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<SEC-DOCUMENT>0001003297-03-000126.txt : 20030512
<SEC-HEADER>0001003297-03-000126.hdr.sgml : 20030512
<ACCEPTANCE-DATETIME>20030509180412
ACCESSION NUMBER:		0001003297-03-000126
CONFORMED SUBMISSION TYPE:	10QSB
PUBLIC DOCUMENT COUNT:		3
CONFORMED PERIOD OF REPORT:	20030331
FILED AS OF DATE:		20030512

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			PRO DEX INC
		CENTRAL INDEX KEY:			0000788920
		STANDARD INDUSTRIAL CLASSIFICATION:	WHOLESALE-MEDICAL, DENTAL & HOSPITAL EQUIPMENT & SUPPLIES [5047]
		IRS NUMBER:				841261240
		STATE OF INCORPORATION:			CO
		FISCAL YEAR END:			0630

	FILING VALUES:
		FORM TYPE:		10QSB
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	000-14942
		FILM NUMBER:		03691358

	BUSINESS ADDRESS:	
		STREET 1:		650 S. TAYKOR AVENUE
		STREET 2:		SUITE 20-A
		CITY:			LOUISVILLE
		STATE:			CO
		ZIP:			80027
		BUSINESS PHONE:		3034438165

	MAIL ADDRESS:	
		STREET 1:		1401 WALNUT STREET
		STREET 2:		SUITE 540
		CITY:			BOULDER
		STATE:			CO
		ZIP:			80302
</SEC-HEADER>
<DOCUMENT>
<TYPE>10QSB
<SEQUENCE>1
<FILENAME>prodex10q.htm
<TEXT>
<html>

<head>

<title>Prepared by E-Services - www.edgar2.net</title>

</head>

<body>

  <p align="center"><b>UNITED
  STATES <br>
  SECURITIES
  AND EXCHANGE COMMISSION</b></p>
  <p align=center><b>Washington,
  D.C. 20549</b></p>

  <p><b>&nbsp;</b></p>
  <p align=center><b><font size="5">FORM 10-QSB</font></b></p>
  <p><b>[X]&nbsp;&nbsp;&nbsp;Quarterly Report Pursuant to Section
  13 or 15(d) of the Securities Exchange Act of 1934.</b></p>
  <p align=center><b>For the quarterly period ended March 31, 2003</b></p>
  <p align=center><b>OR</b></p>
  <p><b>[&nbsp; ]&nbsp;&nbsp;&nbsp;&nbsp;Transition Report Pursuant to Section
  13 or 15(d) of the Securities <br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Exchange Act of 1934.&nbsp;&nbsp; For the transition period from&nbsp; <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u>to&nbsp;
  <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; .</u></b></p>

<div align="left">

<table border=0 cellspacing=0 cellpadding=0 width=750 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b>Commission File Number&nbsp;&nbsp;&nbsp; 0-14942 </b></p>
  </td>
 </tr>
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b>&nbsp;</b></p>
  </td>
 </tr>
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b><font size="5">PRO-DEX, INC.&nbsp;&nbsp;&nbsp; </font> </b></p>
  </td>
 </tr>
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b>(Exact name of small business issuer as specified in its
  charter)&nbsp;&nbsp;&nbsp;&nbsp; </b></p>
  </td>
 </tr>
 <tr>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp; </b></p>
  </td>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp;&nbsp;&nbsp;
  </b></p>
  </td>
 </tr>
 <tr>
  <td width=360 valign=top>
  <p align=center><b><u>Colorado </u></b></p>
  </td>
  <td width=360 valign=top>
  <p align=center><b><u>84-1261240 </u></b></p>
  </td>
 </tr>
 <tr>
  <td width=360 valign=top>
  <p align=center><b>(State or Other Jurisdiction of</b></p>
  </td>
  <td width=360 valign=top>
  <p align=center><b>(IRS Employer Identification No.) </b></p>
  </td>
 </tr>
 <tr>
  <td width=360 valign=top>
  <p align=center><b>Incorporation or Organization)</b></p>
  </td>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp; </b></p>
  </td>
 </tr>
 <tr>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp; </b></p>
  </td>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp;&nbsp;&nbsp;
  </b></p>
  </td>
 </tr>
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b><u>151 E. Columbine Avenue, Santa Ana, California 92707</u></b></p>
  </td>
 </tr>
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b>(Address of Principal Executive Offices)&nbsp;&nbsp;&nbsp;&nbsp; </b></p>
  </td>
 </tr>
 <tr>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp; </b></p>
  </td>
  <td width=360 valign=top>
  <p><b>&nbsp;&nbsp; &nbsp; </b></p>
  </td>
 </tr>
 <tr>
  <td width=720 colspan=2 valign=top>
  <p align=center><b>Issuer's telephone number: (<u>714) 241-4411 </u></b></p>
  </td>
 </tr>
</table>





</div>





<p align="justify">Indicate the number of
shares outstanding of each of the issuer's classes of Common Stock outstanding
as of the latest practicable date:&nbsp; 8,720,900 shares of Common Stock, no par value, as
of May 7, 2003. </p>



<p>Transitional Small Business
Disclosure Format:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Yes [&nbsp; ]&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
No [X]</p>

<p align="center">

<br clear=all>


- -1-</p>


<hr color="#000080"><p style="page-break-after: always"></p>

<p align="center">

&nbsp;</p>


<p><b>Item 1. &nbsp;&nbsp;&nbsp;&nbsp; Financial Statements</b></p>



<p align=center><b>PRO-DEX, INC. AND
SUBSIDIARIES <br>
CONSOLIDATED BALANCE SHEETS </b></p>



<div align=left>

<table border=0 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=380 valign=top style="border-right-style: solid; border-right-width: 1">
  <p><b>&nbsp;</b></p>
  </td>
  <td valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-left-style:solid; border-left-width:1" align="center">
  <p align=center><i>March 31, 2003</i></p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="center">
  <p align=center><i>June 30, 2002</i></p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-bottom-style: solid; border-bottom-width: 1; border-right-style:solid; border-right-width:1">

  </td>
  <td valign=top style="border-right-style: solid; border-right-width: 1; border-left-style:solid; border-left-width:1; border-bottom-style:solid; border-bottom-width:1" align="center">
  <p align=center><i>&nbsp;(unaudited)</i></p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1" align="center">
  <p align=center><i>&nbsp;(audited)</i></p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p><b>ASSETS</b></p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">

  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Current assets:</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Cash and cash equivalents </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 324,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;  236,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Funds held in escrow, net </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 790,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Accounts receivable, net of allowance for doubtful </p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  accounts of $75,000 and $26,000 </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,146,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,620,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Inventories, net </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,943,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,924,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Prepaid expenses </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 106,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 84,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Deferred taxes</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 454,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 454,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Income tax receivable</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 330,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 330,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; Total current assets </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 6,303,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 6,438,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Equipment and leasehold improvements, net </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,034,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,025,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Other assets:</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Other </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 34,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 37,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Deferred tax assets </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,326,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,326,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Patents, net of
  accumulated amortization of $2,692,000 and<br>
  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  $2,660,000</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 32,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Goodwill </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,110,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,110,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; Total other assets </p>
  </td>
  <td valign=top align="right" style="border-style:solid; border-width:1; ">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,470,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-style:solid; border-width:1; ">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,505,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Total assets</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:double; border-bottom-width:3">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; 9,807,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:double; border-bottom-width:3">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; 9,968,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><b>&nbsp;&nbsp; </b></p>
  <p><b>LIABILITIES AND SHAREHOLDERS' EQUITY</b></p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Current liabilities:</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp; &nbsp; Current
  portion of long term debt to shareholders </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; 65,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 126,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp; &nbsp; Notes
  payable </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; 6,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp; &nbsp; Credit
  line payable </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 627,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 638,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Accounts
  payable </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1,072,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;765,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp; &nbsp; Accrued
  expenses </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 418,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 801,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp; &nbsp; Income taxes payable </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;115,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 101,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; Total current liabilities </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,303,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,439,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Long-term debt to a shareholder, net of current portion</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;177,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 211,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Total
  liabilities</p>
  </td>
  <td valign=top align="right" style="border-style:solid; border-width:1; ">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,480,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-style:solid; border-width:1; ">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2,650,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Commitments and contingencies </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Shareholders'
  equity:</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Series
  A convertible preferred shares; no par value; liquidation&nbsp;&nbsp; preference of $3.60 per share; 10,000,000
  shares authorized; 78,129 shares issued and outstanding </p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 283,000&nbsp;</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 283,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Common
  shares; no par value; 50,000,000 shares authorized; 8,723,700 and 8,787,300
  shares issued and outstanding, respectively </p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; 15,002,000&nbsp;</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; 15,033,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Accumulated deficit </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (7,901,000)</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (7,922,000)</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 7,384,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 7,394,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Receivable for stock purchase </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (57,000)</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (76,000)</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-style:solid; border-width:1; ">

  </td>
  <td valign=top align="right" style="border-style:solid; border-width:1; ">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Total shareholders'
  equity</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 7,327,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 7,318,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style:solid; border-bottom-width:1">

  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Total
  liabilities and shareholders' equity</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <div style="border-bottom-style: double; border-bottom-width: 3">
    $&nbsp;&nbsp;&nbsp;&nbsp; 9,807,000&nbsp;</div>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style:solid; border-top-width:1">
  <div style="border-bottom-style: double; border-bottom-width: 3">
    $&nbsp;&nbsp;&nbsp;&nbsp; 9,968,000&nbsp;</div>
  </td>
 </tr>
 <tr>
  <td width=380 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
 </tr>
</table>

</div>

<p align=center><i>See notes to
consolidated financial statements.</i></p>



<p align="center">&nbsp;-2-</p>

<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>

<p align=center><b>PRO-DEX, INC. AND
SUBSIDIARIES <br>
CONSOLIDATED STATEMENTS OF INCOME<br>
(Unaudited)</b></p>

<div align=left>

<table border=1 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse; border-left-width: 0; border-top-width: 0" bordercolor="#111111">
 <tr>
  <td width=461 rowspan=2 valign=top align="left" style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=276 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top: 1px solid #111111; border-bottom-style: none; border-bottom-width: medium">
  <p align=center><i>Three Months Ended March
  31,</i></p>
  </td>
 </tr>
 <tr>
  <td width=136 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center><i>2003</i></p>
  </td>
  <td width=139 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center><i>2002</i></p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=136 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>&nbsp;</p>
  </td>
  <td width=139 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Net sales </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; 3,079,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; 2,509,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Cost of sales (includes rent paid to a director of
  $12,000 in&nbsp; 2002) </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>1,899,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;1,393,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Gross profit </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>1,180,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>1,116,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Operating
  expenses: </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Selling </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>229,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>122,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; General and administrative expenses </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;547,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>619,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Research and development costs </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>298,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;413,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Amortization</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>123,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Total operating expenses </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>1,074,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;1,277,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Income (Loss) from operations </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>106,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>(161,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Other income (expense): </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Other income, net </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;8,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>23,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Interest (expense) </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>(21,000)</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp; (24,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Total</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;(13,000)</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>(1,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Income (Loss) from continuing operations before
  provision for <br>
&nbsp;&nbsp;&nbsp;&nbsp; income tax (credits) </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;93,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;(162,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Provision for income taxes (credits)</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>37,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>(65,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Income (Loss) from continuing operations</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>56,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>(97,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>(Loss) from discontinued operations net of
  tax credit of ($160,000)</p>
  </td>
  <td width=136 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>(240,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Net Income (loss)</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: double; border-bottom-width: 3">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; 56,000&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: double; border-bottom-width: 3">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; (337,000)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Net Income
  (loss) per share from continuing operations:</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Basic </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; 0.01&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp; (0.01)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=bottom align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Diluted&nbsp; </p>
  </td>
  <td width=136 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; 0.01</p>
  </td>
  <td width=139 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; (0.01)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Net Income
  (loss) per share from discontinued operations:</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Basic </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>--&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; &nbsp; (0.03)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=bottom align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Diluted&nbsp; </p>
  </td>
  <td width=136 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>&nbsp;--&nbsp;</p>
  </td>
  <td width=139 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp; (0.03)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Net Income
  (loss) per share:</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Basic </p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp;&nbsp;&nbsp; 0.01&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp; (0.04)</p>
  </td>
 </tr>
 <tr>
  <td width=461 valign=bottom align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Diluted </p>
  </td>
  <td width=136 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; 0.01&nbsp;</p>
  </td>
  <td width=139 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; &nbsp; (0.04)</p>
  </td>
 </tr>
 <tr>
  <td width=461 align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
 </tr>
 <tr>
  <td width=461 align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Weighted average shares
  outstanding - basic</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>8,723,700&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 align="left" style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">

  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=461 align="left" style="border-left: 1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>Weighted average shares
  outstanding - diluted</p>
  </td>
  <td width=136 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>8,910,899&nbsp;</p>
  </td>
  <td width=139 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p>8,787,300&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align=center><i>See notes to
consolidated financial statements.</i></p>

<p align=center>-3-</p>

<hr color="#000080"><p style="page-break-after: always"></p>
&nbsp;<p align=center><b>PRO-DEX, INC. AND
SUBSIDIARIES <br>
CONSOLIDATED STATEMENTS OF INCOME<br>
(Unaudited)</b></p>

<div align=left>

<table border=1 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse; border-left-width: 0; border-top-width: 0; border-bottom-width: 0" bordercolor="#111111">
 <tr>
  <td width=495 rowspan=2 valign=top style="border-left: medium none #111111; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="left">

  </td>
  <td width=245 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center><i>Nine Months Ended March
  31,</i></p>
  </td>
 </tr>
 <tr>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center><i>2003</i></p>
  </td>
  <td width=125 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center><i>2002</i></p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium" align="left">

