			0000105418
		STANDARD INDUSTRIAL CLASSIFICATION:	RETAIL-GROCERY STORES [5411]
		IRS NUMBER:				240755415
		STATE OF INCORPORATION:			PA
		FISCAL YEAR END:			1226

	FILING VALUES:
		FORM TYPE:		10-Q
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-05039
		FILM NUMBER:		02808035

	BUSINESS ADDRESS:	
		STREET 1:		1000 S SECOND ST
		STREET 2:		PO BOX 471
		CITY:			SUNBURY
		STATE:			PA
		ZIP:			17801
		BUSINESS PHONE:		570-286-4571

	MAIL ADDRESS:	
		STREET 1:		1000 S SECOND ST
		STREET 2:		PO BOX 471
		CITY:			SUNBURY
		STATE:			PA
		ZIP:			17801
</SEC-HEADER>
<DOCUMENT>
<TYPE>10-Q
<SEQUENCE>1
<FILENAME>wmk10q032002.htm
<DESCRIPTION>WEIS MARKETS, INC THIRD QUARTER 2002 10 Q
<TEXT>
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<A HREF="#000">Table of Contents</A><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B><A NAME="0">FORM 10-Q</A><BR CLEAR="LEFT">
SECURITIES AND EXCHANGE COMMISSION<BR CLEAR="LEFT">
WASHINGTON, D.C.  20549</B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3">Quarterly Report Under Section 13 or 15(d)<BR CLEAR="LEFT">
of the Securities Exchange Act of 1934</FONT>
<P><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>(Mark One)</B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3">[X] Quarterly Report Pursuant to Section 13 or 15(d) of the Securities<BR CLEAR="LEFT">
 Exchange Act of 1934 for the quarterly period ended September 28, 2002.</FONT><BR CLEAR="LEFT">
<FONT SIZE="3">Or</FONT><BR CLEAR="LEFT">
<FONT SIZE="3">[ ] Transition Report Pursuant to Section 13 or 15(d) of the Securities<BR CLEAR="LEFT">
 Exchange Act of 1934 for the transition period from ______to______.</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">Commission File Number	&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;<U>1-5039</U></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"></FONT><FONT SIZE="5"><B><U>WEIS MARKETS, INC</B>.</U></FONT><FONT SIZE="3"><BR CLEAR="LEFT">
(Exact name of registrant as specified in its charter)</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<U>&nbsp;PENNSYLVANIA</U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<U>24-0755415</U><BR CLEAR="LEFT">
&nbsp;&nbsp;(State or other jurisdiction of incorporation or organization)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(I.R.S. Employer Identification No.)</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;1000 S. Second Street<BR CLEAR="LEFT">
&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; P. O. Box 471<BR CLEAR="LEFT">
 &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<U>Sunbury, Pennsylvania</U> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<U>17801-047</U>1<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(Address of principal executive offices)&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;(Zip Code)</FONT>
<P><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><U>(570) 286-4571</U><BR CLEAR="LEFT">
(Registrant's telephone number, including area code)</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><U>Not Applicable</U><BR CLEAR="LEFT">
(Former name, former address and former fiscal year, if changed since last report.)</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">Indicate by check mark whether the registrant (1)  has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports) and (2)  has been subject to such filing requirements for the past 90 days.</FONT>
<P><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3">Yes<U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;X&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;No<U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">Indicate the number of shares outstanding of each of the issuer's classes of common stock, as of the latest practicable date.</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">Common Stock, No Par Value&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;<U>27,203,362 shares</U><BR CLEAR="LEFT">
&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;(Outstanding at end of period)</FONT>
<P><FONT SIZE="3">&nbsp;</FONT>
<P><FONT SIZE="3">&nbsp;</FONT>
<P><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B><U><A NAME="000">TABLE OF CONTENTS</U></B></A></FONT>

<UL><FONT SIZE="3"></FONT></UL>
<CENTER>
<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD COLSPAN="9" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><A HREF="#0">FORM 10-Q</A></TD></TR>

	<TR>
		<TD COLSPAN="9" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><A HREF="#00">INDEX</A></TD></TR>

	<TR>
		<TD COLSPAN="9" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#001">PART I  FINANCIAL INFORMATION</A></FONT></TD></TR>

	<TR>
		<TD WIDTH="15" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#002">CONSOLIDATED BALANCE SHEETS</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="15" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="7" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#003">CONSOLIDATED STATEMENTS OF INCOME</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="7" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#004">CONSOLIDATED STATEMENTS OF CASH FLOWS</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="7" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#005">Notes to the consolidated financial statements</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#006">Item 2. Managements Discussion and Analysis of Financial Condition and Results of Operations</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#007">Item3. Quantitative and Qualitative Disclosures About Market Risk</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#013">Item4. Controls and Procedures</A></FONT></TD></TR>

	<TR>
		<TD COLSPAN="9" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#008">PART II  OTHER INFORMATION</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#009">Item6(b). Reports on Form8-K</A></FONT></TD></TR>

	<TR>
		<TD COLSPAN="9" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF"><FONT SIZE="3"><A HREF="#010">Signatures</A></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF"><A HREF="#011">Certification - CEO</A></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="8" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF"><U><A HREF="#012">Certification - CFO</A></U></TD></TR>

