EXHIBIT 10.5.2
SCHEDULE OF ADDITIONAL INDEBTEDNESS TO
CATERPILLAR FINANCIAL SERVICES CORPORATION
Promissory Note and Security Agreement dated March 6, 1997
Original principal amount: $500,500
Interest rate: 9.15%
Term: 60 months
Promissory Note and Security Agreement dated October 24, 1997
Original principal amount: $535,854
Interest rate: 9.15%
Term: 60 months
Promissory Note and Security Agreement dated January 22, 1998
Original principal amount: $48,990
Interest rate: 9.0%
Term: 84 months
The foregoing Schedule summarizes the material terms of additional
indebtedness the documentation of which is otherwise substantially identical to
Exhibit 10.5.1.