  </td>
  <td width=120 valign=top style="border-bottom-style: none; border-bottom-width: medium">
  <p align=center>&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Net sales </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; 8,678,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; 7,841,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Cost of sales (includes rent paid to a director of
  $86,000 in 2002) </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp; 5,090,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;4,349,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Gross profit </p>
  </td>
  <td width=120 valign=top style="border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>3,588,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>3,492,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Operating
  expenses: </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Selling </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>540,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>435,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; General and administrative expenses </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>1,849,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;&nbsp; 2,221,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Research and development costs </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>1,071,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp; 1,120,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Amortization</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;32,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;367,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Total operating expenses </p>
  </td>
  <td width=120 valign=top style="border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;3,492,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp; 4,143,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;Income (Loss) from operations </p>
  </td>
  <td width=120 valign=top style="border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>96,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp; (651,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Other income (expense): </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Other income, net </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;4,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;77,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;
  Interest (expense) </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;(65,000)</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;&nbsp;&nbsp; (60,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Total</p>
  </td>
  <td width=120 valign=top style="border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>(61,000)</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;17,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Income (Loss) from continuing operations before
  provision for <br>
&nbsp;&nbsp;&nbsp;&nbsp; income tax (credits) </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;35,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;(634,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Provision for income taxes (credits)</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;14,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp; (254,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Income (Loss) from continuing operations</p>
  </td>
  <td width=120 valign=top style="border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp;21,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p>&nbsp; (380,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>(Loss) from discontinued operations net of
  tax credit of ($315,000)</p>
  </td>
  <td width=120 valign=bottom style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p>&nbsp;(474,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Net Income (Loss)</p>
  </td>
  <td width=120 valign=top style="border-bottom-style: double; border-bottom-width: 3" align="right">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 21,000&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: double; border-bottom-width: 3" align="right">
  <p>$&nbsp;&nbsp; (854,000)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p align=right>&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">
  <p align=right>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Net Income
  (Loss) per share from continuing operations:</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Basic </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp; $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; 0.00&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; &nbsp;(0.04)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Diluted&nbsp; </p>
  </td>
  <td width=120 valign=bottom style="border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp; $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; 0.00&nbsp;</p>
  </td>
  <td width=125 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; (0.04)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Net Income
  (Loss) per share from discontinued operations:</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Basic </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; (0.06)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Diluted&nbsp; </p>
  </td>
  <td width=120 valign=bottom style="border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --&nbsp;</p>
  </td>
  <td width=125 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp;(0.06)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>Net Income
  (Loss) per share:</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Basic </p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; 0.00&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; (0.10)</p>
  </td>
 </tr>
 <tr>
  <td width=495 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Diluted&nbsp;&nbsp; </p>
  </td>
  <td width=120 valign=bottom style="border-top-style: none; border-top-width: medium" align="right">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp; 0.00&nbsp;</p>
  </td>
  <td width=125 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;$&nbsp;&nbsp;&nbsp; &nbsp; &nbsp; (0.10)</p>
  </td>
 </tr>
 <tr>
  <td width=495 style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  &nbsp;

  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">

  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">

  </td>
 </tr>
 <tr>
  <td width=495 style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" align="left">
  <p>Weighted average shares
  outstanding - basic</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;8,752,374&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=495 style="border-left: 1px solid #111111; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom: 1px solid #111111" align="left">
  <p>Weighted average shares
  outstanding - diluted</p>
  </td>
  <td width=120 valign=top style="border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;&nbsp;&nbsp;8,892,995&nbsp;</p>
  </td>
  <td width=125 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium" align="right">
  <p>&nbsp;8,787,300&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align=center><i>See notes to consolidated financial statements.</i><br
clear=all>
</p>



<p align=center>-4-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align=center>&nbsp;</p>

<p align=center><b>PRO-DEX, INC. AND
SUBSIDIARIES <br>
CONSOLIDATED STATEMENTS
OF CASH FLOWS<br>
(Unaudited)</b></p>

<div align=left>

<table border=0 cellspacing=0 cellpadding=0 style="border-collapse: collapse" bordercolor="#111111" width="740">
 <tr>
  <td width=414 rowspan=2 valign=top style="border-bottom-style: solid; border-bottom-width: 1" height="40">

  </td>
  <td width=216 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium" height="20">
  <p align=center><i>&nbsp;Nine Months Ended March
  31,</i></p>
  </td>
 </tr>
 <tr>
  <td width=108 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" height="20">
  <p align=center><i>2003</i></p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1" height="20">
  <p align=center><i>2002</i></p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="left" height="20">

  </td>
  <td width=108 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" height="20">
  <p align=center>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" height="20">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>Cash Flows from Operating
  Activities: </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p align=center>&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>Net Income (loss)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  21,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  (854,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="38">
  <p>&nbsp;&nbsp;&nbsp; Adjustments to reconcile net income (loss) to net cash used
  <br>
&nbsp;&nbsp;&nbsp; in operating activities:</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="38">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="38">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Depreciation
  and amortization </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>285,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>667,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Loss
  on disposal of discontinued operations</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>--&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>623,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; Provision
  for doubtful accounts </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>49,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(9,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; Reserve
  for obsolete inventory </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>--&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>50,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Non-cash compensation </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>19,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>19,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Deferred taxes </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>--&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(562,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Changes in:</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Increase)
  in accounts receivable </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(575,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(15,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Increase)
  in inventories </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(19,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(373,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Increase)
  decrease in prepaid expenses </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(22,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>2,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Decrease in other assets</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>3,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>90,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Decrease)
  increase in accounts payable and accrued expense </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(76,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(220,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Decrease)
  increase in income taxes payable </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>15,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>(246,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>Net Cash (used in)
  Operating Activities </p>
  </td>
  <td valign=top style="border-style: solid; border-width: 1" align="right" height="21">
  <p>(300,000)</p>
  </td>
  <td valign=top style="border-style: solid; border-width: 1" align="right" height="21">
  <p>(828,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">

  &nbsp;

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>Cash Flows From Investing
  Activities:</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp; &nbsp; Proceeds
  from sale of discontinued operations </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>790,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>739,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp; &nbsp; Proceeds
  from sale of real estate available for sale</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>--&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>68,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>&nbsp; &nbsp; Purchases
  of equipment and leasehold improvements </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>(262,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>(134,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">

  &nbsp;

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>Net Cash provided by
  Investing Activities </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>&nbsp;528,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>&nbsp;
  673,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">

  &nbsp;

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>Cash Flows from Financing
  Activities:</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp;
  Principal payments on long-term borrowings </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(97,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(50,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>&nbsp;&nbsp;&nbsp; Net
  payments on line of credit </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(11,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>--&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>&nbsp;&nbsp;&nbsp; Stock
  repurchases </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>(32,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>--&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">

  &nbsp;

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>Net Cash (used in)
  Financing Activities</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>(140,000)</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>(50,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">

  &nbsp;

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" align="right" height="20">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="19">
  <p>Net Increase (decrease) in
  Cash and Cash Equivalents </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>88,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="right" height="19">
  <p>(205,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="20">
  <p>Cash and Cash Equivalents,
  beginning of period </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>&nbsp;
  236,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">
  <p>&nbsp;
  698,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1" align="left" height="21">
  <p>Cash and Cash Equivalents,
  end of period </p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: double; border-bottom-width: 3" align="right" height="23">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 324,000&nbsp;</p>
  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: double; border-bottom-width: 3" align="right" height="23">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 493,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="left" height="21">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1" align="right" height="20">

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left" height="19">

  &nbsp;</td>
  <td valign=top style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right" height="19">

  &nbsp;</td>
  <td valign=top style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right" height="19">

  &nbsp;</td>
 </tr>
 <tr>
  <td valign=top style="border-style: none; border-width: medium" align="left" height="19">



<p align=center><i>Supplemental Information</i></p>



  </td>
  <td valign=top style="border-style: none; border-width: medium" align="right" height="19">

  &nbsp;</td>
  <td valign=top style="border-style: none; border-width: medium" align="right" height="19">

  &nbsp;</td>
 </tr>
 <tr>
  <td valign=top style="border-style: none; border-width: medium" align="left" height="19">

  &nbsp;</td>
  <td valign=top style="border-style: none; border-width: medium" align="right" height="19">

  &nbsp;</td>
  <td valign=top style="border-style: none; border-width: medium" align="right" height="19">

  &nbsp;</td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  Cash payments for interest</td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  <p>$68,000&nbsp;</p>

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  <p>$38,000&nbsp;</p>

  </td>
 </tr>
 <tr>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="left">

  Cash payments for income
  taxes

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  <p>$2,000&nbsp;</p>

  </td>
  <td valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium" align="right">

  <p>$254,000&nbsp;</p>

  </td>
 </tr>
</table>

</div>



<p align="center"><i>&nbsp;See notes to
consolidated financial statements.</i></p>

<p align="center">



<b><br clear=all>
</b>

- -5-</p>
<hr color="#000080"><p style="page-break-after: always"></p>
<p align="center">&nbsp;</p>

<p align=center><b>PRO-DEX, INC. AND
SUBSIDIARIES <br>
NOTES TO CONSOLIDATED
FINANCIAL STATEMENTS </b></p>

<p align=center><b>&nbsp;</b></p>

<p align="justify"><b>BASIS OF PRESENTATION</b></p>



<p align="justify" style="text-indent: 30">The accompanying unaudited
consolidated financial statements have been prepared in accordance with generally
accepted accounting principles for interim financial information and with the
instructions to Form 10-QSB and Regulation S-B. Accordingly, they do not
include all of the information and footnotes required by generally accepted
accounting principles for complete financial statements. These financial
statements should be read in conjunction with the audited financial statements
presented in the Company's Annual Report for the fiscal year ended June 30,
2002.&nbsp; In the opinion of management, all
adjustments (consisting of normal recurring accruals) considered necessary for
a fair presentation have been included. The results of operations for such
interim periods are not necessarily indicative of the results that may be
expected for the full year. For further information, refer to the consolidated
financial statements and footnotes thereto included in the Company's Annual
Report on Form 10-KSB for the year ended June 30, 2002. </p>

<p align="justify"><b>STOCK OPTIONS AND WARRANTS</b></p>



<p align="justify" style="text-indent: 30">During the quarter ended
March 31, 2003, the Company granted no Common Stock Options.</p>



<p align="justify" style="text-indent: 30">During the quarter ended
March 31, 2003, 30,000 Common Stock Options under the Employee's Plan and
20,000 Common Stock Options under the Director's Plan and 25,000 Common Stock
Warrants expired unexercised.</p>



<p align="justify">Accounting for Stock-based Compensation</p>



<p align="justify" style="text-indent: 30">In December 2002, the FASB
issued SFAS No. 148, Accounting for Stock-Based Compensation - Transition and
Disclosure.&nbsp; This statement amends SFAS
No. 123, Accounting for Stock-Based Compensation, to provide alternative
methods of accounting for stock-based employee compensation.&nbsp; This Statement also amends the disclosure
requirement of SFAS No. 123 to require prominent disclosure in both annual and
interim financial statements about the effect on reported net income (loss) of
an entity's accounting policy decisions with respect to stock-based employee
compensation.&nbsp; The Company adopted this
Statement in fiscal year 2003.</p>



<p align="justify" style="text-indent: 30">The Company accounts for
stock-based employee compensation under the requirements of Accounting
Principles Board (APB) Opinion No. 25, which does not require compensation to
be recorded if the consideration to be received is at least equal to fair value
at the measurement date.&nbsp; Nonemployee
stock-based transactions are accounted for under the requirements of the Financial
Accounting Standards Board's Statement of Financial Accounting Standards No.
123, <i>Accounting for Stock-Based
Compensation</i>, which requires compensation to be recorded based on the fair
value of the securities issued or the services received, whichever is more
reliably measurable.</p>



<p align="justify" style="text-indent: 30">SFAS No. 123 requires the
disclosure of pro forma net income and earnings per share had the Company
adopted the fair value method.&nbsp; Under
SFAS N. 123, the fair value of stock-based awards to employees is calculated through
the use of option pricing models, even though such models were developed to
estimate the fair value of freely tradable, fully transferable options with
vesting restrictions which significantly differ from the Company's stock option
awards.&nbsp; These models require subjective
assumptions, including future stock price volatility and expected time to
exercise, which greatly affect the calculated value.&nbsp; The Company's calculations for the options
granted were made using the Black-Scholes option-pricing model.</p>



<p align="center" style="text-indent: 30">-6-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center" style="text-indent: 30">&nbsp;</p>



<p align="justify" style="text-indent: 30">The calculations are based
on a single-option valuation approach and forfeitures are recognized as they
occur.&nbsp; The following table illustrates
the effect on net income and earnings per share had compensation cost for stock-based
compensation been determined based on the grant date fair values of awards for
the three and nine months ended March 31, 2003 and 2002, respectively
(unaudited).</p>



<div align=left>

<table border=1 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse; border-left-width: 0; border-top-width: 0" bordercolor="#111111">
 <tr>
  <td width=129 valign=top style="border-style: none; border-width: medium">
  &nbsp;</td>
  <td width=220 valign=top style="border-left-style: none; border-left-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  &nbsp;</td>
  <td width=188 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align="center">Three Month Period <br>
  Ended March 31,</td>
  <td width=200 colspan=2 valign=top style="border-right:1px solid #111111; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>Nine Month Period
  <br>
  Ended March 31,</p>
  </td>
 </tr>
 <tr>
  <td width=129 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;</p>
  </td>
  <td width=220 valign=top style="border-left-style: none; border-left-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=90 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=97 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=98 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=101 valign=top style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>Net income (loss) </p>
  </td>
  <td width=220 valign=top style="border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  <p>$&nbsp; 56,000&nbsp;</p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  <p>$&nbsp;&nbsp;&nbsp; (337,000)</p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 21,000&nbsp;</p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-bottom-style: none; border-bottom-width: medium">

  <p>$ (854,000)</p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; As reported:</p>
  </td>
  <td width=220 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=127 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=220 valign=bottom style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Add total stock-based employee compensation expense
  determined under APB opinion 25, net of related tax effects</p>
  </td>
  <td width=90 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  <p>--&nbsp;</p>


  </td>
  <td width=97 valign=bottom align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  <p align=right>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;--&nbsp;</p>
  </td>
  <td width=98 valign=bottom align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>1,000&nbsp;</p>
  </td>
  <td width=101 valign=bottom align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  <p>&nbsp;&nbsp;&nbsp;8,000&nbsp;</p>


  </td>
 </tr>
 <tr>
  <td width=127 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;