	<TR>
		<TD COLSPAN="9" ALIGN="LEFT" VALIGN="MIDDLE" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE></CENTER>

<UL><FONT SIZE="3"></FONT></UL>

<P><FONT SIZE="3"></FONT><FONT SIZE="3"><B></B></FONT><A HREF="#000">Table of Contents<FONT SIZE="3"><B></A></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>WEIS MARKETS, INC.<BR CLEAR="LEFT">
<BR CLEAR="LEFT">
<A NAME="00">INDEX</A></B></FONT>
<P><FONT SIZE="3"><B></B></FONT>

<UL><FONT SIZE="3"></FONT><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="5">
	<TR>
		<TD COLSPAN="3" ALIGN="RIGHT" VALIGN="TOP" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="88" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>Page No.</U></FONT></TD></TR>

	<TR>
		<TD COLSPAN="4" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="4" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF"><FONT SIZE="3">Part I.   Financial Information</FONT></TD></TR>

	<TR>
		<TD WIDTH="64" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">  Item 1.</FONT></TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Consolidated  Balance Sheets  -  September 28, 2002  and December 29, 2001</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">2</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Consolidated Statements of Income  -  Nine Months Ended September 28, 2002 and September 29, 2001</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">3</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF"><FONT SIZE="3">Consolidated Statements of Cash Flows  -  Nine Months Ended September 28, 2002 and September 29, 2001</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">4</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Notes to Consolidated Financial Statements</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">5</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">  Item 2.</FONT></TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Management's Discussion and Analysis of Financial Condition and Results of Operations</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">7</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">  Item 3.</FONT></TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Quantitative and Qualitative Disclosures about Market Risk </FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">9</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">  Item 4.</FONT></TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">Controls and Procedures</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">9</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="3" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Part II.  Other Information</FONT><P><FONT SIZE="3"></FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">  Item 6.</FONT></TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Exhibits and Reports on Form 8-K</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">10</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Signatures</FONT></TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">10</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="3" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">Certification - CEO</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">11</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="69" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>		<TD>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="3" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">Certification - CFO</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">12</FONT></TD></TR>

	<TR>
		<TD COLSPAN="4" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE>

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<P ALIGN="CENTER"><FONT SIZE="3"><B>Page 1 of 12 (Form 10-Q)</B></FONT>
<P><FONT SIZE="3"><B>&nbsp;</B></FONT>
<P><FONT SIZE="3"></FONT><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents<FONT SIZE="3"></A></FONT>

<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="734" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B><A NAME="001">PART I - FINANCIAL INFORMATION</A></FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B>WEIS MARKETS, INC.</FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B><A NAME="002"></A>CONSOLIDATED BALANCE SHEETS</FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(unaudited)</FONT></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(dollars in thousands)</FONT></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="391" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="12" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="133" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>September 28, 2002</FONT></U></TD>
		<TD WIDTH="24" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="12" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="124" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>December 29, 2001</FONT></U></TD>
		<TD WIDTH="24" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>Assets</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Current:</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Cash</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">3,652</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">3,255</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Marketable securities</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">44,362</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">28,675</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Accounts receivable, net</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">31,952</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">26,530</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Inventories</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">163,002</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">169,952</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Prepaid expenses</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">3,873</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">8,294</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Income taxes recoverable</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"></U><FONT SIZE="3">3,395</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Deferred income taxes</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;  289</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>  &nbsp;&nbsp;&nbsp;&nbsp; &nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total current assets</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">247,130</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">240,101</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Property and equipment, net</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">426,892</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">439,977</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">Goodwill</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">15,731</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">15,731</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Other intangible assets, net</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;8,150</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;8,376</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;697,903</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;704,185</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>Liabilities</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Current:</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Accounts payable</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">93,167</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">98,382</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Accrued expenses</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">15,253</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">11,043</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Accrued self-insurance</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">20,572</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">15,040</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Payable to employee benefit plans</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">8,815</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">8,672</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Income taxes payable</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">2,168</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp; &nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Deferred income taxes</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>  &nbsp;&nbsp;&nbsp;&nbsp; &nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;4,633</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total current liabilities</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">139,975</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">137,770</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Deferred income taxes</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">14,987</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">16,051</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Long-term debt</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">        25,000</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>Shareholders' Equity</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Common stock, no par value,</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;100,800,000 shares authorized, 32,981,037 and</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;32,978,037 shares issued, respectively</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">7,656</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">7,630</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;Retained earnings</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">669,663</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">648,522</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Accumulated other comprehensive income</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;(Net of deferred taxes of $2,084 in 2002 and  $4,595 in 2001)</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;2,938</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;6,479</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">680,257</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">662,631</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;Treasury stock at cost, 5,777,675 and 5,774,830 shares, respectively</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;(137,316</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;(137,267</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total shareholders' equity</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;542,941</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;525,364</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;697,903</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;704,185</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="6" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="6" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">See accompanying notes to consolidated financial statements.</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="6" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B>Page 2 of 12 (Form 10-Q)</FONT></B></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>

<P><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents<FONT SIZE="3"></A></FONT>

