0001104659-14-079039.txt : 20141110 0001104659-14-079039.hdr.sgml : 20141110 20141110171601 ACCESSION NUMBER: 0001104659-14-079039 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20140930 FILED AS OF DATE: 20141110 DATE AS OF CHANGE: 20141110 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ATLANTIC TELE NETWORK INC /DE CENTRAL INDEX KEY: 0000879585 STANDARD INDUSTRIAL CLASSIFICATION: TELEPHONE COMMUNICATIONS (NO RADIO TELEPHONE) [4813] IRS NUMBER: 470728886 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-12593 FILM NUMBER: 141209778 BUSINESS ADDRESS: STREET 1: 600 CUMMINGS CENTER CITY: BEVERLY STATE: MA ZIP: 01915 BUSINESS PHONE: 9786191300 MAIL ADDRESS: STREET 1: 600 CUMMINGS CENTER CITY: BEVERLY STATE: MA ZIP: 01915 10-Q 1 a14-19792_110q.htm 10-Q

Table of Contents

 

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


 

Form 10-Q

 

x      QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarterly period ended September 30, 2014

 

OR

 

o         TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the transition period from         to         

 

Commission File Number 001-12593

 


 

Atlantic Tele-Network, Inc.

(Exact name of registrant as specified in its charter)

 

Delaware

 

47-0728886

(State or other jurisdiction of
incorporation or organization)

 

(I.R.S. Employer
Identification Number)

 

600 Cummings Center

Beverly, MA 01915

(Address of principal executive offices, including zip code)

 

(978) 619-1300

(Registrant’s telephone number, including area code)

 


 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes  x  No  o

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes  x  No  o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See definitions of “large accelerated filer,” “accelerated filer,” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):

 

Large accelerated filer o

 

Accelerated filer x

 

 

 

Non-accelerated filer o

 

Smaller reporting company o

(Do not check if a smaller reporting company)

 

 

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act): Yes  o  No  x

 

As of November 10, 2014, the registrant had outstanding 15,919,318 shares of its common stock ($.01 par value).

 

 

 



Table of Contents

 

ATLANTIC TELE-NETWORK, INC.

 

FORM 10-Q

 

Quarter Ended September 30, 2014

 

CAUTIONARY STATEMENT REGARDING FORWARD LOOKING STATEMENTS

3

 

 

PART I—FINANCIAL INFORMATION

4

 

 

 

Item 1

Unaudited Condensed Consolidated Financial Statements

4

 

 

 

 

Condensed Consolidated Balance Sheets at December 31, 2013 and September 30, 2014

4

 

 

 

 

Condensed Consolidated Income Statements for the Three and Nine Months Ended September 30, 2013 and 2014

5

 

 

 

 

Condensed Consolidated Statements of Comprehensive Income for the Nine Months Ended September 30, 2013 and 2014

6

 

 

 

 

Condensed Consolidated Statements of Cash Flows for the Nine Months Ended September 30, 2013 and 2014

7

 

 

 

 

Notes to Unaudited Condensed Consolidated Financial Statements

8-16

 

 

 

Item 2

Management’s Discussion and Analysis of Financial Condition and Results of Operations

16-28

 

 

 

Item 3

Quantitative and Qualitative Disclosures About Market Risk

29

 

 

 

Item 4

Controls and Procedures

29

 

 

 

PART II—OTHER INFORMATION

30

 

 

 

Item 1

Legal Proceedings

30

 

 

 

Item 1A

Risk Factors

30

 

 

 

Item 2

Unregistered Sales of Equity Securities and Use of Proceeds

30

 

 

 

Item 6

Exhibits

30

 

 

 

SIGNATURES

32

 

 

CERTIFICATIONS

 

 

2



Table of Contents

 

Cautionary Statement Regarding Forward-Looking Statements

 

This Quarterly Report on Form 10-Q (or the “Report”) contains forward-looking statements relating to, among other matters, our future financial performance and results of operations; the competitive environment in our key markets, demand for our services and industry trends; the outcome of litigation and regulatory matters; our continued access to the credit and capital markets; the pace of our network expansion and improvement, including our level of estimated future capital expenditures and our realization of the benefits of these investments; and management’s plans and strategy for the future.  These forward-looking statements are based on estimates, projections, beliefs, and assumptions and are not guarantees of future events or results.  Actual future events and results could differ materially from the events and results indicated in these statements as a result of many factors, including, among others, (1) the general performance of our operations, including operating margins, wholesale revenues, and the future growth and retention of our subscriber base; (2) government regulation of our businesses, which may impact our FCC and other telecommunications licenses; (3) economic, political and other risks facing our foreign operations; (4) our ability to maintain favorable roaming arrangements; (5) our ability to efficiently and cost-effectively upgrade our networks and IT platforms to address rapid and significant technological changes in the telecommunications industry; (6) the loss of or our inability to recruit skilled personnel in our various jurisdictions, including key members of management; (7) our ability to find investment or acquisition or disposition opportunities that fit our strategic goals for the Company; (8) increased competition; (9) our reliance on a limited number of key suppliers and vendors for timely supply of equipment and services relating to our network infrastructure; (10) the adequacy and expansion capabilities of our network capacity and customer service system to support our customer growth; (11) the occurrence of severe weather, natural catastrophes and cyber attacks; (12) our continued access to capital and credit markets; and (13) our ability to realize the value that we believe exists in our businesses. These and other additional factors that may cause actual future events and results to differ materially from the events and results indicated in the forward-looking statements contained herein are set forth more fully under Item 1A “Risk Factors” of this Report and of the Company’s Annual Report on Form 10-K for the year ended December 31, 2013, filed with the SEC on March 17, 2014 and the other reports we file from time to time with the SEC. The Company undertakes no obligation to update these forward-looking statements to reflect actual results, changes in assumptions or changes in other factors that may affect such forward-looking statements.

 

In this Report, the words “the Company”, “we,” “our,” “ours,” “us” and “ATN” refer to Atlantic Tele-Network, Inc. and its subsidiaries. This Report contains trademarks, service marks and trade names that are the property of, or licensed by, ATN, and its subsidiaries.

 

Reference to dollars ($) refer to U.S. dollars unless otherwise specifically indicated.

 

3



Table of Contents

 

PART I—FINANCIAL INFORMATION

Item 1. Unaudited Condensed Consolidated Financial Statements

 

ATLANTIC TELE-NETWORK, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

(Unaudited)

(Dollars in thousands, except per share amounts)

 

 

 

December 31,

 

September 30,

 

 

 

2013

 

2014

 

ASSETS

 

 

 

 

 

Current Assets:

 

 

 

 

 

Cash and cash equivalents

 

$

356,607

 

$

384,426

 

Restricted cash

 

39,000

 

39,293

 

Accounts receivable, net of allowances of $9.7 million and $10.8 million, respectively

 

37,680

 

44,197

 

Materials and supplies

 

7,269

 

9,352

 

Deferred income taxes

 

1,994

 

2,504

 

Prepayments and other current assets

 

24,705

 

12,450

 

Assets of discontinued operations

 

4,748

 

175

 

Total current assets

 

472,003

 

492,397

 

Fixed Assets:

 

 

 

 

 

Property, plant and equipment

 

606,912

 

639,172

 

Less: accumulated depreciation

 

(352,280

)

(385,664

)

Net fixed assets

 

254,632

 

253,508

 

Telecommunication licenses, net

 

39,687

 

44,245

 

Goodwill

 

45,077

 

45,077

 

Trade name license

 

417

 

417

 

Customer relationships, net

 

1,807

 

1,572

 

Restricted cash

 

39,000

 

 

Other assets

 

7,096

 

6,215

 

Total assets

 

$

859,719

 

$

843,431

 

LIABILITIES AND EQUITY

 

 

 

 

 

Current Liabilities:

 

 

 

 

 

Accounts payable and accrued liabilities

 

$

41,709

 

$

42,209

 

Dividends payable

 

4,279

 

4,628

 

Accrued taxes

 

36,081

 

3,331

 

Advance payments and deposits

 

8,327

 

7,945

 

Deferred income taxes

 

1,601

 

1,601

 

Other current liabilities

 

17,889

 

10,302

 

Liabilities of discontinued operations

 

11,187

 

2,002

 

Total current liabilities

 

121,073

 

72,018

 

Deferred income taxes

 

26,007

 

27,554

 

Other liabilities

 

12,784

 

18,940

 

Total liabilities

 

159,864

 

118,512

 

Commitments and contingencies (Note 12)

 

 

 

 

 

Atlantic Tele-Network, Inc. Stockholders’ Equity:

 

 

 

 

 

Preferred stock, $0.01 par value per share; 10,000,000 shares authorized, none issued and outstanding

 

 

 

Common stock, $0.01 par value per share; 50,000,000 shares authorized; 16,494,982 and 16,631,797 shares issued, respectively, and 15,816,189 and 15,915,010 shares outstanding, respectively

 

164

 

165

 

Treasury stock, at cost; 678,793 and 716,787 shares, respectively

 

(13,389

)

(15,239

)

Additional paid-in capital

 

139,106

 

143,592

 

Retained earnings

 

519,651

 

541,950

 

Accumulated other comprehensive loss

 

(2,202

)

(2,199

)

Total Atlantic Tele-Network, Inc. stockholders’ equity

 

643,330

 

668,269

 

Non-controlling interests

 

56,525

 

56,650

 

Total equity

 

699,855

 

724,919

 

Total liabilities and equity

 

$

859,719

 

$

843,431

 

 

The accompanying condensed notes are an integral part of these condensed consolidated financial statements.

 

4



Table of Contents

 

ATLANTIC TELE-NETWORK, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED INCOME STATEMENTS

FOR THE THREE AND NINE MONTHS ENDED SEPTEMBER 30, 2013 and 2014

(Unaudited)

(Dollars in thousands, except per share amounts)

 

 

 

Three Months Ended
September 30,

 

Nine Months Ended
September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

REVENUE:

 

 

 

 

 

 

 

 

 

U.S wireless

 

$

32,796

 

$

44,306

 

$

80,597

 

$

110,153

 

International wireless

 

22,895

 

21,557

 

66,162

 

67,127

 

Wireline

 

21,504

 

21,531

 

62,945

 

64,344

 

Equipment and other

 

2,155

 

1,999

 

6,103

 

6,212

 

Total revenue

 

79,350

 

89,393

 

215,807

 

247,836

 

OPERATING EXPENSES (excluding depreciation and amortization unless otherwise indicated):

 

 

 

 

 

 

 

 

 

Termination and access fees

 

14,112

 

16,018

 

40,768

 

48,110

 

Engineering and operations

 

9,509

 

9,788

 

28,349

 

28,939

 

Sales and marketing

 

4,370

 

5,489

 

13,646

 

15,440

 

Equipment expense

 

2,549

 

2,912

 

8,050

 

8,897

 

General and administrative

 

13,827

 

14,213

 

38,856

 

42,343

 

Transaction-related charges

 

2,610

 

(27

)

2,674

 

341

 

Depreciation and amortization

 

12,335

 

12,842

 

36,517

 

37,752

 

Gain on disposition of long lived assets

 

 

 

(1,076

)

 

Total operating expenses

 

59,312

 

61,235

 

167,784

 

181,822

 

Income from operations

 

20,038

 

28,158

 

48,023

 

66,014

 

OTHER INCOME (EXPENSE):

 

 

 

 

 

 

 

 

 

Interest expense, net

 

(7,141

)

(13

)

(12,126

)

(220

)

Unrealized loss on interest rate swap contracts

 

(5,675

)

 

(5,675

)

 

Other income (expense), net

 

(226

)

338

 

(198

)

302

 

Other income (expense), net

 

(13,042

)

325

 

(17,999

)

82

 

INCOME FROM CONTINUING OPERATIONS BEFORE INCOME TAXES

 

6,996

 

28,483

 

30,024

 

66,096

 

Income tax expense

 

2,481

 

9,569

 

11,294

 

22,460

 

INCOME FROM CONTINUING OPERATIONS

 

4,515

 

18,914

 

18,730

 

43,636

 

Income (loss) from discontinued operations, net of tax

 

(1,960

)

 

5,166

 

 

Gain on sale of discontinued operations, net of tax

 

305,197

 

 

305,197

 

 

Income from discontinued operations, net of tax

 

303,237

 

 

310,363

 

 

NET INCOME

 

307,752

 

18,914

 

329,093

 

43,636

 

Net income attributable to non-controlling interests, net of tax:

 

 

 

 

 

 

 

 

 

Continuing operations

 

(2,945

)

(2,747

)

(5,934

)

(8,116

)

Discontinued operations

 

116

 

 

(601

)

 

Disposal of discontinued operations

 

(28,699

)

 

(28,699

)

 

 

 

(31,528

)

(2,747

)

(35,234

)

(8,116

)

NET INCOME ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS

 

$

276,224

 

16,167

 

$

293,859

 

35,520

 

NET INCOME PER WEIGHTED AVERAGE BASIC SHARE ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS:

 

 

 

 

 

 

 

 

 

Continuing operations

 

$

0.10

 

$

1.02

 

$

0.82

 

$

2.24

 

Discontinued operations :

 

 

 

 

 

 

 

 

 

Discontinued operations

 

(0.12

)

 

0.29

 

 

Gain on sale of discontinued operations

 

17.57

 

 

17.64

 

 

Total discontinued operations

 

17.45

 

 

17.93

 

 

Total

 

$

17.55

 

$

1.02

 

$

18.75

 

$

2.24

 

NET INCOME PER WEIGHTED AVERAGE DILUTED SHARE ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS:

 

 

 

 

 

 

 

 

 

Continuing operations

 

$

0.10

 

$

1.01

 

$

0.81

 

$

2.22

 

Discontinued operations

 

 

 

 

 

 

 

 

 

Discontinued operations

 

(0.12

)

 

0.29

 

 

Gain on sale of discontinued operations

 

17.45

 

 

17.51

 

 

Total discontinued operations

 

17.33

 

 

17.80

 

 

Total

 

$

17.43

 

$

1.01

 

$

18.61

 

$

2.22

 

WEIGHTED AVERAGE COMMON SHARES OUTSTANDING:

 

 

 

 

 

 

 

 

 

Basic

 

15,738

 

15,923

 

15,678

 

15,890

 

Diluted

 

15,845

 

16,030

 

15,789

 

16,001

 

DIVIDENDS PER SHARE APPLICABLE TO COMMON STOCK

 

$

0.27

 

$

0.29

 

$

0.77

 

$

0.83

 

 

The accompanying condensed notes are an integral part of these condensed consolidated financial statements.

 

5



Table of Contents

 

ATLANTIC TELE-NETWORK, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

FOR THE NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2014

(Unaudited)

(Dollars in thousands)

 

 

 

Nine Months Ended
September 30,

 

 

 

2013

 

2014

 

 

 

 

 

 

 

Net income

 

$

329,093

 

43,636

 

Other comprehensive income:

 

 

 

 

 

Unrealized gain on interest rate swap, net of tax expense of $2.0 million and $0.0 million, respectively

 

6,985

 

 

Other comprehensive income, net of tax

 

6,985

 

 

Comprehensive income

 

336,078

 

43,636

 

Less: Comprehensive income attributable to non-controlling interests

 

(35,234

)

(8,116

)

Comprehensive income attributable to Atlantic Tele-Network, Inc.

 

$

300,844

 

35,520

 

 

The accompanying condensed notes are an integral part of these condensed consolidated financial statements.

 

6



Table of Contents

 

ATLANTIC TELE-NETWORK, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

FOR THE NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2014

(Unaudited)

(Dollars in thousands)

 

 

 

Nine Months Ended
September 30,

 

 

 

2013

 

2014

 

CASH FLOWS FROM OPERATING ACTIVITIES:

 

 

 

 

 

Net income

 

$

329,093

 

$

43,636

 

Adjustments to reconcile net income to net cash flows provided by operating activities:

 

 

 

 

 

Depreciation and amortization

 

36,517

 

37,752

 

Provision for doubtful accounts

 

880

 

1,313

 

Amortization of debt discount and debt issuance costs

 

6,657

 

72

 

Stock-based compensation

 

2,898

 

3,381

 

Unrealized loss on interest rate derivative contracts

 

5,675

 

 

Income from discontinued operations, net of tax

 

(5,166

)

 

Gain on disposition of long-lived assets

 

(1,076

)

 

Gain on sale of discontinued operations

 

(305,197

)

 

Changes in operating assets and liabilities, excluding the effects of acquisitions:

 

 

 

 

 

Accounts receivable

 

(3,832

)

(7,830

)

Materials and supplies, prepayments, and other current assets

 

(3,470

)

(1,921

)

Accounts payable and accrued liabilities, advance payments and deposits and other current liabilities

 

11,623

 

1,444

 

Accrued taxes

 

(23,668

)

(18,401

)

Other

 

7,828

 

(3,785

)

Net cash provided by operating activities of continuing operations

 

58,762

 

55,661

 

Net cash provided by (used in) operating activities of discontinued operations

 

25,751

 

(4,612

)

Net cash provided by operating activities

 

84,513

 

51,049

 

CASH FLOWS FROM INVESTING ACTIVITIES:

 

 

 

 

 

Capital expenditures, net

 

(55,171

)

(41,699

)

Proceeds from disposition of long-lived assets

 

1,500

 

1,371

 

Decrease in restricted cash

 

 

38,707

 

Net cash used in investing activities of continuing operations

 

(53,671

)

(1,621

)

Net cash provided by investing activities of discontinued operations

 

711,541

 

 

Net cash provided by (used in) investing activities

 

657,870

 

(1,621

)

CASH FLOWS FROM FINANCING ACTIVITIES:

 

 

 

 

 

Dividends paid on common stock

 

(7,839

)

(12,873

)

Distributions to non-controlling interests

 

(3,321

)

(7,932

)

Payment of debt issuance costs

 

(12

)

 

Principal repayments of term loan

 

(272,137

)

 

Proceeds from stock option exercises

 

1,450

 

610

 

Purchases of common stock

 

(1,288

)

(1,355

)

Repurchases of non-controlling interests

 

 

(59

)

Investments made by minority shareholders in consolidated affiliates

 

135

 

 

Net cash used in financing activities of continuing operations

 

(283,012

)

(21,609

)

Net cash used in financing activities of discontinued operations

 

(1,678

)

 

Net cash used in financing activities

 

(284,690

)

(21,609

)

NET CHANGE IN CASH AND CASH EQUIVALENTS

 

457,693

 

27,819

 

CASH AND CASH EQUIVALENTS, beginning of the period

 

136,647

 

356,607

 

CASH AND CASH EQUIVALENTS, end of the period

 

$

594,340

 

384,426

 

 

The accompanying condensed notes are an integral part of these condensed consolidated financial statements.

 

7



Table of Contents

 

ATLANTIC TELE-NETWORK, INC. AND SUBSIDIARIES

NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

 

1. ORGANIZATION AND BUSINESS OPERATIONS

 

The Company is a telecommunications holdings company that, through its operating subsidiaries, provides wireless and wireline telecommunications services in North America, Bermuda and the Caribbean.

 

The Company offers the following principal services:

 

·                  Wireless.  In the United States, the Company offers wholesale wireless voice and data roaming services to national, regional, local and selected international wireless carriers in rural markets located principally in the Southwest and Midwest. The Company also offers wireless voice and data services to retail customers in Bermuda, Guyana, the Caribbean and smaller markets in the United States.

 

·                  Wireline.  The Company’s local telephone and data services include its operations in Guyana and the mainland United States. The Company is the exclusive licensed provider of domestic wireline local and long-distance telephone services in Guyana and international voice and data communications into and out of Guyana. The Company also offers facilities-based integrated voice and data communications services to enterprise and residential customers in New England, primarily in Vermont, and wholesale transport services in Vermont and New York State. In addition, the Company offers wholesale long-distance voice services to telecommunications carriers.

 

The following chart summarizes the operating activities of the Company’s principal subsidiaries, the segments in which the Company reports its revenue and the markets it served as of September 30, 2014:

 

Services

 

Segment

 

Markets

 

Tradenames

Wireless

 

U.S. Wireless

 

United States

 

Commnet, Choice

 

 

Island Wireless

 

Aruba, Bermuda, Turks and Caicos, U.S. Virgin Islands

 

Mio, CellOne, Islandcom, Choice

 

 

International Integrated Telephony

 

Guyana

 

Cellink

Wireline

 

International Integrated Telephony

 

Guyana

 

GT&T, eMagine

 

 

U.S. Wireline

 

United States (New England and New York State)

 

Sovernet, ION, EssexTel

 

The Company is actively evaluating potential acquisitions, investment opportunities or other strategic transactions, both domestic and international, that meet its return-on-investment and other criteria.  The Company provides management, technical, financial, regulatory, and marketing services to its subsidiaries and typically receives a management fee equal to a percentage of their respective revenue. Management fees from subsidiaries are eliminated in consolidation. For information about the Company’s business segments and geographical information about its revenue, operating income and long-lived assets, see Note 11 to the Condensed Consolidated Financial Statements.

 

2.  BASIS OF PRESENTATION

 

The accompanying condensed consolidated financial statements have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”). The financial information included herein is unaudited; however, the Company believes such information and the disclosures herein are adequate to make the information presented not misleading and reflect all adjustments (consisting only of normal recurring adjustments) that are necessary for a fair statement of the Company’s financial position and results of operations for such periods. The year-end condensed balance sheet data was derived from audited financial statements, but does not include all disclosures required by accounting principles generally accepted in the United States of America.  Results of interim periods may not be indicative of results for the full year.  These condensed consolidated financial statements and related notes should be read in conjunction with the Company’s 2013 Annual Report on Form 10-K.

 

See Note 4 for information regarding the Company’s sale of its U.S. retail wireless business operated under the Alltel name.  The assets, liabilities and operations of the Alltel business have been classified as discontinued for all periods presented.  Unless indicated otherwise, the information in the notes to the Condensed Consolidated Financial Statements refer only to our continuing operations.

 

Consolidation

 

The consolidated financial statements include the accounts of the Company, its majority-owned subsidiaries and certain entities, which are consolidated in accordance with the provisions of the Financial Accounting Standards Board’s (“FASB”)

 

8



Table of Contents

 

authoritative guidance on the consolidation of variable interest entities since it is determined that the Company is the primary beneficiary of these entities.

 

During the nine months ended September 30, 2014, the Company recognized approximately $0.7 million in general and administrative expenses to correct for an understatement of transactional tax liabilities generated in periods during 2013.  The Company determined that the impact of the correction of this error was not material to the current or any prior period financial statements.

 

The Company’s effective tax rate declined in 2014 as the result of increased income in lower taxed jurisdictions, such as Bermuda, as compared to 2013.  The Company’s effective tax rate in 2013 was higher than the statutory federal income tax rate of 35% (plus applicable statutory state income tax rates) due primarily to (i) the portion of our earnings that are taxed in Guyana at 45%, and (ii) a portion of the Company’s earnings that include losses generated in foreign jurisdictions for which we receive no tax benefit since these are non-tax jurisdictions. The Company’s effective tax rates for the three months ended September 30, 2013 and 2014 were 35.5% and 33.6%, respectively. The Company’s effective tax rates for the nine months ended September 30, 2013 and 2014 were 37.6% and 33.9%, respectively.

 

Recent Accounting Pronouncements

 

In August 2014, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) No. 2014-15, Disclosure of Uncertainties about an Entity’s Ability to Continue as a Going Concern.  ASU 2014-15 will explicitly require management to assess an entity’s ability to continue as a going concern, and to provide related footnote disclosure in certain circumstances. The new standard will be effective for all entities in the first annual period ending after December 15, 2016. Earlier adoption is permitted. The Company does not expect ASU No. 2014-15 to have a material impact on the consolidated financial position, results of operations, or cash flows.

 

In June 2014, the FASB issued a standards update on accounting for share-based payments when the terms of the award provide that a performance target could be achieved after a requisite service period. The standard is effective beginning January 1, 2016, with early adoption permitted. The Company does not expect it to have a material impact on our consolidated financial position, results of operations or cash flows.

 

In May 2014, the FASB issued a standard on revenue recognition providing a single, comprehensive revenue recognition model for all contracts with customers. The revenue standard is based on the principle that revenue should be recognized to depict the transfer of promised goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. The standard is effective beginning January 1, 2017, with no early adoption permitted. The amendments may be applied retrospectively to each prior period presented or retrospectively with the cumulative effect recognized as of the date of initial application. The Company is currently evaluating the adoption method options and the impact of the new guidance on our consolidated financial statements.

 

In April 2014, the FASB issued Accounting Standards Update (“ASU”) 2014-08, “Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity.” ASU 2014-08 provides guidance on determining when disposals can be presented as discontinued operations. ASU 2014-08 requires that only disposals representing a strategic shift in operations should be presented as discontinued operations. A strategic shift may include a disposal of a major line of business, major equity method investment or a major part of an entity. Additionally, ASU 2014-08 requires expanded disclosures regarding discontinued operations. This standard is effective prospectively for reporting periods beginning after December 15, 2014. Early adoption is permitted. The adoption of this amendment is not expected to have a material impact on the Company’s condensed consolidated financial statements.

 

In March 2013, the FASB issued ASU 2013-05, “Foreign Currency Matters (Topic 830): Parent’s Accounting for the Cumulative Translation Adjustment upon Derecognition of Certain Subsidiaries or Groups of Assets within a Foreign Entity or of an Investment in a Foreign Entity.” ASU 2013-05 provides clarification regarding whether ASC 810-10, “Consolidation — Overall” or ASC 830-30, “Foreign Currency Matters—Translation of Financial Statements,” applies to the release of cumulative translation adjustments into net income when a reporting entity either sells a part or all of its investment in a foreign entity or ceases to have a controlling financial interest in a subsidiary or group of assets that constitute a business within a foreign entity. The revised standard is effective for reporting periods beginning after December 15, 2013. The adoption of this amendment did not have a material impact on the Company’s condensed consolidated financial statements.

 

In July 2013, the FASB issued ASU No. 2013-11, “Income Taxes (Topic 740): Presentation of an Unrecognized Tax Benefit When a Net Operating Loss Carryforward, a Similar Tax Loss, or a Tax Credit Carryforward Exists (a consensus of the Emerging Issues Task Force),” which states that an unrecognized tax benefit, or a portion of an unrecognized tax benefit, should be presented in the financial statements as a reduction to a deferred tax asset for a net operating loss carryforward, a similar tax loss, or a tax credit carryforward. If a company does not have: (i) a net operating loss carryforward; (ii) a similar tax loss; or (iii) a tax credit carryforward is not available at the reporting date under the tax law of the applicable jurisdiction to settle any additional income taxes that would result from the disallowance of a tax position or the entity does not intend to use the deferred tax asset for such purpose, the unrecognized tax benefit should be presented in the financial statements as a liability and should not be combined with deferred tax assets. The authoritative guidance is effective for fiscal years and the interim periods within those fiscal years beginning on or after December 15, 2013 and was applied on a prospective basis. The adoption of this authoritative guidance did not have a material impact on the Company’s condensed consolidated financial statements.

 

3.  USE OF ESTIMATES

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the dates of the financial statements and the reported amounts of revenue and expenses during the reporting periods. The most significant estimates relate to the allowance for doubtful accounts, useful lives of the Company’s fixed and finite-lived intangible assets, allocation of purchase price to assets acquired and liabilities assumed in purchase business combinations, fair value of indefinite-lived intangible assets, goodwill and income taxes. Actual results could differ significantly from those estimates.

 

9



Table of Contents

 

4.  DISCONTINUED OPERATIONS — SALE OF U.S. RETAIL WIRELESS BUSINESS

 

On September 20, 2013, the Federal Communications Commission announced its approval of the previously announced proposed sale of the Company’s U.S. retail wireless business operated under the Alltel name to AT&T Mobility for approximately $780.0 million in cash plus $16.8 million in working capital adjustments.  The Company previously reported the operations of this business within its U.S. Wireless segment.  As a result of that approval, the Company completed the sale of certain U.S. retail wireless assets on that date.

 

The $796.8 million in cash proceeds included $78.0 million of cash to be held in a general indemnity escrow account.  Subject to the terms and conditions of the purchase agreement between AT&T Mobility and the Company governing the sale, the restrictions on $19.5 million of these funds expired March 2014 and September 2014, respectively, for a total of $39.0 million year to date. The remaining $39.0 million has been recorded as restricted cash on the Company’s September 30, 2014 balance sheet and classified as a current asset since $39.0 million and is expected to be released, subject to any indemnity claims, to the Company in March 2015.

 

As of September 30, 2014, the Company has also recorded $7.3 million for the minority shareholders’ interests in the sold operation which is based on the estimated final distributions to the minority shareholders and is included in non-controlling interests on its balance sheet.

 

The Company has reclassified the assets of its Alltel operations, consisting of prepaid expenses and other current assets, and liabilities of its Alltel operations, consisting of accounts payable and other current liabilities, to assets of discontinued operations and liabilities of discontinued operations, respectively, within its December 31, 2013 and September 30, 2014 balance sheets.

 

Revenues and income from discontinued operations related to the Alltel business for the three months and nine months ended September 30, 2013 and 2014 were as follows (in thousands):

 

 

 

Three Months Ended September 30,

 

Nine Months Ended September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

 

 

 

 

 

 

 

 

 

 

Revenue from discontinued operations

 

$

88,036

 

$

 

$

299,519

 

$

 

 

 

 

 

 

 

 

 

 

 

Income from discontinued operations, net of tax expense (benefit) of ($1.9) and $5.2 million for the three and nine months ended September 30, 2013 respectively

 

(1,960

)

 

5,166

 

 

 

5.  FAIR VALUE MEASUREMENTS

 

In accordance with the provisions of fair value accounting, a fair value measurement assumes that a transaction to sell an asset or transfer a liability occurs in the principal market for the asset or liability or, in the absence of a principal market, the most advantageous market for the asset or liability and defines fair value based upon an exit price model.

 

The fair value measurement guidance establishes a fair value hierarchy which requires an entity to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value. The guidance describes three levels of inputs that may be used to measure fair value:

 

Level 1                             Quoted prices in active markets for identical assets or liabilities as of the reporting date. Active markets are those in which transactions for the asset and liability occur in sufficient frequency and volume to provide pricing information on an ongoing basis. Level 1 assets and liabilities include money market funds, debt and equity securities and derivative contracts that are traded in an active exchange market.

 

Level 2                             Observable inputs other than Level 1 prices, such as quoted prices for similar assets or liabilities; quoted prices in markets that are not active; or other inputs that are observable or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Level 2 assets and liabilities include debt securities with quoted prices that are traded less frequently than exchange-traded instruments and derivative contracts whose value is determined using a pricing model with inputs that are observable in the market or can be derived principally from or corroborated by observable market data. This category generally includes corporate obligations and non-exchange traded derivative contracts.

 

10



Table of Contents

 

Level 3                                Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities. Level 3 assets and liabilities include financial instruments and intangible assets that have been impaired whose value is determined using pricing models, discounted cash flow methodologies, or similar techniques, as well as instruments for which the determination of fair value requires significant management judgment or estimation.

 

Assets and liabilities of the Company measured at fair value on a recurring basis as of December 31, 2013 and September 30, 2014 are summarized as follows (in thousands):

 

 

 

December 31, 2013

 

Description

 

Quoted Prices in
Active Markets
(Level 1)

 

Significant Other
Observable Inputs
(Level 2)

 

Total

 

Certificates of deposit

 

$

 

$

363

 

$

363

 

Money market funds

 

$

2,244

 

$

 

$

2,244

 

Total assets measured at fair value

 

$

2,244

 

$

363

 

$

2,607

 

 

 

 

September 30, 2014

 

Description

 

Quoted Prices in
Active Markets
(Level 1)

 

Significant Other
Observable Inputs
(Level 2)

 

Total

 

Certificate of deposit

 

$

 

$

363

 

$

363

 

Money market funds

 

$

2,407

 

$

 

$

2,407

 

Total assets measured at fair value

 

$

2,407

 

$

363

 

$

2,770

 

 

Certificate of Deposit

 

As of December 31, 2013 and September 30, 2014, this asset class consisted of a time deposit at a financial institution denominated in U.S. dollars. The asset class is classified within Level 2 of the fair value hierarchy because the fair value was based on observable market data.

 

Money Market Funds

 

As of December 31, 2013 and September 30, 2014, this asset class consisted of a money market portfolio that comprises Federal government and U.S. Treasury securities. The asset class is classified within Level 1 of the fair value hierarchy because its underlying investments are valued using quoted market prices in active markets for identical assets.

 

6.  LONG-TERM DEBT

 

The Company has a credit facility (the “Credit Facility”) which previously included two term loans and currently provides for a revolver loan of up to $100.0 million.  The revolver loan also has a $10.0 million swingline sub-facility and a $55.0 million letter of credit sub-facility for issuance in connection with the Company’s Mobility Fund Grant obligations (see Note 8).

 

On September 20, 2013 the Company repaid its outstanding term loans in full. Amounts borrowed under the term loans bore interest at a rate equal to, at the Company’s option, either (i) at the London Interbank Offered Rate (LIBOR) plus an applicable margin ranging between 2.00% to 4.00% or (ii) a base rate plus an applicable margin ranging from 1.00% to 3.00%. The base rate was equal to the higher of (i) 1.50% plus the higher of (x) the one-week LIBOR and (y) the one-month LIBOR; or (ii) the prime rate (as defined in the Credit Facility). The applicable margin was determined based on the ratio of our indebtedness (as defined in the Credit Facility) to our EBITDA (as defined in the Credit Facility).

 

Amounts borrowed under the revolver loan bear interest at a rate equal to, at the Company’s option, either (i) LIBOR plus an applicable margin ranging between 2.00% to 3.50% or (ii) a base rate plus an applicable margin ranging from 1.00% to 2.50% (or, in the case of amounts borrowed under the swing-line sub- facility, an applicable margin ranging from 0.50% to 2.00%.) The Company must also pay a fee ranging from 0.25% to 0.50% of the average daily unused portion of the revolver loan over each calendar quarter, which fee is payable in arrears on the last day of each calendar quarter.

 

The Credit Facility contains customary representations, warranties and covenants, including covenants by the Company limiting additional indebtedness, liens, guaranties, mergers and consolidations, substantial asset sales, investments and loans, sale and

 

11



Table of Contents

 

leasebacks, transactions with affiliates and fundamental changes. In addition, the Credit Facility contains financial covenants by the Company that (i) impose a maximum leverage ratio of indebtedness to EBITDA, (ii) require a minimum debt service ratio of EBITDA to principal, interest and taxes payments and (iii) require a minimum ratio of equity to consolidated assets. As of September 30, 2014, we were in compliance with all of the financial covenants of the Credit Facility.

 

Note Payable—Other

 

In connection with the Company’s merger of its Bermuda subsidiary with M3 Wireless, Ltd. in May 2011, the Company assumed a term loan of approximately $7.0 million owed to Keytech Ltd., the former parent company of M3 Wireless, Ltd. and current 42% minority shareholder in the Company’s Bermuda operations. This term loan, which bore interest at 7% per annum, was repaid in full in July 2013.

 

7.  DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES

 

The Company’s objective in using interest rate derivatives was to add stability to interest expense and to manage its exposure to the interest rate movements of its variable-rate debt. To accomplish this objective, the Company primarily used interest rate derivatives as part of its interest rate risk management strategy. Interest rate derivatives, designated as cash flow hedges, involved the receipt of variable-rate amounts from counterparty in exchange for the Company making fixed-rate payments over the life of the agreements without exchange of the underlying notional amount.

 

The effective portion of changes in the fair value of interest rate derivatives that qualified as cash flow hedges was recorded in accumulated other comprehensive income and was subsequently reclassified into earnings in the period that the hedged forecasted transaction affected earnings.

 

As a result of the repayment of its variable-rate debt on September 20, 2013, the Company terminated its interest rate derivatives in October 2013.

 

Amounts previously reported in accumulated other comprehensive income related to the interest rate derivatives were reclassified to “Unrealized loss on interest rate derivative contracts” as of the date of the prepayment of the Company’s outstanding term notes.

 

The table below presents the effect of the Company’s derivative financial instruments on the consolidated income statements for the three and nine months ended September 30, 2013 and 2014 (in thousands):

 

Three Months
Ended
September 30,

 

Derivative in Cash Flow
Hedging Relationships

 

Amount of Gain or
(Loss) Recognized
in Other
Comprehensive
Income on
Derivative
(Effective Portion)

 

Location of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into Income
(Effective Portion)

 

Amount of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into
Income
(Effective Portion)

 

2013

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

2014

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

 

Nine Months
Ended
September 30,

 

Derivative in Cash Flow
Hedging Relationships

 

Amount of Gain or
(Loss) Recognized
in Other
Comprehensive
Income on
Derivative
(Effective Portion)

 

Location of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into Income
(Effective Portion)

 

Amount of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into
Income
(Effective Portion)

 

2013

 

Interest Rate Swap

 

$

6,255

 

Interest expense

 

$

6,255

 

2014

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

 

12



Table of Contents

 

8. GOVERNMENT GRANTS

 

The Company has received funding from the U.S. Government and its agencies under Stimulus and Mobility Fund programs.  These are generally designed to fund telecommunications infrastructure expansion into rural or underserved areas of the United States.  The fund programs are evaluated to determine if they represent funding related to capital expenditures (capital grants) or operating activities (income grants).

 

Stimulus Grants

 

The Company was awarded several federal stimulus grants in 2009 and 2010 by the U.S. Government under provisions of the American Recovery and Reinvestment Act of 2009 intended to stimulate the deployment of broadband infrastructure and services to rural, unserved and underserved areas. As of September 30, 2014, the Company has spent (i) $35.8 million in capital expenditures (of which $27.5 million has been funded by the federal stimulus grant) in connection with the Company’s build of ten new segments of fiber-optic, middle-mile broadband infrastructure in upstate New York and parts of Pennsylvania and Vermont; (ii) $7.6 million in capital expenditures (of which $5.3 million has been funded by the federal stimulus grant) in connection with the Company’s last-mile broadband infrastructure buildout in the Navajo Nation across Arizona, New Mexico and Utah; and (iii) $47.8 million in capital expenditures (of which $33.0 million has been or is expected to be funded by the federal stimulus grant) in connection with the Company’s fiber-optic middle mile network buildout to provide broadband and transport services to over 340 community anchor institutions in Vermont. The results of the Company’s New York and Vermont stimulus projects are included in the Company’s “U.S. Wireline” segment and the results of the Company’s Navajo stimulus project are included in the Company’s “U.S. Wireless” segment. The New York and Navajo Stimulus projects were completed during 2013. The Vermont stimulus project will be completed during the latter half of 2014 and the Company anticipates that it will incur an additional nominal amount of capital expenditures of which none is expected to be funded by the federal stimulus grants.

 

Mobility Fund Grants

 

As part of the Federal Communications Commission’s (“FCC”) reform of its Universal Service Fund (“USF”) program, which previously provided support to carriers seeking to offer telecommunications services in high-cost areas and to low-income households, the FCC created the Mobility Fund and the Tribal Mobility Fund, each a one-time award meant to support wireless coverage in underserved geographic areas in the United States. In August 2013, the Company received FCC final approval for approximately $21.7 million of Mobility Fund support and in June 2014, approximately $2.4 million of Tribal Mobility fund support to its wholesale wireless business (collectively the “Mobility Funds”) to expand voice and broadband networks in certain geographic areas in order to offer either 3G or 4G coverage. As part of the receipt of the Mobility Funds, the Company committed to comply with certain additional FCC construction and other requirements. A portion of these funds will be used to offset network capital costs and a portion is used to offset the costs of supporting the networks for a period of five years. In connection with the Company’s application for the Mobility Funds, the Company has posted approximately $10.5 million in letters of credit to the Universal Service Administrative Company (“USAC”) to secure these obligations. If the Company fails to comply with any of the terms and conditions upon which the Mobility Funds were granted, or if it loses eligibility for the Mobility Funds, USAC will be entitled to draw the entire amount of the letter of credit applicable to the affected project plus penalties and may disqualify the Company from the receipt of additional Mobility Fund support.  As of September 30, 2014, all of the letters of credit remain outstanding and no amounts have been drawn thereon.

 

The Company began the construction of its Mobility Funds projects during the third quarter of 2013 and its results are included in the Company’s “U.S. Wireless” segment. As of September 30, 2014, the Company has received approximately $7.4 million in Mobility Funds. Of these funds, $1.3 million was recorded as an offset to the cost of the property, plant, and equipment associated with these projects and, consequentially, a reduction of future depreciation expense and $6.1million was recorded as a liability to reduce future operating expenses. The balance sheet presentation is based on the timing of the expected recognition of the funds and accordingly, $2.3 million is recorded within other current liabilities while the remaining $3.8 million is recorded within other long-term liabilities.

 

13



Table of Contents

 

9. EQUITY

 

Total equity was as follows (in thousands):

 

 

 

Nine Months Ended September 30,

 

 

 

2013

 

2014

 

 

 

Atlantic Tele-
Network, Inc.

 

Non-Controlling
Interests

 

Total Equity

 

Atlantic Tele-
Network, Inc.

 

Non-Controlling
Interests

 

Total
Equity

 

Equity, beginning of period

 

$

334,146

 

$

60,094

 

$

394,240

 

$

643,330

 

$

56,525

 

$

699,855

 

Stock-based compensation

 

3,419

 

 

3,419

 

3,381

 

 

3,381

 

Comprehensive income:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income

 

293,859

 

35,234

 

329,093

 

35,520

 

8,116

 

43,636

 

Other comprehensive income-Gain on interest rate swap (net of tax)

 

6,985

 

 

6,985

 

 

 

 

Total comprehensive income

 

300,844

 

35,234

 

336,078

 

35,520

 

8,116

 

43,636

 

Issuance of common stock upon exercise of stock options

 

6,778

 

 

6,778

 

1,106

 

 

 

1,106

 

Dividends declared on common stock

 

(11,982

)

 

(11,982

)

(13,218

)

 

(13,218

)

Distributions to non-controlling interests

 

 

(5,532

)

(5,532

)

 

(7,932

)

(7,932

)

Investments made by non-controlling interests

 

 

135

 

135

 

 

 

 

Sale of non-controlling interests

 

 

(13,634

)

(13,634

)

 

(59

)

(59

)

Purchase of treasury stock

 

(6,615

)

 

(6,615

)

(1,850

)

 

(1,850

)

Equity, end of period

 

$

626,590

 

$

76,297

 

$

702,887

 

$

668,269

 

$

56,650

 

$

724,919

 

 

10.  NET INCOME PER SHARE

 

For the three and nine months ended September 30, 2013 and 2014, outstanding stock options were the only potentially dilutive securities. The reconciliation from basic to diluted weighted average common shares outstanding is as follows (in thousands):

 

 

 

Three Months Ended
September 30,

 

Nine Months Ended
September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

Basic weighted-average common shares outstanding

 

15,738

 

15,923

 

15,678

 

15,890

 

Stock options

 

107

 

107

 

111

 

111

 

Diluted weighted-average common shares outstanding

 

15,845

 

16,030

 

15,789

 

16,001

 

 

The above calculation for the three months ended September 30, 2013 does not include 29,000 shares related to certain stock options because the effects of such options were anti-dilutive. For the nine months ended September 30, 2013 the calculation does not include 80,000 shares related to certain stock options because the effect of such options was anti-dilutive. There were not any anti-dilutive shares for either the three or nine months ended September 30, 2014.

 

11. SEGMENT REPORTING

 

The Company has four reportable segments for separate disclosure in accordance with the FASB’s authoritative guidance on disclosures about segments of an enterprise. Those four segments are: i) U.S. Wireless, which generates all of its revenues in and has all of its assets located in the United States, ii) International Integrated Telephony, which generates all of its revenues in and has all of its assets located in Guyana, iii) Island Wireless, which generates a majority of its revenues in, and has a majority of its assets located in, Bermuda and which also generates revenues in and has assets located in the U.S. Virgin Islands, Aruba and Turks and Caicos and iv) U.S. Wireline, which generates all of its revenues in and has all of its assets located in the United States. The operating segments are managed separately because each offers different services and serves different markets.

 

The following tables provide information for each operating segment (in thousands):

 

14



Table of Contents

 

 

 

For the Three Months Ended September 30, 2013

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

32,796

 

$

 

$

 

$

 

$

 

$

32,796

 

International wireless

 

 

7,046

 

15,849

 

 

 

22,895

 

Wireline

 

152

 

15,640

 

 

5,712

 

 

21,504

 

Equipment and other

 

109

 

388

 

1,594

 

64

 

 

2,155

 

Total revenue

 

33,057

 

23,074

 

17,443

 

5,776

 

 

79,350

 

Depreciation and amortization

 

4,039

 

4,551

 

2,551

 

816

 

378

 

12,335

 

Non-cash stock-based compensation

 

 

 

 

 

926

 

926

 

Operating income (loss)

 

18,293

 

7,028

 

3,292

 

(255

)

(8,320

)

20,038

 

 

 

 

For the Nine Months Ended September 30, 2013

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

80,597

 

$

 

$

 

$

 

$

 

$

80,597

 

International wireless

 

 

20,330

 

45,832

 

 

 

66,162

 

Wireline

 

457

 

46,493

 

 

15,995

 

 

62,945

 

Equipment and other

 

313

 

1,151

 

4,468

 

171

 

 

6,103

 

Total revenue

 

81,367

 

67,974

 

50,300

 

16,166

 

 

215,807

 

Depreciation and amortization

 

12,119

 

13,476

 

7,705

 

2,252

 

965

 

36,517

 

Non-cash stock-based compensation

 

 

 

 

 

2,898

 

2,898

 

Operating income (loss)

 

40,472

 

19,596

 

7,226

 

(786

)

(18,485

)

48,023

 

 

 

 

For the Three Months Ended September 30, 2014

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

44,306

 

$

 

$

 

$

 

$

 

$

44,306

 

International wireless

 

 

6,399

 

15,158

 

 

 

21,557

 

Wireline

 

152

 

15,249

 

 

6,130

 

 

21,531

 

Equipment and other

 

278

 

183

 

1,469

 

69

 

 

1,999

 

Total revenue

 

44,736

 

21,831

 

16,627

 

6,199

 

 

 

89,393

 

Depreciation and amortization

 

3,657

 

4,397

 

2,596

 

1,193

 

999

 

12,842

 

Non-cash stock-based compensation

 

 

 

 

 

1,002

 

1,002

 

Operating income (loss)

 

27,585

 

5,065

 

2,231

 

(471

)

(6,252

)

28,158

 

 

 

 

For the Nine Months Ended September 30, 2014

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

110,153

 

$

 

$

 

$

 

$

 

$

110,153

 

International wireless

 

 

20,054

 

47,073

 

 

 

67,127

 

Wireline

 

457

 

44,399

 

 

19,488

 

 

64,344

 

Equipment and other

 

663

 

573

 

4,782

 

194

 

 

6,212

 

Total revenue

 

111,273

 

65,026

 

51,855

 

19,682

 

 

 

247,836

 

Depreciation and amortization

 

10,413

 

13,111

 

7,810

 

3,519

 

2,899

 

37,752

 

Non-cash stock-based compensation

 

 

 

 

 

3,381

 

3,381

 

Operating income (loss)

 

63,826

 

15,293

 

8,210

 

(2,511

)

(18,804

)

66,014

 

 

15



Table of Contents

 

 

 

Segment Assets

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

December 31, 2013:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net fixed assets

 

$

73,592

 

$

118,917

 

$

29,310

 

$

26,082

 

$

6,731

 

$

254,632

 

Goodwill

 

32,148

 

 

5,438

 

7,491

 

 

45,077

 

Total assets

 

151,094

(1)

197,903

 

74,427

 

45,351

 

390,944

 

859,719

 

September 30, 2014:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net fixed assets

 

$

75,930

 

$

110,870

 

$

26,622

 

$

26,930

 

$

13,156

 

$

253,508

 

Goodwill

 

32,148

 

 

5,438

 

7,491

 

 

45,077

 

Total assets

 

178,208

(1)

200,770

 

78,417

 

43,359

 

342,677

 

843,431

 

 


(1)                                 Includes $4,748 and $73,492 of assets associated with our discontinued operations as of December 31, 2013 and September 30, 2014, respectively.

 

 

 

Capital Expenditures

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Nine Months Ended September 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2013

 

$

27,736

 

$

9,039

 

$

4,014

 

$

11,231

 

$

3,151

 

$

55,171

 

2014

 

$

26,496

 

$

6,816

 

$

3,966

 

$

2,325

 

$

2,096

 

$

41,699

 

 

12.  COMMITMENTS AND CONTINGENCIES

 

Regulatory and Litigation Matters

 

The Company and its subsidiaries are subject to certain regulatory and legal proceedings and other claims arising in the ordinary course of business, some of which involve claims for damages and taxes that are substantial in amount. The Company believes that, except for the items discussed below and in our Annual Report on Form 10-K for the year ended December 31, 2013, for which the Company is currently unable to predict the final outcome, the disposition of proceedings currently pending will not have a material adverse effect on the Company’s financial position or results of operations.

 

On May 8, 2009, Digicel filed a lawsuit in Guyana challenging the legality of GT&T’s exclusive license rights under Guyana’s constitution. Digicel initially filed this lawsuit against the Attorney General of Guyana in the High Court. On May 13, 2009, GT&T petitioned to intervene in the suit in order to oppose Digicel’s claims and that petition was granted on May 18, 2009. GT&T filed an answer to the charge on June 22, 2009 and the case is pending.  The Company believes that any legal challenge to GT&T’s exclusive license rights granted in 1990 is without merit and the Company is vigorously defending against the legal challenge.

 

In Bermuda, the Regulatory Authority continued its implementation of the Electronic Communications Act of 2011, which allows communications service providers to enter new lines of business and introduces competition in the sector.  As the government of Bermuda continues to reform the local telecommunications market it is possible that new or amended regulations may establish regulatory and other fees, additional regulation or result in other circumstances that could increase our regulatory costs or otherwise impact our operations.  For instance, in October 2014, the Bermuda Regulatory Authority issued a draft decision that, if implemented, would prevent the Company from using a portion of existing spectrum held by its Bermuda subsidiary reserved for the launch of next generation services in accordance with the Company's plans and demands of its customers in Bermuda.  This could damage the competitive position of the Company's business in Bermuda and limit its ability to grow.  Although the Company believes that it would be entitled to compensation for any involuntary recapture and re-assignment of its spectrum rights in Bermuda, it cannot be sure that it would prevail in a proceeding to enforce its rights or that such actions would effectively halt any unilateral action by the Regulatory Authority. Although the Company believes that the Regulatory Authority will make a decision on the matter in the near future, it cannot predict when or if these proposals will be adopted, or, if adopted, the impact that their implementation will have on the Company's Island Wireless Segment.

 

The term of the Company’s telecommunications license to operate in Aruba expired on January 15, 2014. The government of Aruba informed the Company in January 2014 that a renewed license would be issued only upon payment by the Company of a fee in the amount of approximately $4.0 million.  In addition, the government of Aruba demanded that the Company pay overdue spectrum invoices in the amount of approximately $2.0 million no later than July 31, 2014. The Company is actively contesting the assessment of these fees through judicial proceedings as it continues to operate while also seeking to resolve with the Aruba government the amount of fees, if any, to be paid in relation to a renewed license and the assessed spectrum fees.

 

ITEM 2.  MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

 

The discussion and analysis of our financial condition and results of operations that follows are based upon our condensed consolidated financial statements, which have been prepared in accordance with accounting principles generally accepted in the United States. The preparation of our financial statements requires us to make estimates and judgments that affect the reported amounts of assets and liabilities, revenues and expenses, and the related disclosure of contingent assets and liabilities at the date of our financial statements. Actual results may differ significantly from these estimates under different assumptions or conditions. This discussion should be read in conjunction with our condensed consolidated financial statements herein and the accompanying notes

 

16



Table of Contents

 

thereto, and our Annual Report on Form 10-K for the year ended December 31, 2013, in particular, the information set forth therein under Item 7. “Management’s Discussion and Analysis of Financial Condition and Results of Operations”.

 

Overview

 

We are a telecommunications holdings company that, through our operating subsidiaries, provides wireless and wireline telecommunications services in North America, Bermuda and the Caribbean. We are actively evaluating potential domestic and international acquisition, investment or other strategic opportunities, both within and outside of the telecommunications industry, that meet our return-on-investment and other criteria.  For a discussion of our investment strategy and risks involved, see —Potential Acquisitions, Investments and Other Strategic Opportunities” below and Part II, Item 1A, “Risk Factors—We are actively evaluating investment, acquisition or other strategic opportunities, which may affect our long-term growth prospects.”.

 

We offer the following principal services:

 

·                  Wireless. In the United States, we offer wholesale wireless voice and data roaming services to national, regional, local and selected international wireless carriers in rural markets located principally in the Southwest and Midwest. We also offer wireless voice and data services to retail customers in Bermuda, Guyana, the Caribbean and smaller markets in the United States.

 

·                  Wireline. Our local telephone and data services include our operations in Guyana and the mainland United States. We are the exclusive licensed provider of domestic wireline local and long-distance telephone services in Guyana and international voice and data communications into and out of Guyana. We also offer facilities-based integrated voice and data communications services to enterprise and residential customers in New England, primarily in Vermont, and wholesale transport services in Vermont and New York State. In addition, we offer wholesale long-distance voice services to telecommunications carriers.

 

The following chart summarizes the operating activities of our principal subsidiaries, the segments in which we report our revenue and the markets we served as of September 30, 2014:

 

Services

 

Segment

 

Markets

 

Tradenames

Wireless

 

U.S. Wireless

 

United States (rural markets)

 

Commnet, Choice

 

 

Island Wireless

 

Aruba, Bermuda, Turks and Caicos, U.S. Virgin Islands

 

Mio, CellOne, Islandcom, Choice

 

 

International Integrated Telephony

 

Guyana

 

Cellink

Wireline

 

International Integrated Telephony

 

Guyana

 

GT&T, eMagine

 

 

U.S. Wireline

 

United States (New England and New York State)

 

Sovernet, ION, Essextel

 

We provide management, technical, financial, regulatory, and marketing services to our subsidiaries and typically receive a management fee equal to a percentage of their respective revenue. Management fees from our subsidiaries are eliminated in consolidation.

 

Discontinued Operations—Sale of U.S. Retail Wireless Business

 

On September 20, 2013, the Federal Communications Commission announced its approval of our previously announced proposed sale of our U.S. retail wireless business operated under the Alltel name to AT&T Mobility LLC for approximately $796.8 million in cash that included a sale price adjustment for the working capital of the business of $16.8 million (the “Alltel Sale”).  As a result of that approval, we completed the sale of certain U.S. retail wireless assets on that date.

 

The operations of the Alltel business, which were previously included in our U.S. Wireless segment, have been classified as discontinued operations in all periods presented. Unless indicated otherwise, the information in this Management’s Discussion and Analysis relates only to our continuing operations.

 

Potential Acquisitions, Investments and Other Strategic Opportunities

 

Our considerable cash position resulting, in large part, from the successful sale of our Alltel retail wireless business in September 2013 provides us with substantial financial resources to pursue domestic and international acquisition, investment and other strategic opportunities, both within and outside of the telecommunications industry.  We have invested significantly in upgrades to our wholesale wireless network to further our organic growth and continue to evaluate making additional such investments.  We also actively evaluate acquisition and investment opportunities within the telecommunications and related industries, as well as outside of these industries on a highly selective basis.  Also as part of our active management of our operating companies and investments, we may from time to time consider opportunities to divest portions of our business where we believe it to be to our strategic advantage to do so.  How and when we deploy our balance sheet capacity and any divestiture activity may engage in will figure prominently in our longer-term growth prospects and stockholder returns.

 

Stimulus Grants

 

We were awarded several federal stimulus grants in 2009 and 2010 by the U.S. Government under provisions of the American Recovery and Reinvestment Act of 2009 intended to stimulate the deployment of broadband infrastructure and services to rural, unserved and underserved areas. As of September 30, 2014, we have spent (i) $35.8 million in capital expenditures (of which $27.5 million has been funded by the federal stimulus grant) in connection with our build of ten new segments of fiber-optic, middle-mile broadband infrastructure in upstate New York and parts of Pennsylvania and Vermont; (ii) $7.6 million in capital expenditures (of which $5.3 million has been funded by the federal stimulus grant) in connection with our last-mile broadband infrastructure buildout in the Navajo Nation across Arizona, New Mexico and Utah; and (iii) $47.8 million in capital expenditures (of which $33.0 million

 

17



Table of Contents

 

has been or will be funded by the federal stimulus grant) in connection with our fiber-optic middle mile network buildout to provide broadband and transport services to over 340 community anchor institutions in Vermont. The results of our New York and Vermont stimulus projects are included in our “U.S. Wireline” segment and the results of our Navajo stimulus project are included in our “U.S. Wireless” segment. The New York and Navajo Stimulus projects were completed during 2013. The Vermont stimulus project will be completed during the latter half of 2014 and the Company anticipates that it will incur an additional nominal amount of capital expenditures of which none is expected to be funded by the federal stimulus grants.

 

Mobility Fund Grants

 

As part of the Federal Communications Commission’s (“FCC”) reform of its Universal Service Fund (“USF”) program, which previously provided support to carriers seeking to offer telecommunications services in high-cost areas and to low-income households, the FCC created the Mobility Fund and the Tribal Mobility Fund, each a one-time award meant to support wireless coverage in underserved geographic areas in the United States. In August 2013, we received FCC final approval for approximately $21.7 million of Mobility Fund support and in June 2014, we received approximately $2.4 million of Tribal Mobility Fund support to our wholesale wireless business (collectively the “Mobility Funds”) to expand voice and broadband networks in certain geographic areas in order to offer either 3G or 4G coverage. As part of the receipt of the Mobility Funds, we committed to comply with certain additional FCC construction and other requirements. A portion of these funds will be used to offset network capital costs and a portion is used to offset the costs of supporting the networks for a period of five years. In connection with our application for the Mobility Funds, we have posted approximately $10.5 million in letters of credit to the Universal Service Administrative Company (“USAC”) to secure these obligations. If we fail to comply with any of the terms and conditions upon which the Mobility Funds were granted, or if we loses eligibility for the Mobility Funds, USAC will be entitled to draw the entire amount of the letter of credit applicable to the affected project plus penalties and may disqualify us from the receipt of additional Mobility Fund support.  As of September 30, 2014, all of the letters of credit remain outstanding and no amounts have been drawn thereon.

 

We began the construction of our Mobility Funds projects during the third quarter of 2013 and their results are included in the Company’s “U.S. Wireless” segment. As of September 30, 2014, we have received approximately $7.4 million in Mobility Funds. Of these funds, $1.3 million was recorded as an offset to the cost of the property, plant, and equipment associated with these projects and, consequentially, a reduction of future depreciation expense and $6.1million was recorded as a liability to reduce future operating expenses. The balance sheet presentation is based on the timing of the expected recognition of the funds and accordingly, $2.3 million is recorded within other current liabilities while the remaining $3.8 million is recorded within other long-term liabilities.

 

18



Table of Contents

 

Results of Operations

 

Three Months Ended September 30, 2013 and 2014

 

 

 

Three Months Ended
September 30,

 

Amount of
Increase

 

Percent
Increase

 

 

 

2013

 

2014

 

(Decrease)

 

(Decrease)

 

 

 

(In thousands)

 

REVENUE:

 

 

 

 

 

 

 

 

 

U.S. Wireless

 

$

32,796

 

$

44,306

 

$

11,510

 

35.1

%

International Wireless

 

22,895

 

21,557

 

(1,338

)

(5.8

)

Wireline

 

21,504

 

21,531

 

27

 

0.1

 

Equipment and Other

 

2,155

 

1,999

 

(156

)

(7.2

)

Total revenue

 

79,350

 

89,393

 

10,043

 

12.7

 

OPERATING EXPENSES(excluding depreciation and amortization unless otherwise indicated):

 

 

 

 

 

 

 

 

 

Termination and access fees

 

14,112

 

16,018

 

1,906

 

13.5

 

Engineering and operations

 

9,509

 

9,788

 

279

 

2.9

 

Sales, marketing and customer services

 

4,370

 

5,489

 

1,119

 

25.6

 

Equipment expense

 

2,549

 

2,912

 

363

 

14.2

 

General and administrative

 

13,827

 

14,213

 

386

 

2.8

 

Transaction-related charges

 

2,610

 

(27

)

(2,637

)

(101.0

)

Depreciation and amortization

 

12,335

 

12,842

 

507

 

4.1

 

Total operating expenses

 

59,312

 

61,235

 

1,923

 

3.2

 

Income from operations

 

20,038

 

28,158

 

8,120

 

40.5

 

OTHER INCOME (EXPENSE):

 

 

 

 

 

 

 

 

 

Interest income (expense), net

 

(7,141

)

(13

)

7,128

 

(99.8

)

Unrealized loss on interest rate derivative contracts

 

(5,675

)

 

5,675

 

(100.0

)

Other income (expense), net

 

(226

)

338

 

564

 

(249.6

)

Other income (expense), net

 

(13,042

)

325

 

13,367

 

(102.5

)

INCOME FROM CONTINUING OPERATIONS BEFORE INCOME TAXES

 

6,996

 

28,483

 

21,487

 

307.1

 

Income tax expense

 

2,481

 

9,569

 

7,088

 

285.7

 

INCOME FROM CONTINUING OPERATIONS

 

4,515

 

18,914

 

14,399

 

318.9

 

INCOME FROM DISCONTINUED OPERATIONS

 

 

 

 

 

 

 

 

 

Income (loss) from discontinued operations, net of tax

 

(1,960

)

 

1,960

 

100.0

 

Gain on sale of discontinued operations, net of tax

 

305,197

 

 

(305,197

)

(100.0

)

Income from discontinued operations

 

303,237

 

 

(303,237

)

(100.0

)

NET INCOME

 

307,752

 

18,914

 

(288,838

)

(93.9

)

Net income attributable to non-controlling interests, net of tax:

 

 

 

 

 

 

 

 

 

Continuing operations

 

(2,945

)

(2,747

)

198

 

(6.7

)

Discontinued operations

 

116

 

 

(116

)

(100.0

)

Disposal of discontinued operations

 

(28,699

)

 

28,699

 

(100.0

)

 

 

(31,528

)

(2,747

)

28,781

 

(91.3

)

NET INCOME ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS

 

$

276,224

 

$

16,167

 

$

(260,057

)

(94.1

)%

 

U.S. Wireless revenue.  A substantial majority of U.S. wireless revenue consists of wholesale revenue. For the three months ended September 30, 2013 and 2014 wholesale revenue represented 97% and 95%, respectively, of total U.S. wireless revenue.  The remaining U.S. wireless revenue is composed of retail revenue generated by our operations in certain smaller rural markets covered by, or adjacent to, our wholesale network in the western United States. Wholesale revenue is generated by providing mobile voice or data services to the customers of other wireless carriers, the provision of network switching services and certain transport services using our wireless networks. Wholesale wireless revenue is primarily driven by the number of sites and base stations we operate, the amount of voice and data traffic from the subscribers of other carriers that each of these sites generates and the rates we are paid from our carrier customers for carrying that traffic.  The Company ended the third quarter with 716 wholesale-only base stations in service compared to 579 at the end of last year’s third quarter.  Data revenues accounted for 68% of U.S. wireless revenue for the three months ended September 30, 2014, compared to 56% in the three months ended September 30, 2013.

 

The capital investment needed to upgrade networks and expand our coverage areas to meet increasing market demands for mobile data services has typically been a substantial portion of our total capital investments.  In order to balance our customers’ need for our networks to be a cost effective solution for them, from time to time we may amend our roaming contracts to re-align traffic volumes, pricing and the contract length.

 

The most significant competitive factor we face in our wholesale wireless business is the extent to which our carrier customers choose to roam on our networks or elect to build or acquire their own infrastructure in our markets, reducing or eliminating their need for our services in those markets.

 

Occasionally we have entered into buildout projects with existing carrier customers to help the customer accelerate the buildout of a given area.   Pursuant to these arrangements, we agree to incur the cost of building and operating a network in a newly designated area meeting specified conditions.  In exchange, the carrier agrees to license us spectrum in that area and enter into a contract with specific pricing and term.  These arrangements typically include a right, or “call option”, in favor of the carrier to purchase that portion of the network and receive back the spectrum for a predetermined price, depending on when such call option is exercised. For example, as previously disclosed, in December 2012, we sold a portion of our network to a carrier customer pursuant to a call option contained in our roaming and buildout agreement with that carrier.  This portion of network accounted for approximately $15.1 million in wholesale revenue during the year ended December 31, 2011 and $12.1 million during the nine months ended September 30, 2012.

 

We currently have one buildout arrangement of approximately 100 newly built cell sites, which arrangement provides the carrier with a call option to purchase such sites exercisable beginning no earlier than 2017. At this time, we cannot predict the level of roaming traffic that will develop on this newly built network or whether the call option will be exercised.

 

 

19



Table of Contents

 

Our U.S. wireless revenue increased to $44.3 million for the three months ended September 30, 2014 from $32.8 million for the three months ended September 30, 2013, an increase of $11.5 million or 35.1%. The revenue growth was a result of increased data traffic volumes resulting from capacity and technology upgrades to our network, an increase in the demand for data services and an increase in the coverage areas and number of base stations used in our wholesale network operations from 579 as of September 30, 2013 to 716 as of September 30, 2014.

 

We expect to see continued growth in domestic data traffic for the remainder of 2014 and into 2015, offset by an expected significant decline in contracted wholesale data prices.  As a result, we expect to see more modest year-on-year growth in U.S. Wireless revenue for the remainder of 2014.

 

International wireless revenue.  International wireless revenue includes retail and wholesale voice and data wireless revenue from our operations in Bermuda and the Caribbean, including the U.S. Virgin Islands and Guyana.

 

For the nine months ended September 30, 2014, International wireless revenues accounted for approximately $24% of our consolidated revenues. International wireless revenue decreased by $1.3 million, or 5.7%, to $21.6 million for the three months ended September 30, 2014 from $22.9 million for the three months ended September 30, 2013. This decrease was due to a decrease in retail revenue of $0.9 million and by a decrease in wholesale roaming revenue of $0.4 million.

 

The decrease in retail revenue was primarily the result of a decrease in subscribers in Guyana.  As a result of strong competition, our total International Wireless subscribers, which include subscribers in our Island Wireless segment as well as Guyana, decreased from 327,000 subscribers as of September 30, 2013 to 320,000 subscribers as of September 30, 2014 of which 88% were prepaid subscribers.  The decrease in wholesale roaming revenues was the result of rate reductions in certain of our Island Wireless properties which we expect will continue to decline.

 

While we have historically experienced subscriber growth in a number of our international markets, competition remains strong, and the high proportion of prepaid subscribers means that subscribers and revenue could shift relatively quickly in future periods. Additionally, wholesale roaming revenues in these markets are subject to seasonality and can fluctuate between quarters.

 

Recent regulatory developments may affect the cost and timing of deploying network upgrades in Bermuda.  In October 2014, the Bermuda Regulatory Authority issued a draft decision that, if implemented, would potentially recapture and re-assign a portion of our existing Bermuda spectrum reserved for the launch of next generation services in accordance with our plans and demands of our customers.  The loss of such spectrum could damage our competitive position and limit our ability to grow.  Although we believe that we would be entitled to compensation for any involuntary recapture and re-assignment of our spectrum rights in Bermuda, we cannot be sure that we would prevail in a proceeding to enforce our rights or that such actions would effectively halt any unilateral action by the Regulatory Authority. Although we believe that the Regulatory Authority will make a decision on the matter in the near future, we cannot predict when or if the Regulatory Authority’s proposed action will be adopted, or, if adopted, the impact that its implementation will have on our International wireless revenues.

 

Wireline revenue.  Wireline revenue is generated by our wireline operations in Guyana, including international telephone calls into and out of that country, our integrated voice and data operations in New England, our wholesale transport operations in New York State and our wholesale long-distance voice services to telecommunications carriers. This revenue includes basic service fees, measured service revenue and internet access fees, as well as installation charges for new lines, monthly line rental charges and long- distance or toll charges.

 

Wireline revenue remained relatively consistent at $21.5 million during the three months ended September 30, 2013 and 2014. Revenues from our domestic wireline businesses increased by $0.4 million as a result of higher wholesale long distance voice service revenue and increased wholesale transport operations as a result of our fiber network expansion in New York State.  This increase, however, was partially offset by a $0.4 million decline in wireline revenues in Guyana where increases in high speed data services were more than offset by decreases in local landline telephone revenue and international calls into Guyana.

 

We anticipate that wireline revenue from our international long-distance business in Guyana will be negatively impacted, principally through the loss of market share, should we cease to be the exclusive provider of domestic fixed and international long-distance service in Guyana, whether by reason of the Government of Guyana enacting legislation to such effect or a modification, revocation or lack of enforcement of our exclusive rights. While the loss of our exclusive rights will likely cause an immediate reduction in our wireline revenue, over the longer term such declines may be offset by increased revenue from data services to consumers and enterprises in Guyana, an increase in regulated local calling rates in Guyana, and increased wholesale transport services and large enterprise and agency sales in the United States.

 

We currently cannot predict when or if the Government of Guyana will enact such legislation or take, or fail to take, any action that would otherwise affect our exclusive rights in Guyana. See “Business—Guyana Regulation” in the Company’s 2013 Annual Report on Form 10-K.

 

Equipment and other revenue.  Equipment and other revenue represent revenue from wireless equipment sales, primarily handsets to retail customers, and other miscellaneous revenue items.

 

Equipment and other revenue decreased by $0.2 million, or 9.0% to $2.0 million for the three months ended September 30, 2014, from $2.2 million for the three months ended September 30, 2013. Equipment revenue decreased primarily as the result of a $0.4 million decrease in revenue in our International Integrated Telephony and Island Wireless segments as a result of a decrease in equipment sales offset by a $0.2 million increase in our U.S Wireless segment’s retail operations as a result of an increase in subscriber additions.

 

We believe that equipment and other revenue could increase as a result of gross subscriber additions, more aggressive subsidies driving demand for devices and the continued growth in smartphone penetration.

 

20



Table of Contents

 

Termination and access fee expenses.  Termination and access fee expenses are charges that we pay for voice and data transport circuits (in particular, the circuits between our wireless sites and our switches), internet capacity and other access fees we pay to terminate our calls, as well as customer bad debt expense.

 

Termination and access fees increased by $1.9 million, or 13.5%, from $14.1 million for the three months ended September 30, 2013 to $16.0 million for the three months ended September 30, 2014. This increase in our termination and access fees was incurred across all of our segments as a result of increased data traffic volumes but primarily within our U.S. Wireless segment which reported an increase of $1.2 million in these costs due to the expansion and upgrades to our networks.

 

Termination and access fees are expected to increase in future periods with expected growth in volume but remain fairly proportionate to their related revenue as our networks expand.

 

Engineering and operations expenses.  Engineering and operations expenses include the expenses associated with developing, operating and supporting our expanding networks, including the salaries and benefits paid to employees directly involved in the development and operation of our networks.

 

Engineering and operations expenses increased by $0.3 million, or 3.2%, from $9.5 million to $9.8 million for the three months ended September 30, 2013 and 2014, respectively. The increase in engineering and operations expenses was primarily the result of increased maintenance costs on our network and billing systems in our International Integrated Telephony segment.

 

We expect that engineering and operations expenses will increase over time due to an expected increase in our network capacity and in the geographic expansion of our networks, both of which will require additional support.

 

Sales, marketing and customer service expenses.  Sales and marketing expenses include salaries and benefits we pay to sales personnel, customer service expenses, sales commissions and the costs associated with the development and implementation of our promotion and marketing campaigns.

 

Sales and marketing expenses increased by $1.1 million, or 25.0%, from $4.4 million for the three months ended September 30, 2013 to $5.5 million for the three months ended September 30, 2014 primarily as the result of an increase of $0.9 million in our U.S.Wireless segment’s retail operations to support new coverage areas and its increasing revenues.

 

We expect that sales, marketing and customer service expenses will remain fairly consistent as a percentage of revenues in future periods.

 

Equipment expenses.  Equipment expenses include the costs of our handset and customer resale equipment in our retail wireless businesses.

 

Equipment expenses increased by $0.4 million, or 16.0%, from $2.5 million for the three months ended September 30, 2013 to $2.9 million for the three months ended September 30, 2014 primarily as a result of increased equipment sales in our U.S. Wireless segment’s retail operations.

 

We believe that equipment expenses could continue to rise, from time to time, as we may choose to raise device subsidies to attract and retain customers.

 

General and administrative expenses.  General and administrative expenses include salaries, benefits and related costs for general corporate functions including executive management, finance and administration, legal and regulatory, facilities, information technology and human resources. If applicable, general and administrative expenses also include internal costs associated with our performance of due-diligence on possible acquisitions.

 

General and administrative expenses increased by $0.4 million, or 2.9% from $13.8 million for the three months ended September 30, 2013 to $14.2 million for the three months ended September 30, 2014 primarily as the result of a $0.2 million increase of corporate and shared services costs to support our increased revenues, and $0.4 million in our International Integrated Telephony segment to support the implementation of a new billing system.  These increases were partially offset by a $0.2 million decrease in our other operating segments, predominately our Island Wireless segment, as a result of overhead cost reduction measures.

 

21



Table of Contents

 

We expect that these general and administrative expenses will remain fairly consistent as a percentage of revenues in future periods.

 

Transaction-related charges.  Transaction-related charges include the external costs, such as legal, tax and accounting, and consulting fees directly associated with acquisition and disposition-related activities, which are expensed as incurred. Transaction- related charges do not include internal costs, such as employee salary and travel-related expenses, incurred in connection with acquisitions or dispositions or any integration-related costs.

 

We did not incur any transaction-related charges during the three months ended September 30, 2014 and there were $2.7 million of transaction-related charges, incurred in connection with our sale of our Alltel business, for the three months ended September 30, 2013.

 

We expect that transaction-related charges will continue to be incurred from time to time as we continue to explore additional acquisition or disposition opportunities and the extent of such charges will vary from period to period.

 

Depreciation and amortization expenses.  Depreciation and amortization expenses represent the depreciation and amortization charges we record on our property and equipment and on certain intangible assets.

 

Depreciation and amortization expenses increased by $0.5 million from $12.3 million for the three months ended September 30, 2013 to $12.8 million for the three months ended September 30, 2014.  The increase was primarily the result of a $0.4 million increase in depreciation expense in our U.S. Wireline network assets relating to our fiber network expansion in New York being placed into service during 2014.  In addition, our corporate overhead depreciation expense increased by $0.6 million due to retention of certain assets previously held by the Company’s Alltel business which were not sold to AT&T Mobility LLC in September 2013.  These increases were offset by a $0.5 million reduction in depreciation expense in the Company’s other operating segments as certain assets became fully depreciated in 2014.

 

We expect depreciation expense to increase as a result of ongoing network investments in our businesses.

 

Interest expense, net.  Interest expense, net represents interest expense and fees incurred on our outstanding credit facilities and interest rate derivatives, net of interest income earned on our cash balances.

 

Interest expense, net decreased $7.1 million from $7.1 million of expense for the three months ended September 30, 2013 to a nominal amount for the three months ended September 30, 2014.  The decrease was primarily the result of the repayment of our outstanding long-term debt in September 2013 and the termination of our interest rate derivative contracts in October 2013.  During the three months ended September 30, 2014, we had no borrowings outstanding under our credit facilities.

 

Unrealized loss on interest rate derivative contracts.  As a result of the repayment of our variable-rate debt on September 20, 2013, our interest rate derivatives were determined to be ineffective.  As a result, we recognized an unrealized loss on our interest rate derivative contracts of $5.7 million during the nine months ended September 30, 2013.  On October 2, 2013, we terminated our interest rate derivatives and paid $5.4 million, the net fair value of those derivatives, to our counterparties.

 

Other income (expense), net.  Other income (expense), net represents miscellaneous non-operational income we earned or expenses we incurred. Other income (expense), net was nominal for the three months ended September 30, 2013 and 2014.

 

Income taxes.  Our effective tax rates for the three months ended September 30, 2013 and 2014 were 35.5% and 33.6%, respectively.  Our effective tax rate declined in 2014 as the result of increased income in lower taxed jurisdictions, such as Bermuda, as compared to 2013.  Our effective tax rate in 2013 was higher than the statutory federal income tax rate of 35% (plus applicable statutory state income tax rates) due primarily to (i) the portion of our earnings that are taxed in Guyana at 45%, and (ii) a portion of our earnings that include losses generated in foreign jurisdictions for which we receive no tax benefit since these are non-tax jurisdictions.  Our consolidated tax rate will continue to be impacted by the mix of income generated among the jurisdictions in which we operate.

 

Income from discontinued operations, net of tax.  Income from discontinued operations, net of tax was $303.2 million for the three months ended September 30, 2013.  Income from discontinued operations, net of tax for the three months ended September 30, 2013 included a $2.0 million loss on the operations of our Alltel business and a $305.2 million gain on the sale of our Alltel business. We did not recognize any income from discontinued operations during the three months ended September 30, 2014.

 

Net income attributable to non-controlling interests.  Net income attributable to non-controlling interests reflected an allocation of $31.5 million and $2.7 million of income generated by our less than wholly-owned subsidiaries for the three months ended September 30, 2013 and 2014, respectively. Included within these amounts was $28.6 million related to our discontinued operations for the three months ended September 30, 2013.

 

Net income attributable to Atlantic Tele-Network, Inc. stockholders.  Net income attributable to Atlantic Tele-Network, Inc. stockholders decreased to $16.2 million for the three months ended September 30, 2014 from $276.2 million for the three months ended September 30, 2013.

 

On a per share basis, net income decreased to $1.00 per diluted share from $17.43 per diluted share for the three months ended September 30, 2014 and 2013, respectively. Included within net income per diluted share for the three months ended September 30, 2013 was $0.12 of net loss per diluted share from discontinued operations and $17.45 of net income per diluted share relating to the gain on the sale of our Alltel business.

 

22



Table of Contents

 

Nine Months Ended September 30, 2013 and 2014

 

 

 

Nine Months Ended
September 30,

 

Amount of
Increase

 

Percent
Increase

 

 

 

2013

 

2014

 

(Decrease)

 

(Decrease)

 

 

 

(In thousands)

 

REVENUE:

 

 

 

 

 

 

 

 

 

U.S. Wireless

 

$

80,597

 

$

110,153

 

$

29,556

 

36.7

%

International Wireless

 

66,162

 

67,127

 

965

 

1.5

 

Wireline

 

62,945

 

64,344

 

1,399

 

2.2

 

Equipment and Other

 

6,103

 

6,212

 

109

 

1.8

 

Total revenue

 

215,807

 

247,836

 

32,029

 

14.8

 

OPERATING EXPENSES(excluding depreciation and amortization unless otherwise indicated):

 

 

 

 

 

 

 

 

 

Termination and access fees

 

40,768

 

48,110

 

7,342

 

18.0

 

Engineering and operations

 

28,349

 

28,939

 

590

 

2.1

 

Sales, marketing and customer services

 

13,646

 

15,440

 

1,794

 

13.1

 

Equipment expense

 

8,050

 

8,897

 

847

 

10.5

 

General and administrative

 

38,856

 

42,343

 

3,487

 

9.0

 

Transaction-related charges

 

2,674

 

341

 

(2,333

)

(87.2

)

Depreciation and amortization

 

36,517

 

37,752

 

1,235

 

3.4

 

Gain on disposition of long lived assets

 

(1,076

)

 

1,076

 

(100.0

)

Total operating expenses

 

167,784

 

181,822

 

14,038

 

8.4

 

Income from operations

 

48,023

 

66,014

 

17,991

 

37.5

 

OTHER INCOME (EXPENSE):

 

 

 

 

 

 

 

 

 

Interest income (expense), net

 

(12,126

)

(220

)

11,906

 

(98.2

)

Unrealized loss on interest rate derivative contracts

 

(5,675

)

 

5,675

 

(100.0

)

Other income (expense), net

 

(198

)

302

 

500

 

(252.5

)

Other income (expense), net

 

(17,999

)

82

 

18,081

 

(100.5

)

INCOME FROM CONTINUING OPERATIONS BEFORE INCOME TAXES

 

30,024

 

66,096

 

36,072

 

120.1

 

Income tax expense

 

11,294

 

22,460

 

11,166

 

98.9

 

INCOME FROM CONTINUING OPERATIONS

 

18,730

 

43,636

 

24,906

 

133.0

 

INCOME FROM DISCONTINUED OPERATIONS

 

 

 

 

 

 

 

 

 

Income (loss) from discontinued operations, net of tax

 

5,166

 

 

(5,166

)

(100.0

)

Gain on sale of discontinued operations, net of tax

 

305,197

 

 

(305,197

)

(100.0

)

Income from discontinued operations

 

310,363

 

 

(310,363

)

(100.0

)

NET INCOME

 

329,093

 

43,636

 

(285,457

)

(86.7

)

Net income attributable to non-controlling interests, net of tax:

 

 

 

 

 

 

 

 

 

Continuing operations

 

(5,934

)

(8,116

)

(2,182

)

36.8

 

Discontinued operations

 

(601

)

 

601

 

(100.0

)

Disposal of discontinued operations

 

(28,699

)

 

28,699

 

(100.0

)

 

 

(35,234

)

(8,116

)

27,118

 

(77.0

)

NET INCOME ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS

 

$

293,859

 

$

35,520

 

$

(258,339

)

(87.9

)%

 

23



Table of Contents

 

U.S. wireless revenue. US wireless revenue increased by $29.6 million, or 36.7 %, to $110.2 million for the nine months ended September 30, 2014, from $80.6 million for the nine months ended September 30, 2013. The revenue growth was a result of increased data traffic volumes resulting from capacity and technology upgrades to our network, an increase in the demand for data services and an increase in the coverage area and number of base stations used in our wholesale network operations from 579 as of September 30, 2013 to 716 as of September 30, 2014.

 

International wireless revenue.  International wireless revenue increased by $0.9 million, or 1.4 %, to $67.1 million for the nine months ended September 30, 2014, from $66.2 million for the nine months ended September 30, 2013. This increase was due to an increase in retail revenue of $1.1 million offset by a decrease in wholesale roaming revenue of $0.2 million.

 

The increase in retail revenues was a result of subscriber growth in our Island Wireless segment (which does not include Guyana) resulting in a $1.2 million increase in revenue offset by a decrease in revenue in Guyana of $0.3 million.  As a result of strong competition in Guyana, our total International Wireless subscribers, which include subscribers in our Island Wireless segment as well as Guyana, decreased from 327,000 subscribers as of September 30, 2013 to 320,000 subscribers as of September 30, 2014 of which 88% were prepaid subscribers.  The decrease in wholesale roaming revenues was the result of rate reductions in our Island Wireless segment which we expect will continue to decline, partially offset by increased volume.