  </td>
  <td width=220 valign=bottom style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  &nbsp;</td>
  <td width=90 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;</td>
  <td width=97 valign=bottom align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;</td>
  <td width=98 valign=bottom align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  &nbsp;</td>
  <td width=101 valign=bottom align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  &nbsp;</td>
 </tr>
 <tr>
  <td width=127 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=220 valign=bottom style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>(Deduct) total stock-based employee compensation
  expense determined under fair value based on all awards, net of related tax
  effects</p>
  </td>
  <td width=90 valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right><u>&nbsp; (34,000)</u></p>
  </td>
  <td width=97 valign=bottom align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (66,000)</u></p>
  </td>
  <td width=98 valign=bottom align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p><u>&nbsp;&nbsp;&nbsp; (182,000)</u></p>
  </td>
  <td width=101 valign=bottom align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p><u>&nbsp; (109,000)</u></p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Pro-forma:</p>
  </td>
  <td width=220 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;</p>
  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>$&nbsp;&nbsp; 22,000&nbsp;</u></p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp; (403,000)</u></p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>$&nbsp;&nbsp; (160,000)</u></p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>$ (955,000)</u></p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>Basic
  earnings <br>
  (loss) per share:</p>
  </td>
  <td width=220 valign=top style="border-bottom-style: none; border-bottom-width: medium; border-left-style:solid; border-left-width:1; border-right-style:solid; border-right-width:1">

  </td>
  <td width=90 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=101 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=220 valign=top style="border-bottom-style: none; border-bottom-width: medium; border-top-style:none; border-top-width:medium">
  <p>As reported</p>
  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium; border-top-style:none; border-top-width:medium">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; 0.01&nbsp;</p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium; border-top-style:none; border-top-width:medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; (0.04)</p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium; border-top-style:none; border-top-width:medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;0.00&nbsp;</p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-bottom-style: none; border-bottom-width: medium; border-top-style:none; border-top-width:medium">
  <p>$&nbsp; &nbsp;&nbsp;&nbsp; (0.10)</p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=220 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>Pro forma</p>
  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; 0.00&nbsp;</p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; (0.05)</p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; (0.02)</p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; (0.11)</p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>Diluted earnings
  (loss) per share:</p>
  </td>
  <td width=220 valign=top style="border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;</p>
  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;</p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;</p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;</p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-bottom-style: none; border-bottom-width: medium">
  &nbsp;</td>
 </tr>
 <tr>
  <td width=127 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=220 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>As reported</p>
  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; 0.01&nbsp;</p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; (0.04)</p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp;0.00&nbsp;</p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; (0.10)</p>
  </td>
 </tr>
 <tr>
  <td width=127 valign=bottom style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=220 valign=top style="border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>Pro forma</p>
  </td>
  <td width=90 valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; 0.00&nbsp;</p>
  </td>
  <td width=97 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; (0.05)</p>
  </td>
  <td width=98 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp; &nbsp; &nbsp; (0.02)</p>
  </td>
  <td width=101 valign=top align="right" style="border-right:1px solid #111111; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp; (0.11)</p>
  </td>
 </tr>
 </table>

</div>

<p><b>&nbsp;INVENTORIES</b></p>



<p align="justify">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Inventories are
stated at the lower of cost (the first-in, first-out method) or market and
consist of the following: </p>



<div align=center>

<table border=1 cellspacing=0 cellpadding=0 width=498 bordercolor="#000000" style="border-collapse: collapse">
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">

  </td>
  <td width=150 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>March 31, 2003<br>
  <u>(unaudited) </u></p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align="center">June 30, 2002<br>
  <u>(audited) </u>
  </td>
 </tr>
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Raw materials </p>
  </td>
  <td width=150 valign=top style="border-style: none; border-width: medium">
  <p align=right>$&nbsp;&nbsp;&nbsp;&nbsp;
  1,186,000&nbsp;</p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>$&nbsp;&nbsp;&nbsp;&nbsp;
  1,564,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Work in process </p>
  </td>
  <td width=150 valign=top style="border-style: none; border-width: medium">
  <p align=right>774,000&nbsp;</p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>291,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Finished goods </p>
  </td>
  <td width=150 valign=top style="border-style: none; border-width: medium">
  <p align=right><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  1,564,000&nbsp;</u></p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  1,661,000&nbsp;</u></p>
  </td>
 </tr>
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Total </p>
  </td>
  <td width=150 valign=top style="border-style: none; border-width: medium">
  <p align=right>3,524,000&nbsp;</p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>3,516,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p>Reserve for slow moving items </p>
  </td>
  <td width=150 valign=top style="border-style: none; border-width: medium">
  <p align=right><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  (581,000)</u></p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  (592,000)</u></p>
  </td>
 </tr>
 <tr>
  <td width=210 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp; Total inventories, net </p>
  </td>
  <td width=150 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$&nbsp;&nbsp; &nbsp; 2,943,000&nbsp;</p>
  </td>
  <td width=138 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$&nbsp;
  2,924,000&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p><b>INTANGIBLE ASSETS</b></p>



<p align="justify" style="text-indent: 30">Intangible assets include
patents and the cost of net assets acquired in excess of fair value, which were
amortized on a straight-line basis over their estimated useful lives ranging
from 7 to 20 years. </p>



<p align="center">-7-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center" style="text-indent: 30">&nbsp;</p>



<p>Adoption of FAS 142&nbsp;&nbsp; </p>



<p align="justify" style="text-indent: 30">On July 1, 2002
the Company adopted SFAS No. 142 &quot;Goodwill and Other Intangible Assets.&quot;&nbsp; SFAS No. 142 requires that goodwill and
intangible assets with indefinite useful lives no longer be amortized, but
instead tested for impairment at least annually in accordance with the
provisions of SFAS No. 142.&nbsp; While
amortization of indefinite life intangible assets will no longer be reflected
as a charge in the Company's financial statements, amortization related to
certain of these intangibles will continue to be deductible for income tax
purposes.&nbsp; Amortization expense related
to the Company's goodwill for the three and nine month periods ended March 31,
2002 was $21,000 and $64,000, respectively.</p>



<p align="justify" style="text-indent: 30">In connection
with the adoption of SFAS no. 142, the Company is required to carry out a
transitional goodwill impairment evaluation, which requires an assessment of
whether there is an indication that the goodwill is impaired as of the date of
adoption, July 1, 2002.</p>



<p align="justify" style="text-indent: 30">Management has
determined that each of the Company's subsidiaries to be a reporting unit.&nbsp; Upon adoption of SFAS No. 142, The Company
assigned all the assets and liabilities to the reporting units and has recorded
no impairment charge.&nbsp; The Company has
completed steps one and two of its adoption of SFAS No. 142.&nbsp; Management has prepared a valuation of the
Micro Motors subsidiary assets and liabilities to determine the final
measurement of any goodwill impairment charge.&nbsp;
Based on the valuation, it does not appear that an impairment charge
will be required for the goodwill of Micro Motors.</p>



<p align="justify" style="text-indent: 30">A reconciliation
of previously reported net income (loss) applicable to common stock and basic
income (loss) per share to the amounts adjusted for the exclusion of the
amortization of goodwill follows (the amortization of goodwill was not
deductible for tax purposes and as such, has not been shown net of tax on the
schedule):</p>



<div align=left>

<table border=0 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=198 valign=top style="border-right-style: solid; border-right-width: 1">

  </td>
  <td width=222 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Three Month Period Ended <br>
  March 31,</p>
  </td>
  <td width=228 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Nine Month Period Ended <br>
  March 31,</p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=108 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=114 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=114 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=114 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Reported net income
  (loss) applicable to common stock</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 56,000</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  (337,000)</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 21,000</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  <p>$&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;
  (854,000)</p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Add back:</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Goodwill amortization </p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  --</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  22,000&nbsp;</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  --</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  65,000&nbsp;</u></p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  &nbsp;
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  &nbsp;</td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  &nbsp;</td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  &nbsp;</td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  &nbsp;</td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Adjusted net
  income (loss) applicable to common stock</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 56,000</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (315,000)</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 21,000</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (789,000)</u></p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Basic and
  diluted net income (loss) per share applicable to common stock </p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">


  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.01</p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">


  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.04)</p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">


  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.00</p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">


  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.10)</p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Add back:</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp; Goodwill amortization</p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; --</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.00&nbsp;</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;--</u></p>
  </td>
  <td valign=bottom align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.01&nbsp;</u></p>
  </td>
 </tr>
 <tr>
  <td width=198 valign=top style="border-style: solid; border-width: 1">
  <p>Adjusted net
  income (loss) per common share</p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.01</u></p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.04)</u></p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.00</u></p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">
  <p><u>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.09)</u></p>
  </td>
 </tr>
</table>

</div>



<p align="center">&nbsp;-8-</p>

<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>

<p><b>&nbsp;STOCK REPURCHASE PLAN</b></p>



<p align="justify" style="text-indent: 30">In September
2002, the Company's Board of Directors authorized the repurchase on the open
market of up to 500,000 shares of the Company's outstanding Common Stock,
subject to compliance with applicable laws and regulations.&nbsp; There is no requirement that the Company
repurchase all or any portion of such shares.&nbsp;
The maximum total value of the repurchase is not to exceed
$500,000.&nbsp; This repurchase is to be
financed both with cash generated by operations and through the utilization of
the Company's credit facility.&nbsp; From
the&nbsp; inception of the repurchase
authorization through the quarter end date of March 31, 2003, the Company
repurchased 63,600 shares of Common Stock for $32,509, at an average price of
$0.51 per share.</p>

<p><b>NET INCOME (LOSS) PER SHARE</b></p>

<p align="justify" style="text-indent: 30">The following tables reconciles the
weighted average shares outstanding for basic and diluted net income per share
for the periods indicated (unaudited).</p>

<div align=left>

<table border=0 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse" bordercolor="#111111" height="281">
 <tr>
  <td valign=top align="left" style="border-right-style: solid; border-right-width: 1" height="20">

  </td>
  <td width=249 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1" height="20">
  <p align=center>Three Months Ended March 31,</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-right-style: solid; border-right-width: 1" height="14">

  </td>
  <td width=129 valign=top style="border-left-style: solid; border-left-width: 1" height="14">
  <p align=center>2003</p>
  </td>
  <td width=120 valign=top style="border-right-style: solid; border-right-width: 1" height="14">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Net income (loss)</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  56,000</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  (337,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Basic net
  income (loss) per common share:</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp; Weighted average of common shares
  outstanding </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,723,700</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Basic net
  income (loss) per common share </p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.01</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.04)</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Diluted net income (loss) per share:</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp; Weighted average of common shares
  outstanding </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,723,700</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of potentially dilutive
  securities (options) </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;104,281</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; --&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of potentially dilutive
  securities (warrants) </p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;4,789</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;&nbsp;--&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of potentially dilutive
  securities (convertible&nbsp; Preferred Shares) </p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  78,129</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;--&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Weighted
  average number of common and shares - Diluted</p>
  </td>
  <td valign=bottom align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,910,899</p>
  </td>
  <td valign=bottom align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Diluted net income (loss) per common share </p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.01</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.04)</p>
  </td>
 </tr>
</table>

</div>





<p>&nbsp;</p>





<div align=left>

<table border=0 cellspacing=0 cellpadding=0 width=740 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td valign=top align="left" style="border-right-style: solid; border-right-width: 1">

  </td>
  <td width=249 colspan=2 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Nine Months Ended March 31,</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=129 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=120 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td width=129 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net income (loss)</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 21,000</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
  (854,000)</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Basic net
  income (loss) per common share:</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp; Weighted average of common shares
  outstanding </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;8,752,374</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Basic net
  income (loss) per common share </p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;0.00</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.10)</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">

  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Diluted net income (loss) per share:</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp; Weighted average of common shares
  outstanding </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;8,752,374</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of potentially dilutive
  securities (options) </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;60,919</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;--&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of potentially dilutive
  securities (warrants) </p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;1,573</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp; --&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of potentially dilutive
  securities (convertible Preferred Shares) </p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>78,129</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp;--&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Weighted
  average number of common and shares - Diluted</p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp;8,892,995</p>
  </td>
  <td valign=bottom align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 8,787,300&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="left" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Diluted net income (loss) per common share </p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0.00</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (0.10)</p>
  </td>
 </tr>
</table>

</div>

<p align="center">-9-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>



<p align="justify" style="text-indent: 30">Common
shares issuable upon conversion of 78,129 shares of preferred stock have not
been included in the 2002 computation because their inclusion would have been
anti-dilutive.&nbsp; In addition, the dilutive
effect of 78,100 and 224 shares of stock options and warrants, respectively,
have not been included in the 2002 computation because the inclusion would have
also been anti-dilutive.&nbsp; </p>



<p><b>LINE OF CREDIT </b></p>

<p align="justify" style="text-indent: 30">The subsidiaries of the
Company entered into a credit facility with Wells Fargo Business Credit Inc.
(WFBCI) in May 2002 for borrowings up to the lesser of $3,000,000 or 80% of the
eligible accounts receivable at Micro Motors Inc. (&quot;Micro Motors&quot;) plus 85% of
the eligible accounts receivable at Oregon Micro Systems (&quot;OMS&quot;).&nbsp; The terms of the credit facility expire May
2005 and require monthly interest payments at the prime rate (4.25% at March
31, 2003) plus 1.00% to 1.75% based on outstanding borrowings, with a minimum
interest charge of $12,500 per quarter.&nbsp;
The outstanding borrowings are secured by all assets of the Company's
two subsidiaries, Micro Motors and OMS, and are guaranteed by the Company.&nbsp; The outstanding balance under terms of this
credit facility as of March 31, 2003 was $627,000.&nbsp; The total additional eligible borrowing
capacity based on the receivables balances at March 31, 2003 was
$1,195,000.&nbsp; There are certain financial
and non-financial covenants that the Company must meet to be in compliance with
the terms of the credit facility.&nbsp; </p>

<p><b>LONG TERM DEBT </b></p>



<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The following table is a summary of long-term
debt: </p>

<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=625 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=315 valign=top>