<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="720" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B>WEIS MARKETS, INC.</FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B><A NAME="003">CONSOLIDATED STATEMENTS OF INCOME</A></FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(unaudited)</FONT></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(dollars in thousands except per share amounts)</FONT></TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="274" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="24" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="4" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="35" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="5" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="4" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="5" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="4" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Three Months Ended</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="5" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Nine Months Ended</FONT></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/28/2002</FONT></U></TD>
		<TD WIDTH="34" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD WIDTH="74" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/29/2001</FONT></U></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/28/2002</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/29/2001</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Net sales</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">495,891</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">493,401</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">1,492,179</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">1,468,011</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Cost of sales, including warehousing</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;and distribution expenses</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;363,820</FONT></U></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;363,021</FONT></U></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;1,096,707</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>1,083,154</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;Gross profit on sales</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">132,071</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">130,380</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">395,472</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">384,857</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Operating, general and administrative expenses</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;114,625</FONT></U></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;113,539</FONT></U></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;339,132</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;340,689</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;Income from operations</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">17,446</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">16,841</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">56,340</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">44,168</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Investment income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">211</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">373</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">661</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">9,774</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Other income and expense</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;6,120</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;2,308</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;11,902</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;6,682</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;Income before provision for income taxes</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">23,777</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">19,522</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">68,903</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">60,624</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Provision for income taxes</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;8,931</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;7,819</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;25,727</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;23,021</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;Net income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;14,846</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;11,703</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;43,176</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;37,603</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Weighted-average shares outstanding</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>27,204,263</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>27,205,892</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>27,203,873</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>33,997,192</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Cash dividends per share</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.27</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.27</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.81</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.81</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Basic and diluted earnings per share</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.55</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.43</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1.59</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;1.11</U></FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD COLSPAN="12" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">See accompanying notes to consolidated  financial statements.</FONT></TD></TR>

	<TR>
		<TD COLSPAN="12" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="733" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3">Page 3 of 12 (Form 10-Q)</FONT></B></TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents<FONT SIZE="3"></A><BR CLEAR="LEFT">
</FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="692" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B>WEIS MARKETS, INC.</FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><B><A NAME="004">CONSOLIDATED STATEMENTS OF CASH FLOWS</A></FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><B></B><FONT SIZE="3" FACE="Times New Roman">(unaudited)</FONT></B></TD></TR>

	<TR>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><B></B><FONT SIZE="3" FACE="Times New Roman">(dollars in thousands)</FONT></B></TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="467" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="4" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Nine Months Ended</FONT></TD>
		<TD WIDTH="24" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>Sept. 28, 2002</U></FONT></TD>
		<TD COLSPAN="2" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>Sept. 29, 2001</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Cash flows from operating activities:</FONT></TD>
		<TD WIDTH="12" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="86" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="24" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="86" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;Net income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">43,176</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">37,603</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Adjustments to reconcile net income to net cash provided by operating activities:</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;Depreciation</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">30,924</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">32,492</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;Amortization </FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">4,007</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">5,143</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;(Gain) loss on sale of fixed assets</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(2,548</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">1,477</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;Gain on sale of marketable securities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">---&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">(570</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;Changes in operating assets and liabilities:</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Decrease in inventories</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">6,950</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">11,959</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(Increase) decrease in accounts receivable and prepaid expenses</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(1,001</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">3,149</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Decrease in income taxes recoverable</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">3,395</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"></FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">961</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Increase in accounts payable and other liabilities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">4,670</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">9,410</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">      Increase in income taxes payable</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">2</FONT>,<FONT SIZE="3">168</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Decrease in deferred income taxes</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(3,475</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(1,360</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net cash provided by operating activities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">88,266</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">100,264</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Cash flows from investing activities:</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;Purchase of property and equipment</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(28,550</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(34,599</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Proceeds from the sale of property and equipment</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">9,778</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">55</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;Purchase of marketable securities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(21,754</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(299,064</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Proceeds from maturities of marketable securities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">15</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">558,771</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;Proceeds from the sale of marketable securities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">123,651</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Increase in intangible and other assets</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp;&nbsp;  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(300</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;   &nbsp;&nbsp;(19</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net cash provided by (used in) investing activities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(40,811</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">348,795</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Cash flows from financing activities:</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Proceeds from (payments of) long-term debt, net</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">(25,000</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">15,000</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;Proceeds from issuance of common stock</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">26</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">36</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Dividends paid</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">(22,035</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">(29,857</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;Purchase and cancellation of stock</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(434,317</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"> &nbsp;Purchase of treasury stock</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(49</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;    &nbsp;&nbsp;&nbsp;(289</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net cash used in financing activities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(47,058</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(449,427</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Net increase (decrease) in cash</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">397</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(368</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Cash at beginning of period</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;3,255</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;3,389</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Cash at end of period</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;3,652</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;3,021</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="5">
	<TR>
		<TD WIDTH="719" ALIGN="LEFT" VALIGN="TOP" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">See accompanying notes to consolidated financial statements.</FONT></TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="672" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><B></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3"></FONT><P><FONT SIZE="3">Page 4 of 12 (Form 10-Q)</FONT></B></TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>

