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Full title: Chapter 11 Monthly Operating Report for the Month Ending: 05/31/2021 Filed by Debtor Freedom Communications, Inc.. (Friedman, Alan) (Entered: 06/15/2021)

Document posted on Jun 14, 2021 in the bankruptcy, 29 pages and 0 tables.

Bankrupt11 Summary (Automatically Generated)

Disbursements Disbursements Disbursements Disbursements Fe '- $000's - '- $000's - '- $000's - '- $000's - - $ Freedom, Inc. fred 738-15-15315 46-3867300 $ 328 $ - $ - $ 328 $ om Communications Holdings, Inc. xhold 738-15-15312 33-0942814 $ - $ - $ - $ - $ om Communications, Inc. xfci 738-15-15311 95-1140750 $ 7 $ 6 $ - $ 1 4 $ om Newspapers, Inc. xfni 738-15-15325 33-0743240 $ - $ - $ - $ - $ e County Register Communications, Inc. focn 738-15-15329 33-0867980 $ - $ - $ - $ - $ Community Publications, Inc.Escrow Bank of the West 2100 Freedom, Inc. x - n/a n/XX66350 Lockbox The Bank of New York Mellon Freedom Communications Inc x - n/a n/X00033 City National Bank Freedom SPV I, LLC x - n/a n/X89602 Concentration City National Bank Freedom Communications Inc x - n/a n/X42465 Lockbox City National Bank Freedom Communications Inc x - n/a n/X42473 ACH/Credit Cards SPV I, LLC SPV II, LLC SPV IV, LLC SPV V, LLC SPV VI, LLC Inc.SPV I, LLC SPV II, LLC SPV IV, LLC SPV V, LLC SPV VI, LLC Inc.California Mary Publishing Publishing Legal Entity Name: Inc. Services, Inc. Marketing, Inc.

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UNITED STATES BANKRUPTCY COURT FOR THE CENTRAL DISTRICT OF CALIFORNIA Case No. 8:15-bk-15311-MW In re: Freedom Communications, Inc., et al. Reporting Period: 05/01/21 - 05/31/21 Debtors MONTHLY OPERATING REPORT Submit copy of report to any official committee appointed in the case. Document Explanation Affidavit REQUIRED DOCUMENTS Form No. Attached Attached Attached Schedule of Cash Receipts and Disbursements MOR-1 X Bank Reconciliation (or copies of debtor's bank reconciliations) MOR-1a X Schedule of Professional Fees Paid MOR-1b X Copies of bank statements X Cash disbursements journals X Statement of Operations MOR-2 X Balance Sheet MOR-3 X Status of Postpetition Taxes MOR-4 X Copies of IRS Form 6123 or payment receipt X Copies of tax returns filed during reporting period X Summary of Unpaid Postpetition Debts MOR-4 X Listing of aged accounts payable MOR-4 X Listing of unpaid administrative professional fees and expenses MOR-4 XAccounts Receivable Reconciliation and Aging MOR-5 X Debtor Questionnaire MOR-5 X I declare under penalty of perjury (28 U.S.C. Section 1746) that this report and the attached documentsare true and correct to the best of my knowledge and belief. 6/15/2021 _______________________________________ ______________________________Brad Smith Date CRO *Authorized individual must be an officer, director or shareholder if debtor is a corporation; a partner if debtoris a partnership; a manager or member if debtor is a limited liability company.

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Debtors 05/01/21 - 05/31/21 SCHEDULE OF CASH RECEIPTS AND DISBURSEMENTS (a) Week Ended AMOUNTS IN 000'S 5/7/2021 5/14/2021 5/21/2021 5/28/2021 TotalReceipts $ - $ - $ - $ - $ - Miscellaneous Receipts - - - - -Total Receipts $ - $ - $ - $ - $ - Operating Disbursements Payroll & Benefits $ - $ - $ - $ - $ - Paper & Ink - - - - -Purchased Content - - - - -Outside Services 6 - - - 6Operating Supplies & Materials - - - - -Repairs & Maintenance - - - - -Promotion and Marketing - - - - -Postage, Office Supplies, Dues, and Subscriptions - - - - -Travel, Meals, and Entertainment - - - - -Training, Seminars, Events, and Communications - - - - -Insurance - - - - -Utilities, Rent, and Lease - - - - -Taxes (non-income) - - - - -Total Operating Disbursements $ 6 $ - $ - $ - $ 6Capital Expenditures $ - $ - $ - $ - $ - Interest and Principal Payments - - - - -Income Taxes - - - - -Restructuring Professional Fees - - - - -Other Disbursements 0 - 0 - 0Finance and Other Disbursements $ 0 $ - $ 0 $ - $ 0Total Disbursements $ 6 $ - $ 0 $ - $ 6Cash Flow $ ( 6) $ - $ ( 0) $ - $ ( 6)Cash Collateral - Beginning $ 258 $ 252 $ 252 $ 252 $ 258Interest Income - - - - -Trustee Fees - - - - -Transfers In - Op Accounts - - - - -Transfers In/Receipts - Non Op Accounts - - - - -Transfers Out - Op Accounts - - - - -Transfers Out - Non Op Accounts - - - - -Disbursements to/on behalf of Buyer - - - - -Change in Operating Cash (above) ( 6) - ( 0) - ( 6)Cash Collateral - Ending $ 252 $ 252 $ 252 $ 252 $ 252(a) This schedule summarizes the debtor's disbursements. A separate file containing detail disbursements is available upon request. Note: Cash receipts and disbursements are tracked on a weekly basis. Therefore, the time period covered by this schedule will not reflect the actual calendar month. The actual time period covered is noted at the top of each column. Cash receipts and disbursements exclude intercompany transfers among debtor entities.