 

Wireline revenue.  Wireline revenue increased by $1.4 million, or 2.2 %, to $64.3 million for the nine months ended September 30, 2014, from $63.0 million during the nine months ended September 30, 2013. Revenues from our domestic wireline businesses increased by $3.5 million as a result of higher wholesale long distance voice service revenue and increased wholesale transport operations.  This increase, however, was partially offset by a $2.1 million decline in wireline revenues in our International Integrated Telephony segment, where an increase in high-speed data service revenue was more than offset by decreases in local landline revenue and inbound international calls.

 

Equipment and other revenue.  Equipment and other revenue increased by $0.1 million, or 1.6 % to $6.2 million for the nine months ended September 30, 2014, from $6.1 million for the nine months ended September 30, 2013. Equipment revenue primarily increased as the result of an increase in subscribers in our Island Wireless segment and in our U.S. Wireless segment’s retail operations where equipment revenues increased by $0.3 million and $0.4 million, respectively.  These increases were partially offset by a $0.6 million decrease in our International Integrated Telephony segment due to lower wireless subscriber additions.

 

Termination and access fee expenses. Termination and access fees increased by $7.3 million, or 17.9 %, from $40.8 million for the nine months ended September 30, 2013 to $48.1 million for the nine months ended September 30, 2014. This increase in our termination and access fees was incurred across substantially all of our segments. Our U.S. Wireless segment reported an increase of $3.9 million in these costs as the result of increased data traffic volumes and the expansion and upgrade of our networks.  Increased traffic volumes in our U.S. Wireline segment resulted in a $2.9 million increase in termination and access fees.  In addition, increased traffic volumes and roaming costs in our Island Wireless segment resulted in a $0.5 million increase in these costs.

 

Engineering and operations expenses.  Engineering and operations expenses increased by $0.6 million from $28.3 million to $28.9 million for the nine months ended September 30, 2013 and 2014, respectively.  The increase in engineering and operations was predominantly caused by an increase across most of our segments as a result of the expansion and upgrades to our networks partially offset by a decrease of $0.4 million in our Island Wireless segment due to its continuing realization of operational synergies, particularly in Bermuda.

 

Sales, marketing and customer service expenses.  Sales and marketing expenses increased by $1.8 million, or 13.2 %, from $13.6 million for the nine months ended September 30, 2013 to $15.4 million for the nine months ended September 30, 2014. Sales and marketing expenses increased $1.6 million in our U.S.Wireless segment’s retail operations to support its increased revenues and subscriber base and increased $0.5 million in our U.S. Wireline segment’s wholesale transport services in New York State.  These increases were partially offset by a $0.3 million reduction in sales and marketing expense in our International Integrated Telephony segment.

 

Equipment expenses.  Equipment expenses increased by $0.8 million from $8.1 million for the nine months ended September 30, 2013 to $8.9 million for the nine months ended September 30, 2014, primarily as a result of increased equipment sales in our U.S. Wireless segment’s retail operations.

 

General and administrative expenses.  General and administrative expenses increased by $3.5 million, or 9.0 % from $38.9 million for the nine months ended September 30, 2013 to $42.3 million for the nine months ended September 30, 2014 primarily as the result of an increase in overhead costs in our i )  corporate and shared services functions of $1.1 million in order to support our increased revenues; ii) U.S.

 

24



Table of Contents

 

Wireline segment of $0.4 million in connection with bringing our expanded fiber network into service; iii) International Integrated Telephony segment of $1.5 million predominately to support the implementation of a new billing system and increased security costs iv) Island Wireless and U.S. Wireless segments in order to support their expanding network and customer bases.

 

Transaction-related charges.  We incurred $2.7 million of transaction-related charges relating to our sale of the Alltel business for the nine months ended September 30, 2013 and $0.3 million for the nine months ended September 30, 2014.

 

Depreciation and amortization expenses.  Depreciation and amortization expenses increased by $1.3 million from $36.5 million for the nine months ended September 30, 2013 to $37.8 million for the nine months ended September 30, 2014 respectively. The increase was primarily the result of a $1.1 million increase in depreciation expense in our U.S. Wireline network assets relating to our fiber network expansion in New York being placed into service during 2014.  In addition, our corporate overhead depreciation expense increased by $1.7 million due to retention of certain assets previously held by the Company’s Alltel business which were not sold to AT&T Mobility LLC in September 2013.  These increases were offset by a $1.5 million reduction in depreciation expense in the Company’s other operating segments as certain assets became fully depreciated in 2014.

 

Gain on disposal of long lived assets. During the nine months ended September 30, 2013, we sold certain network assets and telecommunications licenses in our U.S. Wireless segment for proceeds of $1.5 million and recognized a gain on such disposition of $1.1 million.

 

Interest expense, net.  Interest expense, net decreased $11.9 million from $12.1 million to $0.2 million for the nine months ended September 30, 2013 and 2014, respectively.  The decrease was primarily the result of the repayment of our long-term debt in September 2013 and the termination of our interest rate derivative contracts in October 2013.

 

Unrealized loss on interest rate derivative contracts.  As a result of the repayment of our variable-rate debt on September 20, 2013, our interest rate derivatives were determined to be ineffective.  As a result, we recognized an unrealized loss on our interest rate derivative contracts of $5.7 million during the nine months ended September 30, 2013.  On October 2, 2013, we terminated our interest rate derivatives and paid $5.4 million, the net fair value of those derivatives, to our counterparties.

 

Other income (expense), net.  Other income (expense), net represents miscellaneous non-operational income we earned or expenses we incurred. Other income (expense), net was nominal for the nine months ended September 30, 2013 and 2014.

 

Income taxes.  Our effective tax rates for the nine months ended September 30, 2013 and 2014 were 37.6% and 33.9%, respectively. Our effective tax rate declined in 2014 as the result of increased income in lower taxed jurisdictions, such as Bermuda, as compared to 2013.  Our effective tax rate in 2013 was higher than the statutory federal income tax rate of 35% (plus applicable statutory state income tax rates) due primarily to (i) the portion of our earnings that are taxed in Guyana at 45%, and (ii) a portion of our earnings that include losses generated in foreign jurisdictions for which we receive no tax benefit since these are non-tax jurisdictions.

 

Income from discontinued operations, net of tax.  Income from discontinued operations, net of tax was $310.4 million for the nine months ended September 30, 2013.  Included within the income from discontinued operations, net of tax for the nine months ended September 30, 2013 was $305.2 million relating to the gain on the sale of our Alltel business.

 

Net income attributable to non-controlling interests.  Net income attributable to non-controlling interests reflected an allocation of $35.2 million and $8.1 million of income generated by our less than wholly-owned subsidiaries for the nine months ended September 30, 2013 and 2014, respectively. Included within these amounts was $29.3 million related to our discontinued operations for the nine months ended September 30, 2013.

 

Net income attributable to Atlantic Tele-Network, Inc. stockholders.  Net income attributable to Atlantic Tele-Network, Inc. stockholders decreased to $35.5 million for the nine months ended September 30, 2014 from $293.9 million for the nine months ended September 30, 2013.  Included within net income attributed to Atlantic Tele-Network, Inc. stockholders for the nine months ended September 30, 2013 is income from discontinued operations, net of non-controlling interests of $4.6 million and a gain on the sale of our Alltel business, net of non-controlling interests of $276.5 million.

 

On a per share basis, net income decreased to $2.22 per diluted share from $18.61 per diluted share for the nine months ended September 30, 2014 and 2013, respectively. Included within net income per diluted share for the nine months ended September 30, 2013 was $0.29 of net income per diluted share from discontinued operations and $17.51 of net income per diluted share relating to the gain on the sale of our Alltel business.

 

Regulatory and Tax Issues

 

We are involved in a number of regulatory and tax proceedings. A material and adverse outcome in one or more of these proceedings could have a material adverse impact on our financial condition and future operations.  For discussion of ongoing proceedings, see Note 12 to the Unaudited Condensed Consolidated Financial Statements in this Report.

 

Liquidity and Capital Resources

 

Historically, we have met our operational liquidity needs through a combination of cash on hand and internally generated funds and have funded capital expenditures and acquisitions with a combination of internally generated funds, cash on hand and

 

25



Table of Contents

 

borrowings under our credit facilities. We believe our current cash, cash equivalents and availability under our current credit facility will be sufficient to meet our cash needs for the next twelve months for working capital and capital expenditures.

 

Uses of Cash

 

Capital Expenditures.  A significant use of our cash has been for capital expenditures to expand and upgrade our networks.

 

For the nine months ended September 30, 2013 and 2014, we spent approximately $55.2 million and $41.7 million, respectively, on capital expenditures. The following notes our capital expenditures, by operating segment, for these periods:

 

 

 

Capital Expenditures

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Nine Months Ended September 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2013

 

$

27,736

 

$

9,039

 

$

4,014

 

$

11,231

 

$

3,151

 

$

55,171

 

2014

 

$

26,496

 

$

6,816

 

$

3,966

 

$

2,325

 

$

2,096

 

$

41,699

 

 

We are continuing to invest in upgrading and expanding our networks in many of our markets, along with upgrading our operating and business support systems. We currently anticipate that capital expenditures for the year ended December 31, 2014 will be between $60.0 million and $65.0 million.

 

We expect to fund our current capital expenditures primarily from our current cash balances and cash generated from operations.

 

Acquisitions and investments.  Historically, we have funded our acquisitions with a combination of cash on hand and borrowings under our credit facilities.

 

We continue to explore opportunities to expand our existing communications properties and licenses or acquire new businesses in the United States, the Caribbean and elsewhere. Such acquisitions may require external financing. While there can be no assurance as to whether, when or on what terms we will be able to acquire any such businesses or licenses or make such investments, such acquisitions may be accomplished through the issuance of shares of our capital stock, payment of cash or incurrence of additional debt. From time to time, we may raise capital ahead of any definitive use of proceeds to allow us to move more quickly and opportunistically if an attractive investment materializes.

 

As of September 30, 2014, we had approximately $384.4 million in cash and cash equivalents and $39.3 million of restricted cash from the sale of our Alltel business, and no long-term debt. How and when we deploy our balance sheet capacity will figure prominently in our longer-term growth prospects and stockholder returns.

 

Income taxes.  We use cash-on-hand to make payments for income taxes. As of September 30, 2014, we have made tax payments for substantially all of the expected tax liability owed on the gain we recognized on the sale of the Alltel business.

 

Dividends.    We use cash-on-hand to make dividend payments to our common stockholders when declared by our Board of Directors. For the nine months ended September 30, 2014, our Board declared dividends to our stockholders, which includes a $0.29 per share dividend declared on September 19, 2014 and paid on October 10, 2014, of $13.2 million. We have declared quarterly dividends for the last 64 fiscal quarters.

 

Stock repurchase plan.  Our Board of Directors approved a $5.0 million stock buyback plan in September 2004 pursuant to which we have spent approximately $2.1 million through September 30, 2014. Our last repurchase of our common stock under this plan was in 2007. We may repurchase shares at any time depending on market conditions, our available cash and our cash needs.

 

Sources of Cash

 

Total liquidity.   As of September 30, 2014, we had approximately $384.4 million in cash and cash equivalents, an increase of $27.8 million from the December 31, 2013 balance of $356.6 million. The increase is primarily attributable to cash provided by our operating activities of $51.0 million (which is net of income tax payments of $41.2 million during the nine months ended September 30, 2014, primarily related to taxes owed from the 2013 gain on the sale of the Alltel business), cash used for capital expenditures of $41.7 million partially offset by a decrease in restricted cash of $38.7 million and cash used in our financing activities of $21.6 million.  We also have restricted cash totaling $39.3 million as of September 30, 2014, primarily related to an indemnity escrow from our Alltel sale.  In addition, approximately $90.4 m of our cash balance is held in our businesses outside the United States, predominately Guyana and Bermuda.

 

26



Table of Contents

 

Cash provided by operations.  Cash provided by operating activities was $51.0 million for the nine months ended September 30, 2014 and $84.5 million for the nine months ended September 30, 2013, a decrease of $33.5 million. During the nine months ended September 30, 2014, cash provided by operations was negatively impacted by a decrease in cash provided by our discontinued operations of $30.4 million.  Cash from our continuing operations decreased by $3.1 million, from $58.8 million to $55.7 million for the nine months ended September 30, 2013 and 2014, respectively. This decrease was primarily the result of an increase in net income (net of the effects of the 2013 income and gain on the sale from our discontinued operations) of $25.0 million offset by increased usages of $15.4 million for the payment of our accounts payable and accrued liabilities as well as an aggregate $12.2 million reduction in the amortization of debt discounts issuance costs and the loss on our interest rate derivative contracts as a result of our repayment of our long-term debt in 2013.

 

27



Table of Contents

 

Cash used in investing activities.  Cash provided by investing activities was $657.9 million for the nine months ended September 30, 2013 and $1.6 million for the nine months ended September 30, 2014.  The $659.5 million decrease was predominately the result of cash of $711.5 million being provided by our discontinued operations during the nine months ended September 30, 2013, a decrease in restricted cash of $38.7 million and a decrease in capital expenditures of $13.5 million.  The nine months ended September 30, 2014 also included $1.4 million in proceeds from the sale and leaseback of certain network equipment used in our U.S. Wireless segment.  The $1.1 million gain on this sale is being deferred over ten years, the life of the lease which was entered into by us for the purpose of leasing the sold assets.

 

Cash used in financing activities.   Cash used in financing activities decreased by $263.1 million, from $284.7 million for the nine months ended September 30, 2013 to $21.6 million of cash for the nine months ended September 30, 2014.  The decrease in usage in 2014 was primarily the result of the 2013 repayments of our $272.1 million term loans subsequent to the sale of our Alltel business

 

Credit facilities.  We have a credit facility (the “Credit Facility”) which previously included two term loans and currently provides for a revolver loan of up to $100.0 million.  The revolver loan also has a $10.0 million swingline sub-facility and a $55.0 million letter of credit sub-facility for issuance in connection with our Mobility Fund Grant obligations (see Note 8) to the Condensed Consolidated Financial Statements.

 

On September 20, 2013 we repaid our outstanding term loans in full. Amounts borrowed under the term loans bore interest at a rate equal to, at our option, either (i) at the London Interbank Offered Rate (LIBOR) plus an applicable margin ranging between 2.00% to 4.00% or (ii) a base rate plus an applicable margin ranging from 1.00% to 3.00%. The base rate was equal to the higher of (i) 1.50% plus the higher of (x) the one-week LIBOR and (y) the one-month LIBOR; or (ii) the prime rate (as defined in the Credit Facility). The applicable margin was determined based on the ratio of our indebtedness (as defined in the Credit Facility) to our EBITDA (as defined in the Credit Facility).

 

Amounts borrowed under the revolver loan bear interest at a rate equal to, at our option, either (i) LIBOR plus an applicable margin ranging between 2.00% to 3.50% or (ii) a base rate plus an applicable margin ranging from 1.00% to 2.50% (or, in the case of amounts borrowed under the swing-line sub- facility, an applicable margin ranging from 0.50% to 2.00%.) We must also pay a fee ranging from 0.25% to 0.50% of the average daily unused portion of the revolver loan over each calendar quarter, which fee is payable in arrears on the last day of each calendar quarter.

 

The Credit Facility contains customary representations, warranties and covenants, including covenants by us limiting additional indebtedness, liens, guaranties, mergers and consolidations, substantial asset sales, investments and loans, sale and leasebacks, transactions with affiliates and fundamental changes. In addition, the Credit Facility contains financial covenants by us that (i) impose a maximum leverage ratio of indebtedness to EBITDA, (ii) require a minimum debt service ratio of EBITDA to principal, interest and taxes payments and (iii) require a minimum ratio of equity to consolidated assets. As of September 30, 2014, we were in compliance with all of the financial covenants of the Credit Facility.

 

Factors Affecting Sources of Liquidity

 

Internally generated funds.  The key factors affecting our internally generated funds are demand for our services, competition, regulatory developments, economic conditions in the markets where we operate our businesses and industry trends within the telecommunications industry.

 

Restrictions under Credit Facility.  Our Credit Facility contains customary representations, warranties and covenants, including covenants by us limiting additional indebtedness, liens, guaranties, mergers and consolidations, substantial asset sales, investments and loans, sale and leasebacks, transactions with affiliates and fundamental changes. In addition, the Credit Facility contains financial covenants by us that (i) impose a maximum ratio of indebtedness to EBITDA (ii) require a minimum ratio of EBITDA to principal and interest payments and cash taxes and, (iii) require a minimum ratio of equity to consolidated assets. As of September 30, 2014, we were in compliance with all of the financial covenants of the Credit Facility.

 

Capital markets.  Our ability to raise funds in the capital markets depends on, among other things, general economic conditions, the conditions of the telecommunications industry, our financial performance, the state of the capital markets and our compliance with Securities and Exchange Commission (“SEC”) requirements for the offering of securities. On June 6, 2014, the SEC declared effective our “universal” shelf registration statement. This filing registered potential future offerings of our securities.

 

28



Table of Contents

 

Recent Accounting Pronouncements

 

In August 2014, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) No. 2014-15, Disclosure of Uncertainties about an Entity’s Ability to Continue as a Going Concern.  ASU 2014-15 will explicitly require management to assess an entity’s ability to continue as a going concern, and to provide related footnote disclosure in certain circumstances. The new standard will be effective for all entities in the first annual period ending after December 15, 2016. Earlier adoption is permitted. We do not expect ASU No. 2014-15 to have a material impact on our consolidated financial position, results of operations, or cash flows.

 

In June 2014, the FASB issued a standards update on accounting for share-based payments when the terms of the award provide that a performance target could be achieved after a requisite service period. The standard is effective beginning January 1, 2016, with early adoption permitted. We do not expect this standard update to have a material impact on our consolidated financial position, results of operations or cash flows.

 

In May 2014, the FASB issued ASU 2014-09, “Revenue from Contracts with Customers (Topic 606), a standard on revenue recognition providing a single, comprehensive revenue recognition model for all contracts with customers. The revenue standard is based on the principle that revenue should be recognized to depict the transfer of promised goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. The standard is effective beginning January 1, 2017, with no early adoption permitted. The amendments may be applied retrospectively to each prior period presented or retrospectively with the cumulative effect recognized as of the date of initial application. We are currently evaluating the adoption method options and the impact of the new guidance on our consolidated financial statements.

 

In April 2014, the FASB issued ASU 2014-08, “Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity.” ASU 2014-08 provides guidance on determining when disposals can be presented as discontinued operations. ASU 2014-08 requires that only disposals representing a strategic shift in operations should be presented as discontinued operations. A strategic shift may include a disposal of a major line of business, major equity method investment or a major part of an entity. Additionally, ASU 2014-08 requires expanded disclosures regarding discontinued operations. This standard is effective prospectively for reporting periods beginning after December 15, 2014. Early adoption is permitted. The adoption of this amendment is not expected to have a material impact on the Company’s condensed consolidated financial statements.

 

In March 2013, the FASB issued ASU 2013-05, “Foreign Currency Matters (Topic 830): Parent’s Accounting for the Cumulative Translation Adjustment upon Derecognition of Certain Subsidiaries or Groups of Assets within a Foreign Entity or of an Investment in a Foreign Entity.” ASU 2013-05 provides clarification regarding whether ASC 810-10, “Consolidation — Overall” or ASC 830-30, “Foreign Currency Matters—Translation of Financial Statements,” applies to the release of cumulative translation adjustments into net income when a reporting entity either sells a part or all of its investment in a foreign entity or ceases to have a controlling financial interest in a subsidiary or group of assets that constitute a business within a foreign entity. The revised standard is effective for reporting periods beginning after December 15, 2013. The adoption of this amendment did not have a material impact on the Company’s condensed consolidated financial statements.

 

In July 2013, the FASB issued ASU No. 2013-11, “Income Taxes (Topic 740): Presentation of an Unrecognized Tax Benefit When a Net Operating Loss Carryforward, a Similar Tax Loss, or a Tax Credit Carryforward Exists (a consensus of the Emerging Issues Task Force),” which states that an unrecognized tax benefit, or a portion of an unrecognized tax benefit, should be presented in the financial statements as a reduction to a deferred tax asset for a net operating loss carryforward, a similar tax loss, or a tax credit carryforward. If a company does not have: (i) a net operating loss carryforward; (ii) a similar tax loss; or (iii) a tax credit carryforward is not available at the reporting date under the tax law of the applicable jurisdiction to settle any additional income taxes that would result from the disallowance of a tax position or the entity does not intend to use the deferred tax asset for such purpose, the unrecognized tax benefit should be presented in the financial statements as a liability and should not be combined with deferred tax assets. The authoritative guidance is effective for fiscal years and the interim periods within those fiscal years beginning on or after December 15, 2013 and was applied on a prospective basis. The adoption of this authoritative guidance did not have a material impact on the Company’s condensed consolidated financial statements.

 

ITEM 3.  QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

 

Foreign Currency Exchange Sensitivity.  With the exception of GT&T, all of our foreign subsidiaries operate in jurisdictions where the U.S. dollar is the recognized currency. The only foreign currency for which we have a material exposure is the Guyanese dollar, because a significant portion of our Guyana revenues and expenditures are transacted in Guyanese dollars. The Guyanese exchange rate remained relatively constant at approximately 205 Guyana dollars to 1 U.S. dollar from 2004 through May 2013. Beginning in May 2013, the exchange rate began to increase and ended at a rate of approximately 210 Guyana dollars to 1 U.S. dollar as of December 31, 2013. For the three and nine months ended September 30, 2014, our Guyana revenues were negatively impacted by $0.5 million and $1.4 million, respectively. For the three and nine months ended September 30, 2014, our Guyana expenses were positively impacted by $0.3 million and $0.9 million, respectively. The exchange rate remained consistent at 210 Guyana dollars to 1 U.S. dollar during the nine months ended September 30, 2014. The results of future operations may be affected by changes in the value of the Guyana dollar.

 

Interest Rate Sensitivity.  As of September 30, 2014, we did not have any outstanding variable rate debt and as a result, we believe that we do not have an exposure to fluctuations in interest rates. We may have an exposure to fluctuations in interest rates if we again borrow amounts under our revolver loan within our Credit Facility.

 

ITEM 4. CONTROLS AND PROCEDURES

 

Management’s Evaluation of Disclosure Controls and Procedures. Our management, with the participation of our Chief Executive Officer and Chief Financial Officer, evaluated the effectiveness of our disclosure controls and procedures as of September 30, 2014.  The term “disclosure controls and procedures,” as defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934, as amended (the “Exchange Act”), means controls and other procedures of an issuer that are designed to ensure that information required to be disclosed by the issuer in the reports that it files or submits under the Exchange Act is recorded, processed, summarized and reported, within the time periods specified in the SEC’s rules and forms.  Disclosure controls and procedures include, without limitation, controls and procedures designed to ensure that information required to be disclosed by an issuer in the reports that it files or submits under the Exchange Act is accumulated and communicated to the issuer’s management, including its principal executive and principal financial officers, as appropriate, to allow timely decisions regarding required disclosure.  Management recognizes that any controls and procedures, no matter how well designed and operated, can provide only reasonable assurance of achieving their objectives and management necessarily applies its judgment in evaluating the cost-benefit relationship of possible controls and procedures.

 

Based on the evaluation of our disclosure controls and procedures as of September 30, 2014, our Chief Executive Officer and Chief Financial Officer concluded that, as of such date, our disclosure controls and procedures were not effective for the reasons described below.

 

As disclosed in our Annual Report on Form 10-K as filed with the SEC on March 17, 2014,  we identified material weaknesses in our internal control over financial reporting as of December 31, 2013 relating to (i) the implementation of a new billing system in Guyana and (ii) the accounting personnel in our GT&T subsidiary possessing insufficient experience and training in the Company’s business processes and accounting policies to enable them to make accounting and reporting decisions in a manner consistent with our financial reporting and U.S. GAAP timeline requirements.

 

A material weakness is a deficiency, or a combination of deficiencies, in internal control over financial reporting, such that there is a reasonable possibility that a material misstatement of the annual or interim financial statements will not be prevented or detected in a timely basis.  Notwithstanding the previously identified material weakness, management, based on the work performed as part of our remediation plan, has concluded that the unaudited interim condensed consolidated financial statements included in this Quarterly Report on Form 10-Q are fairly stated in all material respects in accordance with generally accepted accounting principles.

 

29



Table of Contents

 

Remediation Plan

 

As discussed in our Annual Report on Form 10-K, our management team took immediate action to begin remediating the material weaknesses, including (i) improving our technical ability to report information from the billing system to our financial reporting systems, (ii) providing increased training on our internal controls and procedures, including these remedial measures, to our personnel and (iii) providing additional enhanced local and centralized oversight and management of the accounting and IT services provided by our local personnel.  The Company believes that these procedures will remediate the material weaknesses described above. While certain aspects of these remedial actions have been completed, we expect these efforts to continue through 2014 as we continue to actively plan for and implement additional control procedures to improve our overall control environment.

 

Changes in internal control over financial reporting.  Except as noted above, there were no changes in our internal control over financial reporting that occurred during the three months ended September 30, 2014 that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

 

PART II—OTHER INFORMATION

 

Item 1. Legal Proceedings

 

See Note 12 to the Condensed Consolidated Financial Statements included in this Report.

 

Item 1A. Risk Factors

 

We are actively evaluating investment, acquisition and other strategic opportunities, which may affect our long-term growth prospects.

 

We are actively evaluating acquisition, investment and other strategic opportunities, both domestic and international, in telecommunications and other industries, including in areas that may not be seen by the broader market as timely today. We may focus on opportunities that we believe have potential for long-term organic and strategic growth or that may otherwise satisfy our return and other investment criteria.  Any acquisition or investment that we might make outside of the telecommunications industry would pose the risk inherent in us entering into a new, unrelated business, including the ability of our holding company management team to effectively oversee the management team of such operations.  There can be no assurance as to whether, when or on what terms we will be able to invest in, acquire or divest any businesses or assets or that we will be able to successfully integrate the business or realize the perceived benefits of any acquisition. Any such transactions may be accomplished through the payment of cash, issuance of shares of our capital stock or incurrence of additional debt, or a combination thereof. As of September 30, 2014, we had approximately $384.4 million in cash, cash equivalents and restricted cash primarily as a result of the proceeds from our Alltel Sale, and no long-term debt. How and when we deploy our balance sheet capacity will figure prominently in our longer-term growth prospects and stockholder returns.

 

Rapid and significant technological changes in the telecommunications industry may adversely affect us.

 

Our industry faces rapid and significant changes in technology that directly impact our business, including the following:

 

·evolving industry standards;

·requirements resulting from changing regulatory regimes;

·the allocation of radio frequency spectrum in which to license and operate advanced wireless services;

·ongoing improvements in the capacity and quality of digital technology;

·changes in end-user requirements and preferences;

·convergence between video and data services;

·development of data and broadband capabilities and rapidly expanding demand for those capabilities; and

·migration to new-generation services such as LTE or “4G” network technology.

 

For us to keep up with these technological changes and remain competitive, at a minimum we will be required to continue to make significant capital expenditures to add to our networks’ capacity, coverage and technical capability. For example, we have spent considerable amounts adding higher speed, higher capacity mobile data services to many of our networks in recent years and we think it likely that more such expenditures, including adding LTE mobile data technologies, will be needed over the next few years.

 

We cannot predict the effect of technological changes on our business. Alternative or new technologies may be developed that provide communications services superior to those available from us, which may adversely affect our business. For example, to accommodate the demand by our wireless customers for next-generation advanced wireless products such as high-speed data and streaming video, we may be required to purchase additional spectrum, however, we have had difficulty finding spectrum for sale or on terms that are acceptable to us. In our Bermuda market, any action taken by the Regulatory Authority to recapture spectrum we currently hold would have an impact on our ability to deploy next generation mobile technologies.  In addition, usage of wireless voice or broadband services in excess of our expectations could strain our capacity, causing service disruptions and result in higher operating costs and capital expenditures. In each of our markets, providing more and higher speed data services through our wireless or wireline networks may require us to make substantial investments in additional telecommunications transport capacity connecting our networks to the Internet, and in some cases such capacity may not be available to us on attractive terms or at all. Failure to provide these services or to upgrade to new technologies on a timely basis and at an acceptable cost could have a material adverse effect on our ability to compete with carriers in our markets.

 

General economic factors, domestically and internationally, may adversely affect our business, financial condition and results of operations.

 

General economic factors could adversely affect demand for our products and services, require a change in the services we sell or have a significant impact in our operating costs.  Energy costs are historically volatile and are subject to fluctuations arising from changes in domestic and international supply and demand, labor costs, competition, market speculation, government regulations, or weather conditions. Rapid and significant changes in these and other commodity prices may affect our sales and profit margins.  General economic conditions can also be affected by the outbreak of war, acts of terrorism, or other significant national or international events.

 

                                                In addition, an economic downturn in our markets or the global market may lead to slower economic activity, increased unemployment, concerns about inflation, decreased consumer confidence and other adverse business conditions that could have an impact on our businesses. For example, among other things:

 

·                  A decrease in tourism could negatively affect revenues and growth opportunities from operations in the islands and in a number of areas covered by U.S. rural and wholesale wireless operations that serve tourist destinations.

·                  An increase in “bad debt”, or the amounts that we have to write off of our accounts receivable could result from our inability to collect subscription fees from our subscribers.

·                  We rely on the population of Guyanese living abroad who initiate calls to Guyana or are responsible for remittances to relatives living in Guyana. A prolonged economic downturn in the U.S. or Canadian economies could affect inbound calling and, therefore, our revenue in Guyana.

 

The impact, if any, that these events might have on us and our business, is uncertain.

 

Failure of network or information technology systems, including as a result of security breaches, could have an adverse effect on our business.

 

We are highly dependent on our information technology (IT) systems for the operation of our network, delivery of services to our customers and compilation of our financial results. Failure of these IT systems, through cyberattacks, breaches of security, or otherwise, may cause disruptions to our operations. Our inability to operate our network and backoffice systems as a result of such events, even for a limited period of time, may result in significant expenses and/ impact the timely and accurate delivery of our services or other information. Other risks that may also cause interruptions in service or reduced capacity for customers include power loss, capacity limitations, software defects and breaches of security by computer viruses, break-ins or otherwise. Disruptions in our networks and the unavailability of our services or our inability to efficiently and effectively complete necessary technology or systems upgrades or conversions could lead to a loss of customers, damage to our reputation and violation of the terms of our licenses and contracts with customers. These failures could also lead to significant negative publicity, regulatory problems and litigation.

 

In addition to the risk factors listed above and the other information set forth in this Report, you should carefully consider the factors discussed in Part I, “Item 1A. Risk Factors” in our 2013 Annual Report on Form 10-K as filed with the SEC on March 17, 2014. The risks described in our 2013 Form 10-K are not the only risks facing our Company.  Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial also may materially adversely affect our business, financial condition and/or operating results.

 

Item 2.  Unregistered Sales of Equity Securities and Use of Proceeds

 

In September 2004, the Board of Directors authorized the Company to repurchase up to $5.0 million of common stock. The repurchase authorizations do not have a fixed termination date and the timing of the buyback amounts and exact number of shares purchased will depend on market conditions.  No repurchases were made under this plan during the quarter ended September 30, 2014.

 

The following table reflects the repurchases by the Company of its common stock during the quarter ended September 30, 2014:

 

Period

 

(a)
Total Number
of Shares
Purchased (1)

 

(b)
Average
Price
Paid per
Share (1)

 

(c)
Total Number of
Shares Purchased
as Part of Publicly
Announced Plans
or Programs

 

(d)
Maximum
Number (or
Approximate
Dollar Value) of
Shares that May
be Purchased
Under the Plans or
Programs

 

July 1, 2014 — July 31, 2014

 

 

$

 

 

$

2,919,965

 

August 1, 2014 — August 31, 2014

 

1,238

 

$

58.91

 

 

$

2,919,965

 

September 1, 2014 — September 30, 2014

 

 

$

 

 

$

2,919,965

 

 


(1)         Represents shares purchased on August 8, 2014 and August 28, 2014 from our executive officers and other employees who tendered these shares to the Company to satisfy their tax withholding obligations incurred in connection with the vesting of restricted stock awards at such date. These shares were not purchased under the plan discussed above. The price paid per share was the closing price per share of our common stock on the Nasdaq Stock Market on the date those shares were purchased

 

Item 6. Exhibits

 

31.1

 

Certification of Chief Executive Officer pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

 

30



Table of Contents

 

31.2

 

Certification of Chief Financial Officer pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

 

 

 

32.1

 

Certification of Chief Executive Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

 

 

 

32.2

 

Certification of Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

 

 

 

101.INS

 

XBRL Instance Document

 

 

 

101.SCH

 

XBRL Taxonomy Extension Schema Document

 

 

 

101.CAL

 

XBRL Taxonomy Extension Calculation Linkbase Document

 

 

 

101.DEF

 

XBRL Taxonomy Extension Definition Linkbase Document

 

 

 

101.LAB

 

XBRL Taxonomy Extension Label Linkbase Document

 

 

 

101.PRE

 

XBRL Taxonomy Extension Presentation Linkbase Document

 

31



Table of Contents

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

 

 

Atlantic Tele-Network, Inc.

 

 

 

Date: November 10, 2014

By:

/s/ Michael T. Prior

 

 

Michael T. Prior

 

 

President and Chief Executive Officer

 

 

 

Date: November 10, 2014

By:

/s/ Justin D. Benincasa

 

 

Justin D. Benincasa

 

 

Chief Financial Officer and Treasurer

 

32


EX-31.1 2 a14-19792_1ex31d1.htm EX-31.1

Exhibit 31.1

 

CERTIFICATIONS PURSUANT TO

RULE 13a-14(a) OR RULE 15d-14(a),

AS ADOPTED PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, Michael T. Prior, certify that:

 

1.                      I have reviewed this quarterly report on Form 10-Q of Atlantic Tele-Network, Inc.;

 

2.                      Based on my knowledge, this 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 report;

 

3.                      Based on my knowledge, the financial statements, and other financial information included in this 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 report;

 

4.                      The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

a)                      Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, 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 report is being prepared;

 

b)                      Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c)                       Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d)                      Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.                      The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a)                      All significant deficiencies and material weakness in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b)                      Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

 

Atlantic Tele-Network, Inc.

 

 

 

Date: November 10, 2014

By:

/s/ Michael T. Prior

 

 

Michael T. Prior

 

 

President and Chief Executive Officer

 


EX-31.2 3 a14-19792_1ex31d2.htm EX-31.2

Exhibit 31.2

 

CERTIFICATIONS PURSUANT TO

RULE 13a-14(a) OR RULE 15d-14(a),

AS ADOPTED PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, Justin D. Benincasa, certify that:

 

1.                      I have reviewed this quarterly report on Form 10-Q of Atlantic Tele-Network, Inc.;

 

2.                      Based on my knowledge, this 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 report;

 

3.                      Based on my knowledge, the financial statements, and other financial information included in this 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 report;

 

4.                      The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

a)                      Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, 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 report is being prepared;

 

b)                      Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c)                       Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d)                     Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual Report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.                      The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a)                     All significant deficiencies and material weakness in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b)                      Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

Atlantic Tele-Network, Inc.

 

 

 

Date: November 10, 2014

By:

/s/ Justin D. Benincasa

 

 

Justin D. Benincasa

 

 

Chief Financial Officer and Treasurer

 


EX-32.1 4 a14-19792_1ex32d1.htm EX-32.1

Exhibit 32.1

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the quarterly report on Form 10-Q of Atlantic Tele-Network, Inc. (the “Company”) for the period ended September 30, 2014 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Michael T. Prior, President and Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.                      The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.                      The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

Atlantic Tele-Network, Inc.

 

 

 

Date: November 10, 2014

By:

/s/ Michael T. Prior

 

 

Michael T. Prior

 

 

President and Chief Executive Officer

 


EX-32.2 5 a14-19792_1ex32d2.htm EX-32.2

Exhibit 32.2

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the quarterly report on Form 10-Q of Atlantic Tele-Network, Inc. (the “Company”) for the period ended September 30, 2014 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Justin D. Benincasa, Chief Financial Officer and Treasurer of the Company, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

 

1.                      The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.                      The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

Atlantic Tele-Network, Inc.

 

 

 

Date: November 10, 2014

By:

/s/ Justin D. Benincasa

 

 

Justin D. Benincasa

 

 

Chief Financial Officer and Treasurer

 