  </td>
  <td width=133 valign=top style="border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>March 31, 2003<br>
  (unaudited) </p>
  </td>
  <td width=46 valign=top>
  <p align=center>&nbsp;</p>
  </td>
  <td width=131 valign=top style="border-bottom-style: solid; border-bottom-width: 1">
  <p align="center">June 30, 2002<br>
  (audited)</td>
 </tr>
 <tr>
  <td width=315 valign=bottom>
  <p>Unsecured note to a shareholder, bearing <br>
  interest at 7%,
  payments of $19,600 quarterly, including interest to June 30, 2006</p>
  </td>
  <td width=133 valign=bottom style="border-top-style: solid; border-top-width: 1">
  <p align=right>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 242,000</p>
  </td>
  <td width=46 valign=bottom>
  <p align=right>&nbsp;</p>
  </td>
  <td width=131 valign=bottom align="right" style="border-top-style: solid; border-top-width: 1">
  <p align=right>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 337,000</p>
  </td>
 </tr>
 <tr>
  <td width=315 valign=top>
  <p>Less current portion </p>
  </td>
  <td width=133 valign=top style="border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 65,000</p>
  </td>
  <td width=46 valign=top>
  &nbsp;</td>
  <td width=131 valign=top style="border-bottom-style: solid; border-bottom-width: 1" align="right">
  <p align=right>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 126,000</p>
  </td>
 </tr>
 <tr>
  <td width=315 valign=top>
  <p>Long-term debt </p>
  </td>
  <td width=133 valign=top style="border-top-style: solid; border-top-width: 1">
  <div style="width: 132; height: 0; border-bottom-style: double; border-bottom-width: 3">
  <p align=right>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 177,000</p>
  </div>
  </td>
  <td width=46 valign=top>
  &nbsp;</td>
  <td width=131 valign=top style="border-top-style: solid; border-top-width: 1" align="right">
  <div style="width: 131; height: 19; border-bottom-style: double; border-bottom-width: 3">
  <p align=right>$&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 211,000</p>
  </div>
  </td>
 </tr>
</table>

</div>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; This debt is subordinated to the line of credit.</p>

<p><b>&nbsp;INCOME TAXES </b></p>



<p align="justify" style="text-indent: 30">Deferred income taxes are
provided on a liability method whereby deferred tax assets are recognized for
deductible temporary differences and operating losses and tax credit carry
forwards and deferred tax liabilities are recognized for taxable temporary differences.
Temporary differences are the differences between the reported amounts of
assets and liabilities and their tax bases. Deferred tax assets are reduced by
a valuation allowance when, in the opinion of management, it is more likely
than not that some portion or all of the deferred tax assets will not be
realized. Deferred tax assets and liabilities are adjusted for the effects of
changes in tax laws and rates on the date of enactment.</p>



<p align="justify" style="text-indent: 30">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Significant
management judgment is required in determining the Company's&nbsp; provision for income taxes and the
recoverability of our deferred tax asset.&nbsp;
It is based on the Company's estimates of future taxable income by
jurisdiction in which we operate and the period over which the Company's
deferred tax assets will be recoverable.&nbsp;
In the event that actual results differ from these estimates or the
Company adjusts these estimates in future periods the Company may need to
establish a valuation allowance which could result in a tax provision equal to
the carrying value of our deferred tax assets.</p>

<p align="center">&nbsp;-10-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>



<p><b>FUNDS HELD IN
ESCROW, NET, BUSINESS DIVESTITURES AND DISCONTINUED OPERATIONS</b></p>

<p style="text-indent: 30" align="justify">On June 12, 2001, the
Company sold substantially all of the assets of its wholly owned subsidiaries,
Biotrol International, Inc. and Challenge Products, Inc. to Young Colorado,
LLC, for a purchase price of $9 million. The assets sold comprised the
Company's line of infection control and preventive chemical products for the
dental industry.&nbsp; The full remaining escrow
balance of $102,000 was collected in October 2002, resulting in no additional
gain or loss, and completing the distribution of funds in escrow.&nbsp; </p>



<p style="text-indent: 30" align="justify">During the year ended June
30, 2002, the Company received indemnification notices from Young, to recover
alleged losses and costs as they are incurred for certain alleged breaches of
representations and warranties contained in the Young Asset Purchase Agreement
related to compliance issues with the Food, Drug, and Cosmetic Act (&quot;FDCA&quot;),
Federal Insecticide, Fungicide and Rodentcide Act (&quot;FIFRA&quot;), and other related
laws.&nbsp; In February 2002, the Company
settled a complaint with the Environmental Protection Agency (&quot;EPA&quot;) set forth
in Young's indemnification notice for alleged violations of FIFRA.&nbsp; Pursuant to the settlement, the Company
agreed to pay $150,000 to the EPA, over a 15-month period, commencing March
2002.&nbsp; Through March 31, 2003, $130,000
has been paid to the EPA, the remaining $20,000 was paid in April 2003, leaving
no additional liability under the EPA settlement.</p>

<p><b>SEGMENT INFORMATION </b></p>



<p align="justify" style="text-indent: 30">The
Company's reportable segments are strategic business units that offer different
products and services.&nbsp; They are managed
separately because each business requires different technology and marketing
strategies.</p>



<p align="justify" style="text-indent: 30">There are two reportable
segments within Pro-Dex: Micro Motors and Oregon Micro Systems. The accounting
policies applied to determine the segment information are the same as those
described in the summary of significant accounting policies. Interest expense
is allocated based upon the specific identification of debt incurred by the
individual segment. Corporate overhead, the provision for income taxes, income
from discontinued operations, and gain on disposal of discontinued operations
are included in corporate profit, and are not allocated to the individual
reported segments. Intersegment sales and transfers are accounted for at
amounts that management believes provides the transferring segment with fair
compensation for the products transferred, considering their condition, market
demand, and, where appropriate, a reasonable profit that recognizes which
segment will be responsible for marketing costs.&nbsp; Management evaluates the performance of each
segment based on operating income (loss) before income taxes. </p>































<p align="center">-11-</p>































<hr color="#000080"><p style="page-break-after: always"></p>































<p align="center">&nbsp;</p>































<p align="justify" style="text-indent: 30">Operating Segment data (unaudited) for the nine
months ending March 31, 2003 and 2002 is as follows (in thousands): </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=650 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=204 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Nine months ended<br>
  March 31, 2003</p>
  </td>
  <td width=96 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Micro<br>
  Motors </p>
  </td>
  <td width=120 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Oregon<br>
  Micro Systems </p>
  </td>
  <td width=103 valign=bottom style="border-style: solid; border-width: 1">

  <p align=center>Corporate </p>
  </td>
  <td width=96 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Total</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Sales from external customers </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$6,706</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$1,972</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$8,678</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Depreciation and amortization </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>219</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>66</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>285</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Interest expense </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>64</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>64</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment operating profit (loss) </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>323</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>389</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(677)</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>35</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment assets </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>6,391</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,304</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>2,112&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>9,807</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Goodwill</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,110</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,110</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Expenditure for segment assets </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>231</p>
  </td>
  <td width=120 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>31</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>262</p>
  </td>
 </tr>
</table>

</div>





<p>&nbsp;</p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=650 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=204 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Nine months ended<br>
  March 31, 2002</p>
  </td>
  <td width=97 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Micro<br>
  Motors </p>
  </td>
  <td width=119 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Oregon<br>
  Micro Systems </p>
  </td>
  <td width=106 valign=bottom style="border-style: solid; border-width: 1">

  <p align=center>Corporate</p>
  </td>
  <td width=96 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Total</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Sales from external customers</p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$6,123</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$1,718&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$7,841&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Depreciation and amortization </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>264</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>344&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>59&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>667&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Interest expense </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>53</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>7&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>60&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment operating profit (loss) </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>738</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(440)</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(932)</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(634)</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment assets </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>5,830</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,519&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>3,223&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>10,572&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Goodwill</p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,131</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>68&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,199&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Expenditure for segment assets </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>103</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>31&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>134&nbsp;</p>
  </td>
 </tr>
</table>

</div>





<p>&nbsp;</p>





<p>Operating Segment data (unaudited) for the three
months ending March 31, 2003 and 2002 is as follows (in thousands): </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=650 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=204 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Three months ended<br>
  March 31, 2003</p>
  </td>
  <td width=97 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Micro<br>
  Motors </p>
  </td>
  <td width=119 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Oregon<br>
  Micro Systems </p>
  </td>
  <td width=103 valign=bottom style="border-style: solid; border-width: 1">

  <p align=center>Corporate </p>
  </td>
  <td width=96 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Total</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Sales from external customers </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$2,400</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$679</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$3,079</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Depreciation and amortization </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>73</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>11</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>84</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Interest expense </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>21</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>21</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment operating profit (loss) </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>43</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>186</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(136)</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>93</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment assets </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>6,391</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,304</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>2,112&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>9,807</p>
  </td>
 </tr>
 <tr>
  <td width=204 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Expenditure for segment assets </p>
  </td>
  <td width=97 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>150</p>
  </td>
  <td width=119 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>6</p>
  </td>
  <td width=103 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>156</p>
  </td>
 </tr>
</table>

</div>



<p>&nbsp;</p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=650 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=205 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Three months ended<br>
  March 31, 2002</p>
  </td>
  <td width=98 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Micro<br>
  Motors </p>
  </td>
  <td width=117 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Oregon<br>
  Micro Systems </p>
  </td>
  <td width=106 valign=bottom style="border-style: solid; border-width: 1">

  <p align=center>Corporate</p>
  </td>
  <td width=96 valign=bottom style="border-style: solid; border-width: 1">
  <p align=center>Total</p>
  </td>
 </tr>
 <tr>
  <td width=205 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Sales from external customers</p>
  </td>
  <td width=98 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$2,013</p>
  </td>
  <td width=117 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$496&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>$2,509&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=205 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Depreciation and amortization </p>
  </td>
  <td width=98 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>95</p>
  </td>
  <td width=117 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>114&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>20&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>299&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=205 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Interest expense </p>
  </td>
  <td width=98 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>17</p>
  </td>
  <td width=117 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>7&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>24&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=205 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment operating profit (loss) </p>
  </td>
  <td width=98 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>218</p>
  </td>
  <td width=117 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(167)</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(213)</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>(162)</p>
  </td>
 </tr>
 <tr>
  <td width=205 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Segment assets</p>
  </td>
  <td width=98 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>5,830</p>
  </td>
  <td width=117 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>1,519&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>3,223&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>10,572&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=205 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Expenditure for segment assets </p>
  </td>
  <td width=98 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>28</p>
  </td>
  <td width=117 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>7&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>--&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>35&nbsp;</p>
  </td>
 </tr>
</table>

</div>

<p align="center">-12-</p>

<p><b>&nbsp;</b></p>

<hr color="#000080"><p style="page-break-after: always"></p>

<p><b>Item
2. Management's Discussion and Analysis of Financial Condition and Results of
Operations </b></p>



<p align="justify" style="text-indent: 30">Except for the historical
information contained herein, the matters discussed in this Quarterly Report on
Form 10-QSB, including discussions of the Company's product development plans,
business strategies and market factors influencing the Company's results, are
forward-looking statements that involve certain risks and uncertainties. Actual
results may differ from those anticipated by the Company as a result of various
factors, both foreseen and unforeseen, including, but not limited to, the
Company's ability to continue to develop new products and increase systems
sales in markets characterized by rapid technological evolution, consolidation
within the Company's target marketplace and among the Company's competitors,
and competition from larger, better capitalized competitors. Many other
economic, competitive, governmental and technological factors could impact the
Company's ability to achieve its goals.&nbsp;
Interested persons are urged to review the risks described below, as
well as in the Company's other public disclosures and filings with the
Securities and Exchange Commission.</p>



<p><b>Company Overview</b></p>



<p align="justify" style="text-indent: 30">Pro-Dex, Inc. (&quot;Pro-Dex&quot;
or the &quot;Company&quot;) is a Colorado corporation, organized in 1978, doing
business through two wholly owned operating subsidiaries, Micro Motors, Inc.
(&quot;Micro Motors&quot;) and Oregon Micro Systems, Inc. (&quot;OMS&quot;).
Micro Motors, headquartered in Santa Ana, California, manufactures electric,
air, and battery driven rotary drive systems for the medical device industry,
electric and air hand pieces for the dental industry, and miniature pneumatic
motors for industrial applications. OMS is headquartered in Beaverton, Oregon,
where it designs and manufactures motion controllers used to control the motion
of servo and stepper motors, predominantly for the semiconductor and medical
analysis equipment industries. </p>



<p align="justify" style="text-indent: 30">Over the course
of the past three years, the Company has evolved significantly in response to
changing market conditions.&nbsp; This
evolution includes the strategic refocusing of the Company's subsidiaries, the
development of new products, technologies and customer relationships, the
re-casting of operational infrastructure, the divestiture of segments of the
Company's operations, and the consolidation of the Company's executive offices
and staff.&nbsp; In addition, the Company is
aggressively pursuing opportunities in which the strategic synergies of the
subsidiaries can be fully leveraged, increasing the interaction between the
subsidiaries and better aligning the overall strategic direction of the
Company.</p>



<p><b>Pro-Dex</b></p>



<p align="justify" style="text-indent: 30">Pro-Dex has
continued to evolve since the divestiture of the Company's Biotrol and
Challenge subsidiaries in June of 2001.&nbsp;
The proceeds from that transaction were used to retire all of the
Company's then existing bank debt, leaving the Company virtually debt free as
of June 30, 2001, but less than half its former size.&nbsp; In response to the reduction in the Company's
operations, the Company's executive operations in Colorado were consolidated
into the Micro Motors facilities in Santa Ana, California.&nbsp; The executive staff was eliminated and the
corresponding functions were integrated into existing operational positions at Micro
Motors and OMS.&nbsp; This effort to reduce
corporate overhead is on target to save the Company approximately $1,000,000 in
fiscal year 2003 as compared to fiscal year 2002.</p>