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DISBURSEMENTS $ 335 $ 6 $ - $ 342 S: TRANSFERS TO DEBTOR IN POSSESSION ACCOUNTS - - - S: ESTATE DISBURSEMENTS MADE BY OUTSIDE SOURCES (i.e. from escrow accounts) - - - - L DISBURSEMENTS FOR CALCULATING U.S. TRUSTEE QUARTERLY FEES $ 335 $ 6 $ - $ 342Based on book allocation Database Apr-21 May-21 Jun-21 Apr-21 to Jun-21 Filing Entities Code UST Acct. TaxpayerID Disbursements Disbursements Disbursements Disbursements Fe '- $000's - '- $000's - '- $000's - '- $000's - - $ Freedom, Inc. fred 738-15-15315 46-3867300 $ 328 $ - $ - $ 328 $ om Communications Holdings, Inc. xhold 738-15-15312 33-0942814 $ - $ - $ - $ - $ om Communications, Inc. xfci 738-15-15311 95-1140750 $ 7 $ 6 $ - $ 1 4 $ om Newspapers, Inc. xfni 738-15-15325 33-0743240 $ - $ - $ - $ - $ e County Register Communications, Inc. focn 738-15-15329 33-0867980 $ - $ - $ - $ - $ Community Publications, Inc. ocrc 738-15-15316 33-0879752 $ - $ - $ - $ - $ Information Marketing, Inc. ocri 738-15-15327 33-0867983 $ - $ - $ - $ - $ om California Mary Publishing, Inc. mary 738-15-15318 68-0424121 $ - $ - $ - $ - $ om Colorado Information, Inc. xcolo 738-15-15320 84-1517806 $ - $ - $ - $ - $ om Newspapers of Southwestern Arizona, Inc. xyuma 738-15-15326 33-0915797 $ - $ - $ - $ - $ a American odes 738-15-15328 75-0757714 $ - $ - $ - $ - $ Valley Publishing Company vv 738-15-15330 95-2406082 $ - $ - $ - $ - $ Press vict 738-15-15317 95-2093610 $ - $ - $ - $ - $ om Newspaper Acquisitions, Inc. xfna 738-15-15323 33-0744322 $ - $ - $ - $ - $ om California Ville Publishing Company LP port 738-15-15319 95-3317735 $ - $ - $ - $ - $ LLC spi 738-15-15340 46-4123293 $ - $ - $ - $ - $ I LLC spii 738-15-15337 46-4128253 $ - $ - $ - $ - $ V LLC spiv 738-15-15342 46-4128500 $ - $ - $ - $ - $ LLC spv 738-15-15343 46-4129036 $ - $ - $ - $ - $ I LLC spvi 738-15-15339 46-4128434 $ - $ - $ - $ - $ ville Publishing Company vpub 738-15-15332 33-0047617 $ - $ - $ - $ - $ om Newspapers xfnp 738-15-15324 74-1157766 $ - $ - $ - $ - $ om Interactive Newspapers, Inc. fimi 738-15-15321 33-0859343 $ - $ - $ - $ - $ om Interactive Newspapers of Texas, Inc. imtx 738-15-15322 74-2988187 $ - $ - $ - $ - $ om Services, Inc. fsvc 738-15-15313 33-0873125 $ - $ - $ - $ - $ L $ 335 $ 6 $ - $ 342 $ fy under penalty of perjury that, to the best of my knowledge, the above disbursement information is true and correct. 6/15/2021 Smith Date

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Debtors Period: 05/01/21 - 05/ SCHEDULE OF DEPOSIT ACCOUNTS AND SECURITIES ACCOUNTS Balances as of May 31, 2021 Amounts in 000's ccount Under Control Balance Ba mber * Account Type Bank Entity and/or Account Function Arrangement 5/31/2021 Bank Stmt RecXX49958 Concentration Bank of the West Freedom Communications Inc x $ - n/a n/XX49966 Lockbox Bank of the West Freedom Communications Inc x - n/a n/XX49990 Electronic Deposits Bank of the West Freedom Communications Inc x - n/a n/XX95314 FSA Bank of the West Freedom Communications Inc - n/a n/X12763 ** Deposits Bank of the West Freedom Communications Inc 0 x xXX50006 Accounts Payable Bank of the West Freedom Services Inc x 2 52 x xXX50022 Payroll Bank of the West Freedom Services Inc x - n/a n/XX66322 Escrow Bank of the West 2100 Freedom, Inc. x - n/a n/XX66350 Lockbox The Bank of New York Mellon Freedom Communications Inc x - n/a n/X00033 City National Bank Freedom SPV I, LLC x - n/a n/X89602 Concentration City National Bank Freedom Communications Inc x - n/a n/X42465 Lockbox City National Bank Freedom Communications Inc x - n/a n/X42473 ACH/Credit Cards City National Bank Freedom Communications Inc x - n/a n/X47173 Medical Flex City National Bank Freedom Communications Inc - n/a n/X47181 Line Collateral City National Bank Freedom Communications Inc x - n/a n/X85151 City National Bank Freedom Communications Holdings Inc x - n/a n/X85925 Accounts Payable City National Bank Freedom Services Inc x - n/a n/X85933 AP EFT City National Bank Freedom Services Inc x - n/a n/X85941 Payroll City National Bank Freedom Services Inc x - n/a n/Certificate of Deposit to back Revolving Note which backs Letter of XX2387 Credit City National Bank Freedom Communications Inc 1 18 (1) n/Certificate of Deposit as collateral for State of Colorado Workers XX2123 Compensation SIR City National Bank Freedom Communications Inc - n/a n/Certificate of Deposit as collateral for State of Colorado Workers XX2115 Compensation SIR City National Bank Freedom Communications Inc - n/a n/Certificate of Deposit as collateral for State of Colorado Workers XX2107 Compensation SIR City National Bank Freedom Communications Inc - n/a n/XXXXX37 Account Closed - see Wells Fargo Bank Daily Press, LLC Acct Closed - n/a n/XXXXX37 Account Closed - see Wells Fargo Bank Daily Press, LLC Acct Closed - n/a n/XXXXX37 Account Closed - see Wells Fargo Bank Daily Press, LLC Acct Closed - n/a n/Total Cash and Securities $ 3 70 Amounts under Control Arrangements x $ 2 52 % Cash and Securities under Control Arrangement 68% rtion of each account number has been redacted for security reasons. See separate bank reconciliation and statement files. bank account opened December 2018. fective November 1, 2017, City National Bank will only be providing quarterly statements on this item. Balance reported represents ount reported on the latest statement available and the Company is not aware of any material changes to such balance at this time.