EX-101.INS 6 atni-20140930.xml XBRL INSTANCE DOCUMENT 0000879585 us-gaap:ParentMember 2014-09-30 0000879585 us-gaap:NoncontrollingInterestMember 2014-09-30 0000879585 us-gaap:ParentMember 2013-12-31 0000879585 us-gaap:NoncontrollingInterestMember 2013-12-31 0000879585 us-gaap:ParentMember 2013-09-30 0000879585 us-gaap:NoncontrollingInterestMember 2013-09-30 0000879585 us-gaap:ParentMember 2012-12-31 0000879585 us-gaap:NoncontrollingInterestMember 2012-12-31 0000879585 atni:BermudaDigitalCommunicationsMember 2011-05-01 2011-05-31 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelineMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:InternationalIntegratedTelephonyMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessBusinessMember atni:USWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:IslandWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:InternationalIntegratedTelephonyMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelineMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:IslandWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:InternationalIntegratedTelephonyMember 2014-07-01 2014-09-30 0000879585 atni:WirelineMember 2014-07-01 2014-09-30 0000879585 atni:USWirelessBusinessMember 2014-07-01 2014-09-30 0000879585 atni:InternationalWirelessMember 2014-07-01 2014-09-30 0000879585 atni:EquipmentAndOtherMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelineMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:InternationalIntegratedTelephonyMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessBusinessMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:IslandWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:InternationalIntegratedTelephonyMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelineMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:IslandWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:InternationalIntegratedTelephonyMember 2014-01-01 2014-09-30 0000879585 atni:WirelineMember 2014-01-01 2014-09-30 0000879585 atni:USWirelessBusinessMember 2014-01-01 2014-09-30 0000879585 atni:InternationalWirelessMember 2014-01-01 2014-09-30 0000879585 atni:EquipmentAndOtherMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelineMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:InternationalIntegratedTelephonyMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessBusinessMember atni:USWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:IslandWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:InternationalIntegratedTelephonyMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelineMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:IslandWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:InternationalIntegratedTelephonyMember 2013-07-01 2013-09-30 0000879585 atni:WirelineMember 2013-07-01 2013-09-30 0000879585 atni:USWirelessBusinessMember 2013-07-01 2013-09-30 0000879585 atni:InternationalWirelessMember 2013-07-01 2013-09-30 0000879585 atni:EquipmentAndOtherMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelineMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:USWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:WirelineMember atni:InternationalIntegratedTelephonyMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessBusinessMember atni:USWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:IslandWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalWirelessMember atni:InternationalIntegratedTelephonyMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelineMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:USWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:IslandWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:EquipmentAndOtherMember atni:InternationalIntegratedTelephonyMember 2013-01-01 2013-09-30 0000879585 atni:WirelineMember 2013-01-01 2013-09-30 0000879585 atni:USWirelessBusinessMember 2013-01-01 2013-09-30 0000879585 atni:InternationalWirelessMember 2013-01-01 2013-09-30 0000879585 atni:EquipmentAndOtherMember 2013-01-01 2013-09-30 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2014-09-30 0000879585 us-gaap:LetterOfCreditMember 2014-01-01 2014-09-30 0000879585 us-gaap:GeneralAndAdministrativeExpenseMember atni:ReclassificationMember 2014-01-01 2014-09-30 0000879585 atni:NavajoNationAcrossArizonaNewMexicoAndUtahMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:RevolvingCreditFacilityMember us-gaap:MinimumMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:RevolvingCreditFacilityMember us-gaap:MaximumMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:RevolvingCreditFacilityMember 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:LetterOfCreditMember 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember atni:SwinglineSubFacilityMember 2014-09-30 0000879585 us-gaap:LetterOfCreditMember 2014-09-30 0000879585 country:GY 2013-01-01 2013-12-31 0000879585 2013-01-01 2013-12-31 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2013-07-01 2013-09-30 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2013-01-01 2013-09-30 0000879585 us-gaap:InterestRateSwapMember us-gaap:CashFlowHedgingMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelineMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:IslandWirelessMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalIntegratedTelephonyMember 2014-07-01 2014-09-30 0000879585 us-gaap:MaterialReconcilingItemsMember 2014-07-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelineMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:IslandWirelessMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalIntegratedTelephonyMember 2014-01-01 2014-09-30 0000879585 us-gaap:MaterialReconcilingItemsMember 2014-01-01 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelineMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:IslandWirelessMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalIntegratedTelephonyMember 2013-07-01 2013-09-30 0000879585 us-gaap:MaterialReconcilingItemsMember 2013-07-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelineMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:IslandWirelessMember 2013-01-01 2013-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalIntegratedTelephonyMember 2013-01-01 2013-09-30 0000879585 us-gaap:MaterialReconcilingItemsMember 2013-01-01 2013-09-30 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:RevolvingCreditFacilityMember us-gaap:LondonInterbankOfferedRateLIBORMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:RevolvingCreditFacilityMember us-gaap:BaseRateMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember us-gaap:LondonInterbankOfferedRateLIBORMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember us-gaap:BaseRateMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember us-gaap:PrimeRateMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:SwinglineSubFacilityMember us-gaap:MinimumMember us-gaap:BaseRateMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember atni:SwinglineSubFacilityMember us-gaap:MaximumMember us-gaap:BaseRateMember 2014-01-01 2014-09-30 0000879585 us-gaap:RevolvingCreditFacilityMember us-gaap:MinimumMember us-gaap:LondonInterbankOfferedRateLIBORMember 2014-01-01 2014-09-30 0000879585 us-gaap:RevolvingCreditFacilityMember us-gaap:MinimumMember us-gaap:BaseRateMember 2014-01-01 2014-09-30 0000879585 us-gaap:RevolvingCreditFacilityMember us-gaap:MaximumMember us-gaap:LondonInterbankOfferedRateLIBORMember 2014-01-01 2014-09-30 0000879585 us-gaap:RevolvingCreditFacilityMember us-gaap:MaximumMember us-gaap:BaseRateMember 2014-01-01 2014-09-30 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember us-gaap:MinimumMember us-gaap:LondonInterbankOfferedRateLIBORMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember us-gaap:MinimumMember us-gaap:BaseRateMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember us-gaap:MaximumMember us-gaap:LondonInterbankOfferedRateLIBORMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember us-gaap:MaximumMember us-gaap:BaseRateMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:DebtInstrumentVariableRateBaseOneWeekLIBORMember 2013-01-01 2013-09-20 0000879585 atni:AmendmentToCreditFacilityMember atni:DebtInstrumentVariableRateBaseOneMonthLIBORMember 2013-01-01 2013-09-20 0000879585 2013-09-30 0000879585 2012-12-31 0000879585 atni:M3WirelessLtdMember us-gaap:NotesPayableOtherPayablesMember atni:KeytechLtdMember 2011-05-02 0000879585 us-gaap:FairValueInputsLevel2Member us-gaap:FairValueMeasurementsRecurringMember 2014-09-30 0000879585 us-gaap:FairValueInputsLevel1Member us-gaap:FairValueMeasurementsRecurringMember 2014-09-30 0000879585 us-gaap:EstimateOfFairValueFairValueDisclosureMember us-gaap:FairValueMeasurementsRecurringMember 2014-09-30 0000879585 us-gaap:FairValueInputsLevel2Member us-gaap:FairValueMeasurementsRecurringMember 2013-12-31 0000879585 us-gaap:FairValueInputsLevel1Member us-gaap:FairValueMeasurementsRecurringMember 2013-12-31 0000879585 us-gaap:EstimateOfFairValueFairValueDisclosureMember us-gaap:FairValueMeasurementsRecurringMember 2013-12-31 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelineMember 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessMember 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:IslandWirelessMember 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalIntegratedTelephonyMember 2014-09-30 0000879585 atni:USWirelessMember us-gaap:SegmentDiscontinuedOperationsMember 2014-09-30 0000879585 us-gaap:MaterialReconcilingItemsMember 2014-09-30 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelineMember 2013-12-31 0000879585 us-gaap:OperatingSegmentsMember atni:USWirelessMember 2013-12-31 0000879585 us-gaap:OperatingSegmentsMember atni:IslandWirelessMember 2013-12-31 0000879585 us-gaap:OperatingSegmentsMember atni:InternationalIntegratedTelephonyMember 2013-12-31 0000879585 atni:USWirelessMember us-gaap:SegmentDiscontinuedOperationsMember 2013-12-31 0000879585 us-gaap:MaterialReconcilingItemsMember 2013-12-31 0000879585 us-gaap:EmployeeStockOptionMember 2013-07-01 2013-09-30 0000879585 us-gaap:EmployeeStockOptionMember 2013-01-01 2013-09-30 0000879585 us-gaap:ParentMember 2014-01-01 2014-09-30 0000879585 us-gaap:ParentMember 2013-01-01 2013-09-30 0000879585 2014-11-10 0000879585 atni:UpstateNewYorkAndPartsOfPennsylvaniaAndVermontMember 2014-01-01 2014-09-30 0000879585 us-gaap:MinimumMember stpr:VT 2014-01-01 2014-09-30 0000879585 us-gaap:NoncontrollingInterestMember 2014-01-01 2014-09-30 0000879585 us-gaap:NoncontrollingInterestMember 2013-01-01 2013-09-30 0000879585 atni:WholesaleMobilityFundsMember us-gaap:OtherNoncurrentLiabilitiesMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 atni:WholesaleMobilityFundsMember us-gaap:OtherLiabilitiesMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 atni:WholesaleMobilityFundsMember us-gaap:OtherCurrentLiabilitiesMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 atni:TribalMobilityFundMember 2014-06-01 2014-06-30 0000879585 atni:WholesaleMobilityFundsMember 2013-08-01 2013-08-31 0000879585 2014-01-15 2014-01-15 0000879585 2014-07-30 2014-07-31 0000879585 atni:AmendmentToCreditFacilityMember atni:TermLoanMember 2012-05-17 2012-05-18 0000879585 atni:WholesaleMobilityFundsMember atni:USWirelessMember 2014-01-01 2014-09-30 0000879585 2014-09-30 0000879585 2013-12-31 0000879585 stpr:VT 2014-01-01 2014-09-30 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2013-09-20 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2013-09-19 2013-09-20 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember us-gaap:SubsequentEventMember 2015-03-01 2015-03-31 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2014-09-01 2014-09-30 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2014-03-01 2014-03-31 0000879585 atni:ATAndTMobilityLLCMember atni:USRetailWirelessBusinessMember 2014-01-01 2014-09-30 0000879585 2014-07-01 2014-09-30 0000879585 2013-07-01 2013-09-30 0000879585 2013-01-01 2013-09-30 0000879585 2014-01-01 2014-09-30 xbrli:pure xbrli:shares atni:item iso4217:USD xbrli:shares iso4217:USD <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">2.&nbsp;&nbsp;BASIS OF PRESENTATION</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The accompanying condensed consolidated financial statements have been prepared by the Company pursuant to the rules&nbsp;and regulations of the Securities and Exchange Commission (&#x201C;SEC&#x201D;). The financial information included herein is unaudited; however, the Company believes such information and the disclosures herein are adequate to make the information presented not misleading and reflect all adjustments (consisting only of normal recurring adjustments) that are necessary for a fair statement of the Company&#x2019;s financial position and results of operations for such periods. The year-end condensed balance sheet data was derived from audited financial statements, but does not include all disclosures required by accounting principles generally accepted in the United States of America.&nbsp;&nbsp;Results of interim periods may not be indicative of results for the full year.&nbsp;&nbsp;These condensed consolidated financial statements and related notes should be read in conjunction with the Company&#x2019;s 2013 Annual Report on Form&nbsp;10-K.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">See Note 4 for information regarding the Company&#x2019;s sale of its U.S. retail wireless business operated under the Alltel name.&nbsp;&nbsp;The assets, liabilities and operations of the Alltel business have been classified as discontinued for all periods presented.&nbsp;&nbsp;Unless indicated otherwise, the information in the notes to the Condensed Consolidated Financial Statements refer only to our continuing operations.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Consolidation</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The consolidated financial statements include the accounts of the Company, its majority-owned subsidiaries and certain entities, which are consolidated in accordance with the provisions of the Financial Accounting Standards Board&#x2019;s (&#x201C;FASB&#x201D;) authoritative guidance on the consolidation of variable interest entities since it is determined that the Company is the primary beneficiary of these entities.</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">During the nine months ended September&nbsp;30, 2014, the Company recognized approximately $0.7 million in general and administrative expenses to correct for an understatement of transactional tax liabilities generated in periods during 2013.&nbsp;&nbsp;The Company determined that the impact of the correction of this error was not material to the current or any prior period financial statements.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company&#x2019;s effective tax rate declined in 2014 as the result of increased income in lower taxed jurisdictions, such as Bermuda, as compared to 2013.&nbsp;&nbsp;The Company&#x2019;s effective tax rate in 2013 was higher than the statutory federal income tax rate of 35% (plus applicable statutory state income tax rates) due primarily to (i)&nbsp;the portion of our earnings that are taxed in Guyana at 45%, and (ii)&nbsp;a portion of the Company&#x2019;s earnings that include losses generated in foreign jurisdictions for which we receive no tax benefit since these are non-tax jurisdictions. The Company&#x2019;s effective tax rates for the three months ended September&nbsp;30, 2013 and 2014 were 35.5% and 33.6%, respectively. The Company&#x2019;s effective tax rates for the nine months ended September&nbsp;30, 2013 and 2014 were 37.6% and 33.9%, respectively.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Recent Accounting Pronouncements</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:24.5pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In August&nbsp;2014, the Financial Accounting Standards Board (&#x201C;FASB&#x201D;) issued Accounting Standards Update (&#x201C;ASU&#x201D;) No.&nbsp;2014-15, </font><font style="display: inline;font-style:italic;font-size:10pt;">Disclosure of Uncertainties about an Entity&#x2019;s Ability to Continue as a Going Concern</font><font style="display: inline;font-size:10pt;">.&nbsp;&nbsp;ASU 2014-15 will explicitly require management to assess an entity&#x2019;s ability to continue as a going concern, and to provide related footnote disclosure in certain circumstances. The new standard will be effective for all entities in the first annual period ending after December&nbsp;15, 2016. Earlier adoption is permitted. The Company does not expect ASU No.&nbsp;2014-15 to have a material impact on the consolidated financial position, results of operations, or cash flows.</font> </p> <p style="margin:0pt;text-indent:24.5pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:24.5pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In June&nbsp;2014, the FASB issued a standards update on accounting for share-based payments when the terms of the award provide that a performance target could be achieved after a requisite service period. The standard is effective beginning January&nbsp;1, 2016, with early adoption permitted. The Company does not expect it to have a material impact on our consolidated financial position, results of operations or cash flows.</font> </p> <p style="margin:0pt;text-indent:24.5pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:24.5pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In May&nbsp;2014, the FASB issued a standard on revenue recognition providing a single, comprehensive revenue recognition model for all contracts with customers. The revenue standard is based on the principle that revenue should be recognized to depict the transfer of promised goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. The standard is effective beginning January&nbsp;1, 2017, with no early adoption permitted. The amendments may be applied retrospectively to each prior period presented or retrospectively with the cumulative effect recognized as of the date of initial application. The Company is currently evaluating the adoption method options and the impact of the new guidance on our consolidated financial statements.</font> </p> <p style="margin:0pt;text-indent:24.5pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:24.5pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In April&nbsp;2014, the FASB issued Accounting Standards Update (&#x201C;ASU&#x201D;) 2014-08, &#x201C;Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity.&#x201D; ASU 2014-08 provides guidance on determining when disposals can be presented as discontinued operations. ASU 2014-08 requires that only disposals representing a strategic shift in operations should be presented as discontinued operations. A strategic shift may include a disposal of a major line of business, major equity method investment or a major part of an entity. Additionally, ASU 2014-08 requires expanded disclosures regarding discontinued operations. This standard is effective prospectively for reporting periods beginning after December&nbsp;15, 2014. Early adoption is permitted. The adoption of this amendment is not expected to have a material impact on the Company&#x2019;s condensed consolidated financial statements.</font> </p> <p style="margin:0pt;text-indent:24.5pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:24.5pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In March&nbsp;2013, the FASB issued ASU 2013-05, &#x201C;Foreign Currency Matters (Topic 830): Parent&#x2019;s Accounting for the Cumulative Translation Adjustment upon Derecognition of Certain Subsidiaries or Groups of Assets within a Foreign Entity or of an Investment in a Foreign Entity.&#x201D; ASU 2013-05 provides clarification regarding whether ASC 810-10, &#x201C;Consolidation &#x2014; Overall&#x201D; or ASC 830-30, &#x201C;Foreign Currency Matters&#x2014;Translation of Financial Statements,&#x201D; applies to the release of cumulative translation adjustments into net income when a reporting entity either sells a part or all of its investment in a foreign entity or ceases to have a controlling financial interest in a subsidiary or group of assets that constitute a business within a foreign entity. The revised standard is effective for reporting periods beginning after December&nbsp;15, 2013. The adoption of this amendment did not have a material impact on the Company&#x2019;s condensed consolidated financial statements.</font> </p> <p style="margin:0pt;text-indent:24.5pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:24.5pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In July&nbsp;2013, the FASB issued ASU No.&nbsp;2013-11, &#x201C;Income Taxes (Topic&nbsp;740): Presentation of an Unrecognized Tax Benefit When a Net Operating Loss Carryforward, a Similar Tax Loss, or a Tax Credit Carryforward Exists (a consensus of the Emerging Issues Task Force),&#x201D; which states that an unrecognized tax benefit, or a portion of an unrecognized tax benefit, should be presented in the financial statements as a reduction to a deferred tax asset for a net operating loss carryforward, a similar tax loss, or a tax credit carryforward. If a company does not have: (i)&nbsp;a net operating loss carryforward; (ii)&nbsp;a similar tax loss; or (iii)&nbsp;a tax credit carryforward is not available at the reporting date under the tax law of the applicable jurisdiction to settle any additional income taxes that would result from the disallowance of a tax position or the entity does not intend to use the deferred tax asset for such purpose, the unrecognized tax benefit should be presented in the financial statements as a liability and should not be combined with deferred tax assets. The authoritative guidance is effective for fiscal years and the interim periods within those fiscal years beginning on or after December&nbsp;15, 2013 and was applied on a prospective basis. The adoption of this authoritative guidance did not have a material impact on the Company&#x2019;s condensed consolidated financial statements.</font> </p> <p><font size="1"> </font></p> </div> </div> 8050000 2549000 8897000 2912000 0.29 -0.12 0.29 -0.12 39000000 19500000 19500000 39000000 78000000 16800000 28349000 9509000 28939000 9788000 0 1807000 1572000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">8. GOVERNMENT GRANTS</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company has received funding from the U.S. Government and its agencies under Stimulus and Mobility Fund programs.&nbsp;&nbsp;These are generally designed to fund telecommunications infrastructure expansion into rural or underserved areas of the United States.&nbsp;&nbsp;The fund programs are evaluated to determine if they represent funding related to capital expenditures (capital grants) or operating activities (income grants).</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Stimulus Grants</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company was awarded several federal stimulus grants in 2009 and 2010 by the U.S. Government under provisions of the American Recovery and Reinvestment Act of 2009 intended to stimulate the deployment of broadband infrastructure and services to rural, unserved and underserved areas. As of September&nbsp;30, 2014, the Company has spent (i)&nbsp;$35.8 million in capital expenditures (of which $27.5 million has been funded by the federal stimulus grant) in connection with the Company&#x2019;s build of ten new segments of fiber-optic, middle-mile broadband infrastructure in upstate New York and parts of Pennsylvania and Vermont; (ii)&nbsp;$7.6 million in capital expenditures (of which $5.3 million has been funded by the federal stimulus grant) in connection with the Company&#x2019;s last-mile broadband infrastructure buildout in the Navajo Nation across Arizona, New Mexico and Utah; and (iii)&nbsp;$47.8 million in capital expenditures (of which $33.0 million has been or is expected to be funded by the federal stimulus grant) in connection with the Company&#x2019;s fiber-optic middle mile network buildout to provide broadband and transport services to over 340 community anchor institutions in Vermont. The results of the Company&#x2019;s New York and Vermont stimulus projects are included in the Company&#x2019;s &#x201C;U.S. Wireline&#x201D; segment and the results of the Company&#x2019;s Navajo stimulus project are included in the Company&#x2019;s &#x201C;U.S. Wireless&#x201D; segment. The New York and Navajo Stimulus projects were completed during 2013. The Vermont stimulus project will be completed during the latter half of 2014 and the Company anticipates that it will incur an additional nominal amount of capital expenditures of which none is expected to be funded by the federal stimulus grants.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Mobility Fund Grants</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">As part of the Federal Communications Commission&#x2019;s (&#x201C;FCC&#x201D;) reform of its Universal Service Fund (&#x201C;USF&#x201D;) program, which previously provided support to carriers seeking to offer telecommunications services in high-cost areas and to low-income households, the FCC created the Mobility Fund and the Tribal Mobility Fund, each a one-time award meant to support wireless coverage in underserved geographic areas in the United States. In August&nbsp;2013, the Company received FCC final approval for approximately $21.7&nbsp;million of Mobility Fund support and in June&nbsp;2014, approximately $2.4 million of Tribal Mobility fund support to its wholesale wireless business (collectively the &#x201C;Mobility Funds&#x201D;) to expand voice and broadband networks in certain geographic areas in order to offer either 3G or 4G coverage. As part of the receipt of the Mobility Funds, the Company committed to comply with certain additional FCC construction and other requirements. A portion of these funds will be used to offset network capital costs and a portion is used to offset the costs of supporting the networks for a period of five years. In connection with the Company&#x2019;s application for the Mobility Funds, the Company has posted approximately $10.5 million in letters of credit to the Universal Service Administrative Company (&#x201C;USAC&#x201D;) to secure these obligations. If the Company fails to comply with any of the terms and conditions upon which the Mobility Funds were granted, or if it loses eligibility for the Mobility Funds, USAC will be entitled to draw the entire amount of the letter of credit applicable to the affected project plus penalties and may disqualify the Company from the receipt of additional Mobility Fund support.&nbsp;&nbsp;As of September&nbsp;30, 2014, all of the letters of credit remain outstanding and no amounts have been drawn thereon.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company began the construction of its Mobility Funds projects during the third quarter of 2013 and its results are included in the Company&#x2019;s &#x201C;U.S. Wireless&#x201D; segment. As of September&nbsp;30, 2014, the Company has received approximately $7.4 million in Mobility Funds. Of these funds, $1.3 million was recorded as an offset to the cost of the property, plant, and equipment associated with these projects and, consequentially, a reduction of future depreciation expense and $6.1million was recorded as a liability to reduce future operating expenses. The balance sheet presentation is based on the timing of the expected recognition of the funds and accordingly, $2.3 million is recorded within other current liabilities while the remaining $3.8 million is recorded within other long-term liabilities.</font> </p> <p><font size="1"> </font></p> </div> </div> 1300000 11623000 1444000 3470000 1921000 2 2000000 4000000 21700000 2400000 7400000 2300000 6100000 3800000 13634000 13634000 59000 59000 340 10 P5Y <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenues and income from discontinued operations related to the Alltel business for the three months and nine months ended September&nbsp;30, 2013 and 2014 were as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;margin-left:0pt;"> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="5" valign="bottom" style="width:28.40%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Three&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="5" valign="bottom" style="width:28.40%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:02.68%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:02.68%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue from discontinued operations </font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>88,036 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>299,519 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.06%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Income from discontinued operations, net of tax expense (benefit) of ($1.9) and $5.2 million for the three and nine months ended September&nbsp;30, 2013 respectively</font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(1,960 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,166 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.06%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt 0pt 0pt 72pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:08.62%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Services</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:26.44%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Segment</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:33.10%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Markets</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:25.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Tradenames</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. Wireless</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">United States</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Commnet, Choice</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Island Wireless</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Aruba, Bermuda, Turks and Caicos, U.S. Virgin Islands</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Mio, CellOne,&nbsp;Islandcom, Choice</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International Integrated Telephony</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Guyana</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Cellink</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International Integrated Telephony</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Guyana</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">GT&amp;T, eMagine</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. Wireline</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">United States (New England and New York State)</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Sovernet,&nbsp;ION, EssexTel</font></p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 40768000 14112000 48110000 16018000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">3.&nbsp;&nbsp;USE OF ESTIMATES</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 9pt"> <font style="display: inline;font-size:9pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The preparation of financial statements in conformity with accounting principles generally accepted in the United States requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the dates of the financial statements and the reported amounts of revenue and expenses during the reporting periods. The most significant estimates relate to the allowance for doubtful accounts, useful lives of the Company&#x2019;s fixed and finite-lived intangible assets, allocation of purchase price to assets acquired and liabilities assumed in purchase business combinations, fair value of indefinite-lived intangible assets, goodwill and income taxes. Actual results could differ significantly from those estimates.</font> </p> <p><font size="1"> </font></p> </div> </div> false --12-31 Q3 2014 2014-09-30 10-Q 0000879585 15919318 Yes Accelerated Filer ATLANTIC TELE NETWORK INC /DE 41709000 42209000 37680000 44197000 36081000 3331000 352280000 385664000 -2202000 -2199000 139106000 143592000 3419000 3419000 3381000 3381000 9700000 10800000 6657000 72000 80000 29000 859719000 390944000 4748000 197903000 74427000 151094000 45351000 843431000 342677000 73492000 200770000 78417000 178208000 43359000 472003000 492397000 2607000 2244000 363000 2770000 2407000 363000 4748000 175000 2674000 2610000 341000 -27000 7000000 136647000 594340000 356607000 384426000 -1678000 711541000 25751000 -4612000 363000 363000 363000 363000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">12.&nbsp;&nbsp;COMMITMENTS AND CONTINGENCIES</font> </p> <p style="margin:0pt;text-align:center;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Regulatory and Litigation Matters</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company and its subsidiaries are subject to certain regulatory and legal proceedings and other claims arising in the ordinary course of business, some of which involve claims for damages and taxes that are substantial in amount. The Company believes that, except for the items discussed below and in our Annual Report on Form&nbsp;10-K for the year ended December&nbsp;31, 2013, for which the Company is currently unable to predict the final outcome, the disposition of proceedings currently pending will not have a material adverse effect on the Company&#x2019;s financial position or results of operations.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">On May&nbsp;8, 2009, Digicel filed a lawsuit in Guyana challenging the legality of GT&amp;T&#x2019;s exclusive license rights under Guyana&#x2019;s constitution. Digicel initially filed this lawsuit against the Attorney General of Guyana in the High Court. On May&nbsp;13, 2009, GT&amp;T petitioned to intervene in the suit in order to oppose Digicel&#x2019;s claims and that petition was granted on May&nbsp;18, 2009. GT&amp;T filed an answer to the charge on June&nbsp;22, 2009 and the case is pending.&nbsp; The Company believes that any legal challenge to GT&amp;T&#x2019;s exclusive license rights granted in 1990 is without merit and the Company is vigorously defending against the legal challenge.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In Bermuda, the Regulatory Authority continued its implementation of the Electronic Communications Act of 2011, which allows communications service providers to enter new lines of business and introduces competition in the sector.&nbsp;&nbsp;As the government of Bermuda continues to reform the local telecommunications market it is possible that new or amended regulations may establish regulatory and other fees, additional regulation or result in other circumstances that could increase our regulatory costs or otherwise impact our operations.&nbsp; </font><font style="display: inline;font-size:10pt;">For instance, in October 2014, the Bermuda Regulatory Authority issued a draft decision that, if implemented, would prevent the Company from using a portion of existing spectrum held by its Bermuda subsidiary reserved for the launch of next generation services in accordance with the Company's plans and demands of its customers in Bermuda.&nbsp;&nbsp;This could damage the competitive position of the Company's business in Bermuda and limit its ability to grow.&nbsp;&nbsp;Although the Company believes that it would be entitled to compensation for any involuntary recapture and re-assignment of its spectrum rights in Bermuda, it cannot be sure that it would prevail in a proceeding to enforce its rights or that such actions would effectively halt any unilateral action by the Regulatory Authority. Although the Company believes that the Regulatory Authority will make a decision on the matter in the near future, it cannot predict when or if these proposals will be adopted, or, if adopted, the impact that their implementation will have on the Company's Island Wireless Segment.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The term of the Company&#x2019;s telecommunications license to operate in Aruba expired on January&nbsp;15, 2014. The government of Aruba informed the Company in January&nbsp;2014 that a renewed license would be issued only upon payment by the Company of a fee in the amount of approximately $4.0 million.&nbsp;&nbsp;In addition, the government of Aruba demanded that the Company pay overdue spectrum invoices in the amount of approximately $2.0 million no later than July&nbsp;31, 2014. The Company is actively contesting the assessment of these fees through judicial proceedings as it continues to operate while also seeking to resolve with the Aruba government the amount of fees, if any, to be paid in relation to a renewed license and the assessed spectrum fees.</font> </p> <p><font size="1"> </font></p> </div> </div> 0.77 0.27 0.83 0.29 0.01 0.01 50000000 50000000 16494982 16631797 15816189 15915010 164000 165000 300844000 35520000 35234000 8116000 336078000 35234000 300844000 43636000 8116000 35520000 8327000 7945000 0.0150 0.015 0.03 0.04 0.01 0.02 0.025 0.035 0.01 0.02 0.02 0.005 one-month LIBOR one-week LIBOR Prime rate Base rate LIBOR Base rate LIBOR 0.07 1994000 2504000 1601000 1601000 26007000 27554000 36517000 965000 13476000 7705000 12119000 2252000 12335000 378000 4551000 2551000 4039000 816000 37752000 2899000 13111000 7810000 10413000 3519000 12842000 999000 4397000 2596000 3657000 1193000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">7.&nbsp;&nbsp;DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company&#x2019;s objective in using interest rate derivatives was to add stability to interest expense and to manage its exposure to the interest rate movements of its variable-rate debt. To accomplish this objective, the Company primarily used interest rate derivatives as part of its interest rate risk management strategy. Interest rate derivatives, designated as cash flow hedges, involved the receipt of variable-rate amounts from counterparty in exchange for the Company making fixed-rate payments over the life of the agreements without exchange of the underlying notional amount.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The effective portion of changes in the fair value of interest rate derivatives that qualified as cash flow hedges was recorded in accumulated other comprehensive income and was subsequently reclassified into earnings in the period that the hedged forecasted transaction affected earnings.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">As a result of the repayment of its variable-rate debt on September&nbsp;20, 2013, the Company terminated its interest rate derivatives in October&nbsp;2013.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Amounts previously reported in accumulated other comprehensive income related to the interest rate derivatives were reclassified to &#x201C;Unrealized loss on interest rate derivative contracts&#x201D; as of the date of the prepayment of the Company&#x2019;s outstanding term notes.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The table below presents the effect of the Company&#x2019;s derivative financial instruments on the consolidated income statements for the three and nine months ended September&nbsp;30, 2013 and 2014 (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:25.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Three&nbsp;Months</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Derivative&nbsp;in&nbsp;Cash&nbsp;Flow</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Hedging&nbsp;Relationships</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Recognized</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">in&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;on</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Derivative</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Location&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into&nbsp;Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2013</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2014</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:25.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Derivative&nbsp;in&nbsp;Cash&nbsp;Flow</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Hedging&nbsp;Relationships</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Recognized</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">in&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;on</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Derivative</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Location&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into&nbsp;Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2013</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,255&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,255&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2014</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 6255000 6255000 305197000 305197000 17.64 17.57 17.51 17.45 5166000 5166000 -1960000 -1960000 5200000 -1900000 299519000 88036000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">4.&nbsp;&nbsp;DISCONTINUED OPERATIONS &#x2014; SALE OF U.S. RETAIL WIRELESS BUSINESS</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">On September&nbsp;20, 2013, the Federal Communications Commission announced its approval of the previously announced proposed sale of the Company&#x2019;s U.S. retail wireless business operated under the Alltel name to AT&amp;T Mobility for approximately $780.0 million in cash plus $16.8 million in working capital adjustments.&nbsp;&nbsp;The Company previously reported the operations of this business within its U.S. Wireless segment.&nbsp;&nbsp;As a result of that approval, the Company completed the sale of certain U.S. retail wireless assets on that date.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The $796.8 million in cash proceeds included $78.0 million of cash to be held in a general indemnity escrow account.&nbsp;&nbsp;Subject to the terms and conditions of the purchase agreement between AT&amp;T Mobility and the Company governing the sale, the restrictions on $19.5 million of these funds expired March&nbsp;2014 and September&nbsp;2014, respectively, for a total of $39.0 million year to date. The remaining $39.0 million has been recorded as restricted cash on the Company&#x2019;s September&nbsp;30, 2014 balance sheet and classified as a current asset since $39.0 million and is expected to be released, subject to any indemnity claims, to the Company in March&nbsp;2015.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">As of September&nbsp;30, 2014, the Company has also recorded $7.3 million for the minority shareholders&#x2019; interests in the sold operation which is based on the estimated final distributions to the minority shareholders and is included in non-controlling interests on its balance sheet.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company has reclassified the assets of its Alltel operations, consisting of prepaid expenses and other current assets, and liabilities of its Alltel operations, consisting of accounts payable and other current liabilities, to assets of discontinued operations and liabilities of discontinued operations, respectively, within its December&nbsp;31, 2013 and September&nbsp;30, 2014 balance sheets.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenues and income from discontinued operations related to the Alltel business for the three months and nine months ended September&nbsp;30, 2013 and 2014 were as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;margin-left:0pt;"> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="5" valign="bottom" style="width:28.40%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Three&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="5" valign="bottom" style="width:28.40%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:02.68%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:02.68%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue from discontinued operations </font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>88,036 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>299,519 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.38%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.48%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.06%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.68%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.06%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:36.80%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Income from discontinued operations, net of tax expense (benefit) of ($1.9) and $5.2 million for the three and nine months ended September&nbsp;30, 2013 respectively</font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(1,960 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,166 </td> <td valign="bottom" style="width:02.68%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:12.86%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.06%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 11982000 11982000 13218000 13218000 4279000 4628000 18.75 17.55 2.24 1.02 18.61 17.43 2.22 1.01 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">10.&nbsp;&nbsp;NET INCOME PER SHARE</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">For the three and nine months ended September&nbsp;30, 2013 and 2014, outstanding stock options were the only potentially dilutive securities. The reconciliation from basic to diluted weighted average common shares outstanding is as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 73.00%;margin-left:72pt;"> <tr> <td valign="bottom" style="width:33.20%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="3" valign="bottom" style="width:29.32%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Three&nbsp;Months&nbsp;Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="3" valign="bottom" style="width:29.32%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months&nbsp;Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:01.36%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:03.40%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:03.40%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:01.36%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Basic weighted-average common shares&nbsp;outstanding </font></p> </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,738&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,923&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,678&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,890&nbsp; </td> <td valign="bottom" style="width:01.36%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Stock options </font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>107&nbsp; </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>107&nbsp; </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>111&nbsp; </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>111&nbsp; </td> <td valign="bottom" style="width:01.36%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Diluted weighted-average common shares&nbsp;outstanding </font></p> </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,845&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,030&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,789&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,001&nbsp; </td> <td valign="bottom" style="width:01.36%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The above calculation for the three months ended September&nbsp;30, 2013 does not include 29,000 shares related to certain stock options because the effects of such options were anti-dilutive. For the nine months ended September&nbsp;30, 2013 the calculation does not include 80,000 shares related to certain stock options because the effect of such options was anti-dilutive. There were not any anti-dilutive shares for either the three or nine months ended September 30, 2014.</font> </p> <p><font size="1"> </font></p> </div> </div> 0.376 0.355 0.339 0.336 0.35 0.45 28699000 28699000 7300000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">5.&nbsp;&nbsp;FAIR VALUE MEASUREMENTS</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In accordance with the provisions of fair value accounting, a fair value measurement assumes that a transaction to sell an asset or transfer a liability occurs in the principal market for the asset or liability or, in the absence of a principal market, the most advantageous market for the asset or liability and defines fair value based upon an exit price model.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The fair value measurement guidance establishes a fair value hierarchy which requires an entity to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value. The guidance describes three levels of inputs that may be used to measure fair value:</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt 0pt 0pt 90pt;text-indent: -54pt;font-family:Times New Roman;font-size: 10pt"> <font style="text-indent:0pt;margin-left:-54pt; padding-right:39.3pt;"><font style="display: inline;font-size:10pt;">Level&nbsp;1</font></font><font style="text-indent:0pt;margin-left:0pt; padding-right:4pt;text-align:left"><font style="display: inline;font-size:3pt;"></font><font style="display: inline;font-size:10pt;">Quoted prices in active markets for identical assets or liabilities as of the reporting date. Active markets are those in which transactions for the asset and liability occur in sufficient frequency and volume to provide pricing information on an ongoing basis. Level&nbsp;1 assets and liabilities include money market funds, debt and equity securities and derivative contracts that are traded in an active exchange market.</font></font> </p> <p style="margin:0pt 0pt 0pt 72pt;text-indent: -36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt 0pt 0pt 90pt;text-indent: -54pt;font-family:Times New Roman;font-size: 10pt"> <font style="text-indent:0pt;margin-left:-54pt; padding-right:39.3pt;"><font style="display: inline;font-size:10pt;">Level&nbsp;2</font></font><font style="text-indent:0pt;margin-left:0pt; padding-right:4pt;text-align:left"><font style="display: inline;font-size:3pt;"></font><font style="display: inline;font-size:10pt;">Observable inputs other than Level&nbsp;1 prices, such as quoted prices for similar assets or liabilities; quoted prices in markets that are not active; or other inputs that are observable or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Level&nbsp;2 assets and liabilities include debt securities with quoted prices that are traded less frequently than exchange-traded instruments and derivative contracts whose value is determined using a pricing model with inputs that are observable in the market or can be derived principally from or corroborated by observable market data. This category generally includes corporate obligations and non-exchange traded derivative contracts.</font></font> </p> <p style="margin:0pt;text-align:center;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt 0pt 0pt 90pt;text-indent: -54pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Level&nbsp;3</font><font style="display: inline;font-size:10pt;;font-size: 10pt;font-family:Times New Roman;text-indent:0pt;margin-left:0pt;padding:0pt 33pt 0pt 0pt;"></font><font style="display: inline;font-size:3pt;"></font><font style="display: inline;font-size:10pt;">Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities. Level&nbsp;3 assets and liabilities include financial instruments and intangible assets that have been impaired whose value is determined using pricing models, discounted cash flow methodologies, or similar techniques, as well as instruments for which the determination of fair value requires significant management judgment or estimation.</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Assets and liabilities of the Company measured at fair value on a recurring basis as of December&nbsp;31, 2013 and September&nbsp;30, 2014 are summarized as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:52.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:44.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">December&nbsp;31,&nbsp;2013</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:52.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Description</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Quoted&nbsp;Prices&nbsp;in</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Active&nbsp;Markets</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;1)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Significant&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Observable&nbsp;Inputs</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;2)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Certificates of deposit </font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Money market funds </font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,244&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,244&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Total assets measured at fair value</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,244&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,607&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:52.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:44.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,&nbsp;2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:52.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Description</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Quoted&nbsp;Prices&nbsp;in</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Active&nbsp;Markets</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;1)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Significant&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Observable&nbsp;Inputs</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;2)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Certificate of deposit </font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Money market funds </font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,407&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,407&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Total assets measured at fair value</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,407&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,770&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-style:italic;font-size:10pt;">Certificate of Deposit</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">As of December&nbsp;31, 2013 and September&nbsp;30, 2014, this asset class consisted of a time deposit at a financial institution denominated in U.S. dollars. The asset class is classified within Level&nbsp;2 of the fair value hierarchy because the fair value was based on observable market data.</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-style:italic;font-size:10pt;">Money Market Funds</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">As of December&nbsp;31, 2013 and September&nbsp;30, 2014, this asset class consisted of a money market portfolio that comprises Federal government and U.S. Treasury securities. The asset class is classified within Level&nbsp;1 of the fair value hierarchy because its underlying investments are valued using quoted market prices in active markets for identical assets.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 417000 417000 1076000 38856000 13827000 42343000 14213000 45077000 5438000 32148000 7491000 45077000 5438000 32148000 7491000 5934000 2945000 8116000 2747000 30024000 6996000 66096000 28483000 18730000 4515000 43636000 18914000 0.82 0.10 2.24 1.02 0.81 0.10 2.22 1.01 310363000 303237000 601000 -116000 17.93 17.45 17.80 17.33 11294000 2481000 22460000 9569000 3832000 7830000 -23668000 -18401000 -7828000 3785000 -38707000 111000 107000 111000 107000 39687000 44245000 -12126000 -7141000 -220000 -13000 7269000 9352000 10500000 159864000 118512000 859719000 843431000 121073000 72018000 11187000 2002000 10000000 55000000 100000000 0.0050 0.0025 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">6.&nbsp;&nbsp;LONG-TERM DEBT</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company has a credit facility (the &#x201C;Credit Facility&#x201D;) which previously included two term loans and currently provides for a revolver loan of up to $100.0 million.&nbsp;&nbsp;The revolver loan also has a $10.0 million swingline sub-facility and a $55.0 million letter of credit sub-facility for issuance in connection with the Company&#x2019;s Mobility Fund Grant obligations (see Note 8).</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">On September&nbsp;20, 2013 the Company repaid its outstanding term loans in full. Amounts borrowed under the term loans bore interest at a rate equal to, at the Company&#x2019;s option, either (i)&nbsp;at the London Interbank Offered Rate (LIBOR) plus an applicable margin ranging between 2.00% to 4.00% or (ii)&nbsp;a base rate plus an applicable margin ranging from 1.00% to 3.00%. The base rate was equal to the higher of (i)&nbsp;1.50% plus the higher of (x)&nbsp;the one-week LIBOR and (y)&nbsp;the one-month LIBOR; or (ii)&nbsp;the prime rate (as defined in the Credit Facility). The applicable margin was determined based on the ratio of our indebtedness (as defined in the Credit Facility) to our EBITDA (as defined in the Credit Facility).</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Amounts borrowed under the revolver loan bear interest at a rate equal to, at the Company&#x2019;s option, either (i)&nbsp;LIBOR plus an applicable margin ranging between 2.00% to 3.50% or (ii)&nbsp;a base rate plus an applicable margin ranging from 1.00% to 2.50% (or, in the case of amounts borrowed under the swing-line sub- facility, an applicable margin ranging from 0.50% to 2.00%.) The Company must also pay a fee ranging from 0.25% to 0.50% of the average daily unused portion of the revolver loan over each calendar quarter, which fee is payable in arrears on the last day of each calendar quarter.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Credit Facility contains customary representations, warranties and covenants, including covenants by the Company limiting additional indebtedness, liens, guaranties, mergers and consolidations, substantial asset sales, investments and loans, sale and leasebacks, transactions with affiliates and fundamental changes. In addition, the Credit Facility contains financial covenants by the Company that (i)&nbsp;impose a maximum leverage ratio of indebtedness to EBITDA, (ii)&nbsp;require a minimum debt service ratio of EBITDA to principal, interest and taxes payments and (iii)&nbsp;require a minimum ratio of equity to consolidated assets. As of September&nbsp;30, 2014, we were in compliance with all of the financial covenants of the Credit Facility.</font> </p> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Note Payable&#x2014;Other</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">In connection with the Company&#x2019;s merger of its Bermuda subsidiary with M3 Wireless,&nbsp;Ltd. in May&nbsp;2011, the Company assumed a term loan of approximately $7.0&nbsp;million owed to Keytech&nbsp;Ltd., the former parent company of M3 Wireless,&nbsp;Ltd. and current 42% minority shareholder in the Company&#x2019;s Bermuda operations. This term loan, which bore interest at 7% per annum, was repaid in full in July&nbsp;2013.</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 56525000 56650000 5532000 5532000 7932000 7932000 2244000 2244000 2407000 2407000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">1. ORGANIZATION AND BUSINESS OPERATIONS</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company is a telecommunications holdings company that, through its operating subsidiaries, provides wireless and wireline telecommunications services in North America, Bermuda and the Caribbean.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company offers the following principal services:</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table style="width:100%;" cellpadding="0" cellspacing="0"><tr><td style="width:36pt;"><p style="width:36pt;font-size:0pt;"></p></td><td valign="top" align="left" style="width: 00.00pt; display: inline;"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="margin:0pt;font-family:Symbol;font-size:10pt;;"> &#xB7;</font> </p> </td><td style="width:18pt;"><p style="width:18pt;width:18pt;font-size:0pt;"></p></td><td align="left" valign="top"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Wireless.&nbsp; </font><font style="display: inline;font-size:10pt;">In the United States, the Company offers wholesale wireless voice and data roaming services to national, regional, local and selected international wireless carriers in rural markets located principally in the Southwest and Midwest. The Company also offers wireless voice and data services to retail customers in Bermuda, Guyana, the Caribbean and smaller markets in the United States.</font></p></td></tr></table></div> <p style="margin:0pt 0pt 0pt 54pt;text-indent: -18pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table style="width:100%;" cellpadding="0" cellspacing="0"><tr><td style="width:36pt;"><p style="width:36pt;font-size:0pt;"></p></td><td valign="top" align="left" style="width: 00.00pt; display: inline;"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="margin:0pt;font-family:Symbol;font-size:10pt;;"> &#xB7;</font> </p> </td><td style="width:18pt;"><p style="width:18pt;width:18pt;font-size:0pt;"></p></td><td align="left" valign="top"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="display: inline;font-weight:bold;font-style:italic;font-size:10pt;">Wireline.&nbsp; </font><font style="display: inline;font-size:10pt;">The Company&#x2019;s local telephone and data services include its operations in Guyana and the mainland United States. The Company is the exclusive licensed provider of domestic wireline local and long-distance telephone services in Guyana and international voice and data communications into and out of Guyana. The Company also offers facilities-based integrated voice and data communications services to enterprise and residential customers in New England, primarily in Vermont, and wholesale transport services in Vermont and New York State. In addition, the Company offers wholesale long-distance voice services to telecommunications carriers.</font></p></td></tr></table></div> <p style="margin:0pt 0pt 0pt 54pt;text-indent: -18pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The following chart summarizes the operating activities of the Company&#x2019;s principal subsidiaries, the segments in which the Company reports its revenue and the markets it served as of September&nbsp;30, 2014:</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:08.62%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Services</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:26.44%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Segment</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:33.10%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Markets</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:25.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Tradenames</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. Wireless</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">United States</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Commnet, Choice</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Island Wireless</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Aruba, Bermuda, Turks and Caicos, U.S. Virgin Islands</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Mio, CellOne,&nbsp;Islandcom, Choice</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International Integrated Telephony</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Guyana</font></p> </td> <td valign="bottom" style="width:02.04%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Cellink</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International Integrated Telephony</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Guyana</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">GT&amp;T, eMagine</font></p> </td> </tr> <tr> <td valign="top" style="width:08.62%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:26.44%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. Wireline</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:33.10%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">United States (New England and New York State)</font></p> </td> <td valign="bottom" style="width:02.04%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="top" style="width:25.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Sovernet,&nbsp;ION, EssexTel</font></p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company is actively evaluating potential acquisitions, investment opportunities or other strategic transactions, both domestic and international, that meet its return-on-investment and other criteria.&nbsp;&nbsp;The Company provides management, technical, financial, regulatory, and marketing services to its subsidiaries and typically receives a management fee equal to a percentage of their respective revenue. Management fees from subsidiaries are eliminated in consolidation. For information about the Company&#x2019;s business segments and geographical information about its revenue, operating income and long-lived assets, see Note&nbsp;11 to the Condensed Consolidated Financial Statements.</font> </p> <p><font size="1"> </font></p> </div> </div> 457693000 27819000 -284690000 -21609000 -283012000 -21609000 657870000 -1621000 -53671000 -1621000 84513000 51049000 58762000 55661000 35234000 31528000 8116000 2747000 293859000 276224000 35520000 16167000 135000 135000 -17999000 -13042000 82000 325000 4 167784000 59312000 181822000 61235000 48023000 -18485000 19596000 7226000 40472000 -786000 20038000 -8320000 7028000 3292000 18293000 -255000 66014000 -18804000 15293000 8210000 63826000 -2511000 28158000 -6252000 5065000 2231000 27585000 -471000 7096000 6215000 6985000 6985000 6985000 2000000 0 17889000 10302000 12784000 18940000 -198000 -226000 302000 338000 1288000 1355000 12000 7839000 12873000 3321000 7932000 7600000 35800000 47800000 55171000 3151000 9039000 4014000 27736000 11231000 41699000 2096000 6816000 3966000 26496000 2325000 59000 0.01 0.01 10000000 10000000 0 0 0 0 24705000 12450000 700000 780000000 0 135000 1500000 1371000 1450000 610000 329093000 35234000 293859000 307752000 43636000 8116000 35520000 18914000 606912000 639172000 254632000 6731000 118917000 29310000 73592000 26082000 253508000 13156000 110870000 26622000 75930000 26930000 880000 1313000 272137000 39000000 39293000 39000000 39000000 519651000 541950000 5300000 27500000 33000000 215807000 6103000 66162000 80597000 62945000 67974000 50300000 81367000 16166000 1151000 4468000 313000 171000 20330000 45832000 80597000 46493000 457000 15995000 79350000 2155000 22895000 32796000 21504000 23074000 17443000 33057000 5776000 388000 1594000 109000 64000 7046000 15849000 32796000 15640000 152000 5712000 247836000 6212000 67127000 110153000 64344000 65026000 51855000 111273000 19682000 573000 4782000 663000 194000 20054000 47073000 110153000 44399000 457000 19488000 89393000 1999000 21557000 44306000 21531000 21831000 16627000 44736000 6199000 183000 1469000 278000 69000 6399000 15158000 44306000 15249000 152000 6130000 0.42 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The table below presents the effect of the Company&#x2019;s derivative financial instruments on the consolidated income statements for the three and nine months ended September&nbsp;30, 2013 and 2014 (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:25.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Three&nbsp;Months</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Derivative&nbsp;in&nbsp;Cash&nbsp;Flow</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Hedging&nbsp;Relationships</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Recognized</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">in&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;on</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Derivative</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Location&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into&nbsp;Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2013</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2014</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:25.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;"></font><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Derivative&nbsp;in&nbsp;Cash&nbsp;Flow</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Hedging&nbsp;Relationships</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Recognized</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">in&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;on</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Derivative</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Location&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into&nbsp;Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:16.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Amount&nbsp;of&nbsp;Gain&nbsp;or</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Loss)&nbsp;Reclassified</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">from&nbsp;Accumulated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Comprehensive</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income&nbsp;into</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Income</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Effective&nbsp;Portion)</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2013</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,255&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,255&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:25.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2014</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest Rate Swap</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:16.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Interest expense</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:14.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Assets and liabilities of the Company measured at fair value on a recurring basis as of December&nbsp;31, 2013 and September&nbsp;30, 2014 are summarized as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:52.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:44.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">December&nbsp;31,&nbsp;2013</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:52.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Description</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Quoted&nbsp;Prices&nbsp;in</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Active&nbsp;Markets</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;1)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Significant&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Observable&nbsp;Inputs</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;2)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Certificates of deposit </font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Money market funds </font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,244&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,244&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Total assets measured at fair value</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,244&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,607&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:52.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:44.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,&nbsp;2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:52.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Description</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Quoted&nbsp;Prices&nbsp;in</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Active&nbsp;Markets</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;1)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Significant&nbsp;Other</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Observable&nbsp;Inputs</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">(Level&nbsp;2)</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:13.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Certificate of deposit </font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Money market funds </font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,407&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,407&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="top" style="width:52.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Total assets measured at fair value</font></p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,407&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>363&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:11.