<p><b>Micro Motors</b></p>



<p align="justify" style="text-indent: 30">Micro Motors designs,
develops and manufactures pneumatic, electric and battery powered rotary drive
systems for use in the medical, dental and industrial markets. Micro Motors
distributes its own line of pneumatic and electric dental hand pieces sold
under the trademarks Dynatorq&trade;, Dynapro&trade;, Dynalite&trade;, Dynasurg&trade;, and Micro
Handpiece&trade;, as well as numerous lines of private label drive systems for use in
dental, cranial, spinal, arthroscopic and orthopedic surgery. Micro Motors also
designs and manufactures miniature pneumatic motors for industrial applications
in the automotive, aerospace, apparel and entertainment industries. </p>



<p align="center">-13-</p>

<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>

<p align="justify" style="text-indent: 30">Significant
aspects of the Micro Motors subsidiary have changed in the last three
years.&nbsp; Historically known as a precision
manufacturer of dental hand pieces, Micro Motors has shifted its focus to the
development and exclusive supply of rotary drive systems for strategic partners
in the medical, dental and industrial segments of the commercial
marketplace.&nbsp; This new approach to the
market has proved to be effective in generating new revenue streams with gross
margins significantly higher than Micro Motor's historical business.</p>



<p align="justify" style="text-indent: 30">Company funded research
and development supports the development of rotary drive systems and associated
products.&nbsp; These projects generally are
expected to convert to a customer funded project within six months, limiting
the Company's exposure.&nbsp; The costs for
these activities are expensed as incurred.</p>



<p align="justify" style="text-indent: 30">In addition to Company funded research and
development, the Company performs customer funded research and
development.&nbsp; In customer funded
development projects, costs are capitalized and recognized as a cost of goods
sold as specific deliverables within the development contracts are made,
matching the costs to the revenue and reducing the performance and collection
risk to the Company.&nbsp; The results of the
development work are intended to provide the Company with long term exclusive
manufacturing agreements and provide the customer ownership retention of the
intellectual property developed.&nbsp; The
identity of the customer is generally protected by a non-disclosure agreement.</p>



<p align="justify" style="text-indent: 30">Internally,
Micro Motors has consolidated its operations and reduced the expenses related
to those operations, while continuing to grow overall sales and develop new
products.&nbsp; Since 1999, such measures
include reducing its workforce by 30% and consolidating its manufacturing
operations to a 20,000 square foot facility from a 38,000 square foot
facility.&nbsp; At the same time, Micro Motors
has increased the size of its Engineering and Product Development Group,
further enabling it to respond to market demands for new products and new
technologies.</p>



<p><b>Oregon Micro Systems</b></p>



<p align="justify" style="text-indent: 30">OMS designs, develops,
manufactures, and markets multi-axis embedded motion controllers. The OMS
controllers are specifically designed for the purpose of controlling servo and
stepper motors to execute desired motion specific to the customer's
application.&nbsp; OMS' motion controllers are
used in a wide range of applications including semiconductor wafer handling
equipment, medical diagnostic equipment, photon accelerators and observatories.
The OMS controllers support a platform for PCI, VME, ISA, and cPCI busses as
well as other embedded platforms.&nbsp; Other
products include motors, drivers, cables, software and a variety of accessories
to meet most any embedded motion requirement.</p>



<p align="justify" style="text-indent: 30">During the past
three years, OMS has both benefited and suffered from the rapidly changing
environment of the semiconductor industry, which is characterized by dramatic
and sometimes volatile changes in demand for products.&nbsp; While recording two of its best operational
performances in its fiscal year 2000 and fiscal year 2001 with revenues in each
year exceeding $7,000,000, OMS has been impacted severely by the downturn in
the semiconductor industry that began in November of 2000 but appears to have
bottomed out as restocking orders are beginning to materialize. </p>

<p align="justify" style="text-indent: 30">In response to
the rapidly changing market conditions, OMS also significantly reduced its
number of employees, made deep cuts in operational expenses and focused on
maximizing the sales of existing product to existing customers.&nbsp; At the same time, OMS accelerated the
development of a new generation of motion control technology, based on the
PowerPC power chip.&nbsp; This new
servo/stepper controller will be available in fiscal year 2003 and will be
expanded on to create a full line of new products.&nbsp; OMS is also developing new customer
relationships with companies outside the semiconductor industry.</p>



<p align="justify" style="text-indent: 30">&nbsp;</p>



<p align="center">&nbsp;-14-</p>

<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>

<p><b>RISK FACTORS</b></p>

<p><b>Competition</b>&nbsp; </p>

<p align="justify" style="text-indent: 30">The
markets for healthcare and semiconductor industries are intensely competitive,
and the Company faces significant competition from a number of different
sources.&nbsp; Several of the Company's
competitors have significantly greater name recognition as well as
substantially greater financial, technical, product development and marketing
resources than the Company.</p>

<p align="justify" style="text-indent: 30">The Company competes in all of its
markets with other major healthcare and semiconductor related companies.
Competitive pressures and other factors, such as new product or new technology
introductions by the Company or its competitors, may result in price or market
share erosion that could have a material adverse effect on the Company's
business, results of operations and financial condition. Also, there can be no
assurance that the Company's products and services will achieve broad market acceptance
or will successfully compete with other competing products.&nbsp; <b><i>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </i></b></p>

<p><b>Fluctuation in
Quarterly Operating Results</b>&nbsp; </p>

<p align="justify" style="text-indent: 30">The
Company's revenues have fluctuated in the past, and may fluctuate in the future
from quarter to quarter and period to period, as a result of a number of
factors including, without limitation: the size and timing of orders from
customers; the length of new product development cycles; market acceptance of
new technologies; changes in pricing policies or price reductions by the
Company or its competitors; the timing of new product announcements and product
introductions by the Company or its competitors; changes in revenue recognition
guidelines established by the Financial Accounting Standards Board or other
rule-making bodies; the financial stability of major customers; the Company's
success in expanding its sales and marketing programs; deferrals of customer
orders in anticipation of new products; changes in Company strategy; personnel
changes; and general market/economic factors. </p>

<p align="justify" style="text-indent: 30">Because a significant percentage of
the Company's expenses are relatively fixed, a variation in the timing of sales
can cause significant variations in operating results from quarter to quarter.
As a result, the Company believes that interim period-to-period comparisons of
its results of operations are not necessarily meaningful and should not be
relied upon as indications of future performance. Further, the Company's
historical operating results are not necessarily indicative of future
performance for any particular period.&nbsp; </p>

<p align="justify" style="text-indent: 30">Due
to all of the foregoing factors, it is possible that in some future quarter(s)
the Company's operating results may be below the expectations of public market
analysts and investors. In such event, the price of the Company's Common Stock
would likely be materially adversely affected.</p>



<p><b>Dependence on Principal Product
and New Product Development</b></p>

<p align="justify" style="text-indent: 30">The Company currently derives a
substantial part of its net revenues from sales of its core healthcare and
motion control products and services. The Company believes that a primary
factor in the market acceptance of its product and services is the value that
is created for its customers by those products and services. The Company's
future financial performance will depend in large part on the Company's ability
to continue to meet the increasingly sophisticated needs of its customers
through the timely development, successful introduction and implementation of
new and enhanced products and services. The Company has historically expended a
significant percentage of its net revenues on product development and believes
that significant continued product development efforts will be required to
sustain the Company's growth. Continued investment in the Company's sales and
marketing efforts will also be required to support future growth. </p>

<p align="justify" style="text-indent: 30">There
can be no assurance that the Company will be successful in its product
development efforts, that the market will continue to accept the Company's
existing products, or that new products or product enhancements will be developed
and implemented in a timely manner, meet the requirements of its customers, or
achieve market acceptance. If new products or product enhancements do not
achieve market acceptance, the Company's business, results of operations and
financial condition could be materially adversely affected. </p>

<p align="center">-15-</p>

<hr color="#000080"><p style="page-break-after: always"></p>

<p align="center">&nbsp;</p>

<p><b>Technological Change</b></p>

<p align="justify" style="text-indent: 30">The
healthcare and semiconductor markets are generally characterized by rapid
technological change, changing customer needs, frequent new product
introductions, and evolving industry standards. The introduction of products
incorporating new technologies and the emergence of new industry standards
could render the Company's existing products obsolete and unmarketable. There
can be no assurance that the Company will be successful in developing and
marketing new products that respond to technological changes or evolving
industry standards.</p>

<p align="justify" style="text-indent: 30">New product development
depends upon significant research and development expenditures that depend
ultimately upon sales growth. Any material weakness in revenues or research
funding could impair the Company's ability to respond to technological advances
in the marketplace and to remain competitive. If the Company is unable, for
technological or other reasons, to develop and introduce new products in a timely
manner in response to changing market conditions or customer requirements, the
Company's business, results of operations and financial condition may be
materially adversely affected.</p>

<p align="justify" style="text-indent: 30">In
response to increasing market demand, the Company is currently developing new
products. There can be no assurance that the Company will successfully develop
these new products or that these products will operate successfully, or that
any such development, even if successful, will be completed concurrently with
or prior to introduction of competing products. Any such failure or delay could
adversely affect the Company's competitive position or could make the Company's
current products obsolete.</p>

<p><b>&nbsp;Litigation</b></p>

<p align="justify" style="text-indent: 30">The
Company continually faces the possibility of litigation as either a plaintiff
or a defendant.&nbsp; It is not reasonably
possible to estimate the awards or damage, or the range of awards or damages,
if any, that the Company might incur in connection with such litigation. The
uncertainty associated with potential litigation may have an adverse impact on
the Company's business. In particular, such litigation could impair the
Company's relationships with existing customers and its ability to obtain new
customers. Defending such litigation may result in a diversion of management's
time and attention away from business operations, which could have a material
adverse effect on the Company's business, results of operations and financial
condition. Such litigation may also have the effect of discouraging potential
acquirers from bidding for the Company or reducing the consideration such
acquirers would otherwise be willing to pay in connection with an acquisition.  </p>

<p align="justify" style="text-indent: 30">There can be no assurance
that such litigation will not result in liability in excess of its insurance
coverage, that the Company's insurance will cover such claims or that
appropriate insurance will continue to be available to the Company in the
future at commercially reasonable rates.</p>

<p><b>Proprietary
Technology </b></p>

<p align="justify" style="text-indent: 30">The
Company is dependent on the maintenance and protection of its intellectual
property and relies on license agreements, exclusive development and supply
agreements, confidentiality procedures, and employee nondisclosure agreements
to protect its intellectual property. </p>

<p align="justify" style="text-indent: 30">There can be no assurance that the
legal protections and precautions taken by the Company will be adequate to
prevent misappropriation of the Company's technology or that competitors will
not independently develop technologies equivalent or superior to the Company's.
Further, the laws of some foreign countries do not protect the Company's
proprietary rights to as great an extent as do the laws of the United States
and are often not enforced as vigorously as those in the United States.</p>

<p align="justify" style="text-indent: 30">The
Company does not believe that its operations or products infringe on the
intellectual property rights of others. However, there can be no assurance that
others will not assert infringement or trade secret claims against the Company
with respect to its current or future products or that any such assertion will
not require the Company to enter into a license agreement or royalty
arrangement with the party asserting the claim. </p>

<p align="justify" style="text-indent: 30">&nbsp;</p>

<p align="center">&nbsp;-16-</p>

<hr color="#000080"><p style="page-break-after: always"></p>

<p align="center">&nbsp;</p>

<p><b>Ability to Manage
Growth</b>&nbsp;</p>

<p align="justify" style="text-indent: 30">The Company has in the past
experienced periods of growth that have placed, and may continue to place, a
significant strain on the Company's resources. The Company also anticipates
expanding its overall development, marketing, sales, client management and
training capacity.&nbsp; In the event the
Company is unable to identify, hire, train and retain qualified individuals in
such capacities within a reasonable timeframe, such failure could have a
material adverse effect on the Company. </p>

<p align="justify" style="text-indent: 30">In addition, the Company's
ability to manage future increases, if any, in the scope of its operations or
personnel will depend on significant expansion of its research and development,
marketing and sales, management, and administrative and financial capabilities.
The failure of the Company's management to effectively manage expansion in its
business could have a material adverse effect on the Company's business,
results of operations and financial condition.</p>

<p><b>Dependence Upon Key
Personnel</b>&nbsp; </p>

<p align="justify" style="text-indent: 30">The Company's future
performance also depends in significant part upon the continued service of its
key technical and senior management personnel, many of who have been with the
Company for a significant period of time.&nbsp;
The Company does not maintain key man life insurance on any of its
employees. Because the Company has a relatively small number of employees when
compared to other leading companies in the same industry, its dependence on
maintaining its relationship with key employees is particularly significant.
The Company is also dependent on its ability to attract and retain high quality
personnel, particularly in the areas of product development and operations
management. </p>

<p align="justify" style="text-indent: 30">A high level of employee mobility
and the aggressive recruiting of skilled personnel characterize the healthcare
and semiconductor industries.&nbsp; There can
be no assurance that the Company's current employees will continue to work for
the Company.&nbsp; Loss of services of key
employees could have a material adverse effect on the Company's business,
results of operations and financial condition. Furthermore, the Company may
need to grant additional stock options to key employees and provide other forms
of incentive compensation to attract and retain such key personnel.</p>

<p align="justify" style="text-indent: 30">The
Company experienced changes in some of its key management positions in the past
year as it has streamlined its operations.&nbsp;
In the year ended June 30, 2002, Kent Searl retired as President and
Chief Executive Officer of the Company and was replaced on an interim basis by
Frank Zagar.&nbsp; Mr. Zagar completed a
substantial part of the corporate reorganization and in September 2002, resigned
his operating position, while remaining a Director through the shareholder's
meeting held in November 2002.&nbsp; Patrick
Johnson, Micro Motors President, assumed the role of the President and Chief
Executive Officer of the Company in addition to retaining his pre-existing role
as President of Micro Motors.&nbsp; In May
2002, George Isaac resigned his operating position as Treasurer and Chief
Financial Officer of the Company, while remaining Corporate Secretary and a
Director, and Jeffrey J. Ritchey assumed the role of the Treasurer and Chief
Financial Officer of the Company in addition to retaining his pre-existing role
as Controller of Micro Motors.&nbsp; The
Company believes that the new Chief Executive Officer and Chief Financial
Officer have the background and experience necessary to be able to perform the
duties required for these positions.</p>