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Debtors 05/01/21 - 05/31/21 SCHEDULE OF PROFESSIONAL FEES AND EXPENSES PAID (retained professional payments for current month) Amounts in 000's Week Week Week Week Ended Ended Ended Ended 05/07/21 05/14/21 05/21/21 05/28/21 Total Debtors Lobel Weiland Golden Friedman LLP $ - $ - $ - $ - $ -Shulman Hodges & Bastian LLP - - - - $ -Crowell & Moring - - - - $ -A. Lavar Taylor, LLP - - - - $ -Alvarez & Marsal North America LLC - - - - $ -Squar Milner - - - - $ -Pachulski Stang Ziehl & Jones LLP - - - - $ -GlassRatner Advisory & Capital Group LLC - - - - $ -Rutan & Tucker LLP - - - - $ -US Trustee Fees - - - - $ -Mosier & Company, Inc. - - - - $ -FTI Consulting Inc - - - - $ -subtotal $ - $ - $ - $ - $ -Creditors Silver Point Counsel $ - $ - $ - $ - $ -subtotal $ - $ - $ - $ - $ -Total $ - $ - $ - $ - $ -

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tatement of Operations onsolidated 2100 Freedom, Inc. (less Freedom Communications Holdings, Inc. - Press Enterprise Operations)NAUDITED Dollars in thousands) Month ended Cumulative - Filing to May 31, May 31, 2021 2021 perating Revenue: dvertising $ - $ 28,709irculation - 21,320ther - 10,831Total operating revenue - 60,860perating Expenses: ayroll and benefits - (87,746)ewsprint and ink - 9,296epreciation - 1,692mortization - 799mpairment - -ther operating expense - net 1 03 44,619Total operating expense (income) 103 (31,339)perating (Loss) Income (103) 92,200ther Income (Expense): et interest expense - (1,799)ther expense - net - (20,125)Total other expense - (21,924)Loss) Profit Before Income Taxes (103) 70,276ncome Tax Benefit - 6,254et (Loss) Income $ (103) $ 76,530he accompanying Notes to Financial Statements are an integral part of these statements.

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Statement of Operations Freedom Communications Holdings, Inc. (Press Enterprise Operations)UNAUDITED (Dollars in thousands) Month ended Cumulative - Filing to May 31, May 31, 2021 2021 Operating Revenue: Advertising $ - $ 11,381Circulation - 7,561Other - 768Total operating revenue - 19,710Operating Expenses: Payroll and benefits - 4,929Newsprint and ink - 1,708Depreciation - 415Amortization - 1 00Impairment - -Other operating expenses - 8,165Total operating expenses - 15,317Operating Income - 4,394Other Expenses: Net interest expense - (506)Other expense - net - (8,605)Total other expenses - (9,112)Loss Before Income Taxes - (4,718)Income Tax Benefit (Expense) - -Net Loss $ - $ (4,718)The accompanying Notes to Financial Statements are an integral part of these statements.

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UNAUDITED (Dollars in thousands) May 31, Assets 2021 Current Assets: Cash and cash equivalents $ 252 Receivables - Inventories - net - Income taxes receivable - Deferred income taxes - Prepaid expenses and other current assets 7,912Total current assets 8,163 Property, Plant, and Equipment - net -Goodwill and Other Intangible Assets, net -Deferred Financing Fees - Other Assets 21 Total Assets $ 8,184 Liabilities and Stockholders' Deficiency Current Liabilities: Current portion of long-term obligations $ 4,000Salaries, wages, and employee benefits 2,724Accounts payable 26,082 Unearned subscription revenue -Deferred income taxes - Income taxes payable (2) Other accrued liabilities 39,345 Current pension and other retirement related liabilities 38Total current liabilities 72,188 Long-term obligations - net of current portion 652Long-term pension and other retirement related liabilities 242Deferred income taxes 3,012 Other long-term liabilities 307 Total liabilities 76,400 Commitments and Contingencies Stockholders' Deficiency Preferred Stock: Series A, $.001 par value; 900,000 shares authorized, issued, and outstanding 1Series B, $.001 par value; 1,050,000 shares authorized, issued, and outstanding 1Series C, $.001 par value; 94,196 shares authorized, issued, and outstanding -Series D, $.001 par value; 2,575,150 shares authorized, issued, and outstanding 3Series E, $.001 par value; 5,510,800 shares authorized; 2,197,838 shares issued and outstanding 2Common Stock: Class A, $.001 par value; 31,140,946 shares authorized, 15,500,000 shares issued and outstanding 16Class F Non-Voting, $.001 par value; 5,510,800 shares authorized; 2,197,838 shares issued and outstanding 2Additional paid-in capital 35,552 Accumulated deficit (104,444) Accumulated other comprehensive income 652Total stockholders' deficiency (68,216)Total Liabilities and Stockholders' Deficiency $ 8,184

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OTESTOFINANCIALSTATEMENTS: nNovember1,2015,theCompanyandcertainofitssubsidiaries(theDebtors)filedavoluntarypetitionforreliefunderChapter11oftheUnitedStatesankruptcyCodeintheU.S.BankruptcyCourtCentralDistrictofCaliforniainSantaAna.TheCompanycontinuestooperateitsbusinessespursuanttoections1107(a)and1108oftheBankruptcyCode.OnMarch31,2016,theCompanysolditsbusinessesbyenteringintotheAssetPurchaseAgreementmong2100Freedom,Inc.,severalofitssubsidiaries,andMediaNewsGroup,Inc.(the"Agreement"). heaboveunaudited condensedinterimfinancialstatements:1)donotincludeall oftheinformationandfootnotedisclosuresrequiredbyGAAPfornnualfinancialstatementsorcompaniesthatcontinuetooperateunderChapter11oftheUnitedStatesBankruptcyCode,2)donotpresentamountsttributabletononcontrollinginterestseparatefromamountsattributableto2100Freedom,Inc.,3)donotpresenteitherasinglecombinedorseparatetatement of comprehensive income, 4) do not include a statement of stockholders' (deficiency) equity, 5) do not include certain normal year-enddjustments, 6) present certain items in a summary format, 7) include the impact of the termination and transfer of the Company's defined benefitensionplantothePensionBenefitGuarantyCorporationeffectiveMarch31,2016andthetransferoftheCompany'sCaliforniaworkers'compensationssetsandliabilitiestothestateeffectiveApril8,2016,8)donotincludeanyadjustmentsassociatedwithpotentialuncertaintaxpositions,9)reflectthenitialrecognitionofthesaleoftheCompany'sbusinesses,whichissubjecttochange,associatedwiththeAgreementnotedabove,10)donotreflecttheompleterecognitionofallallowablebankruptcyclaimsastheclaimsevaluationandreviewprocesshasnotbeencompleted,and11)includetheimpactfrestatingindividualentitybooksandrecordsasofandfortheyearendedDecember31,2016toreflectthedissolutionoftheentityeitherbya)aompleteddissolutionbyDecember31,2016,orb)byananticipatedapproveddissolutionbythebankruptcycourteffectiveDecember31,2016. heCompanyenteredintoasettlementagreementbetweenandamongtheOfficialCommitteeofUnsecuredCreditorsofFreedomCommunications,nc.,et.al.andthePensionBenefitGuarantyCorporationwhichdefinestheallocationof$8.235millioninsettlementamountsawardedrelatedtocasesgainstcertainformerfiduciariesofTheRetirementPlanofFreedomCommunications,Inc.(the"Plan")andcertainPlanrelatedserviceproviders.Theompany recognized theimpact ofsuchagreement during February 2020. Theagreementprovided for the Pension Benefit GuarantyCorporation toeceive$2.745millionofthe$8.235millionsettlementamountsand,assuch,wasnotrecognizedbytheCompany. nApril28,2021,theDebtorsreceivedapprovaloftheSecondAmendedDisclosureStatementforSecondAmendedJointChapter11PlanofLiquidationroposedbyDebtorsandOfficialCommitteeofUnsecuredCreditors("DisclosureStatement").TheDebtorswereauthorizedtosolicitvoteswithrespectotheSecondAmendedJointChapter11PlanofLiquidationProposedbyDebtorsandOfficialCommitteeofUnsecuredCreditors(the"Plan")whichwereo be received no later than June 9, 2021. Finally, the Bankruptcy Court has scheduled a hearing (the "Plan Confirmation Hearing") on July 7, 2021,egardingtheconfirmationofthePlan. heseunauditedcondensedinterimfinancialstatementsshouldbereadinconjunctionwiththeCompany'sauditedfinancialstatementsasofandfortheearsendedDecember31,2014andDecember31,2013,however,suchfinancialstatementshavenotbeenfinalizedandarenotexpectedtobeissuedathistime.TheCompany'sauditedfinancialstatementsasofandfortheyearendedDecember31,2013wereissuedonApril17,2014. mountsmaynotfootduetorounding.