<P><FONT SIZE="3"></FONT><FONT SIZE="3"><B></B></FONT><A HREF="#000">Table of Contents<FONT SIZE="3"><B></A></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>WEIS MARKETS, INC.<BR CLEAR="LEFT">
<A NAME="005">NOTES TO CONSOLIDATED FINANCIAL STATEMENTS</A><BR CLEAR="LEFT">
</B>(unaudited)<BR CLEAR="LEFT">
<B></B></FONT>
<P><FONT SIZE="3"><B></B>(1) Significant Accounting Policies<BR CLEAR="LEFT">
Basis of Presentation:  The accompanying unaudited consolidated financial statements have been prepared in accordance with accounting principles generally accepted in the United States for interim financial information and with the instructions for Form 10-Q and Article 10 of Regulation S-X.  In the opinion of management, all adjustments (consisting of normal recurring accruals) considered necessary for a fair presentation have been included.  The operating results for the periods presented are not necessarily indicative of the results to be expected for the full year.  For further information, refer to the consolidated financial statements and footnotes thereto included in the company's latest annual report on Form 10-K.<BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">Impact of Recently Issued Accounting Standards:  As of December 30, 2001, the company adopted Emerging Issues Task Force Issue Nos. 00-14, &quot;Accounting for Certain Sales Incentives;&quot; 00-22, &quot;Accounting for 'Points' and Certain Other Time-Based or Volume-Based Sales Incentives Offers, and Offers for Free Products or Services to Be Delivered in the Future;&quot; and 00-25, &quot;Vendor Income Statement Characterization of Consideration from a Vendor to a Retailer&quot; (EITF Issues).  These EITF Issues establish new rules for accounting for certain sales incentives, loyalty programs and vendor contracts; however, the adoption of these EITF Issues have not had an impact on the company's net income or shareholders' equity.  These EITF Issues require certain sales incentives, which prior to adoption were reported as expenses or costs of goods sold, to be classified as a reduction of revenue.  Prior year financial statements have been reclassified to conform to the requirements of t
hese EITF Issues.<BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">In June 2001, the Financial Accounting Standards Board issued Statements of Financial Accounting Standards No. 141, &quot;Business Combinations&quot; (Statement No. 141) and No. 142, &quot;Goodwill and Other Intangible Assets&quot; (Statement No. 142) effective for fiscal years beginning after December 15, 2001.  Under the new rules, goodwill and intangible assets deemed to have indefinite lives are no longer amortized but are subjected to annual impairment tests in accordance with the statements.  Other intangible assets continue to be amortized over their useful lives.<BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">The company applied Statement No. 142 in the first quarter of fiscal 2002.  Application of the statement is expected to result in an increase in pre-tax net income of approximately $1.6 million for fiscal 2002 due to the elimination of amortization of goodwill.  The company has performed the required impairment tests of goodwill and has determined that the company's goodwill is not impaired.<BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">(2) Goodwill and Other Intangible Assets - Adoption of Statement 142<BR CLEAR="LEFT">
The effect of goodwill on net income and earnings per share, for period ended September 28, 2002 and September 29, 2001, is as follows:<BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3"></FONT>
<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="277" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="14" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="3" ALIGN="CENTER" VALIGN="TOP"><FONT SIZE="3">Three Months Ended</FONT></TD>
		<TD WIDTH="8" ALIGN="CENTER" VALIGN="BOTTOM">&nbsp;</TD>
		<TD COLSPAN="3" ALIGN="CENTER" VALIGN="TOP"><FONT SIZE="3">Nine Months Ended</FONT></TD>		<TD>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">(dollars in thousands)</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>09/28/2002</U></FONT></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>09/29/2001</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman"><U>09/28/2002</U></FONT></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>09/29/2001</U></FONT></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Reported net income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">14,846</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">11,703</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">43,176</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">37,603</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Add: Goodwill amortization (net of tax)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;323</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;969</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Adjusted net income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;14,846</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;12,026</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;43,176</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;38,572</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE>
<FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT>
<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="277" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="14" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="3" ALIGN="CENTER" VALIGN="TOP"><FONT SIZE="3">Three Months Ended</FONT></TD>
		<TD WIDTH="8" ALIGN="CENTER" VALIGN="BOTTOM">&nbsp;</TD>
		<TD COLSPAN="3" ALIGN="CENTER" VALIGN="TOP"><FONT SIZE="3">Nine Months Ended</FONT></TD>		<TD>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/28/2002</U></FONT></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/29/2001</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><U>09/28/2002</U></FONT></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/29/2001</U></FONT></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Reported basic and diluted earnings per share</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">0.55</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">0.43</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">1.59</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">1.11</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Add: Goodwill amortization (net of tax)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.01</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.03</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Adjusted basic and diluted earnings per share</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.55</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.44</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;1.59</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;1.14</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

</TABLE>
<FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>Page 5 of 12 (Form 10-Q)</B></FONT>
<P><FONT SIZE="3"><B></B></FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents</A><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>WEIS MARKETS, INC.<BR CLEAR="LEFT">
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS<BR CLEAR="LEFT">
</B>(unaudited)<BR CLEAR="LEFT">
(continued)<BR CLEAR="LEFT">
<B></B></FONT>
<P><FONT SIZE="3"><B></B>(3) Comprehensive Income<BR CLEAR="LEFT">
The components of comprehensive income, net of related tax, for the period ended September 28, 2002 and September 29, 2001 are as follows:<BR CLEAR="LEFT">
</FONT>