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,770&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The following tables provide information for each operating segment (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Three&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2013</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,796 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,796 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,046 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,849 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>22,895 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>152 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,640 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,712 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,504 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>109 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>388 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,594 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>64 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,155 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>33,057 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>23,074 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>17,443 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,776 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>79,350 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,039 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,551 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,551 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>816 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>378 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>12,335 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>926 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>926 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>18,293 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,028 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,292 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(255 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(8,320 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>20,038 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2013</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>80,597 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>80,597 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>20,330 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,832 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>66,162 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>457 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>46,493 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,995 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>62,945 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>313 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,151 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,468 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>171 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,103 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>81,367 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>67,974 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>50,300 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,166 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>215,807 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>12,119 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>13,476 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,705 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,252 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>965 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>36,517 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,898 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,898 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>40,472 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>19,596 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,226 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(786 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(18,485 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>48,023 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Three&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,306 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,306 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,399 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,158 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,557 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>152 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,249 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,130 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,531 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>278 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>183 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,469 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>69 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,999 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,736 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,831 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,627 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,199 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>89,393 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,657 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,397 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,596 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,193 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>999 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>12,842 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,002 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,002 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>27,585 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,065 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,231 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(471 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(6,252 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>28,158 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>110,153 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>110,153 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>20,054 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>47,073 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>67,127 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>457 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,399 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>19,488 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>64,344 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>663 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>573 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,782 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>194 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,212 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>111,273 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>65,026 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>51,855 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>19,682 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>247,836 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>10,413 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>13,111 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,810 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,519 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,899 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>37,752 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>63,826 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,293 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>8,210 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(2,511 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(18,804 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>66,014 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Segment&nbsp;Assets</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">December&nbsp;31, 2013:</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Net fixed assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>73,592&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>118,917&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>29,310&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,082&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,731&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>254,632&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Goodwill </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,148&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,438&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,491&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,077&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>151,094&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">(1)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>197,903&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>74,427&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,351&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>390,944&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>859,719&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">September&nbsp;30, 2014:</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Net fixed assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>75,930&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>110,870&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,622&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,930&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>13,156&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>253,508&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Goodwill </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,148&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,438&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,491&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,077&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>178,208&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">(1)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>200,770&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>78,417&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>43,359&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>342,677&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>843,431&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table style="width:100%;" cellpadding="0" cellspacing="0"><tr><td style="width:0pt;"><p style="width:0pt;font-size:0pt;"></p></td><td valign="top" align="left" style="width: 22.00pt; display: inline;"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="margin:0pt;font-family:Times New Roman;font-size:10pt;;"> (1)</font> </p> </td><td style="width:14pt;"><p style="width:14pt;width:14pt;font-size:0pt;"></p></td><td align="left" valign="top"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="display: inline;font-size:10pt;">Includes $4,748 and $73,492 of assets associated with our discontinued operations as of December&nbsp;31, 2013 and September&nbsp;30, 2014, respectively.</font></p></td></tr></table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Capital&nbsp;Expenditures</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Nine Months Ended September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2013 </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>27,736&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>9,039&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,014&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>11,231&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,151&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>55,171&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2014 </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,496&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,816&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,966&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,325&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,096&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>41,699&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total equity was as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:73.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:35.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:35.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Atlantic&nbsp;Tele-</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Network,&nbsp;Inc.</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Non-Controlling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Interests</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total&nbsp;Equity</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Atlantic&nbsp;Tele-</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Network,&nbsp;Inc.</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Non-Controlling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Interests</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Equity</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equity, beginning of period </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>334,146 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>60,094 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>394,240 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>643,330 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>56,525 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>699,855 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,419 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,419 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Comprehensive income:</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Net income </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>293,859 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,234 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>329,093 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,520 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>8,116 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>43,636 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Other comprehensive income-Gain&nbsp;on interest rate swap (net&nbsp;of tax) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,985 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,985 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total comprehensive income </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>300,844 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,234 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>336,078 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,520 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>8,116 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>43,636 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Issuance of common stock upon exercise of stock options </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,778 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,778 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,106 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,106 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Dividends declared on common stock </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(11,982 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(11,982 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,218 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,218 </td> <td valign="bottom" style="width:01.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Distributions to non-controlling interests </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(5,532 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(5,532 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(7,932 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(7,932 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Investments made by non-controlling interests</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>135 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>135 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Sale of non-controlling interests</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,634 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,634 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(59 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(59 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Purchase of treasury stock </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(6,615 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(6,615 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(1,850 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(1,850 </td> <td valign="bottom" style="width:01.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equity, end of period </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>626,590 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>76,297 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>702,887 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>668,269 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>56,650 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>724,919 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The reconciliation from basic to diluted weighted average common shares outstanding is as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 73.00%;margin-left:72pt;"> <tr> <td valign="bottom" style="width:33.20%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="3" valign="bottom" style="width:29.32%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Three&nbsp;Months&nbsp;Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="3" valign="bottom" style="width:29.32%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months&nbsp;Ended</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:01.36%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:03.40%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:03.40%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:01.36%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Basic weighted-average common shares&nbsp;outstanding </font></p> </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,738&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,923&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,678&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,890&nbsp; </td> <td valign="bottom" style="width:01.36%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Stock options </font></p> </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>107&nbsp; </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>107&nbsp; </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>111&nbsp; </td> <td valign="bottom" style="width:03.40%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>111&nbsp; </td> <td valign="bottom" style="width:01.36%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:33.20%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Diluted weighted-average common shares&nbsp;outstanding </font></p> </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,845&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,030&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,789&nbsp; </td> <td valign="bottom" style="width:03.40%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:12.96%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:2pt double #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,001&nbsp; </td> <td valign="bottom" style="width:01.36%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 12pt"> <font style="display: inline;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">11. SEGMENT REPORTING</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The Company has four reportable segments for separate disclosure in accordance with the FASB&#x2019;s authoritative guidance on disclosures about segments of an enterprise. Those four segments are: i)&nbsp;U.S.&nbsp;Wireless, which generates all of its revenues in and has all of its assets located in the United States, ii)&nbsp;International Integrated Telephony, which generates all of its revenues in and has all of its assets located in Guyana, iii)&nbsp;Island Wireless, which generates a majority of its revenues in, and has a majority of its assets located in, Bermuda and which also generates revenues in and has assets located in the U.S.&nbsp;Virgin Islands, Aruba and Turks and Caicos and iv)&nbsp;U.S.&nbsp;Wireline, which generates all of its revenues in and has all of its assets located in the United States. The operating segments are managed separately because each offers different services and serves different markets.</font> </p> <p style="margin:0pt;text-indent:36pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">The following tables provide information for each operating segment (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Three&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2013</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,796 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,796 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,046 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,849 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>22,895 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>152 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,640 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,712 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,504 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>109 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>388 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,594 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>64 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,155 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>33,057 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>23,074 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>17,443 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,776 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>79,350 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,039 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,551 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,551 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>816 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>378 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>12,335 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>926 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>926 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>18,293 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,028 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,292 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(255 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(8,320 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>20,038 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2013</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>80,597 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>80,597 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>20,330 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,832 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>66,162 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>457 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>46,493 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,995 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>62,945 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>313 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,151 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,468 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>171 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,103 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>81,367 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>67,974 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>50,300 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,166 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>215,807 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>12,119 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>13,476 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,705 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,252 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>965 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>36,517 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,898 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,898 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>40,472 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>19,596 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,226 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(786 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(18,485 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>48,023 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Three&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,306 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,306 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,399 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,158 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,557 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>152 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,249 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,130 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,531 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>278 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>183 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,469 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>69 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,999 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,736 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>21,831 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>16,627 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,199 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>89,393 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,657 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,397 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,596 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,193 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>999 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>12,842 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,002 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,002 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>27,585 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,065 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,231 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(471 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(6,252 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>28,158 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">For&nbsp;the&nbsp;Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,&nbsp;2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Revenue</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">U.S. wireless </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>110,153 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>110,153 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">International wireless </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>20,054 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>47,073 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>67,127 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Wireline </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>457 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>44,399 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>19,488 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>64,344 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equipment and other </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>663 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>573 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,782 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>194 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,212 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 30pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total revenue </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>111,273 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>65,026 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>51,855 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>19,682 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>247,836 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Depreciation and amortization </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>10,413 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>13,111 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,810 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,519 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,899 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>37,752 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Non-cash stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:27.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Operating income (loss) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>63,826 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>15,293 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>8,210 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(2,511 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(18,804 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>66,014 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Segment&nbsp;Assets</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">December&nbsp;31, 2013:</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Net fixed assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>73,592&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>118,917&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>29,310&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,082&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,731&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>254,632&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Goodwill </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,148&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,438&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,491&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,077&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>151,094&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">(1)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>197,903&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>74,427&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,351&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>390,944&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>859,719&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">September&nbsp;30, 2014:</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Net fixed assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>75,930&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>110,870&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,622&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,930&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>13,156&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>253,508&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Goodwill </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>32,148&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>5,438&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>7,491&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>45,077&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total assets </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>178,208&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">(1)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>200,770&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>78,417&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>43,359&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>342,677&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>843,431&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table style="width:100%;" cellpadding="0" cellspacing="0"><tr><td style="width:0pt;"><p style="width:0pt;font-size:0pt;"></p></td><td valign="top" align="left" style="width: 22.00pt; display: inline;"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="margin:0pt;font-family:Times New Roman;font-size:10pt;;"> (1)</font> </p> </td><td style="width:14pt;"><p style="width:14pt;width:14pt;font-size:0pt;"></p></td><td align="left" valign="top"> <p style="font-family:Times New Roman;font-size: 10pt;margin:0pt;"> <font style="display: inline;font-size:10pt;">Includes $4,748 and $73,492 of assets associated with our discontinued operations as of December&nbsp;31, 2013 and September&nbsp;30, 2014, respectively.</font></p></td></tr></table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:70.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Capital&nbsp;Expenditures</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.&nbsp;Wireless</font></p> </td> <td valign="bottom" style="width:02.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">International</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Integrated</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Telephony</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Island</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireless</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">U.S.</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Wireline</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Reconciling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Items</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Consolidated</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">Nine Months Ended September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2013 </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>27,736&nbsp; </td> <td valign="bottom" style="width:02.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>9,039&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>4,014&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>11,231&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,151&nbsp; </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>55,171&nbsp; </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:26.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">2014 </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>26,496&nbsp; </td> <td valign="bottom" style="width:02.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,816&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,966&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,325&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>2,096&nbsp; </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>41,699&nbsp; </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 13646000 4370000 15440000 5489000 2898000 2898000 926000 926000 3381000 3381000 1002000 1002000 796800000 643330000 668269000 394240000 60094000 334146000 702887000 76297000 626590000 699855000 56525000 643330000 724919000 56650000 668269000 <div> <div style="margin-left:0pt;margin-right:0pt;"> <p style="margin:0pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">9. EQUITY</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <p style="margin:0pt;text-indent:36pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total equity was as follows (in thousands):</font> </p> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&nbsp;</font> </p> <div style="width:100%"><table cellpadding="0" cellspacing="0" style="border-collapse:collapse;width: 100.00%;margin-left:0pt;"> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="17" valign="bottom" style="width:73.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Nine&nbsp;Months&nbsp;Ended&nbsp;September&nbsp;30,</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:35.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2013</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="8" valign="bottom" style="width:35.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">2014</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">&nbsp;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Atlantic&nbsp;Tele-</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Network,&nbsp;Inc.</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Non-Controlling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Interests</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total&nbsp;Equity</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Atlantic&nbsp;Tele-</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Network,&nbsp;Inc.</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Non-Controlling</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Interests</font></p> </td> <td valign="bottom" style="width:02.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 8pt"> <font style="display: inline;font-weight:bold;font-size:8pt;">Total</font><br /><font style="display: inline;font-weight:bold;font-size:8pt;">Equity</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:center;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equity, beginning of period </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>334,146 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>60,094 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>394,240 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>643,330 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>56,525 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>699,855 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Stock-based compensation </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,419 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,419 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>3,381 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Comprehensive income:</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Net income </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>293,859 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,234 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>329,093 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,520 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>8,116 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>43,636 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 20pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Other comprehensive income-Gain&nbsp;on interest rate swap (net&nbsp;of tax) </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,985 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,985 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Total comprehensive income </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>300,844 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,234 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>336,078 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>35,520 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>8,116 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt none #D9D9D9 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>43,636 </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Issuance of common stock upon exercise of stock options </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,778 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>6,778 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,106 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>1,106 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Dividends declared on common stock </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(11,982 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(11,982 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,218 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,218 </td> <td valign="bottom" style="width:01.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Distributions to non-controlling interests </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(5,532 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(5,532 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(7,932 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(7,932 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Investments made by non-controlling interests</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>135 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>135 </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:01.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Sale of non-controlling interests</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,634 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(13,634 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:11.50%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(59 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(59 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Purchase of treasury stock </font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(6,615 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(6,615 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(1,850 </td> <td valign="bottom" style="width:02.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> <td colspan="2" valign="bottom" style="width:11.50%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;text-align:right;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">&#x2014;</font></p> </td> <td valign="bottom" style="width:02.00%;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td colspan="2" valign="bottom" style="width:10.00%;border-top:1pt none #D9D9D9 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>(1,850 </td> <td valign="bottom" style="width:01.00%;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">)</font></p> </td> </tr> <tr> <td valign="bottom" style="width:24.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt 0pt 0pt 10pt;line-height:106.67%;text-indent: -10pt;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">Equity, end of period </font></p> </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>626,590 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>76,297 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>702,887 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>668,269 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:10.20%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>56,650 </td> <td valign="bottom" style="width:02.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> <td valign="bottom" style="width:01.30%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-size:10pt;">$</font></p> </td> <td valign="bottom" style="width:08.70%;border-top:1pt solid #000000 ;border-left:1pt none #D9D9D9 ;border-bottom:1pt solid #000000 ;border-right:1pt none #D9D9D9 ;background-color: #CCEEFF;;font-family:Times New Roman;font-size:10pt;text-align:right;" nowrap="nowrap"><div style="float:left"></div>724,919 </td> <td valign="bottom" style="width:01.00%;background-color: #CCEEFF;padding:0pt;"> <p style="margin:0pt;line-height:106.67%;font-family:Times New Roman;font-size: 12pt"> &nbsp;</p> </td> </tr> </table></div> <p style="margin:0pt;line-height:normal;font-family:Times New Roman;font-size: 10pt"> <font style="display: inline;font-weight:bold;font-size:10pt;">&nbsp;</font> </p> <p><font size="1"> </font></p> </div> </div> 6778000 6778000 1106000 1106000 678793 716787 13389000 15239000 6615000 6615000 1850000 1850000 -5675000 -5675000 15789000 15845000 16001000 16030000 15678000 15738000 15890000 15923000 EX-101.SCH 7 atni-20140930.xsd XBRL TAXONOMY EXTENSION SCHEMA DOCUMENT 00100 - Statement - CONSOLIDATED BALANCE SHEETS link:presentationLink link:calculationLink link:definitionLink 00200 - Statement - CONSOLIDATED INCOME STATEMENTS link:presentationLink link:calculationLink link:definitionLink 00300 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME link:presentationLink link:calculationLink link:definitionLink 00400 - Statement - CONSOLIDATED STATEMENTS OF CASH FLOWS link:presentationLink link:calculationLink link:definitionLink 40501 - Disclosure - FAIR VALUE MEASUREMENTS (Details) link:presentationLink link:calculationLink link:definitionLink 40901 - Disclosure - EQUITY (Details) link:presentationLink link:calculationLink link:definitionLink 41001 - Disclosure - NET INCOME PER SHARE (Details) link:presentationLink link:calculationLink link:definitionLink 00090 - Document - Document and Entity Information link:presentationLink link:calculationLink link:definitionLink 00105 - Statement - CONSOLIDATED BALANCE SHEETS (Parenthetical) link:presentationLink link:calculationLink link:definitionLink 00305 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Parenthetical) link:presentationLink link:calculationLink link:definitionLink 10101 - Disclosure - ORGANIZATION AND BUSINESS OPERATIONS link:presentationLink link:calculationLink link:definitionLink 10201 - Disclosure - BASIS OF PRESENTATION link:presentationLink link:calculationLink link:definitionLink 10301 - Disclosure - USE OF ESTIMATES link:presentationLink link:calculationLink link:definitionLink 10401 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS link:presentationLink link:calculationLink link:definitionLink 10501 - Disclosure - FAIR VALUE MEASUREMENTS link:presentationLink link:calculationLink link:definitionLink 10601 - Disclosure - LONG-TERM DEBT link:presentationLink link:calculationLink link:definitionLink 10701 - Disclosure - DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES link:presentationLink link:calculationLink link:definitionLink 10801 - Disclosure - GOVERNMENT GRANTS link:presentationLink link:calculationLink link:definitionLink 10901 - Disclosure - EQUITY link:presentationLink link:calculationLink link:definitionLink 11001 - Disclosure - NET INCOME PER SHARE link:presentationLink link:calculationLink link:definitionLink 11101 - Disclosure - SEGMENT REPORTING link:presentationLink link:calculationLink link:definitionLink 11201 - Disclosure - COMMITMENTS AND CONTINGENCIES link:presentationLink link:calculationLink link:definitionLink 30103 - Disclosure - ORGANIZATION AND BUSINESS OPERATIONS (Tables) link:presentationLink link:calculationLink link:definitionLink 30403 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Tables) link:presentationLink link:calculationLink link:definitionLink 30503 - Disclosure - FAIR VALUE MEASUREMENTS (Tables) link:presentationLink link:calculationLink link:definitionLink 30703 - Disclosure - DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables) link:presentationLink link:calculationLink link:definitionLink 30903 - Disclosure - EQUITY (Tables) link:presentationLink link:calculationLink link:definitionLink 31003 - Disclosure - NET INCOME PER SHARE (Tables) link:presentationLink link:calculationLink link:definitionLink 31103 - Disclosure - SEGMENT REPORTING (Tables) link:presentationLink link:calculationLink link:definitionLink 40201 - Disclosure - BASIS OF PRESENTATION (Details) link:presentationLink link:calculationLink link:definitionLink 40202 - Disclosure - BASIS OF PRESENATION (Details 2) link:presentationLink link:calculationLink link:definitionLink 40401 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Details) link:presentationLink link:calculationLink link:definitionLink 40601 - Disclosure - LONG-TERM DEBT (Details) link:presentationLink link:calculationLink link:definitionLink 40701 - Disclosure - DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Details) link:presentationLink link:calculationLink link:definitionLink 40801 - Disclosure - GOVERNMENT GRANTS (Details) link:presentationLink link:calculationLink link:definitionLink 40802 - Disclosure - GOVERNMENT GRANTS (Details 2) link:presentationLink link:calculationLink link:definitionLink 41101 - Disclosure - SEGMENT REPORTING (Details) link:presentationLink link:calculationLink link:definitionLink 41201 - Disclosure - COMMITMENTS AND CONTINGENCIES (Details) link:presentationLink link:calculationLink link:definitionLink EX-101.CAL 8 atni-20140930_cal.xml XBRL TAXONOMY EXTENSION CALCULATION LINKBASE DOCUMENT EX-101.LAB 9 atni-20140930_lab.xml XBRL TAXONOMY EXTENSION LABELS LINKBASE DOCUMENT EX-101.PRE 10 atni-20140930_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT EX-101.DEF 11 atni-20140930_def.xml XBRL TAXONOMY EXTENSION DEFINITION LINKBASE DOCUMENT EXCEL 12 Financial_Report.xlsx IDEA: XBRL DOCUMENT begin 644 Financial_Report.xlsx M4$L#!!0`!@`(````(0#FQ),IZ@$``%48```3``@"6T-O;G1E;G1?5'EP97-= M+GAM;""B!`(HH``"```````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M``````````````````````````````````````#,F=%.VS`8A>^1]@Z1;Z?& MM3T8FYIRL;%+0((]@!?_;:(FMF4;:-\>)P6$4%=4K=+.3:,V]G^^^.*3\+SO.A]-:`T5-SJD*]UG#+[N^*,+JS_.KOOH`&]G[^/(Y>]-<#[F&CS0X:?PTG,/NR<^#Z*06GIMNGP"3N'[6-HR1`]_:$`X)*8]O1 M]N?//UO>[N9I5!\<8B].P[HH0;$S8GO7:GBMGU8/H&(B9VD4QQJ.'&%7W=YL M7WBDE)MBU_NHLHN+&KJ4_"-B-!U/%`OQ['*ED3!1RF%HT9,9J&7 M4"T\U<%J"`=[!ZH^^CSYLK$SO+=N5#9@NIS]NHFD++ M28,5\YS3$$X4UD^&'!Q0]47P```/__`P!02P,$%``&``@````A`.>YA;+V`0``6!<` M`!H`"`%X;"]?FE!^1 MLD%(;+GW[]M-\>I# M7'=M:6@R-85OJZY>MZO2_'VZ/[LT14RNK=VF:WUI=CZ:V\7IR:Q!1/NSZ_^N?#N^5R7?F[KGK9^C9]\0[[UH7GV'B?\J$NK'PJ MS;`5[?X)R20S&_L-3JZ'+LXEPN&Y,@[/$8YI<*--<(!A6AF$$0]I:(J@ESE:LZC0\1=7A4:4] M2"C_QF]\F*\0SFQ4D!W\YG.-5'VN;,#G"(:T:0CBL/98 MSG`L9^VQG.%8+MH>+-B$1Q72;_()CA*D/4H0'"5$.Z($1I1V0L&`TKXI>%&D M71J"M6'M\&88WJP=W@S#6[0]1Z#GB'9\"HQ/[;C"::4\Y\`D)VU5$505::N* MH*I8NXT9MK%H3X$">T>T926#KNS1_^&+#P```/__`P!02P,$%``&``@````A M`)@OGQ:>`P``V0L```\```!X;"]W;W)K8F]O:RYX;6R4EEUOHD`4AN\WV?]` MN-_*A]J/5!O4J9U$P06TV;V94!DK*8(!7-M_OP>L>�M%V$<\9[\P5/YH?_S MQ_T^3MY>XOA-`H$H[M5KI.AE8#]=!]M4[M^O M@I`O#B>2O.W6]#;@^SV4I=!+,^('&?=[<@>6\9Y7'B2[[6`7A/#V5E=TN=4O M#SE+))^OO%V8N7"\HSKD2VMK6C?_99Z*1<#WZ2DH7TKOST'DQ_O\IY#:CW*E M@X%]\>HY\+,UO%<4I7SVQ(/7=79\"/(MI%]D$/8I/J6H.-XQ(PPJQ4B4!=D' MH]$A^T$,)M4'-H3<&)"\:FQ*RX:2.5]D4SIW!F/3)0 M1&8@\Z67SO=4(*-E=KM(IL#B[)%J9@RO3<(7DL<5PZA9I@ M\VT=!:I*/7)$':#,I>8<$,L=%QL[S#$F((D-X,*J`JJ/!K79PIC,"9L2PYG; M(ABXIJK`Z<0RQRZQIVQ$!B[>%]=0%;@<$9LNP/.",&HZKCTO>"P*\41&6`=7 M417('%L+8IMY,!O;1@UIF+DEC:J`(_D]I^X?O!5N2%7@SB0N>"TZ"/(-_6S8 M!$5W)Q^W4P>S!O:^/M,GL5(0R?]E7XF.N]A/#_>)H''_B_Q8&R<16S$,R\(<3:URFD$4FLR MAPGYJ<(`L7)*:Y4#"=A>Q@0+=7'K:`*X9V;4Y\F0H2[N(UW@MC*J&O+2Q?VC M"[1>I@R?1Z\(";@*,ZO)"VY!70#UK$2E0%W?\_````__\#`%!+`P04``8`"````"$`6'RO$F$+``"G.P``&````'AL M+W=OW>`66"QV,.UVU$2HVTKL-V=[K=?4D6+K))-RLG%3"?\5-;/*A9_2=;#;S]W MV]F/]G#<=/O'.5LD\UF[7W?/F_WKX_P___YR5\YGQ]-J_[S:=OOV_KK7QX^NL.WXUO;GF8ZPO[X.'\[G=[OE\OC^JW=K8Z+[KW=ZY&7[K!;G?2O MA]?E\?W0KI[[@W;;)4^2?+E;;?9SB'!_F!*C>WG9K%O9K;_OVOT)@AS:[>JD MS__XMGD_GJ/MUE/"[5:';]_?[];=[EV'^+K9;DZ_^J#SV6Y]_\?KOCNLOFZU M[I\L7:W/L?M?1N%WF_6A.W8OIX4.MX03'6NNEM521WIZ>-YH!6;:9X?VY7'^ M.[M7N9@OGQ[Z"?KOIOTX>O^>'=^ZC[\=-L]_;O:MGFV=)Y.!KUWWS:!_/)L_ MZ8.7HZ._]!GXYV'VW+ZLOF]/_^H^_MYN7M]..MV95F2$W3__DNUQK6=4AUGP MS$1:=UM]`OJ_L]W&E(:>D=7/_O\?F^?3V^-SQ]V9B0\]GZ M^_'4[?X'$+.A(`BW0?01-@CC"UYF+,OC499P1KU`N3JMGAX.W<=,5XW^S./[ MRM0@N]>1S\K@/`:MUZ1JC2;([R9*'TNK..K\_'@JQ?48X9AH MQD298T2.$1)$C0DO"!(JL-"P0`/KVO-S4.!SJP%)/81,01,E9)10(0+)TR?B MYS$LS\"/1 M^:\!R?O\L3QA)+\-&D\9(PM+^N-IR1B)K]!X4N0N/I*EVYB?O;`L`Q-9I(W5 M@("LJBC=I_9]L$'#64)R+OUA7NJJQC6A\+A(W3@29=R*MQ6$11F8B")S70," MHK*T=)\*HOSA5!0D$](?9EF:DG&%QD6>NH6(1%6WB#(P$44:1`T(B.(5K:\& M#6?>3,.&Y@^79>5Z0S^LT'#B-1\DB>F-;'JB>IJ((BVAMHQ=5BEG1'6#`5%R MY>F\LCW4OMLBJU$\)GWV`@200!)`)RO=>[<^_U*P2D9<)=S\&Y M,YOZ='%@`71U#0Z*)63SJ1E`(9L51V0<44$$JS2[_'25X`G\%+*$]+::`60[ MYWA3\'W%7<%H;Y3X>,[)+"H[?EY\G/%KJ\]L]IXVXY;CEW,,+`+62)9(;:%@ M)GVK<9?EQ:B1`A"(H>S'6*DH!LZBL0">TK`)8V`8L$*W"FPO!0BR*.@R:VR, M\_;HIE$<@<:XOUO`&(O$X3W/:7A"@ M+P6K:]J,D_#6W,0$@O_`"73]"]8>!P@TLK*B>UB#@%3?RZ,B_0"IR$?W&U`` M5A;"S0).H+$;MXLT1]%$4K/&`0JTO\8BY\58T5S)>`R%8F0L=W.-A1(K,S&; M8TO#$M?+;#8!"@KU;8](,D:O\:2Y5ZNG-!!$601FBP3!6HFSF:@5S`NN7++Z M:AYW.!8YGZ;@@E2&C`=1.(CN\KGK\UCK3?Z&7_`W]-*NME!@=?H.1R3C2R2) M0EQ1><#MT' MZSYDL"LV%CGGM]1V9SB]_O1E/(@*!<$:B>&9UEK%!>-#]_3:0FS^NU+#N3SDC`)@[)N]L+*]9"]O3'C0F/ZT12^X>`:&M"-"L7WEU! M5+TI,4LFI_&-IS^*;#QT=ZPM%,II')%Q1`41K-88H)LWGM0<1?-+TE-;:,@O M6#>?L%SBGL(;3PIN)KSQ6"B85(@30&0\ MB@HB6*7^I$\DU1Q%D^KN3ME%"U!`2I,"`GF_M/%8(!!#H1B3-Q[C@S^A^X*+ M&FT\?>CP]8Y%KK?C>`Q%8V3Z49;[<46/TTWXZ),[OI_Q4"C8'-2_ZL*BV4"`=31R1<40%$:R6 M>*I(7B]Y*>+XZA0@>V&;5=2*-`0HZ$,W28"2?L]-$2`OKE1M=I./ZFG:DEUD MJ%H+G2_;$^^)`I0M!K)RY!,QD">T\!4&LL+[;AC*77;!.\4O8_NCJ$IZ?6$HW?;9F@0F*C"(RBR(JB&"1^F1N$&EH7+/T6Z!U!@PL MS#05";D]W2!`\((^[94(T%]^91G9LA0BRB3S'E]A=<0:15)XP1()MSO9'`(4 MS&$4D5D444$$JR1.**(2C$:X4.,&*(LB,HZH(()%WF1\LK'Q&1&N)ZZ M0>.FW^)QB<9S_35+/&Y>G33G`/'U-^!=)8$P>"\27AO9'\7>KW-/N_+X]K=](O2/;_?-,OQ+;Z-<%DH>&7KCN=?S$O`PZO MV#[]'P``__\#`%!+`P04``8`"````"$`%=T9[8$#``#:#```&0```'AL+W=O MZ4 M*F>^+Y,=RZGT1,D*^&8CJIPJ>*RVOBPK1E.S*,_\41#<^SGEA8L,LVH(A]AL M>,*>1++/6:&0I&(951"_W/%2'MGR9`A=3JN7?7F7B+P$BC7/N'HWI*Z3)[-O MVT)4=)U!WF\DI,F1VSQTZ'.>5$**C?*`SL=`NSE/_:D/3,MYRB$#77:G8IN% M^TAFJU'@^LNY*=!?S@[R[+TC=^+PI>+I=UXPJ#;T27=@+<2+AGY+]4>PV.^L M?C8=^%DY*=O0?:9^B<-7QK<[!>V.(".=V"Q]?V(R@8H"C3>*-%,B,@@`7IV< MZ]&`BM`W\__`4[5;N.-[+XJ#,0&XLV92/7--Z3K)7BJ1_T,0J:F09%23P/^: MA$1>.(KBR0`6'R,R"3Y119?S2APDUCWJ1 M60IH">UX749A//=?H81)C5EU,>2$\$'\%`&HGD=P75F#V\HD#$^\)KI5%S,Z M(5K*XUN4-5@KZ^[J(JR.'SA-$4A3A)90V!8:5F2]:.%",@U_.#DE@C$@!EY/ MF*88K0A@S(8768-A#,Y8QZ1I'BHC9H#R_2W*&FSG/+5R1LS4C-TX\N+I^=\' M#8AO"4*#K2"BP`H",:$)8A1[T>GK5M6U_UN;*X3"71]QO+-[L/6(&=!Z`D9RGO_UO`VZ;^QJT!!QR]EZQ-&NVKO-GCR" M("Q[[-U?;CK1_G/6]1YA=*N6<&?:#.7"1>'(&W\@?).?$?2OMG##C*VN04/* M#9@;LM;HWEXC:(CX3?:F3VY[R,-.KX\&IT^W,/8:YVUM,G*3O1FTO;V:[5O7 M'`T.FSUN.M+6M1QMV)%"+EE;_(1A<7@(/P!LA MU/%!WWY/OTJ6_P$``/__`P!02P,$%``&``@````A`$I^??YE`@``+@8``!D` M``!X;"]W;W)K&ULG%3;CILP$'VOU'^P_+XX$&"S M46"U491VI5:JJEZ>'6/`"L;(=FY_WS'./5UMVI>`PYDS9\[,>/*\E0U:,M4(=HJPS]_S!]&&!E+VX(VJN49WG&#G_./'R8;I9>FYMPB8&A- MAFMKNS$AAM5<4A.HCK?PI51:4@M'71'3:4Z+/D@V)!H,4B*I:+%G&.M[.%19 M"L9GBJTD;ZTGT;RA%O2;6G3FP";9/722ZN6J>V!*=D"Q$(VPNYX4(\G&KU6K M-%TT4/'&WHIF%9&E38`.N*%WM;\1)X(,.630D`%SG:D>9GAEW`\ M33'))[T_OP3?F+-W9&JU^:1%\46T',R&-KD&+)1:.NAKX?Z"8'(3/>\;\$VC M@I=TU=CO:O.9BZJVT.T$"G)UC8O=C!L&A@)-$"6.B:D&!,`ODL)-!AA"M_US M(PI;9WB8!LGC8!@"'"VXL7/A*#%B*V.5_.U!X9[*DT1[$GCN2<(DB*/D<70' M"_&*^@)GU-)\HM4&P=!`3M-1-X+A&)A=92GX\_?*H"07\^*"^E!`&^C&.D_B M:$+68"';8Z:WF/"(()#\J`"R7BL8OJO`!5TJB-(C?2]R>@L9G2`7"H;_H\`% M91B2G'DPO)+@,?$9)CXB+A0`Y-\]<$$P26?L27SB]R9XS!T*8`ZO%<1O3OAA M#ES0M0?)L4*OP&-&_92D47+Z?&%`>IO^_3%T0=?I3RWVZ3WFS?1^Y?U&=+3B M7ZFN1&M0PTOHZR!X!/G:+[P_6-7U<[=0%A:U?ZWA7N:P%H,`P*52]G!P5\KQ MIL__````__\#`%!+`P04``8`"````"$`D]])GGD(``":.@``&0```'AL+W=O MWGU._G7]Y,^7?_]Y^O*.O_P/ MUPT2+,/>?TY^!,&AD$[[JP]WM_13WL'=L]^\>GC7;; MM&48#^G=O6];N/V9VN1*Y3S_$TN\V MJZ/G>V]!BJ5+AP<:;_-C^C'-,KT\K3>L!?RT)X[NVW/R/[.P,.UD^N7I=((F M&_?+CWR?\#^\K^IQLVYM]BX[VZR?>`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`3#3/5,#,-,]4;9<2V5+`R4:*--`A08<$8A6.KW%59F\/#'65.91-G6%H:.] MH6&:*D-&>TO#M!7&).WJJ`QI5U=E2)Z>RI`\?6'$'=9`!**=0Q(/588D'BD, M/?%CE2$G=2*,.,"I"$0.D":>J0Q)/!=&)%Z(0#3Q=5A*1<26/NXH(JZE(J*! M$@V4::!"`PX-5&F@1@-U$8@TD(Z]ALJ0KFVJ#!DB+94A>=K"B![HT$"7!GHT MT*>!`0T,:6!$`V,:F-#`5`2B9XZT9J9AYL*(%B\B`6F`L36M.P88UVPE-K(. M9END0XJA81>*RUH9N7$J05&&H@*%`T45BAH4=2@:4#2A:$'1AJ(#11>*'A1] M*`90#*$803&&8@+%%(H9%',H%K>$5*K\3V/1-?';RY%B`443BA84;2@Z4'2AZ$'1AV(` MQ1"*$11C*"903*&803&'8G%+2$5JLL<8[KB$GC@M4_+IKGA&M^I40>P,*:6R M$I%ER8H2D9)S%(B0JH+8&3+WU93HNMAS6N"L*Q#960.3)B8M3-J8=##I8M+# MI(_)0$%BG3!4(M()(P4BG3#&9(+)%),9)G-,%C>)7-/\K_?1VV+^J$B&%?KM MVV,S_*._='^SVRB44W,6.;],^;W!A&`TR&F(PP&6,RP61Z)F(,V"GIK!D&.PFDNV9DD_BP MF>/]+FX2>5K@#PI$IP4P'83/%E@TL6DATD?DP$F0TQ&9R)J337AD%H;DTTTRG."#V2*R0R3.2:+ MFT2N?6P=!8W*KV,2043!Y,J)C5,ZI@T,&EBTL*D MC4D'DRXF/4SZF`PP&6(RPF2,R023*28S3.:8+&X2N9CY&T,48DC+.4L'$P:2*20V3.B8-3)J8M#!I8]+!I(M)#Y,^)@-,AIB, M,!EC,L%DBLD,DSDF_%4_7D?B8IBC']AST56+L*K#5_O"M[)V[O'=+;G;K9]8 M>9_\M;TL6^ZZ1,-7"DMF@;WUQ)XX(?&J66"O"\7C`[/`7O")QZ=F@;VTP^+I M2R+V9N!A^>ZVE\?WS=Y/;-TW=@A&BK^G=@S?+0Q_"+P#?_XI\>H%[)W`T[&ULE%?;;J,P M$'U?:?\!^;WADD`N"JE:JNZNM"NM5GMY=L`$JX"1[33MW^_83BDF@28O;6". M3\Z<&8;)^O:E*IUGP@5E=8S\B8<<4J(4E7/*=*QI.<*8/ M5:4;>%[D5IC6R#"L^"4<+,]I2AY8NJ](+0T))R66H%\4M!%O;%5Z"5V%^=.^ MN4E9U0#%EI94OFI2Y%3IZMNN9AQO2\C[Q9_A](U;7YS05S3E3+!<3H#.-4)/ M8-NN,0@;*=H>3/$9W_BKQ0^1NUMJ@OY0<1.>S(PIV^,)I]IW6!-R& M.JD*;!E[4M!OF;H%A]V3TX^Z`C^YDY$<[TOYBQV^$KHK))0[A(Q48JOL]8&( M%!P%FDF@9:2L!`'PUZFH:@UP!+_H_P>:R2)&TV@2SKVI#W!G2X1\I(H2.>E> M2%;],R!?B6I)@B/)%-0?X\$D6(1^&'W,XAI%.L$'+/%FS=G!@:Z![Q0-5CWH MKX!9938%?\YG!FK4F3MU2!\%M(!R/&]";[9VG\'"](BY-Y@YI#IDBPRBEE[G<6\@@M>KUF,&/U'$-8SJD76V=JC/>:`G_4:P8SIFT,86E;7J--@?N^+7N^ M&UH,A2U-/DP4B\W3*-M5:>]=@0-R1H,V[IZXW^\D+Z9V-V)%H1] MMXZ@L5*.0FQ]:B!?W&B^&=_C4^T(&M5G>,Y#;'UJ.E^NS\SRKG^A=^*?`0W6 M=2ALZP+M5^A2:+O?POY(O?<-:'"XV?'!Z:;6IBN4G;X+SCP)UK2?S[W>$ZJ_ M,D;'ET74R^O6O6S7M_!:L#[&:]^PFL MH?J^VP9@"VSPCOS`?$=KX90D!TIO,@?)W.R1YD*R1N\J6R9A_],?"]CW"2PE MW@3`.6/R[4)MJNTOB,U_````__\#`%!+`P04``8`"````"$`PT!_NJ,&``!J M)0``&0```'AL+W=OLM%KMQS4E)$$30@1T.OWW>XPAP2;C0]N+-CE]>&W\'MO8 M^.GKS^(L_GM[+Z7I^RK)%`X5)OY5/37#>*4J>GK$CJ67G-+O"?0UD520-?JZ-2 M7ZLLV;<7%6=%F\]72I'D%YDJ;*HI&N7AD*>97::O179IJ$B5G9,&ZE^?\FO= MJQ7I%+DBJ;Z_7K^D97$%B9?\G#?OK:@L%>DF.%[**GDYPWW_5)=)VFNW7T;R M19Y695T>FAG(*;2BXWLV%5,!I>>G?0YW0)I=JK+#5OZF;F+5D)7GI[:!_LVS MMWKP6:I/Y9M7Y?LXOV30VN`3<>"E++\3--B3$%RLC*YV6P?^K*1]=DA>S\U? MY9N?Y<=3`W;K<$?DQC;[=SNK4VA1D)EI.E%*RS-4`'Y+14Y2`UHD^=G^?Q5MIAFZJJ\^4)=5IP)_>Y5/U&7=J4`WZ56@>A.;P^PNAK_]Q9^H M@@JY0*V!QN]UIE="[4TA'_K+UY-=46B>M&EG)TWR_%25;Q+T9:A,?4W(R*!N MB'2?<#0];BGXJPR$U",JWXC,5H9FAN2JH=O\>%X:BR?E!Z1ZVC$69>#WC3%T M%MF-$94E[)X@J4]*=OB`VP?NQ2R-):OB48:M+E<7OV?ZDH*Q,%__L+_F7C97 M_Z@G>M5XK+HF.$*\L?$TC#9DH(QPQ<4CA&NH&A,\"+Q&%F:\UM= M&!MA6/V`C81F;.0#.SY@\P&'#[@TP+8_YY$W@?$G,,$$)IS`1!.86,PP+L#0 M^P$7",VXP`=V?,#F`PX?<&F`=<&XY4P[O'D3&'\"$TQ@P@E,-(&)Q0SC`CP< M?,`%0C,N\($='[#Y@,,'7!J@3T!D1O'X@,\'`CX0\H&(#\1]8##BF?>Y@6D3 M>-1AVH1,R0MX>A`/]^0JX(9#JLF-8Q9EP)[[L,NFVPXE;)1P4,)%"0\E?)0( M4")$B0@E8A'!V`I/&XRM8CL)O95A5KE;9?(/5)01V8D2-DHX*.%2PF@?^];& MG/ZPB>6A*CY*!"@1HD2$$K&(8`PE:^[AH[/84$+SAG*/I19E1(:BA(T2#DJX ME%BUAJHKZBCG)RKBHT2`$B%*1"@1BPC&3UC?,7Y.&W?)5;ROW%+"HHS(5Y2P M4<)!"9<2U->U^=A85,5'B0`E0I2(4"(6$8RQ9.G-."ONJ2W.6\JME*P.$GF* M(S:..#CB=DCG:S<`<_T5E_%Q),"1$$>!/8`*\J)"169B/IOP(EXF%"&LS M66`/;4;Z,%V/#Y^?%O?E>+NTLLAV%Z2`P+H=CM@=0AM]86KF`AJ#;72'8QZU MEHL7Y4V0\7&9`$?""25%N$PL1%A[RCO@X$N!(V"&T9=9D=.(;)L)58B'"NDRV.C[1 ME>D."73$VXH7)C#608N\"L.&;!2Q<14'1UP<\7#$QY$`1T(K M4>\,<9F(D=%,4U?'PU\LU&'M)7L@0WLGSL9TZX2UF=^#5"E$[_B+:I(;YKKY MCF%T=35N%+M#A..T:">G32@75_%PQ,>1H$-$=QWB,A$C\[!A8J$*ZS+9&?F$ MRW1#A769WYJ$,Q+H0(TB-J[BX(B+(QZ.^#@2=`C="(74)IG-I7:(RT2,C`X' M<$8JY`C*KYN7FDR/F-!W_456';-==C[74EJ^DN,C:]C;NT5O1UN^M4=*N+BG M;N!=.+Q%YN*ANH&WV>.XI6VL1SH[;0.O9\:\K6W@+%D#<>56,)QT MN2;'[(^D.N:76CIG![B5^6P-4WY%S\K0+TUY;4\VO)0-G'%I/Y[@3%,&;W?F M,X`/9=GT7T@!MU-2S_\#``#__P,`4$L#!!0`!@`(````(0`9[UV#<@,```L, M```9````>&PO=V]R:W-H965TX0-RB%2[A/REE!1+PR(XVKQA&23VIR&W/<69V M@4AI*H4ENT>#IBF)<4CC4X%+H408SI&`_?.,5+Q1*^)[Y`K$GD[5IY@6%4@< M2$[$:RUJ&D6\_'HL*4.''.)^<2SH_H`?C`CP2DZY>(G/7_!Y)@)..TI!"3C6B:O(>8Q&`HREC>5 M2C'-80/P:11$9@88@E[J[S-)1+8V_9DUG3N^"[AQP%Q$1$J:1GSB@A9_%>1> MI)2(=Q&!&1<1U[.\8.I.9^]0F5U4X+M1F5D3;SH/[MB+K>*J;0J10)L5HV<# M4@]VSBLD$]E=@G+CCXJF=>Q_AH%34N11JJS-N6F`%QP.^7DSF0K=[\9$,.LCX1@9B.S'Q%`D&B/>O%VG%['_GH@E#/G> M=3)P6MTZQ*UB)EVF3^RT1*@E]EHBND7T'("M=L]7VV*Z2SL MSYSNWX#?C?CI9-']&]2/<,3[BZZ\,]#?C_CYX/)%B@##KL?:)F_/*RB,]WLE MX;Y7GN.WNNK:*.;ME57MT!*AEMAKB>@6T7,`2OO]#DA85S@4<\L!+1%JB;V6 MB&X1/0=D0SAX4>H+AYS4SX7)J'`HYI836B+4$GLM`5V8W.OU_DZ&A4,U6:I[ M*#`[XAW.]>/QT%W"^QS&[78"]&(5 M.N+OB!U)R8T4BN9! M+M"V\9M_````__\#`%!+`P04``8`"````"$`#W,&J4D"``"6!0``&0```'AL M+W=OR49IN:LA] M2%+*SMS^<$"T?O,4S(EP+28YP(2N+8CS8L,OR:SY0B3Q=SW MYY?@G;FX1Z92W2XO*"9WU6L_@&\:Y;R@N]I^ M5]UG+LK*PK1'$,CEFN7'%3<,&@HTT<#;8*H&`_"+I'";`0VA!W_M1&ZK#`_' MT6@2#Q.`HPTW=BT<)49L9ZR2OP,H<:9ZDL&)!*XGDF04I8/1Y/D!%A(<^8`K M:NEBKE6'8&E`T[34K6`R`V:7+/UG,G#C:EY=D2\%M(%I[!?I))V3/;20G3#+ M>TS2(PB(]PY`]=+!^ST]*SOPM7*2WBK?8P;O*P^OE5WV(>S&_QVXH@R#QD7V M4<_O^[,,F/02TR.NL@/D\>P.#`XO62?CGCB,:CF!?01\%"NPXL5#E:U?LX;9>&%\+<5?/\X MK%\<`;A0RIX/[M7MOZB+/P```/__`P!02P,$%``&``@````A`&1SME$6*P`` ME^4``!D```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`]-\W7S^;T*`]GXVGQZ^_M^1-+52H\C,BM!?%IF^6T\G-_/U M]2)S*T)_K,I*%%:&_5F3Z;K-<+E:;%XR$QGS:)_27-^?E^V1E M1>COZS=G;47H[UEDNIBLS-Q@HG]8F=4['O>5,37E>##_^/\8"T?$5$+BY6/AB#!'UGDL+SU*IAP2YA]6 M97;>+9>FA<-@*G&P=HZ-2ZX<"E.)A:G$PK5S<<-Q0?]XR$\S>IY6.F7\-Z;5 MR)AIY0FY94#F.9CE'3/891\"AQ`XAD`4`G$()"&0AD`6`GD(%"%0AD`5`G4( M-"'0AD`7`GT(#`[@S2$EZ/_&'!H96GXXA^9\=>,?>+%--)]'_QE0; MF0]O9WX:GOL3>6M)E^;Z3#G/-2`'0(Z`1(#$@"2`I(!D@.2`%("4@%2`U(`T M@+2`=(#T@`PNXLTUK76\N=8O*?C$:MBG*>6IN+4(+1G.Q^H\/-?NSB1VVP-R M`.0(2`1(#$@"2`I(!D@.2`%("4@%2`U(`T@+2`=(#\C@(MX,TJ'S@ADT;'\& M+7)S/JWN`-D#<@#D"$@$2`Q(`D@*2`9(#D@!2`E(!4@-2`-("T@'2`_(X"+> M=%$Z]*;KM,2E*T\Z@/[X_/&?MP_CA;AR',YI)3NN;XV&/XDC,E_()(X(786< MC[D165`J<`[5(!\?SB1V.P(2`1(#D@"2`I(!D@-2`%("4@%2`](`T@+2`=(# M,HS(N%N]>:5++V]>E0FD"WJ>008MLCE+1V>.*[3TA>(SB842$$K/'%=HXPME9Q(+Y2!4G#FN4+`P+,\D M%JI`J#YS'*'-Q!]1HE5IH+?(90CDZ%L@J$:K0L496@U"+CIV%G/W5(S2PHS+=I@Z"9:S3 M=%\^+9BB:G#86VA.P25'YR8X;>\L:RI[=V^A&ZF7'!`ZHF.$K!BA!!U39&4( MY>A8(*M$J$+'&ED-0BTZ=LCJ$1H\1R^93TV9Y'53/!98Z+*8CY;;D]B'MQNR M.%,0F:89\?9/#C]'EA^>JJ$SF?K,"4?43JZ2CJVK#6=])P! M!*?M!.73J^2SJ^1SE"^NDB^ODJ]0OKY*OKE*OD7Y[BKYWK(V/YS6P9/VP]?4 M?EX7OK9JY(;O"&WHSSD(YIM@-;DS'1Y*;5Z&&J&%F]IF\R!Z#M:16'S`'%$K MLM!R<@KR]601+#MB(;!,@C*IL$S78+K<+(+A9,)@G1QU"@M=WK126*Q5H58M M+-F_L)L:8;%6BUJ=A>QNFLTV-\$\]<)@G<'3\>/(U)5>%T>V(N7&T0@%:3"8 MQYUI\9E3I)L&1^C&7"";20L6B@?K0G;>I".J1!;:K*W*:A%<-<3"8)T$=5)F M7M@EGCF);K:;!II1!8ID*9FED7A]0(B[5:U.J8-0YI-EU.@A-5 M+PS6&3P=/X),70LBZ(7U$-.Q#9=-(Q0DI6#INK..7E(:'6\V8QA,@N/_8%W( MSEMW1)5(6"8DYYO@G!R+G5425$F9-2:UZ?(FV-69$%@F1YF"6>,FK0*14LPL M4J%(S2Q_K1'LG498K-6B5L>L<;LHAB`)V4F0"]G!D_%#R-3:((26URRW;97. M34(C=./56,+IVYGF?IB$K./L%#?S^609!-O!.MW,G,@!G4A8)G)F\\DZF*]8 M&+R/$QQ/*JQ34EPO%L$U0R8,ULE1IQ"6T5FNUT%"+H7`,A7*U,RZ>*YOA,5: M+6IUS!IW]?IFO@PR=2\,UAD\'3]^3$WO=?$S5@.]M?P(!9=KP6&R,_=XA(NA M$;)GYL4$UT%G`F_3$64B"[',O".C,6%FLE MJ)4*ZX)6)BS6RE&K$-8%K5)8K%6A5FTANU2\F04!V8B=55I4Z81EC@Y0Z<7. M*H.GX@>2*1N^+I",9Q!((^2GGYL@!^QHO0/I9X3XZ-C,;H+3Q<$Z$8,WZH@Z MD;#,KEE/9L'!&@N!91*4285E9.:SFV#AFPF!97*4*2Q$^45"9QYJE<)BK8HA M*MR>KVEGBV`0-;-\^6#'-<)B^9:AB_*=9=DYH7NNP]).+PR6'BQ$?PCR`LW< MGN<%VN5:Y(GN1Q=#\\#@(2^;5RLO*(A*6I$YZ1"!H&@F+M1*&1"MER!]7<$K) MA,5:.4.B53#D:P4K\U)8K%4Q)%HU0YX6=)F%Q5HM0Z+5,>1K!:>:7EBL-3"$ M#2@JCKTHTX]U6/*54VP\@W7]"`6= MEZ#NN#,WY!M'::/L+?1,`]JR;*=R,UG>!$?P$:6CJZ1CRWJF`8WRZ57RV57R M.5?&]9/Y[6P9/VPY?.BJ\,7^,9A.\(!;V> M8,6YHYP&&6J$+G=I#];1;4"C5F2A\\4Z=0#")>_X:TX!)4&=U-=9+#?A\B,3 M!I_NQF$1SKO3!89_!T_!`RI4\(H9>65,;Z*04J_^+M;(2"M!2<^G:6 MY2V<1D?;@IY/@X+BP;JX+6A4B9AEF\=3Z`0)@8><6W\M+[I.GGX]G@2I/A," MR^0H4PC+R,QFX3UBI1!8ID*9VD*VGWVS"@;3B)U56E3I+&3W\7RUG$+@C#/J M+!4'3\Z41;EGLI:*%G.M'"XAUT1*U(6!<.TUA8K)6@ M5BJL"UJ9L%@K1ZU"6!>T2F&Q5H5:-;/L?72;F^"\V@B!95J4Z81U"FR0Z87` M,H,GXX=26#B^/I2PACP?(3\'02_:LKP<-#K:XV,Q@9=W'*R3$(H1BA!*$4H0RA'*$"H1* MA"J$:H0:A%J$.H1ZA`8+*5AR?N:0Q3KS2<'O*C+D=!49(O_S(GT>7H`< MA"7S.O[B2IJKD;!WXPV5RA!^=9";C.:(3>]C(Y.<_5@60YT9$?9[DA8;IP$YYM86+P/$]1* M+>0VHQ'*T;%`5HE0A8XULAJ$6G3L+.3LG!ZA@1V5Z3;5S!],]S.I8*R#>JE@ MA/QK"FA&&S/%AG=-,4)N,]JR'.B(CA&R8H02=$R1E2&4HV.!K!*A"AUK9#4( MM>C8(:M':/`/HU878!19B+12DP2!7[=C138.CENU%X]/0 MUL7M1:-*Q#_/?=]9^"!\+`S>-0GJI,QRJU(P79FP6"M'K8)9MN\[#>^P*(7` M,A7*U,RZ.*1&6*S5HE;'+%O%G2[G06.S%P;K#)Z.'T%J_?6%!94%EF(M%"2E M(-AWEN4EI5'+MJ)GX:-W!^OBMJ)1)1+6*8^$Z[58[+R/$E1)F64;VHOPO;&9 M$%@F1YF"6?9IZ"`SEF)FD0I%:F91_C]?,T)8-\)BK1:U.F;9[;H)DW4O!)89 M/!D_A,+"JG-U=7FY;0IIP165A9YI1+.CFX1&+7K6V!YGKP-+.T]"H M$PG+Z,RFF_#XBH7!.R=!G518IPA&#R`P=/Q@T4MX%[37B7:2P$EDE0)A76*>2@ M:90)@65RE"F$=8JX:3A1I1!8ID*9VD+<<0[CK1$[J[2HTEG([N'I;!,^RM@+ M@W4&3\!1H@O!-;+\/55!^OD MI2#0B81E]LUR$MX@$@N!]TV"PTF%=4I!L_"DEPF!97*4*2P4-)R#2[A26*Q5 M,72Q(UPSRS]P@WS?"(OE6X8NRG>6Q7.R@8O/7A@L/5AHG%L_T&B87J`]LQ@R M]""Z+"0EX9W9M88ET!ZA`T)'A"*$8H02A%*$,H1RA`J$2H0JA&J$&H1:A#J$ M>H0&#_(GT51QH9;\TNNCL13LEI5-98+FT6TX6\AM.%O(+*?.9ZI%>$?C05@< ME4>$(H1BA!*$4H0RA'*$"H1*A"J$:H0:A%J$.H1ZA`8+*0UG.O3]V;Y\R)[H M_B%K(;<6&L[#.\\J0-%`CAGRMH/P7"XNU$H9$*V7(UPKR M=R8LULH9$JV"(5\K2-:EL%BK8DBT:H8\+6@X"XNU6H9$JV/(UPI6)KVP6&M@ M"!M.R["<^TS88`WWI.`WG!ERPV9T=/J@!\MRH",[RBDB8HC6#TZ\!1?(L;!X MFQ.&1"MER-7"AK.P6"MG2+0*ACPM:#@+B[4JAD2K9LC5PH:SL%BK94BT.@LY M>[5':&!')2`NU&6O;S@OL49K(2^]C"SWQ@3+HM,&;^0!H2-KR79'PG+C)+@X MCH7%\@EJI19R&\X(Y>A8(*M$J$+'&ED-0BTZ=A9R]E>/T,".RG2K1=1KBAI+ MK)Q:R+^D"`N8.\MR+RDLY'27#P@=T3%"5HQ0@HXILC*$H[<.7+ZZR'GR#!8)8ZTRZ+2$#6=V=`H0%GJFX6Q9MC,YG4ZH M2>!WT8ZH'5VE'5O6,QUGE$^ODL^NDL]1OKA*OKQ*OD+Y^BKYYBKY%N6[J^1[ MR[HPKX.G[0?PJPNO2RR\6BCH[@1KSIUE>3EJU#(K\/-"!*I>!^M(+#[!'%$K MLA`MRTXUB\ED&1Q!L3!8)T&=5%A&9[&>K(.C)1,&Z^2H4UCH\K:5PF*M"K5J M85W83XVP6*M%K6%19&I$@FD8H2$M!M.^LHY>61D?;=%ZM@@1PL"YNTQE5(F&=:K%A M&HG%SOLH096466-:6ZPWP:5I)@26R5&F8)9]_#E\95XI=E:I4*5FUN6NL[!8 MJT6MCEGCAJUFX:OE>R&PS.#)^#%D"J%0F+LJ#=D2JO/@_'*$GNDZ6Y;[#"([ MCEWGZ91R*\2.U7;:SB@4^4*KY21\Y"L6!N^=!'5289UB<$I?J?>7?IDP6"=' MG4)81H>N[\,P+(7!.A7JU!:B=@RS&H1:=.PL9/O.,SH.PH9^+Q36'CPA/U[4 M0NY5\8+5VZ6MWKK+&&P\6Y:7:$9'>RZ>3A;PJ@7K1`S>J"/J1,(Z3<^<(L^? MYE@8K).@3BHLH[/>3,.GY87`,CG*%,(R,O-E^`AW*026J5"F%I:1H4^%!-7" M1@@LTZ),)ZS3:-;K\-GK7ABL,W@Z7N2LPJ+PU?>WG#S]4Y2%GND]LZ.SX+'0 M,[UG8?&&'5$K$M:%Y4HL+-9*4"L5U@6M3%BLE:-6(:P+6J6P6*M"K9I9XY)E MCI5`(;!,BS*=L$ZQ!#*]$%AF\&3\4`H+Q=>'$M:,5R/D%XJ@]VQ9;A*R$%\0 MS#?AN>8@#-ZH(^I$PC+[AN[[#.\XB87!.@GJI,(R.IL9)"$AL$R.,H6%3"_O MO`A?3(*\6`J+M2J&+G:':V;Y\L'BK!$6R[<,793O+(LG9369ADML8;#T8*%Q M0VGRT4-)_#Y:VP."J/"$4( MQ0@E"*4(90CE"!4(E0A5"-4(-0BU"'4(]0@-%E*:SZNPQ/S,(3L6D=V;"DX* M?A>1(:>+R!!54,YY$IO/PI)Y'7_1?=I96*Y6<,D1"XNU$H:D,9LRY(\K;#X+ MB[5RAD2K8,C7"I:3I;!8JV)(M&J&/"UH/@N+M5J&1*MCR-<*3B*]L%AK8`B; M3]3X\R^$GPD;K.:>%(*P&5EN4]&RG)[H`:$C:\E9(V*(:BQ.O`4UOEA8O,T) M0Z*5,N1J8?-96*R5,R1:!4.>%C2?A<5:%4.B53/D:L%:L1$6:[4,B59G(6=' M]P@-[*@$!`77CRHCUS>?5T8EN'89(3V71?B6NQT[ MRL&^M]`SW6?+VM!BX9SN%_#(,\I'5\G'NGR0)1*43Z^2SW3Y8!&2HWQQE7RI MRP?KD@KEZZOD&U4^O)QN4;Z[2K[7Y8,K[,&3]\/85#]?%\9CW=1;[(Z0U^Q9 MA#V%W6ID>>6/$?+K!%"'M8[$XO/,$;4B9I'D.=BAGQT+B[42U$J9Y148PBI` M)BS6RE&K$):,:S$-UN6EL%BK0JV:61>WL1$6:[6HU3'+W\9@+=@+B[4&3\L+ M*EHGO3*H3I[^^<]"?FX,7Y:Y8TKFZ0,&)AL6YB(:=9E0K+T9J%%7]AL5:.6H6P7*U@]*6P6*M"K5I8KE9P M4=0(B[5:U.J$Y6H%18M>6*PU>%I^@+VZ:+O&HJV%@@76+%Q@,NKY!M=/DC'+B9!9:P.`@066L%BK0JV:61>WL1$6:[6HU3'+W\;@Z.V%Q5J#I^4'E2G[OFK5OAX+ MQNZJW4)^;L0%EG5T<^,(^0NL\#'5@Y5W;_NST`\76*INL/B(43>QD+?`4K6" MQ4>&6CEJ%<)R`FP>!&LI+)[("K5J8;E:P1FC$19KM:C5"5L%>8P6;(5D;[1#:(W1`Z(A0A%",4()0BE"&4(Y0@5")4(50C5"#4(M0 MAU"/T.!!_B1J56?SA-3E&N0:R\P6DH>7=A:9CG?9A==(>W`XB(,;I++(\$<> M%E"?&3%63=<6H0 MZA$:/,B?1#KAX4GJA:UR\U1+4!"WD-LJMY#;*K>0WRH/OYU^$!8GQ2-"$4(Q M0@E"*4(90CE"!4(E0A5"-4(-0BU"'4(]0H.%E%8Y]77\V7[FD#7TH-`S0FXO MZR1*;5"GE\40):ES>0];Y<*2>;7R4CV,A.5J!2?A6%BLE3`D6BE#_KB"JYQ, M6*R5,R1:!4.^5G!)4PJ+M2J&1*MFR-."5KFP6*ME2+0ZAGRM8&'6"XNU!H:P M5;8)2X67P^9$]\/&0F[8,.2$C86HI,2#.B!T9$A8(ZM!J$7'SD+._NH1&MA1F>Y75_G, M]6IP!K%04,F=!XESQS39O7L+N:URA([H&"$K1BA!QQ19&4(Y.A;(*A&JT+%& M5H-0BXX=LGJ$!L_16PB:-%^9A9OGQPBDM0/F7'B_(9 MLWSY8`6=HWS!CA?E2V;Y\L&YH4+YFATORC?,\N270?9H4;YCQXOR/;-\^2![ M#)Z\'\%A0>_J;MH&:WL6HK=8G!TO4/7DF31 MU*BDM#77D/@[5%FBL6D6JIG0/M!^AZZ2R:+Y4$EM:ZZ.\7>HLK8U=3/%0K]3 MJK]#%]5DT=3VZ\W6%$E1[99^YU;UV9%EIUKV9#&U!E0[DL64'-!"%4Y72+%.R:&I4UMR:<@3Z4'5S:VJ7:-FO%UO3XD5+1!;3I$5+2A;3C^`AJ;9J&[ M!6ALFH5Z_S0VS;)?3VELVKZFF\-H;)J%[OZBL6D6NKV+QJ99Z/XM&IMFH1NT M:&R:9;^>T-C4V"&+N;,19X[N9*2Q:1:Z+Y'&IEGH+D,:FV:A>P9I;)IEOZ*C MA.X\Q1'0C;];IB"1JU9Z&D)&K5FH<GL'MH[#0VS4(/ ME]$^T'Z''BY-0L2[)HVT./=)%% M4Z/G/[?FN2U4H\=`:5]KO[-?41:C)][1A]Y$0+^C6>C=`J2F6>AU`;2O-0L] MZ4]1I5GH(7V:!MF:U[F@#[V^96O>T((6>B/+ MUKQS!2W[Y8;&IJUJZ(U(-#;-0N\XHK%I%GIK$8U-L]![B&ALFH5>-$1CTRS[ M)>51>@$5CIK>]$5CTRST]BX:FV:A%W+1V#0+O62+QJ99Z)59-#;-LE^N:&S: M\4/OM*.Q:19Z2QV-3;/0.^=H;)J%WB)'8],L]$XX&IMFV2^7-#8U'Y#%O)01 M]RB]A)'&IEGHM8HT-LU"+TFDL6D6>N4AC4VST$N\Z<),NR[9+VG]1N]_Q;'1 M^W%IU)J%7H!+H]8L](9;&K5FH5?8TJ@U"[VCED:M6>B5Z%OSPF,<&[T9G=2T MHY[>ATT6+5?1>Y+)HJG1Z]*WYOW(^#OTUG0:FV:A]X'3/M!^A]X`31;-AUX7 MOS5O?L;?H;?&TW[3MH?>%4X6[7?HA=%DT=3V"\H[XUM$P[,F__H"Q&'RE!'_IVS-9\'@8M]#F8K?GB"UKH"R];\_T6M-#'6;;FTRMH MH>^JT"QHEOV"LMCX:KA@?NCS2#0V+;O0QXYH;)J%/EU$8],L]"$B&IMFH6\+ MT=@TRWY!68P^2(7;0Y_]HK%I%OJ2%XU-L]#'N6ALFH6^MT5CTRST#2T:FV;9 M+VC]-G;!8;_1*DVUT`?I:&S:NHH^,4=CTRSTU3@:FV:AS\+1V#3+?D%YE#X6 MJ.TWRJ.JA3ZT2&/3?.C;B30VS4(?1*2Q:1;ZO"&-3;/L%U07HV]A:F.C8TZU MT/=$:6R:#WT=E,:F6>B#GS0VS4*?[Z2Q:9;]@E:W]*57;6R4*50+?2Z7QJ;Y MT`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`Q\/[OA^__/-W%]_/_$P```/__`P!02P,$%``& M``@````A``@&"4W;!```0Q4``!D```!X;"]W;W)K&ULE)C+CJ,X%(;W(\T[(/8-@0"Y*$FK"5>I1QJ-IGO6%'$25(`CH"I5;S_' M&!/LI#"I11$.'S_V[^/KYOM'D2OOJ*HS7&Y50YNI"BI3?,C*TU;]]6_P;:DJ M=9.4AR3')=JJGZA6O^_^_&-SQ=5K?4:H44"AK+?JN6DN:UVOTS,JDEK#%U3" MDR.NBJ2!V^JDUY<*)8?VI2+7S=G,T8LD*U6JL*ZF:.#C,4N1A].W`I4-%:E0 MGC10_OJ<76JF5J13Y(JD>GV[?$MQ<0&)ERS/FL]65%6*=!V?2EPE+SG4^\.P MDI1IMS=W\D665KC&QT8#.9T6]+[.*WVE@])N<\B@!L1VI4+'K?K#6,>&J>J[ M36O0[PQ=Z\%OI3[C:UAEAY]9B'30W4*CH*,9MI$*<4Y%`#^*T5&4@,<23[: MZS4[-.>M.GS&;&X`K+ZAN@HQ(JDKZ5C>X^(]"1B=%1] M@=!;A@8^[K',)P+S/AF6Q5?(IT90":1$*"4B M*1'?$S#>]&7EO(8Q9;K7!"9>LV9W:6#1!_:,N+6R;0JMX3U@[%5?NC9-_0E, M,($))S#1!"9^P#CSOLR4P)RC-#!P5"0\,>"SP,US8S[KR];Z&4Q@ MP@E,-(&)&0-9PAD#4\=T8PC,&4,#`V-$PA,#OA@(6.#FE.T(3H4/F%O7:RGA20E?2@12(I02 MD92(QP@NV6"PG^XS@;)5;M;&X:FC"=^U*!0$J$ M4B*2$C$ENF)JMX3C#";[)&&58T'2CT_6Y"71:(=/5Y1(/(KP7I,]P6`,&<]H@^X@N%%Z(7CE=M"HUU1G!/'D*GZ/ MD!9;#`9)NM[B'CN:L#H(N<=P(K#B_H1^&G'T7!,>Q_WC1_G!&TXV!@/#R=9T M#@DO,9YN)WCCA1JY<)1#!IP15_=RQ),C?H?0V3=&S@0)5)[1'>5XK*7XCYTYS6`;T47HFYAIKV+'#DE&(^\8:-M3W M<==5^_=?7QX2U^GZ M\K@I]\VQ6KD_JL[]]/SS3T\?3?O6[:JJ=[C"L5NYN[X_/2Z7W7I7'NR.[55N9$_.NR7ON=%RT-9'UU0>&SG:#3;;;VN6+-^/U3' M'D3::E_V_/F[77WJSFJ']1RY0]F^O9\>ULWAQ"5>ZGW=_Y"BKG-8/WY]/39M M^;+GOK^3H%R?M>6'B?RA7K=-UVS[!9=;PH-./:?+=,F5GI\V-7<@FMUIJ^W* M_4P>BX"XR^FN9-H%\WXBO^ MX^7DUU]D!?YHG4VU+=_W_9_-QZ]5_;KK>;E#[D@8>]S\8%6WYBW*919^*)36 MS9X_`/_7.=2B:_`6*;_+_S_J3;];N31:A+%'"<>=EZKKO]1"TG76[UW?'/X% M2#JZB/A*A/]"B1!_X22!ID95\^/[7-A\-[#;]G=RI%'R2/7/GL M#)[CXO665>Y1B'P6*E*+N^AX?;X]A['_M/S&VW2MF`R8V'4N3!)B)#\CH@6% M+CM_,?R&X)\49T*4CUNZ^.*MI?NBO.[7*W:V(7Z$;?@1OE]V!<%$/B42381- M$:VQBBDQ$D%&*39J-BA@WOE&-0ACBI\_`R88,0$F-,P+A?4JK=-@/&Y,Q*,"M1 MF`A4.3Z1S:^<@+7*46U2R("!5B=)2K1^FX^O4R^.0VW.8&,@H)%^@V)\G?JI MEPXC'SD3J66T))A'G(!QY<)8&PP9,*;*60EF)0H3@?RE]_@3,*Y<&.N5`\;D MSTHP*U$``?TCXE/.]6%'^"(WOWJ2QO;(:*J2BW"F(),_.\(4`L]_K7LB@-+( MBY,;%L6:/^J@(K/8UW8"20&O#?'E#LHJ0$:K5H2I6ZFA3#RMOQ3H>A3?]"E" MP,BG>2`2B`S8W]""RA]`1G]6A*E;@;\'0GVBW:?0")(FPV2%QB(1.6#D<68M M(3U@K\,ZI+R:(H9$(#2 M0'N$C`!DL)';$69'B@LB$CZAMZ8@$1!&-;7T6X@3J);)D)94+0$R.K0B3&S9 M>&,&,M@\A%J'*=3E2[>.Z+`$XU**D##?($0*;%`/-\24.U1GM2),J9P=)*'6 MC@4&HHC<*J'("O,=0K+`#B>==!P_8C](1\%1&42$YR>)-CTS@H@K&@4FL`:N MH8@+\QU"N,`.A_BD.JDI@2B+5H01*U(8$>Q2A(;Y+B%B\'ESM'V:N+0FE9Q8 M$69'"B."7/IW91Y)XREUNDE4D&G"L2-,(3`>HX!2J@](1%`:D&`("]BC%GK, MDZH_#3O3K:*"C![M84>I@,9VT>=C:WY/E33>=DPWC`HR^A-W-0<` MNTIA1'`5M;ACJ>(TYA!]5Y?Y]IAC1YA"5!7#T)]T5+@-`'Y*D]'RB2WR]KZC MD(+&A9SN'WV`C(6T(LRN4A@1[%)$B=D3JW@_JZ6XZ2Y204:7YP`S3-!#1)$K M#+.K%`I1L]+-G:1_5\J1-)Y5ISM)!1DMVE..4C'T5=!0@.T(LR.%$<$N[XHZ%"(*7WX-H5Q!1I>@8T"87:4P(MBE"`RS MYQP*\0+/.9-:`F2PD"L=`\(4`GT^C$)_V`/++E,@(/*\='@.[)#?Y0Z'@L9) M9QI9*4"&Q\_M"+,CA1'!+N]*.G2:=*:154%&E_:DHU2@C@DAP\9)E1$DX#H- M_5MO<^A=.4?2N(S3P*H@HT%[SK&K%$8$EU&+.N8(0*<19YKF%&1T:8\X2N5V M&4'"7D8MX\S+)&/@]IMDJB6=F4[AI![2TDBG(4*C>,#E7[6N75?M\YZ^9=')+R^?OWR[=P@"LCC[D\[:1]S_C!+OG] M\G*!GZLZE:_5[V7[6A\[9U]MN:2WB/ELW\+)+/C0-R=YE.>EZ?F)*OGGCI^@ MJ_BQ(F_!X6W3].\W\```#__P,`4$L#!!0`!@`(````(0"@]\V0 M>@,``((+```9````>&PO=V]R:W-H965TTT[;_?.3C0&+;0FR:XCU_. M>\Z)?9;W+V5A/5,A&:]6MC=Q;8M6&<]9=5C9OWX^WD6V)16IT@O_LN2B)@D=Q<&0M*,F; M367A^*X;.B5AE:T5%N(]&GR_9QE->78J::6TB*`%41"_/+):MFIE]AZYDHBG M4WV7\;(&B1TKF'IM1&VKS!9?#A479%>`[Q=O1K)6NWD8R)MGDYS>C9WGUW9)'?OXD6/Z55122 M#67"`NPX?T+T2XY+L-D9['YL"O!=6#G=DU.A?O#S9\H.1P75#L`0^EKDKRF5 M&2049"9^@$H9+R``^&N5##L#$D)>FL\SR]5Q94_#23!WIQ[@UHY*]*>L";:@ MMP#EUIF.H_/Z/ZO@$44>4&5ESVT+7$@HS_,ZB(*E\PPYS2Y,,F3ZR*9%,(.H MF[8+;[J>J;IM"2P?6.I\0;:N??V[4FWX"&/X[7L3O0#:G1_??.]F2$2AB:1# MI">R'1)7(H:=J6D'RS3[;P.VMG`3M-J5B^!*O\EPHIG9%3,S;6Q&B724V-XB M#)\0R'79T.<4?JZWRX>;5C8DLZM6$,U-%XEFPJ8WO2#VIZ[KFLC&1.;3:("D M)A+%0/14MB82S@T5PRO4[]KK;8\(]SU&IH%$,Q>/[GP0VV8,2`W`\P8*VQN` MX2TTO;VOCKBI[S'N>=3,Q6/H8AE[%=@82!#-@@&2&DCHNO]P:B#!O*EU%XOA M%8Z]]]<1X9['N&<@T0PT4M?/_=_D*)&.$MM;A.$/AYC>%3%^]N"FWMD3]\[N M1#.W?(X2Z2BQO448/N.ASW#T[,%-_7KVCOE$,[=\:D)WM8^G2M=I^AX<58#I M!^/0"GCDO"EHCWJVT5=_2<6!;FA12"OC)YQ;IG`N=JO=2/7@XXW86T^\!=S3 MP_441K!FW>DVP`A4DP/]1L2!5=(JZ!Y>Y4[F<(@(/43I!\7K9A#9<07#3_/U M"+,NA0G`G0"\YURU#WC/=]/S^B\```#__P,`4$L#!!0`!@`(````(0#!&PO=V]R:W-H965T&ULE%G;;N,V$'TO MT'\P]+ZV>!$E!7$6*RVV+=`"1='+LV++L;"V94C*9O?O.]0PIF84.]*+$YN' MH\.Y'8J\__C]>%A\*YNVJD_K0"S#8%&>-O6V.CVM@W_^_O(A"19M5YRVQ:$^ ME>O@1]D&'Q]^_NG^I6Z^MONR[!9@X=2N@WW7G>]6JW:S+X]%NZS/Y0E&=G5S M+#KXVCRMVG-3%MM^TO&PDF%H5L>B.@5HX:Z98J/>[:I-^;G>/!_+4X=&FO)0 M=,"_W5?G]M7:<3/%W+%HOCZ?/VSJXQE,/%:'JOO1&PT6Q\W=;T^GNBD>#[#N M[T(7FU?;_9>1^6.U:>JVWG5+,+="HN,UIZMT!98>[K<5K,"Z?=&4NW7P2=SE MV@2KA_O>0?]6Y4L[^'_1[NN77YIJ^WMU*L';$"<;@<>Z_FJAOVWM3S!Y-9K] MI8_`G\UB6^Z*YT/W5_WR:UD][3L(=P0KL@N[V_[X7+8;\"B86A>.L/+Y M'.TDQM%AGX^\9>AM&R^:YAZ.Z1V$J,GZ.,SA"`]K47JO=+G6CX<5[%) MKM"#@IGN-0MFM"2CA1"DE:J(#>?#X5@:GPS$9U;&!CWBMJ\LF)%BH+#8#A"`I(77D`X0!'(Y+'8>^X1%:`IKG=&?U M:$;,&T9B#J/[S!0WFQ1G\[B`*;\[!3*-8(,H=Q#TZE&N4\ M1<2P:?&90,G9QCLYPP2VZ6&'5:S<,H>!9G5I=2S@^4T(I6>[\71ZV+N)[WQ0 M7$P1@[XS*A4QKTQ!$*%)A4=0'[9N0\U7OR"$&R7U0"33YD>\H))+R M6D.SVZ09]+"+#^EI5HA9;W$=(#T9J2ADWLT90AMUS7=,#=XIBK$,:"X#8MCG M03WUJ%R'`)6:Q&LL)1!C*=!^S2ZLPV8/_2WV3^X!N3/B"IH`*+59>B#& M@J!]&W#4$(,M3HL1L6O#E-8L11!C2=`LRS.'08>(:%RC0TT0R;6=D)PE"3V: M20(O`8>!(KS:W1P$N:OTZGY(SM*%'DW)\0S/'`:?;*3@%4#&XS#UND+"*6V7 MG]S7>C0CY@UCECD,$DNTTHI5;TX141H+WQLIN5F*(+&7PZ`O3)G#.&*A"IG*YA00)\F5-+.'+,,2O;WUZ-&T-"/N,X=!:K#7YLS( MN!#BVLY#S5*$'LV8<1UU&&0&KP&"ER8!""G"V"^.!%3-$H4>3;F-,LUAG-?B M*&+DR07;8I0ZIJ*Z%DJTJ-ITS&^T6(N.HRK;*VBE-'/*0+.+D+?'8@' M]2PAZ=&,G`^-(X?'4D@N@E-6OM?*G16'$*D9['DH.:8DT\*K[2Q&DJ57YC`N MO!).,%ET&4`.E)I29(HRD2*^)0#12]_86@%-C:I$Y##XY MECH=O!\ZOZ$5Y]DT30:J3LDQ-7F''+9_$E265AE<@-H%X-7-FZ^W%/'6ZRW> M@.(%X;%LGLJ\/!S:Q:9^MK>;$HZ@+[_BS6LF[C)I+]#8[SGJ[A`NZ<`G@ M75UWKU_LI>WE,OWA?P```/__`P!02P,$%``&``@````A`#3O!-I^`P``7`L` M`!@```!X;"]W;W)K>W+TWM M/1,N*&L7/@HBWR-MR2K:;A;^[U\/-U/?$Q*W%:Y92Q;^*Q'^[?+SI_F>\2>Q M)41ZP-"*A;^5LIN%H2BWI,$B8!UI86?->(,E//)-*#I.<*6-FCH<15$2-IBV MOF&8\6LXV'I-2W+/REU#6FE(.*FQ!/UB2SOQQM:4U]`UF#_MNIN2-1U0K&A- MY:LF];VFG#UN6L;QJ@:_7]`$EV_<^N&$OJ$E9X*M90!TH1%ZZG,69B$P+><5 M!0]4V#U.U@O_#LT*-/;#Y5P'Z`\E>S'X[XDMVW_AM/I&6P+1ACRI#*P8>U+0 MQTHM@7%X8OV@,_"#>Q59XUTM?[+]5T(W6PGICL$CY=BL>KTGHH2(`DTPBA53 MR6H0`-]>0U5I0$3PB_[=TTIN%_XX">(T&B.`>RLBY`-5E+Y7[H1DS5\#0CV5 M(1GU)&-0W^^/@M$T1G'R?Y;0*-(.WF.)EW/.]AY4#;Q3=%C5()H!L_)L#/$Y M[QFXI&SNE)$V!;2`=#POTV@>/D,$RQZ2&TCJ>P?(R$849Q#I`1*"O(-&\/SC M&I61HQ$=Z+4;N8&D.LK*KV*P8`F`P`P%7`Z.`D,0!YZGCNNY@4P&D(DMK;B$ ML*0!R5#:=?E31@L?O#TD)QW;`G(#R71R411,[>UBN)T%269]CER65"CUCTM5 M1HY4)U:Y@1BI41`Y62[>W;;$);:XRRE68$=4;`HPIK=A4EIO$RQA; MH',#7,XF,EU[V#JFSLOS'M/7?I*,49HY*2\G/4" MABN]'AXV8+;I\(9\QWQ#6^'59`V449!"J^5F.C(/DG7Z"EXQ"5.-_KN%*9;` M71L%`%XS)M\>U/QUF(N7_P```/__`P!02P,$%``&``@````A`#AE8E'-1P`` M#.8``!0```!X;"]S:&%R9613=')I;F=S+GAM;+R=VW(;R9GG[S=BWZ&B0]ZF M(D@V#Y)(=;\U'\ M)/O[?U]FG0%"LCTSGK%8R,K\\CN?,NO'?