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Freedom Freedom OCR Communi 2100 Freedom, Communications Communications, PublicationsLegal Entity Name: Inc. Holdings, Inc. Inc. SPV I, LLC SPV II, LLC SPV IV, LLC SPV V, LLC SPV VI, LLC Inc. Database Code: FRED XHOLD XFCI SPI SPII SPIV SPV SPVI OCRC Freedom OCR Communi 2100 Freedom, Communications, Publications Database Name: Inc. FCHI Inc. SPV I, LLC SPV II, LLC SPV IV, LLC SPV V, LLC SPV VI, LLC Inc. May_21 May_21 May_21 May_21 May_21 May_21 May_21 May_21 May_21ALANCE SHEET SSETS urrent Assets: ash and Equivalents 0 0 55 0 0 0 0 0 ecurity Investments 0 0 0 0 0 0 0 0 eceivables - net 0 0 0 0 0 0 0 0 ventories - net 0 0 0 0 0 0 0 0 repaid Expenses 53,069 933,852 5,066,148 0 0 0 0 0 ther Current Assets 0 0 1,170,491 0 0 0 0 0 Total Current Assets 53,069 933,852 6,236,694 0 0 0 0 0ong Term Assets: tercompany (27,520,519) (135,817,006) 360,529,288 (1,552) 0 0 1,868,947 0 351,0roperty, Plant, and Equipment 0 0 0 0 0 0 0 0 oodwill and Other Intangible Assets 0 0 0 0 0 0 0 0 ecurity Investments 0 0 0 0 0 0 0 0 vestments In Subsidiaries 1 20,628 (21,947,195) 21,809,261 0 0 19,940,315 0ther Long Term Assets 0 0 21,041 0 0 0 0 0 Total Long Term Assets (27,520,518) (135,796,378) 338,603,134 21,807,709 0 0 21,809,261 0 351,0otal Assets (27,467,449) (134,862,525) 344,839,828 21,807,709 0 0 21,809,261 0 351,0iabilities and Shareholders' Equity urrent Liabilities: urrent Portion of long-term obligations 0 4,000,000 0 0 0 0 0 0ccounts Payable 0 128,288 38,014 0 0 0 0 0 ccrued Payroll and Benefits 0 254,002 2,493,598 0 0 0 0 0 5,5ther Accrueds Items 17,137,439 240,131 20,398,401 0 0 0 0 0 Total Current Liabilities 17,137,439 4,622,420 22,930,013 0 0 0 0 0 5,5ong Term Liabilities: ong-term Debt - net of current portion 0 0 651,579 0 0 0 0 0ther Long term liabilities 0 0 3,254,194 0 0 0 0 0 Total Long-term Liabilities 0 0 3,905,773 0 0 0 0 0 inority Interest Liability 0 0 0 0 0 0 0 0 hareholders' Equity ar 24,513 1 0 0 0 0 0 0 PIC 35,551,411 0 20,628 0 0 0 0 0 (49,0 reasury Stock 0 0 0 0 0 0 0 0 etained Earnings (80,180,812) (139,484,947) 317,331,374 21,807,709 0 0 21,809,261 0 394,5ccumulated Other Comprehensive Income 0 0 652,040 0 0 0 0 0 Total Shareholders Equity (44,604,888) (139,484,946) 318,004,042 21,807,709 0 0 21,809,261 0 345,4iabilities and Shareholders Equity (27,467,449) (134,862,525) 344,839,828 21,807,709 0 0 21,809,261 0 351,0