<UL><FONT SIZE="3"></FONT><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="277" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="14" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD COLSPAN="3" ALIGN="CENTER" VALIGN="TOP"><FONT SIZE="3">Three Months Ended</FONT></TD>
		<TD WIDTH="8" ALIGN="CENTER" VALIGN="BOTTOM">&nbsp;</TD>
		<TD COLSPAN="3" ALIGN="CENTER" VALIGN="TOP"><FONT SIZE="3">Nine Months Ended</FONT></TD>		<TD>&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(dollars in thousands)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/28/2002</FONT></U></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><U></U>&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/29/2001</FONT></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><U></U>&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><U>09/28/2002</FONT></U></TD>
		<TD WIDTH="23" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><U></U>&nbsp;</TD>
		<TD WIDTH="72" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>09/29/2001</FONT></U></TD>
		<TD WIDTH="19" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Net income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">14,846</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">11,703</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">43,176</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">37,603</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Unrealized gains (losses) on marketable securities</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">(1,935</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">309</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">(3,541</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman">)</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">532</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Less: reclassification adjustment for gains<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;included in net income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;     </U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;---&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(332</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3" FACE="Times New Roman">)</FONT></TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Comprehensive income</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;12,911</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;12,012</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3" FACE="Times New Roman"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;39,635</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;37,803</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

</TABLE>

<UL><FONT SIZE="3"></FONT></UL>


<UL><FONT SIZE="3"></FONT></UL>

<P><FONT SIZE="3"></FONT>(<FONT SIZE="3">4) Property and Equipment<BR CLEAR="LEFT">
Property and equipment, as of September 28, 2002 and December 29, 2001, consisted of :</FONT>

<UL><FONT SIZE="3"></FONT><FONT SIZE="3"></FONT></UL>

<TABLE CELLSPACING="0" CELLPADDING="0">
	<TR>
		<TD WIDTH="310" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">(dollars in thousands)</FONT></TD>
		<TD WIDTH="75" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Useful Life<BR CLEAR="LEFT">
<U>(in years)</U></FONT></TD>
		<TD WIDTH="28" ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD WIDTH="76" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>2002</FONT></U></TD>
		<TD WIDTH="28" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><U></U>&nbsp;</TD>
		<TD WIDTH="76" ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>2001</FONT></U></TD>
		<TD WIDTH="21" ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Land</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">66,513</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">69,103</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Buildings and improvements</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">10-60</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">331,813</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">325,775</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">Equipment</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">3-12</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">470,985</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">475,472</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Leasehold improvements</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">5-20</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;98,344</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;9<U>9,692</U></U></FONT><U></U></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;Total, at cost</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">967,655</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">&nbsp;</FONT>&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">970,042</FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3">Less accumulated depreciation and amortization</FONT></TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;540,763</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;530,065</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#FFFFFF">&nbsp;</TD></TR>

	<TR>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="CENTER" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;426,892</U></FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3">$</FONT></TD>
		<TD ALIGN="RIGHT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF"><FONT SIZE="3"><U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;439,977</U></FONT></TD>
		<TD ALIGN="LEFT" VALIGN="BOTTOM" BGCOLOR="#EFEFEF">&nbsp;</TD></TR>

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<P ALIGN="CENTER"><FONT SIZE="3"><B>Page 6 of 12 (Form 10-Q)</B></FONT>

