Amounts as of 11/14/2023:
| Dividends | $304,211.16 |
| Refunds Due | $23,419.33 |
| Accounts Payable | $1,379,206.60 |
| Funds for Liquidation | $15,610.00 |
| Wages, Payroll, Salary | $46,580.32 |
| Credit Balance- Accts Rec | $155,345.33 |
| Shares of Stocks (Rtrnd by PO) | $47,896.27 |
| Underlying Shares/Outstand Cer | $218,013.15 |
If you had an account with CHARTER COMMUNICATIONS INC in the past and want to check if you any of the assets above belong to you, please visit https://www.sco.ca.gov/search_upd.html