_OM9IA\RB;3P7CT^V^V-[>^2;)1 M;]P?C*Y^_\W'[IN-_6^2Z2P=]=/A>)3]_IO[;/K-O[WZG__CQ^ETEO#N:/K[ M;ZYGL]OOO_MNVKO.;M+IYO@V&_'+Y7ARD\[XN/Y:/;[;W:W]G:_2>:CP5_FV:$_>K&S]#5S_.7AV- M>_.;;#1+@"/IC&:#V7UR//(%@/O'[V:O?OQ.0WWXR^3]>#2[GC*TG_7KOYYG MMYO)[M9ZLK.U_:S^X\GXTV:RO>#';^NC`RAGV=5@.IND`'B2WF3U4=\>=-\= MG'2/#Y-NYUTG.>ET_W1Z]H?D^.0P^>ZH4Q\=YCQDNY-TR#;[V6_)'[+[^KAO MM_B?_;V7S_>?UW_*T=6]OVU"L[VU\<>%;WS()H.Q<-Q/CM)9X^4#J-`W2KP9 MIE?U6;Z]3(?3QCN'\\F$S21O!M,>&_ISEDX6SO_MQL;VSL;N=GWFB)0PU5EV M.Y[,8-'D?);.YM/Z\&__G#6>A2G>#(;9)#ED;U?C21.I![U>Q@!^[@,P_ZI/ M'2$9W]R,1RP_[OVZGIQ?IY-LFIS.9R8J`%9_+2=)&0MO8.L&G-^VL67]]4"F M]@G^N%M?_?#TY/STW?'10;=SE+P^@!L/.\GY3YU.]SQ9^WA^E#QY6G_E>)1T MK\?S*1(W74FXCW](_L+_/!IW0(ZS1P=)8A;H.>B*2A]7D@HG3(-)EDO8PY M+H;9>C+*9LGX,DF'P_%=.NI!+OYZ\G)S+[D9#(=H$5OYR?;6YGY\LLX$VNAL M\"D;-GCE/4PR&<#Q]N)T?GL['#39[BB[S.#_?C)`J]YDR2S]K3GHPR2[3>\E M5SZ9X3GI!6REAJW&)NVI-M%'L-!W@]&<95"^<"_;:2"M.YXA?LLG?3/XC3D6 MD.?#1)//[M>3VZ%TG92QB'0KP.O@O8-?OD_2'HI[/C1QZF<8@=[`@*N//H$X ME[9V^V:[""7HN\%"]&R"9#CH9:-I$Y5OQ^/^'02MK]"=I/TL&:&>XZOU$8?S MZ0P*32`Z``N#UX-;>!_&J0\]E1PD"T`U-+?_%E7ANT%Z,1@.9O!+0PARYH4C MQ+F&9O`X$76'Q8MUF(X&GP9]M/,T"2_6!S"QS='*@0?]3Q(*O5NP(10;3P=- M\?/M1TY:`E-IGU_-J$NF=SB6#'"67S+@$)X:S(H=NQQ=X0%!FF3M9#S+DNV= MAG+\]N'SP^<&?F>2BD$O$;-NP-%WXPFVX7B$0C0[<3T>]G&TODTZ",WLOD%Y MM$#0%3"BS,J3K/%ADD80/<]ON+S)2L"SXOU9R^?K;_RRYMQ_!6S[O0;^/K(Y'J,_;=-#?&(PP.[<#U&D=@K-L MAEL+UG%R1K@!#26,$.8*,6CY\0UZ\1IEAI5)AN-IXQWGXH,E[&74R]E+.GG6 M,%AN6H>W;Z5U MZ))]U+6#P]+8;=E5)D0[?8^GW,5Q?M\Y6=5;#IR*D_Z5W+J[<@"[6X?_K/-S MY^1CIV%<7'(GV:<,-['^TNF'SME!]_CD;=+YCP^=D_,.80&;&,Z5!DC*CIO) M>WJCZ.NO[H@U0H/!J"\G+>L_;0*136X&(W]/2ABW1F'%9=;TXSJC*Q0I#C8` MF`E;Z->>$R.XVWR33GY%HS2C+QE<\U)1(B0GFC'JVVR$VSSTW?6!T>)Y^?UU M5.%'CJ8I(0'JU!Q%E'T/FWS5W,)1R>%MX*T^[UOL1H(AQIDWIXOYY3*1=+G: M&`('R&H-`YRNP>L'5V&##:V.&Z+PXW(ROED2(YQV?^J<*3,AME\+S-!04L?! M=,3%6GWDCR.L\5#^B!DU[2V:G$3Q=3*]2V^QSTIS])I6R'V[$#3!C$:VIZTK M!7#?G)V^3]#S\/%'L7)@:N0Y>=UYNS1,:8PN9+G.AE4Y1I_Q40D+`*J*O#IK`M MD"B=$9%?S&<6LLS&AQK(1^<2![M%J\RS`D":%>/43^1_?3 MP$^.N>2@VST[?OVQ>_":%&#WE+]+.<&-D!,D6C@Y)%KHGA[^X:?3=T>=LP:? M%L1(4-K)GSK';W]25N?@9U3XVP[9G7,2C><_'<#O7[OF:F1)5O-H%E"KL<:" M<2NNLJ*4K#B;*]5^.Y]]T1RKX>@QHAX=O_LH(O]KR(J&+H1MQ=TU^`Z+\?[T MQ"$\3TX_=G&:3H[0PPU"OTZG!,E"C'M@#?-R-!C.E=I;-N3XY^.CSLG1N0E! M0,N'#^^.#Z-\17@D2BONZ>/F^6;RIP%6':>D+LIF\]QU0:7<+1AE;^.WU-\N M'!#S990^J@^I1"@EC_/T#4;M_8>SSD\X9L<_YU9L0=[V"Z>I0U%HP/HO(>E3 MB59=]SJ^LG.YE9,P)K7I"Q(?+`\3E\,8GFQ^L:( M(TH!N&^I/L:SF6TCDY4-7WW.E69;$O4WYBM'+JLPT%?$X`UG?V$=8$4>6.)O M+>/D@_.?DC?O3O^TL'QQ6(PPAZV(<`X.NRB/[G'GO,&W!_U?R`%[-A`7AOA_ M3"(0MVM4^#ER;?C+*A27E!)(MT[&RKSVDXO[J$<5LZAJT)[A)8_^::!Z:T(% MDU3"_&)V.2?V"%6+.ET/RM&6?)GL8N8Y?VH<)B'V1$&RI7"5\FJH+TM`;ERD M4^`D$)`W;6%8?;$2V>2V-KUV,IA45!09+?;=5S3&];4/K],1810>91F/7N:0 MVBSE<2T;%,)3E&F275Y2IK&23MHCV"-K#7Z7)->+W$X=BO:R#C6/HD;C>I(F5J$>2^F!NL/I=B-:1]C5^E@1664DY:[X:TS MKLW%88/1TS()Z'2+9.R^<0;E@ZIX//K:;5H MQ@5^;QT5.81ECBKHWS9[?8I#U7E=BQH^+TD.H7&7J\]RH6N`ZTHROE3#J"]! M6.&!J?3MLKBT_N('KX09RTKC+M>O'TA4]0:WN(:%FM"KY-AOR'^DC1Z5*B-9 M`A^1D=:"";-)CR)[0XE_F$](-?&#RVA1N*G#3G]$&*J1"T/Q^FO'QF)N_VY4 M+L6BD0NCJD2_C3GKH<8@_H7OIN/A@$0\`I]>7E+/Y)\-F',NB7S<1F/?SY?H MG,=F6\##K3*]$HAU7"ED._SIX(20^_@D,:5#O./_Z/SQX_'/!^^4,*Z_MG#@ M>G)!%]%(12/C&XP:&4]Z<;Y@!JJ_R]\]/7M[<'+\OTGU$JH)W-]F7S-:UTV(`\W'=TC.DF*)-1*^--$W,1^IQ)@&SB[3F?KR>QZ M,IY?72=4GDM69#J_F`[Z@W1"95;6V)RN:1Z)F8FTL(SPJVVQ:3;Y1,^`N1SN_3$5QE.(N__^V_'/-#$[C;:[4=B(Y&_AQA6$9<=9R>0IZQ M'2*/H\I>$;;4$DH/1;_*?552H4LTU*I37C'W1B"1WE3"1"JP#UEPEGJN'J01 M"B:SD@KV@:96N%5JR0$OP5L&K,J*-1:7YY'W)&E+>!C:`"PG,'Q_U0V4>>TR M);RT(#&$9EKLRKL/EZ^4`\N"%-*S"8R/7ZFU41]J!)K1FE;E4"D`RFK"L!3H M`#:4#H`./Z,`T18>UQ2"365FA(,[F14B7`RVM33EGVES<46QF1S311>:)1Y1 M&E4J^&;+FVHQ%U'Z6T1D]DIL6:AAW"1!/;_1'O^*\A//%$6R(CB/]C(H-^/H M7(96<5*_&3;E-)D? M1SOR++NYR"8/GV-3E=3[KSR:]>Q3U,!Z0PUA-+ MQ_X\F.`5)3Y9`^[W@S'+9\/AZ2A;?_CLHY#)A3!)4G*SV!CE`P^G)>M(A;_(;VZJ#(#D)S&Y^F6))FEN33"UF&&?Y,'2]N?HHYU+6 M412*0,7^B)(8')D<4E[P]: M7:,X&B'T"-Z'VE)I`7>EYR:Y[JU(CLLZP(7Y_E;3@3-/(H&`%-,55U0W@]IB MT;XR!O+BZ52=`4_0-0-UF,:VXJ@F-I/WE1E"@J&Z^(2)AP-\*HNY$(LB!L.5 MVDS>0(A!<2PB22]DAZ2VRNKM8CZ%^\CMY;I,J+W*QAB>6U0:@#%C(<$@XTT('1!Z92`/G&(W_6-I?3=&S0\\6Y M#M4V"57>)%1#SHFN+(ZI,_B.L<5*0\4[RKI:\"':@\\`7(%9(,WY1B=A4-:0 MD^`E)05ZD64C3"G=VVKQ)EPN(3LA!E=*%@KXUB=S'.:'S\(VSJ_8#ZJ9#=!; MYQD-M2Y/&M'Y#1M&.E2DNR'WH,3`VM__]G_..X=__]O_?>H^10%8F6+!W^HG M"$L&E^`RS4F(OF^ M)O3CH6G<>(2D61:#XT1*KZCOV"8H7GC*LB@0`32BY7\Z36D"57(]32Y3Y"TG M6YNY+Y"8Y_(]H]-Q1]%PQTD6+^\"_MS),[ MQ'<8_#Z*2\T\ENX*-&GE+Y0FLML?@VXA+OK0PE29%!/03RW2>"\4$(2;X,+` M;PBVM3:!1'5;X6M(^1J9*M9=^PP!L0G0699OWW3UX";D(Z;0^=Y@NA"EK==+ MU0#>A]2&,B%)?$!58Y@(-U%3XZ$6&'IZMKS(-W3G2DV;E0XB81Y.YUG5F8D=S=(WCZ6`XQ-VUPPD14Z'; MB^"XZ/@WD2GQ(A@7&.'M?(%",?6&](S9*1WYFI64F`D'U`EL+!WF8FH`?/3C M/GDG7W'PQ]5&&2>!F6!2Z//E2AY"$G:[E//V>(Y];ZL^-,ATF)L/2%\W`EWP M\CA_1:$2%F/UK:8A\'J@Z$WZBR5!-\9W:NZN6F6)/<=B5.A&T9D&7P^Q@112 M!0S&:*%)WW1#SJ_FN$C%Y]:@L(<'7D*25&,:.8O M913B&0",E"3R:DYV5CH(?M<6"T@D+'#/)X(CZ]WRS>0X"+P(K$*QJ.? MX6[A=;!S4[.:*TB8?M:?'DW>(YBC['+`(1_TK[,G(A^QTB#A$0:/;6D"\I[$ M_Q">4YLH4I9JB8NJ-DOEV:N1-1BFMV#P-P):Q.A>QR:*0UU@/&A`$Y^TTMP9 M^PZ,<2$+4W(.279CY.)9-1Q%ZR>Z1)7KLG#Z*D&]1K'J^PZE@W+)CJAK0^L` M5P00@F0'B`*U9M<@F[-D@"=+8N:4#4-"@'$/0Z81;,LA5]X5JO`OAZ75R#0H MTBU(:]SE=54QD[9K;9O]K$?L`X'`K(XJ2K6(@J[\!3JL8U4N#>FIZ921I$>E M[#C\UD]^`2E3[(:Y/WB)*C;4A;Q%P#M.N(>AZ<*5H`99U M]A+LWD M*YC6/#N$V7PL(C/]7B&D>T(5T*PH7V8>HAH84EL@QX^9?43@=TUDC>06[NYLOP!$\EQ_/_++U5]$WC>7W6#0N_[*^?-T$G8%+1+&DOC],QB/. MI?8\@*B.7YSC/1XE!_,K,LT/GX4)UX&KF`<+%W+3X&#S#2)1#-VGBZ*OT!A..HJ'0F&7JPC,BY:0'\C$<8":YZL9ETT@DA)W:J'ZK> M&#?>Y30FZJHBRT40I%,`6$>AM\R?(KTYO4K#!(,8#6G=\\'\-.,]4R3-8(]$ M!\YHWJ(0C"4,E%=FK%SV[_,1&8Z2;.*-X1?YXI52V%42#?^`HSZDO5R-7WT5E^M]3XJC)/9&3TQ%'5S$75DWQ923E MBG3$NUQ*N1`+%%T&*U.NE7!%'@F5^CYE$X_13(YS3.,';]-LN>/?^%NV\4K7 M"\AC*8YQMKUU,^X3Y$4ADD3;P1?'8%Y*=#K$]\OT\.:]X,OG`3X\@B.1CR_% MQ[EW#)(YPH6_Y?PD+]9"KDLQ$AD9N..*4_,P&;P8J^2\E,,D04QKKFR6 M+VB9&W?]V(M*3KB'\G1XLZB,N#HS/UO]>?PFE2+M/619YJ60YWDN(883S+@8 M#6"^BC?W`F_BRRQG3PHB?J>)9S:`SUP_P".&GXP+#T/09PB4/#V`#9H.JH<$ M%\_J;^017CCU*V?(Y8JA.8$P5\'C-SML+C1Q)!YJ<$*%UZI.1#Z#LX_@E7+W MTL>Y'-YD(+1/^DKOR[HH@,,=KP094OKE2'&)U,&-(?O9"!P0J0/0,EPD5"4W MZ'R9WV$NQ];^>H(OXMD:B9E\@F`!^\DIB`^I4^VH\!<,B_QIIW[L#WFCU*25 MK@6IN=^PB8MC5B2L%A4JR;)2R!SC,P%@VKB?3]UC*OBD(#T4Y-<"QB)+LUE9 M**3K)#9(K:4VBUE)(SLO!RX30$1;8JU2CX9WX+N&;Q;%@RG4`B,B/ MT0^INN1.TM8^LF!.$3;GMUMHBN@)FS'=7&3=%N*XJ]BXK"P+XX6.*XFPM`QX M5CP%65V$I]`RMEXM<%B>N<-2LG%-=R47.Y-E?L\5B[(D"M?=?V%W*)+E#DLY MC(*K5BU*M(DEQ>#>M8GE;H@=2OY)(,+NQA:.F3))(48\M$1"[QX[B3]&@\M: M=XP%2?9WMYY^GWP@"!S-W/LNLE.NP(E._8(#J;JN;,W0S4+17(\GA)DX(J(S M#6A&`YP=AB3:>:GH+I/TEFZP6Q/@`^\%EU*515(2UR+:CD4#&NM27O0QFN6J MC2M+OS9>2#_YT@GITG##3,%V2#]Z`L>&[6QLJZR_!+2^6\<06BN@.71DT[KHF=<-D9E2*7">5:`?5 MKDOV!3'/D5XNJI#D\[,+(>UA.DT.890&E],D`[ULEEXL76VDZT<\H40/-$X<;E>4>;)D^KDCN<)%.S)N:XNI`KR_?!Y[YD)N-LA%UR7*1T,R1T6WB%= MIU3O+/F3`I64[L)9M,PHUG0>!"MF(4I-SBE=(V&)WM8`BZ]2^_.0 M$A9SE=^@`DH%$,A22UQ3,YZ;$A#C=VBZ0V-?T1="F#5EBNFODO)>]M3DQ/U/ M*&XU"?I%V%1?5)Q3=H MR<+Q\7PJ&>&\GBBV_-ZSE.ECJ_[`.,]#UM?^08+*C_[K`A"B]4L_T3/I-UIY M)%+(G;F]13W,MI;>B11":RD36\XXRHIRC1R!!)Z=+#-[1Q&GY;RN=)#(?V?Q M,%Q-E.^U5TV,.X&V]NO@C.Z6]IS,T;TV3SLYO4X\ MGS`A`:(&+N*J5F_N4::*U0?V#CR!+Z5S<$T)1R\L2V\12)/?ID&!^:51"(K, M=>[]XJ\4#I14Y"7N&(A5+;<41ZB;JE07#G;9@[C*&X5_)0'#26Q/"^W:1E3< MB!$8P[%`A0>7$`0/(NPQW6!L(G^K?3/_O9KXXWE''2HZ6V,:[?1>!WIL M5!=FN44^TA!3L\56Y0*/8!*A$'FS>\\DE))+>9)@]2Z`W!,O-33!Z=;:H8Y: M)=B<`U!;\YL069J,<09$V3GQN4LVCJZG##SZF#+1&#GFNDR0.DY>D2RT4_`*7&)N.%U) MTH?"HQQ%8"RPXHE7*0:M66@6"5#CE">75TTS'?O4Y2[Y+LI^?[@/$?#8&PF[ M<`T,ZH>^H('=#&@HQ;2BQ(+3"O[RHS^07QE!SRYC2:V;3[TB#1J(E#R'F_*7 M8\P7-(D'W+30J9W&;Z-C*1H$\`&6`Z=LCB7!M6IP/5'PRCD?]&;JRG"UK**? M>COZ`_7AEU%,AL/:95RQY/AN!#M'Q^?A^A>N2B@.M"0;R3F'<225UIEQUND> M'+]+_G1\UGFGHR_Q#,R/M5N$GUDN?]&D_:MK34;FTO>-7#>^&T"P4)F&# MNZB==G"CO M+ERRAVG/6\,:5?32EG.MHPT6&1A'#O8A9^E@J/)>G=BCC#MAW=U>Q`&]@35] M!M5K`[Z=6@&'DI#;(3T2KFLBEF.=I16[YO,A]?(;F5>:K,'.77;Q9.]E#3>. MMG@*->1O^@S<+VY),"VJN@7$P1>XSA`KT)KFG1"2VQO$EM3AM#<9W\6*A&V< M^/L74^2NQ[#QU!\DO"AF=[%R=95KB_2*J1YB9;M MO)N>"FV.5M2!7>YK.4LP]&3[Y>;S>`%$X'05X9K"6ND<\ MR\^L>:D8-28&!3VZ$1?9>;+[LH0]>3E"G5'%S@E-N-<<-0=+5D=R&),-LUM% M%A/EK7@0X>ABSS^>3;EAT/!=:=_"B0_='1XP>%&^"H^I6$,* M!!0_&OU#FH`8C`@[DM;.Y>5L0.9C<#,%_T[SR-DP38'8YPT./3!&:-E,53Z$ M)3OUDF/IR=[F;DY1T4(<0(=1\Z0I2298%QZ$*?*"(UD79;5CP<&C/0DX20=^ M\&`LV@DO^%G79'X0V#(3"]8#GPAL!\BU!&F8_8$:O"#;XA&8;<<1'EO0>_PB6\J%_*SI/,-O`^ MND3P(_/KA&VBZA*E:8UUBDTL2-2V`;-@:+6YPVLYT$&@%^7D>,^XS=O"AU6J M3!MD.?/K$%V]!=\D'NQW-[1ZI39T&Z*J3;!$M8#$W+!$5JYTMX@`7]-N`IOX M@29R(.P<[\=O8V^Y5E'--`^?W^,X7]-@WD&L^P^?J_BH>S_/E M4V./)\\W=QHZQPFU.H7*5J0.\-KV^LL76_6GC8,Z;PZ.SQ).AW_L).\[Y-_/ M_&;1^GO/S1:O./@8XTXB?GE;:5*/]R0MZ7%WRPYTDQ4$!(H&,NB M^U%F0NEA\!JR5U+AL:ZQN7[13ED;3FS%1>8;0WF@,ACW!SPOMS#P84Q@?KUANA+B@(R(;ZH>:\J).)F`IDIQH""TJR-\XSO M-`]-)'^REJP9B>?OLT M'B(MD@R%9`!M7"/LEIOE<18@+7>Z6@=72&9%;,0-UBUV\$/4+9E1=37(NJ3H*O?U@02%,H(&_HF@H<&.>KS?@Q?I\'O`=B=TP8# MNF_`Y*,DWY%)#DY([/']2X7@,ISC66C'8HR M>VJG)1%@S5"^5WOU^&*LJKB=GRD-"DB&CY!704E-DK2+>C*(K:6R[&R+8B-) M0Z[#X,4*=VY&5.P\1EPC9(EZEK>M[C[?['%EV:4T5?@*&OP'F)4_TJ3+`O^H\"'HQ+%71+7HO72KG$$'X5^G@U MYMI]C+F*Y.B`^FF9'1K91`?,JI86V:I9R"+LQWA$HBY>,0Y!Y,UGF]O)/PN# M=<1M`LM MINNU,][^@@!&R@LW#`[R@RXKQP25-;S]H^YB'IEUMQ1^_2\/O#YU/41.,FU,*T<);=_(SZXG'VYI=9[.;> MVO#VP$7M)M[L@>L!4<+';D*O>]$LNOMBM_&ME_89B;]J]KDQV<[ZSK-GC>E> M&=11B-OYJ;:G5SOK+[;VFC-5@S[OQJN]V@Y\"1W+L+&S_JQMV9WUO;VM)C2U M2;D07]\3JL'SZN`+A4(N/S;`_33+H\3L"+H72A*K<.%13E`Y.Z7JF32*.DC4 MLT-?%0VP^7%Z2]6&3WNX)UQ>0V:G2-J$'')TA[2NN06%`BB<^XNLE\9:<4E# MJ-"9IZS:G8^&2G(>MFV>FR9M0N_"T MKD>0V#G#:?'IC=P]_3+\;J^$7R6'0$E&,[H[WO&^"I@%/6K^371I@FL53+/[ MJ5B;52*0!E'>G9Z\W>AVSMXG1YW7W3I!7E@DOWQ,%X,6[8FE2V,O1[@AZ#Y9 M$W>IZ*122,"*Y4K?G"DC&R`5)%#F MM+YY9%T>[IV<:O&HS5:B#;_JI"1/\$CD2T`1.;$$=ND00N`6SG9T_YDM]<;.$-%W[: M$9&@MXK%]046')=0T.%:[JW?B2&>V3\@1^P*D@YS6!^?S;*K?&76I]K5/UP3 M%)-(+<9-VX;#04X8P_:WO?F'+$(V_JK*7KB$PWI5*JC3#J)[JG"@7)9@ M;G0G>U&?O>IP%T0,=AW+"@L*_7JO\_JX>W1`:]SC(-:UT1)FK(HT]Q\*P'^< M'YT(C[-&@]%VC=#_%$;;L:G62DE%8A(8!6=AL7":[J+K@B9XJ2*<>[NMS6X, M6B(PQN);MB#D,K'9?%JY;O!F+@G7G8,<]Y)S0FHMBEMX>X>#KKSMTP"FV(^6 MO8FN$>K31W>/$K&$F^RQ7)DPIDI#55C]R`KYLTSG^DBHT,^KZU_<:&AI')MX M/;4,(.9!75[,J47Q>%2?)B%[V3Y30WEV>:MFI:2M=4$"'A1;YPY*#F&C0-%T M6*+86D*;J+1T;`KJ`3RW`<^(!]V<21GE#^MW[>A:)&OIK[0!%M*EBS1H\5FG MQXV>*EN%TPQTD:JY7=8("(MF;L:5,C[!TU2%VH`I>16\:):5\?QJ$UE+]D7: M^Y6QEA-7V,_DH3LKORC7!JN(K6,"]F56.P)))7ED<'-,@GS_$)R,(:0^4ZJ:*/8#_7,^M!TX>H6C,HS\P,(6GEYPCS M68)VXGW4J>=Y1,.H2<"9]?^(Z8J\5.@B;:Z13QLRG$Q;T`KMZHE#K*Q%$=7X MQT[APNH9_S'KRJOT:@S,B3"W@7Q>%)TV9`:IJK%S@^5/=,SV@W^OE5)6:U0+ M51_S69P?!8_MY7T!7H+67)JX[:+X'7)^^0:B[FIX3'NX!8"GD\A<`2@K'+TT M=\6T7-$FWZ`BGUOBVF:^#J$KG<^[9Q_]DW^Z)_FGSM%;?5.LN$*^;E?WS#/^ MAZ8PQ>ET<^?.FC54P@!N3\3F4H14*,*-V7VT"[N%:"@.G8,JSL3G;\3ZJ"4? ME9/4A77&:/QB%WOI?5$C?\46N4$/NY@&OHRWQFP$&"YTF2XK4X"4;*GM2.'Y M.$)?94AY6"2S9,!4+ZJN5=X0^X'/K+PK::@.).3\-6S!(DV2A"#DZE[*$SZ1 M!UW'D&HE2@W,L*7F=]?GLA%24!4#*S2J^X2H,/C?*IJL;C@Z#&6K[ MSCB7KP*H7:2:9Y<5KI0X&UBMH\UZ.AUQN?8S(ZVQP\&EN23Z=]Y0Y79#]_CE M6NE-4Y:2$R+V(E2R/$&& MXI+\O8#-*GFK116>RQ],.W&`I=%2/N%"M+Z:'P/5"M=,L`E9WH53M6 M#KBWZ#I(E4ZS;ZKT_"D?'IFD@[`"G`!:PXP(!W5(E9J^B M?JZRA9E"?*:2`:KV=L;`46HLIIP:?%T6`(3^M#<;V\VP]+#M-H$,KBM^5`S\ M`=)+$+R\(L9K+2V+B6XFM$(*"$%&0B>#EG[HL=B4+""$X"2XG68SBRURJ5XK MM.K?[*:$:#T)F'.=6'S)VBT:K$\K<5T;=WG-/T5XD:GNP*1R-=7,$"4AKE>> MO01IX0V42Q#!*:XX((%S2T=^HO!_:7>)F%_=BE_4[U/?>D?=/_6'):ZDX;#^ MZU%N1Y3I?_A\2._HP^D15AS5?REV6?]EK6,* M`4M+Q_2(7CSQU4^JB4)RHER#>S,U;XZ%%3`1.80KY/!:W(F001G;^FBAQG$Q%>+\!E4 MX=X'!R9/."4#4Z2E"#M'5$G7Q]YZHS5MW0!*GV%\"@[0ED\3H`Q^.&@.]6OA MD89$<26'=&U<0__F&+;$:T-!E"DJ:V_7VK"-J46D7)(2:@G32"A?!_RA'[=> MFI>`HMR*68`ZW9W,EM^NW*H8+C@=)=(Z<(F7XL^X)#?&]#J3(C+8,K*%TJ:B MM8,BT1&C42P ME@6:VHG$++Y_PO5HE6,4D9A5$K,Y3_T\V=DK]=5+L*S@+Z%BRQ>AS:65$D]% MB<>BV8OY0&W:,",-\G:U5+P[GV>7=)5--I2^[I&'&?3[PVR#`)0;E1?ADA6Y M!H!L$7=*QZ\."+_RO4UR/F2CT?1^^"D=#?Q3+C_C:>%OQ..K3[B^C:6XN=TD MD0#@=J"\RR+T/"_UJ/_SL:.\VB,[-@3*\V?KHOL))VA_&?-?EO!+.;A!_\\! MC0&X_NN&E/>T*_8(Q4#+QUEZ_8/]*V16GCS;^S+VX(Z]HHZ3(P"-0'`GG)5. M&/S3>*;$%H$K1#'[`*,.!7&$!YZR2\V+/KN"8[1O\_/E!%<$SV*LW6=;REGH M9)4UX?2NM9FB'&S11&`:+TIX!)#KY2!XYHA6>#"\%)3$G,AU,M9!"S2;I9WL M4L:BC%"*\>4_YY^=)=,LOSB<0C+BB>[+H'"6R/5D6/?+EJ6-K+2L[[RRO[L&/*U7>U7SQ+7!5,_?#253$>L9&V MI/N4PE4;,,X_LD$T2INN38IAFBL%E*=0D7`O\L?H6'.VRGZN&>D3LZSX5W!Y M,Q2I^A>M]K"](^.!KQNT_6^CJ>2@R)0(?;$0#[>V'R(T_K5[@P_M+GD83(D] MX47.$M[')[+BX.W<39?U&=CMD!_/WUC!&0;`(BO'9FW+>.,Q`.47_QAJZ(:3 MU=-]!/;5)DJNE@7AF7ULJ9[55^I(:JJ[U2*QY:_XC?M4%'JO#0/PG)H\;)@=^6*+RD$L(/ZKGIURO*7[O78\H6%]8DVG^4FDFGJB)*> MSV<#)V*7XG-!.6;R\S#,57CPJUSB$/ M*7]3S[UP25`;DI5K(NL6F2O4Q'??RHM]]C:GE_E7MR&U*)@,V9[J:_#,M$H7 MF0^[H=+X6HHO).4C7+%P`YV,%XF0+0Z0SZ']>7MRJ')86A5P:O?[$G,(TOLI&U][2UGPDA`W,K.!)SW,,&V_% MF^T8=ZGLL]WZ8&6IQUP^N$EW)IM_$I,@57)7T2FO@MRSI+7&B#21/,\Y$9[U MYA"SQ*$[!'P(]*:V.JA>\1V,=M!?!Z[Q>-EZKH>XA"+!5S0.R=G[$M:/&5)'@U2B+:3).9I%L:F1BD]Q<+Q? MWP7S;U@TW^?;2.<'ASE[$`'X=8K`V)]P;XK>T$-\C]12,5+M>MAHL0D$TV4" M`9]Y;C08>6^T(,I(AWEI5@<^:._U!+#'"3FR2&[84B6A*LE$!0^1"RW"Q8@! M9#5/%U;[W\H18AQUSI2=;2[=L%07$;7%B""R&4 M*=672S`02N55=E%R]DJW1U`"X:+64&S7SI3!-1G5!-&C^R+OL.ZF+<&8`(]; MD8SEYJ0F97LE=8^05??%=S^-:Z(Z6J<5K!02*6YGWOS8,_C"J$L_!4XRP\W. M!0S,1(I^1NO$+:><9_0R02,5=&\]3S.=COEH@/1`;.9BU<"!.-'Z8)T(X14! M.X3!%"P?;U5BF M9M\:T66)3W9*F&?V'/&A#=7-2FCMRS>C3`TZ2,(-O.5#[.5(<-%L]D$G*;?R M?(U,C[YUV_US/1WXDOL26W_P3N=0RK?4S\H=[0PS.Z@?PVI<`@V%\ M/<1H'V_)>;.*]?4V0M;?,IZEA++JZ0)ZNMI)SC;9=7VFU]W5- MG/5\L"JSD!4B5`>??A-E_-ZVY-,?QQMS:[AM1\/10!&/_+6^3O6C/-0[55FF M-L^K-:[@>[F_TWR\N[ZSO5][O&A5S-*`;T2AY\P[67Q#06V^5VO/UY_O-A?? M6W_9?%IH+G:LG"J2N_,+:]N[ZB]UG]7G6GK^L/6K'R8?2 M1\]G2JC/R?`Z16OOOUI[L?YB^WGCZ?;Z_O.MVM/VM:)`0WAML5V47^DKX<.7[X?=T^FX=/ M5D'A!T`1'^5UUZ4$=MN6(5[D6H#6DG[FO;1(1\(S9> M5B!'A95P69OV%1\ZV-O=;Q;$>/YRIWF@2.-?[+6/WW]) M\%G+>:'M[>T5)S^JT?,KL;+_K*5,N/UB?6NWN4O#XO[+!H"O-'ZK"?@KN65\ M(P16[:7#7OC"HB5,"JFQYF^B+*MR-..-W>*.3&RG?4QGYR6K;?EG&N0LD9^$ MKV'Q&/17!>FB=-K'FVXLM+$CT)$V)FSR9C:BS-Y=!"@5V*D2S76>_^, M?_0I5JL$^]2O8J3PE]]+KDR:^^A%-ZGV]L8^QO9?H*K].DI\@V(21MDW6O-/ ML6)*"*10O>&+WE*TZMHUZ/)1:,[O$UVZJMK!P^=X?UG,Q\9/D3&[M[=ZS$D_ MM2[+%=P8+<6%I9^]C984A(Y6YZ6*2LZ2#CFM:;XR;70X'F2Y]!>9#+TCM]P^ MHOS/A<._BZ7%;?4I44"_Z(`-*>C2EO%3_&M]8N#:SCWPM*TWAC4PL)ZWX&I% M3^98UWZQ&(GO)E+]U'`=DT:IZN>LN01?7\$V6'*%NY/: MCT]79:^N@RI2TO:C"TW]EUR&ZC_XM\WK3P5#_=D9607SREK"7"Z3;X2XA,7A MY$.S;^S,^;NV1+OW877,O`:PTBL5)!65E97>-:4G4[G2:+GK(=<$*WJZ9*47 M/?0,;\>ETA764FNNQ0IA?_LTIX0EK$KJ M*=3+UG1C>"/H?K5&\U8-&Z_6]M=W=^JQT*M"<%I\Z_J=8^URL[:W_^+_LW9V M/7$L1QC^*WMQ)+A8.^RR:]@;2QQ_$!0;+.`D4NXP)I85`M;"QN=$^?%YWJKN MF=GJGMV!^`JQ,]-=W5W=79]O%9U-#L>SPX*&MK?!V[14'F<'DZ([A:L5&G#; MV]"QE9U-Q_-)V1VC.]PK7KYP"8-80+LQ(I%K"`YF/QYNQDG8P7X3Q88/]L?S MQ;0B54/F8E)1$A"`]R<5\7R*&'Y8:>@5ND]%.I_.9VCWY?MUWCW.N,&1_/WI M>#*KJ$KS\:RF<1V,9XL*,;/Y>.^@'&N=%C\$DH`0Z9G,)^.]10758;+`I+)7 M4?8.9N/9M.S[-33MSRNT[B_VQHL:;L3A?#$^F%04I%*OF47F>7V`*EI5NBAO M3^:N2SZ9S&'"OLH*3@\/QM/:`:+PZP`0?S&H< M.]MG)BOSLC\#-Z.R[*\/^6)68UJ,R5("02F>C0]FAR:6_<(.FBVFDB\33_!G MS8$A7<(`<%"&$+JYF=38F:KU<:*R&D\O,^,(R5GZ=<9Q73PY2]6WE[-AF_6E1&BBGOX\EEFQCF M@./'[T[?G)18_Y.I6?:>],WYS5?9+52F6*+#![Q##F&52S'%I9*T_`;+N.O> M:&[X%YN404NF14/GAPS\FXT6R_6.;O%X4@[>@:61&.#31E#"J@TZ,-$L%(XT M6<*L#^:=4B8O25!+5%28.@=^D`ZKZ&!^<:TI958)/T4-_0.-FK17=`GOQ=-! M+8P+S=:H3V!KIJQZ3I/YW/)`/^,D1S3%\$WL%Z$[OU_?$,"A=J71`)9/+]I_ M*VY`8EDM!T3C0??5UCSR6J7GEBTC:SU7/S'YE';Z2].(H4"[E:C?1/-@.KYDB#X>`4@/&DLN0MN:;6YF MWX)"[C"VQ,I"P%\2MM6FMY2IE6U.2]N=;!Y*<[)#J3VEBF/F+*684II/L=%C MZNY]):R9<"3\BXBX1.W]>%@1Q,`4ITK6))<1_>,H$EH68S%%-3#&XX09;[%H M+!_1^+(P$SVB0@RCI6S&.5S?F[,WT6R(=73TGI<-":I`X*9J)\;R#S,]5U^O M%.-I.?Z9CMM%J2U)B'C%,BC3E3C;D? M*E@N1L[R?I.Y!D.`4B>ME3P1;402T'`,*\V9#R5M*KC2.#\W:>EO*39$K&F) MO4AF1@+9$AEL/\V[C#D/&.`:KSMF=8SL?)C"O*;^I6UGC1"UPH(;$S]Q0O7O M+#[ZPY=ME!?3`D4R$9M7+P^"29DL%GORBLM=#>LK\QY6T8X429W=\^]O7^\I M_*4*!BI:DZH(=Y;0SZF&FH)/3^ZRU<;W5N<\/4H&.9U8^5[6:4EB_*VEN+J" M!D^(J'<*7*-B-]X,Z.M&4C8I`BJDE4]<`X]HKN&*S%D0=;^T:^5(IY^JI;+M/=T%RG/V=!ZA M=9GB._6VK%*WM;A+-\9P=&J98-8'JS!BG*G8?4Y6*V<(PZ>+P_R.B@0BV=;1 M;?.3?'>YE@W"Q`-FM[8Z4_N]6O731QO'7U\K2^T[P^N"H,'*I0=KFYVVN253 M3!N)*HQO^0,LJJ;`*2]V3C08G6.>GJ`7.&'E^^8$2VE7,^>7/(%5OA$`D1UV M1!)1D1-_+S4MV0!)HD9 MW?Y;`8M.M.VP^EA8_6*F2@1[U'A4!*P5!$[4&"M>&B:GEV^Q>]UH:=B7@[V] M<'QWM;TUS,]RY!'J8#!$#QMW)S*'HH`_G/EO=9!P5HNI\[2N205B95^!SQX- M!QZGG=9&5HZ>D,B@0\XDE!7Q.\@S&&^NOEOHC^A8WKQ`NB=QW"*5F%@3L)3^ MH/5)%U5+.VP%,H*JKSPJP!T7M-RU*4#=9D@,04BAV$^XJO?7-P@'K+F=#=!S M+0$&/Y-?@=!GGSN"+J&T4B%\7$U&-XWHSX(,B^I'$%02\&WF M?N*_#%$56MIZZG-=TQ/JS%XRH/4SW;]RP[=8F!=2[VJS:4*?\Y`Y4&0*C<67K!D0Y(QTH7U9L7?R)M/FM!2Z;<0`MI2)402H;01-B80A5<=, M]2+2+.>Q"!-D_FF[E`B!+1@ABUP^,%:@F62U64A39^?'1ZQT M)""47"RK6U]K]])<-$7*],4U,`PK#P$2_>DNYJBSZ4:`=O&GP]"Z?3)FT)H6 MZQN]\48QSE+YMYEY>>G/,F425_$SN@/H2-W9?@:^!5<.HG+I]](D:OU23 M*=YD@!X;4:3Q?;UFQ*"^M=),B%^I?I5VYAUI5!I9'7-66H182$JH=H1B>PKW MT9,@;P91[/>:SAIQAE,(8R!`9RS[5I%],CA#G%H/4QU$E_EBE&R$)+^3`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`?N+$&Q-;=+8S@F\;"HJKJENU8D MRW?5(+GL*>BIW8/H)%V(WLF71LO#Q;@%L+-^A/6UAUB^N<'(2F\;4IA6)0'; M.6^:M/`EQ?JM(2-^?-0(%\J%DZ?#$>^PPUK2YW^0-OC=SWU9HMK,MG3]PE$= M"EJ,NM$G=Q@4%].F+ALT.A<$.NASFTA@_>^YB4SV'T!`@>367>;Z8OWV_3F0 M3G&R4PR,BP\](3`9%@7CGH._F7LRMM2>6?)Z-?8FCJ8.-%%&K)*M<0-BE<"* M"G'[R2!.D<*_:^<$1MB`G@2O M``9""E@#X6761B#B"&_H`C(IR"/Y1(NCK)^'T%I'NW4N`DBET8X*M2NK5/5R M.1]RXG><4-^9U23H^"J>=KIWK6\6'T8,E?>KNV+0'\]^/?E`&O7H_6_86.M( MB>O#2'`P'"(8[D$:B;U^XNRZYU;"E)Y=U/C@UDH%A`:YRIZ!&!+[W9D[7$C\ MW24<\R0F_`X1?B[SPB/ISI!LPRI6@X?1G&\?W^#.'X9EX8=!QU MX':W^%*&)!@I;>-%1B#0C5D(W(KH?\.YG0`(>.?1S0"QS;H%.?-:?%O2Q$], MP8W-2\2];E)XZRF?W13>^+UM`1P_[K96&?,'2_LM>&]8=NG@KB(=1[@YFE1+ MQ=5PA>;PC1?EZ'(6VV`JSIIQH+'T&"1;6_^>4Z=S!Q;>9HUG M<)S00V^JM$]6=]26V-0SAQ43>V:;OHNSO=HKF8]QF%N34N('9\Q8)?TDOI9< M[E3PD*57*C8CIU.&W,\&48YMI_4#&VO$Y"M43^O_;X) M7.]7_Z$F2!)H$O.J`^?'(;.ZGKM:;:D8XH!OAL_7L,8&#*5E8646#.&%[5_0 M3-^R#/IX`-D;0_&W:ZM$D31Z1B'H$XCS<@2.@\7QQ&4\5T`.82(R]G"G]$<, MQ0];0;@(BU'$!EYQA>BY'B!W>2=FA'X\CB1'AZ`J*`ZFXD?ZT\/#X^O_`0`` M__\#`%!+`P04``8`"````"$`>I-\3H<-``#V@@``#0```'AL+W-T>6QE4)MZ4);DLWR(%;,-D*:'2XH6Z!4%+5$V&SY4 MDDKL*_K=.[-\S4I\+*45-P'NA(LE2COSF^?.#LGES??/OJ=]4KCV5R)$?#OZN-M>K$)_:R?N@^NYR0NCI6O^ZOK-8Q!&]H,'4)^'IKW* M:;,/!^1]=Q6%<;A)+H&<$6XV[LHY1#DWY@90NKT)=K[E)[&V"G=!LM!'Q2$M M_>;->J%?Z5HJ\C)<`XC?_6<7)M_])OWSS1^^^6;PKV^_^\>/SOJ?/_W^\+N? MOM6-G`VA"39HIGDY:"0+7Z>4C4R"VYM-&!!!`#13T/7'(/P<6/@=.`.(AS^[ MO8E_UC[9'AP9(KQ5Z(61EH"503YV)+!])_W%TO;TL,C/,`< M(_N=[X*9\*"1H3+Y()*-!YMELO]=(1/':]+.ZQ3] M<;R8%,UR2>-UZ!<'.CR%5V$KPB=Z?%CHE@4Y9#@8H%JIP<[$;+X<`+_>F%U- M>I-L;(VMJ53).%\\M!LR'%LR5=G"T'HU?=V;.N4SJY,N2\-]10`&G%PMNA"Z M#?$]M?#5AY_T/*&=QV*,*I?T6>B5N?&#ZSNQ]L[YK/T8^G:`BJ63&OLU-R=S MCG<>\IP+G(=%[F&'D_VI^LDI#UF-(U7U.>GIY6'=L`=;3MTU1W>0*L+93,M\ M-`;G=3VO*,C')I:L<.3V!M8&B1,%%GS0LO!R.I_/9\.KV6PV M-\=#TV1*?L@\V@W6SK.#*UUI:CI$,`$$\_%L?C4"(`-SQECUBF`,`*:3R6PR MG(],^)\EW/,CD*W3B:[:J@2!(JL2!(JLRE96,E)?%BG0KU$]*7P$UHF[; M!2Y=3GB13L!TW,%DCU] M/:28):?\-Q)>O9$.-U5B]M*GD@-%+I-5\(R$";"8X[3KS#Y M"DA[UNYFBFQVAV)AY7C>>YR^_[XI*@9HC-W>/&_(E1IP^0Q>RH`7@N!;Z#YG M;]/J(/T`%JD;-*H=I-G;K??R;N<_.)'%KJEA+-A1['*7G^Y865-^?N6YCX'O ML-:>GI+Y(0H39Y6P:W[8"94_B;-?Q!3\+Z.(4_M(XJC0AZ M4QK$NQJE(,,3M$6JD"^-"@`@MF73E3WK`NYRM3"$FZ@*'4"*2! M)HW(\TJ2E0#@:`J0Q)O&*E*D12#JAQ9FF*D*D42 M"*HR)+6$JA1),:C*D<04JE(D@0`:49(AJ254I4B*056.+$TQ5I4B"015&9)8 M8GSF%&G0MFG:1"7]4[BR[Z@&JO:\:>VD#NM636#X?'BZ?$J7CF`,MI@B:VF\ M`<[.FZ?:4QBY/\,J$V^$6T$WU8ETO'$R<5?TR.?(WGYPGF$MFIZF>M[4-WL! M2=[@V/=&'F$MII(_-+YUK0MSZ?HY`Y[!=[=;/:05!'9W M5&-`76<8I+N`I!#!R%6M)I@EE6.@IH(94RQ76*`Y3#XMV:S55RES5$;6\8;# M7`7#)ZJO@3EU4CP33K-XYRR**RVIJI&*K@X3/ M.\YYT$"I4XGF0!D\F-K)EYHJ+PBZA-7YU7,JPB').F-N)0L[`>QY$*\TBS6? MGMWJL= M$[!0]Y*"Y5A_DL+\%$5@$:NJ&`#AQ7A+">/3N9V@9^G.K]3AE#*GTV!:\5$X M&M[0B#5S>N-'TX)]I-+WI9>:5`EP29K1*'G#50)\)$M.CA$![K451E#2FFO2=(D9VCC/UJ M@+9F)]),ZZ"TZI8>G[0$5P14E>P">79Q?5,6[8!3$J)N+>':94M+6)Q-8;69 M7UH'@1KQEVS,]0Z/RL9I('1R.^E+*VK3(_#T'Z5MU5?_B-H-^)6G7^FS_C') MH]ZN;942GW&/BM36WG>Q,&)[.38N#WH7I+4Z`/MN\M->!\WAU'>T*:5IZ!!3^^Q"P[?V)`3\J&F]R^?(VDX$ MA2?N>J>LY(8P=XH#%T[NQWHBO\P\$SBJ9;'%4FWMWV+V6D-WT4\MB]0F.WEPLO'J1#.RJ[-=P!>)09N^1Z MZD-[,W-+;N7KG:.BLJ?ZY_R"'&-VJGGI?G@NS4H'>L2"%3!LJJX(.*R5A)VR M-6*$VD^'4VOW]K\P9)JK&RK<&N#-=A2!+32)-`!#*U9T3)J!\:X?%E24<`9*"]@"3?'EXA].6>@<$E54EYS;@?'J6%B/M_;L:17.9\+C9 M679HUVB60PH?FM)EAPCZ$KNQ7R*F=@_KRVX-Y4JZ8VO3!1_U.?#0^97%:HTF M%>66X[VQ955Y0N+HYHV]GZ^@=5=QTK;]!`5U3BGICN*H-"/.K/DTAF^K%HUP MG,^UU9-O;&YT>JD+/[I^&.:;+_ M)+_[9'%_M8;/^()GD@Y^JUUHKU9(M`@(O);\8>=ZL`\]=B/QWO?5+H;MEN_2 M@]G-RDVTBJ("NC>K[,CV=2EQH<@BN"BMTHZ@.2+C&$3N M2JNT(QB.T@*1N](J[0@("2T3F'2E5=H1K$!I@;MUI578T03#$5H30=U?5=J1 M]U7@HI5):C??RL:"7IU1*>_'^ M;0KZ=TJEM!30(Q*9\(6X1(6-QKQV34'MWMGK/.OR#H/SC`@,>(KB:N?!4\5# M?"8YVV,$ZW0B$-9,0I2>G-5';0E[1A>$^'C`:52$T/WSUK,#.PFC%PWW%2G( M\4:?")+[8Q@6.N(IC."C"*`_P1/'P&N@EU1#OP[BG1!1-L=X6%^%R*4[<(B;=N\-%9\Y[#:W@$ M($4HO7-V2607_L>'U$A0,>]PI_&"!I\BTB>UYMNB9_7G.]A8/%K M?Q'@?]DE1(TXBA#!*T]$B'QP$WA\1![$'`F$)40BA+U^"A)[&460QM_L*,!H MX4)WST=K)"JW3H+J?_U<[CK/])[8\'@,MA]]L1X`1:V=C;WSD@_%EPN]?/]G M]F`6<*;L5S^XG\*$D5CHY?NW^,0;B&)8P$&Z>1O#4U3@K[:+W(7^W_N[Z?SU MO36ZF`WN9A?FV)E$%\_#\V%_I0DVVO# MB%=/CF_'E[Z[BL(XW"27*WB03KC9N"O'B+<1))7XR7$2WS-&@\'&PO=&AE;64O=&AE;64Q M+GAM;.Q93V_;-A2_#]AW('1O;2>V&P=UBMBQFZU-&\1NAQYIF9984Z)`TDE] M&]KC@`'#NF&7`;OM,&PKT`*[=)\F6X>M`_H5]DA*LAC+2](&&];5AT0B?WS_ MW^,C=?7:@XBA0R(DY7';JUVN>HC$/A_3.&A[=X;]2QL>D@K'8\QX3-K>G$CO MVM;[[UW%FRHD$4&P/I:;N.V%2B6;E8KT81C+RSPA,S*A/D%#3=+;RHCW&+S&2NH!GXF!)DV<%08[GM8T M0LYEEPETB%G;`SYC?C0D#Y2'&)8*)MI>U?R\RM;5"MY,%S&U8FUA7=_\TG7I M@O%TS?`4P2AG6NO76U=VJ^>?__J^5/TZOF3XX?/CA_^=/SHT?'#'RTM9^$N MCH/BPI???O;GUQ^C/YY^\_+Q%^5X6<3_^L,GO_S\>3D0,F@AT8LOG_SV[,F+ MKS[]_;O')?!M@4=%^)!&1*);Y`@=\`AT,X9Q)2"M.69EN`YQC7=70/$H`UZ?W7=D'81BIF@)YQMAY`#W.&<=+DH-<$/S*EAX M.(N#UO5D"53,+2L?VW9`X8NXS'"LY1ZMAUC_J"2SY1Z!Y%'4Q+33*D(R>0%HMV:01^F9?I#*YV;+-W%W4X*]-Z MAQRZ2$@(S$J$'Q+FF/$ZGBD".S1P1%H$B)Z9B1)?7B?-AOZ'&(KA\1JCX_M\+H>SHX;.1DC56#.M!FC=4W@ MK,S6KZ1$0;?785;30IV96\V(9HJBPRU769O8G,O!Y+EJ,)A;$SH;!/T06+D) MQW[-&LX[F)&QMKOU4>86XX6+=)$,\9BD/M)Z+_NH9IR4Q>Q,O91&\\!)0.YF.+"XF)XO14=MK-=8:'O)Q MTO8F<%2&QR@!KTO=3&(6P'V3KX0-^U.3V63YPINM3#$W"6IP^V'MOJ2P4P<2 M(=4.EJ$-#3.5A@"+-2[\JIB4OR!5BF'\/U-% M[R=P!;$^UA[PX7988*0SI>UQH4(.52@)J=\7T#B8V@'1`E>\,`U!!7?4YK\@ MA_J_S3E+PZ0UG"35`0V0H+`?J5`0L@]ER43?*<1JZ=YE2;*4D(FH@K@RL6*/ MR"%A0UT#FWIO]U`(H6ZJ25H&#.YD_+GO:0:-`MWD%//-J63YWFMSX)_N?&PR M@U)N'38-36;_7,2\/5CLJG:]69[MO45%],2BS:IG60',"EM!*TW[UQ3AG%NM MK5A+&J\U,N'`B\L:PV#>$"5PD83T']C_J/"9_>"A-]0A/X#:BN#[A28&80-1 M?F#R`Y+<&ULE%5=;YLP%'V?M/]@ M^;T0$B`T"JF:5-TJK=(T[>/9,0:L8HQLIVG__:[M0$/2=MU+B.'A(->F1*<]GF.`HF&+&6RH*W58Y__;R]R##2AK0%:63+X-J9;A*&F-1-$![)C+3PII1+$P%%5H>X4(X4+$DTXG4S24!#> M8L^P4!_AD&7)*;N1="=8:SR)8@TQH%_7O-,]FZ`?H1-$/>RZ"RI%!Q1;WG#S M[$@Q$G1Q5[52D6T#>3]%,:$]MSN%9]*TKP'>%"E:276-^R/U7QJO:0+432,CFM2B>;YBF8"C0!%,G@\H&!,`O M$MQV!AA"GMQUSPM3YWB6!LE\,HL`CK9,FUMN*3&B.VVD^.-!D14UD$P/)'`] MD$11$$^3>?8_++,#"UQ?6+(DB=-L_D\MH<_+V71##%DME=PC:#U0KCMB&SE: M`'/OC\]F<.PMPR!)2W)M61P7>*&AR(^K-$J6X2-4AAXP:X^98S1@XBP>8S8] MQI84!`XJP;ECE:]7KQ=CP6,Q47SRHO4Y)HW2$S&O8>8#9J0/G/NX/@N&/CHV M(ID.O,[0M8J0-2(ZUV0K/8([>]]`&Y1@<&(J51ME8P=ICWM/H M$9EKB)<*C-1!YYZJB]^6).H_Q[SYQ%Q:.C7]=N5?G%XJ?%,%4 MQ3:L:32B71009#7?]'EO#'G-3'PX/8(]TI&+W1%6\U:AA)81.`CNLRF\B M?S"R<^VZE08VB/M;PP>#P6!-`@"74IK^8`=C^`2M_@(``/__`P!02P,$%``& M``@````A`!31?.-J$@``%G@``!D```!X;"]W;W)K&ULE)U=;]PXLH;O%SC_P?!]8GU_&$D6*Y$\9X%=8'%P/JX=NY,88[L-=V0827P^?K'\?CZ^W-S>'^Q^[Y[O!Q_[I[@9)O^[?GNR/\\^W[S>'U;7?W M,'WI^>FFR++FYOGN\>4:(]R^K8FQ__;M\7[G]O<_GW M7P^G:,_W:\(]W[W]]O/UP_W^^15"?'U\>CS^.06]OGJ^O_W[]Y?]V]W7)VCW M'WEU=W^*/?TC"?_\>/^V/^R_'3]"N!NL:-KF_J:_@4A?/CT\0@NB[%=ONV^? MK_^6WX8\KZYOOGR:%/J_Q]VOP^S_KPX_]K_^\^WQX1^/+SN0&TY4/`5?]_O? M(OKWA_@1?/DF^7:83L&_WJX>=M_N?CX=_WO_Z[]VC]]_'.%\U]"DV++;AS_= M[G`/DD*8CT4=(]WOGZ`"\/?J^3'F!DAR]\?TWU^/#\$8'F/(ZZO[GX?C_OG_$[+ MI[?]KRM(&SCFX?4N)F%^"Y%/+<-ZG-OZ7E.AC3'(WV*4*1:TX@`GZ/X["M"BY M%KH&$8X:G!0>\(/V_,$H/W"GKUQ.6YU?JC*=6B^_%&8?L,I66RH;8>A=LR0K MF_XLPG3D`1GX>T[$BA.C23B3\"81-((I`&/$/'7UTQ7AS]>0"^?6U;UHWX`, M'/_,"&(T"7'(62TMIN$,PEO$D$C MF`(PM*Q7(,+\[)>)`LATTS#=]:4=N7=<9[AYN7%U7;E6(T\PS(ZRX3 M?3\@L'P.6-NC@YK-3GKF1YBWO1+^EX1'F#:][4?,!&6IYEHF*CUA<3<+T# M'0.J+BO$B!,(6''6\VA>5N?[1//AKNY%5QL(6C[X-!^.-N)LQ-L(>/0I49?K MPC,A>IGU0J#SF<]YE1BTAAP92H0:1C5QHDT7@3T3TR$2V!T/CDR*$)59ZW(EI$`50,CAK=C!*4>7`&HR`8%(LT'A"H9 M#Y!!!;JJK$HQF(VPCHQ1X.][YL@1\GX0;P<)/`ATW/SB4[D(T2NM3P-T5G"2 MSM6OY8@\Q+6KWL;11IR->!L)*L*%B)9IO1!HL.;]H:XN$E.'T%P8C8XFXG)$ MJ%OE32\.XQE0@RT021<(6$XZ+D+T3NM%0*"'1>\VZ1&N-2USP$#0\L$Q M%6S$V8BWD:`B+!6*3?YQHKE_3%.!(%4(S=9-6CD[BK>1H")<",CO]7VBB#3/ MB`4A$,)!OLCK6GHGBD(`K(/$$LPQH&GSV>[#4)3".@C@[BK>1H")<"*C,!B$B;78)A)16CH6) M.!OQ-A)4A`NQR4;&*PIVET#HW"7D*#I2E#.0B;6S8T`#=EP`G@-%7XE.%0A8 M/AE<@.C2UG<)]'2\2X@Y;"A,;SC:B+,1;R-!1;@0T:FM%P)]G>Z<"M/\C3;B M;,3;2%`1+L0F"UF@]9MGQ,(L@1!F?-[+E'>0J8""&MI5EOHRLN&S%AIRC8NHKG?RZ9U_O M&]&5PKGXLA-RF5UXPZ$1&S(@TMPMIMOM)4(T#J3[[53^WH8[^_K"CCLK7]AR M/X>WV[[)*):I4:S3LXX0MOT#W)P@!K&1HA#0E878D7`2Q"( M6.Z#_/0#L^'T1YH/`,G:=2@16CXXCH0VXFS$VTA0$2[$)HM8IA8QV74GAKI! M";>JB,LO!"A".2N&MV,$%J-I9T:5"[#)(I:I14SVFXE!`1NLUH++H$PB?'VL&@H]`OQ96H6FTR,\0-! M2CM'&W$VXFTDJ`@3I-ID%B?:FBL(TH2P$6:O52%'(&I29W)5V#,ASV'066P:>$5U>-F)C.Q"P+#578).!K%(#*:>R M@1AJ7R.;-[+R*BO%E5?'RO.LRI/68R7P`'F1SZ["3SX]4(0UK=_D'JO4/:9+ M*8*P=D5;RU7.R("\*^3-?(X!3=G)>[L\`ZJL:L6P&PA8(\`FYU@M.4>1>P-! MRP?'A92-.!OQ-A)4A/>#3#!!ZDSF$Q>;8R7(1-+K%&ESCW!NE: MDB"EC:.-.!OQ-A)4A`NQR2W6J5M,UY($J4)@'`5Q%`63JF@J.0-[#K2)!0EJ M/;@(T;/-+CRM6TW6Z/2@*6?'V,C[EP>"E):.-N)LQ-M(4!$N"-1W+H@^2M:1 MYJO)U#$2I`J!<13$V5&\C005X4)L,HYU:AP7A)@;NZ5[F"C*:3)([V%BP.(] M3(Q8NH>)@&6IN0+"/*[L&ZF);.0UP:%&:+D2.'?:B+,1;R-!1;@@F\QDG9K) MA91`2!7"1!P=2HGB;22H"!=BDYFL4S.Y(`1">/4I3Z[/4(QWBATKKN22S.O% MX5Q\&<[?,P_"0Z[L$JF7;.3EHZ$VO>)H(\Y&O(T$%6&9T&RRE!-M31<$*BQY9,?C=L]V=QD_'BIM&;C*PXE+N M081SL=DE&F$CUW6)Z5M\<=%DXG+Y0)":";:=M*-X&PDJPC-!6$K=035H)>'O MV4HN9`)"JA`FXNA02A1O(T%%N!!PI/56LHDTSX@%(1"BI4'>S:Z:HFN@*`24 M67L9R*E;S",T=99L/K$(3=O+"($`B',^8Y>#<`$V6<@FM9!RY3,0@\VK2OG3 MNI&7P\\ZY*`P=Z!PBWDN`,\"Y&75BJOC@8`UK1?VT>@'J6U,]QX;A+#Y=2;O MKQE9>9L5E^LD=/+GWP>3(;"4_[99 MM*-X&PDJPGO!)K/8I&8QV7DD!M,`5D%=*[<>B5"4&F1HI,O@AY.)"*:C=&803X2B9&!!\K[M9\L])D*[R2Q.-#>+ MZ=8;04KU1AMQ-N)M)*@(%V*366Q3LYANO1&D"H%Q%,11%$RJILO%Z.]9.9QG M83J#6@LNP8)MC->U]([1HMV#O^>YMY&_!!L(4MHYVHBS$6\C046X(-'`S78B M#2'0[L'?LQ"I6VI-3SC:B+,1;R-!1;@0<.(V"!%IRS:V"%%:E_*VW9&5MYD< M:QTKAR>=U1?#-TV[7@"EO!86"%C.2=Y\81K7K:?:U#PV\ADG`T'+E4#_8"/. M1KR-!!7A@FSRD2U:/*-C(*0*82*.#J5$\3825(0+L9ER M:!%:K@1U#1-Q=A1O(T%%N"";7&6+?M#H&J9I'"F.HI6S$6\C0468$-TF9SG1 MUIQ!$.TXRR=6C:RX[.1*DQ77R0U.5$S=*KT=]OSUR_1^F7)XRS=9R2ZUDHW< M.1P(4L[O:"/.1KR-!!7A0@A#J?NG#HVDWA<(4H7`.`KB["C>1H**<"&BZUMM M)+M(FWT!(4K7II$_$Q\I"@$MS`-BXXD!==[58J_7YY>2LWP@.5KVF[<(]&+TA=8]*X MH4.(&E\D6ZZLO"QFMU]-\Z9CY5V1-GX>ORWDAFR@[Z]I_":GV*5.,=UR(VCY MX.@+;,39B+>1H"*\!VQRBEWJ%*7-&XBA)(`10-R2.1*@".6L&-Z.$7B,OIQE M$U=`6$6C'Z06,;G9KT,&%:@K^5"^D02 M>"`&F]]VU6RCD[J!:1R=%<,3H&@8>(RJFDU%3(%^DR.<:&NOD2"E=J.-.!OQ M-A)4A`NQR2#VJ4%,]QH)4H7`.`KB*`IF5-DWK1V\U[1S(:;*>L'@I1VCC;B;,3;2%`1+L@FB]BC^X._REXC0:H0&$=!G!W% MVTA0$2X$5&:]5>PCS:UBNJ5"$*8UK.R2Q[L*H)-[+HX!59LEJT<.U/!K=>ZV M`P'+2G,!A%]1H**<"$V& M/:`Q4YA&<:0XJA!F%&]'"2K"A,BS3882<6NN.%&8\0T\G(D/Y/`H\'C4S]<( MU*V\'0<>!3X'\KY).H4@X!%^PFC!P\`QQK+<0H5-;A(>LIG,F,GFR@FB;I_+ M"P0@PLE,QA<[)!>E00,LQP!E+7\OZ3E0)$]_`05.1[A8G'?V6_-,F$E]98DX MSX-TB^5$X6;SATH^C!38D#8I@,Z*$QHEO`P;;H$7&> M%,F."_PR>(+PC!9-^OO*$Z$T%,0PHH`42"A10`H>)9N-,D((X2>MWI$:R63C M)<\00B':JA?W+$+G,)TFZ*`'`1G,("##NT&$"IM,9)ZA^X/N=UY@)?LO)PA5 MJ.`](.E<89M(,PKH8$8!'9"ANL";"RZG1`BQR43F&1I$/DX(%S><*"5A(24P MDL)`2I@,J&$RH(;&"#TV^4JXLS$9)]+=F!.EM!7TL*WEB:$!IRSD)1H.P',; MY*4`D$([C)!".,MU*T_XG4,B22-_O0`I8KI#D,1D($5,!E+$9$`7C>&Z3*]F M63^UTIM5_(.`-"!$?!H4M&?0`4DEL^*4"%Z MLYD**WL+O=AEKD8CWQ8$[^.)P=7WBX`@)@.:F`RH8C*@B\8(7:)'F^EB^`UZ MRXO56V)02P^3`3U,!O0P&=!#8X0>D$Q;](@X-Z)+O04I?#U;LFL37W,:@U#Q M9=V$FS:\&'H*[TF@P/SK"^\A45]<@ZW'MZ3B2T2?=V_?=^/NZ>EP=;__&=^` M&B>T\Z?X>M8AOQVGUT>*SUU^ZY<^'XK;H8QOEQ3\6-R.2Y_[XM8O?1Z*VS!] M?G,.!"]E?;W[OOOGW=OWQY?#U=/N&U0Y^QCOCWS#U[KB/X[[U^FUGU_W1W@= MZ_2_/^#]NSMX)VGV$>!O^_WQ]`^HZ,WYC;Y?_BT`````__\#`%!+`P04``8` M"````"$`X:.G%I(#``!1#```&````'AL+W=O,ZJ78Q^_;S_<(T"J4B5 MDX)7-$;/5**;]?MWJR,7#W)/J0I`H9(QVBM5+\-09GM:$CGB-:W@RI:+DB@X M%+M0UH*2O+FI+,)H/)Z')6$5,@I+,42#;[]C*X+?+#)I1>"[%<'14)'0K*I)V!U19+T2_!C`XPJ^94WTPX^7(/QR M5B`=FKW5<(RNH&XQDE":Q_5X%3Y"\K.62`P!GQV!72(]$;I^X*$S`JD9;D3# MVH@NEW:6F!-VW,B+VR$8@2P,-Z)A>"*L]?H9,<34(J9=W,9[^C_"<08B MPYUI.$:PZJX2,S=N8@C;V=PETCYQ]NXX@TX8[DS#KK,K-VYB"-O9M4ND?>*" ML_E;G&G8=;9PXR:&L)UAK^!I'[E@#?IH>-(T[%K#7F[]@3+\O!^\)&O:,>8$3@]B!\;GW3`_TD0O>%F_QIF'/VUG6;!P&<;QY?9+V MD;.(TP48WFC#$]?0GCNO`9.6<>QYS9*^P%SRI_?>P87%9J>V=Q#LM6'2,HX_ MKV72%YA+_O0>;?G3K^H)Y/25EY+9V6V?D=>3"3:,[?/LP3R!+3)OV@?/%G@Q ML9;KUEGOV);/5_R9_=WQY[8\QI[B;(=];H+,)O5 M9$>_$K%CE0P*NH5;QZ,K>",(,]V9`\7K9KK9<`536?-S#Z,[A6EA/`)XR[DZ M'>A9I/LSL/X'``#__P,`4$L#!!0`!@`(````(0!*5^<;D`4``,$6```9```` M>&PO=V]R:W-H965T[XGQ8F?]\"[[F4>F^;B65:='TF9U2-Z(6?X9D^K,FO@LCI8]:4BV:Y-*D_6 M9#QVK3(KSB97\*J/:-#]OLB)3_/GDIP;+E*14];`[Z^/Q:7NU,K\(W)E5CT] M7[[DM+R`Q&-Q*IKW5M0TRMR+#V=:98\G&/>;/TIOMF!'(6 M_Z%XS`MK88'2_7)7P`B8[49%]BOSP?92>VI:]\O6H'\+\EH/_C?J(WT-JV+W M1W$FX#;,$YN!1TJ?6&B\8PB2+90=M#/P5V7LR#Y[/C5_T]>(%(=C`],]@Q&Q M@7F[=Y_4.3@*,J/)C"GE]`0_`/X:9<%*`QS)WE;F!&Y<[)KCRG39"A'X%"+NR)Z.W1LD7"$!G[\J`27=#@4^ M?U7"!O];#?;/C2(6=[:=*#]KLOME15\-J'[PKKYD;"W9G@T7W11Q0_M)^]&< MP60QE0H'BR$7,&L?84EM]<]4T$_XO^:9_H'2;$XMN[>F&M19D,:RAN;H;]4%=FH_(%I$`D1"1")$8 MD021=$@D-V!*;W"#1,;I' MHF8H]TB']Y",9,TJR8DQ3DSTB4HSG4J)LN&L>T5+_L;2 M9:\"2NT*Y,"2N5KH*EW&IDN\[JB^0#,Y4=T(<&+PH<00)T;Z1*6GCG%B\J'$ M5$J4O6?]L>I]VY=]>*^U>8L-2=VVM19(KGI76;,;$255/==RX6,P9+$ M0"`E45EG(4Z,](G*.HMQ8J)/5-99*B7*SK,>6W7>OE;]-WII7W8USSG8B?HM M1W3J0_,YLL?\5(%U!!L;,U_#MAH6:%BH89&&Q1J6:%@J,]DGUE,/??H?0T0+ M/C2$(V?H!T(^'"NQ#600M<4HP"C$*,(HQBC!B)UM77\$MX&?5?$CD))4![(A MIU-MY/29G4/9=U`*/>:'9&M[VIV2*=^D)AJ_9<9N.3SQX ML<8Z:\>#5T?,'Z;>`PP-?[&&7ZKE,P_>'C3QK@>MM8;;<&33WH.O5\#L/NCK@5C\'<(!XR0[DSZPZ M%.?:.)$]3.RX[7@K?@3)+QJQ(SS2!HX.V\WA"$?%!!;XF/5Y>TJ;[H+=H#]\ MOO\.``#__P,`4$L#!!0`!@`(````(0!WALVE%`L``)4S```9````>&PO=V]R M:W-H965T/PX MU*N7UFFW'?JCT=UPM]KL^S)">+@F1O/ZNEG7RV;]8U?O3S+(H=ZN3I#_\7WS M<<1HN_4UX7:KP_;#>GWVW0?F^W#K.W?7-8/6^AWK^\\6J- ML=L_6/C=9GUHCLWK:0#AAC)17N?9<#:$2$\/+QNH@9"]=ZA?'_O?O+#R9_WA MTT,KT'\V]>?1^+UW?&\^D\/FI=SL:U`;VDFTP'/3?!>FV8M`X#QDWG';`O\X M]%[JU]6/[>F?S6=:;][>3]#<$ZB1J%CX\GM9']>@*(09^!,1:=UL(0'XV=MM M1-<`15:_VNOGYN7T_M@/[@:3Z2CPP+SW7!]/\4:$[/?6/XZG9O=?:>2I4#*( MKX+`507QIH.I-YH%4PARQC%0CG!%Q_%9!RAMTX6K\D7=-@C`>VP3ABG[GE9@I![@J!W\\\.\GWN22 M%AYT,MGFHK>I]CQ_,Z_K)O"+CK3',H^W0Z1 MY>JT>GHX-)\]>.Y`LL>/E7B*>:&(@H-#=I1NN'PU6F"8B"C?1)C'/K0H#(0C M#/&?3^.[R8(M+X^T0XMT&5)041!3$%"04I!1D%.04%!24%E M`$L[Z'U,NP#&G_LYC3U/>,$3V>AY_CW19BYM?'A0Z>Y)Y.M,.OT8B1B)&4D8 M21G)&,D9*1@I&:E,8BD)CP"FI)CQ;AS4(LQCW[=']9TMW%P9G=.V,^FT921B M)&8D821E)&,D9Z1@I&2D,HFE+:D0XEC>[D\K:=6I4; MM)IVFY$'9\3<8D7@8KB-[;LEG1%VWY0%RB0)S/L'([(@R)E;T84^<_^R,\+[ M5V8@2WVQR3/7/^>'L["VU9?$5G\VLO582"-3?>5FUMZ?!;9;Q-QB1:`VAOID MG95T1EC[E`7*)"'JD];/F5O1A=;W#T;$K>R,\/Z5&$ M]Z_,0);28D=S@]2MN:VU0EJUA2*FLLPHXD8Q(EO^74V@J3J!`Y-!8;BQLT5OL04V.)3(TEL32F1I$X@("F,8QB M1';UR`2;:"NL7HK(U%B&)QJ36#EW+!#929#9H-16F$2%R*&QV&"8&LN#EX$X M#3R];];?YPU,\3#P'`N2``Y8U+&+VJ:8TDODF=I+9,BZA&*AM&$5*618Q0I- M]=([X2CECIE"<$$I6JBH]5DJ-(7EOE$G\LB+N&.LT`3Z:.?H!^R! M+>\X,27S`_+(27GXS)T7"9]SQ^*JO$JT.IM7986WVTULC[X8#A?:36VLS"$@ MT72*[48>HPM/^01=]UPJ-($1U\D?C%B[,<=8.8H9JW-TM)M*"5;"AA5K-Q8^ M<^?%VHTY%E?E52JKZ=F\*F7EMWK9[0:/1*O=+C26,">#3"$]AA8>0TN.(HYB MCA*.4HXRCG*."HY*CBH+V6*)?9#9R2^();=-UMI%(FO#$XQ(-UIXTLIXDB\5 MLJ8^GVWWN6.,")I$=]P9&5")ML)G=(K(G']5]O`,ZV+Q/3]W+!"=3:+45IA$ MA<@Q_XJ=T@UM(3=65EM(9+6%S[;^,#>('F^UA7(T9>";?^X8([)E($N]1%NA M#"DBLRT<2;"M?,X="T1F$LRQU%:81(6(MX5_V]ZT-;4-+8[:US[EC M@?A,(9(7W5MRQP+O",^G[HYLSUNBU=F\ M*BN\W6XPM/YBNPE/TFX2?7TF`--!ZV.<"2ATX4R`.\8*73@34%;G]]XI#Y\I M1/)B[<8J5%R55WE57I65E]UN8IOWQ6/LPGB3&T0(C6-G[DODC>3GE.+5]<+! ME@X6.5CL8(F#I0Z6.5CN8(6#E0Y6V#,)Q0S/_?)H43,]KP$SG9"<7+C*IE!B:LFL!<& MV=N/ODD=80<')2X98=\!)2XA8;4,)2XI88T')2[-*M&+7`5P]A:*M16O3@0E M8CW%2^",+10G:*Z2&92X)(`S"6@$EP2PDX82EP2P_X,2EP2P:X$2EP2PUH82 M5TW3:9@Z)X:E]`^[OJ#J_NH6.XZ@XOG*'$57=X M30HEKKK#RSTH<=4=WD]!B:LFBVFX&$E?=X>TJE+CJ#J_^H*2MR;`;8_!/$1^KM[I: M'=XV^V-O6[_"4W;4OK(\R'^KD'^5S&ULK)Q=;]LZ$H;O%]C_8/C^ MQ)$_$R/)06Q]2PLL%F=WKUU'28S&46"[[>F_/T.1(W+XJDKO/[G_N7P=?J<-S5K[?#X.)R.*A>M_7#[O7I=OC?/^+?KH:#XVGS^K!Y MJ5^KV^'WZCC\_>Z?_[CY5A\^'Y^KZC0@#Z_'V^'SZ?2V'(V.V^=JOSE>U&_5 M*Y4\UH?]YD1?#T^CX]NAVCPTE?8OH_'EY7RTW^Q>A]K#\O`1'_7CXVY;A?7V MR[YZ/6DGA^IEVW;;U_(Q>?=B^[T_?&Z7"P MWRZSI]?ZL/GT0O?]9S#=;-EW\P7<[W?;0WVL'T\7Y&ZD&XKW?#VZ'I&GNYN' M'=V!DGUPJ!YOA_?!LIQ.AJ.[FT:@_^VJ;T?G[\'QN?Z6''8/Y>ZU(K6IGU0/ M?*KKS\HT>U"(*H^@=MSTP+\/@X?J3]3=,[HC=6/+A^]A M==R2HN3F8CQ3GK;U"S6`_AWL=RHT2)'-G\WGM]W#Z?EV.%YF(GWRY:][ M*TQ-!?HT%6875[/9='ZUZ+\2E38W2I^F8C"_6`27UY-W*LY-1?K\6!,7I@)] MGM=$&I--$^F3FSC^D(HD65.1/C_6Q(#B3'>["CC=HQ_4,6@CAO[@9GY,R8## M1/W1V]"1CM(FZ,/-:7-WWS9J7@J6R@N'NPZQ=@#\*/XI\)67 M>^7F=D@=1)%]I$'[]6X\G=R,OM)`VQJ;%=H$TF+-%FI4*;>A#R(?Q#Y(?)#Z M(/-![H/"!Z4#1B1GS?*P:.G)Y4;,%50A]$/HA]D/@@]4'F M@]P'A0]*!PBI:$+Z%5(I-[=#^K:M/H!B8#$0!(@*9`, M2`ZD`%*Z1`A)$_6O$%*Y46N3(Q(.66/4IV1KTBH))`(2`TF`I$`R(#F0`DCI M$J$DK5Q"R>XEGJZ,H16ES;.QE,_TEHCKA8"B8#$0!(@*9`,2`ZD M`%*Z1.A#W7Z&/LI:ZF/(=3NOK8&$0"(@,9`$2`HD`Y(#*8"4+A%BT$`18JB% M9LI;Z&.+$$9`02`0D!I(`28%D0'(@!9#2)4(,ZF4AQD_'D7(D=3)$ MQM'UZI/13IMQBW:(TH1!0ABA$E MB%)$&:(<48&H%$@JH_)15QD589,K=09R[@(8F-3654TC+\2N_!!KK5CNT/BB MBHPB1#&B!%&**$.4(RH0E0))(54ZZ@KY3HB9[-452Z-%9-LEUUL+9I1]&K94-(T!1`"A&E"!*$66(EBNU5NPK8V1]Y8RD+V^% M*JP5^RH9-?DLR\K16*MW"[R,NS46EE9=2/FUE>.5@6B MTJ!YAZPJCX?Y4\OZ3H3J'8"[X1IK-*-FVMB;^RNRL:()B6\LY(IB`IEXBD1L M)6;;B3]RE;J8!J?SF;>Y-YANYSKMCKOF"K7O>E<"\G$+6O@)XZ M"NN1G-:NNUMS[U9?JT. M!*BB&&FF(JT2MB)VFK&2`QDZ#=PGYHKS7O]T7;"7=>W-U M::RT.++3:"A@ISE+S1_UVX^22O+*6:7ZT=/O-H/LU+=F*XM"1!&B&%&"*$64 M(KG3^SNKK]FIV01N-=;HO2S<6+FYC4%B!9AYHSUB M]U;XF)'-G!-&TI?7%ZFUXK[(&%E?.2/IRUOO"VO%ODI&'>F.VK"=H;+>WU&O ML>_56".1A1OD2FH0!:N=9F?>_!RQ+^L^9F2G@X21]`59>'M%;FK&%:VOW""1 MA>N*#BJY(NHW\?>*/Y6%-U[D2#?(S<(9.;(:)$?ZS)O9(VO%4L3LRTJ16"NW MB[R<,[56["M#7SE:%8A*KM@AJ]JTN6'IR-H_#TQ434]*C;PLW(N7M:GHY@8& MS7KSV(BM**^SH>UG7#&Z3[ABK_N4K6CQM^XA"T?W.5?L=5^P5:_[4K@7*]V$ MD@KLJ3-7NL:)UVG*[^WPG2R<*]HT.33HG2RUI?"O>PTBHF_WVG*B==I&KV3A4^TE1AIIF)O M'AN9BG.9QT*G@?N$*_:Z3]E*NO>S<&Q]SA5[W1=L)=U[JW M7[G)S42CA9C;%_X!CK7B-3%$%"&*$26(4D09HAQ1@:@42(JEMF)GB*7,O=%O MD(V9]010B"A"%"-*$*6(,D0YH@)1*9!4AB;CZ8PPTELM,>8T\L:(I7U]/AYA4V7NB660$V%L95&(*$(4(TH0I8@R1#FB`E$ID%1&;3#.4$:9>\H8 M9$]HUE-`(:((48PH090BRA#EB`I$I4!2&95`GZ&,SK?=68G>@51BT:Z1A\X: M48@H0A0C2A"EB#)$.:("D7J#T[9>*Z/?R-0OI^VKPU.UKEY>CH-M_46];4E[ MS;N;%NM705=3]2YH(P"4C*FD>0832B;\_JA?,IDM5>Y&KRG MJPZUC1YOZ2@9DS%[[M]484.^Q5=O-.>+MUUY?OI\IX"&2^\ MHA9U-6A%O=C9B:1ZI^C4@YT=2/W7U7UT$KY4Y]S8(CK0I9*N;J(SR:4Z<<0Z M=#R^5`>/6$*GY$MUV(@E=`Q.6G65T",ORXR>"<`Z].3+4CU`@"7T:`OU2%=) M.%Y0G4YMJ`6KSA:LJ63=61)2B?JM`5L0DF[JR+RCA'13I[Y80C]1+-7A+Y:$ MP?52/2>%)2NZTU7GG:ZI1#T<@G5"*E'/*765!%32%>+A>$PE7=YB\A9WEM!3 M3A0[7=>AAW6HI.LZ]+P)E337&;7S!;TF_[9YJOZU.3SM7H^#E^J1)O;+YFF: M@W[17G\YF9\Z/]4G>C^^^=7SF?Y#A(K>"+Y4#]D]UO6)O]#-C]K_8N'N+P`` M`/__`P!02P,$%``&``@````A`(:=&P[S"```#"P``!D```!X;"]W;W)K&ULK)I=<^JZ%8;O.]/_P'!_`!L(@4ER9H._/SN=T_:: M@!,\&S"#R<[>_[Y+MF1+>EV?T/8FD$=K+8M72[*6K:???YZ.@Q_9MAX/RMCWOM\?BG#T/?V7E\/>7O_[EZ;.X?B\/ M678;4(1S^3P\W&Z7U7A<[@[9:5N.BDMVII:WXGK:WNC?Z_NXO%RS[;YR.AW' MYF3R,#YM\_.PCK"Z?B5&\?:6[S*KV'VZ7?_-&;;G8A=_0/A3_GN M6I3%VVU$X<9U1_$W+\?+,45Z>=KG]`N8[(-K]O8\_&:L4G,V'+\\50+],\\^ M2^G[H#P4G^XUWT?Y.2.U:9S8"+P6Q7=FZN\9(N#O5"/SM.MAG;]N/X^WO MQ:>7Y>^'&PWWG'X1^V&K_2\K*W>D*(49F7,6:5<SP?N"=]#DJBZ)/MR5U\-D0WL"_)#E()*.K2)`1UI[2"=-])1/8R+[IG]&9O;6/2DMND^$P3N#%I%`9B M`W&`N$`\(#Z0`$@()`(2`TF`I#)1U*:%"]1FB\B=BP<+0S?O_M6#&_7IWY@T M^@.Q@3A`7"`>$!](`"0$$@&)@21`4IDH^I/4BO[]6Y+1I M+K6L;HR$FP7$!N(`<8%X0'P@`9`02`0D!I(`266BJ$HI=H>JS%I5E9-ELS9O M@%A`;"`.$!>(!\0'$@`)@41`8B`)D%0FBH0TE14)V:["G(](\CN7!A9(59<3 MVE"V.3N=:#G;Y"\0&X@!Q@7A`?"`!D!!(!"0&D@!)9:((SBIA>1O7OQ(P M:U553J2'_25N:JK@)) M:8O(0F0C8A\1`&B$%&$*$:4($H5I*K,JH\[5*Z+%=K?"K'6!D=R MX@*RT,I&Y"!R$7F(?$0!HA!1A"A&E"!*%:1*RFJ,.R3E)8DL*4=JXD[UQ&VL MQ%A8[,$-FP3M6-B('$0N(@^1CRA`%"**$,6($D2I@E25625QA\J\\)!5YJ@5 M:\,>7ZGZ68AL1`XB%Y&'R$<4(`H118AB1`FB5$&JI*R,N$-27G7(DG*D)J[^ M;(&5U;K*@&RT+ M&P.0AD,A"UVA:O2[B0M>(^M(NNC6:T=HA;3/FZFIM&XV5 M<'00N8@\1#Y'4B>"UDKNQ(/:B;"U$IV($,6($D0I1W4GU.%@=)*V!")-RU#5`K(Z!`9J/V`NPCCE"+QZ; M2<(\M<*E1M/'9D9L#&XU;9#%T:R=-S8B!QU=M/(0^>@8H%6(*$+'&*T21*GB MJ*2_J=>"]7NH+ZA;>:KJR/H8/A&-O^%!8U3TWE\NYH<6.,'8L MO'IC)\*JM^NI$E[-`+UT_7H&8!5KUDB>7QR9TOSB:-:N8#8B!QU=M/(0^>@8 MH%6(*$+'&*T21*GBJ*K+JDM]]9K3._P_7;U,7I>V(JTY4N?73'\&RZV4^57' MFM'=IDWOF?8@S.:.9"4FIB.0DH(S[:F$*ZS4>:]EN-=:B?`^1U)7`X[FDVJ2 MSXT';8Z'K8$($V&8F*-9;Y>2UDK$2I58ZE"R>E4>ROZ[#R6\?O<1J!5X@\A" M9"-R$+F(/$0^H@!1B"A"%"-*$*4*4B5E)>P=DO**5YX2-9K61XK8V84-'9AB MPDO(0F0CMS2D=+ZO696B9B8-G>HM!1]+H"1W-%V@QJ<7L;*'K MT,.1+A^Z#M7X72US:JG.G,%U'JBEVIKI+>32Z4$.G?:+%;W8Z;CVXXK>5G3P MY8H>JG=P8T(]JD[::3VR3'/%EE7TH35SQ59$;*$5<,46.6RA16W%EBQLH7." MW[KXF@U6A_V:AJK3G@:J:YR^S2A^YS#1^'5QVD*OV)X9NTI[Y!7;%&,+;8)7 M;->++;3+7;%M+;98ID$"=_U$VBN0P%TMM!D@@;M:Z&Y/`G>U6,:">MV5+%3, M4M^Z6JBX(PVZ$HGJ-8K6U4(E&&G0U4)5%5VG:ADW649G,2_;]RS>7M_S^6`@``WP8``!D```!X;"]W M;W)K&ULE%7;;MLP#'T?L'\0]%[+=FZM$:=(5W0K ML`'#L,NS(LNV4,LR)*5I_WZDE1C)$G3NBRW11^>0%$DO;U]T0YZE=4.,_;@C>FE3E]E8[>KCY^6.Z,?7*UE)X`0^MR6GO? M98PY44O-760ZV<*7TEC-/6QMQ5QG)2_Z0[IA:1S/F>:JI8$ALV,X3%DJ(>^- MV&K9^D!B9<,]^.]JU;D#FQ9CZ#2W3]ON2AC=`<5&-9TG61WUY2M MEGU^?BNY-_F-T7J:K:PVW/("",*RM>[Z43D%"@B=(9,@G3@`/P)%IA94!"^$O_WJG" MU[!:1(LDOIDL@&4CG7]02$F)V#IO])\]:$\52-(]";SW))-Y-%O$DP0T_T/" M@D-]?/?<\]72FAV!F@%)UW&LP"0#XLL!022(72,XIPM*P%<'E_"\2M/9DCU# MYL0>YI>CG+]'"L&G M4L$RF?3M=UP>D(GC$+#CTBGD_NT*Q5.G`L&2G%1*NK@<"T[KTEK>0GV32."+/%89%""PW688ZM4\S%O_9IMN[G&QL^P'SI>"6_ M<5NIUI%&ED`91SA0;)A08>--U[?YQGB8+/VRAA^)A"Z*(P"7QOC#!H39\&M: M_04``/__`P!02P,$%``&``@````A`&WF4E(4!```O!```!@```!X;"]W;W)K M[76U[I5:J MJGO;9P>9]\8KF8IBYY-9 MZ'N\B$62%J>=_^/[RY>5[TG%BH1EHN`[_X-+_^O^YY^V5U&]RC/GR@,/A=SY M9Z7*31#(^,QS)F>BY`7\N[S-*Z$%$!F6B?\SI8!^!IOTU28(!I M]RI^W/F/9/,443_8;W6"_D[Y5;:^>_(LKK]6:?)[6G#(-M0)*W`0XA6AWQ(T MP>"@-_I%5^#/RDOXD5TR]9>X_L;3TUE!N1?`"(EMDH]G+F/(*+B9T05ZBD4& M$X"GEZ?8&I`1]JX_KVFBSCN?1C,R#Y>`]@Y?)%*Y/\8#*D]&1^T M]@&?M8]H.5L\A!&Y[R0P\]'TGIEB^VTEKA[T#(24)<,.)!MP[.8#1!#[B."= M_^![,%<)17C;4Q)N@S=(7%QCG@P&G@V&-(@`@C:1(=KXR`C&R)A9G,J3,;3# M4'>8:$H8!.]\>#:3[Q,TF'D+,W='!LAX@@B&IKB=6P,:$1J::GQH!.O037*- MA<`J:>5AH(S+*:$0W`UE+$1W>J<](!-M"KC@(K*>P=1N]RB.ZX8P%@C19C/0 M+:C7HY<#@KNAC,7!9MWUJ^6#KE`K[M#!@=T8QF+1B=PMB"4CN\%JDX,1 M3F"":T1;KHT)5+M=EX&U1":IA49;T6K!Z#<:L11B?&WT2"N,40>K.HN!ZDQ2 M"-)(1+-.:U,4Z;VK+:ZX-[6KHTF1Q?WEHP=:G&HYZ"Z@Y0"G27I`^H)0FUR< M'))`YY#PVX)`^HI0FZPJ/0PPFJ0)I"\*MC`08%. M4@:-MD@9L7"1U+M:G;?G3@O$`GB8-&6Z2,7KA(6>*@U]0: M"GM;)6A?)6J3Q6C@R!!-4@F-[C*J30Y&D4,EYN%J1._ID588ETK0@>,#"F1[ M.[R=0HVVHM7"H>]V9JV:NZ*Y3.6\.O%?>)9)+Q87O`=2N!XUUN:.^JBOJ+9] MOGF$D*!(0?,+W!U+=N)_L.J4%M++^!%\ACI3E;E]FA.)""V M!@``\QP``!@```!X;"]W;W)KT=[$\4=5 MT7]5'PJS_ORM/#M?\[HIJLO&]4=CU\DO6;4O+L>-^_=?[-/"=9HVO>S39:Y^F^S[TR+2XNC["J[XE1'0Y%EH=5]EKFEY8'J?-SVL+X MFU-Q;62T,KLG7)G6+Z_73UE57B'$F[_K-Z2O#B>6BCW#!2AL-7^>Y@W&604PHSX,++J#`.`OTY9X-2`C*3?NL^W M8M^>-NYD/IH]C"<^F#O/>=.R`D.Z3O;:M%7Y+S?R<5`J2"""P*<(LA@%BYD_ MFV.0&XX3X0B?PM'O;W[#;RK\X%/X!7?>$<;3Z9TKSY_0"XNG"P*?\O;ST328 M/2RZK-&!>SSK71'#M$VWZ[IZ*!9 M"8>I\C\(QR@H7`[Y28(^$X&E4EI(E]`&D0V8#6(;)!HP5,*\ME5.8(D/+TY9 M372"97BSFMPF@%FL2FX5?*=,E%)"(D(8(3$AB4X,N;`<;;FX%_W@;,8H&S>X M/9V%T:T$*!.5`$(B0A@A,2&)3HP$@%@]`;?KC,:=3CF^)T%@(U!5]1V/<','I+J7L M<,0P'S444A11Q"B**4H,9(K!`UH3T^UUX^GHX>."B*-=+PA'>D$XP?MKB24% ML?TB7_C!1^^W'+]3$#QC-0T?%$2K M)N:G#Q_LIJPM3B+8:[2L^BJK72N_ZZWD]`PIBBAB%,44)08RI>.!K$G_H([B M^-;KJ)_H0@Q!H4]01!&C**8H,9`I!L]:34SWN`:/RY#Z4Y&]/%50`=C2!C1. MX*E,/*N)\UJ7R!$F42NA_>#B"ZNYVF%"B>"*YC@Q:Q])J]Z1260Z6D\0L;3J M'1.)3,>^1373A<>ZG:[9/=N0Z`?T'''DPXZR\#*L#[\_%D.!`CAQ>\=) MO^MT58FH(QMT7%K-0TP=DV''?G\T9DB^D=DV''?HS29)(2XA`,"2U#_96NBYK]474D0T[6JLOIH[)L&._^LR$#'57=R6$ M-E=8.SP^C)-[8DG=2:N)EB/A"`>H5GO+,:*.3"+3D>1(A._OF`P[OK/1H"![ MTMRSB#H_:\[PIBW0^AUIU8\NE,B49>U&D;3J'9E$IJ.]J4BKWC&1R'1\9U,) ML-/2-I7;6TEG;66!MVI!OTQVTJI'(44118RBF*+$0.8"`,FZ&#QT9S!A?O"Y M'2IJMTX2P5ZGS6IK*]SU5OV6(6+UN8BH%:,HIB@QD"G:O M3)Z"";PSZ>8^N3*%*]W2)%=F\CV+?66Y@N=P*)W-_?$*'VJ'K@1P)1B\`O>' M-G_(!^X/#=S0E3E.5W38_Y[6A^+2^.<\P,4?]RU@C5_ M:<6_M-6U:Z&?JQ9>-G7_GN#E8@[-S!C[[$-5M?(+WD"]KMS^!P``__\#`%!+ M`P04``8`"````"$`&8KJ-!0'```8'P``&````'AL+W=O2;;V;G6]C[#S_V.^][V;15?7CPQ3SPO?*PJM?5 MX?G!_^?OS[/4]]JN.*R+77TH'_R?9>M_>/SUE_O7NOG6;LNR\R#"H7WPMUUW MO%LLVM6VW!?MO#Z6!WBRJ9M]T<&/S?.B/39EL>X7[7>+,`C48E]4!Q\CW#6W MQ*@WFVI5?JI7+_ORT&&0IMP5'?!OM]6Q/47;KVX)MR^:;R_'V:K>'R'$4[6K MNI]]4-_;K^Z^/!_JIGC:0=X_1%2L3K'['\["[ZM54[?UIIM#N`42/<]YN5@N M(-+C_;J"#+3L7E-N'OR/XBZ/(G_Q>-\+]&]5OK;.O[UV6[_^UE3K/ZI#"6I# MG70%GNKZFX9^6>O_@L6+L]6?^PK\V7CK@*(29A[&.M*IW0`#^]/:5;@U0I/C1__U:K;OM@R_5/$X"*0#N/95M M][G2(7UO]=)V]?X_!`D3"H.$)H@$]N9Y.`_36,3J>I0%,NH3_%1TQ>-]4[]Z MT#7P.]MCH7M0W$'D4V;(8\CU4JJ0HP[R44?I8T$6+=3G^Z.(U/WB.VBZ,I@, M,8GO60Q%Y">$+@70&SA"YIRCA!J.JW^BI!=12B%G-`)AC,X1J0U".()V;^>H M%T$ON))$":60(29R,!%%Y%,(PA&"N!RG]=/@!Q\$L.62-O>^[!EBTK[@D53\ M>>X^E^$R6,J!.B$&F\`EIILPNKB]3@76B[AXZ1`?"2(&:`Q)QL'U!:,%^T1P?1SWM-`V&Q824]CTV5*YO6+V(D8MM?*PG8O"W)UPQ?(C,E8HO"+:D MW*8%TV#.20PY(R?$F$+*E#W.W<=ANK0=2A03,,_>+EF_BO-CLF0&-+4)#`1S MB%42#RE2DB-F<;VN`L`S$L91`+ M)U5X?R4*O8C,Y9A,W,Z!)-3'..(3RU//;T?-*L7':4QUMLYMJ(\B( ME*22#:%.(``9)38) MRI'YQVW6*T:,Q)FWAB-QDBAB?9";("BC$"JT#4TI,C>Y4N)S&SES$>$ZQ4RD M47`F'T&$4JE+<_M-=B+&_,1&-KJYCC&32 MPS9DH\:`QF>Q47+*>2A//=@=+:?WV(A13*@L1-*Z4H>D:2R)$'-E$*$UF+#?2'#$8Q[J,EL1@QK1T`?`B!4TQ M#`5"4A?W]NW`9EA(L(T80,I MIP@X/]H4*;EW^8H<\16GU0U)!!F2R=(YH6(;FB@&(*6SG2A'YBM7!$0?(/.: MOZ5G>:R$S(F+E, M;J+8;7/AT"K?92']*EY<_LYD0"C>++:[THB'!C)>>ZK?NQQ$CCA(8EO'Z'C= M04P<3`.4OM!\[[(/.6(?B:V4X>BZPRP4BG_,R4V8TQZ!-^A+>SAB!G*;R_6K M>+E9/3,#&J\GEMQ`3DVIG%1)P:,WV4B/9NR<#Z4HH@&=)!H1D2'22"WM?J?T MWF4DT8B1\(^7F0$AS3!)!5,Y)X`H3M2E3_P1[XRDWLD1/(+Z7LF-!!O>3VH#PLD2F4<2OH_0-ID7$ MRTA&O.!X08GW=_NR>2[SP-)@GX!T-WFSB#UU][*_/GNH.;B3[?V[A!KJ$Z[Y@#N!- M77>G'_2%W7"G_?@_````__\#`%!+`P04``8`"````"$`TO]$$WD"``#@!0`` M&````'AL+W=O%KS1+>3T!2R]7GS\,-]J\VAK`$>0 MH;4YK9WK9HQ948/B-M$=M/BDU$9QAT=3,=L9X$4H4@T;I.F$*2Y;&AEFYCT< MNBRE@%LM-@I:%TD,--RA?EO+SN[9E'@/G>+F<=-="*TZI%C+1KJ70$J)$K/[ MJM6&KQOT_9R-N-ASA\,9O9+":*M+ER`=BT+//5^Q*X9,BWDAT8&/G1@H?C"R^R!8P;&R3;\!:ZTJ<#B?)^#(=9@@G:[#N3GI*2L3&.JU^15"VHXHD@QW)$-7OG@^2P72< MC2?_9F%143!XRQU?S(W>$AP:?*?MN!_!;(;,>V=11^_U;U;1HR>Y\2R!"UU8 M;,_3(AL-Y^P),Q4[S#)B+BDY8$X1JSW"MP+E]1K1^;'&/Z>^E^+!KZ6,3E^T M/,<,3A&K<\1TTD-.Q&%HQ^)\@$,A@S$^&"LFZ)(C]$'ND*5M)NMT2_?C[VN,:NQ?QQ MW]\4K.W!8DL;*E^T*?+:8OYEUS&.MPW4_1Q-<''RUA>O[%M:<"98)7VP"PSH MZYIGP2P`I]6BI%"!BMWCI%JBNVB^B4(4K!8ZH-^4',3HLR=J=OC$:?F5=@32 MACZI#FP9>U32+Z7Z"C8'KW8_Z`Y\YUY)*KQOY`]V^$SHKI;0[A0J4H7-RY=[ M(@I(%&S\.%5.!6L``/YZ+56/!B2"G_7_`RUEO41)YJ?3,(E`[FV)D`]462*O MV`O)VC]&%!VMC$E\-$F`_K@>^W&>1FGVODM@B'2!]UCBU8*S@P=/#=Q3]%@] M@]$5I%R601/$&FQ5&S-IHI\LX:6[$Y M*50K`&]@A,I=Q@1Z^';Z)R2UR4:*,_M^ZS!;& MD22IC;`VFLE(XP2[N:2P&,%DS'@Y/R5>(@C@W*[D7+MN^]IHA+/PEDR%&>!P2&X'DR)W="F@Z\!,QJX_0#OAG9)8;%E-ILZ(!/8?#D\M82HU%D.MYLEI^?#`L03M0X/`7X_NE0FUS`F0-H-)<`C>(]0#4%1Z^8 MR\DIL0,V"1TPHS&W?>NQ&Z\G219.S]%;R0RK8 M&OI3.&'&ULK%S;OI^? M]OM+"0JOY[ORT^7REE0JY]W3_F5[OCF^[5]A>3R>7K87_/?TK7)^.^VW#^F@ ME^=*6*TV*B_;PVM9*R2G:S2.CX^'W;Y]W/UXV;]>M,AI_[R]P/_ST^'M3&HO MNVOD7K:G[S_>?ML=7]X@\?7P?+C\E8J62R^[9/#M]7C:?GW&>?\9U+8[TD[_ M(^1?#KO3\7Q\O-Q`KJ(=E><<5^(*E#Y_>CC@#-2TET[[Q[ORER#9A/5RY?.G M=(+^<]C_/.>^E\Y/QY^]T^%A?'C=8[81)Q6!K\?C=T4=/"@(@RMB=#>-P/Q4 M>M@_;G\\7Y;'G_W]X=O3!>&NXXS4B24/?[7WYQUF%#(WVHW=\1D.X-_2RT&E M!F9D^V?Z^?/P<'FZ*T?5FUI8OVT&X)>^[L^7[D%IEDN['^?+\>6_FA4HKS*5 MT*C@DU0:-_7;:O01D9H1P:<1"6_"9CVH-Y0G!4>'-3T'?)J!37OP@G$-,PZ? M9EQ@QUUYYK=&`Y]TYM`LDQ],7,6W#3K]5JC M>8O)N%(FI#Q37XS,QPM"2+FGOF3.7%E6*KK0I76SO;UL/W\Z'7^6<#."UOEM MJVYM0:*$J6+JNORZEE5&RP`JD(Y"N0'H"Z0MD()"A0$8"&0MD(I"I0&8"F0MD(9"E M0%8"60MDDT><4..6_$^$6LGL]U&&$EJ]>W2L,-HD:BF@VB1O!XDUUS&JFA%&27:A@UW'KC"# MOS77WVEF)W]G`ID+9"&0I4!6`ED+9*,13X!QBW,"[+E"T0NC2U2QW5!JI!%E M%V3+(&D'4C]A&@3%([M$HY#',R/1_'0-TLRD>QDG+U1W)[J?D4AH((2&&2.UAF)A#8&24_-J0"J">1DB.Y>W*C>S/6U/55Q,\=`^=0AR$YPVT!.?8]" M=G%U+(M.J$M:=@70LRP[-U'([A5]RR*M@=0:2M9(0F,::$]H8EEY)]@)32V+ MG)B1ECVAN67EM=@)+2R+M)92:V59>2WV8+.V+-+:D)8G=53G1#:^TM0IKC.J M!\P*C8$B)&JNBK#$;AD6>HGD7]M`=3P89@/#B)U8Q[":U?1^$T6UH,;FL2NU M>U=I]UWM1K4:LW`/I/3P*NF1*QW%M;#&^@YCJ3VY2GOJ:C=J410Q[9G4GE^E MO7"UZXUZR&K=4DJOKI)>N]*-.$8OV2U_&T?;K7:J4?1K*:M;3&@,4.;=J]<0 MR.((-]\L\\0;4/`TU;1GL&%8.ZLJ! M/"M)O4^4=T/\S7"#-1I&\91DZ_R.F84R@@E;E<*]2PKO23K M8<3N3GW+()V!U!E:5JH3QM68+81'ED)"8RDTL2SM4)VWTJ>603HSJ3.W+*73 M#`)V0U]8`LDLIJ84:#0676E4,^R=`'P5*3L4*0SD#I#IA,UJK=LV3^R%!(:2Z&)9;U;D81# M,ZDS=W5\%4G(+*7,RI7Q5B2ALW%TW.Q1W3^>/6%#[=YZ9U,7M8/47A%>B#3$ MEBRLJ+3,0*<0Z8%U<]7?\E!US!@0*%1=*=,S4"W_F.@I1/I@8)'60&H-[1%5 MV!O"I9$ED,Q8RDPL2\D$097=AZ:60#(S*3,W4&X!MY#04@Y<&Z.JL?56S[":.(IER25;GII9%\K.KY.>&53P3"\LB^:6!(E8%8T)BK:\LBK8V!WIT)-T%5*_/7 M$E0W09U'>`VQH5NH8RI!G7*FH>(ZU#$#U8O3.LGM15&-KL8X9"!:==M=`[ZY` MTOSJT4`\.&7R\N'#LDA^8*#<8FE(K$)71Y9%6F,#%;LZL0.MJU&-K<6FED7R MLZODYS2P<"86ED7R2P/E9F)%+'G0DW5U7+7!33C^:J[KOG M5Y`X$U5J65WE*TC#RE6`MH&:[A2RT^X0JY'>>AMAHQZSEW1=J=VC487:?6)I M[=M&&+,K92"EAS2H4'I$+"-=#9M-ICV6VA,:5:@])9:9DD8S;+#IGDGM.8TJ MU%X02VO7&XTZF^VEE%[1H$+I-;',E(2UF+_VVSC:;O:JMP$B>Z_I`(9J)%M3 M:BBHVCYMR]#R6-N#=3Q8UX/U/%C?@PT\V-"#C3S8V(--/-C4@\T\V-R#+3S8 MTH.M/-C:@VU)"M6^XX'54)2/JX#:9F".U9%05T(]"?4E-)#0 M4$(C"8TE-)'05$(S"@]<3;-CVX(T$.X,]>`@A)+3/`BGOL=MAF*@%F!R#U572 M]UJP5DK42DB.P3(G48L8:<$*)5'K#VG!>B-1JPEIP:,.?/--/1Y1Z^I;UQ%GX\G<,WGP5/W/#-9\%3-'SS M6?!,#-]\%CSAPC>?I1W$B6IUR1E%:RM1C2MI05RA1 MS1]I06^ M^2S8$P???%49V]S@F\^"36OPS6?!/C3XYK-@:QE\\UFP40R^^2QSE!U?;<'^ M7&CY*N(R3I9>PPIURB>%[;DXN$]J$V,UX#,,XD1M7)8E;Z@JJ\\PCA.U8UF. MF*#B^KS"9F9,HV_$+$[4AF4IU49!\=83E%1?#9R@./KP^SBY]QZ@%2&ULE%;;;J,P$'U?:?\!^;T0DWL4 M4K5;=;?2KK1:[>79`1.L`D:VT[1_OS-V2H&0EKP0F(S/\9D9CV=]_5SDWA-7 M6L@R(M0?$8^7L4Q$N8O(G]_W5POB:M09Y\8# MA%)')#.F6@6!CC->,.W+BI?P3RI5P0Q\JEV@*\598A<5>1".1K.@8*(D#F&E MAF#(-!4QOY/QON"E<2"*Y\S`_G4F*OV*5L1#X`JF'O?552R+"B"V(A?FQ8(2 MKXA7#[M2*K;-0?XC9YJ7@;+`)`VZT2``@R[ MIW@:D1NZNJ4+$FS6-D!_!3_HQKNG,WGXJD3R790@"(6MDI<[KF.(*,#XX1218IG#!N#I M%0)+`R+"GNWO020F@[>9OYA.)[/%'&"V7)M[@9C$B_?:R.+?T>N(Y5#"(PK\ M'E'&,W\Z'XTID'X`$K@=68%WS+#-6LF#!U4#E+IB6(-T!<#]BD`*^MZ@A\)@V?MQ"T!(++<('H')'P_=@ZIP'44`_#J='94M?! M=18*YZ01AVE_?&>74*%SF\I9*+7GKUD>$(FF!'ODZ-2'K;U?H[BN3>$L0-%4 M,^M7@QU[\'%`YS:5L_2H6;9Q44U(YQ^KP75M"F?IJ)GWJ\$,#I=CO=MD1U./ M(-Q`$]KF9[[$_O=!@NS*#@V"00=JIVAQ1M1%C8.Z1@$'JZ[NHZE/5*=9#$X3 M=4VAQ>),'4W+,YHNZA6T;A9OFIQI#&K?CNQB=(8-S_?@*L>+KE.#1U-?!#OM MP)9%N!A2%J>]@=;-H2GJS'5".PWC_2YAO3M%6/<)B&JKD<-H<4F\3MN"!0`V M.QLX:#=KN*NXX&K'O_`\UUXL]SA'A'"YUM9ZQKD)L8B[]LGJQLT^0?T/S!X5 MV_$?3.U$J;V&PO M=V]R:W-H965TP(0D3112I:NZ M3=JD:=K'LP,F6`6,;*=I__VN;<(@D!9>DG!S.,?WGLOE;NY>BMQYID(R7D8( MNSYR:!GSA)6'"/W^]7ASBQRI2)F0G)=F,*](?1DVS]=F3&3Y\%2[ZQDD*UP2?MP)[S)PW]FN@0W.SU[GXT M#OP03D)3BR'8C^,F!G@%)61'=@7@-Q,/Y0"(:N]/@""V1`V>58,+S M=H;QQGN&PL4UYMYBX+/!_$=X(-HH@]IX90W6RKJR^BCW-M"6"9J#=&1F4V0T M.$+PV1R^GZ#%A"U,.*P,D/$):C`TQ=NUM:`1TM!4XZ4UV$@WQ;41#$])JPY7 MZKN8(J7!72D;P:;3.[Y!)=HIF`&5US%E<2F302<#,3 MF@>S#EV4;7E%[6(*C/>K/Q'TNZ[OU^T5X4DS`?>'0AV"-"'SSE3``V,A",&# M=SJP/Q<,4Z\#5UT0` MK]KG=V]_&:?V#WJ,B!?B?BP$KIY#0%3M]=@HW";B_V0O'* M[`![KF#M,#\SV#(IO&)]%\`IY^I\H;UH]M;M/P```/__`P!02P,$%``&``@` M```A`//KLQW;"```/R@``!D```!X;"]W;W)K&UL MK)I=;Z-&%(;O*_4_6+ZO;;!-'"M.M3;?4*FJMNTUL4F,UC86D,WNO^\99@[, MS)DECKHWR^;AG)?AG:^#X>'W;^?3Z&M>U45YV8RMR6P\RB_[\E!<7C;COS_[ MOZW&H[K)+H?L5%[RS?A[7H]_?_SUEX>WLOI2'_.\&8'"I=Z,CTUS74^G]?Z8 MG[-Z4E[S"YQY+JMSUL"?UI/9LYTW-67,9<85W=HE$^/Q?[ MW"WWK^?\TG"1*C]E#;2_/A;7&M7.^UODSEGUY?7ZV[X\7T'BJ3@5S?=6=#PZ M[]?1RZ6LLJ<3W/?[Z?T4E!X?#@7< M`;-]5.7/F_$G:YW:\_'T\:$UZ)\B?ZNE_X_J8_D65,4A+2XYN`W]Q'K@J2R_ ML-#HP!`D3TFVW_;`G]7HD#]GKZ?FK_(MS(N78P/=O80[8C>V/GQW\WH/CH+, MQ%XRI7UY@@;`OZ-SP88&.))]:X]OQ:$Y;L9S9[*\F\TM"!\]Y77C%TQR/-J_ MUDUY_I<'64**B]A"!(X&D8'$N4B$HTBT%A-K,7/8Q0?R%B(/CGC!R<)>WJW: M5@\D@FQ[NW#$"X+E`PF.2(`C)MS4PCN1!T>1M[BMA3`QVQ;"$2\XW,)[D0!' M3+BIA1;(\JYG@XYWJSU9+9<+9W4W;+_5C1KXCTA=W=)O%HX4]I];6COEP[4= M_6[69(\/5?DV@B4%+EQ?,[9`66LFAN.>=V4W$WXT$6`&,)5/3&8SADZ",5[# M[/WZN'#F#].O,./V(F9+8RPU8H<1;'HQ65<'G@Y\'00Z"'40Z2#60:*#5`)3 M,*YS#PS[&>XQ&>8>WO<606^GK5F%$9CBZL#3@:^#0`>A#B(=Q#I(=)!*0+$* MEJ:?8163@;55&FCV0A]H/,:&I:8?C9I]74CG'R$>(3XA`2$A(1$A,2$)(:E, M%"-AK?X91C*9S=A6I^Q"M6DK@H:<[$(Z)PGQ"/$)"0@)"8D(B0E)"$EEHC@) MB[/BI'FOQR6.1;>&X8UN!8$-HQMG]G*F6KCK@C#-)<0CQ"J"UT>A#3YJ28;V4;*C*U4K[*-0*Z):,8U**$HQT6`K*X[E M.2[9.CS=V>./-BP%6D(5V8\Y1]]31935.^)BHK)2S#5'/(Q2UM*Y-@U]*A]@ MXJ!\B%%L0.%SD.UH2W5$Y6-,')1/,&I0/E7DE36#/=_1GOK@'M:*:..?U_Q+ M9;EU]%4:$_LEQQ5HJ:PPM-.$/*R%DJO::NY3^>`F^1"C8-WHY?4Q$5'Y&!,' M6Y]@U&#K4T5>[308$_^_TYB(UFD<.;`H]K?M:*O[SN)1RDP3B3!Y^T3::2)* MGBY!);('5O=K0ZS^NC<#_U*0HH"BF**(HI2BA*!3+4 MVH!4"]\97.)11QY<'+U3;K?7V8P=N;81B7#HUX2E-ML]3.R?;7Q$4LF-2-72 M^B+LH[`O(D2]5HQ(U=+V^Z2/0JT4D:'<8<\Z\M1^QV46K@U)CN3:VQ)(ME0@ M.$B6:NNSAXE])_J(^A4B0*1JZ05X'X4V1(AZK5@@N0:G*,5$@W_LD4;V3RH7 M/U"%\P$\@;73V*,JF5X?[30FHG4:1^]4X3:/XH.)OQD3:+A,]C!* MK6-)IQ'Y`!/AC-0=6F*(4:J\7H6+**GU,28.RB<8IJR*N=!HE#G79; M$6XS%:W7.+)F_/4]^\EQ)\)DYAJ89V"^@04&%AI89&"Q@24&EJI,]8X].LD# M?G@3@4\SB$D13%%`44A11%%.44,2^-6$WQ-O%G>'?CO"W MY^>\>LEW^>E4C_;E*_LN9'X'/V-WF'^TLK7G^-6*=@8^9_EDLZU!XUOXS*4U M3.:T&X$B"\ZT);UV!NK]-:NDJ!J4_6M6/=$S4-=# MJTUGHA6(M;\K:Y>)5Z!E.I&N0,ITPK66D&(T$R[/ZE3:L!VX7X- M;POH%5QK!JTU*?DK:*SI1`"#PG2)X'X-[Q'H)0*X!/LY',Y,N_Z%S[>NV4O^ M1U:]%)=Z=,J?81K/VM&ULK)E;DZHX$,??MVJ_@\7[40-X MH\8Y-8KA#A4LZU8U5=K<&@3([I.2[[^36]P)U]7ISC"OXM#H/R6J3Q MKG8ZGP;Z<#@>G./LHK$(5O%(C'R_SY+4SI/WH)Q?Q(S3D3L^A\4_IPE M15[F^ZH/X0:LHWC,L\%L`)&>GW89C(#*WBO2_5Q[(=:6F-K@^:D6Z*\L_2A; MOWOE,?]PBVP79I<4U(9YHC/PFN=OU-3?403.`^3MU#/P6]';I?OX_53]GG]X M:78X5C#=(Q@1'9BU^VFG90**0IB^/J*1DOP$'8"_O7-&4P,4B3_GF@X-9[OJ M.->,<7\T&1H$S'NO:5DY&0VI]9+WLLK/?S,CPD.Q(`8/`E<>A!A]4Q]-IG64 M.YXF]X2K:/[6^AT_Z%O=;;B*%LEC+8ZY)UQ%BW?'-N'VNDGZ@_OJ_0D9SHP)Z'1'32*R@/[@GK.'>DL@;UB; MMP1Z=.Z)2!OZXVO]%6D#E24\S3XQAV.:M/<&*O*&ELAC\@Y8P=3U9\=5_/Q4 MY!\]6-1`JO(:TR626#2ZD7/#):V:OK4UF]!;/18<&]I;ALLFQ,&H41 M62'B(.(BXB'B(Q(@LD8D1"1"9(/(MDTDM6'=0FK31>2+BP<-`\]N>?50LG?! MC>[IWY@T^B.R0L1!Q$7$0\1')$!DC4B(2(3(!I%MFTCZ@]1(?QT>T%^>`1JH MG@&AW((3>'XWZ:X;II+PC9%PLQ%9(>(@XB+B(>(C$B"R1B1$)$)D@\BV323! M(?LDP>\O*]1:5I636;-L+Q&Q$5DAXB#B(N(AXB,2(+)&)$0D0F2#R+9-)`FA MRB4)ZPT';-8AT8Y9\K;(V3Z]0UD#]A5LMT%CR,(R8M1'E-IFR0@9-U+;C)A0 M3:V4'LDIO6J,1$H[B+B(>(CXC+2:#QJ;=O-CN?EU8R2:#Q&)$-D@LF6$-2_) M3T_,:+_W1?EI#%E^1MKR,](:O\V(.:IWA_J0&/+05\U],72'1[UM$)&?7K6Z:@!.!F((J".\BPP8DR;E%]R&Z,A-B/FK2Q6B#C(RT4V'B(^\@J0 MS1J1$'E%R&:#R+;M):4W/33^-SEK3UE/C@QHK;5B3.2\77(K#?\6EBQGNNS MV8@HL4,<.Q)>=V-OA-7=KF^E\'(&T(,76N$>*2CZVD"I*([:)26L6C7%D7E; M(%88.=C1Q58>1CYV#+#5&J,0.T;8:H/15G*4U:4'+U7=$7E@N:+O6%1U&9+K MRQS*6;KDCE)],4<3%M5;>IO*VX05=P0KL0H[`DDI:"I'#5=8R76O9+AWLQ+A M?8Y:70TX&@WK(A^1L5+CZYN!"!/B,!%'YMTN;6Y6(M96BB5/)3W6J5-)'BH4 M?B"\Y?N"OOR"V25#]DJ5OKQ9=C"[@ZTZF-/!W`[F=3"_@P4=;-W!P@X6=;!- M!]O*3-::'N':6M]_M-,7@FJM,&2T]47(YHXMJQ5&#D8N1AY&/D8!1FN,0HPB MC#88T8\.5`DV("8I^XC`7F*>T^*0+M/3J>PE^3O]0*!/H=`:S+Y>+$86'.F@ M)%0^MN"]2"F^!"BW+&);M$5!T>#Y<2BBP6^`XN#1>L?WX%Z MMV@UXSOP)>:EBR_H%YH.^X5NPG%AQ9,'>G%AQ#,`^F%APM,(^F%AP7@`^:C((O6]?XD$9Q M<<@N9>^4[B&QA_4SMF#?QM@_57ZM7^"_YA5\TZI_'N$;9@J+[Y`>J/=Y7HE_ M:`/-5]'G?P```/__`P!02P,$%``&``@````A`&O+*IG0#```^4```!D```!X M;"]W;W)K&ULK)S;@>)^!VR'$*@D MNU;`9[MJ:FH.URSB)-0*.`6LT]M/RU);AU\AL&MN-EF?ND7K;\E6RV;?_?EK M^S;XT>P/FW9W/PRNQL-!LUNW3YO=R_WPW_]*_K@=#@['U>YI]=;NFOOA[^8P M_//A[W^[^]GNOQU>F^8XH!YVA_OAZ_'X/A^-#NO79KLZ7+7OS8Y:GMO]=G6D M?^Y?1H?W?;-ZZIRV;Z-P/+X9;5>;W5#V,-^?TT?[_+Q9-\MV_7W;[(ZRDWWS MMCI2_(?7S?N!>]NNS^ENN]I_^_[^Q[K=OE,77S=OF^/OKM/A8+N>YR^[=K_Z M^D;C_A5_;0_M\O*+N1C)0'/-L-!M13P]W3QL:@9!]L&^> M[X=?@GD=S8:CA[M.H/]LFI\'X^_!X;7]F>XW3]5FUY#:E">1@:]M^TV8YD\" MD?,(O),N`__8#YZ:Y]7WM^,_VY]9LWEY/5*Z)S0B,;#YT^]E'MU'4ZFM]VWG_"\5I[T MJ;^Q#_N$(P74C9<^+_S*&^5)G\ISGJ04^5'G\HON#EOD+1&NUCI M\\)89\J3/I6GF=43\@0T`>5\$#-1YOK M1.*/\R(>R370+:GEZKAZN-NW/P=TG:*X#^\K<=4+YJ([7DQ2L'YY?;2Z:%F) M7KZ(;NZ'E&]:.`>Z)/QX"&_#N]$/6L9K9?.(-H%ML6`+L69%MTL7Q"Y(7)"Z M('-![H+"!:4+*A?4!AB1DKV6"V@"6=C3[0+N(UJ3_NLXS3WC1%?SDS),V(5W&^NEY[GL.XDY*$_*D(WN'XNAK>1 M,QM[(W9;`HF!)$!2(!F0'$@!I`12`:E-8BE&4^,"Q82UK9@BW8ZRNRTL@"R! MQ$`2("F0#$@.I`!2`JF`U":QY*'E92AF7"!/,+:ED<1>T)-G(M7;]1/*"`QD`1("B0# MD@,I@)1`*B"U22S%1'5P@62=N:T9(V-.(5HBBA$EB%)$&:(<48&H1%0AJBUD MBR6VQ>7#N&3=.#-,6_53#%&,*$&4(LH0Y8@*1"6B"E%M(5L_ ML36^0#^YDZ8-&LOP**I)(:DYV0`MT2I&E"!*$66( M();:+9MB*61/MJD[V7HK5GDI"F5;Y1A1@BA%E"'*$16(2D05HMI"MGYBBWN! M?FI';.JGD#G9`"T#0#&B!%&**$.4(RH0E8@J1+6%;+'$[O8"L=1FV!1+(7NR MW;J3K;?2DPU0+&HY>_XEB%)$&:(<48&H1%0AJBUDZR>VOQ?HIW;+IG[F!EJ6 M`0&@):(848(H190ARA$5B$I$%:+:0K988GM[@5AJ-VR*)5%$2\^XC<[0*1680T=@Y+"S0 ML61T,HA*6W$0-:,N"#L78B]]02[4UMO,A41V+F9C-Q?2RLJ%1FLF/QD[R M"W0L&9E!@&.EK3B(FA'J'EY6`W7FMNX*:?D6BI@:@U&,1@DC!DC4V/YA9;&D*\"'4M&=A!.HBMMQ4'4C#P:7U9> MA5A>*:3E6RABR+<$HQB-$D;V\)P[=*JM>'@9(U-C&:BE<31V[KT%.I:,S""B ML7.CJ+05!U$S\F@L2J/SK]&AJJ2,^Z5"IL;2R-)8(FT4*S?#*&%D#\^Y\Z;: MBH>7,3(UEE_H:.ST5:!CR<@.PKDI5-J*@Z@9>306%96IL7QH>R6>RA]?-^MO MCRWMP6CA>4X_(WHX*Q_9AJHN,Z67B,H@CF*AK`Q9EPH95C%:)0I-=7&8(LK0 M,5?(Z+Y`JU*A:W.'&XV=?%3:B@=46WU96SWQYL9'LGJ4)/->2N'IW/$DHI1T M#\/'@7/K7G3?1EG2^BP5FE)9T^^AH[%SR8O1,5%H0G.T=PPCN&#+D":F9&'D M7'(R[#[WQ^5T7Z!C>59<%5N=C*NVNK?S)LK`#Y;#)WE3!:2Y!"2:3CEOSF5T M(9XBBUQ'_1I9*C2A%=?+[\D;.";*41P(]HZ>O*F0:"=N6$'>H/O<'Q?D#1S+ ML^*JE-7T9%RULI)ZV7FC2Z*5MT^2)TN,C@DC6P9GJY=J*Y8A8V3FPA,$ ME/8%.I:,S"#`L=)6'$3-"',A7A"Z(!>=N7T14"6@K#J)FY-&8;G.7:"S,G6N%1*;&DE@: MNT:QN*;;-]"$D3T\IVY,M14/+V-D:BR[=S1V^BK0L61D!^&>"6@K#J)FY-%8 M%'?F//Y+9P)B**[T$AGE^$)96=J#58Q6B4+FF0"B#!USA8P@"K0J%?KD3$!; M:5EE]')`UK8[$L71![*>WH%WGLXL5H7A*>3 M-XD^/A.(E(]Q)J#0)V<"Z)@H],F9@+(Z77MGV'VND!,7Y`T&5)X55W567+45 MEYTW4>:9Z^V312:K0NMVK-!M7_DN(D!+1#&B!%&**$.4(RH0E8@J1+6%;+%$ M'7:!6+)LL\12E9S\;9MX`V!!O]P3\Y]VI7QY7"**$26(4D09HAQ1@:A$5"$2 MOSO4T4NQY.\(Y8^>MLW^I5DT;V^'P;K]+GXC>",.Q'LL?\#X&,WX%XQN2Q#- MQ2M5)`VT7%-+MT&!E@FU='=L:+FAEAM?;^%T+@Z#/-\3W5)LW>1V>R,7KP.UID-TIF=M/,*:HNI]@0@O]LI,N3)ZH@I!:0D\+W93G%=URT8<.6&@DOA;Z M`>D77U^/XNL]/3W2EWOM*5F^7'VYGG^AB8(A/5(.O2FD#/H"?:3\^=)'&YUY MZAT:'6W-Q08'O[N@%K&IP18ZPIJ+`RI?RXQ:?".ADI]D]R61"E5J\7IJ+ MQUK80B\QS<4K2KX6F@?T=HROA>:!W#4Z2Y9>5:`9XM.`'K!3BT\#>BQ,+3X- MZ&$FM?@TH.=QU.(;SX+&(YXB8M3T&ME%?.UT#SP:D!OWU"+ M=QZ0!N*-$$]OI(%XC\'70O/`JP$]5:86GP;TR)-:NO&,^C30#\_?5R]-O=J_ M;':'P5OS3#>=H=B]_NB[_<6S?NT>V7]LC_>2\^_.5_A<##=V2Q^*W0,]M M>^1_4+BC_G]:\/`_````__\#`%!+`P04``8`"````"$`AH,.]$5UD^-J;=J3J6F@*L.GO+JLS1_?HR]+TVC:M#JE!:[0VGQ'C?EU\_MO MJP>N7YHK0JT!"E6S-J]M>PLLJ\FNJ$R;";ZA"KXYX[I,6_A87ZSF5J/TU)'* MPG*FT[E5IGEE4H6@?D8#G\]YA@XXNY>H:JE(C8JTA?$WU_S6,+4R>T:N3.N7 M^^U+ALL;2!SS(F_?.U'3*+/@VZ7"=7HL(.\W>Y9F3+O[H,B7>5;C!I_;"2II'=FQ:7_](@NY>B(DXO`L]>9#EQEI[MS?^'R*P7@6?/ MYP.+HS,%GFPH\\G,\1;+)URQJ,/=A!W2-MVL:OPP8!6`A\TM)6O*#D"9S13U M=9B[CZ8.YHR(;(G*VER8!LQ*`_7VNIEY_LIZA1K)^IB=&F.+$7L600J"R!YD M()2!2`9B&4@XP(*D(Y3R?BMGM^J#/#!A"!@,4)%202$%B!4EX1#``MD?> M@,_GF01W>;+Q[2BR<(9ZWBO(04%"!8D4)%:0A$>$',!2/H=N2X+M'RKMFF.1`OK<&4(3G>D1VE>0 M$VE/$9NS88CA;/"ELR]4:)&&!DWJD$]G>JS0$BUM/$<%&WS5!ON9"B$\T8<> MX7R@"._#$#/ZX$RE!18JM$A+DQ98K-`2+6U<8((/-I2H7`]/&=$112<8!.0%C42$P8)!(_V$)L MTE!)?CQ7,[03@^:!9;_KM*"_GG+K1X,=-%BHP2(-%FNP1,3$)4$Z*"Z]SS=& MN"K*.T(/N7Q*-(J##FI4J$*1"L4J1.ZK9!!4GB9#[Y_T.E.B^H+VJ"@:(\-W MN^UZ&PG?D?LPF3`9=P+HK#6X&T`/JN+;6;"%<:I?[&8!]&P: MW`N@#]+@-KP9YD_W#;R;OL,:1@MWYUMZ07^F]26O&J-`9\A_VC4#-;U]TP\M MOG4WOB-NX=;<_7N%7TD0G&Q3,6[9!WBU-?SNLOD/``#__P,`4$L#!!0` M!@`(````(0`-X:+L.RP``(GM```9````>&PO=V]R:W-H965T%[D?BF6R&[3\LDG4^'_:^EN6VK1A)[5#+XYFW M_Q,L)!/`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`TZ(N__??[[]\=?O_WQX^O%[,UV/KM;;LGEE_O';]%'8_GZU8>_'K\] M?/[_DVANK2:3A36AO]9DN7FSWLZ6<]KFM8)+6Y#^VH)W-Y5;V7+TUY;;OEGL MUO/UYHD-4G7.NTM_E9K>N+L;:T)_GU7KK2U'?Y]7:SI9S[6FO[;@8BN-=*5A M[FQ!^BN[.U_-GCI,<^J'4[CN?2CF^O+/6DN M7>FV^G)/FDM7NK&^"^Y+YA_<(6[KO@ON2^8?M_2'M]/H=AXLC^^_O?_IAZ\/ M?[^B*Q"5?_SSO;F>S??&C(?)Z=RY#)S?&S=IP#0N/QN;'U_3<:BE66F8^&\TJ[$QS6VMWY#PA=6HSTW*3?'.$IJG M7,[5Y786G*T7$1<[`CD!B8#$0!(@*9`,2`ZD`%("J8#40!H@+9`.2`]D`#*Z MQ&M!.G6>T8)&[;>@)7>7R^H!R!'("4@$)`:2`$F!9$!R(`60$D@%I`;2`&F! M=$!Z(`.0T25><]%PZ#67F>(NUF^H>9\YR35&?DM:0E-_YUP,9[47T>5X-`QZC7M]-#5JOP4M M<Y7X;,G+..41'1"=$$:(848(H190ARA$5B$I$%:(:48.H M1=0AZA$-B$8/^8UH\@:0]J'4-%W(_OCXX9_O'NAZ1AIE-%U2=L?F?*;D`]UN M\'GVSN0XZ8Q=KB[H8!&E\UAUM&A%4V3GLKGTI[`G47'!"%&,*$&4(LH0Y8@* M1"6B"E&-J$'4(NH0]8@&1*-%TX'V6]MD&-S65IJ5E@6G$ M@\E$4U-OIK63*5MG$)2/?*TAU5J)BKYJ1>#6,/*]=<"O7BHJ].D;BU3/RO8(K MXR`J]AH9G=O1[S8F7?&,;F.S&^YP,"&OVUCD=IL);<_K>>>AY606*ZAS.2BR M:"-7C9@130Z=_K;QVS41%>]SRDB\,D:NU_PN\,I%Q5X%(_$J&7E>RZ`M*E&Q M5\U(O!I&KM=R%]QBM*)BKXZ1>/46.4=U0#1R0:5#F)R&VR&FQ8(W9D'T&9<- MFQEQ^\F$O'YBD=M/)D27#=[)DUF9HG[BH,@BKY]<5&X_V8;]Y*)B^Q2],HNV M9^X@IB2@:3O@DM M:5XIY^HNN.8?S&HA%:2U-&Z#HT5WTEU.B"(L&*,J091BP0Q5.:(""Y:HJA#5 M6+!!58NHPX(]J@9$HU?0'^+IT(YF`4X3!Y?_@UG7-05E*G&T MR$Q@+@47R^#Z?+*JW7Q:7EQLP]$Y0NOX)NO$JK9TV^I4(+BHIVB?W62?WV1? MH'UYDWUUDWV-]LU-]NU-]AW:]S?9#U;U_68=/6N_^])5\87=UY0,NN^$=C3U MN'2"Y2Z8<1[,LP7A"#6AE3NT+99![SG9@J3BH2U"K]BB]>SS53`#243` M-BG:9*(R2_'S]6X55"<7!?L4Z%-:='W7*E&Q5XU>C:CD^,)A:D7%7AUZ]1;9 MP[18[.Z"=AI$P3ZCY^/W(Y.O>MF5SF:ZY.KTSCQ!0CTD&`:#=CQ8E3<,3@7O MS!VV:;1@PGBR12C.NQ2A2\R;WUJ7S2JXH4A$P3XI^F2LHDI=3@=HKEQ4[%6@ M5\FJJ4[K[3S8M4H$;%.C3<.JJU5J1<5>'7KUK)JJM)BO9\&%:A`%^XR>C]^# M3+X,>M!S$RHVZ>9VI@D%@U(P=3V89X_"06E"=[NI&\R"\_]DBU"<]RY"EUA4 MYT=Z=L$U.9$XNZ3HDK%J&M3FZ[O@4./:NF_:(^!(.0;02YLQT]&Z\+F:?`L`NMSW=7UZ?;YY+^Q9=A\!RXH(\J1"R[._6:YG*V#SG82!1^;"'UB49F>LUC.MD%[):)@ MGQ1],E&=!\7M:A7<,^2B8)\"?4I1&9_U=AL,R)4(V*9&FX95U+"7XPJC8BLJ M]NK0JV?5=*BW=\MU,%(/HF"?T?/Q^X_)O<(0=%/_F;*V;L+//`I((TIPNQ:< M)@>KHC[-]3M:9*_,JQG,@T3`92*TB45EFFNU7@<9CT0$;).B32:JHOL`9XOELMPU!$% M^XR>C]]K3,[V9;UFRO9ZO69"2_<"O;P+>O5A80NZH\Z$=FY!.*U.MB"I>,44343%7BEZ9:*ZXI6+BKT*]"I%=<6K$A5[U>C56&2GBG>+H$.V$F>7 M#EUZ49FS`UP&B;/+Z+GX'1)N0//W?!&'"@R7,X[;&(SX[= MXBZX7)Q$P3L5H4\L*G-HMK-%<+(F(F";%&TR41F;Y>(NF/CF(F";`FU*BVA\ MD:ZS#+TJ4;%7S8BF%G*Y6@65:%CEVP<'KA45VW>,KMKW5L4W:[-9F-H91,'6 MHT73I<7O:"9/ZW:T)R9'4UK7ZUT6R67KL`!T1'1"%"&*$26(4D09HAQ1@:A$ M5"&J$36(6D0=HA[1@&CTD-^(:F[YF?=+YI4FFJ1X36O3S+)&<+`JRB)QYSI: MY"]`AW3:>F=E>(&#DK1(R\NY[PQN,D*FE7:R\SBUA4,G32JW_! MHI&HV"ME)%X9([]>P24E%Q5[%8S$JV3D>P4S\TI4[%4S$J^&D><%"]"B8J^. MD7CUC'ROX%(SB(J]1D:X`$4G]K.ZS92']8:#"7G=QB*WVTS(61<]G3?M+T!; MY"XL,J+RE\OK,KRS3$3%^YPRDBM0QLCUP@5H4;%7P4B\2D:>%RQ`BXJ]:D;B MU3!RO7`!6E3LU3$2K]XBYT`/B$8NJ'0(FJ%XX\B+%J`7QB6X;$S(ZR<6N?UD M0LZ"ZLEZ.2BRR.LGEX)N/PD2*PEZI>B56>0N0",JL&")J@I1C04;5+6(.BS8 M6^0RX33W$Y.^*?%&/8F[X[O%A/Q;"EB`MBHOHS$5=!>@ MK M2_IGL47!RDN0=SQP02?]8-$3"]!L/RU`[V;KN^`,CM`ZOLDZL:HG%J#1/KO) M/K_)OD#[\B;[ZB;[&NV;F^S;F^P[M.]OLA^LRBY`*\TZ>M9^]WUQSG6).5>+ M@K6>8,9YL"IWA++H^BKM250\)D;H%5MTN5FG%8!@RBL*]DG1)Q.5R7RLUKMP M^I&+@GT*]"DMNKYOE:C8JT:O1E1R&88L8RLJ]NK0J[?('J?-9KX)I[JB8)_1 M\_$[DDF`ONA2M[395.=29U$P#@8YP@,7=,?!RP]&.+N"O0Z!+SYJ>E MU=5F%>;@$E'PH4G1)V,539XNLVMHKEQ4[%6@5\DJ7A6_"Q\8J$3!/C7Z-*RZ M6J=65.S5H5?/JJE.F\7=*CC7!U&PS^CY^%U(3<`^,Z6RQ%RL1<&P%%SZ#E;E M#4N3EUV"7LZ#A.+)%G&7H-$E9I5=/)[#2I`(^""E:).)ZCP>K3;AW;<(V*9` MFY)5=EE]&Z2D*XFS2XTN#:OH&O#]GMV*BKTZ].I9-1V?S7P6'.9!!&PS>C9^ M)PJ3JS=/N>F=C_"NRJ(G%J&YH#L.35YWT\KH;K[4B((/3HH^F:B,SWJVG`47Q5P4[%.@3RDJXS.GBT8P*%>B8)\:?1I6 MT9W)M?YCCZ+<@'?HU;/7=*SI(8;=+#C8@TBX4J-GY/<@-;-[RS+T$M.Y%@4W M;4&RZV!5WM@S>?$ZT&(^#PJ=;"%2\$Y%Z!.+ZMQBRQ5D=T3!/BGZ9*(R/MOM M+!CJ;H#*MQ-FE0Y?>(GN,EYOU M'#K.I1789_1\_(Y#F<,73H%,R>!6<$)/K$0O;4%WZ)G0$RO1MJ"[$HU>L:BN MG*:)J/@@I>B5B>J*5RXJ]BK0JQ35%:]*5.Q5HU?#*OLXNN*ZV(F";#FUZ M49T[-M@,(F";T;/QNQ(E*U_8E4S)H"M-R!^#8"UZ.:F\,6A"]OQ8S5;;X!;A M9`MY8Q#XQ*(ZCT%WZ_#!]T04?'!2K$\FJO,8M`B?&LA%P#8%VI06!8O1P1!2 MB8J]:D975XL;5KDS[&6XQZVHV+YC=-6^MRINE-UL`?.E2[.Q]6@+38WK]S23 MV77OVZ[G)Y]XY36EB-^5LA@QJ;9HK<4\Z6.0N1EL4+$8' ME]*3J-@K0A0C2A"EB#)$.:("48FH0E0C:A"UB#I$/:(!T6B1LAB]"E/.UT_9 ML]R_(ECDKA8Q/6,?*_@\CN( MBKU&1K@8M0I3O4]T&\SOGAW\9Q@8N=UF*NBLD9ZLRD$1%Y1+1,R(+E].?PMN M,!-1\3ZGC,0K8^1ZX6*TJ-BK8"1>)2//*\P&5Z)BKYJ1>#6,7"]W6, MQ*NWR#FJ`Z*1"RH=XDK*]O:WH5>8OK7(&UXFE?NQ!:MR%E=/B"+VDOV.1>7V MD^!ZDXB*CV&*7IE%[F(TH@(+EJBJ$-58L$%5BZC#@KU%SO$:$(U<4&EN-;UZ M2UYCA3E5B\Q%2LY56(RV*O>>PB)GY?F$*,*",:H21"D6S%"5(RJP8(FJ"E&- M!1M4M8@Z+-BC:D`T>@6]>:"9@N$\\*8FQN3GV0Q>`PP7HZV*GG;ET^QHT1.+ MT6P_+4;36S&S8*2/T#J^R3JQJB<6H]$^N\D^O\F^0/OR)OOJ)OL:[9N;[-N; M[#NT[V^R'ZS*+D8KS3IZUG[W?7'F=8695XN"59]@QGFP*F^$FKRN+]B>;$%2 M<;^/T"NVR-ZL;Y9WPJ<0*%?0X#9+B0J"_0I+;J^:Y6HN$XU M>C6BDBL`+&ZVHF*O#KUZB^QA,N\A!E?S013L,WH^?C^B6?,+AT%3,KA7FM`3 M:]$K6]`=!B=DUZ+Q;6A;Q%V+1I?8HAVO^R["%^$34?"A2=$G8Y6;E8+FRD7% M7@5ZE:RRZ[[S\`F+2@1L4Z--PZJK56I%Q5X=>O6LLEG<^7H9+&P.HF"?T?/Q M>Q#-S[$'/3.ALC(F06>:4#`H!9W]8`MZ@])4T"Y%+\)7[TZVB+L4C2ZQJ,[C M2#A?2R3.QRA%EXQ5=D%[%?Y.0BX"MBG0IF25?1LZ&!DK";-)C28-JZXO1(N* MO3KTZEEE]^LN'*P'$;#-Z-GX7UEF-9#@[8YV3(DX'V*T"86E6F; MU3)\RC01`=ND:).)ZMSE8-$H%P';%&A3BNK+7?@JXR`*]AD]'Z_;D,\+QYAS2?_:9)%999!;>GCWF0LZ M$QV+GEAQ%A7O6(1>L:BD$C!-243%7BEZ9:*ZXI6+BKT*]"I%=<6K$A5[U>C5 ML,I.Z6:S(*W;BH!M.K3I177NV&`SB(!M1L_&[TIA=OCFYZ;6F"BVR!^!8,79 MJMP1R"*JYOF=1,$[%:%/+"KCLYZ%#X@D(F";%&TR49VKLP@O>KD( MV*9`F](B,_P[9U9P"U>)BKUJ1E=7A!M6^?;!>-^*BNT[1E?M>ZOB-MG!S><@ M"K8>+9K:UN]H8=;Y^C+$&M/+C.36^X#HB.B$*$(4(TH0I8@R1#FB`E&)J$)4 M(VH0M8@Z1#VB`='H(;\1U5SR,^^/UIA6MLA=<+;(77"VR"22+N?3*GRB\20J M[I41HAA1@BA%E"'*$16(2D05HAI1@ZA%U"'J$0V(1HN4!>=UF%9^XI3%7/+9 MP5\Y9.2L'#*BQ,FE77'!6532KM,6-[*`&HO*]0K2?XFHV"ME)%X9([]>P?B= MBXJ]"D;B53+RO8+!NA(5>]6,Q*MAY'G!@K.HV*MC)%X](]\KF)D,HF*OD1$N M.*W#=.X3W09SN&>'H-M,*GUI/*NZ68D+O@;%4.BK!@C*H$48H%,U3EB`HL6**J M0E1CP095+:(."_:H&A"-7D%_'FC2BR]*;ZL`T_)4O=QV?6$@M6=8,YYL"IOC)H* MFD3?92("6:^3+4@JOL!$Z!5;Q+?KL]DZ.(,24;!/BCZ9J$SN8[6=;8.S)1<% M^Q3H4UIT?=\J4;%7C5Z-J*X570=? M+5?!J3:(@GU&S\?O0FH*]IE)E0UF8RT*AJ6@MQ^LRAV6++*+SIM-,`"<),Y[ M%Z%++*IS+C8<1A*)LTN*+AFKILSP:KL+;DUS$;!-@38EJ^SKS^$G\RJ)LTN- M+@VKZ%A_OV.WHF*O#KUZ5DT[MEF$GY8?1,`VHV?C]Z$PNWIS&G^#B5:+GEAU MYH+N,#1YV=71^9S&5N@[%PGO581&,==@6K[>K&?A*U^)*-@G19],5.<^.-^% M7SK/1<$^!?J4HC(^='\?=L-*%.Q3HT]CD;ONC*C#@KU%]L@NZ#P(%_0'D7`- M1L_([R]J(O>6A6>ZV0XG\!8%]VA!;NM@5=Y`,WG9:_%\MH)/+=A"I."=BM`G M%M6Y>9;4\_P9?B(*]DG1)Q.5\=GNYN';\B)@FP)M2E$9F^4Z?(6[$@';U&C3 MB,K8T$^%!$>T%0';=&C3B^IF+M MV:KF+M652\8Q%ZQ:*Z,JHGHF*O%+TR45WQRD7%7@5ZE:*ZXE6)BKUJ M]&I8-4U9EI@)%`';=&C3B^K8/05)!O"):[\%ISLH6\06@JY/C$HC+'AI[[#)\X243!!R?%^F2B,CZ[ M!0Y"EPJS38$VI47>XO-J%HR+E:C8JV9T=76X894[GU[!$PVB8ON.T57[WJJX M43:S.4RQX2B,MM#4*'Y/"S/0U_.0&TPU,Y*;\`.B(Z(3H@A1C"A!E"+*$.6( M"D0EH@I1C:A!U"+J$/6(!D2CA_Q&-!E=R-D\]SYI2@N[Z9O-A-S%9XO+ M@L5GF-Y.7D[N/)*"?`[$B!)$*:(,48ZH0%0BJA#5B!I$+:(.48]H0#1:I"P^ MTZ*NW]I/G+)&'F13)D13&3[PA[,I+2PZB\^,Z)2_W-/AXK.HV"MB)(NI,2/? M*T@$)J)BKY21>&6,?*]P\5E4[%4P$J^2D>\53"%RP^BXJ] M.D;BU3/RO8([_$%4[#4RPL4G^GKQL[K-E('UAH,)>=W&(K?;3,A9$SV=-^U_ M>MLB]Y/*C&B@?SR[^\&*1VT\8 M.?W$(N>"<$(4<4'9[UA4;C\)LG>)J/@8INB56>0N/B,JL&")J@I1C04;5+6( M.BS86^0I^80H MPH(QJA)$*1;,4)4C*K!@B:H*48T%&U2UB#HLV*-J0#1Z!;V)X/;%R`T MGA*2WIK+*OS*W8$+RESB:-'U%>*35>THT7$9[E?PRC/:QS?9)[I],$JD:)_= M9)_K]L$DI$#[\B;[2KJ?7@[W:%]?Y/]H-L'=]BC9^]WXQ?G M8+>8@[7(6^Q9A6L*!ZMRTA9'B_P\`>1A1<77F0B]8E;1W.C2V6$].Q$5>Z7H ME;'*2S"$68!<5.Q5H%-7@VKKNYC*RKVZM"K9Y6_C\%< MXV>E]^I7IR>W6)ZUB)_;`P_EGG@@N[8.'G1>K1[P(-QXV0+NF]"6T2# MJDE^_2,XF6(IX?H&`T8B*CY@J45."CD3E>.U"#/^HF*O`KU*4;E>0>TK4;%7 MC5Z-J%ROX*:H%15[=>C5B\KU"I(6@ZC8:_2\_`YF\FZ0A;EI@C5E[-Q[K>V$ M@@G6`B985N9.L":T$W2R9@Z*V%]4,:H21"D6S%"5(RJP8(FJ"E&-!1M4M8@Z M+-BC:D`T>@7]-J8;\A>VL2D93+`FY`\B.,&R!=U!9$)/3;"LO3?!6@1C>[0% M^]BBZ_:)5?GSMW"%($7[[";[7+Z?3`.UVC?W&3?ZO;!<-RA M?7^3_:#:AQ^=&#U[OQM3_N&%W=B4#+KQA)Z:8$TJ;X(UH:(BKU2],I8Y4\^@J$W%Q5[%>A5BLJYSN`$"_:Q1J^&O9Z88%DO&=D[ M].K9R]]'F&!!O4;/R^]4Y/7"3F5*!IUJ0O[8B!,L6]`=&R?D3[#"UU1/YKED MVJ(WP9K0=R=8EQ).0X99P`1]4XN\"9;J%4P^E&Y7M#!+D>"O4;/R^]@)K/L3K"N+WQ04@]ZE45R;AQ8 M)>B(Z(0H0A0C2A"EB#)$.:("48FH0E0C:A"UB#I$/:(!T>@AKQ%W6M;9O!Q] MO3'/Q?PAPB)Y>>E@R7QZ."Z\1SI"@9,4<#NI3#+\FH<)U"=JC%E3>B+_W".E MKQT0'1&=$$6(8D0)HA11ABA'5"`J$56(:D0-HA91AZA'-"`:/>0WHIHA?>92 MN;DJ!=&2._7L%=3BXJ]BH8B5?)R/<*;FDJ4;%7S4B\ M&D:>%RR5BXJ].D;BU3/RO8*LT"`J]AH9X5*9N:=]3K?!_.#9P7]/FY&S!&H1 MK=EQI4Z((BXH5XV8$4W/G?X63*X24;%]RDB\,D:N%RZ5BXJ]"D;B53+RO,)) M\#*IO.%E0L[2[\D6=%#$7K+?L:C-)=]K[B!>B"=%+`K8'![MY,"^4 M4*]W\[<6F1]8N?3-!=[-3`7--_HOJM4JF*M$:!_?9)^PRKM:]8Y=L'UX8:[1LN>-6^995GOPY&CP[M>RYXU7Y@E6\? MC!ZC9^_WX.B^1^X,`J04=$)T01HAA1@BA%E"'*$16(2D05HAI1 M@ZA%U"'J$0V(1@]YC7A'?<0;AJZ//6>Y?_6TB'Y*G6>6!T1'1"=$$:(848(H M190ARA$5B$I$%:(:48.H1=0AZA$-B$8/38WX]O&/^_MOQ_??WO_TP^?[K[_? M'^X_?7I\]>'AKR\T6B_/K]5>^*NO][_]^/K=]FYO$KS46&%D-]^;W)L6H3+4 MAY3(W6QO*J9%**#Q.968JR46J_VX.">$PYHM=WOSJ75"G-?[7_63\DM'_J[JUI'Q2C=V8/-+ZE%M0X M'27M(%&NA`+:%N@F97^B638>)+H+V9O;#HS0;<;>W%=@A.XC]N;&`2-TH[`W M=P88H3N!O9GZ8X0R3WMS7XD12D"1FW;H*>U`$>T8T^TH130WRDKMS6TH;H>2 M4U0W+4)I%SH&VG;H1ILB6AG*RNW-#39NAY)S=-RT_:&4#$6T[=!].44TM^-N M0;56.RQMYYU:YD"1@QHY4L2D*[#6$45,U@(CE`2EOJ/M#Z6^**+M#R4[***Y M469T;S(:N!U*D-*QUK9SW.[V9I48R\04,>N\&,DH8E9M,4*KM'NS!HL16G/= MFQ55C-`*ZGY0(\?MENJFG;_T&`3538O00PU4-RU"CRA0W;0(/7!`==,B]/@` MU4V+'+=KJIMVK.GY,JJ;%J$'R*AN6H2>$*.Z:1%Z!(SJID7H&2^JFQ8Y;E=4 M-[7O4,0\'(FM0`]#4MVT"#W:2'73(O2@(M5-B]!CAU0W+4)/&U/=M)Y(SPY3 MW;0(/0E,==,B]%POU4V+T%.Z5#O("#;4IOZNU;>E%. MB]Q11)MTT'L[5`/-C5[?VYOW=="-WN*CNFD1>C]MGZO;H3>2Z.AH9>CUQ;UY M$PFW0V\Q[LT[BEKDCB+:_M`+3'2L-;?CALYM>OL4W=[1=MZI9>CUT?U!C1PI M8M[K0C=Z371O7N_""+TMNC?O@FJ1.XIH^T-OA5%_T]SH%=*]>?4+W>A-4FH% M;3O'#8UB4P8^F$C2QPRH!MKH0I\G(#\Z=6T"+' M#8UB].D(W!_Z7@?538O0US>H;EJ$OJ5!==,B]&4,JIL6H8]=4-VTR'%#H]BT MF`''C48Q-4+?EJ&Z:>,.?2Z&ZJ9%Z`LP5#-F07739C7T426J MFQ:ASR11W;0(??B(ZJ9%Z%-&5#.&QE'ZAI76IC2.JA'Z`!C5 M32M#W_2BNFD1^DX7U4V+T%>WJ&Y:Y+B94=VT\X<^BT=UTR+TH3NJFQ:AS]91 MW;0(?8B.ZJ9%Z+-R5#,T'<<]^9+C1BA+S/NS7<7 M,4+?6=R;KRABA+Z:N#??1<0(?0><;LJT^Y+CFN9O]`E9+$.?V*5::Q'ZAB[5 M6HO01W*IUEJ$OH)+M=8B])E;JK46H:^J[\TWD[%N]'%UOJD-D6TL8H^ MM4P1S8V^N+XWGUC&[="'UZEN6H0^*4['0-L.?42:(EH9^N+\WGP\&K=#'YZG MXZ;M#WUNG"+:=NB;TQ31W(YK&G?H!P-P.^]H.^_4,@>*'-3(D2+F4]SH%E'$ M?)$;(_2!?^H[VO[09]TIHNT/?$M5-B]"O'U'=M`C]EA'538O0SQ-1W;3(<46CV/01V[!N%#$_ M#J;4C2+F][XP0K_OM3<_X841^LFNO?E9+HS0SW#MS0]M8>2XHOD;/:&/$?H% M/*J;%J'?M*.Z:1'ZE3JJFQ:A'YZCNFD1^F4YJIL6.:YH'*7?&]3J1N.H&J'? M:J2Z:67HYQ>I;EJ$?E.1ZJ9%Z!<2J6Y:Y+BBO-CT-4-H4SKGU`C])"G533OG MZ`=&J6Y:A'XSE.JF1>@70*EN6N2XHMDM_5BL=MQHI%`C](N[5#>M#/V&+M5- MB]`OXE+=M`C]OBW538N,*TKNTD^V8]V.*YI;TBHB1NB7T*G66H1^ZIQJK47H MM\RIUEJ$?JR<:JU%Z-?(J=9:I*9:FY^VQ[HU%&EIA52+T"BVTL:J9D4S2-6M M([=.C?04&=1(MJ(15MU.1MO)U3(%N15JI*1(I>Y/2=NIU.V4M)U*=3LN:=RA M-6<\.N]H.^_4,@>*'-3(D2(G-1)1)%(C,442=7]BVI]$W9^8]B=1W5)R2]5( M1I%HH,:N2XI%%LJ8TA,442 M-9)1)%COX42=1(1I%"5F@6-(-4W3IRZ]1(3Y%!C62TG5S=3D;;R=4R!;D5:J2D2*7N3TG;J=3M ME+2=2G4[+FC<66@CWSO:SCNUS($B!S5RI,A)C404B=1(3)%$W9^8]B=1]R>F M_4E4MY3<4C624217MW-(H,: M.2YH%%NHHQA%$C624217(R5%*C724*15(SU%!C5R7-`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```/__`P!02P,$%``&``@````A M`'ZT^TQZ#P``0$L``!D```!X;"]W;W)K&ULK)Q; M<]LX$H7?MVK_@TOO$XND)$NJ.%.QKM3]NONLR'*LBFVY)"69^?=[0*()`@=F MY.R\Q,Z'[L,FT&R"(.B/?_[U_'3U8W<\[0\OMZ7@0[ETM7O9'N[W+U]O2^M5 M]X]ZZ>ITWKS<;YX.+[O;TM^[4^G/3__^U\>?A^.WT^-N=[Z"PLOIMO1X/K\V MKZ]/V\?=\^;TX?"Z>T'+P^'XO#GCO\>OUZ?7XVYSGS@]/UV'Y7+M^GFS?RFE M"LWC)1J'AX?]=M<^;+\_[U[.J MGE\A\67_M#__G8B6KIZWS?CKR^&X^?*$\_XKJ&RVHIW\A^2?]]OCX71X.'^` MW'4:*)]SX[IQ#:5/'^_W.`/5[5?'W<-MZ7/07(M/'Y,.^L]^]_.4^_WJ M]'CXV3ON[T?[EQUZ&^.D1N#+X?!-F<;W"L'YFKR[R0C,CE?WNX?-]Z?SXO"S MO]M_?3QCN*LX(W5BS?N_V[O3%CT*F0]A52EM#T\(`/]>/>]5:J!'-G\E/W_N M[\^/MZ6;#]6;'__!I%$C%\DXLMZ.)"$4K]HU\L20UT^:3>9E/J-T"6_`I-@T86A M2UH%)J_4V!5UMR14D,NH]R>(9%F03[-ZM5JIU6_0&1=>%:'DF?I%=_W["T(H MN:=^T2H7#\-U6N:2JMG>G#>?/AX//Z]P*X+6Z76C;FQ!4PE+O4S[-JN@;Q50 M5$ZE\EG)H%26KE`<3ZCZ/SY%8?GC]0]4ZJVVN6.;P+9HB84JRTJV[8*."[HN MZ+F@[X+8!0,7#%TPD3R0F M,B`R)#(B,B8R(3(E,B,R)[(@LB2R(K+.$VL$<>F\8P25M3V"FC2RVVJ+2)M( MATB72(](GTA,9$!D2&1$9$QD0F1*9$9D3F1!9$ED162=)]9PH1R^8[B4M3U< MFN`1('?!N=.>S"B[X(ATB'2)](CTB<1$!D2&1$9$QD0F1*9$9D3F1!9$ED16 M1-9Y8HT@:MT[1E!9VR.H2>Z"(](FTB'2)=(CTB<2$QD0&1(9$1D3F1"9$ID1 MF1-9$%D261%9YXDU7+A2K.%*GBGQP(L+Z'&__79WP'6$!Q?/C2_"HV/Z0*DT M[$%,250Q53,E6$_(KKF45'#OS2[5,*K9,]E.9B1N72(](GTB,9$!D2&1$9$Q MD0F1*9$9D3F1!9$ED161=4K2;K7&5:VY_-\#FXC8(ZM1?F@URH^M1I5JLKP0 MEH/(&5=CD`TLHQZC/J.8T8#1D-%(H\@\,X^-E5H70>#.H]7$&$C@4T8S1G-& M"T9+1BM&:XU\PZX6&?)K1)X+%VO2VUM!8B=9(D#G' ML2!;RSG'B;$2K:D@$]=,D*WEG./<6(G60I#16@K*:X75AGV.*V,E6FM!R3G: MU4*M:^33)EU:_*`63B^_#ZCE;4F1EDT:FI]O:T;H71*%SZ76,E9Q15Z.: MF2WTC%4^,YW[2M]8B5;,6@.V&C(:B:,YH;&QR@?AG-#$6$D04]$R)S0S5GDM MYX3FQDJT%JRU-%9YK;J;.ND(83A$:RU:GM11"R5OI,XOBH]>8C'E]TZ],T$& M1;BMYU M:^5RPQGNF*4'%TD/;>FH40DKSGK]B+7'%VE/;.U:)8HB1WO*VK.+M.>V=K56 M#9V"MV#IY472*UNZUFC@18^=Q6M+VZYV:KWG]U)6KQ3E4S9%$6;86>91'[;4 MBSQ5&LU=M:U1_29-QDK@I'G'&$B:=UFF)U;YXX>1H]4W5J(5L]9`K-X*:6@, M1&;$,F-CE;QBNJF#':T50YUV;''5GU&,3L. MV&K(:,2.8[::,)JRXXRMYHP6[+ADJQ6CM>5H#S%F5[\YQ,K3>6A*41WWU5R- M<)>E,)VG&J$=T[0-&U'=G>=UM!?*B"1NEX5ZQBJY)*MAY-R=^L9"=&+6&1BK M]+UQH]QP)L1#8R)"(Q8:&ZLTH*K["GIB+$1GRCHS8Z5TZD'@W-#GQD!D%BRS M-%9*IA+5W)6(E;$0G;6E8V>/6AYS"T3RKN?B116U?\)-HQ35\Y,&FZ6MD]'^\!`3J[+,CVQPE-=EL:>6XT^6+K/2CTMQJPU$*VW M0AH:`PEIQ#)CL2H,:6*L1&O*6C-C57!ZJE6^<:?_0F(C0B(7&QNK-BD0!35EG9NOX M*A+)+%AF:[FUXC2-494+^F].]06E1?. ME,4I*BUM916BU+&JK_H;=Z@ZV@<& MHY"&QD!D1BPS-E9*)@C*SGUH8@Q$9LHR,XUR$[@YHP4[+C72/^U=-6=5Q&QHJ>G(R5R,<:Y<$KRREB)UEJC-WO"3E"ULNR6L\L25'DZ M"9HBIYPYC]`MM>,2CKAH).2V1L5UJ&.LQ+'+6CVQRF=CY*[S](V5:,6"<,F: M-':3?2!6A?)#8R7R(T&%\F.Q*JS($V,E\E.-!>&ZL1&LAJ##4 MI5@5RJ^,EH6D-U$_2B^VV8KK[F[[<:V174'>*6..8K:*I5?&%W MM".LY%R[K-73"!=V+G-M]W[2+2LPJ`V/E51F:=E$9L1+JMTRM.I="FR*UW% M?8)$.:=*EZ)?5;K,2DZLRUH]C2KV!>@\1?2-E6C%@MZZ`)/="`.Q*I0?&BN1 M'PDJE!^+U2\J'?7$5#M:E4Y;V:$Z%]96%=.S;0DMT0HPI-&U-'6,EI=[7CFS.0)+]Z M(H\'ITR>5T&,E[`D[5]62.173]^:J$G'J:HJ< MNDHSR-0J5P':ZO$;6G7\R"63<]H=L:HEM]Y:6*LVG)=T76V2T^Z)5Z%V7ZQ2 M[9M:V'"NE)BE!^)4*#T4*RU=#NMU1WO$VF/Q*M2>B)7NDEH]K#G=/67MF7@5 M:L_%*M6NUFI5I[<7++T4IT+IE5CI+@DK#?>UW]K2MK-7O0W(9V_QLI_Z1,3- M4XW,K:0E5@:U&748=1GU&/49Q8P&C(:,1HS&C":,IHQFC.:,%HR6C%:,UA:R M!U$MC[]C$-/5=.MI($6166!OJ5<+&.H<:C/J,.HRZC'J,XH9#1@-&8T8C1E- M&$T9S1C-&2T8+1FM&*EOWTVOIH.8?LN>?I7YO#M^W;5V3T^GJ^WAN_I./2BK MA&L[,JU]O8B\RZ[3#2K.#6SFW M8+[5['M;,'MJJKD1^V#BTU33&F[!G*6I9B3<@AE(4\TON*4=1HC-UXUXE$%L MOA8\A2`V7PL>(!";KV6&%C79YP@PDT=LOI9V&"(VW]#C>1VQ^5KP#([8?"UX MKD9LOA8\)2,V7PN>>1&;KP7+8XC-EZY8[$)LOA:L4R$V7PN6F!";KP4+1HC- MUX*U'L3F:VF'9<26O&5PK@`L"R,V7PL6>1&;KP7KLXC-UX*E5<3F:\%"*6+S MM;2#1E.]".$\P(N/9M_;@M<83?6F@GWP9J*I7CYP"UXV--7;!6[!VX2F>F'` M+>V@CMA\5S!>Z"$V7PM>T2$V7PO>N2$V7PO>HB$V7PM>C"$V7TL[N$%LOJJ# M-]>(S=>"]]"(S=>"5\N(S=>"%\6(S=>"U[Z(S=?2#FJ(S5^"S#/2`K^4.1[GS'@5?+31;WI8V6CK>L\%&=+3X8L9W"TVUVYQCP^<+ MR$-?WV`K.EH2G^OL)H._7_2Z^;H;;XY?]R^GJZ?=`^:-Y603QS']"TCI?\Z' MU^3#JR^',_YT4?+K(_Y2U0[;:&ULK)G;;J-($(;O5]IW0-R/,>!#C.*,8G-F5UJM9G>O"<8VBC$6 MD,GD[:>:/D!W$S4V(OZZJIG^JNXOF\>N/\J1]S^NFJ,YKW9Q,=2T_9]6N M.!_6^C_?_"\/NM:TZ7F7GJISOM8_\D;_^O3[;X_O5?W:'/.\U2#"N5GKQ[:] M.(;19,>\3)M)=[SJD\&=9TNC#*M#CK-()3WQ*C MVN^++'>K[*W,SRT-4N>GM(7[;X[%I>'1RNR6<&5:O[Y=OF15>8$0+\6I:#^Z MH+I69DYT.%=U^G*"Z\?38"?1OD;\W@_^UYEB]!W6Q^Z,XYZ`V/"?R!%ZJ MZI681CN"P-E`WG[W!/ZJM5V^3]].[=_5>Y@7AV,+CWL.(R(#RM M::OR/VIDLE`TB,6"P)4%L1=W![%9$+CR.YE.S-ET06[D2N^?I3OD.8GR3,*L=1`=,KF!.?K]R9Y/'XWO,*\R9K/!-J9LL>469!*1L*X* M/!7X*@A4$*H@4D&L@F0`#-!)B`6S[U>(1<(0L?@P-QSTZEF*,MR"N[@J\%3@ MJR!00:B"2`6Q"I(!D)2!)>57*$/"K'7X>R6-J(T%2X,PFBEJ"1,A%R(>(CXB M`2(A(A$B,2+)D$BRP8KZ*V0C86!;N3[]F-$UW82)T`T1#Q$?D0"1$)$(D1B1 M9$@DW6`_D70;WXOYXD2L.WGXL#:,P&(OJZN1,.)N+B(>(CXB`2(A(A$B M,2+)D$AJP".]0PUB+:O!R$HL2%M$7$0\1'Q$`D1"1")$8D22(9&&#BDO#9UL M7]9\`E+=N8&10+(JC,"V/L@1=5T61B)'$/$0\1$)$`D1B1")$4F&1!**O(T, M]_GK,X98RVHP,L@11%Q$/$1\1`)$0D0B1&)$DB&1A@Y/\(ZA$VMYZ)0L['YZ M,$*K_:Y0803D'R2++6]+GC#BR>(C$J#0H;`9AE9VO$@8\=`Q(LDPM"00J40E MA6@1.%G"-&J/1?:ZJ6!44!2-)(T-Q1XK`4D46;DN\%H?2L?10#N&9K#:"_&L ME;(:>[T5'Z*/48##A[W5E?!1;\7#QQ@E4GA90U(S#B=8IR&\H]TE(2T\82/G M-[$A-3FH:L\$VC)D+@1RN=6B*[VMJ:FF'C?H(_L<"1\EIP+<3XA\E'XB;M#W M$W/T63^)U(\L*BDW55&M!7G/'LM%P"(9::$J*4F1#=-`I)D]G\MS=&M2*[-? MZ%R&YN11]F\W"]G1PX[^N.-2=@RP8SCN^"`[1M@Q'G=T-K`>>T?_)L<`]QB..RK[ M?H0=XYL<$\E1UIY4NZKV74U_^Q+,"N:A\A3)6;]0INW6I%92UE.T@/DP>&3* M&N%A1Y\AQ5&99P%V#,<=E7D68<=XW%&99XGD*"L/,QLI;\[[_>];=?EL_QNN M.22,L@$RU*\F6W)T2*QZY&+D8>1C%&`48A1A%&.42$B6AU3?*#'_3Y$-6Q92 M2)3VPS13EKHM=QR*)ASY7NEA*Q^C`*,0HPBC&*-$0K)HI!(?BC92.PUSAQ7N MPYE+D4T/@DF5N85C[JX8Z)&+D8>1CU&`48A1A%&,$3E^[^^+RD"/T^E18YG7 MAWR;GTZ-EE5OY*C<,F&G%IB>XV\>'*CAX6&JW)S#`7]7+Z*6!;1T91!J6?*/ M`DI+LH*&[L!?:8#/",_6:/?@,,8M!T[#1F[7=N"\!_/GF?,,.N&&S'34,>G3,,.31^"MG,SKB[3/`=N>;4(44W;@E6#BF]<4.X M_H)``#__P,`4$L#!!0`!@`(```` M(0!A0CG**@,``"X*```9````>&PO=V]R:W-H965T;@8[MHPCIU':2*U45;T\KV$QJP"+=M=Q\O>=V;4)V,0A M+\8,9\_,F1EF6-X\5Z7SQ*3BHDY(X/K$874J,EYO$_+G]_W5-7&4IG5&2U&S MA+PP16Y6GS\M]T(^JH(Q[0!#K1)2:-TL/$^E!:NHXJ5FM+(EE)-<2O"MZH(UN5CJ&K MJ'S<-5>IJ!J@V/"2ZQ=#2IPJ73QL:R'II@3=ST%$TR.WN3FCKW@JA1*Y=H'. MLX&>:YY[ M,\@VU`DKL!'B$:$/&9K@L'=V^MY4X*=T,I;37:E_B?TWQK>%AG+'H`B%+;*7 M.Z92R"C0N&&,3*DH(0#X=2J.K0$9H<_FNN>9+A(RB=THC&?7`>"=#5/ZGB,G M<=*=TJ+Z9U'!@$Z0N/6!N+09^6TS0(CQPVGH&;^,] M(Q@]8VXQE%MKZ+IY#:3G9O(1-PB&XG2"/Q=H,5$7,RP0(.,%(C@AX>7<6M`( MU]!47=?8K^$4>_.=`N,Y$T6;9VL)X)5IZQG%DV'!T[[7R[V$X+XK:XE-T_=* M"$GIJKG,B^`^K[5,H&,Z$J)A"3BQ1[\.".Z[LI;@7,*\SVL&R&P^HB)XL._# M6L!'5TX\+`?K-EZ/0?>='4P#BC"`+K61-(?%FDXTS=[0]*%)$;2CXE63 M-0UI&IH$$03WCJ+S08#[[KQ*UV\H^M`H@-5]VN1'D]FF=AC8[6R75\7DEGUA M9:F<5.QP\X:PCEIK^U6P#K'PI_9HL;9?"U[[!+9U0[?L!Y5;7BNG9#EP^NX, M1$N[[^V-%HW9F1NA84V;OP5\ES%82;X+X%P(?;P!SU[[I;?Z#P``__\#`%!+ M`P04``8`"````"$`)K!HNS$!``!``@``$0`(`61O8U!R;W!S+V-O&UL M(*($`2B@``$````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M````````````````````````````````````````````````````G)%!2\,P M&(;O@O^AY-ZF:8=(:#-0V/-^7 M:KG37?()SJO>U(AD.4K`B%XJT]3H:;-*KU'B`S>2=[V!&NW!HR6[O*B$I:)W M\.!Z"RXH\$DD&4^%K5$;@J48>]&"YCZ+#1/#;>\T#_'H&FRY>.<-X"+/K["& MP"4/'!^`J9V):$)*,2/MA^M&@!08.M!@@L%,3EK:A7V-LXT MZ9ZSI3B&/_^&UL(*($`2B@``$````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M```````````````````````````````````````````````````````````` M````````````````````````````````G%;?;YLP$'Z?M/\AXKTE_:&IJ@B5 M&YS$4@(9-IFV%\LE3H-*`&$O:O?7[X"F(8U#U[T9WW=WWWUWQG;NGC=I;RM+ ME>39P+HX[UL]F<7Y,LD>!U;$1F5_S4@KT40-AU4%&D22PT5.G.DKC,5;[2 M/?P+V';O]Z=!8I'((@=V52)5T[/V&,Y&B$FTNDE*Y MSE;?;F6L\[*GDC\@VZ75>Q!*5G0&UE:4B<@TT*I@S4>]3@NE2_='7CZIM91: M.38`FLUZV<:VU\FU>W53(V!UB*PB-$S`<,B1)3J5*EC-1:D-E*^@\WO.-8N& M<4-HUT4.L\%QID$O3K*FVTG>9OY6PS#P:3`E'F+8X_=HBOPAYG2",:.?Q?.Y M^-B%^,-@!AD8))QA_U^R[+$\&'%P_SC+D)C2GDPQZ$QRSVB!,PC/@\QA9)K7R,RHKC"8A"#2V(B"0#/"]KP;0W9TR^YQH%6?B`7X,QF*Z^V%. MTTC=%=6D>!?^2/@NL/%(<$]JD:3F(M]Y-.?OU8%?FG7I/"AFGU/R-YF,:0X. M3&<-W8TR$SHZ.9T93J)/2/0Z!EW"&^>@R^%X$+K0G2>1MP4_N#7?W9/3)'M2 M4<%R3VBY>P@<;CIT+4JYA"MR9]]O.!-X`Y1I%62X%MFC7.XPQX;JV;)HWF;N MQ?5Y_ZH/+Y+6GF/O7V'N7P```/__`P!02P$"+0`4``8`"````"$`YL23*>H! M``!5&```$P``````````````````````6T-O;G1E;G1?5'EP97-=+GAM;%!+ M`0(M`!0`!@`(````(0"U53`C]0```$P"```+`````````````````",$``!? M&PO=V]R:W-H965T&UL4$L!`BT`%``&``@` M```A`!7=&>V!`P``V@P``!D`````````````````X1D``'AL+W=O&PO=V]R:W-H965T>0@``)HZ```9`````````````````#4@``!X;"]W M;W)K&UL4$L!`BT`%``&``@````A`(?2YLQS`P`` MA@P``!D`````````````````Y2@``'AL+W=O&PO=V]R:W-H965T&UL4$L!`BT`%``&``@````A``]S!JE)`@``E@4``!D````````` M````````$C<``'AL+W=O&PO=V]R:W-H M965T&UL4$L! M`BT`%``&``@````A`&\IZCR!!P``V"<``!D`````````````````\6D``'AL M+W=O&PO=V]R:W-H965T&PO=V]R:W-H965T&UL4$L!`BT`%``&``@````A`#AE8E'-1P``#.8``!0````````` M````````:8```'AL+W-H87)E9%-T&UL4$L!`BT`%``&``@````A M`'J3?$Z'#0``]H(```T`````````````````:,@``'AL+W-T>6QE&PO=&AE;64O=&AE;64Q+GAM;%!+`0(M`!0`!@`(````(0`B%&UL M4$L!`BT`%``&``@````A`!31?.-J$@``%G@``!D`````````````````OM\` M`'AL+W=O&PO=V]R:W-H965T&UL4$L!`BT`%``&``@````A`$I7YQN0!0``P18``!D````````````` M````)_8``'AL+W=O&PO=V]R:W-H965T M&UL4$L!`BT` M%``&``@````A`(:=&P[S"```#"P``!D`````````````````_Q,!`'AL+W=O M&PO=V]R:W-H965T&PO=V]R:W-H965T&UL4$L!`BT`%``&``@````A`!F*ZC04!P``&!\``!@````````````` M````+"L!`'AL+W=O0(``.`%```8`````````````````'8R`0!X;"]W;W)KA@S&PO=V]R:W-H965T&UL4$L!`BT`%``& M``@````A`'#N;VSV#@``?$<``!D`````````````````C#@!`'AL+W=O&PO=V]R:W-H965T`0!X;"]W;W)K&UL4$L!`BT`%``&``@````A`(:##O7)!```O!$``!D````` M````````````\6L!`'AL+W=O&B[#LL``")[0``&0````````````````#Q<`$`>&PO=V]R M:W-H965T@\``$!+ M```9`````````````````&.=`0!X;"]W;W)K&UL M4$L!`BT`%``&``@````A`(UZ(-EL!@``MAL``!D`````````````````%*T! M`'AL+W=O&PO=V]R:W-H965T&UL4$L% 3!@`````O`"\`NPP``+*]`0`````` ` end XML 13 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
GOVERNMENT GRANTS (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2014
item
Upstate New York and parts of Pennsylvania and Vermont
 