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<P><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents</A><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>WEIS MARKETS, INC.<BR CLEAR="LEFT">
</B><B><A NAME="006">ITEM 2. MANAGEMENT'S DISCUSSION AND ANALYSIS<BR CLEAR="LEFT">
OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS</B></A><BR CLEAR="LEFT">
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<P><FONT SIZE="3"><B>OPERATING RESULTS<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total sales for the third quarter ended September 28, 2002 increased .5% to $495.9 million as compared to sales of $493.4 million generated in the third quarter of 2001.  For the first three quarters of 2002, the company's sales increased 1.6% to $1.492 billion compared to the previous year's total of $1.468 billion.  Identical store sales increased .6% for the quarter and 1.5% year-to-date.  The company's third quarter sales results were affected by a softening economy; deflation in key categories, particularly beef, pork and poultry; and intensifying competition throughout its market.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Gross profit of $132.1 million at 26.6% of sales, increased $1.7 million or 1.3% versus the same quarter last year.  The increase in gross profit dollars was generated primarily from the higher sales volume, as the gross profit rate increased .2% compared to the third quarter of last year.  The year-to-date gross profit of $395.5 million at 26.5% of sales, increased $10.6 million or 2.8%, and increased as a percentage of sales by .3%.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The third quarter operating, general and administrative expenses of $114.6 million increased $1.1 million or 1.0% compared to the same quarter in 2001.  As a percentage of sales, third quarter operating expenses remained virtually unchanged at 23.1% of sales versus 23.0% of sales in 2001.  Year-to-date operating expenses of $339.1 million at 22.7% of sales compared to $340.7 million at 23.2% of sales in the first three quarters of last year.  On May 7, 2001, the company repurchased approximately 14.5 million shares of its common stock from the family of the late Sigfried Weis for $434.3 million in cash.  Due to this transaction, the company incurred $5.3 million in non-recurring expenses in the second quarter of last year.  Without this transaction, the 2001 year-to-date operating expenses as a percent of sales would equal 22.8%.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In the third quarter, the company's investment income totaled $211 thousand compared to $373 thousand a year ago.  Year-to-date, the company's investment income decreased $9.1 million or 93.2% to $661 thousand.  During the second quarter of 2001, the company sold the majority of its investment portfolio at a small gain in order to complete the all cash stock repurchase transaction.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Other income for the quarter of $6.1 million at 1.2% of sales increased $3.8 million compared to the same quarter last year.  The fluctuation between other income for the third quarter 2002 and 2001 is mainly attributable to the sale of two closed store properties, which generated $2.9 million in gains.  Year-to-date other income of $11.9 million at .8% of sales has increased $5.2 million versus a year ago.  The difference in gains and losses on closed store property disposals was $4.1 million year-to-date.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The effective tax rate for the third quarter of 2002 was 37.6% compared with 40.1% in 2001.  Year-to-date, the effective tax rate was 37.3% compared to 38.0% in the same period last year.   The company's federal income tax returns for 1997-99 are under audit by the Internal Revenue Service. The Internal Revenue Service has provided the company with a number of preliminary notices of proposed adjustment. The Internal Revenue Service has not completed its audit; however, if it were to propose a deficiency, the amount may be material. The company believes that it has meritorious defenses and would contest these matters vigorously.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;For the three month period ending September 28, 2002, the company generated $14.8 million in net income, an increase of 26.9% compared to last year. The company's third quarter basic and diluted earnings per share totaled $.55 compared to $.43 per share in 2001, an increase of 27.9%.  Year-to-date earnings were $43.2 million or $1.59 per diluted share, compared to $37.6 million, or $1.11 per diluted share in 2001.  The increased year-to-date earnings per share are partially related to the 34.8% reduction in shares after the large stock purchase in the second quarter of last year.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;As of September 28, 2002, Weis Markets, Inc. was operating 160 retail food stores, with locations in Pennsylvania, Maryland, New Jersey, New York, Virginia and West Virginia.  The company was operating three less stores at the end of the third quarter of 2002, compared to the same period a year ago.  The company also owns SuperPetz II, Inc., a chain of 33 pet supply stores with locations in Alabama, Georgia, Indiana, Kentucky, Maryland, Michigan, North Carolina, Ohio, Pennsylvania, South Carolina and Tennessee.<BR CLEAR="LEFT">
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ITEM 2. MANAGEMENT'S DISCUSSION AND ANALYSIS<BR CLEAR="LEFT">
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<P><FONT SIZE="3"><B>LIQUIDITY AND CAPITAL RESOURCES</B><BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;During the first nine months of 2002, the company generated $88.3 million in cash flows from operating activities compared to $100.3 million for the same period in 2001.  Working capital increased $4.8 million or 4.7% since the beginning of the year.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net cash used in investing activities amounted to $40.8 million for the first three quarters of the year as compared to cash provided by investing activities of $348.8 million in 2001.  Year-to-date capital expenditures totaled $28.6 million as compared to $34.6 million in the first three quarters of 2001.  The capital expansion program includes the construction of new superstores, the expansion and remodeling of existing units, the acquisition of sites for future expansion, new technology purchases and the continued upgrade of company processing and distribution facilities.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;For the nine month period, net cash used in financing activities was $47.1 million compared to $449.4 million in 2001.  In 2001, the company purchased and retired 14,477,242 shares of common stock from the family of the late Sigfried Weis at $30 per share on May 7, 2001.  Year-to-date cash dividends paid to shareholders amounted to $22.0 million compared to $29.9 million in dividend payments in the first three quarters of 2001.  The Board of Directors recently declared a quarterly dividend of $.27 per share payable to shareholders of record as of November 1, 2002, payable November 15, 2002.<BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In a letter to its shareholders in the 2001 Annual Report, management stated that over the next twelve months, the company expects to invest up to $67.4 million for capital expenditures mostly for the construction of five new stores, including four replacements, and the remodel or expansion of twelve units.  Management believes that the company's cash flow from operations will be sufficient to finance current operations, dividends, self-insurance programs, capital expenditures and debt obligations.  To ensure funds are available for continued strategic growth of the company, management has established with its lenders a $100 million three-year unsecured revolving credit facility.  The company has no other commitment of capital resources as of September 28, 2002</FONT>.<FONT SIZE="3"><B><BR CLEAR="LEFT">