<p><b>Product Liability</b></p>

<p align="justify" style="text-indent: 30">The Company maintains
insurance to protect against claims associated with the use of its products,
but there can be no assurance that its insurance coverage would adequately
cover any claim asserted against the Company. A successful claim brought
against the Company in excess of its insurance coverage could have a material
adverse effect on the Company's business, results of operations and financial
condition. Even unsuccessful claims could result in the Company's expenditure
of funds in litigation and management time and resources.</p>

<p align="justify" style="text-indent: 30">There can be no assurance that the
Company will not be subject to product liability claims, that such claims will
not result in liability in excess of its insurance coverage, that the Company's
insurance will cover such claims or that appropriate insurance will continue to
be available to the Company in the future at commercially reasonable rates.
Such claims could have a material adverse affect on the Company's business,
results of operations and financial condition. </p>



<p align="center">-17-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>



<p><b>Marketplace Delisting</b></p>



<p align="justify" style="text-indent: 30">In
June 2002, the Company received a notice from the NASDAQ indicating that unless
its stock price maintained a $1.00 per share closing price for ten consecutive
trading sessions, the Company's stock would be delisted on December 3,
2002.&nbsp; As the Company maintained
$5,000,000 of stockholders' equity, meeting one of the qualifications to remain
listed, the Company received notice in December that the delisting was extended
for 180 days.&nbsp; On March 24, 2003 the SEC
approved a NASDAQ marketplace rule change that would extend the delisting date
an additional 90 days or until September 3, 2003 contingent upon the Company
continuing to meet the qualifications noted above.&nbsp; As the Company met the qualifications for
continued listing based on the financial performance as of March 31, 2003
reported in this document, the Company will be eligible for the 90 day
extension, and the company believes that it will not be delisted even if the
Company has not maintained a $1.00 per share closing price for ten consecutive
trading sessions in the period ending September 3, 2003.&nbsp; There is no assurance that the Company will
meet these marketplace listing requirements in the period beyond September 3,
2003 or that the Company's shares will maintain a sufficiently high price to
eliminate future delisting notices and subsequent delisting.</p>

<p><b>&nbsp;</b></p>

<p><b>RESULTS OF OPERATIONS</b></p>

<p><b>For the Three-Month periods ended March 31, 2003 and
2002</b></p>

<p align="justify" style="text-indent: 30">The
following table sets forth for the periods indicated the percentage of net
revenues represented by each item in the Company's Consolidated Statements of
Income (unaudited). </p>



<div align=left>

<table border=0 cellspacing=0 cellpadding=0 width="720" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=402 rowspan=2 valign=top style="border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td colspan=2 valign=top align="center" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Three Months Ended March 31,</p>
  </td>
 </tr>
 <tr>
  <td valign=top align="center" style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td valign=top align="center" style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td width=114 valign=top style="border-style: solid; border-width: 1">

  </td>
  <td width=111 valign=top style="border-style: solid; border-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net Revenues:
  </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>&nbsp;100.0% </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>&nbsp;100.0%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Cost of Goods
  Sold </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;61.7&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;55.5&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Gross Profit </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>38.3&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>44.5&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Selling, General and Administrative Expenses </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>25.2&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>29.5&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Research and
  Development Costs </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>9.7&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>16.5&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Amortization</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>--&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>4.9&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Income (loss)
  from Operations </p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>3.4&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>(6.4)&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net interest
  and other (loss) </p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp; 0.4&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>--&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net after tax
  (loss) from discontinued operations</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>&nbsp; --&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p>(9.6)&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Provision
  (credit) for Income Taxes</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>1.2&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>(2.6)&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Net Income
  (Loss)</p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p><u>1.8%
  </u></p>
  </td>
  <td valign=top align="right" style="border-style: solid; border-width: 1">
  <p><u>(13.4%)
  </u></p>
  </td>
 </tr>
</table>

</div>



<p align="center">&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;-18-</p>









<hr color="#000080"><p style="page-break-after: always"></p>









<p align="center">&nbsp;</p>









<p align="justify" style="text-indent: 30"><b>Net Income (Loss).</b>&nbsp; The
Company's net income for the three months ended March 31, 2003 was $56,000 or
$0.01 per share on a basic and $0.01 per share on a diluted basis, as compared
to a net (loss) of ($337,000) or ($0.04) per share on a basic and ($0.04) per
share on a diluted basis, for the three months ended March 31, 2002.</p>

<p align="justify" style="text-indent: 30">
<b>Net Sales.</b>&nbsp; Consolidated sales increased 23% for the
three months ended March 31, 2003, compared to the three months ended March 31,
2002, due to increased sales at both Micro Motors and OMS. At Micro Motors,
sales increased 19%, due to significantly increased volume of medical and
dental product shipments, offsetting sales declines to industrial
customers.&nbsp; Revenue at Oregon Micro
Systems increased 37% for the quarter ended March 31, 2003 compared to the
previous year's same quarter. The revenue increase at OMS was caused by the
stabilization in orders from customers in the semiconductor fabrication
equipment industry, as they are beginning to replenish inventories with new
products.&nbsp; Sales to customers outside the
semiconductor industry were flat for the quarter.</p>



<p align="justify" style="text-indent: 30">Net sales by subsidiary and type of customer were as follows
(unaudited): </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=550 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=174 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=226 colspan=3 valign=top style="border-left-style: none; border-right-style: none; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>Three Months Ended March 31,<br>
  2003&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2002</p>
  </td>
  <td width=96 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>Increase/<br>
  (Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Dental</p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,552,000</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,329,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>17%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Medical </p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>530,000</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>248,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>114%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Industrial</p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>185,000</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>293,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(36%)</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Repair &amp;
  Other</p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right><u>133,000</u></p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right><u>113,000</u></p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right><u>&nbsp;&nbsp; 17%&nbsp;</u></p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>2,400,000</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>2,013,000
  </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>19%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">

  &nbsp;

  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p><u>Oregon Micro Systems </u></p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>679,000</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>496,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>37%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=174 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=32 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=94 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>3,079,000</p>
  </td>
  <td width=41 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=91 valign=top style="border-left-style: none; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>2,509,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: none; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>23%&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align="justify" style="text-indent: 30">
<b>Gross Profit</b>.&nbsp; The Company's consolidated gross profit for
the quarter ended March 31, 2003 increased $64,000 or 6% over the same quarter
in the previous year due to increased sales at both operating divisions and
expanded margins at OMS.&nbsp; Gross profit as
a percentage of sales decreased to 38% for the quarter ended March 31, 2003
compared to 44% for the quarter ended March 31, 2002 as the initial costs
associated with first run production for new products offset the gains made by
the ongoing cost reduction efforts and a richer product mix favoring medical
shipments at Micro Motors. </p>



<p>Gross profits by subsidiary were as follows
(unaudited): </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="600" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=190 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=246 colspan=3 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Three Months Ended March 31,</p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Increase/</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=100 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;(Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>703,000&nbsp;&nbsp; </p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=100 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>792,000&nbsp;&nbsp; </p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>(89,000)&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>Oregon Micro Systems </u></p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>477,000&nbsp;&nbsp; </p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=100 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>324,000&nbsp;&nbsp; </p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>153,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,180,000&nbsp;&nbsp; </p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=100 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,116,000&nbsp;&nbsp; </p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>64,000&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align="justify" style="text-indent: 30"><b>Selling, General and Administrative Costs (S, G&amp;A)</b>.&nbsp; S, G &amp; A expenses decreased to $776,000
for the quarter ended March 31, 2003 from $864,000 for the quarter ended March
31, 2002, a decrease of 10%.&nbsp; The
decrease is mainly due to reduced amortization costs offset by increased
selling costs at Micro Motors.</p>









<p align="center">-19-</p>









<hr color="#000080"><p style="page-break-after: always"></p>









<p align="center">&nbsp;</p>









<p>S, G &amp; A expenses by subsidiary were as follows
(unaudited):&nbsp; </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="565" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=165 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=23 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=237 colspan=3 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Three Months Ended March 31,</p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=110 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Increase/</p>
  </td>
 </tr>
 <tr>
  <td width=165 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=23 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=31 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=99 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=110 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;(Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=164 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=23 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>453,000&nbsp;&nbsp; </p>
  </td>
  <td width=31 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=99 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>345,000&nbsp;&nbsp; </p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=110 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>108,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=164 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Oregon Micro Systems </p>
  </td>
  <td width=23 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>171,000&nbsp;&nbsp; </p>
  </td>
  <td width=31 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=99 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>423,000&nbsp;&nbsp; </p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=110 valign=top align="right" style="border-right-style: solid; border-right-width: 1">
  <p align=right>(252,000)</p>
  </td>
 </tr>
 <tr>
  <td width=164 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>Corporate </u></p>
  </td>
  <td width=23 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=106 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>152,000&nbsp;&nbsp; </p>
  </td>
  <td width=31 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=99 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>96,000&nbsp;&nbsp; </p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=110 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>56,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=164 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=23 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=106 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>776,000&nbsp;&nbsp; </p>
  </td>
  <td width=31 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=99 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>864,000&nbsp;&nbsp; </p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=110 valign=top align="right" style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(88,000)</p>
  </td>
 </tr>
</table>

</div>





<p align="justify" style="text-indent: 30">
<b>Research and Development Costs</b>.&nbsp; Company funded research and development
expenses decreased to $298,000 for the quarter ended March 31, 2003 from
$413,000 for the quarter ended March 31, 2002, a decrease of 28%. The decrease
is due to cost cutting at OMS and customer funded research efforts at Micro
Motors replacing independent new product development.</p>



<p>Company funded research and development costs by
subsidiary were as follows (unaudited):</p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="600" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=191 valign=top>
  <p align=center>&nbsp;</p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>&nbsp;</p>
  </td>
  <td width=231 colspan=3 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Three Months Ended March 31,</p>
  </td>
  <td width=37 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=114 valign=top style="border-top-style: solid; border-top-width: 1; border-right-style:solid; border-right-width:1">
  <p align=center>Increase/</p>
  </td>
 </tr>
 <tr>
  <td width=191 valign=top style="border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=100 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=95 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=37 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=114 valign=top style="border-bottom-style: solid; border-bottom-width: 1; border-right-style:solid; border-right-width:1">
  <p align=center>&nbsp;(Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=191 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>&nbsp;</p>
  </td>
  <td width=100 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>177,000&nbsp;&nbsp; </p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=95 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>219,000&nbsp;&nbsp; </p>
  </td>
  <td width=37 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=114 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>(42,000)&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=191 valign=top style="border-left-style: solid; border-left-width: 1">
  <p><u>Oregon Micro Systems </u></p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: none; border-bottom-width: medium">
  <p align=right>&nbsp;</p>
  </td>
  <td width=100 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>121,000&nbsp;&nbsp; </p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=95 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>194,000&nbsp;&nbsp; </p>
  </td>
  <td width=37 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=114 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(73,000)&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=191 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=27 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=100 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>298,000&nbsp;&nbsp; </p>
  </td>
  <td width=36 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=95 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>413,000&nbsp;&nbsp; </p>
  </td>
  <td width=37 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=114 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(115,000)&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align="justify" style="text-indent: 30">
<b>Net Interest Expense. </b>&nbsp;Net interest expense was $21,000 in the
quarter ended March 31, 2003 compared to $24,000 for the period ended March 31,
2002.&nbsp; This was due to lower interest
costs associated with the long term debt. </p>



<p align="justify" style="text-indent: 30"><b>Provision for Taxes</b>. The Company's
effective tax rate on income (loss) from operations was 40% for the quarters
ended March 31, 2003, and 2002. </p>

<p align="center">

<b><br clear=all>
</b>

- -20-</p>

<hr color="#000080"><p style="page-break-after: always"></p>

<p align="center">

&nbsp;</p>

<p><b>For the Nine Month period ended March 31, 2003 and 2002</b></p>

<p align="justify" style="text-indent: 30">The
following table sets forth for the periods indicated the percentage of net
revenues represented by each item in the Company's Consolidated Statements of
Income (unaudited). </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="600" style="border-collapse: collapse" bordercolor="#111111" height="343">
 <tr>
  <td width=402 rowspan=2 valign=top height="38" style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td width=215 colspan=2 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Nine Months Ended March 31,</p>
  </td>
 </tr>
 <tr>
  <td width=102 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=113 valign=top height="19" style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  &nbsp;

  </td>
  <td width=102 valign=top height="19" style="border-style: solid; border-width: 1">

  </td>
  <td width=112 valign=top height="19" style="border-style: solid; border-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net Revenues:
  </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>&nbsp;100.0%</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>&nbsp;100.0%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Cost of Goods
  Sold </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;58.7&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;55.4&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Gross Profit </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>41.3&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>44.6&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Selling, General and Administrative Expenses </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>27.5&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>33.9&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Research and
  Development Costs </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>12.3&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>14.3&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Amortization</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>0.4&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>4.7&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="20" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Income (loss)
  from Operations</p>
  </td>
  <td valign=top align="right" height="20" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>1.1&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="20" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>(8.3)&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net interest
  and other (loss) </p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp; (0.7)&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>0.2&nbsp;&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Net after tax
  (loss) from discontinued operations</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>&nbsp; --&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p>(6.0)&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  &nbsp;

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">

  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Provision (credit)
  for Income Taxes </p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>0.2&nbsp;&nbsp;&nbsp;</p>
  </td>
  <td valign=top align="right" height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>(3.2)&nbsp;&nbsp;&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=402 valign=top height="19" style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Net (Loss)</p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p><u>0.2%</u></p>
  </td>
  <td valign=top align="right" height="19" style="border-style: solid; border-width: 1">
  <p><u>(10.9%)</u></p>
  </td>
 </tr>
</table>

</div>



<p align="justify" style="text-indent: 30"><b>Net Income (loss).</b>&nbsp; The
Company's net income for the nine months ended March 31, 2003 was $21,000 or
$0.00 per share on a basic and $0.00 per share on a diluted basis, as compared
to a net (loss) of ($854,000) or ($0.10) per share, for the nine months ended
March 31, 2002.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </p>