GOVERNMENT GRANTS  
Capital expenditures $ 35.8
Federal stimulus grant 27.5
Number of new segments of fiber-optic, middle mile broadband infrastructure built 10
Navajo Nation across Arizona, New Mexico and Utah
 
GOVERNMENT GRANTS  
Capital expenditures 7.6
Federal stimulus grant 5.3
Vermont
 
GOVERNMENT GRANTS  
Capital expenditures 47.8
Federal stimulus grant 33.0
Expected amount of federal stimulus grants $ 0
Vermont | Minimum
 
GOVERNMENT GRANTS  
Number of community anchor institutions to whom broadband and transport services are provided 340
XML 14 report.css IDEA: XBRL DOCUMENT /* Updated 2009-11-04 */ /* v2.2.0.24 */ /* DefRef Styles */ ..report table.authRefData{ background-color: #def; border: 2px solid #2F4497; font-size: 1em; position: absolute; } ..report table.authRefData a { display: block; font-weight: bold; } ..report table.authRefData p { margin-top: 0px; } ..report table.authRefData .hide { background-color: #2F4497; padding: 1px 3px 0px 0px; text-align: right; } ..report table.authRefData .hide a:hover { background-color: #2F4497; } ..report table.authRefData .body { height: 150px; overflow: auto; width: 400px; } ..report table.authRefData table{ font-size: 1em; } /* Report Styles */ ..pl a, .pl a:visited { color: black; text-decoration: none; } /* table */ ..report { background-color: white; border: 2px solid #acf; clear: both; color: black; font: normal 8pt Helvetica, Arial, san-serif; margin-bottom: 2em; } ..report hr { border: 1px solid #acf; } /* Top labels */ ..report th { background-color: #acf; color: black; font-weight: bold; text-align: center; } ..report th.void { background-color: transparent; color: #000000; font: bold 10pt Helvetica, Arial, san-serif; text-align: left; } ..report .pl { text-align: left; vertical-align: top; white-space: normal; width: 200px; word-wrap: break-word; } ..report td.pl a.a { cursor: pointer; display: block; width: 200px; overflow: hidden; } ..report td.pl div.a { width: 200px; } ..report td.pl a:hover { background-color: #ffc; } /* Header rows... */ ..report tr.rh { background-color: #acf; color: black; font-weight: bold; } /* Calendars... */ ..report .rc { background-color: #f0f0f0; } /* Even rows... */ ..report .re, .report .reu { background-color: #def; } ..report .reu td { border-bottom: 1px solid black; } /* Odd rows... */ ..report .ro, .report .rou { background-color: white; } ..report .rou td { border-bottom: 1px solid black; } ..report .rou table td, .report .reu table td { border-bottom: 0px solid black; } /* styles for footnote marker */ ..report .fn { white-space: nowrap; } /* styles for numeric types */ ..report .num, .report .nump { text-align: right; white-space: nowrap; } ..report .nump { padding-left: 2em; } ..report .nump { padding: 0px 0.4em 0px 2em; } /* styles for text types */ ..report .text { text-align: left; white-space: normal; } ..report .text .big { margin-bottom: 1em; width: 17em; } ..report .text .more { display: none; } ..report .text .note { font-style: italic; font-weight: bold; } ..report .text .small { width: 10em; } ..report sup { font-style: italic; } ..report .outerFootnotes { font-size: 1em; } XML 15 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
NET INCOME PER SHARE (Tables)
9 Months Ended
Sep. 30, 2014
NET INCOME PER SHARE  
Schedule of reconciliation from basic to diluted weighted average common shares outstanding

The reconciliation from basic to diluted weighted average common shares outstanding is as follows (in thousands):

 

 

 

Three Months Ended
September 30,

 

Nine Months Ended
September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

Basic weighted-average common shares outstanding

 

15,738 

 

15,923 

 

15,678 

 

15,890 

 

Stock options

 

107 

 

107 

 

111 

 

111 

 

Diluted weighted-average common shares outstanding

 

15,845 

 

16,030 

 

15,789 

 

16,001 

 

 

XML 16 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT REPORTING (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
item
Sep. 30, 2013
Dec. 31, 2013
SEGMENT REPORTING          
Number of reportable segments     4    
Revenue          
Revenue $ 89,393 $ 79,350 $ 247,836 $ 215,807  
Depreciation and amortization 12,842 12,335 37,752 36,517  
Non-cash stock-based compensation 1,002 926 3,381 2,898  
Operating income (loss) 28,158 20,038 66,014 48,023  
Segment Assets          
Net fixed assets 253,508   253,508   254,632
Goodwill 45,077   45,077   45,077
Total assets 843,431   843,431   859,719
Capital Expenditures          
Capital expenditures     41,699 55,171  
U.S. Wireless
         
Revenue          
Revenue 44,306 32,796 110,153 80,597  
International wireless
         
Revenue          
Revenue 21,557 22,895 67,127 66,162  
Wireline
         
Revenue          
Revenue 21,531 21,504 64,344 62,945  
Equipment and other
         
Revenue          
Revenue 1,999 2,155 6,212 6,103  
Reconciling Items
         
Revenue          
Depreciation and amortization 999 378 2,899 965  
Non-cash stock-based compensation 1,002 926 3,381 2,898  
Operating income (loss) (6,252) (8,320) (18,804) (18,485)  
Segment Assets          
Net fixed assets 13,156   13,156   6,731
Total assets 342,677   342,677   390,944
Capital Expenditures          
Capital expenditures     2,096 3,151  
U.S. Wireless | Discontinued operations
         
Segment Assets          
Total assets 73,492   73,492   4,748
U.S. Wireless | Operating segments
         
Revenue          
Revenue 44,736 33,057 111,273 81,367  
Depreciation and amortization 3,657 4,039 10,413 12,119  
Operating income (loss) 27,585 18,293 63,826 40,472  
Segment Assets          
Net fixed assets 75,930   75,930   73,592
Goodwill 32,148   32,148   32,148
Total assets 178,208   178,208   151,094
Capital Expenditures          
Capital expenditures     26,496 27,736  
U.S. Wireless | Operating segments | U.S. Wireless
         
Revenue          
Revenue 44,306 32,796 110,153 80,597  
U.S. Wireless | Operating segments | Wireline
         
Revenue          
Revenue 152 152 457 457  
U.S. Wireless | Operating segments | Equipment and other
         
Revenue          
Revenue 278 109 663 313  
International Integrated Telephony | Operating segments
         
Revenue          
Revenue 21,831 23,074 65,026 67,974  
Depreciation and amortization 4,397 4,551 13,111 13,476  
Operating income (loss) 5,065 7,028 15,293 19,596  
Segment Assets          
Net fixed assets 110,870   110,870   118,917
Total assets 200,770   200,770   197,903
Capital Expenditures          
Capital expenditures     6,816 9,039  
International Integrated Telephony | Operating segments | International wireless
         
Revenue          
Revenue 6,399 7,046 20,054 20,330  
International Integrated Telephony | Operating segments | Wireline
         
Revenue          
Revenue 15,249 15,640 44,399 46,493  
International Integrated Telephony | Operating segments | Equipment and other
         
Revenue          
Revenue 183 388 573 1,151  
Island Wireless | Operating segments
         
Revenue          
Revenue 16,627 17,443 51,855 50,300  
Depreciation and amortization 2,596 2,551 7,810 7,705  
Operating income (loss) 2,231 3,292 8,210 7,226  
Segment Assets          
Net fixed assets 26,622   26,622   29,310
Goodwill 5,438   5,438   5,438
Total assets 78,417   78,417   74,427
Capital Expenditures          
Capital expenditures     3,966 4,014  
Island Wireless | Operating segments | International wireless
         
Revenue          
Revenue 15,158 15,849 47,073 45,832  
Island Wireless | Operating segments | Equipment and other
         
Revenue          
Revenue 1,469 1,594 4,782 4,468  
U.S. Wireline | Operating segments
         
Revenue          
Revenue 6,199 5,776 19,682 16,166  
Depreciation and amortization 1,193 816 3,519 2,252  
Operating income (loss) (471) (255) (2,511) (786)  
Segment Assets          
Net fixed assets 26,930   26,930   26,082
Goodwill 7,491   7,491   7,491
Total assets 43,359   43,359   45,351
Capital Expenditures          
Capital expenditures     2,325 11,231  
U.S. Wireline | Operating segments | Wireline
         
Revenue          
Revenue 6,130 5,712 19,488 15,995  
U.S. Wireline | Operating segments | Equipment and other
         
Revenue          
Revenue $ 69 $ 64 $ 194 $ 171  
XML 17 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIS OF PRESENTATION
9 Months Ended
Sep. 30, 2014
BASIS OF PRESENTATION  
BASIS OF PRESENTATION

2.  BASIS OF PRESENTATION

 

The accompanying condensed consolidated financial statements have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”). The financial information included herein is unaudited; however, the Company believes such information and the disclosures herein are adequate to make the information presented not misleading and reflect all adjustments (consisting only of normal recurring adjustments) that are necessary for a fair statement of the Company’s financial position and results of operations for such periods. The year-end condensed balance sheet data was derived from audited financial statements, but does not include all disclosures required by accounting principles generally accepted in the United States of America.  Results of interim periods may not be indicative of results for the full year.  These condensed consolidated financial statements and related notes should be read in conjunction with the Company’s 2013 Annual Report on Form 10-K.

 

See Note 4 for information regarding the Company’s sale of its U.S. retail wireless business operated under the Alltel name.  The assets, liabilities and operations of the Alltel business have been classified as discontinued for all periods presented.  Unless indicated otherwise, the information in the notes to the Condensed Consolidated Financial Statements refer only to our continuing operations.

 

Consolidation

 

The consolidated financial statements include the accounts of the Company, its majority-owned subsidiaries and certain entities, which are consolidated in accordance with the provisions of the Financial Accounting Standards Board’s (“FASB”) authoritative guidance on the consolidation of variable interest entities since it is determined that the Company is the primary beneficiary of these entities.

 

During the nine months ended September 30, 2014, the Company recognized approximately $0.7 million in general and administrative expenses to correct for an understatement of transactional tax liabilities generated in periods during 2013.  The Company determined that the impact of the correction of this error was not material to the current or any prior period financial statements.

 

The Company’s effective tax rate declined in 2014 as the result of increased income in lower taxed jurisdictions, such as Bermuda, as compared to 2013.  The Company’s effective tax rate in 2013 was higher than the statutory federal income tax rate of 35% (plus applicable statutory state income tax rates) due primarily to (i) the portion of our earnings that are taxed in Guyana at 45%, and (ii) a portion of the Company’s earnings that include losses generated in foreign jurisdictions for which we receive no tax benefit since these are non-tax jurisdictions. The Company’s effective tax rates for the three months ended September 30, 2013 and 2014 were 35.5% and 33.6%, respectively. The Company’s effective tax rates for the nine months ended September 30, 2013 and 2014 were 37.6% and 33.9%, respectively.

 

Recent Accounting Pronouncements

 

In August 2014, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) No. 2014-15, Disclosure of Uncertainties about an Entity’s Ability to Continue as a Going Concern.  ASU 2014-15 will explicitly require management to assess an entity’s ability to continue as a going concern, and to provide related footnote disclosure in certain circumstances. The new standard will be effective for all entities in the first annual period ending after December 15, 2016. Earlier adoption is permitted. The Company does not expect ASU No. 2014-15 to have a material impact on the consolidated financial position, results of operations, or cash flows.

 

In June 2014, the FASB issued a standards update on accounting for share-based payments when the terms of the award provide that a performance target could be achieved after a requisite service period. The standard is effective beginning January 1, 2016, with early adoption permitted. The Company does not expect it to have a material impact on our consolidated financial position, results of operations or cash flows.

 

In May 2014, the FASB issued a standard on revenue recognition providing a single, comprehensive revenue recognition model for all contracts with customers. The revenue standard is based on the principle that revenue should be recognized to depict the transfer of promised goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. The standard is effective beginning January 1, 2017, with no early adoption permitted. The amendments may be applied retrospectively to each prior period presented or retrospectively with the cumulative effect recognized as of the date of initial application. The Company is currently evaluating the adoption method options and the impact of the new guidance on our consolidated financial statements.

 

In April 2014, the FASB issued Accounting Standards Update (“ASU”) 2014-08, “Reporting Discontinued Operations and Disclosures of Disposals of Components of an Entity.” ASU 2014-08 provides guidance on determining when disposals can be presented as discontinued operations. ASU 2014-08 requires that only disposals representing a strategic shift in operations should be presented as discontinued operations. A strategic shift may include a disposal of a major line of business, major equity method investment or a major part of an entity. Additionally, ASU 2014-08 requires expanded disclosures regarding discontinued operations. This standard is effective prospectively for reporting periods beginning after December 15, 2014. Early adoption is permitted. The adoption of this amendment is not expected to have a material impact on the Company’s condensed consolidated financial statements.

 

In March 2013, the FASB issued ASU 2013-05, “Foreign Currency Matters (Topic 830): Parent’s Accounting for the Cumulative Translation Adjustment upon Derecognition of Certain Subsidiaries or Groups of Assets within a Foreign Entity or of an Investment in a Foreign Entity.” ASU 2013-05 provides clarification regarding whether ASC 810-10, “Consolidation — Overall” or ASC 830-30, “Foreign Currency Matters—Translation of Financial Statements,” applies to the release of cumulative translation adjustments into net income when a reporting entity either sells a part or all of its investment in a foreign entity or ceases to have a controlling financial interest in a subsidiary or group of assets that constitute a business within a foreign entity. The revised standard is effective for reporting periods beginning after December 15, 2013. The adoption of this amendment did not have a material impact on the Company’s condensed consolidated financial statements.

 

In July 2013, the FASB issued ASU No. 2013-11, “Income Taxes (Topic 740): Presentation of an Unrecognized Tax Benefit When a Net Operating Loss Carryforward, a Similar Tax Loss, or a Tax Credit Carryforward Exists (a consensus of the Emerging Issues Task Force),” which states that an unrecognized tax benefit, or a portion of an unrecognized tax benefit, should be presented in the financial statements as a reduction to a deferred tax asset for a net operating loss carryforward, a similar tax loss, or a tax credit carryforward. If a company does not have: (i) a net operating loss carryforward; (ii) a similar tax loss; or (iii) a tax credit carryforward is not available at the reporting date under the tax law of the applicable jurisdiction to settle any additional income taxes that would result from the disallowance of a tax position or the entity does not intend to use the deferred tax asset for such purpose, the unrecognized tax benefit should be presented in the financial statements as a liability and should not be combined with deferred tax assets. The authoritative guidance is effective for fiscal years and the interim periods within those fiscal years beginning on or after December 15, 2013 and was applied on a prospective basis. The adoption of this authoritative guidance did not have a material impact on the Company’s condensed consolidated financial statements.

EXCEL 18 Financial_Report.xls IDEA: XBRL DOCUMENT begin 644 Financial_Report.xls M[[N_34E-12U697)S:6]N.B`Q+C`-"E@M1&]C=6UE;G0M5'EP93H@5V]R:V)O M;VL-"D-O;G1E;G0M5'EP93H@;75L=&EP87)T+W)E;&%T960[(&)O=6YD87)Y M/2(M+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W9#'!L;W)E&UL;G,Z=CTS1")U&UL;G,Z;STS1")U&UL/@T*(#QX.D5X8V5L5V]R:V)O;VL^#0H@(#QX M.D5X8V5L5V]R:W-H965T5]);F9O#I%>&-E;%=O#I%>&-E;%=O#I%>&-E;%=O#I%>&-E;%=O#I%>&-E;%=O#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O#I.86UE/D-/3E-/3$E$051%1%]35$%414U%3E137T]&7T-! M4SPO>#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O#I.86UE/D)!4TE37T]&7U!215-%3E1!5$E/3CPO>#I. M86UE/@T*("`@(#QX.E=O#I7;W)K#I.86UE/@T*("`@(#QX.E=O#I7;W)K#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O#I.86UE/DY%5%])3D-/ M345?4$527U-(05)%/"]X.DYA;64^#0H@("`@/'@Z5V]R:W-H965T4V]U#I% M>&-E;%=O#I7;W)K M#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O M#I%>&-E;%=O#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O#I. M86UE/D5154E465]486)L97,\+W@Z3F%M93X-"B`@("`\>#I7;W)K#I7;W)K#I7;W)K#I.86UE/@T* M("`@(#QX.E=O#I% M>&-E;%=O#I.86UE/D)!4TE37T]&7U!215-%3D%4 M24].7T1E=&%I;'-?,CPO>#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O#I.86UE/D1)4T-/3E1)3E5%1%]/4$52051)3TY37U-!3$5?3S(\+W@Z3F%M M93X-"B`@("`\>#I7;W)K#I7;W)K#I7;W)K#I% M>&-E;%=O#I.86UE/@T*("`@ M(#QX.E=O#I%>&-E M;%=O#I.86UE/D=/5D523DU%3E1?1U)!3E137T1E M=&%I;'-?,CPO>#I.86UE/@T*("`@(#QX.E=O#I%>&-E;%=O#I.86UE M/D5154E465]$971A:6QS/"]X.DYA;64^#0H@("`@/'@Z5V]R:W-H965T4V]U M#I%>&-E;%=O#I.86UE M/@T*("`@(#QX.E=O#I%>&-E;%=O#I.86UE/E-%1TU%3E1?4D503U)4 M24Y'7T1E=&%I;',\+W@Z3F%M93X-"B`@("`\>#I7;W)K#I7;W)K#I3='EL97-H965T($A2968],T0B5V]R M:W-H965T&-E;"!8 M4"!O3X-"CPO:'1M;#X-"@T*+2TM+2TM M/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O:'1M;#L@8VAA7!E(&-O;G1E;G0],T0G=&5X="]H=&UL.R!C:&%R2!);F9O2!);F9O'0^)SQS<&%N/CPO2!296=I2!#96YT3PO=&0^#0H@ M("`@("`@(#QT9"!C;&%S'0^)S`P,#`X-SDU.#4\'0^4V5P(#,P+`T*"0DR,#$T/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)UEE2!&:6QE3PO=&0^#0H@("`@("`@(#QT9"!C;&%S M'0^)T%C8V5L97)A=&5D($9I;&5R/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^)U$S/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^)SQS<&%N/CPO7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S M+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@:'1T<"UE M<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@8VAA M'0^)SQS<&%N/CPO&5S/"]T9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XR M+#4P-#QS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO&5S/"]T M9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XR-RPU-30\'0^)R9N8G-P.R9N8G-P.SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)R9N8G-P.R9N8G-P.SQS<&%N/CPO MF5D.R`Q-BPT.30L.3@R(&%N9"`Q-BPV,S$L-SDW M('-H87)E2P@86YD(#$U+#@Q-BPQ.#D@ M86YD(#$U+#DQ-2PP,3`@7!E.B!T97AT+VAT;6P[(&-H87)S970] M(G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@:'1T M<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@ M8VAA'0^)SQS<&%N/CPOF5D/"]T9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XQ M,"PP,#`L,#`P/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S M3X-"CPO M:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O:'1M;#L@ M8VAA'0^)SQS<&%N/CPOF%T:6]N('5N;&5S'0^)SQS<&%N/CPOF%T:6]N/"]T9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M M<#XQ,BPX-#(\'0^)SQS<&%N/CPO'!E;G-E M'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'!E;G-E*2P@;F5T/"]T M9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XS,C4\#PO=&0^#0H@("`@("`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`@;6EL;&EO;B!A;F0@)#`N,"!M:6QL:6]N+"!R97-P96-T:79E;'D\ M+W1D/@T*("`@("`@("`\=&0@8VQA7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T* M#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@:'1T<"UE<75I=CTS1$-O M;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@8VAAF5D(&=A:6X@;VX@:6YT97)E3X-"CPO:'1M;#X-"@T*+2TM+2TM M/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O:'1M;#L@8VAA7!E(&-O;G1E;G0],T0G=&5X="]H=&UL.R!C:&%R'0^)SQS<&%N/CPO'0^)SQS<&%N/CPOF%T:6]N/"]T9#X- M"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XS-RPW-3(\F5D(&QO'0^ M)SQS<&%N/CPO#PO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO6UE;G1S M+"!A;F0@;W1H97(@8W5R&5S/"]T9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M/B@Q."PT,#$I M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)SQS<&%N/CPO'!E;F1I='5R97,L M(&YE=#PO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)SQS<&%N/CPO2!I;G9E'0^)SQS<&%N/CPO2`H=7-E9"!I;BD@:6YV97-T:6YG(&%C=&EV:71I97,\+W1D/@T*("`@("`@ M("`\=&0@8VQA'0^)SQS<&%N/CPO'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA6QE/3-$;6%R9VEN+6QE9G0Z,'!T.VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.C$P M<'0[)SXQ+B!/4D=!3DE:051)3TX@04Y$($)54TE.15-3($]015)!5$E/3E,\ M+V9O;G0^#0H)"3PO<#X-"@D)/'`@F4Z(#$P<'0G/@T* M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M2!T:&%T+"!T:')O=6=H(&ET6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M'0M:6YD96YT.C,V<'0[;&EN92UH96EG:'0Z;F]R;6%L.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0G/@T* M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,S9P=#MF;VYT+7-I>F4Z,'!T.SX\ M+W`^/"]T9#X\=&0@=F%L:6=N/3-$=&]P(&%L:6=N/3-$;&5F="!S='EL93TS M1"=W:61T:#H@,#`N,#!P=#L@9&ES<&QA>3H@:6YL:6YE.R<^#0H)"0D\<"!S M='EL93TS1"=F;VYT+69A;6EL>3I4:6UE$(W.SPO9F]N=#X-"@D) M"3PO<#X-"@D)/"]T9#X\=&0@F4Z,'!T.SX\+W`^ M/"]T9#X\=&0@86QI9VX],T1L969T('9A;&EG;CTS1'1O<#X-"@D)"3QP('-T M>6QE/3-$)V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M(#$P<'0[;6%R9VEN.C!P=#LG/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US='EL93II=&%L:6,[ M9F]N="US:7IE.C$P<'0[)SY7:7)E;&5S6QE/3-$)V1IF4Z,3!P=#LG/DEN M('1H92!5;FET960@4W1A=&5S+"!T:&4@0V]M<&%N>2!O9F9E3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,S9P=#MF;VYT+7-I>F4Z,'!T M.SX\+W`^/"]T9#X\=&0@=F%L:6=N/3-$=&]P(&%L:6=N/3-$;&5F="!S='EL M93TS1"=W:61T:#H@,#`N,#!P=#L@9&ES<&QA>3H@:6YL:6YE.R<^#0H)"0D\ M<"!S='EL93TS1"=F;VYT+69A;6EL>3I4:6UE$(W.SPO9F]N=#X- M"@D)"3PO<#X-"@D)/"]T9#X\=&0@F4Z,'!T.SX\ M+W`^/"]T9#X\=&0@86QI9VX],T1L969T('9A;&EG;CTS1'1O<#X-"@D)"3QP M('-T>6QE/3-$)V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$P<'0[;6%R9VEN.C!P=#LG/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US='EL93II=&%L M:6,[9F]N="US:7IE.C$P<'0[)SY7:7)E;&EN92XF;F)S<#L@/"]F;VYT/CQF M;VYT('-T>6QE/3-$)V1IF4Z,3!P=#LG M/E1H92!#;VUP86YY)B-X,C`Q.3MS(&QO8V%L('1E;&5P:&]N92!A;F0@9&%T M82!S97)V:6-E6%N82!A M;F0@=&AE(&UA:6YL86YD(%5N:71E9"!3=&%T97,N(%1H92!#;VUP86YY(&ES M('1H92!E>&-L=7-I=F4@;&EC96YS960@<')O=FED97(@;V8@9&]M97-T:6,@ M=VER96QI;F4@;&]C86P@86YD(&QO;F6%N82!A;F0@:6YT97)N871I;VYA;"!V;VEC92!A;F0@ M9&%T82!C;VUM=6YI8V%T:6]N2!A;'-O(&]F9F5R2!O9F9E6QE/3-$)VUA'0M:6YD96YT.B`M,3AP=#ML:6YE+6AE:6=H=#IN;W)M86P[9F]N M="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0MF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE/3-$=VED=&@Z M,3`P)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG/3-$,"!S M='EL93TS1"=B;W)D97(M8V]L;&%PF4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4V5R=FEC97,\+V9O;G0^/"]P/@T*"0D) M"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H M.C`R+C`T)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE3H@:6YL M:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E-E9VUE;G0\ M+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1'=I9'1H.C`R+C`T)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP M('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE M.CAP=#LG/DUA6QE/3-$)VUA3I4:6UE M6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/E1R861E;F%M97,\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D\+W1R/@T*"0D)/'1R/@T*"0D)"3QT9"!V86QI9VX] M,T1T;W`@F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.C$P<'0[)SY7 M:7)E;&5S6QE/3-$)W=I9'1H.C`R+C`T)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UEF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H M.C`R+C`T)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C`T)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C`X+C8R)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B9N8G-P.SPO9F]N M=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T M>6QE/3-$)W=I9'1H.C`R+C`T)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0MF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`T)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C8R)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X\ M+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE M/3-$)W=I9'1H.C`R+C`T)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M3PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T M=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`T)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0MF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$=VED=&@Z,#@N M-C(E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.C$P M<'0[)SY7:7)E;&EN93PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@ M=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#0E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN=&5R;F%T:6]N86P@26YT96=R871E M9"!496QE<&AO;GD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`R+C`T)3MP861D:6YG.C!P M=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X\ M+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE M/3-$=VED=&@Z,#(N,#0E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/E4N4RX@5VER96QI;F4\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`R+C`T)3MP861D:6YG M.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C4N M-S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M%1E;#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"3PO M='(^#0H)"3PO=&%B;&4^/"]D:78^#0H)"3QP('-T>6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/E1H92!#;VUP86YY(&ES(&%C=&EV96QY(&5V86QU871I M;F<@<&]T96YT:6%L(&%C<75I2!R96-E:79E MF4],T0Q/B`\+V9O;G0^/"]P/@T* M"3PO9&EV/B`\+V1I=CX\'0O:F%V87-C3X-"B`@("`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`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`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`Q-"TP."!P2!I;F-L=61E(&$@9&ES<&]S86P@;V8@82!M86IO M2X@061D:71I;VYA M;&QY+"!!4U4@,C`Q-"TP."!R97%U:7)E'!A;F1E9"!D:7-C;&]S=7)E M2!A9&]P=&EO;B!I28C>#(P,3D['0M:6YD M96YT.C(T+C5P=#ML:6YE+6AE:6=H=#IN;W)M86P[9F]N="UF86UI;'DZ5&EM M97,@3F5W(%)O;6%N.V9O;G0M6QE M/3-$)V1IF4Z.7!T.R<^)FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M#(P,4,[1F]R96EG;B!#=7)R M96YC>2!-871T97)S("A4;W!I8R`X,S`I.B!087)E;G0F(W@R,#$Y.W,@06-C M;W5N=&EN9R!F;W(@=&AE($-U;75L871I=F4@5')A;G-L871I;VX@061J=7-T M;65N="!U<&]N($1E2!O#(P,40[(&]R($%30R`X,S`M,S`L("8C M>#(P,4,[1F]R96EG;B!#=7)R96YC>2!-871T97)S)B-X,C`Q-#M42X@5&AE(')E=FES960@'0M:6YD96YT.C(T+C5P=#ML M:6YE+6AE:6=H=#IN;W)M86P[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N M.V9O;G0M6QE/3-$)V1IF4Z.7!T.R<^)FYB6QE/3-$)VUAF4Z(#$P<'0G M/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M29N8G-P.S(P,3,L('1H92!&05-"(&ES"!,;W-S+"!O"!#69O"!C&5S('1H870@=V]U;&0@"!P;W-I=&EO;B!O"!AF5D M('1A>"!B96YE9FET('-H;W5L9"!B92!P65A7!E.B!T97AT+VAT M;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@ M("`@/$U%5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$ M)W1E>'0O:'1M;#L@8VAA'0^ M)SQS<&%N/CPO'0^)SQD:78^(#QD:78@6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0MF4Z(#$P M<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M28C>#(P,3D[F4] M,T0Q/B`\+V9O;G0^/"]P/@T*"3PO9&EV/B`\+V1I=CX\'0O M:F%V87-C3X-"B`@("`\ M=&%B;&4@8VQA6QE/3-$;6%R9VEN+6QE9G0Z,'!T M.VUAF4Z(#$P<'0G M/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I M9VAT.F)O;&0[9F]N="US:7IE.C$P<'0[)SXT+B9N8G-P.R9N8G-P.T1)4T-/ M3E1)3E5%1"!/4$52051)3TY3("8C>#(P,30[(%-!3$4@3T8@52Y3+B!2151! M24P@5TE214Q%4U,@0E5324Y%4U,\+V9O;G0^#0H)"3PO<#X-"@D)/'`@F4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M2!A M;FYO=6YC960@<')O<&]S960@28C>#(P,3D[ M&EM871E;'D@)#2!C;VUP;&5T960@=&AE('-A;&4@;V8@ M8V5R=&%I;B!5+E,N(')E=&%I;"!W:7)E;&5S'0M:6YD96YT.C,V<'0[;&EN92UH96EG:'0Z;F]R;6%L.V9O;G0M9F%M M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0G/@T*"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/E1H92`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`E.W!A9&1I;FF4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI M;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I M9'1H.C(X+C0P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)V1I6QE/3-$)W=I9'1H.C(X+C0P)3MB;W)D97(M M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,S8N.#`E.W!A9&1I;FF4Z(#AP="<^#0H) M"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I9'1H.C$R+C@V)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS M1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z M.'!T.R<^,C`Q,SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C8X)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$ M)W=I9'1H.C$R+C@V)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^,C`Q-#PO9F]N=#X\+W`^#0H)"0D)/"]T M9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N M-C@E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG M/C(P,3,\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXV."4[8F]R9&5R+71O<#HQ<'0@ M'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[ M9F]N="US:7IE.CAP=#LG/C(P,30\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`Q+C`V)3MP M861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,S8N.#`E.W!A9&1I M;F6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)VUA MF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)W=I9'1H.C,V+C@P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H M.C`R+C8X)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C0X)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX."PP,S8-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z M(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C8X M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C0X)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR.3DL-3$Y#0H)"0D)/"]T9#X- M"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C8X M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C0X)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$=VED=&@Z,3(N.#8E.W!A9&1I;F'0M86QI M9VXZ6QE/3-$=VED=&@Z,#(N-C@E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA MF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$=VED=&@Z,3(N.#8E.W!A9&1I M;F'0M86QI9VXZ6QE M/3-$=VED=&@Z,#$N,#8E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M'!E M;G-E("AB96YE9FET*2!O9B`H)#$N.2D@86YD("0U+C(@;6EL;&EO;B!F;W(@ M=&AE('1H6QE/3-$)W=I9'1H.C$R+C@V M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXH,2PY-C`-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@ MF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$R+C@V)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$R+C@V)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU+#$V-@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXV M."4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$R+C@V M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.C$P<'0[)SXF;F)S<#L\+V9O;G0^#0H)"3PO<#X-"@D)/'`^/&9O;G0@ M7!E.B!T97AT M+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^ M#0H@("`@/$U%5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT M/3-$)W1E>'0O:'1M;#L@8VAA'0^)SQD:78^(#QD:78@6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M2!W:&EC:"!R97%U:7)EF4@ M=&AE('5S92!O9B!O8G-EF4@=&AE M('5S92!O9B!U;F]B2!B92!UF4Z(#$P<'0G/@T*"0D)/&9O;G0@6QE/3-$)V1IF4Z,3!P=#LG/DQE=F5L)FYB6QE/3-$)VUA'0M:6YD96YT.B`M M,S9P=#ML:6YE+6AE:6=H=#IN;W)M86P[9F]N="UF86UI;'DZ5&EM97,@3F5W M(%)O;6%N.V9O;G0MF4Z(#$P<'0G/@T*"0D)/&9O;G0@2!T:&%N(&5X8VAA;F=E+71R861E9"!I;G-T6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)VUA'0M M:6YD96YT.B`M-31P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DQE=F5L)FYB2!A;F0@=&AA="!A6QE M/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/D%S3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE/3-$=VED M=&@Z,3`P)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG/3-$ M,"!S='EL93TS1"=B;W)D97(M8V]L;&%P6QE/3-$)VUA3I4:6UE3H@:6YL:6YE M.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N M=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T M>6QE/3-$=VED=&@Z,#(N-3`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`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`E.W!A9&1I;F'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P M/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT M/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D) M"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T M:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z-3(N-3`E.W!A9&1I;F6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D M97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXR+#(T-"9N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O M='1O;2!S='EL93TS1'=I9'1H.C`R+C4P)3MP861D:6YG.C!P=#L^#0H)"0D) M"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI M9VXZ6QE/3-$=VED=&@Z M,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C$Q+C6QE/3-$)V1I6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R M+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A8VMGF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)W=I9'1H.C$Q+CF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE6QE/3-$ M)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z(#$R<'0G/@T* M"0D)"0D))FYB3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\ M9&EV('-T>6QE/3-$=VED=&@Z,3`P)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P M(&-E;&QS<&%C:6YG/3-$,"!S='EL93TS1"=B;W)D97(M8V]L;&%P6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP M="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N M="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4V5P=&5M8F5R)FYB6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/D1E6QE/3-$)W=I9'1H.C$S+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P M,#`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`R+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$S+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS M1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z M.'!T.R<^5&]T86P\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`Q+C`P)3MP861D:6YG.C!P M=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C4R+C4P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H.C`Q M+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@ M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C,P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@ M.V)O6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\ M+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z-3(N-3`E.W!A9&1I;F6QE/3-$)W=I M9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[ M8F]R9&5R+71O<#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1I M6QE/3-$)W=I9'1H.C`Q M+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@ M(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A8VMG MF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+CF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C4P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O;&]R M.B`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`\+V9O;G0^/"]P M/@T*"3PO9&EV/B`\+V1I=CX\'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA'0^)SQS<&%N/CPO6QE M/3-$;6%R9VEN+6QE9G0Z,'!T.VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.C$P<'0[)SXV M+B9N8G-P.R9N8G-P.TQ/3D6QE/3-$)VUAF4Z(#$P<'0G/@T* M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA M3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/E1H92!#;VUP86YY M(&AA2`H=&AE("8C>#(P,4,[0W)E9&ET($9A M8VEL:71Y)B-X,C`Q1#LI('=H:6-H('!R979I;W5S;'D@:6YC;'5D960@='=O M('1E2!P28C>#(P,3D[2!& M=6YD($=R86YT(&]B;&EG871I;VYS("AS964@3F]T92`X*2X\+V9O;G0^#0H) M"3PO<#X-"@D)/'`@3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X- M"@D)/"]P/@T*"0D\<"!S='EL93TS1"=M87)G:6XZ,'!T.W1E>'0M:6YD96YT M.C,V<'0[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M2!R97!A:60@:71S(&]U='-T86YD:6YG('1E"DF;F)S<#MT:&4@;VYE+7=E96L@ M3$E"3U(@86YD("AY*29N8G-P.W1H92!O;F4M;6]N=&@@3$E"3U([(&]R("AI M:2DF;F)S<#MT:&4@<')I;64@2DN/"]F M;VYT/@T*"0D\+W`^#0H)"3QP('-T>6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M2!M=7-T(&%L2!U;G5S M960@<&]R=&EO;B!O9B!T:&4@6%B;&4@:6X@87)R96%R M'0M M:6YD96YT.C,V<'0[;&EN92UH96EG:'0Z;F]R;6%L.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA6QE/3-$)V1IF4Z,3!P=#LG/E1H92!#&5S('!A M>6UE;G1S(&%N9"`H:6EI*29N8G-P.W)E<75I2!T;R!C;VYS;VQI9&%T960@87-S971S+B!!6QE/3-$)VUA MF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M2!A&EM871E;'D@)#2!O9B!-,R!7:7)E;&5S2!S:&%R96AO;&1E28C>#(P M,3D[3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\<#X\9F]N="!S:7IE/3-$ M,3X@/"]F;VYT/CPO<#X-"@D\+V1I=CX@/"]D:78^/'-P86X^/"]S<&%N/CPO M=&0^#0H@("`@("`\+W1R/@T*("`@(#PO=&%B;&4^#0H@(#PO8F]D>3X-"CPO M:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O:'1M;#L@ M8VAA'0^)SQS<&%N/CPO3I4:6UE6QE/3-$)V1IF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M'!O6UE M;G1S(&]V97(@=&AE(&QI9F4@;V8@=&AE(&%G&-H86YG92!O9B!T:&4@=6YD97)L>6EN9R!N;W1I;VYA;"!A;6]U;G0N/"]F M;VYT/@T*"0D\+W`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`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`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)V1IF4Z.'!T.R<^2&5D9VEN9R9N8G-P.U)E;&%T:6]N6QE/3-$ M)VUA3I4:6UE6QE/3-$)VUA3I4:6UE M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.CAP=#LG/D%M;W5N="9N8G-P.V]F)FYB6QE/3-$)V1IF5D/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)V1IF4Z.'!T.R<^*$5F9F5C=&EV M929N8G-P.U!O6QE M/3-$)W=I9'1H.C$V+C`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`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$ M8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N-3`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`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE M/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0MF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$T+C

6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z M,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN=&5R97-T(%)A=&4@4W=A<#PO9F]N=#X\+W`^#0H) M"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED M=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\ M+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1'=I9'1H.C$T+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)VUA M3I4:6UE M'!E;G-E/"]F;VYT/CPO<#X- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE M/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,30N-S`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$ M=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE/3-$ M=VED=&@Z,3`P)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG M/3-$,"!S='EL93TS1"=B;W)D97(M8V]L;&%PF4Z(#AP="<^ M#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^3FEN929N8G-P.TUO;G1H6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.CAP=#LG/D1E6QE/3-$)V1I6QE/3-$=VED=&@Z,#(N-3`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`P)3MB M;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$ M)V1I6QE/3-$)V1I3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D]T M:&5R/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)V1I3H@:6YL:6YE.V9O M;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/BA%9F9E8W1I=F4F;F)S M<#M0;W)T:6]N*3PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HQ-"XW,"4[8F]R9&5R+71O<#HQ<'0@'0M86QI9VXZF4Z(#$R<'0G/@T*"0D)"0D))FYB'!E;G-E M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z M,C4N,#`E.W!A9&1I;F6QE/3-$=VED M=&@Z,38N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R M.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$ M=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,30N-S`E.W!A9&1I;F'0M M86QI9VXZ6QE/3-$=VED M=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN=&5R97-T(&5X<&5N6QE/3-$)VUA M3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUAF4Z(#$P<'0G/@T* M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.C$P<'0[)SXF;F)S<#L\+V9O;G0^#0H)"3PO<#X- M"@D)/'`^/&9O;G0@7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M M;#X-"B`@/&AE860^#0H@("`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`Q.3MS($YA=F%J M;R!S=&EM=6QU28C>#(P,3D[3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\<"!S='EL93TS1"=M87)G M:6XZ,'!T.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M=V5I9VAT.F)O;&0[9F]N="US='EL93II=&%L:6,[9F]N="US:7IE.C$P M<'0[)SY-;V)I;&ET>2!&=6YD($=R86YTF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0MF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M#(P,40[*2!R969O#(P,4,[55-&)B-X,C`Q1#LI('!R;V=R M86TL('=H:6-H('!R979I;W5S;'D@<')O=FED960@2!&=6YD(&%N M9"!T:&4@5')I8F%L($UO8FEL:71Y($9U;F0L(&5A8V@@82!O;F4M=&EM92!A M=V%R9"!M96%N="!T;R!S=7!P;W)T('=I2`D,C$N-R9N M8G-P.VUI;&QI;VX@;V8@36]B:6QI='D@1G5N9"!S=7!P;W)T(&%N9"!I;B!* M=6YE)FYB2`D,BXT(&UI;&QI;VX@;V8@ M5')I8F%L($UO8FEL:71Y(&9U;F0@#(P,4,[ M36]B:6QI='D@1G5N9',F(W@R,#%$.RD@=&\@97AP86YD('9O:6-E(&%N9"!B M2!H87,@<&]S M=&5D(&%P<')O>&EM871E;'D@)#$P+C4@;6EL;&EO;B!I;B!L971T97)S(&]F M(&-R961I="!T;R!T:&4@56YI=F5R2`H)B-X,C`Q0SM54T%#)B-X,C`Q1#LI('1O('-E8W5R92!T M:&5S92!O8FQI9V%T:6]N2!&=6YD2!D:7-Q M=6%L:69Y('1H92!#;VUP86YY(&9R;VT@=&AE(')E8V5I<'0@;V8@861D:71I M;VYA;"!-;V)I;&ET>2!&=6YD('-U<'!O'0M:6YD96YT.C,V<'0[;&EN92UH96EG M:'0Z;F]R;6%L.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/E1H92!#;VUP86YY(&)E9V%N('1H92!C;VYS=')U8W1I;VX@;V8@:71S($UO M8FEL:71Y($9U;F1S('!R;VIE8W1S(&1U2!&=6YD2P@<&QA;G0L(&%N9"!E<75I<&UE;G0@87-S;V-I M871E9"!W:71H('1H97-E('!R;VIE8W1S(&%N9"P@8V]N2!T M;R!R961U8V4@9G5T=7)E(&]P97)A=&EN9R!E>'!E;G-E3X-"CPO:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O M:'1M;#L@8VAA'0^)SQS<&%N/CPO3I4:6UE6QE/3-$)V1I6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/E1O=&%L(&5Q=6ET>2!W87,@87,@9F]L;&]W6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C0N,#`E.W!A9&1I;FF4Z(#AP="<^#0H) M"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I9'1H.C,U+C4P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS M1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z M.'!T.R<^,C`Q,SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$ M)W=I9'1H.C,U+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^,C`Q-#PO9F]N=#X\+W`^#0H)"0D)/"]T M9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#$N M,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)V1I'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[ M9F]N="US:7IE.CAP=#LG/DYO;BU#;VYT6QE/3-$)VUA3I4 M:6UE6QE/3-$)V1I3PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4:6UE3H@:6YL:6YE.V9O M;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D%T;&%N=&EC)FYB3H@:6YL M:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DYE='=O6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$ M)W=I9'1H.C$Q+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^3F]N+4-O;G1R;VQL:6YG/"]F;VYT/CQB M6QE/3-$)V1I'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E1O M=&%L/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE M/3-$)W=I9'1H.C(T+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUAF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS,S0L,30V#0H)"0D)/"]T9#X-"@D) M"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C$P+C(P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N M;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV M,"PP.30-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]WF4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]WF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW M,"4[8F]R9&5R+71O<#HQ<'0@6QE M/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS+#0Q M.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1'=I9'1H.C`R+C`P)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$ M)VUA3I4 M:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXS+#,X,0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1'=I9'1H.C`R+C`P)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP M('-T>6QE/3-$)VUA3I4:6UE3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P M,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[ M9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ'0M:6YD96YT.B`M,3!P M=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/D-O;7!R96AE;G-I=F4@:6YC;VUE.CPO9F]N=#X\+W`^ M#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE6QE/3-$=VED=&@Z,C0N,#`E.W!A9&1I;F6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$Q+C4P)3L[9F]N="UF86UI;'DZ5&EM97,@ M3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P M)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)W=I9'1H.C(T+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P M)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV+#DX-0T*"0D) M"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T M:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H M.C$Q+C4P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV M+#DX-0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@ M.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C4P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-2PR,S0-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-2PU,C`-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$Q+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$=VED=&@Z,#$N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W M6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE M/3-$=VED=&@Z,C0N,#`E.W!A9&1I;F6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@ M3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^ M/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F M;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@ M6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF M86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI M9VXZ6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D\+W1R/@T*"0D)/'1R M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H) M"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ M,"XP,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO M=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP M('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P M86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[ M8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D\+W1R/@T*"0D)/'1R/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$ M)V1IF4Z,3!P=#LG/DEN=F5S=&UE;G1S M(&UA9&4@8GD@;F]N+6-O;G1R;VQL:6YG(&EN=&5R97-T6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXQ,S4-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N M="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED M=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#$N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUAF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H.C$Q+C4P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXH,3,L-C,T#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W MF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$=VED=&@Z,C0N,#`E.W!A9&1I;F6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH-BPV,34-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXH-BPV,34-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH M,2PX-3`-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH,2PX-3`-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C(T+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[8F]R9&5R+71O<#HQ M<'0@F4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]WF4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C$P+C(P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[8F]R9&5R+71O<#HQ M<'0@F4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]WF4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C`X+C'0M86QI9VXZ6QE/3-$)W=I9'1H M.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU-BPV-3`-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C`X+C'0M86QI9VXZ6QE M/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N M="US:7IE.C$P<'0[)SXF;F)S<#L\+V9O;G0^#0H)"3PO<#X-"@D)/'`^/&9O M;G0@7!E.B!T M97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE M860^#0H@("`@/$U%5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT M96YT/3-$)W1E>'0O:'1M;#L@8VAA'0^)SQD:78^(#QD:78@6QE M/3-$)VUA6QE/3-$)VUAF4Z(#$P<'0G M/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)VUA3I4:6UE M6QE M/3-$)V1IF4Z,3!P=#LG/D9O6QE/3-$)V1I6QE M/3-$)VUA3I4:6UE6QE/3-$)VUA3I4 M:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N M="US:7IE.CAP=#LG/E1H3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E-E<'1E;6)E6QE/3-$=VED=&@Z,#,N-#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^3FEN929N8G-P.TUO;G1H6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,S,N,C`E.W!A9&1I;FF4Z(#AP="<^ M#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y M.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^,C`Q M,SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T M=&]M('-T>6QE/3-$)W=I9'1H.C`S+C0P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA M;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P M;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^ M,C`Q-#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$ M8F]T=&]M('-T>6QE/3-$=VED=&@Z,#,N-#`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`Q+C,V)3MP M861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C,S+C(P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0MF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`S+C0P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE M/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXQ-2PV-S@F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C,V)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE6QE/3-$=VED=&@Z,S,N,C`E.W!A9&1I;F6QE/3-$=VED=&@Z,#,N-#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXQ,#6QE/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!N M;VYE("-$.40Y1#D@.V)O6QE/3-$ M=VED=&@Z,#,N-#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C,S+C(P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$R+CDV M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@(S`P M,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A8VMGF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$R M+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@ M(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A8VMG MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H M.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B M;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A M8VMGF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W M6QE/3-$)W=I M9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D M;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@ M.V)A8VMGF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/E1H92!A8F]V92!C86QC M=6QA=&EO;B!F;W(@=&AE('1H7!E.B!T97AT+VAT M;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@ M("`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`P M)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG/3-$,"!S='EL M93TS1"=B;W)D97(M8V]L;&%P6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^ M#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.CAP=#LG/D9O6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O M;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D)/"]T M9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG M/E4N4RXF;F)S<#M7:7)E;&5S6QE/3-$)W=I9'1H.C`R+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@ M.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP M="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N M="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^26YT97)N871I;VYA;#PO M9F]N=#X\8G(@+SX\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N M="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^26YT96=R871E9#PO9F]N M=#X\8G(@+SX\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^5&5L97!H;VYY/"]F;VYT/CPO M<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4:6UE6QE/3-$)V1I M3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E=I6QE M/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$ M)V1I6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H) M"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4F5C;VYC:6QI;F<\+V9O;G0^/&)R M("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/DET96US/"]F;VYT/CPO<#X-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4 M:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z M,C6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[ M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$=VED=&@Z,#@N-S`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`X+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P M,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H.C`X+C6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXR,BPX.34-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG M/E=I6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYBF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-2PV-#`-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M M86QI9VXZ6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXR,2PU,#0-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF M;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/D5Q=6EP;65N="!A;F0@;W1H97(@/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@ M.V)O3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXQ+#4Y-`T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$ M.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXV-`T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O M='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE M("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N M;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$)VUAF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS,RPP-3<-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU+#6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXW.2PS-3`-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF M;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/D1E<')E8VEA=&EO;B!A;F0@86UOF%T:6]N(#PO9F]N M=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T M>6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS M-S@-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I M;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V M86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z M,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXY,C8-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/D]P97)A=&EN9R!I;F-O M;64@*&QO6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H M.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL M>3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXW+#`R.`T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O M='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS+#(Y,@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[ M8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH M,C4U#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^ M#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D) M/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T M:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D) M"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S M='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)V1I M6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C6QE/3-$)V1I6QE/3-$)VUA3I4:6UE3H@:6YL M:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO M9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;F'0M M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT M+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O M;&0[9F]N="US:7IE.CAP=#LG/E4N4RXF;F)S<#M7:7)E;&5S6QE M/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N M;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y M.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4F5C M;VYC:6QI;F<\+V9O;G0^/&)R("\^/&9O;G0@3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DET96US M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$ M)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW M,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E M.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED M=&@Z,#@N-S`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I M9'1H.C`X+C6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N M,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C`X+C'0M86QI9VXZ6QE/3-$=VED=&@Z M,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.SMF;VYT+69A;6EL>3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXT-2PX,S(-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D) M"0D))FYB3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[ M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT M-3<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ M5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXQ-2PY.34-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED M=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N M;VYE("-$.40Y1#D@.V)O3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXV-RPY-S0-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)VUA3I4 M:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR,34L.#`W M#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$ M=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ M,BPQ,3D-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS M-BPU,3<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/DYO;BUC M87-H('-T;V-K+6)A6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[ M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N M="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M M86QI9VXZ6QE/3-$)W=I9'1H.C$P M+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)V1IF4Z,3!P=#LG/D]P97)A=&EN9R!I;F-O;64@*&QO6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ.2PU M.38-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W MF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I M9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A M;6EL>3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXT."PP,C,-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE/3-$ M=VED=&@Z,3`P)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG M/3-$,"!S='EL93TS1"=B;W)D97(M8V]L;&%P6QE/3-$)VUA3I4:6UE3H@:6YL M:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO M9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;F'0M M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT M+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O M;&0[9F]N="US:7IE.CAP=#LG/D9O6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^ M#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.CAP=#LG/E4N4RXF;F)S<#M7:7)E;&5S6QE/3-$)W=I9'1H M.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE M("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ M8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[ M9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4F5C;VYC:6QI;F<\ M+V9O;G0^/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O M;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DET96US/"]F;VYT/CPO M<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4:6UE6QE/3-$)V1I M6QE/3-$)VUA3I4:6UE M6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I M9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE M/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$=VED=&@Z,#@N-S`E M.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`X+C

6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V M86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I M;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X M+C'0M86QI9VXZ6QE/3-$=VED=&@Z,#$N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT M+69A;6EL>3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXR,2PU-3<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)V1IF4Z,3!P=#LG/E=I6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-2PR M-#D-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR,2PU,S$-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)V1IF4Z,3!P=#LG/D5Q=6EP;65N="!A;F0@;W1H97(@/"]F;VYT M/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE M("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXQ+#0V.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC M;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P M="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXV.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N M9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ+#DY.0T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,2XP,"4[ M8F%C:V=R;W5N9"UC;VQO6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$ M)VUA3I4 M:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT-"PW,S8- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV+#$Y.0T*"0D)"3PO M=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`R M+C`P)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)VUA MF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXX.2PS.3,-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF;VYT M+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/D1E<')E8VEA=&EO;B!A;F0@86UOF%T:6]N(#PO9F]N=#X\ M+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W M6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT M+69A;6EL>3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXQ,BPX-#(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)V1IF4Z,3!P=#LG/DYO;BUC87-H('-T;V-K+6)A6QE/3-$)VUA3I4:6UE3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P M,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A M9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I M9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M M'0M86QI9VXZ6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O M;6%N.V9O;G0M'0M86QI9VXZ'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/D]P97)A=&EN9R!I M;F-O;64@*&QO6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A M;6EL>3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXU+#`V-0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR+#(S,0T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP M,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXH-#6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C`Q+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C6QE/3-$)V1I6QE/3-$)VUA3I4:6UE3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P M.SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T M=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/E4N4RXF;F)S<#M7:7)E;&5S6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA M;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P M;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^ M4F5C;VYC:6QI;F<\+V9O;G0^/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DET M96US/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE M/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO M=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP M."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#$N M,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M=VED=&@Z,#@N-S`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P M/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1'=I9'1H.C`X+C6QE/3-$ M)VUAF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z M,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$=VED=&@Z,#@N-S`E.W!A9&1I;F'0M86QI9VXZ M6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^ M/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA M;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/DEN=&5R;F%T:6]N M86P@=VER96QEF4Z(#$R<'0G/@T*"0D)"0D) M)FYB3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z M(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV-RPQ,C<-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/E=I6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXT-"PS.3D-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E M.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYBF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O M;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$ M=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UEF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU-S,-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M M86QI9VXZ6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W M6QE M/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y M1#D@.V)O'0M86QI9VXZ M6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXQ.2PV.#(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M3I4:6UE6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0MF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXW+#@Q,`T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP M,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXS+#4Q.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S M='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.SMF;VYT+69A;6EL>3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXR+#@Y.0T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R M;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-RPW-3(- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)V1IF4Z,3!P=#LG/DYO;BUC87-H('-T M;V-K+6)A6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M M86QI9VXZ6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)VUA3I4 M:6UE3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT M/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI M;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ M6QE/3-$)W=I9'1H.C$P+C`P)3L[ M9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ'0M:6YD96YT.B`M,3!P M=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/D]P97)A=&EN9R!I;F-O;64@*&QO6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-2PR.3,-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ MF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R M;W5N9"UC;VQO'0M86QI9VXZF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)V)O6QE/3-$=VED=&@Z,C8N-3`E.W!A9&1I;FF4Z M(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[ M9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N M="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF M;VYT+7-I>F4Z.'!T.R<^4V5G;65N="9N8G-P.T%S6QE/3-$ M=VED=&@Z,#$N,#`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`^#0H)"0D)/"]T M9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R M+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI M;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^27-L86YD/"]F M;VYT/CQB6QE/3-$)V1I6QE M/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R M.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^ M#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^0V]N'0M:6YD96YT.B`M,3!P M=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1I6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P M+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M6QE/3-$)VUA MF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M&5D(&%S6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXW,RPU.3(F;F)S<#L-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$ M=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXR.2PS,3`F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V M86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I M;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X M+C'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^ M/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA M;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W'0M:6YD96YT.B`M,3!P=#MF;VYT M+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/D=O;V1W:6QL(#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\ M=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU+#0S."9N8G-P M.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT M+69A;6EL>3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXW+#0Y,29N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R M;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$)W=I9'1H M.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL M>3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXT-2PP-SF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)V1IF4Z,3!P=#LG/E1O=&%L(&%S6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-3$L,#DT M)FYB6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M3I4:6UE6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)VUA3I4 M:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXT-2PS-3$F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P M)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX-3DL-S$Y M)FYB6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C8N-3`E.W!A9&1I M;F6QE/3-$=VED=&@Z M,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA M3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O M;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S M='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2 M;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXQ,3`L.#6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW M,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR-BPY,S`F;F)S M<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D) M/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)V1IF4Z,3!P=#LG/D=O;V1W:6QL(#PO9F]N=#X\+W`^#0H)"0D) M/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUAF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H.C$P+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXU+#0S."9N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O M='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXW+#0Y,29N8G-P.PT*"0D)"3PO M=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP M,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.SMF;VYT+69A;6EL>3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXT-2PP-SF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/E1O=&%L(&%S6QE/3-$ M)VUA3I4 M:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXQ-S@L,C`X)FYB6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR,#`L-S6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$ M)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O M;G0M'0M86QI9VXZ6QE/3-$ M)VUA3I4 M:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXX-#,L-#,Q)FYB6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYB3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P M/@T*"0D\9&EV('-T>6QE/3-$=VED=&@Z,3`P)3X\=&%B;&4@6QE/3-$=VED=&@Z,'!T M.V9O;G0M6QE/3-$)W=I9'1H.B`R,BXP,'!T.R!D:7-P;&%Y.B!I M;FQI;F4[)SX-"@D)"3QP('-T>6QE/3-$)V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0[;6%R9VEN.C!P=#LG/@T*"0D)"3QF M;VYT('-T>6QE/3-$)VUA6QE/3-$=VED=&@Z,31P=#L^/'`@3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN8VQU9&5S("0T+#6QE/3-$ M)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)V)O6QE/3-$=VED=&@Z,C8N-3`E.W!A9&1I;FF4Z(#AP="<^#0H) M"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS M1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z M.'!T.R<^0V%P:71A;"9N8G-P.T5X<&5N9&ET=7)E6QE/3-$=VED M=&@Z,#$N,#`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`^#0H)"0D)/"]T9#X- M"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ M8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[ M9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^27-L86YD/"]F;VYT M/CQB6QE/3-$)V1I6QE/3-$ M)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H) M"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^0V]N'0M:6YD96YT.B`M,3!P=#MF M;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z(#$R<'0G/@T* M"0D)"0D))FYB3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB M3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE MF4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UEF4Z M(#$R<'0G/@T*"0D)"0D))FYB3I4:6UEF4Z(#$R<'0G/@T* M"0D)"0D))FYB3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)V1IF4Z,3!P=#LG/C(P,3,@/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A M9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H M.C`X+C'0M86QI9VXZ6QE/3-$=VED=&@Z M,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA M3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O M;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S M='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2 M;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[ M.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS+#$U,29N8G-P.PT* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I M9'1H.C`R+C`P)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA M3I4:6UE M3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU M-2PQ-S$F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)V1IF4Z,3!P=#LG M/C(P,30@/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C,P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P M/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HP."XW,"4[8F%C:V=R;W5N9"UC;VQOF4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR+#,R-29N8G-P.PT*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP M,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C`Q+C,P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O M='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[8F%C:V=R;W5N9"UC;VQOF4Z M(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.C$P M<'0[)SXF;F)S<#L\+V9O;G0^#0H)"3PO<#X-"@D)/'`^/&9O;G0@7!E.B!T97AT+VAT;6P[ M(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`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`R,#`Y+"!'5"9A;7`[5"!P971I=&EO;F5D('1O(&EN M=&5R=F5N92!I;B!T:&4@#(P,3D[2!D969E;F1I;F<@86=A:6YS="!T:&4@;&5G86P@8VAA;&QE;F=E+CPO9F]N M=#X-"@D)/"]P/@T*"0D\<"!S='EL93TS1"=M87)G:6XZ,'!T.W1E>'0M:6YD M96YT.C,V<'0[;&EN92UH96EG:'0Z;F]R;6%L.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN($)E2!C;VYT:6YU960@:71S(&EM<&QE;65N=&%T:6]N(&]F('1H M92!%;&5C=')O;FEC($-O;6UU;FEC871I;VYS($%C="!O9B`R,#$Q+"!W:&EC M:"!A;&QO=W,@8V]M;75N:6-A=&EO;G,@2!C;W-T3H@:6YL:6YE.V9O;G0M2!R97-E2=S(&)U2!I;G9O;'5N=&%R>2!R96-A<'1U2!H86QT(&%N>2!U;FEL871E2!T:&4@4F5G=6QA=&]R>2!!=71H;W)I='DN($%L=&AO=6=H('1H M92!#;VUP86YY(&)E;&EE=F5S('1H870@=&AE(%)E9W5L871O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M'!I29N8G-P.S(P,30@=&AA="!A(')E;F5W960@;&EC96YS M92!W;W5L9"!B92!I2!U<&]N('!A>6UE;G0@8GD@=&AE($-O M;7!A;GD@;V8@82!F964@:6X@=&AE(&%M;W5N="!O9B!A<'!R;WAI;6%T96QY M("0T+C`@;6EL;&EO;BXF;F)S<#LF;F)S<#M);B!A9&1I=&EO;BP@=&AE(&=O M=F5R;FUE;G0@;V8@07)U8F$@9&5M86YD960@=&AA="!T:&4@0V]M<&%N>2!P M87D@;W9E&EM871E;'D@)#(N,"!M:6QL:6]N(&YO(&QA=&5R('1H86X@2G5L M>29N8G-P.S,Q+"`R,#$T+B!4:&4@0V]M<&%N>2!I2!C;VYT M97-T:6YG('1H92!A7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X- M"B`@/&AE860^#0H@("`@/$U%5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP M92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@8VAA2=S('!R:6YC:7!A;"!S=6)S:61I M87)I97,L('1H92!S96=M96YT2!R97!O M'0^)SQD:78^(#QD:78@6QE/3-$ M)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)V)O6QE/3-$)W=I9'1H.C`X+C8R)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE M/3-$)V1I6QE/3-$=VED=&@Z,#(N,#0E.W!A9&1I M;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H) M"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4V5G;65N=#PO9F]N=#X\+W`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`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/D%R=6)A+"!" M97)M=61A+"!4=7)KF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0MF4Z(#$R M<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C(U+C6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/D-E;&QI;FL\+V9O M;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D\+W1R/@T*"0D)/'1R/@T*"0D)"3QT M9"!V86QI9VX],T1T;W`@6QE/3-$=VED=&@Z,C8N-#0E.W!A9&1I;FF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M3PO M9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M M('-T>6QE/3-$=VED=&@Z,#(N,#0E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/D=U>6%N83PO9F]N=#X\+W`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`R+C`T)3MP861D:6YG.C!P M=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE7!E.B!T97AT+VAT;6P[(&-H M87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U% M5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O M:'1M;#L@8VAA'0^)SQD:78^(#QD:78@6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/E)E=F5N=65S(&%N9"!I;F-O M;64@9G)O;2!D:7-C;VYT:6YU960@;W!E6QE/3-$=VED=&@Z,S8N.#`E.W!A9&1I;FF4Z(#AP="<^ M#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I9'1H.C(X+C0P M)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE M/3-$)V1I6QE/3-$)W=I9'1H.C(X+C0P)3MB;W)D97(M=&]P.C%P="!N M;VYE("-$.40Y1#D@.V)O6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE M/3-$=VED=&@Z,S8N.#`E.W!A9&1I;FF4Z(#AP="<^#0H)"0D)"0D\9F]N M="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF M;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I9'1H.C$R+C@V)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y M.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^,C`Q M,SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T M=&]M('-T>6QE/3-$)W=I9'1H.C`R+C8X)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$R M+C@V)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S M='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT M+7-I>F4Z.'!T.R<^,C`Q-#PO9F]N=#X\+W`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`Q+C`V)3MP861D:6YG.C!P M=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,S8N.#`E.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C,V+C@P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C8X)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C0X)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX."PP,S8-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T* M"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C8X)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)W=I9'1H.C$Q+C0X)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF M;VYT+69A;6EL>3I4:6UE6QE/3-$)W=I9'1H.C`R+C8X)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)W=I9'1H.C$Q+C0X)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUAF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED M=&@Z,3(N.#8E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N-C@E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE3I4:6UE M6QE/3-$=VED=&@Z,3(N.#8E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z M,#$N,#8E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB'!E;G-E("AB96YE M9FET*2!O9B`H)#$N.2D@86YD("0U+C(@;6EL;&EO;B!F;W(@=&AE('1H6QE/3-$)W=I9'1H.C$R+C@V)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH,2PY-C`- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C$R M+C@V)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$R+C@V)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.SMF;VYT+69A;6EL>3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXU+#$V-@T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXV."4[8F%C:V=R M;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$R+C@V)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.R<^)FYBF4],T0Q/B`\+V9O;G0^/"]P/@T*"3PO9&EV/B`\+V1I=CX\'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA'0^)SQS<&%N/CPO6QE/3-$;6%R M9VEN+6QE9G0Z,'!T.VUA'0M:6YD96YT.C,V<'0[9F]N="UF86UI;'DZ5&EM M97,@3F5W(%)O;6%N.V9O;G0M6QE/3-$)V1I M6QE/3-$)VUA3I4:6UE6QE/3-$)VUA M3I4:6UE3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D1E8V5M8F5R)FYB6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O M;&0[9F]N="US:7IE.CAP=#LG/D1E6QE/3-$)W=I9'1H.C$S+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$S+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2 M;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D M:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T M.R<^5&]T86P\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`Q+C`P)3MP861D:6YG.C!P=#L^ M#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C4R+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M MF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UEF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-C,F;F)S<#L-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,#(N M-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H M.C$Q+C6QE/3-$)W=I9'1H.C`Q+C,P)3MB M;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\ M+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED M=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[8F]R9&5R+71O<#HQ<'0@ M3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXR+#(T-"9N8G-P.PT*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXU,"4[ M8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I M9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A8VMGF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$Q+CF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE/3-$ M)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P M="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y M1#D@.V)A8VMGF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$)W=I9'1H.C$Q+CF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E-E M<'1E;6)E6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C4R+C4P M)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)V1I6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/E%U;W1E9"9N8G-P.U!R:6-E6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)W=I9'1H.C`R+C4P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$ M)W=I9'1H.C$S+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!S;VQI9"`C,#`P,#`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`R+C4P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$Q+C3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXS-C,F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+C6QE/3-$ M)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[8F]R9&5R M+71O<#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XW,"4[ M8F]R9&5R+71O<#HQ<'0@3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR+#0P-R9N8G-P M.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HP,BXU,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C`Q+C,P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@(S`P M,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@.V)A8VMGF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$Q+CF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C)P="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT M.C%P="!N;VYE("-$.40Y1#D@.V)A8VMGF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C$Q+CF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI M(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@:'1T<"UE<75I=CTS M1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@8VAA7!E/3-$=&5X="]J879A'0^)SQD:78^(#QD:78@6QE/3-$)VUA6QE/3-$)V1IF4Z,3!P=#LG/E1H92!T86)L92!B96QO=R!P6QE/3-$)VUA MF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)V)O M6QE/3-$)W=I9'1H.C(U+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)VUA M3I4:6UE6QE/3-$)VUA3I4:6UE3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D1E6QE/3-$)V1I6QE/3-$=VED=&@Z,#(N-3`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`P)3MB;W)D97(M=&]P.C%P="!N M;VYE("-$.40Y1#D@.V)O6QE/3-$)V1IF4Z.'!T.R<^*$QO6QE/3-$)V1I3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D]T:&5R/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)V1I6QE/3-$)V1I3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[ M9F]N="US:7IE.CAP=#LG/BA%9F9E8W1I=F4F;F)S<#M0;W)T:6]N*3PO9F]N M=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T M>6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;F'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D) M/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ-"XW,"4[8F]R M9&5R+71O<#HQ<'0@3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G M/@T*"0D)"0D))FYB'!E;G-E/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G M/@T*"0D)"0D))FYB'0M86QI9VXZ6QE M/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C4N,#`E.W!A9&1I;F6QE/3-$=VED=&@Z,38N,#`E.W!A9&1I;F'0M M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT M+7-I>F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,30N-S`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN=&5R97-T(&5X<&5N6QE/3-$)VUA3I4:6UE3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[ M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)V)O6QE/3-$)W=I9'1H.C(U M+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)V1I6QE/3-$)V1I3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/D5N9&5D/"]F;VYT/CQB6QE/3-$)V1I3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E-E<'1E M;6)E6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^1&5R:79A=&EV929N8G-P.VEN)FYB3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG M/DAE9&=I;F6QE/3-$)W=I9'1H.C$V+C`P)3MB;W)D M97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)V1I MF4Z.'!T.R<^:6XF;F)S<#M/=&AEF4Z.'!T.R<^26YC;VUE)FYB3H@:6YL:6YE.V9O M;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D1E3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/BA%9F9E8W1I=F4F;F)S<#M0 M;W)T:6]N*3PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N M/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N-3`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`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M6QE/3-$)VUA M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/DEN=&5R97-T(%)A=&4@4W=A<#PO9F]N=#X\+W`^#0H) M"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I M9'1H.C`R+C4P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$T+C3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXV+#(U-29N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXU,"4[8F%C:V=R;W5N M9"UC;VQO6QE/3-$)W=I9'1H.C$V+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/DEN=&5R M97-T(&5X<&5N6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ-"XW M,"4[8F]R9&5R+71O<#HQ<'0@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)V1IF4Z,3!P=#LG/C(P,30\+V9O;G0^ M/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1'=I9'1H.C`R+C4P)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE M/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F M;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@ M6QE/3-$=VED=&@Z,38N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C$T+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE7!E.B!T97AT+VAT;6P[(&-H M87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U% M5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O M:'1M;#L@8VAAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B9N M8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE/3-$=VED=&@Z,3`P M)3X\=&%B;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG/3-$,"!S='EL M93TS1"=B;W)D97(M8V]L;&%P6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^ M#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.CAP=#LG/DYI;F4F;F)S<#M-;VYT:',F;F)S<#M%;F1E9"9N8G-P.U-E M<'1E;6)E6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I M;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA M3I4:6UE M3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US M:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\ M=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL M:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D%T;&%N=&EC M)FYB3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DYE M='=O6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M6QE/3-$)W=I9'1H.C$Q+C4P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R M.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^ M#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^3F]N+4-O;G1R;VQL:6YG/"]F M;VYT/CQB6QE/3-$)V1I'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/E1O=&%L)FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL M93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I M>F4Z.'!T.R<^5&]T86P\+V9O;G0^/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG M/D5Q=6ET>3PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N M/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2 M;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]WF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE M/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D) M/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[8F]R M9&5R+71O<#HQ<'0@6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^ M/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HP."XW,"4[8F]R9&5R+71O<#HQ<'0@'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`Q+C,P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XR,"4[8F]R9&5R M+71O<#HQ<'0@6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C`X+C3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXV.3DL.#4U#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M M('-T>6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C0N,#`E.W!A9&1I;F6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O M;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$=VED=&@Z,3$N-3`E.W!A9&1I;F'0M86QI9VXZ6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS+#,X,0T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`Q+C`P M)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(T+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0MF4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D))FYB M3I4:6UEF4Z(#$R<'0G/@T*"0D)"0D) M)FYB3I4:6UEF4Z(#$R<'0G/@T*"0D) M"0D))FYB3I4:6UEF4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/DYE="!I;F-O;64@/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@ M3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXS-2PR,S0-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P M)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-2PU,C`-"@D)"0D\ M+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$Q+C4P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W M(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ M5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C0N,#`E.W!A M9&1I;F6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS M,#`L.#0T#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T M>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W M6QE M/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS,S8L M,#6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)VUA3I4 M:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX+#$Q-@T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I M9'1H.C`R+C`P)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA M3I4:6UE M3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT,RPV,S8-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/DESF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZF4Z(#$R<'0G/@T*"0D) M"0D))FYB3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ MF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G M/@T*"0D)"0D))FYB3I4:6UEF4Z(#$R M<'0G/@T*"0D)"0D))FYB'0M86QI9VXZF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/D1I M=FED96YD6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM M97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA M3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O M;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C$Q+C4P)3MP861D:6YG.C!P=#L^ M#0H)"0D)"3QP('-T>6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXH,3$L.3@R#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N M/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.SX-"@D)"0D)/'`@F4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N M="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M M86QI9VXZ6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P M86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C$Q+C4P)3MP M861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH,3,L,C$X#0H)"0D)/"]T9#X-"@D) M"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#$N,#`E.SX- M"@D)"0D)/'`@F4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M'0M:6YD96YT.B`M,3!P M=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/D1I6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C$Q M+C4P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXH-2PU,S(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE M/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF M;VYT+69A;6EL>3I4:6UEF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C$Q+C4P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH M-RPY,S(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I M9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A M;6EL>3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXH-RPY,S(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@F4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I M;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ,S4-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$ M=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/E-A;&4@;V8@;F]N+6-O M;G1R;VQL:6YG(&EN=&5R97-T6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]WF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH,3,L-C,T#0H)"0D)/"]T9#X- M"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R M;W5N9"UC;VQO3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO M=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P M/@T*"0D)"3PO=&0^#0H)"0D\+W1R/@T*"0D)/'1R/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@6QE/3-$)V1IF4Z,3!P M=#LG/E!U6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO M=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HQ,2XU,"4[8F]R9&5R+71O<#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O M;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP M,"4[8F]R9&5R+71O<#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(MF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,2XU,"4[8F]R9&5R M+71O<#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M'0M86QI9VXZ6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D\+W1R/@T*"0D)/'1R/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C`X+C6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXW-BPR.3<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C`X+C6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXV-C@L,C8Y#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N M/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XR,"4[ M8F]R9&5R+71O<#HQ<'0@F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C,P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXW,C0L.3$Y#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N M/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S M+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@:'1T<"UE M<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@8VAA MF4Z(#$P<'0G M/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/E1H3H@:6YL M:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E-E<'1E;6)E M6QE/3-$=VED=&@Z,#,N-#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP M="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N M="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^3FEN929N8G-P.TUO;G1H M6QE/3-$)V1I6QE/3-$)VUA3I4 M:6UE6QE/3-$=VED=&@Z,S,N,C`E.W!A9&1I;FF4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI M;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^)FYB6QE/3-$)W=I9'1H.C$R+CDV)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS M1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z M.'!T.R<^,C`Q,SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`S+C0P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$R+CDV M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL M93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I M>F4Z.'!T.R<^,C`Q-#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@ M=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#,N-#`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`Q+C,V)3MP861D:6YG.C!P=#L^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C,S M+C(P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0MF4Z(#$R<'0G/@T*"0D)"0D) M)FYB'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`S+C0P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXQ-2PV-S@F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)W=I9'1H.C`Q+C,V)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,S,N,C`E M.W!A9&1I;F6QE/3-$=VED M=&@Z,#,N-#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXQ,#6QE/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O'0M86QI9VXZ6QE/3-$=VED=&@Z,#,N-#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA M3I4:6UE M6QE/3-$)W=I9'1H.C,S+C(P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I M9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P="!D M;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y1#D@ M.V)A8VMGF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$ M)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C)P M="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$.40Y M1#D@.V)A8VMGF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE M/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C)P="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE("-$ M.40Y1#D@.V)A8VMGF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$R+CDV)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C)P="!D;W5B;&4@(S`P,#`P,"`[8F]R9&5R+7)I9VAT.C%P="!N;VYE M("-$.40Y1#D@.V)A8VMGF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$R M<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.R<^)FYB MF4],T0Q/B`\+V9O M;G0^/"]P/@T*"3PO9&EV/B`\+V1I=CX\'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA M'0^ M)SQS<&%N/CPO6QE/3-$;6%R9VEN+6QE9G0Z,'!T.VUA'0M:6YD96YT.C,V M<'0[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X-"@D) M/"]P/@T*"0D\9&EV('-T>6QE/3-$=VED=&@Z,3`P)3X\=&%B;&4@8V5L;'!A M9&1I;F<],T0P(&-E;&QS<&%C:6YG/3-$,"!S='EL93TS1"=B;W)D97(M8V]L M;&%P6QE/3-$ M)VUA3I4 M:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N M="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D) M"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUA3I4:6UE3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/D9O6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4:6UE3H@:6YL:6YE.V9O M;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E4N4RXF;F)S<#M7:7)E M;&5S6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H M.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI M9"`C,#`P,#`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`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL M93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I M>F4Z.'!T.R<^4F5C;VYC:6QI;F<\+V9O;G0^/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE M.CAP=#LG/DET96US/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V M86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$ M)VUA3I4:6UE6QE/3-$)W=I M9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P M/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$ M=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,#@N-S`E.W!A9&1I;F'0M M86QI9VXZ6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\ M+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1'=I9'1H.C`X+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)VUA M3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE M/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C'0M86QI9VXZ6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR,BPX.34-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1I MF4Z,3!P=#LG/E=I6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$=VED=&@Z M,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR M,2PU,#0-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)V1IF4Z,3!P=#LG/D5Q=6EP M;65N="!A;F0@;W1H97(@/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P M)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ+#4Y-`T*"0D) M"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T M:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H M.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV-`T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I M9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O M3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXR+#$U-0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S M='EL93TS1"=W:61T:#HP,2XP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXS,RPP-3<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P M+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$ M.40Y1#D@.V)O'0M86QI M9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXU+#6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXW M.2PS-3`-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)V1IF4Z,3!P=#LG/D1E<')E M8VEA=&EO;B!A;F0@86UOF%T:6]N(#PO9F]N=#X\+W`^#0H)"0D)/"]T M9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-S@-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G M/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)VUA3I4:6UE3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F M;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@ M6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T* M"0D)"0D))FYBF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXY,C8-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)V1IF4Z,3!P=#LG/D]P97)A=&EN9R!I;F-O;64@*&QO6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXW+#`R.`T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I M9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A M;6EL>3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXS+#(Y,@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH,C4U#0H)"0D)/"]T9#X- M"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R M('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R M;W5N9"UC;VQO'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H) M"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D M(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ M,"XP,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE M/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H M.C6QE/3-$)V1I6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D) M/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z M,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/E4N4RXF;F)S<#M7:7)E;&5S6QE/3-$)W=I9'1H.C`R+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D M97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N M92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P M,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T M=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R M.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^ M#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW M96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4F5C;VYC:6QI;F<\+V9O;G0^ M/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I M9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DET96US/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED M=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE M6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P M,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$=VED=&@Z,#@N-S`E.W!A9&1I M;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D) M/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`X+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4 M:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C M>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX] M,T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C`X+C6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXT-2PX,S(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D) M"0D))FYB3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M6QE/3-$=VED=&@Z,C6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT-3<-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE M/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N M.V9O;G0M'0M86QI9VXZ6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)VUA3I4 M:6UE3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXQ-2PY.34-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I M;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE M/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUAF4Z(#$P M<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O M;G0M6QE/3-$ M)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O M3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXS,3,-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI M9VXZF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA M3I4:6UE M3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXV-RPY-S0-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$=VED=&@Z M,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR,34L.#`W#0H)"0D)/"]T9#X-"@D) M"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#$N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ,BPQ,3D-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R M<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L M:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-BPU,3<-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/DYO;BUC87-H('-T;V-K+6)A6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$ M=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@ M3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI M;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ M6QE/3-$)V1IF4Z,3!P M=#LG/D]P97)A=&EN9R!I;F-O;64@*&QO6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ.2PU.38-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G M/@T*"0D)"0D))FYB'0M86QI9VXZF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]WF4Z(#$P<'0G/@T*"0D)"0D) M/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT."PP M,C,-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB3I4:6UE M6QE M/3-$)V1IF4Z,3!P=#LG/B9N8G-P.SPO M9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE/3-$=VED=&@Z,3`P)3X\=&%B M;&4@8V5L;'!A9&1I;F<],T0P(&-E;&QS<&%C:6YG/3-$,"!S='EL93TS1"=B M;W)D97(M8V]L;&%P6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT M.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D) M/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z M,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/D9O6QE/3-$ M)VUA3I4 M:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N M="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D) M"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUA3I4:6UE3H@ M:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E4N4RXF M;F)S<#M7:7)E;&5S6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C M1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I M9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\ M9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L M9#MF;VYT+7-I>F4Z.'!T.R<^4F5C;VYC:6QI;F<\+V9O;G0^/&)R("\^/&9O M;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[ M9F]N="US:7IE.CAP=#LG/DET96US/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUA3I4 M:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUA3I4 M:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\ M+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE M=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W M6QE M/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT M/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$=VED=&@Z,#@N-S`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`X+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F M;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@ M6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C'0M86QI9VXZ M6QE/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@ M3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR M,2PU-3<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/E=I6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-2PR-#D-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE M/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ M6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXR,2PU,S$-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE/3-$)V1IF4Z,3!P M=#LG/D5Q=6EP;65N="!A;F0@;W1H97(@/"]F;VYT/CPO<#X-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ M+#0V.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y1#D@ M.V)O3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXV.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S M='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$ M.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXQ+#DY.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP,2XP,"4[8F%C:V=R;W5N9"UC;VQO M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT-"PW,S8-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$ M)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!N;VYE("-$.40Y1#D@.V)O6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)VUA3I4:6UE6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX.2PS M.3,-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE M/3-$)V1IF4Z,3!P=#LG/D1E<')E8VEA M=&EO;B!A;F0@86UOF%T:6]N(#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X- M"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ M,BPX-#(-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/DYO;BUC M87-H('-T;V-K+6)A6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[ M/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T M;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N M="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M M86QI9VXZ6QE/3-$)W=I9'1H.C$P M+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)V1IF4Z,3!P=#LG/D]P97)A=&EN9R!I;F-O;64@*&QO6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU+#`V M-0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT M+69A;6EL>3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXR+#(S,0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC M;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXH-#6QE/3-$)W=I9'1H.C`R M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T M>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X] M,T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C M:V=R;W5N9"UC;VQO'0M86QI9VXZ6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.R<^ M#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D) M/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T M:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZ M6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE M6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I M9'1H.C6QE/3-$)V1I6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I M9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/B9N8G-P.SPO9F]N=#X\+W`^#0H) M"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$=VED M=&@Z,#(N,#`E.W!A9&1I;F'0M86QI9VXZ8V5N=&5R M.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G M/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE M.CAP=#LG/E4N4RXF;F)S<#M7:7)E;&5S6QE/3-$)W=I9'1H.C`R M+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$ M.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB M;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@ M.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N M=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP M="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N M="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^4F5C;VYC:6QI;F<\+V9O M;G0^/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/DET96US/"]F;VYT/CPO<#X- M"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)VUA3I4:6UE6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$ M)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H M.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$ M=VED=&@Z,C6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$=VED=&@Z,#@N-S`E.W!A M9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1'=I9'1H.C`X+C6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL M:6YE.V9O;G0M6QE/3-$=VED=&@Z,#@N-S`E M.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`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`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT M+69A;6EL>3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXV-RPQ,C<-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)V1IF4Z,3!P=#LG/E=I6QE/3-$=VED=&@Z,#(N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT-"PS M.3D-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z,3!P=#MT97AT+6%L:6=N M.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI M9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P M+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$=VED=&@Z,#$N,#`E.W!A M9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!N;VYE("-$ M.40Y1#D@.V)O3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXU-S,-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C`Q+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z M,C6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB MF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O'0M86QI9VXZ6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA M3I4:6UE M3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ.2PV.#(-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O3I4:6UE6QE/3-$)W=I9'1H M.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE M("-$.40Y1#D@.V)O6QE/3-$)VUA3I4:6UE6QE/3-$ M)W=I9'1H.C(W+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUAF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M MF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K M9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$ M)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT M+69A;6EL>3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXW+#@Q,`T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC M;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS+#4Q.0T*"0D)"3PO M=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP M,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXR+#@Y.0T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXS-RPW-3(-"@D)"0D\+W1D/@T*"0D) M"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/DYO;BUC87-H('-T;V-K+6)A6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V M86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z M,3`N,#`E.W!A9&1I;F'0M86QI9VXZ6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA MF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B8C>#(P,30[/"]F;VYT/CPO<#X-"@D)"0D\+W1D M/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O M;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ5&EM M97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)V1IF4Z,3!P=#LG/D]P M97)A=&EN9R!I;F-O;64@*&QO6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.SMF;VYT+69A;6EL>3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXQ-2PR.3,-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D) M"0D))FYBF4Z(#$R<'0G/@T*"0D)"0D))FYB'0M86QI M9VXZ6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.R<^#0H)"0D)"3QP('-T>6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/BD\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D)/'1D(&-O;'-P86X],T0R('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HQ,"XP,"4[8F%C:V=R;W5N9"UC;VQOF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)V)O6QE/3-$=VED=&@Z,C8N-3`E.W!A9&1I;FF4Z(#AP="<^#0H)"0D)"0D\ M9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L M9#MF;VYT+7-I>F4Z.'!T.R<^)FYB'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA M;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P M;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^ M4V5G;65N="9N8G-P.T%S6QE/3-$=VED=&@Z,#$N,#`E.W!A M9&1I;F'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)V1I6QE/3-$)VUA3I4:6UE6QE/3-$)V1I'0M86QI9VXZ8V5N=&5R.V9O M;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T* M"0D)"0D))FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/DEN=&5R;F%T:6]N86P\+V9O;G0^/&)R("\^/&9O;G0@3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP M=#LG/DEN=&5G3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG M/E1E;&5P:&]N>3PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L M:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$ M)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB M;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D) M"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z M8F]L9#MF;VYT+7-I>F4Z.'!T.R<^27-L86YD/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)W=I9'1H.C`R+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y M1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ M8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[ M9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^52Y3+CPO9F]N=#X\ M8G(@+SX\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG M:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^5VER96QI;F4\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HP,BXP,"4[8F]R9&5R+71O<#HQ<'0@'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE3H@:6YL:6YE.V9O;G0M=V5I9VAT.F)O;&0[9F]N="US:7IE.CAP=#LG/E)E M8V]N8VEL:6YG/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P M+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F M=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S M='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT M+7-I>F4Z.'!T.R<^0V]N6QE/3-$)V1I6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H M.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE M("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@ M.V)O6QE/3-$ M)VUAF4Z(#$R M<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P M.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$ M.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D) M"0D))FYB6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI M9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D M97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P M(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$ M)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M&5D(&%S6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXW,RPU.3(F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT M9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N,S`E.W!A M9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H M.C`X+C'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXR.2PS M,3`F;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@ M6QE/3-$=VED=&@Z,#$N,S`E.W!A9&1I;FF4Z(#$P<'0G/@T* M"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C`X+C'0M86QI9VXZ M6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z M(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^ M#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW M,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P M=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N,#`E M.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$ M)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P M/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS M1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF M;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE M/3-$)V1IF4Z,3!P=#LG/D=O;V1W:6QL M(#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N/3-$8F]T M=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C M0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.SMF;VYT+69A;6EL>3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXU+#0S."9N8G-P.PT*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[ M8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB M86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXW M+#0Y,29N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O M;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-% M149&.W!A9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D) M"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT-2PP-SF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z,3!P=#LG/E1O=&%L M(&%S6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-3$L,#DT)FYB6QE/3-$=VED=&@Z,#(N M-3`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXQ.36QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G M/@T*"0D)"0D))FYBF4Z,3!P=#MT M97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXT-2PS-3$F;F)S M<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[9F]N="UF86UI;'DZ M5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX-3DL-S$Y)FYB6QE/3-$=VED=&@Z,#$N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)W=I9'1H.C`R+C`P M)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`R M+C4P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H M.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I M9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$ M)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I M;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE M/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUA3I4:6UE'0M86QI9VXZ6QE/3-$)W=I9'1H.C`Q+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$=VED=&@Z,C8N-3`E.W!A9&1I;F6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO M=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP M."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ,3`L.#