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Orange County Freedom Freedom Register OCR Freedom Colorado Freedom California Ville Victor Valley Communications, Freedom Information Newspapers, Information, California Mary Publishing Publishing Legal Entity Name: Inc. Services, Inc. Marketing, Inc. Inc. Inc. Publishing, Inc. Company LP Daily Press CompanyDatabase Code: FOCN FSVC OCRI XFNI XCOLO MARY PORT VICT VV Orange County Freedom Register OCR Freedom Colorado Porterville Victor Valley Communications, Freedom Information Newspapers, Information, Appeal- Recorder Publishing Database Name: Inc. Services, Inc. Marketing, Inc. Inc. Inc. Democrat, Inc. Company Daily Press CompanyMay_21 May_21 May_21 May_21 May_21 May_21 May_21 May_21 May_21BALANCE SHEET ASSETS Current Assets: Cash and Equivalents 0 251,646 0 0 0 0 0 0 Security Investments 0 0 0 0 0 0 0 0 Receivables - net 0 0 0 0 0 0 0 0 Inventories - net 0 0 0 0 0 0 0 0 Prepaid Expenses 0 0 0 0 0 0 0 0 Other Current Assets 0 664,187 0 0 23,776 0 0 0 Total Current Assets 0 915,833 0 0 23,776 0 0 0 Long Term Assets: Intercompany 0 (275,988,470) 0 19,862,403 25,951,287 9,715,080 0 21,177,088 42Property, Plant, and Equipment 0 0 0 0 0 0 0 0 Goodwill and Other Intangible Assets 0 0 0 0 0 0 0 0 Security Investments 0 0 0 0 0 0 0 0 Investments In Subsidiaries (385,195) 0 0 (81,157,732) 2,180,771 0 0 0 1,744,61Other Long Term Assets 0 0 0 0 0 0 0 0 Total Long Term Assets (385,195) (275,988,470) 0 (61,295,329) 28,132,058 9,715,080 0 21,177,088 1,745,03Total Assets (385,195) (275,072,637) 0 (61,295,329) 28,155,834 9,715,080 0 21,177,088 1,745,03Liabilities and Shareholders' Equity Current Liabilities: Current Portion of long-term obligations 0 0 0 0 0 0 0 0 Accounts Payable 0 25,915,644 0 0 0 0 0 0 Accrued Payroll and Benefits 0 8,530 0 0 0 0 0 0 Other Accrueds Items 0 11,643 0 0 289,677 28,237 0 1,236,774 Total Current Liabilities 0 25,935,818 0 0 289,677 28,237 0 1,236,774Long Term Liabilities: Long-term Debt - net of current portion 0 0 0 0 0 0 0 0 Other Long term liabilities 0 287,599 0 0 0 0 0 0 Total Long-term Liabilities 0 287,599 0 0 0 0 0 0 Minority Interest Liability 0 0 0 0 0 0 0 0 Shareholders' Equity Par 100 0 0 1 1 1 0 0 24,00 APIC 39,103,247 4,989,970 0 82,792,264 44,359,146 3,587,245 0 0 25,98Treasury Stock 0 0 0 0 0 0 0 0 (52,76 Retained Earnings (39,488,542) (306,286,024) 0 (144,087,594) (16,492,990) 6,099,597 0 19,940,315 1,747,81Accumulated Other Comprehensive Income 0 0 0 0 0 0 0 0 Total Shareholders Equity (385,195) (301,296,054) 0 (61,295,329) 27,866,157 9,686,843 0 19,940,315 1,745,03Liabilities and Shareholders Equity (385,195) (275,072,637) 0 (61,295,329) 28,155,834 9,715,080 0 21,177,088 1,745,03

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Freedom Freedom Freedom Freedom Victorville Newspapers of Interactive Newspaper Interactive Consolidation / ConsoliPublishing Southwestern Freedom Newspapers of Odessa Acquisitions, Newspapers, Elimination 2100 FreLegal Entity Name: Company Arizona, Inc. Newspapers Texas, Inc. American Inc. Inc. Entries IncInactive/Non- Database Code: VPUB XYUMA XFNP IMTX ODES XFNA FIMI filers AFCI XFRFreedom Freedom Freedom Freedom Victorville Newspapers of Interactive Newspaper Interactive Publishing Southwestern Freedom Newspapers of Odessa Acquisitions, Newspapers, Database Name: Company Arizona, Inc. Newspapers Texas, Inc. American Inc. Inc. FCI TopsidesMay_21 May_21 May_21 May_21 May_21 May_21 May_21 May_21 May_21 May_NCE SHEET TS t Assets: nd Equivalents 0 0 0 0 0 0 0 0 0 ty Investments 0 0 0 0 0 0 0 0 0 ables - net 0 0 0 0 0 0 0 0 0 ories - net 0 0 0 0 0 0 0 0 0 d Expenses 0 0 0 0 0 0 0 0 0 6, Current Assets 0 0 0 0 0 0 0 0 0 1, tal Current Assets 0 0 0 0 0 0 0 0 0 8, erm Assets: mpany (2,326) 0 0 0 0 (125,659) 0 0 0 ty, Plant, and Equipment 0 0 0 0 0 0 0 0 0 ill and Other Intangible Assets 0 0 0 0 0 0 0 0 0 ty Investments 0 0 0 0 0 0 0 0 0 ments In Subsidiaries 654,231 0 0 0 0 604,173 0 0 56,536,126Long Term Assets 0 0 0 0 0 0 0 0 0 tal Long Term Assets 651,905 0 0 0 0 478,514 0 0 56,536,126 ssets 651,905 0 0 0 0 478,514 0 0 56,536,126 8, ties and Shareholders' Equity t Liabilities: t Portion of long-term obligations 0 0 0 0 0 0 0 0 0 4, nts Payable 0 0 0 0 0 0 0 0 0 26, d Payroll and Benefits 0 0 0 0 0 0 0 0 0 2, Accrueds Items 0 0 0 0 0 0 0 (2) 1,568 39, l Current Liabilities 0 0 0 0 0 0 0 (2) 1,568 72, erm Liabilities: erm Debt - net of current portion 0 0 0 0 0 0 0 0 0 Long term liabilities 0 0 0 0 0 0 0 0 0 3, l Long-term Liabilities 0 0 0 0 0 0 0 0 0 4, ty Interest Liability 0 0 0 0 0 0 0 0 18,913 holders' Equity 0 0 0 0 0 1 0 0 (24,105) 0 0 0 0 0 30,958,476 0 0 (205,787,881) 35, ry Stock 0 0 0 0 0 0 0 0 52,761 ed Earnings 651,905 0 0 0 0 (30,479,964) 0 2 262,274,870 (104,4ulated Other Comprehensive Income 0 0 0 0 0 0 0 0 0 l Shareholders Equity 651,905 0 0 0 0 478,514 0 2 56,515,645 (68,2ties and Shareholders Equity 651,905 0 0 0 0 478,514 0 0 56,536,126 8,

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In re: Freedom Communications, Inc., et al. Case No. 8:15-bk-15311-MW Debtors Period: 05/01/21 - 05/31/21ACCOUNTS PAYABLE AGING Amounts in 000's Shared Services Accounts Payable Amount 0 - 30 days old $ 73 31 - 60 days old 52 61 - 90 days old 45 91+ days old 25,747 Total Shared Services Accounts Payable $ 25,916Other Accounts Payable (a) 166Total Accounts Payable $ 26,082 (a) Primarily consists of amounts due to newsprint carriers not yet set up in the accounts payable system.