<p align="justify" style="text-indent: 30">
<b>Net Sales.</b>&nbsp; Consolidated sales increased 11% for the nine
months ended March 31, 2003, compared to the nine months ended March 31, 2002,
due to increased sales at both Micro Motors and OMS.&nbsp; At Micro Motors, sales increased 10% due to
increased volume of medical product shipments which rose 128% compared to the
previous year's nine months. The increase more than offsets the decline of
sales to in the other product lines.&nbsp;
Revenue at Oregon Micro Systems increased 15% for the nine months ended
March 31, 2003 compared to the same period of the previous year. The revenue
increase at OMS was caused by the stabilization in orders from customers in the
semiconductor fabrication equipment industry, as they are beginning to
replenish inventories with new products. Sales to customers outside the
semiconductor industry were flat. </p>



<p align="justify" style="text-indent: 30">Net sales by subsidiary and type of customer were as follows
(unaudited): </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width=550 style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=184 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=224 colspan=3 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Nine Months Ended March 31,<br>
  2003&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2002</p>
  </td>
  <td width=96 valign=top style="border-style: solid; border-width: 1">
  <p align=center>Increase/<br>
  (Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-style: solid; border-width: 1">
  <p>&nbsp;&nbsp; Dental</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>3,754,000</p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>4,075,000</p>
  </td>
  <td width=96 valign=top style="border-style: solid; border-width: 1">
  <p align=right>(8%)</p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Medical </p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>2,002,000</p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>875,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>128% </p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Industrial</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>585,000</p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>772,000</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(24%)</p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>&nbsp;&nbsp; Repair &amp;
  Other</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right><u>365,000</u></p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right><u>401,000</u></p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right><u>(9%)</u></p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>6,706,000
  </p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>6,123,000
  </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>10%</p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">

  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p align=right>&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>Oregon Micro Systems </u></p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,972,000
  </p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,718,000&nbsp;&nbsp; </p>
  </td>
  <td width=96 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>15%&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=184 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=24 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=92 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>8,678,000
  </p>
  </td>
  <td width=39 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=93 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>7,841,000&nbsp;&nbsp; </p>
  </td>
  <td width=96 valign=top style="border-style: solid; border-width: 1">
  <p align=right>11%&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align="center">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;-21-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>

<p align="justify" style="text-indent: 30"><b>Gross Profits</b>.&nbsp; The Company's
consolidated gross profit for the nine months ended March 31, 2003 increased $96,000
or 3% over the same nine months in the previous year due to increased sales at
both operating divisions and higher margins at OMS. Gross profit as a
percentage of sales decreased to 41% for the nine months ended March 31, 2003
compared to 44% for the nine months ended March 31, 2002 as initial costs
associated with first run production for new products offset the gains made by
the ongoing cost reduction efforts and a richer product mix favoring medical
shipments at Micro Motors.</p>

<p align="justify" style="text-indent: 30">Gross profits by subsidiary were as follows (unaudited): </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="600" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=190 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=258 colspan=3 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>Nine Months Ended March 31,</p>
  </td>
  <td width=29 valign=top style="border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Increase/</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: none; border-right-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=47 valign=top style="border-right-style: none; border-right-width: medium; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-left-style: none; border-left-width: medium; border-right-style: solid; border-right-width: 1; border-top-style: none; border-top-width: medium; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=29 valign=top style="border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;(Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>2,174,000&nbsp;&nbsp; </p>
  </td>
  <td width=47 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>2,432,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>(258,000)&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>Oregon Micro Systems </u></p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,414,000&nbsp;&nbsp; </p>
  </td>
  <td width=47 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,060,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>354,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=190 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>3,588,000&nbsp;&nbsp; </p>
  </td>
  <td width=47 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>3,492,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>96,000&nbsp;</p>
  </td>
 </tr>
</table>

</div>



<p align="justify" style="text-indent: 30"><b>Selling, General and Administrative Costs
(S, G&amp;A)</b>.&nbsp; S, G &amp; A expenses
decreased 20% to $2,421,000 for the nine months ended March 31, 2003 from
$3,023,000 for the nine months ended March 31, 2002.&nbsp; The decrease is mainly due to reduced
amortization and costs cost saving measures implemented at the corporate and
divisional level offset by increased selling expense at Micro Motors.</p>



<p>S, G &amp; A expenses by subsidiary were as follows
(unaudited):&nbsp;&nbsp; </p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="600" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=188 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=259 colspan=3 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Nine Months Ended March 31,</p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Increase/</p>
  </td>
 </tr>
 <tr>
  <td width=188 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=111 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=43 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=105 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;(Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=188 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=111 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>1,223,000&nbsp;&nbsp; </p>
  </td>
  <td width=43 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=105 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>1,121,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>102,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=188 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p>Oregon Micro Systems </p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=111 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>519,000&nbsp;&nbsp; </p>
  </td>
  <td width=43 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=105 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>796,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=right>(277,000)</p>
  </td>
 </tr>
 <tr>
  <td width=188 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>Corporate </u></p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=111 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>679,000&nbsp;&nbsp; </p>
  </td>
  <td width=43 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=105 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,106,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(427,000)</p>
  </td>
 </tr>
 <tr>
  <td width=188 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=20 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=111 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>2,421,000&nbsp;&nbsp; </p>
  </td>
  <td width=43 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=105 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>3,023,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=104 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(602,000)</p>
  </td>
 </tr>
</table>

</div>



<p align="justify" style="text-indent: 30">
<b>Research and Development Costs</b>.&nbsp; Research and development expenses decreased
to $1,071,000 for the nine months ended March 31, 2003 from $1,120,000 for the
nine months ended March 31, 2002, a decrease of 4%. The decrease is due to cost
cutting at OMS.</p>



<p>Company funded research and development costs by
subsidiary were as follows (unaudited):</p>



<div align=center>

<table border=0 cellspacing=0 cellpadding=0 width="600" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=186 valign=top style="border-right-style: solid; border-right-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=19 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=263 colspan=3 valign=top style="border-top-style: solid; border-top-width: 1">
  <p align=center>Nine Months Ended March 31,</p>
  </td>
  <td width=29 valign=top style="border-top-style: solid; border-top-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=center>Increase/</p>
  </td>
 </tr>
 <tr>
  <td width=186 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=19 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=113 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2003</p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>2002</p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=center>&nbsp;(Decrease)</p>
  </td>
 </tr>
 <tr>
  <td width=186 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p>Micro Motors </p>
  </td>
  <td width=19 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=113 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>565,000&nbsp;&nbsp; </p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>546,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1">
  <p align=right>19,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=186 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1">
  <p><u>Oregon Micro Systems </u></p>
  </td>
  <td width=19 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=113 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>506,000&nbsp;&nbsp; </p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>574,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1">
  <p align=right>&nbsp;</p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(68,000)&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=186 valign=top style="border-left-style: solid; border-left-width: 1; border-right-style: solid; border-right-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p>Total</p>
  </td>
  <td width=19 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=113 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,071,000&nbsp;&nbsp; </p>
  </td>
  <td width=42 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=108 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>1,120,000&nbsp;&nbsp; </p>
  </td>
  <td width=29 valign=top style="border-left-style: solid; border-left-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>$ </p>
  </td>
  <td width=103 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: solid; border-bottom-width: 1">
  <p align=right>(49,000)&nbsp;</p>
  </td>
 </tr>
</table>

</div>





<p align="justify" style="text-indent: 30">
<b>Net Interest Expense. </b>&nbsp;Net interest expense was $65,000 in the nine
months March 31, 2003 compared to $60,000 for the period ended March 31,
2002.&nbsp; This was due to higher minimum
interest charges for the credit line partially offset by lower interest costs
associated with the long term debt. </p>





<p align="justify" style="text-indent: 30"><b>Provision for Taxes</b>. The Company's
effective tax rate on (loss) from operations is 40% for the nine months ended
March 31, 2003, and 2002. </p>

<p align="center">-22-</p>

<hr color="#000080"><p style="page-break-after: always"></p>

<p align="center">&nbsp;</p>

<p><b>Liquidity and Capital Resources </b></p>

<p>The following table presents selected financial statistics and
information for the periods indicated (unaudited):</p>

<div align=center>

<table border=1 cellspacing=0 cellpadding=0 width=520 bordercolor="#000000" style="border-collapse: collapse">
 <tr>
  <td width=294 valign=top style="border-right-style: solid; border-right-width: 1; border-top-color: #000000; border-top-width: 1">
  <p><i>&nbsp;</i></p>
  </td>
  <td width=216 colspan=2 valign=top style="border-right-style: solid; border-right-width: 1; border-top-style: solid; border-top-width: 1; border-bottom-style: none; border-bottom-width: medium">
  <p align=center>As
  of or for the Nine Months Ended March 31,</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=top>

  </td>
  <td width=108 valign=top style="border-top-style: none; border-top-width: medium">
  <p align=center>2003</p>
  </td>
  <td width=108 valign=top style="border-right-color: #000000; border-right-width: 1; border-top-style: none; border-top-width: medium">
  <p align=center>2002</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=top>
  <p>Cash and cash equivalents </p>
  </td>
  <td valign=top align="right">
  <p align=right>$324,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-right-color: #000000; border-right-width: 1">
  <p align=right>$493,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=top>
  <p>Net cash (used in)
  operations </p>
  </td>
  <td valign=top align="right">
  <p align=right>($300,000)</p>
  </td>
  <td valign=top align="right" style="border-right-color: #000000; border-right-width: 1">
  <p align=right>($828,000)</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=top>
  <p>Working Capital</p>
  </td>
  <td valign=top align="right">
  <p align=right>$4,000,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-right-color: #000000; border-right-width: 1">
  <p align=right>$3,963,000&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=top>
  <p>Credit Line outstanding
  balance </p>
  </td>
  <td valign=top align="right">
  <p align=right>$627,000&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-right-color: #000000; border-right-width: 1">
  <p align=right>$0&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=top>
  <p>Tangible book value/common
  share</p>
  </td>
  <td valign=top align="right">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $0.70&nbsp;</p>
  </td>
  <td valign=top align="right" style="border-right-color: #000000; border-right-width: 1">
  <p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $0.74&nbsp;</p>
  </td>
 </tr>
 <tr>
  <td width=294 valign=bottom>
  <p>Number of days of sales
  outstanding in accounts receivable at end of quarter </p>
  </td>
  <td valign=bottom align="right">
  <p>63&nbsp;</p>
  </td>
  <td valign=bottom align="right" style="border-right-color: #000000; border-right-width: 1">
  <p>51&nbsp;</p>
  </td>
 </tr>
</table>

</div>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </p>

<p align="justify" style="text-indent: 30">The Company's working
capital at March 31, 2003 remained stable at approximately $4.0 million
compared to approximately $4.0 million at March 31, 2002.&nbsp; Cash Flow (used in) Operations was ($300,000)
in the nine months ended March 31, 2003 compared to ($828,000) for the nine
months ended March 31, 2002.&nbsp; Cash was
provided through a significant reduction in the Company's loss and such cash
offset the cash uses resulting from changes in the Company's working capital
components, especially an increase in receivables during such period.&nbsp; As a result, cash flow from the operating
activities improved during the period.&nbsp; Management
believes that the Company's working capital needs over the next twelve months
can be adequately supported by current operations.</p>



<p align="justify" style="text-indent: 30">The Company has increased
its backlog to $5.3 million at March 31, 2003 compared to $2.2 million at March
31, 2002.&nbsp; This increase is attributed to
booking significant orders in the current quarter that were related to
production contracts from the previous year's development efforts.&nbsp; The backlog is expected to be fully shipped
over the next 12 months.</p>



<p align="justify" style="text-indent: 30">The subsidiaries of the
Company entered into a credit facility with Wells Fargo Business Credit Inc.
(WFBCI) in May 2002 for borrowings up to the lesser of $3,000,000 or 80% of the
eligible accounts receivable at Micro Motors Inc. (&quot;Micro Motors&quot;) plus 85% of
the eligible accounts receivable at Oregon Micro Systems (&quot;OMS&quot;) The terms of
the credit facility expire May 2005 and require monthly interest payments at
the prime rate (4.25% at March 31, 2003) plus 1.00% to 1.75% based on
outstanding borrowings, with a minimum interest charge of $12,500 per quarter.&nbsp; The outstanding borrowings are secured by all
assets of the Company's two subsidiaries, Micro Motors and OMS, and are
guaranteed by the Company.&nbsp; The
outstanding balance under terms of this credit facility as of March 31, 2003
was $627,000.&nbsp; The total additional
eligible borrowing capacity based on the receivables balances at March 31, 2003
was $1,195,000.&nbsp; There are certain
financial and non-financial covenants that the Company must meet to be in
compliance with the terms of the credit facility.&nbsp; As of March 31, 2003, Micro Motors and OMS
were in compliance with all such covenants.&nbsp;
</p>



<p align="justify" style="text-indent: 30">In September 2002, the Company's
Board of Directors authorized the repurchase on the open market of up to 500,000
shares of the Company's outstanding Common Stock, subject to compliance with
applicable laws and regulations.&nbsp; There is no requirement that the Company
repurchase all or any portion of such shares.&nbsp; The maximum total value of
the repurchase is not to exceed $500,000.&nbsp; This repurchase is to be
financed both with cash generated by operations and through the utilization of
the Company's credit facility.&nbsp; From the inception of the repurchase
authorization through the quarter end date of March 31, 2003, the Company
repurchased 63,600 shares of Common Stock for $32,509, at an average price of
$0.51.</p>

<p align="justify" style="text-indent: 30">The
Company believes that its cash and cash equivalents on hand at March 31, 2003,
together with cash flows from operations, if any, will be sufficient to meet
its working capital and capital expenditure requirements for the balance of
fiscal 2003.</p>



<p align="center">-23-</p>



<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">&nbsp;</p>



<p><b>Item 3. Controls and Procedures</b></p>

<p align="justify" style="text-indent: 30">Our Chief
Executive Officer and Chief Financial Officer (our principal executive officer
and principal financial officer, respectively) have concluded, based on their
evaluation as of May 1, 2003 (&quot;Evaluation Date&quot;), that the design and
operation of our &quot;disclosure controls and procedures&quot; (as defined in
Rules 13a-14(c) and 15d-14(c) under the Securities Exchange Act of 1934, as
amended (&quot;Exchange Act&quot;)) are effective to ensure that information required
to be disclosed by the Company in the reports filed or submitted by us under
the Exchange Act is accumulated, recorded, processed, summarized and reported
to our management, including our principal executive officer and our principal
financial officer, as appropriate to allow timely decisions regarding whether
or not disclosure is required.</p>