6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D) M)FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z M,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY M.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I M9VAT.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE M/3-$9FQO870Z;&5F=#X\+V1I=CXR-BPY,S`F;F)S<#L-"@D)"0D\+W1D/@T* M"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@6QE/3-$=VED=&@Z,#$N M,S`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$ M)W=I9'1H.C`X+C'0M86QI9VXZ6QE/3-$ M=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE M/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG M/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O M='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S M($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@ M;F]W6QE/3-$)V1IF4Z,3!P M=#LG/D=O;V1W:6QL(#PO9F]N=#X\+W`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@ M=F%L:6=N/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O M=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UEF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE M/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A M9&1I;F6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O M;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU+#0S."9N8G-P.PT* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC;VQO6QE/3-$)W=I M9'1H.C$P+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A M;6EL>3I4:6UE6QE/3-$9FQO870Z M;&5F=#X\+V1I=CXW+#0Y,29N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A M;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N M9"UC;VQO6QE/3-$)W=I9'1H.C$P+C`P)3MB86-K9W)O=6YD M+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE M/3-$)VUAF4Z M(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE M.V9O;G0M6QE/3-$)W=I9'1H.C$P M+C`P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.SMF;VYT+69A;6EL>3I4 M:6UE6QE/3-$9FQO870Z;&5F=#X\ M+V1I=CXT-2PP-SF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)V1IF4Z M,3!P=#LG/E1O=&%L(&%S6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXQ-S@L,C`X)FYB M6QE M/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$P<'0G/@T*"0D)"0D)/&9O M;G0@3H@:6YL:6YE.V9O;G0M3I4:6UE6QE/3-$9FQO M870Z;&5F=#X\+V1I=CXR,#`L-S6QE/3-$=VED=&@Z,#(N,#`E.W!A9&1I M;FF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUA M3I4:6UE M3I4:6UE M6QE/3-$9FQO870Z;&5F=#X\+V1I M=CXT,RPS-3DF;F)S<#L-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B M;W1T;VT@6QE/3-$)W=I9'1H.C$P+C`P)3L[ M9F]N="UF86UI;'DZ5&EM97,@3F5W(%)O;6%N.V9O;G0M'0M86QI9VXZ6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXX-#,L-#,Q)FYB M6QE M/3-$=VED=&@Z,#$N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B9N8G-P.SPO9F]N=#X-"@D)/"]P/@T*"0D\9&EV('-T>6QE M/3-$=VED=&@Z,3`P)3X\=&%B;&4@6QE/3-$=VED=&@Z,'!T.V9O;G0M6QE M/3-$)W=I9'1H.B`R,BXP,'!T.R!D:7-P;&%Y.B!I;FQI;F4[)SX-"@D)"3QP M('-T>6QE/3-$)V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#$P<'0[;6%R9VEN.C!P=#LG/@T*"0D)"3QF;VYT('-T>6QE/3-$)VUA M6QE/3-$=VED=&@Z,31P=#L^/'`@6QE/3-$)V1IF4Z M,3!P=#LG/DEN8VQU9&5S("0T+#6QE/3-$)VUAF4Z(#$P<'0G/@T*"0D)/&9O;G0@3H@ M:6YL:6YE.V9O;G0M6QE/3-$)V)O6QE/3-$=VED M=&@Z,C8N-3`E.W!A9&1I;FF4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL M93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I M>F4Z.'!T.R<^)FYB'0M86QI M9VXZ8V5N=&5R.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I M>F4Z(#AP="<^#0H)"0D)"0D\9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI M;F4[9F]N="UW96EG:'0Z8F]L9#MF;VYT+7-I>F4Z.'!T.R<^0V%P:71A;"9N M8G-P.T5X<&5N9&ET=7)E6QE/3-$=VED=&@Z,#$N,#`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`^#0H)"0D)/"]T9#X-"@D)"0D\=&0@=F%L:6=N M/3-$8F]T=&]M('-T>6QE/3-$)W=I9'1H.C`R+C`P)3MB;W)D97(M=&]P.C%P M="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y M(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I M9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D M97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S M;VQI9"`C,#`P,#`P(#MB;W)D97(M'0M86QI9VXZ8V5N=&5R.V9O;G0M9F%M M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z(#AP="<^#0H)"0D)"0D\ M9F]N="!S='EL93TS1"=D:7-P;&%Y.B!I;FQI;F4[9F]N="UW96EG:'0Z8F]L M9#MF;VYT+7-I>F4Z.'!T.R<^27-L86YD/"]F;VYT/CQB6QE/3-$)V1I6QE/3-$)W=I9'1H.C`R+C`P)3MB M;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@ M;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@ M.V)O6QE/3-$)W=I9'1H.C$P+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!S;VQI9"`C,#`P,#`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`R+C`P)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C M,#`P,#`P(#MB;W)D97(M;&5F=#HQ<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M M8F]T=&]M.C%P="!N;VYE("-$.40Y1#D@.V)O6QE/3-$)W=I9'1H.C$P+C`P M)3MB;W)D97(M=&]P.C%P="!S;VQI9"`C,#`P,#`P(#MB;W)D97(M;&5F=#HQ M<'0@;F]N92`C1#E$.40Y(#MB;W)D97(M8F]T=&]M.C%P="!S;VQI9"`C,#`P M,#`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`E.W!A9&1I;FF4Z(#$P<'0G M/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M M6QE/3-$)W=I9'1H.C`X+C'0M86QI M9VXZ6QE/3-$=VED=&@Z,#(N-3`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO M=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP M."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z M,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$=VED=&@Z,#(N M,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB6QE/3-$)VUA3I4:6UE6QE M/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^ M/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL M93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I;65S($YE=R!2;VUA M;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE M/3-$=VED=&@Z,#(N,#`E.W!A9&1I;FF4Z(#$R<'0G/@T*"0D)"0D))FYB M6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P M=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS M1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[.V9O;G0M9F%M:6QY.E1I M;65S($YE=R!2;VUA;CMF;VYT+7-I>F4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$)VUA3I4:6UE3I4:6UE6QE/3-$9FQO870Z;&5F=#X\+V1I=CXU-2PQ-S$F;F)S<#L-"@D) M"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@'0M:6YD96YT.B`M,3!P=#MF;VYT+69A;6EL>3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/C(P,30@/"]F;VYT/CPO M<#X-"@D)"0D\+W1D/@T*"0D)"3QT9"!V86QI9VX],T1B;W1T;VT@F4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)W=I9'1H M.C`Q+C,P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)V1IF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T*"0D)"3PO=&0^#0H) M"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP."XW,"4[ M8F%C:V=R;W5N9"UC;VQO'0M86QI9VXZF4Z(#$R<'0G/@T*"0D)"0D))FYBF4Z,3!P=#MT97AT+6%L:6=N.G)I9VAT M.R<@;F]W6QE/3-$)W=I9'1H.C`R+C`P)3MB86-K9W)O=6YD+6-O;&]R M.B`C0T-%149&.W!A9&1I;F6QE/3-$)VUA M3I4:6UE MF4Z(#$P<'0G/@T*"0D)"0D)/&9O;G0@3H@:6YL:6YE.V9O;G0M6QE/3-$)W=I9'1H M.C`X+C3I4:6UE6QE/3-$9FQO870Z;&5F M=#X\+V1I=CXR+#,R-29N8G-P.PT*"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG M;CTS1&)O='1O;2!S='EL93TS1"=W:61T:#HP,BXP,"4[8F%C:V=R;W5N9"UC M;VQO6QE/3-$)W=I9'1H.C`Q+C,P)3MB86-K9W)O=6YD+6-O;&]R.B`C0T-%149& M.W!A9&1I;F6QE/3-$)VUA3I4:6UE6QE/3-$)V1I MF4Z,3!P=#LG/B0\+V9O;G0^/"]P/@T* M"0D)"3PO=&0^#0H)"0D)/'1D('9A;&EG;CTS1&)O='1O;2!S='EL93TS1"=W M:61T:#HP."XW,"4[8F%C:V=R;W5N9"UC;VQO'0M86QI M9VXZF4Z(#$R<'0G/@T*"0D)"0D) M)FYBF4Z,3!P=#MT97AT M+6%L:6=N.G)I9VAT.R<@;F]W6QE/3-$)VUAF4Z(#$R<'0G/@T*"0D)/&9O;G0@3H@:6YL:6YE M.R<^)FYBF4],T0Q M/B`\+V9O;G0^/"]P/@T*"3PO9&EV/B`\+V1I=CX\'0O:F%V M87-C3X-"B`@("`\=&%B M;&4@8VQA'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M M;#X-"B`@/&AE860^#0H@("`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`@("`@(#QT9"!C;&%S'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0O:F%V87-C3X- M"B`@("`\=&%B;&4@8VQA'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'0^)SQS<&%N/CPO M2!M87)K970@9G5N9',\+W1D/@T*("`@("`@("`\=&0@8VQA'10 M87)T7V5D-6%B,F%D7S=D-S1?-#0U,5]A-68Q7V4P9#(S,C'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA2`S,2P@,C`Q,3QB&EM=6T\8G(^3$E"3U(\8G(^ M/"]T:#X-"B`@("`@("`@/'1H(&-L87-S/3-$=&@^4V5P+B`R,"P@,C`Q,SQB M&EM=6T\8G(^0F%S92!R871E/&)R/CPO=&@^#0H@("`@("`@(#QT:"!C;&%S M3QB&EM=6T\8G(^0F%S92!R871E/&)R/CPO M=&@^#0H@("`@("`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`@ M("`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`@("`\=&%B;&4@8VQA3X-"CPO:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W M9#'0O:'1M;#L@8VAA'0^)SQS<&%N/CPO M'0^)SQS<&%N/CPO'!E;F1I='5R97,\+W1D/@T* M("`@("`@("`\=&0@8VQA'!E8W1E9"!A;6]U;G0@;V8@9F5D97)A;"!S=&EM=6QU3X-"CPO:'1M;#X-"@T*+2TM+2TM/5]. M97AT4&%R=%]E9#5A8C)A9%\W9#'0O:'1M;#L@8VAA7!E(&-O;G1E;G0],T0G=&5X="]H=&UL.R!C:&%R2!&=6YD2!&=6YD3QB'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO2!&=6YD2!&0T,\+W1D/@T*("`@("`@("`\=&0@8VQA'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)S4@>65A'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA3PO'0^)SQS<&%N/CPO M'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO2P@8F5G:6YN:6YG(&]F('!E'0^)SQS<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS M<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO&5R8VES92!O9B!S=&]C:R!O<'1I;VYS/"]T9#X-"B`@("`@("`@ M/'1D(&-L87-S/3-$=&5X=#XG/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@ M(#QT9"!C;&%S'0^)SQS<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M7!E.B!T97AT+VAT;6P[(&-H87)S M970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@ M:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M M;#L@8VAA'0^)SQS M<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPOF%T:6]N/"]T9#X-"B`@ M("`@("`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`@("`@("`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`@("`@("`\=&0@8VQA'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO&5D(&%S M'0^)SQS M<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'!E;F1I='5R97,\+W1D/@T*("`@("`@("`\=&0@8VQA'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO3X-"CPO:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O M:'1M;#L@8VAA'0^ M)SQS<&%N/CPO2!*=6QY(#,Q+"`R,#$T/"]T9#X- M"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XD(#(\3X-"CPO M:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]E9#5A8C)A9%\W9#'0O:'1M;#L@ M8VAA&UL;G,Z;STS1")U XML 19 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Details) (USD $)
3 Months Ended 9 Months Ended 0 Months Ended 1 Months Ended 3 Months Ended 9 Months Ended 1 Months Ended
Sep. 30, 2013
Sep. 30, 2013
Sep. 30, 2014
Dec. 31, 2013
Sep. 20, 2013
Alltel Sale
AT&T Mobility
Sep. 30, 2014
Alltel Sale
AT&T Mobility
Mar. 31, 2014
Alltel Sale
AT&T Mobility
Sep. 30, 2013
Alltel Sale
AT&T Mobility
Sep. 30, 2014
Alltel Sale
AT&T Mobility
Sep. 30, 2013
Alltel Sale
AT&T Mobility
Mar. 31, 2015
Alltel Sale
AT&T Mobility
Subsequent event
SALE OF U.S. RETAIL WIRELESS BUSINESS                      
Cash proceeds         $ 780,000,000            
Working capital adjustments         16,800,000            
Total cash proceeds including working capital adjustments         796,800,000            
Cash held in escrow         78,000,000            
First release of amount of escrowed cash           19,500,000 19,500,000   39,000,000    
Restricted cash     39,293,000 39,000,000   39,000,000     39,000,000    
Third release of amount of escrowed cash                     39,000,000
Minority shareholders' interests in sale of operations 28,699,000 28,699,000             7,300,000    
Revenues and income from discontinued operations                      
Revenue from discontinued operations               88,036,000   299,519,000  
Income from discontinued operations, net of tax expense (benefit) (1,960,000) 5,166,000           (1,960,000)   5,166,000  
Income from discontinued operations, tax expense (benefit)               $ (1,900,000)   $ 5,200,000  

XML 20 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIS OF PRESENATION (Details 2)
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Dec. 31, 2013
Income tax          
Statutory federal income tax rate (as a percent)         35.00%
Effective tax rate (as a percent) 33.60% 35.50% 33.90% 37.60%  
Guyana
         
Income tax          
Statutory federal income tax rate (as a percent)         45.00%
XML 21 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENTS (Details) (Recurring basis, USD $)
In Thousands, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Quoted Prices in Active Markets (Level 1)
   
Fair value measurements    
Money market funds $ 2,407 $ 2,244
Total assets measured at fair value 2,407 2,244
Significant Other Observable Inputs (Level 2)
   
Fair value measurements    
Certificates of deposit 363 363
Total assets measured at fair value 363 363
Total
   
Fair value measurements    
Certificates of deposit 363 363
Money market funds 2,407 2,244
Total assets measured at fair value $ 2,770 $ 2,607
XML 22 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
LONG-TERM DEBT (Details) (USD $)
In Millions, unless otherwise specified
1 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 9 Months Ended 9 Months Ended
May 31, 2011
Bermuda wireless operations
Sep. 20, 2013
Amended Credit Facility
One-week LIBOR
Sep. 20, 2013
Amended Credit Facility
One-month LIBOR
Sep. 20, 2013
Amended Credit Facility
Prime Rate
May 18, 2012
Term loans
Amended Credit Facility
item
Sep. 20, 2013
Term loans
Amended Credit Facility
LIBOR
Sep. 20, 2013
Term loans
Amended Credit Facility
Base rate
Sep. 20, 2013
Term loans
Amended Credit Facility
Minimum
LIBOR
Sep. 20, 2013
Term loans
Amended Credit Facility
Minimum
Base rate
Sep. 20, 2013
Term loans
Amended Credit Facility
Maximum
LIBOR
Sep. 20, 2013
Term loans
Amended Credit Facility
Maximum
Base rate
Sep. 30, 2014
Revolver loan
Minimum
LIBOR
Sep. 30, 2014
Revolver loan
Minimum
Base rate
Sep. 30, 2014
Revolver loan
Maximum
LIBOR
Sep. 30, 2014
Revolver loan
Maximum
Base rate
Sep. 30, 2014
Revolver loan
Amended Credit Facility
Sep. 30, 2014
Revolver loan
Amended Credit Facility
LIBOR
Sep. 30, 2014
Revolver loan
Amended Credit Facility
Base rate
Sep. 30, 2014
Revolver loan
Amended Credit Facility
Minimum
Sep. 30, 2014
Revolver loan
Amended Credit Facility
Maximum
Sep. 30, 2014
Swingline sub-facility
Amended Credit Facility
Sep. 30, 2014
Swingline sub-facility
Amended Credit Facility
Minimum
Base rate
Sep. 30, 2014
Swingline sub-facility
Amended Credit Facility
Maximum
Base rate
Sep. 30, 2014
Letter of credit sub-facility
Amended Credit Facility
May 02, 2011
Note payable - other
M3 Wireless, Ltd.
Keytech Ltd.
Long-term debt                                                  
Maximum borrowing capacity                               $ 100.0         $ 10.0     $ 55.0  
Number of term loans         2                                        
Description of variable rate basis   one-week LIBOR one-month LIBOR Prime rate   LIBOR Base rate                   LIBOR Base rate              
Basis spread on variable rate (as a percent)   1.50% 1.50%         2.00% 1.00% 4.00% 3.00% 2.00% 1.00% 3.50% 2.50%             0.50% 2.00%    
Commitment fee (as a percent)                                     0.25% 0.50%          
Term loan assumed                                                 $ 7.0
Ownership interest held by minority shareholder (as a percent) 42.00%                                                
Effective interest rate (as a percent)                                                 7.00%
XML 23 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
ORGANIZATION AND BUSINESS OPERATIONS
9 Months Ended
Sep. 30, 2014
ORGANIZATION AND BUSINESS OPERATIONS  
ORGANIZATION AND BUSINESS OPERATIONS

1. ORGANIZATION AND BUSINESS OPERATIONS

 

The Company is a telecommunications holdings company that, through its operating subsidiaries, provides wireless and wireline telecommunications services in North America, Bermuda and the Caribbean.

 

The Company offers the following principal services:

 

·

Wireless.  In the United States, the Company offers wholesale wireless voice and data roaming services to national, regional, local and selected international wireless carriers in rural markets located principally in the Southwest and Midwest. The Company also offers wireless voice and data services to retail customers in Bermuda, Guyana, the Caribbean and smaller markets in the United States.

 

·

Wireline.  The Company’s local telephone and data services include its operations in Guyana and the mainland United States. The Company is the exclusive licensed provider of domestic wireline local and long-distance telephone services in Guyana and international voice and data communications into and out of Guyana. The Company also offers facilities-based integrated voice and data communications services to enterprise and residential customers in New England, primarily in Vermont, and wholesale transport services in Vermont and New York State. In addition, the Company offers wholesale long-distance voice services to telecommunications carriers.

 

The following chart summarizes the operating activities of the Company’s principal subsidiaries, the segments in which the Company reports its revenue and the markets it served as of September 30, 2014:

 

Services

 

Segment

 

Markets

 

Tradenames

Wireless

 

U.S. Wireless

 

United States

 

Commnet, Choice

 

 

Island Wireless

 

Aruba, Bermuda, Turks and Caicos, U.S. Virgin Islands

 

Mio, CellOne, Islandcom, Choice

 

 

International Integrated Telephony

 

Guyana

 

Cellink

Wireline

 

International Integrated Telephony

 

Guyana

 

GT&T, eMagine

 

 

U.S. Wireline

 

United States (New England and New York State)

 

Sovernet, ION, EssexTel

 

The Company is actively evaluating potential acquisitions, investment opportunities or other strategic transactions, both domestic and international, that meet its return-on-investment and other criteria.  The Company provides management, technical, financial, regulatory, and marketing services to its subsidiaries and typically receives a management fee equal to a percentage of their respective revenue. Management fees from subsidiaries are eliminated in consolidation. For information about the Company’s business segments and geographical information about its revenue, operating income and long-lived assets, see Note 11 to the Condensed Consolidated Financial Statements.

XML 24 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Details) (Interest rate derivative, Designated as cash flow hedges, USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Interest rate derivative | Designated as cash flow hedges
 