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In re: Freedom Communications, Inc., et al. Case No. 8:15-bk-15311-MW Debtors Period: 05/01/21 - 05/31/21SCHEDULE OF UNPAID ADMINISTRATIVE PROFESSIONAL FEES AND EXPENSES Amounts in 000's Unpaid Estimated Invoices (a) Accruals (b) Total Lobel Weiland Golden Friedman LLP $ 1,198 $ - $ 1,198Shulman Hodges & Bastian LLP 2 09 - 209Crowell & Moring 10 - 10A. Lavar Taylor, LLP 1 31 15 147Alvarez & Marsal North America LLC 81 50 131Squar Milner 27 - 27Pachulski Stang Ziehl & Jones LLP 1 ,280 4 1,284GlassRatner Advisory & Capital Group LLC 2 23 1 224Rutan & Tucker LLP 26 - 26US Trustee Fees - 7 7Mosier & Company, Inc. 20 - 20FTI Consulting Inc 9 - 9Total unpaid administrative professional fees and expenses $ 3 ,214 $ 78 $ 3,291(a) Represent amounts for unpaid invoices received and included in accounts payable as of the period ended herein. (b) Represent amounts of estimated accruals included in other accrued liabilities as of the period ended herein.

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In re: Freedom Communications, Inc., et al. Case No. 8:15-bk-15311-MW Debtors Period: 05/01/21 - 05/31/21 ACCOUNTS RECEIVABLE RECONCILIATION AND AGING Amounts in 000's Accounts Receivable Aging (excluding Circulation) Amount * 0 - 30 days old $ - 31 - 60 days old - 61 - 90 days old - 91-120 days old - Over 120 days old - Subtotal - Aged Receivables (excluding Circulation) $ -Circulation Receivables - Total Accounts Receivable -Allowance for Doubtful Accounts -Accounts Receivable (Net) $ -* Receivables were included in the sale of the Company's businesses as described in the Notes to Financial Statements.

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In re: Freedom Communications, Inc., et al. Case No. 8:15-bk-15311-MW Debtors Period: 05/01/21 - 05/31/21 DEBTOR QUESTIONNAIRE Must be completed each month 1. Have any assets been sold or transferred outside the normal course of business No (1) this reporting period? If yes, provide an explanation below. 2. Have any funds been disbursed from any account other than a debtor in possession Yes - Funds have been disbursed in accordance with Court Orders account this reporting period? If yes, provide an explanation below. 3. Have all postpetition tax returns been timely filed? If no, provide an explanation No (3) below. 4. Are workers compensation, general liability and other necessary insurance No (2) coverages in effect? If no, provide an explanation below. 5. Has any bank account been opened during the reporting period? If yes, provide documentation identifying the opened account(s). If an investment account has been opened No (4) provide the required documentation. (1) On March 31, 2016, the Company sold its businesses by entering into the Asset Purchase Agreement among 2100 Freedom, Inc., several of its subsidiaries, and MediaNews Group, Inc. (the "Agreement"). The financial statements herein reflect the initialrecognition of the sale of the Company's businesses, which is subject to change, associated with the Agreement noted above. (2) The Company provided workers' compensation, general liability, and other necessary insurance for events incurred through March 31, 2016. As the Company sold its businesses on March 31, 2016, it discontinued its workers' compensation, general, and other coverages that were no longer necessary. On April 5, 2016, the Company notified the California Department of Industrial Relations - Office of Self Insurance Plansthat it is unable to continue to fund workers' compensation benefits in California. On April 8, 2016, the California Department of Industrial Relations - Office of Self Insurance Plans revoked the Company'sCertificate to Self-Insure in California. The Company is in the process of notifying other states / carriers of its inability to continue to fund workers' compensation benefits as applicable. (3) The Company has not filed its 2017, 2018, 2019, and 2020 income tax returns due on October 15, 2018, April 15, 2019, July 15, 2020, and April 15, 2021, respectively. The Company estimated its 2017, 2018, 2019, and 2020 income tax liabilities including any potential penalties at zero and, as such, decided to address the preparation of its 2017, 2018, 2019, and 2020 income tax returns and the fees associated therewith at a later date. (4) Freedom Communications, Inc. opened a new debtor-in-possession bank account with Bank of the West in December 2018. The accountwas opened in order to facilitate a recent check and potential future checks received by the Company made payable to Freedom Communications, Inc. Documentation identifying the account was submitted with the December 2018 Monthly Operating Report and related supplemental files.

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In re: Freedom Communications, Inc., et al. Case No. 8:15-bk-15311-MW Debtors Period: 05/01/21 - 05/31/21 Attestation Regarding May 2021 Monthly Operating Report I submit this attestation in connection with the May 2021 Monthly OperatingReport: 1) Debtors have, on a timely basis, performed all bank account reconciliations inthe ordinary course of business. Copies of the bank account statements andreconciliations are provided within supplemental files. 2) On March 31, 2016, 2100 Freedom, Inc. and several of its subsidiaries sold their businesses in accordance with the Asset Purchase Agreement among 2100 Freedom, Inc., several of its subsidiaries, and MediaNews Group, Inc. dated as of March 13, 2016. The financial statements herein reflect the initialrecognition of the sale of the Company's businesses, which is subject to change,associated with the Agreement noted above. 3) Debtors have not received any tax refunds during the reporting period. 4) Debtors have filed all tax returns and made all required tax payments on a timely basis, except for pre-petition liabilities not authorized for payment by the Bankruptcy Court and those noted on Item 3 of the Debtor Questionaire. 5) The Debtors past due post-petition payments are approximately $0.6 million at May 31, 2021, excluding disputes that arise in the ordinary course of business transactions. In accordance with 28 U.S.C. Section 1746, I declare under penalty of perjurythat the above statements are true and correct to the best of my knowledge andbelief. Brad Smith CRO

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s Day ay 28, 2021 - May 28, 2021 ted On: Mon, May 31, 2021 8:13 AM PDT FREEDOM SERVICES ate : 05/28/2021 041050 lances U NING LEDGER 267,53 SING LEDGER 267,53 NING AVAILABLE 267,53 SING AVAILABLE 267,53 USTED BALANCE 267,53 mmary U No records available dits(0) U No records available bits(0) U No records available

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s Day ay 28, 2021 - May 28, 2021 ted On: Mon, May 31, 2021 8:13 AM PDT WELFARE BENEFIT PL ate : 05/28/2021 041283 lances U No records available mmary U No records available dits(0) U No records available bits(0) U No records available