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In addition to historical information, this 10-Q Report may contain forward-looking statements.  Any forward-looking statements contained herein are subject to certain risks and uncertainties that could cause actual results to differ materially from those projected.  For example, risks and uncertainties can arise with changes in: general economic conditions, including their impact on capital expenditures; business conditions in the retail industry; the regulatory environment; rapidly changing technology and competitive factors, including increased competition with regional and national retailers; and price pressures.  Readers are cautioned not to place undue reliance on forward-looking statements, which reflect management's analysis only as of the date hereof.  The company undertakes no obligation to publicly revise or update these forward-looking statements to reflect events or circumstances that arise after the date hereof.  Read
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<P><FONT SIZE="3"><B><A NAME="007">ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK</A> </B></FONT>
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<P><FONT SIZE="3">Quantitative Disclosure - There have been no material changes in the company's market risk during the nine months ended September 28, 2002.  Quantitative information is set forth in Item 7A on the company's Form 10-K under the caption "Quantitative Disclosures About Market Risk," which was filed for the fiscal year ended December 29, 2001 and is incorporated herein by reference.</FONT>
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<P><FONT SIZE="3">Qualitative Disclosure - This information is set forth in Item 7A of the company's 10-K under the caption "Liquidity and Capital Resources," within "Management's Discussion and Analysis of Financial Condition and Results of Operations," which was filed for the fiscal year ended December 29, 2001 and is incorporated herein by reference.</FONT>
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<P><FONT SIZE="3">The company entered into a bridge loan agreement during the second quarter of last year.  T</FONT><FONT SIZE="3">he interest rate on the company's long-term debt is directly tied to the LIBOR rate and thus the company is subject to interest rate risk due to market fluctuations.</FONT>
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<P><FONT SIZE="3"></FONT><FONT SIZE="3" FACE="Times New Roman"><B><A NAME="013">ITEM 4.  CONTROLS AND PROCEDURES</A></B></FONT>
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<P><FONT SIZE="3">The Chief Executive Officer and the Chief Financial Officer of the company (its principal executive officer and principal financial officer, respectively) have concluded, based on their evaluation as of a date within 90 days prior to the date of the filing of this Report, that the company's disclosure controls and procedures are effective to ensure that information required to be disclosed by the company in the reports filed or submitted by it under the Securities Exchange Act of 1934, as amended, is recorded, processed, summarized and reported within the time periods specified in the SEC's rules and forms, and include controls and procedures designed to ensure that information required to be disclosed by the company in such reports is accumulated and communicated to the company's management, including the Chief Executive Officer and Chief Financial Officer, as appropriate to allow timely decisions regarding required disclosure.</FONT>
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<P><FONT SIZE="3">There were no significant changes in the company's internal controls or in other factors that could significantly affect these controls subsequent to the date of such evaluation.</FONT>
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<P><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents</A><FONT SIZE="3"><B></B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B><A NAME="008">PART II</B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>OTHER INFORMATION</B></FONT>
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<P><FONT SIZE="3"><B><A NAME="009">Item 6. Exhibits and Reports on Form 8-K</B></A><BR CLEAR="LEFT">
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<P><FONT SIZE="3">(b)  Reports on Form 8-K - There were no reports on Form 8-K filed for the three months ended September 28, 2002.</FONT>
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<P ALIGN="CENTER"><FONT SIZE="3"><B><A NAME="010">SIGNATURES</B></FONT>
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<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.</FONT>
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<P><FONT SIZE="3">Date&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<U>11/04/2002</U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&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;<U>&nbsp;&nbsp;/S/  Norman S. Rich</U><BR CLEAR="LEFT">
&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;NORMAN S. RICH<BR CLEAR="LEFT">
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<P><FONT SIZE="3">Date&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<U>11/04/2002</U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&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;<U>/S/  William R. Mills<BR CLEAR="LEFT">
</U>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&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;WILLIAM R. MILLS<BR CLEAR="LEFT">
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<P ALIGN="CENTER"><FONT SIZE="3"><B><A NAME="011">CERTIFICATION - CEO</B></FONT>
<P><FONT SIZE="3"><B></A></B></FONT>
<P><FONT SIZE="3">I, Norman S. Rich, President/CEO of Weis Markets Inc., certify that: <BR CLEAR="LEFT">
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<P><FONT SIZE="3">1.&nbsp;&nbsp;I have reviewed this quarterly report on Form 10-Q of Weis Markets Inc.; <BR CLEAR="LEFT">
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<P><FONT SIZE="3">2.&nbsp;&nbsp;Based on my knowledge, this quarterly report does not contain any untrue statement of a material fact or omit<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;to state a material fact necessary to make the statements made, in light of the circumstances under which such<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;statements were made, not misleading with respect to the periods covered by this quarterly report; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">3.&nbsp;&nbsp;Based on my knowledge, the financial statements, and other financial information included in this quarterly<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;report, fairly present in all material respects the financial condition, results of operations and cash flows of<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;the registrant as of, and for, the periods presented in this quarterly report; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">4.&nbsp;&nbsp;The registrant's other certifying officers and I are responsible for establishing and maintaining disclosure<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;controls and procedures (as defined in Exchange Act Rules 13a-14 and 15d-14) for the registrant and we have: <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;a)&nbsp;&nbsp;designed such disclosure controls and procedures to ensure that material information relating to the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;registrant, including its consolidated subsidiaries, is made known to us by others within those entities,<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;particularly during the period in which this quarterly report is being prepared; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;b)&nbsp;&nbsp;evaluated the effectiveness of the registrant's disclosure controls and procedures as of a date within 90<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;days prior to the filing date of this quarterly report (the "Evaluation Date"); and <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; c)&nbsp;&nbsp;presented in this quarterly report our conclusions about the effectiveness of the disclosure controls and<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;procedures based on our evaluation as of the Evaluation Date; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">5.