<p align="justify" style="text-indent: 30">There were no
significant changes in internal controls or in other factors that could
significantly affect internal controls subsequent to the Evaluation Date, nor
were there any significant deficiencies or material weaknesses in our internal
controls. As a result, no corrective actions were required or undertaken.</p>

<p><b>&nbsp;</b></p>



<p align="center">



<br clear=all>


- -24-</p>


<hr color="#000080"><p style="page-break-after: always"></p>



<p align="center">



&nbsp;</p>


<p align=center><b>PART II <br>
OTHER INFORMATION </b></p>

<p align=center>&nbsp;</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <b>Item
1 - Legal Proceedings </b></p>



<p align="justify" style="text-indent: 30">The Company is a party to
various legal proceedings incidental to its business, none of which are
considered by the Company to be material at this time.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <b>Item 2. &nbsp;&nbsp;&nbsp;&nbsp; Changes in Securities
and Use of Proceeds. </b>&nbsp;<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; None.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <b>Item 3. &nbsp;&nbsp;&nbsp;&nbsp; Defaults Upon Senior
Securities. </b>&nbsp;<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; None.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <b>Item 4. &nbsp;&nbsp;&nbsp;&nbsp; Submissions of Matters
to a Vote of Securities Holders. </b>&nbsp;<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; None.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <b>Item 5. &nbsp;&nbsp;&nbsp;&nbsp; Other Information. </b>&nbsp;<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; None.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <b>Item 6. &nbsp;&nbsp;&nbsp;&nbsp; Exhibits and Reports on
Form 8-K. </b>&nbsp;</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Exhibits</u>:</p>



<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 99.1&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Officers' Certification</p>







<p align="justify">Pursuant to the requirements of the Securities Exchange
Act of 1934, the Company has duly caused this report to be signed on its behalf
by the undersigned thereunto duly authorized.</p>



<div align="left">



<table border=0 cellspacing=0 cellpadding=0 width="740" style="border-collapse: collapse" bordercolor="#111111">
 <tr>
  <td width=309 valign=top>
  <p>Date:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; May 12, 2003&nbsp;</p>
  </td>
  <td width=411 valign=top>
  <p>/s/ Patrick L.
  Johnson </p>
  </td>
 </tr>
 <tr>
  <td width=309 valign=top>
  <p>&nbsp;&nbsp; </p>
  </td>
  <td width=411 valign=top>
  <p>_______________________________ </p>
  </td>
 </tr>
 <tr>
  <td width=309 valign=top>
  <p>&nbsp;&nbsp; </p>
  </td>
  <td width=411 valign=top>
  <p>Patrick L. Johnson, Chief Executive Officer and
  President </p>
  </td>
 </tr>
 <tr>
  <td width=309 valign=top>

  </td>
  <td width=411 valign=top>
  <p>&nbsp;&nbsp;&nbsp; </p>
  </td>
 </tr>
 <tr>
  <td width=309 valign=top>
  <p>Date:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; May 12, 2003&nbsp;</p>
  </td>
  <td width=411 valign=top>
  <p>/s/ Jeffrey J. Ritchey </p>
  </td>
 </tr>
 <tr>
  <td width=309 valign=top>
  <p>&nbsp;&nbsp; </p>
  </td>
  <td width=411 valign=top>
  <p>_______________________________ </p>
  </td>
 </tr>
 <tr>
  <td width=309 valign=top>
  <p>&nbsp;&nbsp; </p>
  </td>
  <td width=411 valign=top>
  <p>Jeffrey J. Ritchey, Chief Financial Officer </p>
  </td>
 </tr>
</table>

</div>

<br clear=all>


<p>&nbsp;</p>
<p align="center">-25-</p>


<hr color="#000080"><p style="page-break-after: always"></p>
<p align="center">&nbsp;</p>


<p>I, Patrick L. Johnson,
certify that:</p>

<p style="text-indent: -50; margin-left: 50" align="justify">1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;I
have reviewed this quarterly report on Form 10-QSB of Pro-Dex, Inc.;</p>



<p style="text-indent: -50; margin-left: 50" align="justify">2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Based
on my knowledge, this quarterly report does not contain any untrue statement of
a material fact or omit to state a material fact necessary to make the
statements made, in light of the circumstances under which such statements were
made, not misleading with respect to the period covered by this quarterly
report; </p>



<p style="text-indent: -50; margin-left: 50" align="justify">3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Based
on my knowledge, the financial statements, and other financial information
included in this quarterly report, fairly present in all material respects the
financial condition, results of operations and cash flows of the registrant as
of, and for, the periods presented in this quarterly report; </p>



<p style="text-indent: -50; margin-left: 50" align="justify">4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The
registrant's other certifying officers and I am responsible for establishing
and maintaining disclosure controls and procedures (as defined in Exchange Act
Rules 13a-14 and 15d-14) for the registrant and we have:</p>



<p style="text-indent: -50; margin-left: 100" align="justify">a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;designed
such disclosure controls and procedures to ensure that material information
relating to the registrant, including its consolidated subsidiaries, is made
known to us by others within those entities, particularly during the period in
which this quarterly report is being prepared;</p>



<p style="text-indent: -50; margin-left: 100" align="justify">b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;evaluated
the effectiveness of the registrant's disclosure controls and procedures as of
a date within 90 days prior to the filing date of this quarterly report (the
&quot;Evaluation Date&quot;); and</p>



<p style="text-indent: -50; margin-left: 100" align="justify">c) &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;presented
in this quarterly report our conclusions about the effectiveness of the
disclosure controls and procedures based on our evaluation as of the Evaluation
Date;</p>



<p style="text-indent: -50; margin-left: 50" align="justify">5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The
registrant's other certifying officers and I have disclosed, based on our most
recent evaluation, to the registrant's auditors and the audit committee of
registrant's board of directors (or persons performing the equivalent
functions):</p>



<p style="text-indent: -50; margin-left: 100" align="justify">a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;all
significant deficiencies in the design or operation of internal controls which
could adversely affect the registrant's ability to record, process, summarize
and report financial data and have identified for the registrant's auditors any
material weaknesses in internal controls; and</p>



<p style="text-indent: -50; margin-left: 100" align="justify">b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;any
fraud, whether or not material, that involves management or other employees who
have a significant role in the registrant's internal controls; and</p>



<p style="text-indent: -50; margin-left: 50" align="justify">6.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The
registrant's other certifying officers and I have indicated in this quarterly
report whether or not there were significant changes in internal controls or in
other factors that could significantly affect internal controls subsequent to
the date of our most recent evaluation, including any corrective actions with
regard to significant deficiencies and material weaknesses.</p>



<p>Date: May 12,
2003&nbsp;&nbsp;&nbsp;</p>

<p>&nbsp;</p>

<div align="right">
  <table border="0" cellpadding="0" cellspacing="0" style="border-collapse: collapse" bordercolor="#111111" width="450" id="AutoNumber1">
    <tr>
      <td> <u>/s/
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Patrick
L. Johnson</u> _______</td>
    </tr>
    <tr>
      <td>Patrick
L. Johnson</td>
    </tr>
    <tr>
      <td>Chief
Executive Officer</td>
    </tr>
  </table>
</div>
<p align="center"><br clear=all>


- -26-</p>


<hr color="#000080"><p style="page-break-after: always"></p>
<p align="center">&nbsp;</p>


<p>I, Jeffrey J. Ritchey,
certify that: </p>



<p align="justify" style="text-indent: -50; margin-left: 50">1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
I
have reviewed this quarterly report on Form 10-QSB of Pro-Dex, Inc.;</p>



<p align="justify" style="text-indent: -50; margin-left: 50">2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Based
on my knowledge, this quarterly report does not contain any untrue statement of
a material fact or omit to state a material fact necessary to make the
statements made, in light of the circumstances under which such statements were
made, not misleading with respect to the period covered by this quarterly
report; </p>



<p align="justify" style="text-indent: -50; margin-left: 50">3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Based
on my knowledge, the financial statements, and other financial information
included in this quarterly report, fairly present in all material respects the
financial condition, results of operations and cash flows of the registrant as
of, and for, the periods presented in this quarterly report; </p>



<p align="justify" style="text-indent: -50; margin-left: 50">4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The
registrant's other certifying officers and I am responsible for establishing
and maintaining disclosure controls and procedures (as defined in Exchange Act
Rules 13a-14 and 15d-14) for the registrant and we have:</p>



<p align="justify" style="text-indent: -50; margin-left: 100">a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;designed
such disclosure controls and procedures to ensure that material information
relating to the registrant, including its consolidated subsidiaries, is made
known to us by others within those entities, particularly during the period in
which this quarterly report is being prepared;</p>



<p align="justify" style="text-indent: -50; margin-left: 100">b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;evaluated
the effectiveness of the registrant's disclosure controls and procedures as of
a date within 90 days prior to the filing date of this quarterly report (the
&quot;Evaluation Date&quot;); and</p>



<p align="justify" style="text-indent: -50; margin-left: 100">c) &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;presented
in this quarterly report our conclusions about the effectiveness of the
disclosure controls and procedures based on our evaluation as of the Evaluation
Date;</p>



<p align="justify" style="text-indent: -50; margin-left: 50">5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The
registrant's other certifying officers and I have disclosed, based on our most
recent evaluation, to the registrant's auditors and the audit committee of
registrant's board of directors (or persons performing the equivalent
functions):</p>



<p align="justify" style="text-indent: -50; margin-left: 100">a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;all
significant deficiencies in the design or operation of internal controls which
could adversely affect the registrant's ability to record, process, summarize
and report financial data and have identified for the registrant's auditors any
material weaknesses in internal controls; and</p>



<p align="justify" style="text-indent: -50; margin-left: 100">b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;any
fraud, whether or not material, that involves management or other employees who
have a significant role in the registrant's internal controls; and</p>



<p align="justify" style="text-indent: -50; margin-left: 50">6.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The
registrant's other certifying officers and I have indicated in this quarterly
report whether or not there were significant changes in internal controls or in
other factors that could significantly affect internal controls subsequent to
the date of our most recent evaluation, including any corrective actions with
regard to significant deficiencies and material weaknesses.</p>



<p>Date: May 12, 2003&nbsp;&nbsp;&nbsp;</p>

<div align="right">
  <table border="0" cellpadding="0" cellspacing="0" style="border-collapse: collapse" bordercolor="#111111" width="450" id="AutoNumber2">
    <tr>
      <td align="left"> <u>/s/

&nbsp; JEFFREY J. RITCHEY&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </u>
      </td>
    </tr>
    <tr>
      <td>Jeffrey
J. Ritchey</td>
    </tr>
    <tr>
      <td>Chief
Financial Officer</td>
    </tr>
  </table>
</div>
<p align="center">

<br clear=all>




- -27-</p>

</body>

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<FILENAME>exhibit99-1.htm
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<title>Exhibit 99.1</title>
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<p><b>EXHIBIT 99.1</b></p>



<p align=center>&nbsp;</p>

<p align=center><b>CERTIFICATIONS
OF CHIEF EXECUTIVE OFFICER AND CHIEF FINANCIAL OFFICER<br>
PURSUANT
TO 18 U.S.C. SECTION 1350, <br>
AS ADOPTED PURSUANT TO <br>
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002</b></p>



<p align="justify" style="text-indent: 50">In connection with the
quarterly report on Form 10-Q of Quality Systems, Inc. (the &quot;Company&quot;) for the
quarterly period ended December 31, 2002 (the &quot;Report&quot;), the undersigned hereby
certifies in his capacity as Chief Executive Officer of the Company, pursuant
to 18 U.S.C. section 1350, as adopted pursuant to Section 906 of the
Sarbanes-Oxley Act of 2002, that:</p>

<p align="justify" style="text-indent: 50">1.&nbsp;&nbsp; the Report fully complies with the
requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934,
as amended; and</p>

<p align="justify" style="text-indent: 50">2.&nbsp;&nbsp; the information contained in the Report
fairly presents, in all material respects, the financial condition and results
of operations of the Company.</p>



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      <td width="365">Dated: May 12, 2003</td>
      <td width="396">By:<u>
/s/ &nbsp;&nbsp; Patrick
L. Johnson&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </u>
      </td>
    </tr>
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      <td width="365">&nbsp;</td>
      <td width="396">Patrick
L. Johnson</td>
    </tr>
    <tr>
      <td width="365">&nbsp;</td>
      <td width="396">Chief
Executive Officer and President</td>
    </tr>
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<p><u><br></u></p>



<p align="justify" style="text-indent: 50">In connection with the
quarterly report on Form 10-Q of Quality Systems, Inc. (the &quot;Company&quot;) for the
quarterly period ended December 31, 2002 (the &quot;Report&quot;), the undersigned hereby
certifies in his capacity as Chief Financial Officer of the Company, pursuant
to 18 U.S.C. section 1350, as adopted pursuant to Section 906 of the
Sarbanes-Oxley Act of 2002, that:</p>

<p align="justify" style="text-indent: 50">1.&nbsp;&nbsp; the Report fully complies with the
requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934,
as amended; and</p>

<p align="justify" style="text-indent: 50">2.&nbsp;&nbsp; the information contained in the Report
fairly presents, in all material respects, the financial condition and results
of operations of the Company.</p>



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      <td width="366">Dated: May 12, 2003</td>
      <td width="395">By:<u>
/s/ &nbsp;&nbsp; JEFFREY J. RITCHEY&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&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>
      </td>
    </tr>
    <tr>
      <td width="366">&nbsp;</td>
      <td width="395">Jeffrey
J. Ritchey</td>
    </tr>
    <tr>
      <td width="366">&nbsp;</td>
      <td width="395">Chief Financial Officer</td>
    </tr>
  </table>
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<p>&nbsp;</p>





<p align=center><b>End
of Filing</b></p>

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