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s Day ay 28, 2021 - May 28, 2021 ted On: Mon, May 31, 2021 8:13 AM PDT FREEDOM COMMUNICATIONS ate : 05/28/2021 056712 lances U NING LEDGER 5 SING LEDGER 5 NING AVAILABLE 5 SING AVAILABLE 5 USTED BALANCE 5 mmary U No records available dits(0) U No records available bits(0) U No records available

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s Day ay 28, 2021 - May 28, 2021 ted On: Mon, May 31, 2021 8:13 AM PDT Total lances NING LEDGER 267,59 SING LEDGER 267,59 NING AVAILABLE 267,59 SING AVAILABLE 267,59 USTED BALANCE 267,59 mmary No records available

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Freedom Communications, Inc. Reconciliation/Account Analysis Deposits (0000-10214-00000-00-0000-0000) May 31, 2021 Balance Per Bank (BOTW - 12763) 5/31/2021 55.00 Deposits in Transit 5/31/2021 0.00 Outstanding Checks 5/31/2021 0.00 Book Balance 55.00

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Freedom Services, Inc. Reconciliation/Account Analysis Cash Disbursements -AP (0000-10014-00000-00-0000-0000) May 31, 2021 Balance Per Bank (BOTW - 50006) 5/31/2021 267,537.88 Outstanding Checks 5/31/2021 (15,891.86) Book Balance 251,646.02

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Sent: Thu, 8 Apr 2021 20:38:35 +0000

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PROOF OF SERVICE OF DOCUMENT am over the age of 18 and not a party to this bankruptcy case or adversary proceeding. My business address is: 00 Spectrum Center Drive, Suite 600, Irvine, CA 92618 true and correct copy of the foregoing document entitled: MONTHLY OPERATING REPORT [May 2021] will be server was served (a) on the judge in chambers in the form and manner required by LBR 5005-2(d); and (b) in the manntated below: . TO BE SERVED BY THE COURT VIA NOTICE OF ELECTRONIC FILING (NEF): Pursuant to controlling General rders and LBR, the foregoing document will be served by the court via NEF and hyperlink to the document. On June 1021, I checked the CM/ECF docket for this bankruptcy case or adversary proceeding and determined that the following ersons are on the Electronic Mail Notice List to receive NEF transmission at the email addresses stated below: Service information continued on attached page . SERVED BY UNITED STATES MAIL: n (date) _______________, I served the following persons and/or entities at the last known addresses in this bankruptcase or adversary proceeding by placing a true and correct copy thereof in a sealed envelope in the United States mail, rst class, postage prepaid, and addressed as follows. Listing the judge here constitutes a declaration that mailing to the dge will be completed no later than 24 hours after the document is filed. Service information continued on attached page . SERVED BY PERSONAL DELIVERY, OVERNIGHT MAIL, FACSIMILE TRANSMISSION OR EMAIL (state method r each person or entity served): Pursuant to F.R.Civ.P. 5 and/or controlling LBR, on (date) _________, 2020, I served e following persons and/or entities by personal delivery, overnight mail service, or (for those who consented in writing tuch service method), by facsimile transmission and/or email as follows. Listing the judge here constitutes a declaration at personal delivery on, or overnight mail to, the judge will be completed no later than 24 hours after the document is led. Service information continued on attached page declare under penalty of perjury under the laws of the United States that the foregoing is true and correct. 6/15/2021 Lori Gauthier /s/ Lori Gauthier Date Printed Name Signature

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ERVED BY THE COURT VIA NOTICE OF ELECTRONIC FILING (NEF): • Jonathan T Amitrano jamitrano@taylorlaw.com, ltaylor@taylorlaw.com,ecf@taylorlaw.com • Kyra E Andrassy kandrassy@swelawfirm.com, lgarrett@swelawfirm.com;gcruz@swelawfirm.com;jchung@swelawfirm.com • David M Banker dbanker@lowenstein.com, dbanker@lowenstein.com • Richard L Barnett rick@barnettrubin.com, kelly@barnettrubin.com • James Cornell Behrens jbehrens@milbank.com, gbray@milbank.com;mshinderman@milbank.com;dodonnell@milbank.com;jbrewster@mibank.com;JWeber@milbank.com • Shraddha Bharatia notices@becket-lee.com • Matthew Bouslog MBouslog@gibsondunn.com, jsprecher@gibsondunn.com • J Scott Bovitz bovitz@bovitz-spitzer.com • Larry Butler notices@becket-lee.com • Frank Cadigan frank.cadigan@usdoj.gov • Andrew W Caine acaine@pszjlaw.com • David Cantrell dcantrell@lc-law-llp.com • Jeffrey D Cawdrey jcawdrey@grsm.com, madeyemo@gordonrees.com;sdurazo@grsm.com • Conrad K Chiu cchiu@pryorcashman.com • Shawn M Christianson cmcintire@buchalter.com, schristianson@buchalter.com • Theodore A Cohen tcohen@sheppardmullin.com, amontoya@sheppardmullin.com • Erinn M Contreras econtreras@sheppardmullin.com, nsaucedo@sheppardmullin.com • Joseph Corrigan Bankruptcy2@ironmountain.com • Raphael Cung rcung@callahan-law.com, jeggleston@callahan-law.com;deisenbrey@callahan-law.com;mmartinez@callahan-law.com • J.D. Cuzzolina info@cuzzlaw.com, jp@cuzzlaw.com • Michael T Delaney mdelaney@bakerlaw.com, TBreeden@bakerlaw.com • Jessica DiFrancesco notices@becket-lee.com • Caroline Djang caroline.djang@bbklaw.com, laurie.verstegen@bbklaw.com;wilma.escalante@bbklaw.com • Jeffrey W Dulberg jdulberg@pszjlaw.com • Robert J Feinstein rfeinstein@pszjlaw.com • Scott D Fink colcaecf@weltman.com • Marc C Forsythe kmurphy@goeforlaw.com, mforsythe@goeforlaw.com;goeforecf@gmail.com • Alan J Friedman afriedman@shulmanbastian.com, lgauthier@shulmanbastian.com • Matthew T Furton mfurton@lockelord.com, Donna.Mathis@lockelord.com;autodocket@lockelord.com • Thomas M Gaa tgaa@bbslaw.com