&nbsp;&nbsp;The registrant's other certifying officers and I have disclosed, based on our most recent evaluation, to the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;registrant's auditors and the audit committee of registrant's board of directors (or persons performing the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;equivalent function): <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;a)&nbsp;&nbsp;all significant deficiencies in the design or operation of internal controls which could adversely affect <BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;the registrant's ability to record, process, summarize and report financial data and have identified for the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;registrant's auditors any material weaknesses in internal controls; and <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;b)&nbsp;&nbsp;any fraud, whether or not material, that involves management or other employees who have a significant<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;role in the registrant's internal controls; and <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">6.&nbsp;&nbsp;The registrant's other certifying officers and I have indicated in this quarterly report whether or not there were<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;significant changes in internal controls or in other factors that could significantly affect internal controls<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;subsequent to the date of our most recent evaluation, including any corrective actions with regard to significant<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;deficiencies and material weaknesses. <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">Date: November 04, 2002&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;<U>&nbsp;&nbsp;/S/  Norman S. Rich</U><BR CLEAR="LEFT">
&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;Norman S. Rich</FONT>
<P><FONT SIZE="3">&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;President/CEO</FONT>
<P><FONT SIZE="3">&nbsp;</FONT>
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<P ALIGN="CENTER"><FONT SIZE="3"><B>Page 11 of 12 (Form 10-Q)</B></FONT>
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<P><FONT SIZE="3"></FONT><A HREF="#000">Table of Contents<FONT SIZE="3"></FONT>
<P><FONT SIZE="3"></A></FONT><FONT SIZE="3"></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B>WEIS MARKETS, INC.<BR CLEAR="LEFT">
</B></FONT>
<P ALIGN="CENTER"><FONT SIZE="3"><B><A NAME="012">CERTIFICATION- CFO</B></FONT>
<P><FONT SIZE="3"><B></B></FONT>
<P><FONT SIZE="3"></A>I, William R. Mills, Senior Vice President and Treasurer/CFO of Weis Markets Inc., certify that: <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">1.&nbsp;&nbsp;I have reviewed this quarterly report on Form 10-Q of Weis Markets Inc.; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">2.&nbsp;&nbsp;Based on my knowledge, this quarterly report does not contain any untrue statement of a material fact or omit<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;to state a material fact necessary to make the statements made, in light of the circumstances under which such<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;statements were made, not misleading with respect to the periods covered by this quarterly report; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">3.&nbsp;&nbsp;Based on my knowledge, the financial statements, and other financial information included in this quarterly<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;report, fairly present in all material respects the financial condition, results of operations and cash flows of<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;the registrant as of, and for, the periods presented in this quarterly report; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">4.&nbsp;&nbsp;The registrant's other certifying officers and I are responsible for establishing and maintaining disclosure<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;controls and procedures (as defined in Exchange Act Rules 13a-14 and 15d-14) for the registrant and we have: <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;a)&nbsp;&nbsp;designed such disclosure controls and procedures to ensure that material information relating to the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;registrant, including its consolidated subsidiaries, is made known to us by others within those entities,<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;particularly during the period in which this quarterly report is being prepared; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;b)&nbsp;&nbsp;evaluated the effectiveness of the registrant's disclosure controls and procedures as of a date within 90<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;days prior to the filing date of this quarterly report (the "Evaluation Date"); and <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; c)&nbsp;&nbsp;presented in this quarterly report our conclusions about the effectiveness of the disclosure controls and<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;procedures based on our evaluation as of the Evaluation Date; <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">5.&nbsp;&nbsp;The registrant's other certifying officers and I have disclosed, based on our most recent evaluation, to the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;registrant's auditors and the audit committee of registrant's board of directors (or persons performing the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;equivalent function): <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;a)&nbsp;&nbsp;all significant deficiencies in the design or operation of internal controls which could adversely affect <BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;the registrant's ability to record, process, summarize and report financial data and have identified for the<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;registrant's auditors any material weaknesses in internal controls; and <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;b)&nbsp;&nbsp;any fraud, whether or not material, that involves management or other employees who have a significant<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;role in the registrant's internal controls; and <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3"></FONT>
<P><FONT SIZE="3">6.&nbsp;&nbsp;The registrant's other certifying officers and I have indicated in this quarterly report whether or not there were<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;significant changes in internal controls or in other factors that could significantly affect internal controls<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;subsequent to the date of our most recent evaluation, including any corrective actions with regard to significant<BR CLEAR="LEFT">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;deficiencies and material weaknesses. <BR CLEAR="LEFT">
</FONT>
<P><FONT SIZE="3">Date: November 04, 2002&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;<U>&nbsp;&nbsp;/S/  William R. Mills</U><BR CLEAR="LEFT">
&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;William R. Mills<BR CLEAR="LEFT">
&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;Senior Vice President<BR CLEAR="LEFT">
&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;and Treasurer/CFO<BR CLEAR="LEFT">
&nbsp;</FONT>
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<P ALIGN="CENTER"><FONT SIZE="3"><B>Page 12 of 12 (Form 10-Q)</B></FONT>
<P><FONT SIZE="3"><B></B></FONT>

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