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• Beth Gaschen bgaschen@wgllp.com, kadele@wgllp.com;cbmeeker@gmail.com;cyoshonis@wgllp.com;lbracken@wgllp.com;bgschen@ecf.courtdrive.com • Nancy S Goldenberg nancy.goldenberg@usdoj.gov • David B Golubchik dbg@lnbyb.com, stephanie@lnbyb.com • Christopher J Green chrisgreen@ucla.edu, chrisgreen@ucla.edu;christopher-green-2815@ecf.pacerpro.com • Justin D Harris jdh@harrislawfirm.net, felicia@harrislawfirm.net • Michael J Hauser michael.hauser@usdoj.gov • Eric M Heller eric.m.heller@irscounsel.treas.gov • Lydia A Hewett lydia.hewett@cpa.state.tx.us • Joan Huh joan.huh@cdtfa.ca.gov • Lillian Jordan ENOTICES@DONLINRECANO.COM, RMAPA@DONLINRECANO.COM • Samuel M Kidder skidder@ktbslaw.com • Rika Kido rkido@shulmanbastian.com, avernon@shulmanbastian.com • Jeannie Kim jkim@buchalter.com, dgatmen@sheppardmullin.com • Alan M Kindred akindred@leechtishman.com, alankindred@hotmail.com;dtomko@leechtishman.com;challer@leechtishman.com • Armand R. Kizirian armand@kizirianlaw.com, armand@boyamianlaw.com;michael@boyamianlaw.com;narine@boyamianlaw.com • Stuart I Koenig Skoenig@leechtishman.com, sfrey@leechtishman.com;jabrams@leechtishman.com • Alan J Kornfeld akornfeld@pszjlaw.com, mdj@pszjlaw.com • Matthew J Kraus mkraus@lc-lawyers.com, mbuchheit@lc-lawyers.com • Jeffrey C Krause jkrause@gibsondunn.com, dtrujillo@gibsondunn.com;jstern@gibsondunn.com • Donny P Le Donny.Le@doj.ca.gov • Yochun Katie Lee kylee@akingump.com, tsouthwell@akingump.com;westdocketing@akingump.com • Elan S Levey elan.levey@usdoj.gov, tiffany.davenport@usdoj.gov • William N Lobel wlobel@tocounsel.com, jokeefe@tocounsel.com;sschuster@tocounsel.com • Aaron J Malo amalo@sheppardmullin.com, jsummers@sheppardmullin.com;bespinoza@sheppardmullin.com;abilly@sheppardmullin.cm • Robert S Marticello Rmarticello@swelawfirm.com, gcruz@swelawfirm.com;lgarrett@swelawfirm.com;jchung@swelawfirm.com • Ashley M McDow amcdow@foley.com, sgaeta@foley.com;smoses@foley.com;ashley-mcdow-8850@ecf.pacerpro.com • David W. Meadows david@davidwmeadowslaw.com • Reed M Mercado rmercado@sheppardmullin.com

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• Harlene Miller harlene@harlenemillerlaw.com, harlenejd@gmail.com • Raymond F Moats colcaecf@weltman.com • Elizabeth L Musser elizabeth.musser@clydeco.us • Jeffrey P Nolan jnolan@pszjlaw.com • Courtney E Norton cnorton@greenbergglusker.com, kwoodson@greenbergglusker.com;jking@greenbergglusker.com;calendar@greenberggluskr.com • Ryan D O'Dea rodea@shulmanbastian.com, LGauthier@shulmanbastian.com • John M O'Donnell john.o'donnell@ftb.ca.gov, Martha.Gehrig@ftb.ca.gov • Ernie Zachary Park ernie.park@bewleylaw.com • Ronak N Patel rpatel@rivco.org, dresparza@rivco.org;mdominguez@rivco.org • Mary A Petrovic petrovic.mary@pbgc.gov, efile@pbgc.gov • Marc S Pfeuffer pfeuffer.marc@pbgc.gov, efile@pbgc.gov • Kathy Bazoian Phelps kphelps@raineslaw.com, hchoi@raineslaw.com,bclark@raineslaw.com • Christopher E Prince , jmack@lesnickprince.com;cprince@ecf.courtdrive.com;jnavarro@lesnickprince.com • Amelia Puertas-Samara itcdbgc@edd.ca.gov, itcdgc@edd.ca.gov • Christopher B Queally cqueally@callahan-law.com, jluirette@callahan-law.com • Michael B Reynolds mreynolds@swlaw.com, kcollins@swlaw.com • Todd C. Ringstad becky@ringstadlaw.com, arlene@ringstadlaw.com • Christopher O Rivas crivas@reedsmith.com, chris-rivas-8658@ecf.pacerpro.com • Jeremy E Rosenthal jrosenthal@sidley.com • Joel W Ruderman ruderman.joel@pbgc.gov, email@pbgc.gov • Peter J Rudinskas pjr.legal@gmail.com • James M Sabovich jsabovich@callahan-law.com, ksalour@callahan-law.com;jkirwin@callahan-law.com;rcung@callahan-law.com;bmccormack@callahan-law.com;erichards@callahan-law.com;SRobinson@callahan-law.com • Jonathan C Sandler jsandler@bhfs.com, pherron@bhfs.com;sgrisham@bhfs.com • Scott A Schiff sas@soukup-schiff.com • Daren M Schlecter daren@schlecterlaw.com, assistant@schlecterlaw.com • George E Schulman GSchulman@DanningGill.Com, danninggill@gmail.com;gschulman@ecf.inforuptcy.com • Leonard M Shulman lshulman@shulmanbastian.com • Donald W Sieveke , dws4law@pacbell.net • Donald W Sieveke ibmoola@yahoo.com, dws4law@pacbell.net • David A Smyth smythlaw@gmail.com, dsmyth2_@hotmail.com • Alex E Spjute spjute@hugheshubbard.com, gaurav.reddy@hugheshubbard.com • Sarah Stuppi Sarah@stuppilaw.com • Charles Tsai CHARLES.TSAI@DOJ.CA.GOV • Helena Tseregounis helena.tseregounis@lw.com • United States Trustee (SA) ustpregion16.sa.ecf@usdoj.gov

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• Daniel Uribe duribe@gmail.com • Elissa A Wagner ewagner@pszjlaw.com • Michael A Wallin mwallin@wallinrussell.com • Michael J. Weiland mweiland@wgllp.com, kadele@wgllp.com;vrosales@wgllp.com;cbmeeker@gmail.com;lbracken@wgllp.com • Scott S Weltman colcaecf@weltman.com • Johnny White JWhite@wrslawyers.com, aparisi@wrslawyers.com;eweiman@wrslawyers.com;chamilton@wrslawyers.com • Brandon J Witkow bw@witkowlaw.com, tg@witkowlaw.com • Steven D Zansberg zansbergs@ballardspahr.com, DocketClerk_Denver@ballardspahr.com

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