Derivative instruments and hedging activities  
Amount of Gain or (Loss) Recognized in Other Comprehensive Income on Derivative (Effective Portion) $ 6,255
Amount of Gain or (Loss) Reclassified from Accumulated Other Comprehensive Income into Income (Effective Portion) $ 6,255
XML 25 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Current Assets:    
Cash and cash equivalents $ 384,426 $ 356,607
Restricted cash 39,293 39,000
Accounts receivable, net of allowances of $9.7 million and $10.8 million, respectively 44,197 37,680
Materials and supplies 9,352 7,269
Deferred income taxes 2,504 1,994
Prepayments and other current assets 12,450 24,705
Assets of discontinued operations 175 4,748
Total current assets 492,397 472,003
Fixed Assets:    
Property, plant and equipment 639,172 606,912
Less: accumulated depreciation (385,664) (352,280)
Net fixed assets 253,508 254,632
Telecommunication licenses 44,245 39,687
Goodwill 45,077 45,077
Trade name license 417 417
Customer relationships, net 1,572 1,807
Restricted cash   39,000
Other assets 6,215 7,096
Total assets 843,431 859,719
Current Liabilities:    
Accounts payable and accrued liabilities 42,209 41,709
Dividends payable 4,628 4,279
Accrued taxes 3,331 36,081
Advance payments and deposits 7,945 8,327
Deferred income taxes 1,601 1,601
Other current liabilities 10,302 17,889
Liabilities of discontinued operations 2,002 11,187
Total current liabilities 72,018 121,073
Deferred income taxes 27,554 26,007
Other liabilities 18,940 12,784
Total liabilities 118,512 159,864
Commitments and contingencies (Note 12)      
Atlantic Tele-Network, Inc. Stockholders' Equity:    
Preferred stock, $0.01 par value per share; 10,000,000 shares authorized, none issued and outstanding      
Common stock, $0.01 par value per share; 50,000,000 shares authorized; 16,494,982 and 16,631,797 shares issued, respectively, and 15,816,189 and 15,915,010 shares outstanding, respectively 165 164
Treasury stock, at cost; 678,793 shares and 716,787 shares, respectively (15,239) (13,389)
Additional paid-in capital 143,592 139,106
Retained earnings 541,950 519,651
Accumulated other comprehensive loss (2,199) (2,202)
Total Atlantic Tele-Network, Inc. stockholders' equity 668,269 643,330
Non-controlling interests 56,650 56,525
Total equity 724,919 699,855
Total liabilities and equity $ 843,431 $ 859,719
XML 26 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Parenthetical) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME    
Unrealized gain on interest rate swap, tax expense $ 0 $ 2.0
ZIP 27 0001104659-14-079039-xbrl.zip IDEA: XBRL DOCUMENT begin 644 0001104659-14-079039-xbrl.zip M4$L#!!0````(``J*:D4YT#`!*,4``/):$0`1`!P`871N:2TR,#$T,#DS,"YX M;6Q55`D``S,Y850S.6%4=7@+``$$)0X```0Y`0``[%UI<]LXMOT\4S7_@<]O MIJN[RK(MR8YCISM3\I),7GM)64XOGUP0"4E(*(!-D+8UO_Y=@+LLR9*B!:1N M5U>W3!(@<.\Y=P%`X.=_/P]?_Z=6L\Y]2@+J6)VA=4U]G[FN=2Y\3_@D@`JL6BUY\"/EU$\>_1!^ M98$,K4\\@#<%I$>M/WXGW+'.#NIO3[)29T1"`:CGC[.[*ZNQ5T_O).\5_-2J MU_?K!_N-@_HA_#RM'YT>'5JMZ^C1YX[OLE/U7PLZQJ7^R7[9Z0>!=[J___3T MM*>N[`F_!S4<-/<9A_9PF^[$SY.`%Q]7%_9L,=`O/#AI'B1/NHQ_FU*QNMV! M_B2/VR+D@3],2^BG);7W>N)Q/[ZIWM&L'=1KS7I2#%30(\1+BW6)[.B7Q#?& M%)&!YX]_C;JC"M2+!9YEL2IU MA^YHU](UG09#C_ZR(]G`5(F'6$$/[0"0.Z`\N/PK9,'P7`P\P>%/V7IF,GWJ M,_'AVC4==*@?M35]"5R'-0;#\VZPD<3S8.AYJ%9JS?`7QBF M?[0/IMB'E>(C<1]H'LPU#VN('M`ZE-'C(HP&X!Z.'C1`Z@_W`GXWXS\T-73D:[NO%=]/7V]K^O"`^C<#RX`ON^CL;BCVD&*B.S> M2"'*G4*1#$3)G:6!Z#@"T:$"TW?IOZC\RF&1A_9SX%DM*1`BG1ST()=Z5,*LY*?FD7RY8-M(FQ M&B_:S)A-D.UKN)VG">/4$Q.H*.-EOG2JBN.WC^IX(V0]K!T=.OU!1\BA:M*X=DTC\3>*+$S M.YMH$OVQF62>I"GTS%M-X(*5+6IF+C3Q%86OWT&.4CG2N!)TQ MZD:"8PA>"LJKZ2=/%6EQYS;H4Q^'K\TD]@1%X3@VTGXOHBP%W9>B+ MN?.641CSYDK2&'/FK22$-N093@XCEU1^F+@O47TQ8"[,O3%W'G+*(QYD<`6'"Y'8N,*];&3&%>Y(8%SA M7GX>F[0`UI29>J0SKG!'@J^`X!B"FT]Y7.%>$F(;L@P'Q[$K2E\,O+>(OAAP M5X:^F#MO&84Q;ZXDC3%GWGIB8[Z\-*KC"G?,SY8"%USACA#Z3@CA"G<$TE*` MA"O<$4#Y3R3*LPX/IPC6D<<8L6AVXY'GO)^C(%EQ0F!;R;KQT`S)BBOX(X%QA7OY>6S2`EB#9NJ1SKC"'0F.(?CV41Y7N)>$V(8L MP\%Q[(K2%P/O+:(O!MR5H2_FSEM&8<2]USS*@M.Y!;O?7 MHL-3:$/SPA MB?O1%Z$GH0HW="!B5\]`&QD/J1.'\1#LYQWH'0T(;+ M3"+6H[8T&IBFMW4QD7'@&Y1_>3!"X'WJT,')P M10.X=]L]]ZF3B*)LR$Y`-JZC6:(^KJ<;LU%\ M9,0B3PT2[NBCP*@9@74/[":R"6G#0#CMHC5>+8=V*R0*O/HRWQHYNLPT;.U%>;SPT MZ\69\FA<^)X\M\*@+_S$KMDBY($_?/CX9UF5/[YC.^_CGIU^_+,\,^'U1JU9 MSUZ\PJ44&4(VH/?JB7;\/HRXY@#7'%1\S4$Y][=$8B(QMXR8ABS+FW%=YP54 M_*B7)'R".-D/E2CNF/Q62&'TZEDJ@SMH6/N)>"-<'5>'_$@8OQ*@E.%_J-,# M==Y1-])@GWF%VL^)[']PQ5/\7#E9EQ!@FCRS3&F\0)=)Q,5TDK5PK%*04H4@ M=-(DX/=]T(=[6ZSS`[S2["YQ.'_(M^JY<$-H4-I(K9PTV&R`A33`O18V3P5C M=CM`.N">!482Q-Q=`ZI&F6MHBL^(>T>A;C7ORGOZH6KC?'JO$5@SK5;%1+5: M5M>41-60E:"FT0"C\^U*5)$&F*AN.@XW*%%%.F"B:AY!C$Y4*T493%3-251- M`];TXY4Q4:V8U34B435P$9TA-,#H?(L25:0!)JJ;IX(QB2K2`1-5(PEB;J): M-00Q.E&M%&4P434G43446.9N5/L;`25V7*J^@2YNF"6X`XI79J1#^+?; M;I="/>JQJT]GMWQN[@E=]>VC^TH`'(;BRS5'OX>J5(!P]LM'\U:THZFK;_>^B@78#28S>MJ)L-<"W M;ATM)[+LLP^J0YJM%O$C0D;(;RP3?&6O_5D/$$/O983W6GP/_WD:\+U'C57& M:YJ;D9;$A)!G-"%H0I)9H3F.0$,3LBD3LOK#2+=\.,N0H6`SG+RY`UE(W*U- M`I"AZ$,-I.)\P33Z4/,/^D4?BL1%'UI]AJ(/+<&\+&:M)1[56MVTKAE1N+D^ MWMQIMLH8EFI$!&A!MCV/1U.Q@*G`K!\MB!E9#,8@6VQ8,`9!"X(Q2`E-Q0M& MZ](*?-FYL_EGE(YN.?V=TF\8,JR(#[H%\ZH`Z6(P7:ZAI7WDRT;Y,JJ#+2=, M2S[<=K,M*S:`R/E%R4"_!%3QA;UQ[O(M.R_0B:9LK^94;QN)ILL707.+`E*U@\9JV/ERN<('POS?B!O2LV'Z M\S\`1N+;_>$5?:1N@7?I,Y^X%P92/]`8X5RNRFM*9.CKW:0^^/2OD')[.+Z^ MW)/RCMJA[S/>*S<'9Q-M1HPILETF*690SY@V3='/!DARN$K/OA*2U)$D*R-) M'4E2/I)^3,KN$JR?_VFCOS97':.Q_54 M$\)K/Y^DRA#&HW:VZJB=2D,9C\DQ`-Q&'9.S.;@O$#V\+)OJM&4'[)$%C";5 M%+@37U,9%+2,\9`Z<4G`3+E1OXJP8*'W3U=%1L,9=%%]\./Y3L:>[[3!61X< M4JB8KS=@2&'=H\LXIE!-#&\R$:L>AG%085L'%2J(91Q5,`#=IHXJK!OO.*R` MPPKF#"L89NUQ7,&(<845H2+]E/EXZMGB+6BRP]P0Z$3;:M6&)M7EL^V&#G4^ M^&)P+@9>&.BZ;KN7Q.<@,?F9^NT^\>G9<'P%Q45#`\\50TK;@;"_W7JJIG)C M;(5"RZW^F22U=6%T])/C8S//-D=@(["_#]@+?4N_L>VCTV#H\J\0.JP4(G@: MTR9/?09U\*#<:)S:T]PY@+FN;@1"QF][/&H;$4*F0<@<*Q1G$P"@R.Z4;>^* MPUJ]7JLO?9IN7N/\D8J>3[P^LXF;&VSPI'K@AC[]*?QO+:ZW%Y"WW<^4#50:>__#;?5FAM\[-D*?` M7$GQ]+=[!.WRPMH;P57=OG#UP(T:YZ:R*H9R>HPRK>L(L>6%O0@Q>O2V>RTZ>L_"#R%WLLCO][YPJ20NS=\>G7(Z(R[A-FWW*0VNA$W2 MK=#2"5JU&Y;24NBKA.6*$5T9>[&KV1:LG(DV,QXK\CC"G";S988`D]26FQ=^ M16_;LHRG)/YC@^1&2I>)TDAD)/($(I^CBRX?GR&'41[').TG*(]SMFR&45[ MO$K4'CW4C_6)!$JT\,?;Z(]TP>B:3@PKF\E,UY8:<'#)TD[V6HFE;JB]Z>O' M\V`^*O*VE*D@YG!KS.$P'0=*X4/7_\E]V<2RZB\&%EWB5/)5([B28T9K MDAR'YU#V<$5[Q+W4/@8,MQ6/3I M8K;)J3P;PA^>`#?ST1>A)Z$*-W08[XW_QBOO?^]H0)B;^(7$>933&X/(3T=$ MGH2@XV6^3`>\'K6EGGR:WM;%Q-&SXAJK6UAZ\E`_&7/F))(,259QDHV.]9W4 MZB=S+_E9X6&PS2@>.E+$;,9!XU$5B)G%=&%'ZMV]@\M'-8HQ>ICBR'VD=95I M/5?,/!XXN2_QQR%G(X;EJ';0G#..UD56.!Q[,C;1JH!A0=-03=.PJ@3WQ(P$ M=]3C'^8]/A(3B;EUQ)S78QZNV&..'YI$8B(QMXR8A@P)C^XR5"1F*2967J[9 M,%*RQ6_:RB?9LFP@5$K)EN(CN?))=K-V-N0L$NL7^%$_&A'?(#IN[WU<(_Q, MJDKNY*M7=4VN>U0UQ;JEVMI)+E[[**62&K1W9>#"%Z^Z,5*UPQX!`Z/J465N MPH'R[>)%P)&]EDEQV*@?@\._&->BO`+'UYA[W07E8L#X]!>^)M[1-[ZL-+F; MZ_=L@IN@DE=$\+)NK<,S(IG:N`.Z`433%J"P"R/$9'?4AELMVQ:ABK5ZGWW! MX:<='1>9Q6GWP($S5]C?K)@0=[3[NEWYP0W>@0A^Z`7OK/BW)8.A"\9C0/P> MXS67=H/3`R]X%__MLUX_NK"C2OWC[W_[FRKH%8OI![K0D%J7#)@[/+V'6%1: M-_3)NA,#PJ-[DOV7GEIU>#:M2U>F;B;U.1!\NF1X:C&N#@"("CY1W8J.<)U< M3?6T58V]'\C`>\<[TGN7_3IKM3^UK=L/UN>[R_;ES7WK_M/MC7K?OJHCWYM] M[[6^J;;4^E$SN/`'Q%UA=T=ZE^O;8HU7\*@QKFS^:?/-2C4UTO3[/K4(8'G@ M$3X$-"NP0C,D==2O&/CP1Q?(RFU&7$LFN8JT^N216AU*N>7YU`/N.U9G:`50 MY7E4H07&7(8$FA0(?=T/(>_(Q$6X8_FT%[I1JF*)KGXJVV[/4D]^/,_^O'CWTYZENI4UF?&N0H1Z!_R.=@"T^M2G M#/Z65L@)Y$_0RW=67SS11^KO%CK1H2Z#J]*2H=TO5*9:IYYTLNPLJ1>D81&' M_A6"M%3O!^0;U<_FRWN1G8'67$I7)69%@NBZU`XNX+M3T-91!)/4? ME6*85+;'$MP=*JE%B(0!)JT!$I4TE).!OW2*KOO9`F?);#+6HMUEXF!J MSPDV2$0``!CJ-G84!!RF/MP#]L"#B0B5T-0+NR&T7LEJ[!M`D)+.Q=)(32Z) M8:9PW!>AZZB6^(`WU5&HY2OX,*W6)Q;T)^-`A=Q6B_,07G)'/>$#;+CU`?"7 MM;%^4/MU;UFF$`W[0DUO4VK=@+:M0PVLO-4!BTM\;68F:EFM@=8@!OQ\V6OO M01DU<`38B$:.@';1T%',>H!6"+V,`-QRW8"Z%B<#.@G"%I&2*OJZV?>I&J@Y M(Q);H[BV](69T[%=J$7E2(ZE;$9N]"LR;T"CA'RIH1W;H"]<]RFF)107Z@O: M)R;I[@N3'5N%B$BQ5SM/V7B>9^.'E(WMC(U@U4%,VFY#:1'Z5MQJ;<[3WB-] MUAVPJHNHS"&94!%5HA@KSX$6^HV.8U&]Z MOGAD,F_#,DN0Y8W**'`'#+&TS@3\KVB`"_'MAU;[K!#@0DP4]%4?HB"B%[*H M"2(R3G8>JJH-C]`YTG%I%)10&:1]L\"J0D&54*NP2WV.Q910=,B8#X+A=M0W M-E#Q8P?BI2Z#+OG#N),0E225+FJ\%J?'R6(0.ZD`.2Y"/W'E')ZQU!:C?0FZ M4$E.6X6R:A8GZV#S8%<%<8?%'`\*M`ID`%8;%=# M!<"FJ*'"23U:H3.S*)FS(562^A$U8:N>=,63"GC),US]"M"4$#WJV&TWRGVA MDC/`8.B07?5;C[&H'!3@-`N$7VUUU-BFQFL?P*&C;Q)Y`(7",!`JT:>.YFO< M[K0T=*IY]"_K1\\-I:(\A#W:0V0E-9)'R\F?@(:)&V!1$/LC^RGK@782D!7& MO%(!+HW/5LC&(2*A00<^AD/"B067#X_^M:N-RH\L7QW)5S8Q72F^(0D$(/N7 MH[8$[!$0B1<5IJU4Y..?E-9MJ@3-A>YUY.F"V%%&CDZ/I0A>4_<+-44#'3-J M,$OY@[Y/9[;<32TFC5,`(`4U[H$BU;5F<^\-2!%@ZT6O3_*B/ M)V710%%'A($**Z,56T6SUHI6:RG'=!Z/!RGW2ZR/0O47KD%5?($6%]LWUGV# MN*Q8*)`.NJZ5+*5RA\D8-(25G/2B,!B:J,;!I$H[H^1II"\DZXM=Z$M/Q',U MJB^1WX1G=.+IT'2TMRM$H`:JK`WSF]MYMOA0'W[9]/8#2LRR"XAU;H4>$X)`:WH2OEFS[HD MOJL621!'>-$0FU1U#%B@QNNL0E2?#/2K5`-">27O<8A4PM#CA"2+XI/H?S1% M+@PG)',;N^,G-G95\&\3V;>Z$/TM)<*/30P:S$4-YO^%G(XUEV#\$GM'4E!+ M*XS,G.#YF2`]8:56+]0Z.LKWR#`:5'KJTP@P*IU,QW/(D^)'0K7Z," M<"N/RZ.10RM\F>O3,>8Y/]/19W8E7"4?I`P)D37A.`'UIN^]$?1^VF% M$!HJ[7A\A"NT,'X^=<(9;VR!=%MT"BLUH="X`<7/8H8XD(F-K8X\W&A"8R"T M4NQE133Q#5_X_PF:C:A#?DC/8J=B6U+J\4VQIL2?A'>7JL9;'<@O';$PI5&2 M@UB">;#*7"!F)^/0EL8!EK6K[0.)$,#$F35:+]P>H'B*'/A>LI;#45""I_SI MK;`DIP&^FW\CWB.'P(-G?3Q'X45F!S(VM);0#&+ZC?XA^0&$_P4+VJJ MZ&%1ZT1A!\M(:;3?C93PF,6*^S"AS0%-Z>7\87GJU#G3D5RQR%TU?F2= MM.I3V:`T_W@(`";(!--K#W$/+NW_$W-1%Y:QZA]_*2).TKGMFVRBS$N3TF,T,=@362)@F9&J8VPEH// M5S0=7:)%E?L;3^F#?6A3E,OQ%#Z>?<2C$0SIM(AL87KQ66$,;A-KD?-'R((2&.T.T9=!'&&";<6I:+$]90N*E#%]BY!O^'4V] ML=::6[9(,E8F_.Q-^'^'SJR(!9_?.34N=#UK/$1ULM8GOVADPI,WV@UNRU.E M,M)J?G=3:SEX5_LLCU#_$II^#[HO`V20[#L/-.>2^/X,=`#WU2KPR),-G"(^ M?QL?J(AH#3\*5.K,&]KU+YMA9CS7;R"'A?$*\AH6[B/LYQ8'SJ`)]A/MN$D_ M9FV:6*LSD>8MMO0P;R6]?Y".@-(7^6G4RRDZ?9).S$CZ9@9_J-JG8[Y*9R;I\0 M3<>G[&G_VMY_6SC/GZ>%>R]X*/O4$M*BH)0\$V@$\Q5D;D]B._E*+DE&YMV0 MEWCG-LET2!_<(XN!HP$VZ&+`'`7_J?R'2"Q>^%S*W!!>H2!+0,`S>2]B03:4 MW(UK)61((SU3JF`AH.+L)F0B4;>!>;(1+M8&(ZD%UJXH6BS90XT?U!'Y$VS!Y@@#;^_T]_%]8.9,\[X3?XA M7688??BO?^RM##)597GIL>!AB!>X3O'I1[EI:U'3!C?/?G]W8;Q;634Y5^>N M814G?U!6A'9J32RIEJ/)[ZX4>O(1#1;HJ3<;W5>A)[^J=)$_G6[[-?FSCIYZ M5Z]O0$\NT(F(53!8N`&;G/N(2)7]-H8UP4,8?..F!H*1AR'$%?`)I=Y\PE/` MU-#JNTAB_=T?M6J]*\>U=[*/C$6%E`-8=%&KZO7SX=&5[<"ZT#H]04H3?G1L M.B)A6LZG!)5I-2A3CY\@/@QO,&_F4>R>@,5CIN^]4.L2C\I3QK6YB;$_"P2Q M!0=AH/M,/$2IK#[D%)XO.N/"%.K=YEE.X?DBWY[0%/;'MF_MJH4*%3WZ?7]F M>/E$;2<`6VCKN5Y-L3!;[.E/(LV MM-79ZPU#M&>DMC=;^E$EAPRP5#:ZTOOADM?J7=FG;PE#B0:RF M+36*&TPXI'<(0G0ILS\?J42I&MM3AD=8RUF]<"O?HA7HU%(;<`5Z*YFV%?.N M-]OU;4G[XCU3W^63PSFJ,/!2)[.=JO;EX<_KQ_NOU_=][:2HAKR;19@P`]\CUH#;VJRAXSD)J8H<;NDJ0%YDY%QKT>A5M1XGN#`& M#KH$-D5:,CDN[XUFM9.&P,FW:-"32"%Z7V]7F_'SV"A'JT/3F`"DYL_,1XG% MZ-(B4(R#T'8L/B70/*_(XW=#&T9\@=D,9@6(L2R'7@!-=#F3H6M8^'+0 M#Q37?\%RDS,6$R]YD]^HZ[*9\TQ@(UWHAI,S#C/4Z98EUS/I5NJ MS3$`>!U!='-,P69VB;53Q/EJ$Z#E+;->XR_MY,)9B->B2CR>KR[5\C*["$Y0 MX+.F,0M]]OF]CZ1.C]">WA^`#AUAPGK.PCQTEV'[$)^,1+B8"KE'\6ZL)#L//KVJY2,<&0M@E&)? M!@02F?B<0-R")4UO5J.VDNBIM@IK-\B(8BXKYO0B5_<'T'",+!M?XIGEZZ:T'O+IF,8?LX1F9P[%FE>7 M"L@BB`ADS7]$5\J5,U$A(7H#1Q[%)4VWV9B7[Q?PF'SHH`_2%$2H#I$7@EA"UO( MBSH3Y(PL6T28/)+E?$VQ-55)(CE,>)D#M>+0F&-K0E1*G!C?'NO8P17^)X089YB] M*R7>?$[I6TI=F M<4/O4\]5`?/Q;`<.Z(@D4&>QC97QSYQ2Q:O`U-(MP$P=#035EW(?%]/8_!H# ML=C=U\)UBZV[.&J8LY#ME!<'"K-#KVH/&9]2`8N:VHYZ$>UZ?%>5QV*QN_!B MCQ%I$O0*GB&854#QP3X)6#X:E3%@K91GVCQ(BYP#HZG="8S&>/DBS\.R!?!$ MN@P0_0T_N<9M4Z#*%OY#PF[SWMZWJOI2VE-%7KB'BNW2J,7D\"5"\1;+_NP% M/=-TL><\%!.$C[PJ2S`C7G#/%><'X\A[^-]*;;LM8PNJNEY^?I,W;\A:#2.CF\()N(BLOHWO"PO;C7=E,0E*4^"C$:[MHH1A6EZ]9&M MG>)N72][9'=@HQZ&`F#@AIC[WLO(OT2?@EF]R%:JX?AG4?< M]+AN[V^6#*SY0V_C8.HX,OC0$1\B6YGM-I7L&D%X]+TYRK*V]@X\&3JR*SI( M\KN%&8=OD>HP)W&5,E9DA6HT5TB<,!OQP%#QA\5!-58-JA`UJ<%D''>/[Z]1Z_-,[KIF-UU3 M-V\6&$XG99PZ41+D;B%%S@3K[30SMAO-J["CE;)HK>(1EMAN3/^VE!6-_7'B M,5I5G4,HV5[.J&BF,5/*LR0TV0<[Z\8;8>>>^=C2WP@?[SW7 M?!7)-#J;@YW(`6 MYTXTG$#;9D0AG[KER_\3X\VZE4NS>[JCV>M,E\L8N3ZYC++->CS9[#:5:];W MP+1-/D?GJ%A3&&6NR2,RUO/IM^ALO\@:;S73'A'@/<.@K[:+JZME)K!HB9.! M*_V8=66//(>K]_0E,LM8U(W?8<)@W.)M-J]R=]8M9XGP"")Q%M^2;U,^#)_BX^;^ M&`8A#YLWJ9GZUOR7)+V$GE/C>#+'U`I1TS:JCYVKP$T5VO9QP^T(Z\(.=VHG MZQ"93$SA&3[\+'@)@'BZN(8GX\]=D)Y[J2`_P-WA4C^"[2*^(2_)05R^D,$3 M[..G_OZN]XY\9[I/)S_+] M`<_`N<`T(#)E]%/TQV_SXIL=7N#''\5G2WLFCCURL<4@\";OL@0:K6JG]O?? M)$%S#1:;$;W6JK;:?R\Z)9WTC.Q6+]E9,TG9"9(3%EB;<:A6K[8ZY7"(VPW> MUR<$1*1^83&NSS,M.^`"8P3Y`2F#0<**;^5XZYUJ`R1"RE_@33_ITT#D1O_M MJHO_IT4_5F-?E\ MC?8U^9AO:)5@*\$^.L&^M]TCE&N]6FN=KER+S[[RZLJK;V#\ZFN,GUZO=EH+ MQB_??"GK5TP^<>FS-\DL=Z9R?S_*B5)*MU2$?!NWE%3BO94;*C M9$?)CI(=)3OG(3OE1Z=3J1DM)>U*VE]+V@\:4Y2V"<-A4!K[ MVX8Y#AE3^G3\^G1([U'O=BM-O:O$78F[=]::6FD`U@6H"U02J"=PQ@CJ-"53G`EM$4+?K*WG[)IA#RO=I?*/DH]REV4#WJE MVZKM,N1.K5-MU4\>AZ*@<.RC9BF"G=M+B%EKG&[=4J$QUEO51N/DQ>^H MBNBDE5?RN,T8#:.J*UB>4N51AAI*'K>RC\UJ6\ECJ?+8]XE%73+9T&5O>+0` M4U4HTGK-\I7C6)]NM9S/G],D:(_OY-N7E3D.WI5G;1;E,S\44_*YS1HR>T^D MDLEM93(_'%,RN95,IN\S5S*YO9W,#YF#:C8I&2HM&CF*@98A&SP\'I*)]IOXDM."/?HBW M=Z"T7!+;]%A%XX'LGS92K`E!4@*T>^AP%`,M0X"^VA[X;NHX#RZM))P2DF)Z M$^78E6,_&N4[.\>..ZDN/YXGCH:?1CZ_7@?OT)V./7<_";-O0UK.SM=_"6?$ M)4HBE/..%]\4KRC\>1#??/2\*G3@@!>.[$NASD9MA-L]^@D_'N=Z+C,O7>BI MS?R>'>6YS*YTARE:>[C1KI_Z MMU][_>NG(I:H5+O9W:Y2KKM5H5P>Z6G<$Z/UFC5^_3'5ICZ=$B&/"&`R!$D' M.TP<:$=693)H`N5W"&RU@YGV8@=CC9BF%V(]YPA:X);;`3I'U`6#[3@S_!WA M3"Q\%X%/LO&63_\30H#--!@2&?%>M,"#3S^I1B,UXH$882R<3`4H>S`F@4:& M0VH&O$V?^P!HE4R0%H;TP_/@`OBKCDT&ML.=!O]LQ6J)#XIJU!'VO.P=T8O% M:4'0%_B0RQY\<1D]OD2;QV0Q\[$*K$O@7V07O@_,]EZ`),HA9BPO'`3#T(FFAU6TD%'\PK&?DU%<>I,I M<6=)-7CW-P9#^T5%\`N#A,FZP%=P_@+BCFRLX!1\JO`^S5ABIJ%OC@E#2;)- M3E?$3Y-/LK7(6)Q3(1KQRX.0@90R!O,R&4AK"UT-B>UCV!GR.4,E64?*^VP/0)R"\*C(4@(H29`[D+G0!["AV4"A`H/\UKD%X.`A2,/982Q^JA M8J2USD4X(HO:GWH@D!8*Y8U#1AOYG"%X3OI?_UAH)&G[,O1]_!+Z)\Z_*/&O M7>L*)7&3;BXN]/J%H8N.EK68]'GEF>$D?N0;UY`;^(YMU.G_&J*_I:TMZQ!I MVKP[_-^\#N/6%KL3M&S#4/S?BUKWPJAEN\RTN-AA?S;=K!^]=O&_V1ZPB:3A M:["FP>P2O@?[?PMZ^NM_Z&RC'C`,[+2[S4Y3])/;XD*'WF3BN4\!:,'3F(!F M/X0!6&875Z&IB/#V_B8;$O;8CX?A#QU(R0\"<<3-KMXU]$Z&FA7=+9`FI#M9 MJ(##V%"2_D59IO?<%N?[O;$=ZE_"K(\\?[,9P-#6H>)\A[>2[CS3['R?CW1D M,Y@G-[@GD\T$J]>_Z]WW;R^U_O7=M79_W?_KX?%_M-O[2^T?5]=I`K)]"`I" M=C$B9/JI)]W=-S+#99\(T_V06G>)VY'<6[%.D$)1_V'HRQ9V>KO6Y2N#+7K> M'\FK%ECU>MD4/U*3VL_X[CT-RN"J(5;+.33F=54B4:OXUM"[[>UI0GX*<),^ MQAZE<*E5Z^CS%.7W4Q8Y*_AC&,:VQ(23$"-8ZXK"V@-B:;0.\+=#HQ7V!,W; M__'OO_F(OAC,OCF@]_#;-824T\G.K&S6ZXL25PI=!QKMJIGJ-%NMQNL.]@%6 M&3ZN,GPZAB4/Q.I"+NX\QD!K'H8@(#O-X`68M?JR,17I?;^DKYB.B[K>73#( M.U!N6;;(SOA&;-"^2S*U`^*D`I6=^*P;7;W6RI*[ML?2*5RU5]GWHN/Q[X9;/XJ6\$'=-7#K:KF+S] M[KUAS$&`F1QN,-YY_);<7%T/AG(BRN:FOX?%V9J";=+U/JE?Y MGUJG1*I30=?#\$;L-;NC2X_Q\TV.H<@WELOS**U6B5E+KQORR).@TN^WY`(FWNF-/,<&S!]:ZC^[M6ZCL4=Z8R?_69YAQ2DI2#8>X?SX_A35G0LJ%]_-R721S60& M+[_+1]-=QH%&N]$YW'S%(XO8LHP%R]F7J4)(BA#B&H1E`]>[[6[-..VA\QKB MK/3D^,)&H]X^Z7'.:TC.9#9U4.1S&"3\NE15FT93+VN,*X*G3L-HS&_@EM#1 MWFQXH]YJER;@*]9IQVK"VT9C?I?K%:?K@"87D@RF;;QTW,SG6?SG/VV86M\V>GMAW(FI[C^I M8]UX_A/)/?#8(N3(W4U:[*4D6E8=OK2;6U`2Q7>72:9YSQ0'8_R,C&=B\'.# M$L]98/V:=5O%J=@G]05KQ^HMO7:$U!<]IF[H1TA\P6*TB[F-O1*)EP>__T>M M6RP^LHL;`WGL!C7);>3J5_'M^N2EXR6*O5R$ICH4[W0><*8]7L-HQ&[3C(7)V%VII? M!1Z^]C[+>;#?7#[(P98<9Y%KWWVCI M];T-DOH!+WH$E_DPO*)3#]SP]B;NS);Y\XNN(MPZ2OX>YQKV0.P\UTVI8.YI&.L#0+2ZD14.(.8JN1@+[X2@+@-'MUO)HCF*## M(M9(]!(!\!$PC:4`PS3B4_SBWQPCQM-,L-O$=C4_.XT.'1%'F_J>22G6[@L, M%P^WBS33(?8$&[(9@@A(_!K/A^<(+Z@/?<;12"+(DHK&$&0$OGD9V^88WGCV MG&<:-<1Q6]%XE^H@&Q6L]U$?9$P`9H(+DW(&^)#.BUB_^) M&YM1XFL49M;2KJC)G6/RI*%7-/1)%?ZX&&P*3D:SF6:*#7=G!OX$=[9P#J8^ M\%A"]B!^C@-4!5C56!'X.C#MGMC^XW`RJ4E)6IM2`>G`D5U<+]#&!#A,M(E, M)-.(]4QQ7JB`!_+<54`W$89/TJ\?H\(`"5Z\7"J$^5)$092Z;T7Z`YK963*` M#@I@K5O1KNR1;5('YM)!@"'-(2\LM`,4>0%D30Y"FYY]``4ARZ(-9F&<(*J/@ M2'I,H"X!%VSLV$.4)(1$=&G48L0J?K\B/N%-IXAU)(F?&Y^TAQSD"HQ6U+;V M0I@V0CP.Z,6;ITO.5#5+EYPN,',N>Q%=(STP5_Z(8B/_';HT::5>%ZW$"%LF M0D4!(Z4Y2`58RPVFAM\(@Q_)!#=+6PA!-%I@'19Q(R4(A@;F3)N`&0IB.E,6 M\=D>>;X7,I`$BPZE&4L+P!QIRN0.V`(_(]US91'":POC+E[F`/'=0072DX5.%&.8P;!S]+/\A$ MF2;Z1-SN\QG*+0_P-1=&CV-@Z4A$>GWHU0I-RIN+M352?2#*\W-7)CW&GQAQ M3%R..@%-2U[$(^8D^!2Q`(7T>B9(;T!AL%G:)QR,54-#P]#1,H[2QA42:0>/ M2R8BT)"QF7QKAHAK$#K8;#P?M8GX;$@I8M#%=:^I]Q,_SJV;".=LWPPG&&*9 MD4$0P&^V:_H4[0G&2*F>3'Z`"RWQ]U]LM#B@S3AG\&`Z-DB,SP*XVZ92!R&9 MAA8!J:P@\0\P31!\H9`TA"!&,Y$KD#9C(7>$ED^&(J>"V3P(PHC1'B8R2BV0 M.O)1R#C.)N(6^Q?$,.\)% M@^W`:;KR(XV"A)5$4N&29\61^92Q?70\,0>9KF M3[2D>1E3;G1L+BL<`],#`2(.$WT`'XGE3;G2>3Y7Q/@S7[L)PQ)1:_OSOH2W MPM2+\H;8,L@Z;_&VS9%[Z5QDFM,4-B-#9C`>X*6I%9,5&R3I M:3P7U_A3H&A*9KP_J:U1!XC%B[XZTB2QL<&_GH*6_.)G*-#&^T:UIL&T.+A\ MRC.8$)!%SKZ2$Z"(,0I_0*U$\2,Z@#P-7[!"FA@_-)J1RUE)7#TA3G,]C1LH M[`-7*DZ*=7)KI)'=N+$9-V7%#>8^,@=)&@Q#&`R,;^-/G9NW?(5@8 M>WZ7BG$CE([%(F&!.!)1[H8O'80X)&7=D8@T/0 M$=777U%8&J-:KL`9W2RGH?[NCUJUW_!Y&;QX\KHQ0(PN4M/(SF%-3V7PF7][8'`U1PL MBSZ!^"NCR/];+9?K&-=X]T>S-I\ONJ*O$HE:RJR2:;H5@<)N3-);C6ZCVZFO M($CT4Q(QJYBCMUJ&WN[FV[L-:-D,HGHE=YH=O:5W\BW$$H#JA/PFKKYW[[E(HN\Y''0"]U(A*B^3SE^;;;:(U M;Y:G:X!"-S+PI\S$M;?*&2VCL&TZ'T;L54,W,?=OEJ5K%'23^*8$'LI#L9[U MS`\_$055)"Z7`CW3,>8J4]?W5SI]J^!ANXWF3N1A=>FMRW`+$T&!"+/9$TP6 ML1[R?-%`N+LF1G1A;=1ST25OY%Z<\" MG'Q#C,PMT>8MX&VJ=QYQY\NQB3O*%G)_);_L23A9-T-Q-3E,!7ZY:@H,-0-[ MG`'HT?)<[HL&Q/WY@/RJN,YE;9]NKKTX^K@V!A;V5/SR7 M7DSP6XU_O8QOJSGP)G@WOYG"6?<"7[YASL7[R[X]26OE'_P+#1-`WP)?-EZX M%;5N?^!GQ<:-V5@LKOKC^!3W-5WV9K'NB8OL"3+VL$(YAX&^'-XQCT8;5=V:7['F,N53Z$QWV`3U/H]F<#TS?+`L+.9ZZ8EAQQ].H M&Z1Z+6.\T[H.N>'3]6.SH MP7E8\([GN5O4WB[#"JQX:@W=4-PJZ'F,YM$L#PO>:Z?7.XUC<3VY).]MK^UH M/,].PS[DBF?^[O$WS,*"*Y[NL02FAV;8>L=CM)I*NHKZ'5WO[NZD??N9!+P` M-CK7Q>+,?U)KM'"CF;IG9@%PLIV+FGAU_7C[9Z]_^^>U=GO_U'_\GMPX\\_K MJR^W]U^TWB7\?-O?_MH9A1"ZZQTF6510CU];@B#$MBM!F.VH@!T](YB,2%48 M1]]'($;+TA`O.P8>CM^@OZ8),*.GP3`PG00!>N$7<7NZA-_/=C+QGL4E61%D M\+-,9[F0-`SP>A*/0S5/IARGFU]N$%-?R>)O^F#E?!O10AF'SE\V(!C/E/@Q M4''V0=]F/^40D#88,GX]FE6UVV4-5N`#HA]C2(&-FP0H'>+=*&.P+!SF4ES4 M(G`KP6I1>\J[SPY8@&,R`8UMXM_41T(YABK]98XQTSJ&N8Z&/2$<@G-H_Z*6 M:$?BI#*.1BH@L>TAC6!BR-X0TH/&B*KHM1F+\' MU^@8TSH-FRXF,(:9'1+;!^E"<#&4\J6JP$%L_Q,2$!`[7WBY^H/(X@T>E@1. M#R7Z_@('"8[M3H`S[#))D+XUP5L"743-*/@\KGSW&`7OYQ0C2F/@TPFU> M:N41;OJ)3H.Y6Z#JM>@6J+2]P\Q!6]C:1>N=ENWD;H,,\+2A9.3`,B+='(+\ MV^*^&I_?&+:1??%%EF=^9)$)7^#[K.&!5Y)PZ/*W[ZY/P0`BI"D$_4SC5YCD MM\97`3X8'Y8T9B1_*4*[ET+#Y'#N+F;`*B$]O*/E"$CR MEKLI7C."4AN,DZO?5LQJ2F:26^#L9-D9W;)@QDMK+OU,(6CC M/A7<'$;.;C!F\OJ\',MI2,O)W\`UJ?:!^U?0-KS,Y..G$9+!JP@R#P)N^R]-:;O%'9>>!-/^FP9'`] MF/R_777Q_[3H1][CTE]%Z_QW+FC:WP3PO-"YJTNKS8INU4+N.46^=@PG8FKW[ M,`K)#G`R5[:;NC(;%K_)IQMP_'M5/[GQG/3X*"\^86-[NFBLE-:(,8('!C_M M\CHUI4&OJT%B\9;,F3=,_OY"TKKD^7O5G0]WL%;[F%8=TQNYN(K;:[?I$?+R MQ+WVED%MW6M/`A(V-7ON7KM+&>*]"DE.15^KFTF0+<*^]GK,!Q].5]-6&_%=E:X_,UJI05H6RRNJ>F=5] MA0[/R)#KW+"=JB$7G_W,YQ5[_6"X"VWTYYOFPI8]]_=EAGU`S)\C'VRAA8<< MGO])^]OEY?7USYVD7^M;IC%L>(>&1V-Y"D=+8N,M)RF&6 M?RF%3)6T[NA;C'.6UM>4S??EBZ+>J+;/>7I2QH03 M\*KSE:2C-!:/>94543[OV'R>K")0LJH\GO)X)SH]Y^SQQ#[%<8CWX?R0F";1KZI"3%6(G7"%V#T\J`K$5('8,::5J%QL52`V M4@5B6VJ-RJH]G`8=?/0H;+.^CFQ2?3W]^)?^.SUE16PM#Q2/`)AY6@-5;Z#*K=ZL`53E5LK\ M*?.GRJWFE@;BXU&76ZV['WJC^JMI-$S1+;3T^SN=-Z,M%XPT6[3TA_2UX-M? M\EW@NG#,^\!LC'0*QHWO35*Y$0^7MV#L/7$0'Q^5RP/R>QH4N8]=7BQNI"\6 M-^(+U?,H>[39S\RM[)'#P8`;X^VY2]E7CN[S3+(K76^0:1T+(;#\03ZW[-;V M5KW9G+NU?3],W6SJ9"+XK(\[#,/=!:.YAV">_MIZD11X8M:;>;6>Y4`J-AQIW^PS'_8WZGPFS MS:YQ<&0#"6DT#\\1X6NP$PP?O$=3;[76 MV]`=Z3UBCORPJ/WCCHZ(A9#`M7_T^A"-][]Z`]N![^_N+ND3V-*`WBQ!TL[[)4X2?P.<4\D45]\+YPR:,()<0F8.UZ6T/+] MZ9$&Q';^LGWJ4`B@0@:K'<:6Q45O:%8+1@L7>A>5.RCO"F5:M)(3TGCW1\R9RO>*$_E;\W# MD,G/(M,LBH0$)@ M_*/-&/RM$=?U0K`;EF8'3"/3J>\]PPO>D+\_]>FS[87,F:4>A$=`%>$/4$<: M/8F[UL2=)4+3_8T):?&YY=!>I.G0!M)V:![75V@G!/;YO)6>XP34T5PRH5K@ M:;T^;P__ZVN1)=2&GB\(_046%QZ?:>_;G5JUI@'/'1R3[6HF86-MZH1,>Z^W MJIWT3R^>_Q,L!SPRM0,8*K'^';*`[\GGZD<_&5V:'SZ=>CY2CW1[L>D1_+!3 MPWRQX;/+V*Z]T2BYF/\*CQX0Q$A*N()K8'_@Z2R!^);-N48Y04)HT"[`3%H5C27SCU.4R`YT94]8)1*,:`Y! MTA8YWU36Y+#6I,>5=(4L95T(2BTL7;Q$:M^WJT8L,Z@;^/C$ABE`66!XH#"& M*)/Z+"V^0)(X?D=;)90:'DJ8[UN8THK#:H7<`9'VC>_S:(@FM%1\?,KSO")C*64X7H)$%CP80Z2F33P$ MZ^9M0P@3?Z:(A[U"2(00<6EY`8N*$<<0;*SWPK0/W-S#N@B>8!\_G?L^P&N@ MWY<+=V_`PN)U)=O5-M*,2[4L6SC]8U MF3)Y)T+\6=PWD*RT7P_+7PFV$NQ=!#OWKH^#R[5>K;5.5Z[G"EB45U=>O8#Q M6XMC6Z]V6F5#:[QQZ[:78A[E62[#MEF!'CS!V(FNRMV*]#NDH-H,YV3>FC9(=)3M*=I3L*-E1LG,J MLE->E'Q2,?';N?@FJ@%;F:*SOSV)$T=Y+JI$QM&,]5AA#O5J8R6/"@YP+^#F MG4ZE9K24M"MI?RUI5W"?2I^4/IV']ZAWNY6FWE7BKL1=N8_CE-+3:":0#6!:@+5!.X809W&!*IS@2TBJ-OUE;L5S:4" MX8?\BHK6M0\#ZM*A'7S$'SZ\UZO=C[SV]GVS6E]`91`UO9L7\Z:KR-7N4ME' MJ4>YB_)!KW1;M7W.ZBEL)GS<2MK+DP"UL:`LQZE9CF9%;ZG#.V4,U"YC&=&S M^*ANJ]OYMKH=,8'G$8:?;5@I6`S143WW*4#4X/+N--'U;J<^!XF\V.$>28J! MHV/(Z.O_A'8P0_@MS^47_:4O._M&$,IJ&<#S`48S!]*\2))1USN')*EQ2PI$M'U"/_7@8_M#K/PQ]B=@VZNUY;/7<3LJA9,7T-EKU)?Q81<@U MX0BC[!OU^35(_-*L,B^SZE3;J:N;;%6N7+4TI?3)#LLBZI-+B8S7HVJ#>1IQ?3MAU5%9&K7^5-W%:0" M3+V6BT]]?]W7;N\O'[Y>:]^N'[6G?_8>KXM$H(>.I\\'F_)FQWWG"$2RHGEA MP`+XB+BJC$=>WE3DRG-\28ZK[SHS;>H%,$R;./"WA8ID/U.-43/T.59JA,@- M2F/:CBV0AOF>^X#[#03NENHNA`[1LI]A63"B")X/A`M,898AR&8*X#*UCU$^ MP*5H6&L;_-;YM*EJUS.+^:V.FHQJ72%CK=Q9,3A,WJG6[B_LQ!GK8`&[5:.N M8`'+%,]">)?S@COPM7]DMX.V)^#5H`:5KBA=V3^$YEFHBEXUWCHDC(H]WH8] M77?RUU4H5N7*Y)Z@W8P\P.@31C]0BG!,_#TA.#=EEI4T*K-\'!.E%.$D%6$_ M*)MJ2<675&^G$?'%1>YQQ7)%*3/+?9GB$\\!^]P5G$CIW.<^;]ZL](V M.@FSE3@I<=I-G+IU0XF3$J>RQ*G55M9)B5-IXM3IULH1)Q&[G[HX'>Y8Y.@C M]:=,XM)1;\H=M=EYS=/E@QJ76KM,1Z7D0LF%DHMSE@M=5W*AY&)_[O)) MQ:%O9R_Y:B[Y7>TFG^P"&^C5+"_$]/NB-NIXE]B-IMJQ40)5ED"U*C6CI#T; M)5!*H/B)5Z>K!$H)5(D6JE9JS'[J`C47S8N/1XV*,ZP"B&.& MCJR:S=3V%B[IM3P@U/4"Z!`A>*A6[U904659K4^A>6@B\#23^@&QW;ERWP$U M2P+Z(2X*H6E2)O5H",;Z0'O4!]I[8C]8O$ M$S9/.TP`#(B/"OLF[BS[1-0]3@FUH>WTS,!W*\:LR:$VJD7$,E(V(4&E83,M M!3>8PT#@#(/Q"JS4/OGU"-R^]#A\$[R?X#>EL!IV0F)JOONC5C7:K12IA6G8 M(^V%(#D$[1EXEV.@O1!PAZ#=Z!X9[87P/23M>Y.9QPQX02^XH1#?$`=QI,+` M\V>9AU.#NKV_*:`*R^&=I#RM&]9&Y!W3>&.LK;C!7AB,/=\.9AR*RX3@*?!G M/[[\*Y?#O/,;N:?`P1&*#P+<'(8^)^MX] M]`1#]ST'O/KH%M-W*5L%J;4I0EV]T^IFL;Y*HO%@`R]D5$]YX,V-\.DL:O^X MHR/B7(.9DBI``M?^T>OW7*O_U1N`)`>SN[M+@4HWISXQK-UGXA#7I$]C2@-X ML0>+#>R5.`G&(OL\VPB=,:'E^],CA2C+^&> MY^Z&V/Z?Q`EI:H@*KRFUH&CFPC7=]&X?M3][=]^OM:_7O:?OC]=?K^_[3ULN ME]1:;RO2;UV-F"9H!"JM]@*+";Z4F/K>L\UXF`3KE2$(..XZA)0_'**&CBH: M2?\PH00%'TV`1A@+D>9@3."#!BKG,F+R!16LE!AU'%C/X%-XO8$O?A_"VH1H MX"R%G=$\TPQ]IG%L):0'%F#VE#@:<.TGO!:M1N-&4F_ZE>@U,F`4QP5C(`MM M5/@C$P^L)K&>88%%1M0+68$>$*;*HD,T/6D6#`B#I58XA6'"\.@O.\`^3>S# MHDZA!5<1V5"2OO6NQA)Y'86VD'\P[6#V;38&,C+2/;;!&?GF>*:]C&U8O/OT M/Z&-2W"<:.XP4;(GY)<]@5ZYW."R'^3.`Q'TGSDJENU.PX!QZ9G8[L*3H;OX M[,N8NI)4/')-*!+`9C'A%F4F>"VN<[@)X-!GZG#=E0UQ59R0F3;@_?$M"\F" M5*MG#UZVZHR^.R^?VD6S49:$IMM-N6_NSD4WFMR8E2[=Z%:->(A;L.4.)2#A MC;ZX89/^4)34VB*AC>Q^>&9_NQC1F7$N):O(H/\W]'`[CEM=[CL(7Y9)DRXV MS!`7.+!-<`/C_??B:<'3P\)F9D8SA7?(*;CC8G3DX!_66.B3N*V%==+H^;:RX'!E(`1]*12/PC`FD#E#;?=\;>#X_]AC,T@]) M`P*VD@@JPP'FBDEP5K2$PQ`B?UA!3R(+FSN`!0-67V?`N+%*62B^C,ER8=XV MX>Y!9'$#3AX/V86-NH@-&`O\$$/$%5;OA;L`$2;:N*N,`P1)@)4`0Z-,8L/- MEP&"N!6\EDL7R&KD^3-M1%W#R#/CWG*59K+LLG&*<*#0/+%,@#*;K1;K'+6VT M;Y"\!M)M0^P'%A*CO""[/-W(0!KK#.30=F&9"(9XP:39+ICHD8WCDFUP`L<$ M='I`8?%I3Z9`%:8(K[%S&2N'$23NY88N\L4D;*P-'>\%EIP0,5N>XXUL='$I M7Q90<^S:8([A:X)'^KA)Q#+THE.1(#.`EM$T]ONT)RR;3K@ADPO7V:EY./%.)CX(#DMV,9.8>K M[7.>GH7Z^-><+ZY*?_N%!SK[VS8_#O%65D19D>.J?I1 MR))2=:7J^U9UL>(]#AD\_,KWW!:97Q2CW/2SW5AHW2^Q,4.:7WRBV7>]9X.NNK,[Y@8!T6$#^RCFJ- M\HL[U*;]4>WDE8JRK#Q'^7MY9P.#7?IB[SCD4"F\4OCCG:"SV+Y7ZGXDTJ34 M7:G["O_>*NLFR[,\KQ,?S_:6"U54?A3%CZJH?.T855'YX<0S'Y\C4U7>V(/@ MOJF2!U55KJK*5;G8FS.MJJI<594KJZ"L@JHJ5U7ERB`H@Z"JRE55^=E7E:NB M\J,]>5(U8D=][G1DTW/^.J?BJJ?I9)*ELO M?,]MC:F*RDMT"F=ZS'Q:IO_M5*\URLI#5.JIU/,"SF+[7JG[D4B34G>E M[BO\>[M=4^=U;[6H/(_X/5**OWVR8;5IFT423Z]$XNF6XSCI24CO$1BM_$ZS/N9Q:PSNI->):6GZ9,?[>J&C!V&9B.T$S'?A7,SV7V2R@%K9,M`#( MCY.*"?R_-K1=XIHV<8`P%MA!B%6@\(CK3>`7?-%VM>_5IRH87<
*8-J$E"1N"%,&Q"& MQ+N:%Y?=1$?7%@E(]?0T31R_BQI"[0:/WY66G9>63=()%E//#X80[GCP&FB< MZ4VFOLU@>#<48A;0NY'W3'UW`HS@/7-=Z_M\+W"F,6J&OAW8=$N]TPOIG1TP M#021^LX,P@1@WC-E`5($P_2I>,W20H8__H?7XL:CXY6X:",(+Y*5WS-MZ/F: MC;,++B7:X=Q661=DY:0E_U6)7[+@)SOHPYY\=S_SYQ__[_VC:?\6/VJX=T#N0 M-*OO$XO>$^#6%]\#=;"H:0,SV>_O+HQWJ)(H-H]T^/N['OOQ,/RAUW\8^@_4 M\'<@[+;XZ3O\H;_[HZ&W82&1HFAI-Z61T_UAU)":1GG4?"&V>P??/KC`2.[C MP9<_#'OB>&$Y05>A3_#1'_H/P:`??2^F+X=;>JW=RA"XLN,Y&JF+5J_G6CT+ M(@RPFMCW,[W^-:4NHR52:70ZS3DR5_==.J'M@NPT.O7V00F5'&VD"*?'Z841^F.GNB(>_.O/*2)?W\*(,#''SZC:Z>,1<_Q5DC@VC]NF0-! MR5^V3QWX7;R_.-9FP^B<_%"_/ZT;IE'7&VYC!7F92RM23N MZ^R5Y!`C/8".''"8NZO(K0OK/8JAT8WO38!PH"L$TB2-,)!>$/CV(.3[G'WO MWG.1`[[G0.>C:W@\F)48$C6[1B-#=1GT'6;$!6.K>AW"/]!65#FBJ=6 MJV^JWUO3?50,*F@-6MWNIKIQ'OPI:#M:K=H;95!14]-I=(QC91`\X81XSOO- M\_&+549N#]9'[[21-1OQ9AN2CX4M!6U.HZEO&H&<,E>*;B49+6-32W/*;"FZ M<=7IZIMZ\-=@RS?J?R;,-I_&>!Z4C+>^B\FHO_NC5NW4-QEKAHY]#Z*0@O-! MZ!M-V*L.HI`^PB#JU7KC:`=12'M@$'JU]JKB=&4[84"M/6B%ON$PTI3L?R![ MU(S7'<@&VK&I8!UD1HIHR+Y$"P]O10O42AJXI\'#$,+>,I>Y>@VBAQ5>K M76.[`1=VS.6.K*A?@Y$UFH<>V9Z"#QA;9TLQ+J.5MQ^U=X:M(ZS; M;'6WH@N30ND5%?_>NCW3]$(W8(_4I+;(C"XS>\JHSQ.YMO^]4KR.K>W.XO9C M&13[8`U2N[??R*QD5E_4C5:KLY[T?$)>8P3K6'^A=QJ+@5Y9(^!7>L2G^I=D MBLGU][1,XWK1[M37S<`R,EZ!_'7\-]J=A3WFDJA_A-#2MTWP>I>$CL(0%APX=[OD_<$17)[64)4`/= M`;P&8RVD*2>V]RN'^W>Y]:"Z";.:+^S38QY>B.?KAW+ M^JQ;H]OJS)._NKN2B5MUYM6H+R0C;4:;6.D+#RICQ9+]H%[7Z_/[%/F]ED=; MT1V4MMZ8U\-]DU;4E]7K\Z'G*S%M?60VOU%:C+!G$#_/G^U>6=.N+RQVTFWO MU.^J-9;1G%^^+._VC@;`%?8PO/2I90 M4DUOW^>J8W"]T]3K&W?9M=Y<1DMM? MR=2MRO1L&`U#+X>XR]#WJ;O*\A00E#J$#L8R>F0/.U.P:@<`ONYLVW]4KO9/ MZE@WGO]$5JZ0"W`#A+B]C)BD#),Z'\* M!]F7\PQO;=[P;C#LTV?89FZJV53V[&S+<-A'/ MX\K-YB7]-Y1^HS[>/DE&:4/2V"0$/@*6)D_A.C/SGF1:/NN;F)92@]AJ->,+ ML4_-PJI9@(7MNEFH-\N?!1A+/QI+!"*PR>KN#PGA%0,6I."\!(R#`"I##`7Y M60"/9="U7A]X9AW40ZN:`GN(_[I[N/]RT;]^_*I=77_NGP*DQ?D@T2"@"\CT ME+@S;4R81C232[\VE.*O?4#HEN1&@,O?A'IHD7XD/UW]]E%[&=OF6)OZ]-GV M0N;,H&],#::6%KQX&BJXYGC$91QGQA3Q,#PU];UGVZ("LX5H/M=WZO-G$3XF MG&J!I[T'CU6M:<`5!W0G5Y9P/-FWP:9Y+Q(&CS:; MJ4<='H8@(9([F3.$6=W?F/;5&X@6 M$())^^(3F#MOX-@C<>JO?6"4:O=>0+7.1P5<7#S`)GJ-0G8E)ICD+\I ML2V.:.0E^R-IX0AU]1L&1"&,=,\Q$D MC_XG)`XH1@6_6RIEWA2EJ:)1&\_?M`_VQX1^^1XX+`NDE>_,#8C[4WL8#BG" MP#]B-Q_N;C\_/'[4IDZ(>JN1Z=2QS0@&#:9&PWUV'.*`!B^4NEH=P2!18QO\ M#P][S73+,=7$(-:W.O2]B:9'3?)+ZP425=((PK1%W.`C&H-\"XW-C%='6%K1 MY=Q3OU)/X4\>:`F,Y:?&!\^MPH=9SC,3D)6Q>.BWQ8'B4U,?$>\XF1\([DD- M0<8XIAV?LJPU_2@QMA:8\<)?1:'@;\>8=-@&CR5P%%X(E@@D:!!0"\O*BW2( M',/WKC_?]J]ZA4A4INBPZ''+C4;6]0TH\?=C-X12;&$0#*Z`I1H$#C6M??#\ M2B2P)K:%,'C+&<6=_T7L_>-PIU*@YQKOD/>,INBCE@ZB)B&R&F..*9DAN"6E M\V_7F_QMT8S$QB,P:7P91D!\@$Y<QRXY MXXY!ZX6;KNN[C'L0YMEZ_@9*)A^FH]G@^GMCM>TZ#>;K`Z%R:- MZS"(YV>(O$.+<&-F6S::7?[Z5T.+\*@JJ?@HL*JH`U_)++U8U/7*_\_>D_8V M;BSY.0OL?R`\;X($L#V\#QOS`(^/B7=]S-J>`+M?@K;4DOB&(O5XV./\^NV# MMT21DIH4)3>"))))=5=55]==W06)@C96-,4;+//VB-TRF_D>$BAH\R%CX!_& M<>Z,_B0D0>P9M%'_&[Z%<#`I3DUG&2&^0`C,`$EJ#N(YT?A+8,Z%9015_HA% MA.=CF1#@ZBJ:R$W]@D542^CDIS'FU!O+,T.C`=:/I(7%X M$D^:NLOX__\5.46**NM*B-W902T=>;LP2ET,9-_&J]^@&:T^&ZWIFERL/2L/ MO^'D2S+.FJYKX@9S)^7`<8L.+3O$S%W5"O<'+7E@>7":5NJ&8`5CSS"?/R2/ MUHU@:>.YZ2%YR5N+@:C.%.\K$6M;4ZSW@7FK[-,5$?'A_?1V!G(YPUEXCAPZ M?"X^.:)\G3-=T_/-O[RE'_](#N$G!_87R'(9A,3\N!^E;R\X(;V4?\W-<4OO M$25Y4NQO0'?P5I@@?3?W)NZ)0J8'0K.*_K*L%JL`:RC5-[*F[UR[LR@,R`O2 M.Z/B_$[=$]Y42TT+NT75GK#F1D2\`R&:Z7Z4-4[SHHOP5#H6[A^^GMU=_]_9 MT_7]G7!V=R%\^?YX?7?Y^"C!B'S*`-_D@]QC!R(7?8IV MQ"#F7>QM(T8/4M<=!R"Q:^][T7A"\\M)-V46ER#AV+2>XC7V\XEC_QJ?*+UH MLCC42'+3=YX?3H2S*?31X\/4I2?A10PWFN3Y&0*7IP?ZPT0>SM@'<=S'<4BE M9A8D3I?WY-TM64Z*Q]>!BN+']"9,TCLX__P4Z5CH./&EE9\/1/H]P$6`]'LZ M@)]^&A;'(61*WYLM>)CA)N9?_91&?.*K*>/1DPLX0V]V(,2?R;6>Q:$%7"2% M!Q3*M"Q2/85HA74[S;%$[HK-\B)6Z+W'MRG24N4E/8UC632,^,687]0%JUJD M3'']S"5T)P]S'U=<@@+5\^O1$F5;RD@DT=]<"=U\+'&-V#J6/MB2@T.!N-]! M,=P=RZA7I-@@2?*EVNG%PVDNK&#PC8J"[R&:8:66**70$UQ`[H9\%6*/1JR*18YV\FTTP0%:CC2?'R?P(WWF7W!*'Q\`_3&4E*5HD<#]Z M43AY33)KM_80?SXNI/M)IC_!JP*;/!8^#('MQ+G;&)Y8OQX*7Z,WX(+#HI*E MZ"'YZD`_!=I>0.OCN15>=#!,?"62Z1TBH1R$]B!SE3(5XWCN^`BA')*2A@SPO.>4 M`ZRHB$HJH>1\H7<]\A`I'`P&':9:T\35:LC5.Z*%H'BRL4_TV/*9\KH(8@C) M3;#D=1\&]+944-)/F#LOW3&F\"&I9D6JB2K)/Y'F0FM^2+W+5*V36AU1_X,NU:(ZG2J3H;@*%-D\4@M&M_'A?F65BN4"OP1&EYH86S6&5?+[9\]'HOIH@"^"GP7P)/D0 M:V^!=`@A2ZT:Q+G\\C2='FOU$0GOB^I$)?8AX(W.=#(AN;+R=Y#+)BKMC M4QQE_5A5=Y[]UB9O.PQ)!#SGQW5P5)1C2>3\R)(?:8J3R\?UY*-V;'!^9,J/ M3SY`9CZ8KJBR<_Y3$V.+Q*P:6%J+%Z/Q6BY\7K64N-]D['N1.\16IN>?"!_. MSR\OKZZZM,&*!CJK2H`D[-^:E.D'[=A)FWG^7&R*W)@G M%YMCG"?7XLE\!)GSY/IR3; M>QTSJ!>(LN"*ZX`D$+DUPLP:Z06B+%CCS(^>LRK80^$I\G_0>MIS8`^\X%`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`19,5M8S9:M!T@(S1$!E)D\W> M(].0YTP)F4-]Q\5HZABI1GNXO`#;H;_%+1:>^QAZ@Q_TCIO@"PCL`&>;1K19+A7)*5X3]!:\&P3I58O(6F'.FD4D[+-Y<\9CD>R M=)\DP[*L,N2+IV4(74.A=H3\`U7N'+JF*KU[R!I*'D6>8\9&H$68M^]'#^0D M-2R:'I/P>P;;]=W5)F13#OZIY@"KG+$(66J(QW"S='J0D#;,HN:A4#:KDTW+9"MUO:59^ON@$.F&2_IO*R]@D^7W08[OCW6D M4$75J!"8^TD+]+12DAAF-VS1U$461<7<'D"M"6Q3*?G+O41KB_+:$.4=6/?. MQ+4B6]V(J&V3HUY<(_/6ZL:&ZPDMEHEK6>O4[*LU]W7TY^T!U*)];8H[@-4%3TCHUM#J2 MV+JL=6HP[9S`UD2]&]-AZP1J)*]E6=GBONR5O)8-K:-@8D]HL4Q>J\:J;(&; M3,Y(IP+.)T:^CWLPZFX=E^2_%*DB!F*(Y"N MF^#,MQ&+C1'`Z+_?T-^]X3;Q6Q_:WE)CQ3J`;P!S8Z5!NKN$+-%0V["4BIX? MW`8A>D.#.@.X0^QO;/`DCFT5(ZV=O$=K:XANE M%(]?%]K[T05\#J^#(,*WLYY[0".2"22NALW'3A3L,VEEUPU2L*A`7 MS-P2E+6K+9N&PA+,6]OU?&35MM%EHI1:T1I,WR:\=;0U+*6225>#]\D[P^=0 M^/";[PTCLL]K<>H;";[/`OP"0AB?\H/019X97L-OT'6#-^<% MN#9`?XUOM*[,?I,0]:X2(@AG_E]_/BTH/#):0`LI\/#MFP/<$-$5.\FSZ7+[ M=>6&0TTR%HN2>C`Z![^M_((B:7M'@RTF(RRQ0M^_"?XK$HY;$%'%J;1R3G;Y=&Q!JR1<*Y#A2//&!*N!A\[!#I9E%&($RGT4!B%2 MFD@`MDN;W$2,H=J`2@V!(OM3^!G8)Z[M?#X(_0BNF"<6/C$8OUI<+QA^!NQA MG%%#ZB170,6B&D!6#5$K;\^Z&=F#N#1=HFIS`F15"&W/IR46R,UQ0!#8(WM` M`^S#?T7Q6<\;QW)I\C,U,VZ\>(J\D?(5NLA*<1#09\.I[=KD\&K[)4F95IDL MCP/H`@1_9JJ4$:GNB"L3KP$MRN3S!A`.`WR4R85-SARDQQ`GAA1L%`BW_I*L M7(!"C@,40VC_=0/'P+ETT;AO&89G3XA*3[<>*7=XN[DY+Q&G1.XOP,'YQ\<) MA"$A[]"FWMB%'0P<+T`0!U_>T)>9%P#GJ^]%LP`-X4189N!WZ'%O<)B=]I8W M#!]@"&PG,:P3S"NI;BY0>[54K";[#7[C?G2.Y(S-@%-O/'>,_-4I3MP^O MO45HZRL5RDF<3:#%&O-^1K;:Y4_H#^R@8$MM3-IYQ5$S>7NPUI]XLBFH(SMD M?.R)(EMBJ3LOFX?Y_*V>V35_6F9_,%E>=;S@W$(VH#<]FE,TC%)/%%/2U0;= M%;V<;6EO^E9Y<.Y5,9?7TBT-O7_WE(-7[2;JH M6^7ZMZ6S,85LF>)0+,EH`;`[N*%CJ:EZN19KR5RM0-56#DPWRFG,OF*VS=9^ MO&^-]T.F9OVBEC)OZ.TM3>H348:B63LB)+I)+^FBN15Z+.OUUY`W;6X5J+8$ MN:1(VIQ-UDO,MBK(Q?)5./M,I69R7-?E[>[3?HEQC<0)WA4YEDKQC#@1>Y3,..I#VJ"&#EM*T`6!]IE.9"3PTA?("SM.L#1[J? MXD@WR]LD#%E2BL9MU:QEV(+0MP=([N);:!`GX/]A;G@!#F&S\!SX_AMB4)I* MW,0%(\71)1A7FKU=T)?U&5KE8\&V!;FV7.KL9?*J8[YAU+^].M15_=.$6BX< M7@+?12@%2,I$4WQ1+QQ>P)$]L#<#5),LO=0&4C\CZYC1ECGU*.&P;139=<;)1SCCV"='*KC=%F=_>3.XO,TVSJO?](;P3/N"$U(9,"F,IH)3YGHQ\P%US0V@,@=:ET1>'V M`,];;8_.+662C5C M3[;C$ONX"[DFBXJR4Y9`^Y1L)MPT4^G64VF-;E6.#F/CJW,GJ36"%653%[M4 MU=6YX/B[(UZ#^]FT=\]A#32G9EFL(P`-"XL-2YD+,K/MGV3V-IVI"(RCZ5MG1:-+$')4%76 MNGG;F#?P5A61N;+M"=9+=KQF&-T*ISX[Z>N*"L5D'1;:81HV$S&:M5.R=3-%/=D]W:31RM>P>IAU&.]>^>U=5N M`Q`])%X#!:JQ#FWO*I&6^@)22PF`VIM85<-46DKI5U3OL:A)D[NA%_.:-+3. M+8655P:\>1Q-DD1):REEL#+8]2:HHK94B+5[IP-KHMSMWNY+($V33.:1]FUC MWD#72DB\=+M1^Q!)DRS=[%8=]-E+7_MJ[MWBG!Z$TI#IQ-FNN732=AM+0SM4XY1<1[B)^Z(0N@FF;<%+ZF&L8^VJ-%6Q6,=N=XYX6ZQ*VSDB M+5>=;:6%Z\)IIJ4P+ZY<.#7+:)ID,=]ZZ\*\6E6:I+55-])B-`U7^+24=&$> M3$,45ECW1BR'M;_!-%DR]X\6S?*JNLX\:KUMS!NH6K5\3^/>8+TL?"YUK`OZ M[*6OG1HVN[4!>DW#9B)&U3G;-9=-LM&)?;M+U%HFT_:$M;8<2=/9>^@[3LB& M56GXV)^]H%LW@;3N':0>1CG6KTJ3VZJ!W!WB;;$J;>>(M-07:-3.3^]MHE>9 M0G^`9@%C](?[5Q?ZP<2>G8T0*S_YP`W``*.?HZ9<04R-$E/"Q-3BHQ"EZM,R MOT!_&@W!A3VV0^"<>],I0H5>2E?!`1J^DE65,]161:)$@L$$#B,\P@7T[1>` MKZ^Z=H/0CPC1OP+;Q=>-7+OINMR/KFP7N`,;.&B^D>=/\0&>3X@27QP$PRHU M??_\U0E/A_;+K^/P5(@_"T'XYL#/!U/@CVWWR(&C\$23^@?#O"O M_O,_?OD%_W!6_!EY`4-Q9+M#!/.)HJ,_C!!D1R,PM9VWDR=[BG;''7P5'CR$ M`'T6V'_#$T%"/TX')Z/CA\D$0SN8.>#M1+!=S(&Y'THI5$\3*(3@V8'",W2\ M5V'FPP!34T!VH@!'(S@(!6]$ON%[:8#[]BN8SDX__$14L4[QIDV60A@EM$;S MI:LB(%;$/QZD>Q,.T7-\L*H0).L4"&AMR&OAQ(=00`I?S4T4\%'!A*OD%7B?A-QO/YT4!^DOP^PDFR2>,=WX%/LWJ MU@.3ZV@"R0*ZF&V<[E8DPZX!\#DN?+6'X02-(WZDPZ"G=&$'T'%F8(A/H?U\ M(!Z0[\$,#)+O\>^?/1\MYM'`((P]*8'17AEC0P:3QYZLQ-I%@JNAQ;_PX6%_Q&2AV3&RJ=T=/*< M,)KP@9Y%F;Y`M^/\[V/2E'!IQAN2J!_KQL>FS&'F>:,I>[S2J9X]9Y@;R\PV M,-HQ&<_:'?6*3)9;8M2JA-<93T?1`!:Y.W#:&0&4C96MEN M]AD?LIU]NT**O]7M]P<<(M*-LQD?H$,-1V3TS0LKOFLHCD@#(SWM$@N>[Z!N M=]#9%%]:D:V9-\H^8T\C]\1O=>_\AGV:W_-;9^"-7?1*NQHSCR&)&;U/9.UW)3EIBR7 MNGLF=3N8<(\$N40$VZX*<$1>:[I$XCH:H)1"PBFQUDP1 M9F3<)).R'?=O)[F5L0AAP9^D[@8&H?"`E+#P^`IFG%LWU"W*/G-KE[SY#_:L M**G'QCXO3TZ8$``Z7:^L'$6=3_-R*<)U7M]T'OPY0P[;O&O#>95K/*[Q=F-Y M]EGCT3A%/]A[^_&*/0P-J+W.4O1$P<3&T![9'>W[VGNT_+%]P55YHLJYUGQG M.V#_!&#;CM<>+3X7?US\;2FYV;EK0+_B3JF4''&?7_*4=XCQ#K$=[A"[0R_R M!C'>(-;'LA)>B\T;Q,:\06S-7<.K:K>W@_I<5Z>R9U.YAPCP0Y;Q#;E_+C7:@"XPUBO%B^_S4;O$&, ME6[AY?*]+S+IY?(TI"VASUR%RP&:YM4'L\\']/]IKC57E3!R/!">8+2R3&Q< M@*$?RIJ6;06^V;EJZH]JXGU<7#%QQ<05TX:*B;=;\78K7G"^?]T&O-V*]QOP M?@/>;O5N!2!OM^+BCXL_WFY5<@WHUP[;K0J0UZWEZOU5LP0-.BR:\_.!1(81 MJA<^C[:0_Y*[*X_U;7=5E^E=`=O_$S@1/`L"&`9G[O#&!L^V8X*H`?"@$T121!U>#X_%&GN-X MKP&_)6_'>B"USDV>-NK,*M:L;T9A+\H@S9HR2%7E99",V7.AI,V^M%0S\ZZJ MOI8)MQUGY:TR;C#P[1EIG>""==/ZY5.!28>TM\OC_['UM M;]NXUNWW`YS_(.3.'#0`D^K]I3,]P$R;&0QPIWV0I$\_%K+,QKZ5)8TD-Y/Y M]9>2[$A.DR:128NB%OJA9FQ+%M=:F^3>W)OL9RP_+Z.PFWLB/B?B_:R@^=?: M`=7)"LO6!S8()@P"#`(,0EDPK&]_OG&9IL2R_$PK8U]:/?.,8=HDJ$+0UY-TEBD@RK`BL"*S(>/>: M6ZZ%%"A('5*'U)^YXI6#@\.O?%5;9/[)J'RCK>HHAO:9P5N(6U^.@RE[#`J* MQIG'9?H/"<*0!MXDIFWSG,U!GI"G6O*$PP:Z'R'EH'L,RR//S.D?652W;M[] M$>M6BG7(6@N;W(_[DSO@M)?*D\=^KS9/UU7*QU--DQP=/:J10Q:`%!E5('A) M^`3!0_"(U$'ND+L<``T[OKNZAWB=/)4>D%3^+-8AJ7QJN8](*C]\DM/]YP!W ML\I%%(B<5,H#LLJ158YTLI]%[XJK;& M1%(YQT%!T3#SN$S_=++7;%[[$"%/R%-%><)A`]V/D'+0/89E))4CJ1Q)Y9)[ M\I!T)KDO3Z&D,\Z+/3EX",%#\/("I(3['G*7A$V0.^3^G?'=\W3$Z^1)*M_Y MY8_)Y_E9Y-GV,9K+LGN^/C+JRWPG_-9];*W;^/GENCBY"L/LU46TH/-U3-]_ M_HTM&O^W6C,V)]3_DLS_;WL^_9^;U>7[Y'Q[^OROU>'SEU4/7S)N_QJGT9?_ M_OM?FO;SMY>^H%7L1+6*/PAKG]//K MH[?KO/[8)X/]J[R:GR[33\$G2Z\;1__=".;V`3OBN9L$OVDW,M_A\D-LZ*[W M+;?O:K^/*;U<4.US&L?I->LMK:9QH65Y^G4YI^Q[M[W'/I1K-(P66IK1JJ?8 MIXNF/[47RT0K%^FZ")-Y M(VD^GHXZ"YSY^5O:J;!0+CI9>)>+G';3=-EW%YTLX3,V#G22B)]0K\$2H(!) M)1/!3,),/B49\EXKB63(??CYX?3BM(7LXS*G;`;Z;8HR+ZXB9Q@R&:-,_JA^ M0%(OQ>[)'>:9P%_=Z8JM\-@<1.1M+IG.LT6:W$#JD#JDWA5@$8>)6/%AF(7V MH+V'9J/"E<<^#.5!>5!>1QCG-$J3:,D^?R5V>EO2%<8]J`_JZZKB39K4/7#O ML@_.9&[.9(7WD-\)J9[3KS01M"UZPE,U81WXB23- M,]/].L_LB8\A)G_3)%[@@I_@Y\/\1'DJ*``*@`*@`"@`"H`"H``H``J8G@+& MO4Y5N$KE83<9R>J)V\F*.H!+;NQ.W=Y!!#D]^:,9(L$;F2I:>42W.?@_`:I, MH!H.\>T`J,+$P\2#-^#->'DSY"ABFL0/G/W7G&-'E>-J5+4UYS:#%QL_^@E_ MV$FB"7ADAH>XM@Z$OH\0YE7@P)`J=8AGP(Q"I!"IQ"(U#>+H-H)G")X]J/"S MO];+K"[@'B9S+2T7-$?DC+N;8[B*VG)Z6`P=3GJPB=L>$=\'F\`F7K:).,%> MK-"^7_S1_@,N/MR&2 MTN]F$]U"E%TY4!W'`*AJ@6H"5/5`]0UDERL&J>5AGY%BD!HFL2Q$)V6(3LJZ MF'J7)B=16"S8=]+HR\DL+&C%_E5&DT+P@FH##`P?``7``'``'P`%P M8,AU0&`BVJLN/`AX*1[P>I_1G*W%DBOV(;8TH]J+."V*8X2Z)N+%\8D9<-C* M!51E0M4CN@F'JV*@6DRI'.K&`%290'UA[I?A\QBFHG'D,04Y[C774`1_GU@F MAY)M8,!8&6#J1+?V&JR5C*,US7`6T[L=MGWWL9^>I/DJC/OQN+RR4#\@MOX^AN6YN-4OC>>=:_B.8R>9Y[-BG+:0?=P< M8R;.@ZU,\AYD(FM?BY#)SFE_WZACEFLOMZ]YW.DJ#TLV!Q%YFTNF\VR1)C>0 M.J0.J7<%6,1A(E9\&&:A/6COH=FH<.55RW\H#\J#\EIAG-,H3:(E^_R5V.EM M25<8]Z`^J*^KBC=I4O?`OFAVN&Q59!(N]Z$4%$& MZ6F:L`[\1#R`_D$`MOZI-W!5`5\G3C"YLV/`S^?P$X5IH``H``J``J``*``* M@`*@`"A@>@H8]SH5!?`X;3*2U1.WDQ5U`)?25>VQ M+*%UFX#J`&>$.<2W4&,/-AXV'KP!;T;,FR%'$=F$S\[^6B^S%;NY%B9S+2T7-$?LC+N?8[B2VG*Z6"P#9U:! M3=PFH\1P#/`)?.+E@B"VB^/7P"=N]LF#=5*+35C8@[(CH^R@?@ABZ'M-^!%0 MY110M21U0URF91AK>5,P$%%5+G;GD'4^!DT2,(CE(J8+EY,TQB&`%050Q5B]@>AZDI4)4)58]X M.H49U5[$:5$<(^0U#4^.K1/;@\M5,52-@#@! M0EZ*H>H1TP2HBH'ZPO.%8BH:1QYSD.->DPU%\#=\8OM"(V2@@-P4L'VBF\CX MN[M^:YKA+*9W.VS[[F,_/4GS51CWXW%O;U;[J%LVWSY,UFUUN+'EJ/[C+3?J MY]8B&L<;[%X?Z4=UFQ$^VK8WW]_LO66@QV%6T%?;%S\U%V9/UM"_Z:9FA^\N M%?98*A^06WX?0W/=W&J6QO/.M?Q',)/-_]BQ.1&M#G$98J)E>(^866_PE.Y! M^UH$/W]+\Q:QS=-(V*A>\ M``7P\Q\.H0".'D68RO>=SI*@]+-@<1>9M+IO-LD28WD#JD#JEW!5C$82)6?!AF MH3UH[Z'9J'#EL0]#>5`>E-<1QCF-TB1:LL]?B9W>EG2%<0_J@_JZJGB3)G4/ MW+OL@S,9VU.?'5(];XJJATF6P6)M.M-"!75D)ZF">O`3\0#Z!\$8.N? M>@.7%K!M8NF3J_@/?CZ'GZA/`P5``5``%``%0`%0`!0`!4`!TU/`N->IJ('' M:9.1K)ZXG:RH`[CDQN[4[1U$D-.3/YHA$KR1J6R/2ZP`AX4I!JKA$,/A4-(8 MJ,+$@S?@#7@SQ5'$-(CCX'PL[/YXV"IL,WBQ\:.?\(>=)'*HF`YX!,[A39O# MRDQMA#"O`@>&=9\8E@Z`(%)P0%Z15@L9RT#P#,&S!Q5^]M=ZF:W8S;4PF6MI MN:`Y(F?!KLM]$*P51.P51+4A_$95J&L98WM0(14>5B=PY9XF/@_`#/ MFEP>.\CQ5/^WOY__&^10EAR&2UQSKUU>((>RY'")P2,[`-P81YU[N6J'@3O* MVA4_(%;`X;#P<9!#ZHB\K#7SW](LI]&RSF>M@_+A*LW+Y3_-'^"OXVV(I'2: M6<3=+P,!H,H'JLUL/T!5#%23.`$'_Q-`E0E4@RW_L*=$,5#W#$,!4OD@-4SB MVWMEBH>]WF/(8PIRW&NN MH0C^+C%YU,4#`\;*`-/?MW:VDK&TIAG.8GJWP[;O/O;3DS1?A7$_'O?V9;6/ MNF7S[<-DW5:'&UN.ZC_>&C;7OS_T*RDJQGM7,S22=NH_.\"!,#/>3B$`#BZ$V$E)V,E!\G#F;B5_'!Z<=I" M]G%S$IDX#[8R^7>0B:Q]+4(F.P?V?:..6:Z]W+[F<:>K/"S9'$3D;2Z9SK-% MFMQ`ZI`ZI-X58!&'B5CQ89B%]J"]AV:CPI57+?^A/"@/RFN%<4ZC-(F6[/-7 M8J>W)5UAW(/ZH+ZN*MZD2=T#]R[[X$S&WM1G1U3/F]*DXBSMR$/F`GX@'T#P*P]4^]H>L*&#HQ'`ZE&D%0=0F*ZC10`!0`!4`!4``4 M``5``5``%#`]!8Q\H8H2>)RV&800Y??FC&2/!&ZGJ M]NA$=VR@JA:JMD=T#T<0P<;#QH,WX,V(>3/D*.)ZQ-COC'ML`%%\`\@VB1=[ M/_H)?]!)(H\S@@&/,'BJ`W\YG#FI-D*85X$#@WKF`V+[>]4]G@)"4"DX,.A* MAHVE]EY>3H3/%`^?G?VU7F8K=G,M3.9:6BYHCM@9=S_'<$6U)76QN/#2@TW< M#LQ"S`=LXN>`()XO]$P?\&E2?#("[#-0BTU8UH.R(Z/LH)-]8AH.Y\D M"*=:DCHA+M,RC+6\*1B(F"H7NW/(.A_#Y@@8Q.2Q``0[%&2'ZQ#==$$.D.,^ MOY%!?(?#2>L@AX+D,`+B\O`#@1SC*'8DB,HK7CO_ M+:27`%290+4\XCF(,^WFK?#MN\^]M.3-%^%<3\>]_9GM8^Z9?/MPV3=5H<; M6X[J/]YRHWYN+:)QO,'N]9%^5+<9X:-M>_/]S?Y;!GH<9@5]M7WQ4W-A]F0- M_9MN:G;Y[E*AUV+9/74.ZQWP^QB:Z^96LS2>=Z[E/X*9;![(CLV):'4(RQ!3 M+<-[Q,QZ>DV)`9.R!^UK$?R\H%=5P;`6M5^*@I:%`++R<_8-058N[C]8M(E9 MM$&29R9NT3Z<7IRVD'W+RH"J,* MJ@HK@1H0R]#!5#!5>J:Z1/>Y#?]@*I@J+&.:>)8!HH*HLA/5=&SB6IQLZN2J ML8G:02.K!^GW-)U?+^,8Y=>XN[NE+/QAF<2P?9[^%N`K54R!AU'XSR&*Y((W M,MD%A]@6-[,`>&6#UR-VP'7U`GAA]<&;L9L%VR&ZQRFD@F"/-=;.@\(OC.->Q!T5S(%'`MV:KJMZ3&!Y-K'-">\I&!-6 M;+)D.1,.`8T)*RO026!S&^L`EM!C!IR`>$:`B)54$:O1Y'Q?T*R\F_2MUTG? M-I*^)^+_0N8U0$>Z%D`'Z``=H`-T@`[0$:6:8I0**;'8P+U/3PR_@=MS2&!Q MR]Y"2BR8*BXE5B>^AT1#4%5ZJIHN<4TD&H*I8V`JQ^$?3`53A0W_%C$<%TP% M4V5GJNE8Q-$YY;=@AP%R8O>TVK^1U.W/[<;A>V[[5/MO/)YM=W,+O#OS+- MCK3-ZYK7NU?6S,INL`MJ=WMRM\]O?]`S4/NI@__1+K^Z$'8^]0QY-U?4[LZ5 M6\9FNX2=/]3OAOV=CJ_?[+Q\)@@[_=Y%1%#?]E'''TD4K^?L7C_8Q+-]+4SF MV@\>LW6!J:6?MRMI]E\:+:MSXK7K9;G0TG5>,29B%UPF:_;7-*-Y6"[3I/IL M]<6'#_ZN;_&=''&BY;3(:%0NO]+XYO2!M="=WG[9*FOBUND12[3]_N:`/C8$ MQV%6T%?;%QNZLR=KQMRFFYIC`+]EVV&\3ON,?#Z_"@?^(YC)YF'J3($BFI0T M'V)J9WB/S.T\O8G0[QY&>>]IDD\^B_+^HRP?.HQRT+X6P<\W8;8LP[A%[>SO MC";S9;EFEE4`9?E-9X>@['#>=-BUT9"D=TB-ZQF[$[=K'TXO3EO(/BYS&M-" MA$$S[QN2#GD^,F0"F?26R1_5#TCJU1B;!-Q5QRS77FY?\[C355XM"X7>YI+I M/%NDR8VP80E2A]1'*?4B#A.QXA,ZS$)[T-Y8M5?/1H4KCWT8RH/RH+R.,,YI ME";1DGW^2NSTMJ0KC'M0']2WXUU.D[H'[EWVP9G,S9D\X0KB[]@GM3_9&XM" M.V,_ZZ%XL3C;//(,`3D,Y;/&)$F3EE#(''Q3BV^P;^`;^`:^@6_@&_@&OH%O M8^(;,M@Y9;!+XPRYX_NHM\@+67&@ZE@JL"*&\1P0%0057JB.@XQ M/!0;P?:9)WJ,;)3&YV'\Y'A6NYW?W!ZT!^W'07O;(&[`*52M MY+:QIGG`:I\[O_PQ"C=X/J>\YVUAT^:R[)ZOCXSZ,M]Q[W4?6^LV?GZY+DZN MPC![=1$MZ'P=T_>?+^C5BB;E.KINZL)\, M]J_R5'ZZ3#\%GRR];AS]=R.'VU_?D<;=TJ.;=K,A=(>H#T'==T:[#NBKNYS2.T^M">[%,M'*1KHLPF1?'KYY"#+XTWOOIGL7J\1>M MM0\=04%Q1]F+UEKW;7]'T=H]^%GE?+>0--G.0+*HT[<^E59'\*8B4I#$,5(16%C3,>8CC%];_.%0FF'Y^)0O?T?(ZS;^0]IY_)-%#9RAA9C$*:1J867!W-J3)R1OVYSR- MQ5<1K1Z6%B4JB8Y:A1@@N:NP#I)T?'QUM`1S.5!5/JIB+H=1!',Y*:6)N1Q4 MB`%R:!4V.,/GD[*;,,EHLTH^\4)>[+JR/*,YLMTCDS:?=5D MJ5P8\I`L%;CA649XAMQK;5DV,6P7(H?(QR]R-K\U985G2)&[.M$#&QJ'QL>O M<0SD#PSD@4U,6X?((7*(7%61N[9%+`LBA\@5$#EFZP_40'2)8SK0.#0^?HUC M(']@(`\"XCM[B5S)R@8'W-4O?:RF+C=P,@L+6H5X5QE-BKJB``[)Z1?V'G1U M3FPC`$#?WQTTZ/EE/!1;=]'_^;M*WY([-4=&#D"D`.A1@"S?`$"PHN"`PB*= MW+D-4]N$]H8M9G*Z8.N9Y5?*/L@6-_25,*6/?87<>Y?O-,\)GBKHQ@$.;P#H MDH$.I0-T@#X%T&'>)PCZI)6.^!:G^)8IZ3+P'2TWBS]$M,;GYC$#B_@.W.6/ MC-B#>N(<8EHS]-V-^;6C1:'I94 M*Z[#3'N1T++SF<]:&?Y]C((&W#T1PQW[(>DV7A+XV*G?WYTI(Y^P?P:4A0F$ M"9PPGV`"05F,VJ"L`I2%E1TM91$`5CS!L3DK^#ZG#P+"7.S<(?.L!XW1Z#KQ M;40Z#UI]?3SL0!@0YNL26%X9!`M_<'R+1L/"@\'$O@J)Z(20-24]4 MTC+`:1'3X+!T!IRPT+#0BDC:4%32'!=@TXG#O5T69;Z MA'&=ZW?X)=KT_(#P'X,W_:?KF+[_?%'M M&5VD,=-`T<1X+JONNV2$_35F;_WWW__2M)^__=['NKOH_)>O-`^OZ+OU:D9S M=KE%F--B]Q):E6G)&N?T\^NCM^L\K&K`?C+8ORJL_>DR_11\LO2Z;&>$^H^W=K(V`5I$XWACQEX? MZ4=UN\C":-O>?'\S`C#[%X=905]M7_S47%CSK-I4=NGGF3M6L4\$V;+J&>P! MS:S?9Y!O^/AJQBQ$YUK^(YCQ&?VM4YM_T8*(5KG>0^Q7L1[9KV(&IY:ITG:I MYW6U"'I>+G)*6\C^9)]8%&W[C`T%\V^(.\NUE[OC;O\?<$&SDE9#8WM32R?0 M"K0BG5;>L0].0BILT>^.5RIW5CR8>V#NT=>':IX&[K#>%>6,*%O$6L+8R!>I M>]^7$B@(891"L&&6P49IV`BS#"%`"(+,,I94FR75=!*"?JTC%]MPQ7_/;.YG=XDT>[P&:_5YNGZVK[_;A3K*HE MMNW`8P-"\2*42W2+D\\&A`*AZHB7'X!0(!1'"Z5SG;./G5!W9O--$^G%3T\O M?D::\)U,8WJU8JN1M%"Z?SM7NW(RC%/M MXNSW/\_>76KG9__S_OSRCW>_/P7Y,>?^RI?:_29=96%RHRWJA.QUKN4U;^LL MY*)A+7_]R6?P]^ M*K1P72[2?%DRHG^EVM5ZV7R#+9#;J[%/S=CRN+UK^ED+$ZW>2I?ERX*>:I>+ MM*#-S[S]%),C>\CC%H8/IQ>G;>OC,JI4^Y`LJ]9%65V-:,ON;_BC M^M%)+>LPUJK655Y_]Y+]F&R1)C=\?\_OZYLP":L?L?,KBKCZ]G>Z0%N%_Z_" MY>:>.Y/VUM]\[)M?0+1?:;Y:S\/Z2\U]PKA(.S>[]Z'N[]D=!/]W64E%:QZ& M/<0O^7K6W.9RG7\IZE=OPF64-B^77[_/!28&P5RH>,JXG577KOP\7:JRGDS8 M:#*_E5-\H\UH%*X9KVG(?E/Z^3/-"R:+ZG]:Z9GF7Y<1;1ZN:M#NN\R.?&&_ MYY27[8$E[6U)FW(6%>"U]2RT+$^_+N>5E?Q<]613.H-9T@;GN_1`&0QA93#8 ME;^I@[$[>^_CZS:]0Q]!,KI45'Z'M$B1VF]XC^3V>X.?VZ)KG@VU M;>-)%3)NFP_DZ-\V!.59&:-6`(^0(,SDU,QDO].MD!VW#S_O7_0*XRH21R&3 M,),F=0_35@'?B(>0(L[7OF)CR$D MY=@RB1>XX"?X^3`_!QV@>71-F\5IR[WQ&0J``J``*``*@`*@`"@`"H`"Y%'` MN->I_+8=CN-UJ->)=R%1ST2.ZS<'_ M"5!E`K6N'1T`59AXF'CP!KP9+V^&'$5,D_B!L_^:<^RHJ#N$S+,-Z>7(B( M*A>[<\@2'X.N_2RB.Q[(`7+<-_0PSB6XARJXU%G!;%,4)=$_'B^,0, M.&SE`JHRH>H1W83#53%0+:94#G5C`*I,H+XP]\OP>0Q3T3CRF((<]YIK*(*_ M3RR30\DV,&"L##!UHEM[#=9*QM&:9CB+Z=T.V[[[V$]/TGP5QOUXW-N/U3[J MELVW#Y-U6QUN;#FJ_WC+C?JYM8C&\0:[UT?Z4=UFA(^V[AQF!7T MU?;%3\V%V9,U]&^ZJ=G6NTN%/1;*!^26W\?07#>WFJ7QO',M_Q',9/,\=FQ. M1*LS6X:89QG>(V;6&SR->]"^%L'/W]*\1:Q2'TXO3EO( M/FZ.,1/GP58F>0\RD;6O1;9( MDQM('5*'U+L"+.(P$2L^#+/0'K3WT&Q4N/*JY3^4!^5!>:TPSFF4)M&2??Y* M[/2VI"N,>U`?U-=5Q9LTJ7O@WF4?G,G8F_KLB.IY4]=4G*4=>YV*`GB<-AG)ZHG;R8HZ@$MN[$[=WD$$.3WYHQDBP1O) MJO98EM"Z34!U@#/"'.);J+$'&P\;#]Z`-R/FS9"CB.L2P]UK%,'V#\6W?VQ3 M>+'SHY_PAYTD3F[CPZC@<8G-HZ*]V@AA7@4.#*E2PR%!P*'RN=H(0:7@P*`K M&9,$-H!$,?URG3"9V=_K9?9BMU<"Y.YEI8+FB-VQMW/,5Q);3E=+):! M,ZO`)FZ346(X!O@$/O%R01#;Q?%KX!,W^^3!.JG%)BSL0=F14790/P0Q]+TF M_`BH<@JH6I*Z(2[3,HRUO"D8B*@J%[MSR#H?@R8)&,1R$=,%.>X=>CP2>#;( M`7+<0PY')Y;.815(V#.WTM`AQYX``X``Z``^``.``.#+M>]P,. M>_\!D+0`(?"E>.#K?49SMAY+KMB'V/*,:B_BM"B.$?*:AB?'UHGMP>6J&*I& M0)P`(2_%4/6(:0)4Q4!]X?E",16-(X\YR'&OR88B^!L^L7VA$3)00&X*V#[1 M363\W5V_-,-=J^/]*.ZS0@?;=N;[V_VWC+0XS`KZ*OMBY^:"[,G:^C?=%.S MPW>7"GLLE0_(+;^/H;EN;C5+XWGG6OXCF,GF?^S8G(A6A[@,,=$RO$?,K#=X M2O>@?2V"G[^E>8M8N:!MXW*1TT[S3_;=1=&VSY(YG;?-"YJ5=#6CG:M9.FD; ME0M>@`+X^0^'4`!'CR+,Y&3,Y"#9.!,WDQ].+TY;R#YN#C83Y\16)I$/,I&U MKT7(9.?\OV_4,A/"@/RNL(XYQ&:1(MV>>OQ$YO2[K"N`?U07U=5;Q) MD[H'[EWVP9F,[:G/#JF>-T5.Q5G:D1XJO_;W\__#7(H2P[#):ZYURXOD$-9UIKY;VF6TVA9Y[/60?EPE>;E\I_F#_#7\39$ M4CK-+.+NEX$`4.4#U6:V'Z`J!JI)G("#_PF@R@2JP99_V%.B&*A[AJ$`J7R0 M&B;Q[;VRN1!`EU3BXT][S.:L_58W>IL,="^8#<\OL8FNOF5K,TGG>NY3^"F6S> MQX[-B6AU[,H0\RS#>\3,>H-G8@_:UR+X^5N:MXB5"]HVWK%+M*T_V5<71=L^ M2^9TWC8O:%;2U8QV+F;II&U4_G;E_SN--5'I9L#B+R-I=, MY]DB36X@=4@=4N\*L(C#1*SX,,Q">]#>0[-1XY=]<"9C;^JS(ZKG36E2<99VY"%S. MLT882A-"12FDIVG".O`3\0#Z!P'8^J?>T'4%#)T8#H=2C2"HN@1%=1HH``J``J`` M*``*@`*@`"@`"IB>`D:^4$4)/$[;C&3UQ>WD11W`*3=VMV[O,(*W2B.S9050M5VR.ZAR.(8.-AX\$;\&;$O!ER%'$]8NQWQCTV@"B^`62; MQ(N]'_V$/^@DD<<9P8!'&#S5@;\H>3P$AJ!0< M&'0EP\92>R\O)\)GBH?/SOY:+[,5N[D6)G,M+1J8/^#0I/AD!]AFHQ28LZT'9D5%VT,D^,0T.QUB/ MG4\2A%,M29T0EVD9QEK>%`Q$3)6+W3EDG8]A?B!0(YQE+N7JX08N*.L83%MC_C67G,21.45 MKYW_EF8YC99U5FL=F`]7:5XN_VG^`)<=;TLDI=_,T(EM(+*I&JH6,0P#J*J% M*AO2#1V@J@6J11R#0R8"0)4)5)/X/-)+`*I,H%H>\1S$&&6(,_NSVD?=LOGV8;)N MJ\.-+4?U'V^Y43^W%M$XWF#W^D@_JMN,\-&VO?G^9O\M`ST.LX*^VK[XJ;DP M>[*&_DTW-;M\=ZG0:['LGCJ']0[X?0S-=7.K61K/.]?R'\%,-@]DQ^9$M#J$ M98BIEN$]8F8]O:;$@$G9@_:U"'Y>T*NJ8%B+VB]%02WL^P;EV5B*YF-&_[W3*(9NJ&]4J<.1YY#%P.V_BL84C2TMWBBX9Q ME3?X!K[!OH%OX!OX!KZ!;^`;^`:^*<0W)?=H'W";G?2'N[ZCI?9Y^3>=:V&] M11,ECIXF"^O`3\0#ZQ\$8.N?>@/7"_`LX@1FB_#^[A$P%4P5DN)L^"0P/%Y4 MA5$%58650`V(9>A@*I@J/5-=HOOR"0VR+FUD`O++!ZQ$[X+IZ`;RP^N#-V,V"[1#=XQ32P&8#Q3<;7*9E M&&.CP5YF8-``IF,0/;#'&FOG0>$7QG$OXHX*YL`C@6Y-UU4])K`\F]CFA/<4 MC`DK-EFRG`F'@,:$E17H)+"YC74`2^@Q`TY`/"-`Q$JJB-5H3?K6 MZZ1O&TG?$_%_(?,:H"-="Z`#=(`.T`$Z0`?HB%)-,4J%E%ALX-ZG)X;?P.TY M)+"X96\A)19,%9<2JQ/?0Z(AJ"H]54V7N.;_;^]*>]M&DNCW`>8_$-I98`9H M)[R/;!S`UPX,)'8V=G:PGP2::EM$:%+#P['__39)'92LRU)3O!X"S(@61597 MO5==W=5=C8V&0&H3D,JQ^P=2@=32NG^%2)H.I`*I=4>JK"E$$SGM;\$*`^R) MW=//-7W^D?^DVU>;%GEAX?7C]6N*FXFT> MV!.+U0;8$WLH-U#I%*9A$IG7Q!#VQ-;5S+(H$J/+B>HF&8M14NURG>TFV4I5 MB*)QVKD'6Y4\S:G*1.<5V<)8Y1K+9,Q2>14<;G#&*K^T[SRZJ*')MYM$]X/P MT?9V"ZEVGC*8-7425DT;,RI>%<`P@9[XSRD8LG:__IYARZ&>-[;G<4_,KQFV MG?'U]`'A]--@`1-3<8LJG'TW:]G@-5OM7P?Z]>7P535BXZPWTSI\H+,;*,\2.Y@$[6*5W25VC^.S+ MPL,F#O^DTEAFH*MC\0?C.8K[-D(;B?C*39_P+' M3<^)%WZZ\5`(DC!%C,,>Z/H)^VLPHJ$=NX&?WIO^)>B_O5HR%%K3]?L:LCGNG#9YH\OOQ`7VL"_;L440_3#Z,XYN9KR M8P!?H^TPLT[[]'PFOPH'Y@:;U6V&J1`".=2/:5A%:"<9&V([0\PS]/.'42X] M37+KLRB7'V6YZC#*2G5=!C[/[)$;V][,:A?/(^H/W#AAGK4$R/(+9ZN`;'6S MZ?!KC0')SBDUKF?L=MRO?7]W\VYFLK_CPR:@"8[T^0R M%<#/1F,L"%ADQUTHO)]\YO&FAS`=%I;ZFEO&\]$P\%]*ZY9`=5"]D52//-LO MEWRE=K/@'KC75.YET6CIS&,W@WE@'IA7(,8WZ@2^X[+['\H-;V/ZB'X/[`/[ MYF:7`S_3P-)A'R:3N4TF=[B"^!6[4_C"OAA&P@43:U6^N#S?W/`=`O5PE&_J MDVJZ:0F%S(&W=N$-_@UX`]Z`-^`->`/>@#?@K4EXPPYV3CO8:S,9LC#WD2V1 M+VUBHQGPV)8**.A8FX*.!C$4;J5'42,?2"T+J181E0YOD`90FP)4E8A2AP], M!E";`E1)(C*OG?%`*I!:8L4-(FD`*H!:>Z!J&I$,%!O!\IDM9XQ4E,;GX?SJ MT=9ZN\5Z%HF5=:):7.>?ZH$%X!ZX7X=[G9@2UQ.?Z@$%P!ZP7S^0LW3`'K#O M&.QEHL@:8`_8=PWV(K_8'K`'[)L!>U4BNL4I5=W*96/Y9:VK?6[:Z?:F\I_3 MPJ?Y:]F3CGM2]I@UTW]%M0C%BX_OD^CHP;9''V[HPR/UXV]T%(0Q0\&Y&SE> M$"4AO660/O4"Y\>G7W\1A(^S'WCIYNL3?_#%#G_0]#=9B<&("@/JN$RET7'O M2.D):8%8]HAO]/ZX=Y[D%6+[$ON7KG+KWP9]JZ^(V45/2'PWO_$[^R#U/DF* MKNJB*!;E7/5:GN(9VXFG*H98@71CY:E%Z=0ERM-4M0KQC.W$TU33VDVZH1W2 M4SNB@[/@,?T^>RU'U,FF9[-JA& M_1H&#J6#J*@&;5X-)U'_^IZU6QY3>T#=_F?Z8'L7?NS&+UEC[=AW^R>W['VW M7X([ULCXY?/GL[R)4TU<^D[P2&]BII`T.CJU/=MWZ,V0TIC]\(3%RWF%Q5FT M%)V^3.3_DT79HR@OKC^.J()QK?SK::G\F2S?;[[1V':]2;&UTR1B(62T4NN& MI9OB0O^^KTX73!2SJ&_(PE8:1A?L9_'+&NCE.I?DOB*M,,$RD,,A"F:P*)XWB[=4F M+_%GEBHOQG%F5OS9U&8'/+N>=TO+WK2('ZW,MM?,Z^\KJ\RM;S1Y=US6J?8U[6B=<_.?[Y>W_ MMLGF5)V;VBL5M43XXC)X12_5#@NBWP:Q[0DTGR3X:6=G$-XS4`<_(^%WUQ?B M89!$MC^(_OC0=L,T_XA`]=#[57"45MV/"%26%1O"$8%[X#.ML#LS65YJ=W:= MU=R=71ZL^"YJ/\/[=C M3]_;?>%8FL/C\R3V;#]VG9G9TF-#CUZ!E>^\_I0.$06 M#:*FA,B"^V1#X!^=S?(,I5)RDL3`N6V-9B$Z2.XLS)(DA3F^+%N"6`Y0K1]4 M$8#Q[/!W>G0&F.)2+<42:QSUHF M!/?"B(9N,$#=TGW9I+3Y&*Y#HK3$\C)U-,^6NBVG?)^B$DG507*0O/DD9_&M M7%?S5$ER722BI8+CX'CS.8Z.?$5';JE$5D60'"0'R=M*F_-J2,& M0%(8:*.!%%."@>!%@8$6D[1SIV1W;1%:6F,OI$,VGG&?*+LQ+>[^H32F-WV$ MO/,JWU+;O7,/4?9\8%>-+AW@J&P8O69&!]-A=!B]"T:'>^^@T3O-=.2W..6W MY)H.`Z]H/![\(:/5O&D>V5*(J6&Z?$./7>E,G$9DA<.R_[9:J'H2*;)%1$N! MB6IL(HUH,H<5MVVU4/5NSB22Q&$#8UL-5#V%5(7HREX60DJ(4TJHKF.!ZWA( MPVR5VV)BZ.A/V_5GV@]\]O?Q84^A'5,A^FF/A-]]&A?NN1=B^_D/%#3@/A-1 MW;$?-5W&2RP3*_5WG\ZL(YZP?@:0A0N$"^PPGN`"`5GTVH!L"R`++]M8R"(! MW/(-COE9P0_^A6L.X#CP)*'"L>XW=D%>QE%B>T[-#V!@8UY'P.?_3IP?@C)B'VD MSS1TW"C[-O]S,$J+_T18U<#=1=4TKV;P"$N[9]1:[Y1JP+1K5W$#9P"C'M2H M$F&:@U%;YN&Q%Q9,1JH3J<[YF.W1,*".9X=T(+!!WMRP#RG/QFUL M^5V2B&7*^YNH;+/P@/`?.P$4U0M!:5"ZHY2N@SD5(DL>D)Z9/]QDB]'7`Z![T,<+/+ MW&^E/9-&-(7#T&%UZ]K79;5K(A@(J`,"T'>@[VA^D]LS/K(WAX)C_:`"GVF`;;R9$@T.@R!JJO?"DI'"KO MM-4\U<]4PSSPH/"@2"@"`_`#>V(`NP%;GH6\L;ULK]_AAVC=FP?$_#%PLWNX M4M/90RG=<X[]S(^\XQY# MW+8-9+\FH3.T\\(U<4CM*`E?!.QPW,=G5%>\NE*GI!-=XI!`:9_WV3GVJ`Y( M"(KAQ^#'X,<`I'WF=XBI<2A&"R"A0T2'B`ZQN7X,^W>1.9^*?_%WXL8O1*#^ M()US&-'0#0;8JKOO>A.%>_'N.IV;=4B`_E8"%LUW1FWM4V7?HLLZT2P.07(] MX`>:=YKF+$Z4:VN?*FENZ$2V#+`<+&\!R]&9KV*Y*!/3!,U!<]"\Q337=9/( M>JD+D$!ST!PQ>[4TUW2B\TA?U0-]8'FG68[.?%7,+JO$DDI=3MH,FB_D9:,VEF_EKV MI..>E#UF36JFJ!:A>/'Q?1(=/=CVZ,--NI)TR$2D891G?JZ"F)Z[D>,%41+2 M6X;G4X_=\^G77P3AX]S/TA,7Z>`\"1EZOF9IHO_:7D*S[Z[STQ4OQLQ'=.TEE"N\K/@<<1\D1]')\]N-+WK MJQVROWVACWB[<&?]JN_SF(HFO_G'GA)]:&ISEG MMB]QCC3=F`?3AG=S%]0XB*!_97$Q'9P\T=!^H%=):KOK^W/72]A?1H+SON-PI3>DJU,D+7$5+5:MV0K?Y2VA(4\4JU;8FS?$D4L MO26O?G5J1Z[#ER7ZPM#B3:*4W(KM&6(H]6W%UNS0,H=5TU9LS0S-DI6]6O'Q M_?-=Z+D?TO^RR_\#4$L#!!0````(``J*:D7,A:F.X`\``#4)`0`5`!P`871N M:2TR,#$T,#DS,%]C86PN>&UL550)``,S.6%4,SEA5'5X"P`!!"4.```$.0$` M`.U=77/B.!9]WZK]#U[F9?>!!I+NGDE7]TX10KI3!2$+Z9[9IRG%%HEJC,U* M=A+FUZ\D;#XM6_Z":Y.7[@"2K'//L:0K7UU__O5U9AO/F#+B.E\:G7?MAH$= MT[6(\_BEX;,F8B8AC5___?>_??Y'LVGT*$8>MHR'A3'$E!+;-GHNG;L4>;P! MH]D,"EXBQDOQ;WZ_'`^,LW>=U2]A"Z[SR>AT6IUVZZS=><___-3Y^*G=,;K# M5=$A[\:4:)2UB?/G)_'/`[^L\L>=YY]\JLAL'-YS!Y;8V+A,7%KR2F M/'&8AQQS77ZO_9=S6;IS<7'1DK^NBC(259`WVVG]/AQ,I%V:JPMPZQG&9^K: M>(RGAFSID[>8XR\-1F9S6_1`?O=$\?1+`WD.:0H*VA?G;8'_IXG'R9QAQ^NY M#G-M8@EN+Y$M&I\\8>RQAB%:_SZ^V>J6:.F=Z63BL2GI:-6Z6`NN%W MQ0RO?LJ.:[^A8T-;]V4T[;FS.<5/V&'D&2^[FAEI8KN@@"/V=&V[+]F)5;1V M0)!7A)FVRWR*KQ&A/Y#MXR%&XK/LUA7V$+&U`.JV=!1P_?_YQ%MD0K-3]2C= MO\7>\@:XPW3RA"C.A$3=2FI0)K)-WY8SY8#_%@`1U\L[9F]8";]ZV+&PM?J6 M>*)]/B^UVT;36#7'_^Z-;B>CPP[;'P&\'L>;/="58!/P5? M_]%E;`.WC1ZP_:41?MDZ6H=Z/J7=GS]< M?-SH^890NG0;!*)FV#[_#W.3)W\Y!AUB5N@ZEOA/#$3/R!:#:=?K(4H7 M?,4MQUD%35IUX="G3]8^P=FA0B5^C)E'BK! MH`:F@+/WT#B[PE/,H5KWZ'6)?$#0`[&)1S!+O#?U*M>#XQQ8`^X_0./^CN(Y M(E;_=8X=AOE,,_*>,-590FO4K`?K68$&E'^$1OFRY]^P;5V[=,(7%#JNTG[Q M>I";"EW`Z,_0&+VC[AQ3;W%G(\?C`A4KQ;G85^"#DO+N55>!PZS:'T[=?ZC+ M8260N`54?"4X_&5F*P7AB>LM<(XQ7^S[,T$!MJ[PG&*32/OQOVTL:7&L[LRE M'OE+?J]$KO:6"FF^EC(JU3B)8TSS:%Z9A:?$X98=D&=L#8@IES*/%*\>QT7[ M:?'5X"A$/5%DP@#5N_[JNM8+L6T%7^'/5>`EMJ]0/>7KM9#N*;+P+9IA%C=1 MJRM4@:.4O=?Q<>>4N)1X"SE*IJ-P__&B^&:SDSV?>>X,TS%>FHX]D3G;7P/K M5H-,42X,4#W3I&WO6]ZL;V22*AD66KP)U^QP.:?H%& MT\;>)I?>Q'/-/Y]5+>-)=AA++GYD$`J%;92`HRM=VV\J+@D(5&]XH]_Q M&Y'[!>$0IDM"+&U5C.X('US>H85X:BG<9].DOG"T-&E-T0)HOK,]\,V*&JH> MKL@SL;!CA<`2'AY&EZX1SVD00MVB#I2YC+R\1Z\:=W1T^1KQF@XCU/VDT&OL M6L\BA%4L-J[PW&4DZ>%OCEBQ;G27:`.I(D;C_KBX(A^L#\*Z+[W*B%0\`Y>)"+G1]!Z] M)H?2Z[12(SD4@1SJ-NJ0.#(&-<'3WBU6!79+]*.TS*&_?/O+&3=D*G/LZEJWM0RWY$4)UE+>QB=Q? M2WA\(EJA"Z>=]&I(T5[E=9$7J\Y@7OQYCLA>:P"[\JF8]Y[X2#OR/8Z.N):. M3@YS43AB*DT9XZ0UH.P185(1F!^ROWO81A1@[_>>XR9(^FD073C'PE M7.ET9'QH(Y8\V):SG+PBMN^M%]&*!>6JU/&7$XJE4M##W(O*S7;@W"H)K*5> M6":BK,G2,K4J4K58`WWDQUNK)6:,7@YU63BB*DLQAUEH%C+$K85[M,,X!:U= M-$;"4JYU2G(^O"$KL>1R-IY'!#GC4WF;JVD=*`38EWB`V MW5=0`,X-D9&7G91><;"JL8J,6B,7&.Y9SL7@R$A3"UD\E:)C0BLHQ$L\=2G> M.*38?_4HXGB(@^CBAK/!"E9CYBO"D^0!%99%WL5:&JK&`[RB]Z%!5$V3A*!:_XFTQ!4-]Y M)`[&8F]*))H/9X4`6!1-\35J0E8&D%`/$DRPG+4YC"&B?^(-2R@&2'6%ZI.; M$6/Q!S\5MV//9=YHNDKZ'$S$4;=A=,GJ,Y06'-1#`%^QPX';8JBW^+A/F"?, M\(SC[[V$6M6G-P]0J*'_ES[CDP5C/7?V$,[P)M,P+XQJN(^K4Q^NT\-,S%%\ MK`.=MZ[C;GOG\1.ZLCP\=H^_59C.6%`=KA#T%@+UB[%4Q>$))!T]48\84B"% MNLWXW:$8V>0O;&V,:IB29[E\50WT";7JQW46P)4(#Y&'4]/.`O&5ZL=^!KQ0 MM9"?`KSO0#\PH(YH8G MH9P1-!G@5F*"*"-`.$T(;,Y+P=-9;ME$;#X&;/80U=3MPU%5`D',QZ"NR[(I:N,9A[O/BRDRF130-1TK%ZB%I-5>@M:#N M_*09\0L+P,]_F5-59$F6@[KKO+<5+Q8.([J9,RV'*`MJ_72T6*;!=+;*(A9S MI2=`6Z<^&TTCTO!,^1H,+^3O;IT.T!=:F4]H`IB2CD$@+ MK6!S01W.8N[NKFWW13=M]/M4;E)W\LVX'HQ^`YX] MFK,K[,#7,N(EUM;EXCL3>;6C-A=W;I54-8_T<".J@ZN0VJ[)!T+Y5C+U4PW- M!N#<[QGXW'F4D0\B%/ M%YV.&#*;!JIS+,W%>%^N77KE^@_>U+>[INGZCO(D4ER5$Y5%:I-`#6'>U/%H M>DTY?%`:(PW=ZB_A>Y%#%JLDGFUO;CW@/P<4-?P6YPY.?%CX"B__OW%"%W2,3J*PRFR;<&&R7GSISOX\WSC-V>/7%'<5SM)`/#D5V0OG(W:>4?XZD7805-I(5!19*,UM&MW!BPBO*0J%XP.V/ M[P.3]\3*>CTT)QZRXU(XZ3;P)ITL!@J5H]XF/Y;GJ&FZZ+-HJFB_/&U666": M8BK>/E"?XRI,)U:B+$_,6$0#<'133LR8+N3J2R%_S)AFHW`D4Q#W><14_9BQ MP#FX=V4:9HHY:([$6]S9B'NVCK7*QJZ*(-%NH,K"R1-/DL]`B<(YUAJ(PS`Q MMN2SHPFR\6C*O[%\83(<^U0EN>*I*B6;8:#.7?NK_S$W%B6FR/#.C:GM56U7 M.U%Q9#)+8F@:)`EE=:`B&H"CFW(< M*%W(4(-@]6'E=Z`T&X4CF8*XSR.FVCA0(A9!@'4LMI&U+\%IBJY498$4X"BE M,`IK!G/$J]F@T';C.HWBK ML!"\0A2JXB>JA53F2#R>LQT@>J2DV>&X=^U2CLZGI@S1G^HO/=453U0D&0VC M=6KGV!-*N$Z2I]2"3.(:\TE4M5-51Q:S0'UGY?J15!IAQ%8Z55FD-XK6<9BC MSR^:ILN]0:_=9I4%EF.#/I]]]#?HBTQZ)CIHN\RG^!H1^@/9/AYB)#[+>^4* M>XC8>@G/WK<_M#M&TU@WR3]<=V_&QH_NX'O?&/:[D^_C(./9/X.6_]4`G>UL M^2AW99HUM)W;)J;<448$3#TR);Q]++UM&4G>Y;<`I0NN3]E'U8VO417._9W( MS]8]FQ4:U/WLH>O@Q1#1/[%W[3L6TV,XH59%RZPV;/3O@VPG'EJ M]08>WG'I,Z>:LCKM_2GKMG\?O`K&N.N/C[W;>L/ASGB3J@TX0TE& M=C>'B/S(H3H<,K!5;`P@.]AKEYBVQ])U>K5@QZU+*7(>EQL*<8'$N1JNE8)* M,D<^?^=S:\E<,/3R;_X/4$L#!!0````(``J*:D7I&UL550)``,S.6%4,SEA5'5X"P`!!"4.```$ M.0$``.U=69?:2I)^GW/F/S#NE^F'^MKG>OH`1=7E#(48H.SNIWM44E)D M6TC<3(DJ[J^?3(E%0&[:`[=?;`I"J8CX(C.6W'[]^^O":ZT0H3CPO[RY?GOU MIH5\)W"Q__SE340O;.I@_.;O__.?__'K?UUJQN0 M94#LD#70NKC8$'9LRJC8-__HC`>MF[?7NU^V+03^Y];U]>7UU>7-U?5[]O'S M]M]L..](&Q,<,&M![VOW_F_SRQU[9>*?Y,G3E:V(/`B?GZ\F8>ALO/ MEY7NZ>D%/ROBRW9!?_JXOKFXMWUVU?JOFDQ]?DT M?K?!2[;D_%WU(AP@\!_GB*RN$5/82Z9 MA`TT8\*(X!4SIQ7JL\&:1+%VV[[[&W*?F1]O.^PG'&*4TVXSM]Z($NX#%L7X MG+E[8N>U4VDCD$3*..+*6VE$J-X?$0[7N=`Y>K01]H7+EY<;F@N M;<\[E%ORVFV:K$$KMAGY/,4Z\(-%C;V<[(H:Z9\?N/F+Q9H M\81(7F9%;93.Z9PU2)SH"5WLE).37T5+5=H#FMF1%Q8WB,-VA!PS&NQC'G8. M&,V&DO-30K*5>BMZ#9'O(G?W+0[Y*ZZN&-NMB];N,?:Y:PTGUJ!_VY[V;EO] M8==ZZ+4F4_;70V\XG608.F(!.2B!<\"+QRL`@=B$XZ9F-GV*VXOHQ;-M+WF% MX=TE\D*Z_88/FN\NKJXW*?]?-E__OI-C:C_M!UO/?D)>7#D1$ETVP.B(!&[D MA!:9(++"#FJ_8BIA5TRZ8WIO0&URR#XS[&V3&QO/V74#XB+RYKFW=_>_?ATR]U0+4=]RO&2BA=(?A.`U+^S>^/D^,B MR,-!!+&!0T-;E=X/8QHCG(T<5&N[[(4L([:3-[8OE2E:2UZKGFZ)Z M5HI2A:KC=S!`Y=H]IJA5H>^**O28^RITR+/^)??YC!TKG",B5Z:4M%:MOB^J M5:D8`-SE+@)C*03JLX^R4%)$6!$,<>9N&#B>L)WV?L?AY9&^D^SK,Z_BLQRG MY\6D+,M*"A_[W[V`(O?+FY!$#47\8[1"?H1H^XF&Q'9""42G9!"&H=.;%U#"\'PM::S\\IR.2I7=\]_9I:`")]N M\_>3QQN6A9&0Y@D(`[VYZG720!N/)LCS$EX?;/(=I624!4N*!R",2$90F0A3 M>5?I!C2T9KL(>N.S1%U$1@DA5S#O&C(IH'6)>^0SD3P^XP\/B'$K5`6Z&9IH%8X/Y8` M9Q;AH"%[BY8$.7BS"&_IH6UHL^`3^'_&WTLP-7NT5C3_5@*:9F)!P_&>:6,0 M4&KYMY@N@\3TK%F;4B3ME)IG:D7NES*&5;4\T"`[D'8- MT?"`W2&2P24GAU`7,C;"-&ARD:!A]>@39'OX3^2F/.=NH;=L]-,^!:&LE`LY MK630`(SG!:6BRKR7YB$(I:9<\.D$@X9>5N"@8"8)/G)A=D9P[:.E.R9W-]G% MQ=C>;^/JH%E`4$(WM5\1[;TRP9G6L&^3=>SEF;Q\YIAIUXLE3ER%U#E6^$8( M51:S**A2-<"T,B;$IA]TD,_P45N(@!I"U24+N@(18"*C,D-&X45\T_R(5XJ8 MQL.0X*G\ M`?LQ/_OJWVY[=SQ.S-);)WO,F/AA"9I:=L$VZT6VT#+&@I)",P9][*J*56/Y MUKD3`Y.F(1372^DQV3(&$]7`MB6U*RHMX2SC-1"F`2JVL3+4!,W>3DIG/-2U M"!>Y!#,KK74(LQ2E6U=IVH%F5`=Z*6`^.=J!,#52NJ'DT`-LDUC9V$OX[P:+ M1>!/PL#Y/@\\IE7*3PMTC`S"H)5Z(Y]"ZW0RRP8-XIY-?&:#='N^5OY]40DH^"9E65:BK??57%-(MJ[*GKI1"&JCH[[FY[60VZA39` MEC/I8^(Q*WD3A.&O;E.M5*'0[#-+'2I[W):I/0B5F*9LK8#:H%F4,%K)DJ3! M*+4T90D2E4!'^19[48C2P@:]C&$L+6_M*;KXY1"BU,+F59UZSC515XQ%];T6PM!5;R>N.EV' M/6"6EO49>-**W@5A.*S?9"M6*C0[S9@Q9H[K,K;X8R;OIC972'70+$L2R61+ MZ7[4)-[4(J1J@8;V-X2?YSQ073%IG]$PXGJU9C'3E+EO?E\GWQNE"?6S-U-O M8%5H:V%VXG26B;OSFM)!R%MV0.S$)R=D>%FN&JBRCL;,XSY)^E_.OC(UT[]UPP6%GH7 MJ!3QF^=Z76%*TF/)VNZ_(AIN^!5U8,-GFRQNEF(<&>4%4!%+%\1V&M%6Q&XT M%;'#@ECKIKF2F.3T2H/RE_K)1H\>;4?A/#8<;?IQ2@RNV&6"D/`\TB/!`,0X MIZP9!*PB5T7+C`7L6 M@RE5\F9"=_$RNHG-.\`C']#C0?_CV\G;UK@W;?<'K6_]<6_0FTQ:G<=)?\@_5#XO M7DG)<9/V3>8(A7%QQL4)OGO=T,YZN\+QG@31?6#5DR8K2=&7*!I!59.)Z:"^0,NG(W1JH5+&N+GZT+R6?YG[:T-GD MM6=D5[4M#GF)-!A1"#52.VK)RX6C[NG/#;MBA95M%7K(+V1M@G1*&35< MFRMH3UDOG#X$3]AC+Q\,NG(?("5MP#9]&0C'-0_V=F@HNNMUI[Y].N(!`Y" M[N:4BQ6B+$9E6K!FVW("4MS@IW\2PF;NADW02$]U'+2VET`?&>_=>TE M#FUOOYI3N-"BG';AG`%4NYF4J$5H!PA,\+,?KPKVP[;S1X0I3LK1^V-S:.K[ M;D!#:A$^U;_M,K+PJ'B[<(X8:FQ<*D&+D$:M'F40O""W:]-YP8'JL*E:345R MW<^9C$V'BH-D'>T%7Z1HS>XPH>$8>8B?,#DKT69,7E"K)4E.J#X32S)1)S1W M-V:A'<%.F/#'M,G_Z[$1=,4&3>:@VV'7)F3-1/YJ>Y%LF53F5FJU*LEA:`V[ MLLPZ@S@T3>>8N%4.3:H7U&I$DI.8SFQH4JD3VM#T\T;=4RO\!,H*2]:0T1+:[W>&OL52!LL39F@;5"MH3%:(5\:I.5I",+L3//9:#[WV MY''<>^@-IV>S86ZGE#:E*.2E\0&VXQ5Z&-&-HER+^3,G(AQ*1L#"<;+],SZ& M1+4EKL3VFQBH=NQWUBFKN2/QD@]'=72'T9-PMIN5;@?I@<1(%P#L`2:<_,S2H?AK,-JRY/JU0')-C3]GG*=.816]$& M/`=L8/#:/BV7]]\1Y7/QT%4B#]Y=]_UE%-)8X&LS+RUZ`JISUMJW$%B1A$`Q MN\F,V4TCF.D\<)F8W0#"K$=#O+!#9,UVG.X^[(M72A"S-0&A$%H8U6PB`X"Y MC$CR9):T@OK=`,(NG4J4)1P4BL?UY[K3IHM(F)R1C:@UNT7+@.+0;$V@V:.@ MO$=5AF2F"FA3>@^!C]8/-OF.PKO(=PV7@FJ?`N59JD)*$'A'"@C;5"H'6"%_,W.A@\!_GB*RN$5/8;8IT(^G4Z`#:WA_,>V-'UJWO<[T7&8^ MN>A]GS)OR;VH:@Y32-E$M^.HA1O4-$>4B$GAS##VE`),4:/1]R M#$#/7VV"N9OA%PTJO.4I60-.4S(K:N@T3T4`IGYE#"\B!.))928D4SZ@)*J` M^D%[V7R00/6Y@\!W^=[P$)$GV_]NS6:(91V<[T&_8XW5]5.S9R'X:+DQ'LV< MF0@$`+:.36-9E/@<$T%PXF9`''->R=EU!ZXMS1=_N^6C;PA]EW>"G&U`*%RK M,<@I6",0/01^."^*T6DC$-:CE0'2J60`AJX181Y7.W:=4$$XG]AL\#IA'8#2 M.YM#^%-'72LR$BEU`XF)!`K#Q$0J"5!,^$>"U/&RP7-`LA>-U>F`.A+J1X8, M=,93)HRU32(]O-O>&#L(77ET("2#D+$8F]HN'!"*\O-Z7*%7D1P;K_$J/Z^R MS>H)ZKW*5C(4=!!91*Y]BY_Y73+=8+&(?+ZUBKU#<9=S/5*`2[I=VKY;#9?,]G<"0H*7Y*)`]DNXEDU5 M96H"PD1)!K"S"5?YI4!9V!E&7!?6C.^I$EZ\6:`Q"%,M!B@6%1/:N0"'(M\B MZA`<,V3-CJ8HI!%]MB8@S-;D'IIUPL%&-V9RLB3(=BT_S?VU$;*JQR',]^1& M5248-$1%0\^CSQASMP,.+QW@^/;=.X1&+-%EG^QGV4D)!=J#<'-D0;]K*"DT M(]A6FQG#3]C?7%_C!,\^_A.Y?9>QC6>Q$6].1TDJT>[A*2GL-Z8T]XXUX#O8 M]E(_:>9%JGLMA&LC,YA4]0J!9GG\JF5K-@D#Y_N^@U@SZ\5'A,[QLCT+$4EE M]A)+RMX,A+L@,UA&=@&A(7TH[/8*/^X5D\MD\$KO7#*V`>&FQ=Q!A%:Z9HZ- MND4$KVS.RYY5?ES6;\A]YN=B<3;CL2;;F5)_.SU3ZK8W[G]M3_M?>ZW^<#(= M/R:WZK2'MZW?>K?W_>%]J]UE/_>G_=[97+8C5!^__9+?H=19;[08U]AX'9/U M[,[ZZ.JF09#,XG36HL;&F'Y7GV15'P/-##-BEA0S2.I'(!V85;?M'(Y.*BV! M<#!;!KO\JECF![7'0*D?`3(A96+18J!$0OUX0(&>H"H3/*B;2-*1RN3%7BI7 M]LJ((4QMF1AF&BR9+``PR>XK,CI(D\8@G0L#S76:Z`^`'0EX4P[4"GK`[M2\ M9Z1A5=W7O"R85SI=26T$)RNUDX/#B82RP$`#:4A MGI1]LCC8`8S%)UG$*^;\\KO>YMQTG6D3Q2C^KVV>) M3E"VH>5_'8R5/5496WZ]-#,A^]L9#7NQO MW8_;O.1?>6U?=LYSB)GR(YH()JJJR\D:F4S=.LQ[%#P3>SG'CJVZ.5=!WWS5 M6X?`P>RH7!```^\DB3?2O"DS,04]D!Q::V@'X,C%^9'``9TFEP-8;;LC'I>4 M,SQ$+_\,R/>V'^\VH-9LA'R?KKV5[6.;??L5D06+[>4[*/*U`R$KUIKE;NUP M/AFK0&UHK^Q_!4,[V:Q,6#C3)OA/]@+&VP-ZQ4[`^'@,[;D,8@(.!?5KR3?Z@ MZ^=1R?]F1R7_/*"WE#Q25@Q6D]9?^C5A?7\MD&C,.-=R[,A>QU69:;!983TB M@1O%]99DX;7$^`V>:S)>,04T@SC0:IQCM$)^A'CI+!%0Y@M.Z9H,;K(B(V"_ M\GV=VWV'+%3=Q&`LR;C#_#OV(J=#`MM]LGVW[\^(S0N;3GAZ&W"AEIKB<1C%\V_3X-L\6.Q89/E(O*M@&9!P@L@*.XCE M+'PD6.%4/5<$;XDO:7(W8"[D2Y2]V[P$ M\]P>HK:'TCPH#A%4TS=9'#$RJIWBU7)48N\$/]E>^G6*"\6EM(UGV\8:ELL` M+<56W4-_>D.(@!1(E5OI/M42`$1!.67HS3$-E$P2*(AT(T+B0[\R`"-_!@(^:D,[P48N#!2( MAH'OY$!)^1B$-,KVW)XKSWWE:LW M7JX6OS0]D-[A5^3&:\8WMT?%(ZM(Z]F>;_)X]PQ@9!.JF16'O3\B?I=DIL,; M/IT>WM#[O\?^])_G`.1G'@<>:_IY>["Q4OWJ1R`408WA4(L"`)[]48B:DR1% MA,V=&BEG6^C=SWS;<-]W"&*1["U*_N_[\7T]\\!C.J*),8Z9B=T%Y,4FQTEG M[E8@]#0SH#.+!JU:<\HN$\F+>(%I%+L_.D!AB96^#<#I5"?97F7Z@F=V(!#,<\E-OY7,=.P((3JWB?G(T M0[(3'1INLD.P.;=;?21#WW%OT(P,930,P0G5:"=EJ.Q<[.O19XQ[_"#V[6G9 MEK\_3)N?I$B9UFXCPM4;R[S50$9[*_(B".-4>1W4Q-2*:`N:Z97<<^N)@&`, M>M487>FJ@F9Q<7C8IS1";KJ+Q)E"_)L5LT=[KX@XF)XL52C03I/+>LJN$V23 M')H1W&)^UI/OQNL(@T0%$IS%I$TN_2D12K%PT-!ZP'[,SW90V0K,5S/=8IJ, M0C@^Z4L\"OV6J$2"<'G--[E4J42K*$\AT"Q)S.Y695R^[=96UB&>L!]7F3+- MQFG;:G(%58DVDE/ZZ@]<%/*5MN")[2%KMBUP"^/&0BW5"O`OI0-<2'9H_7W* M^8W(.I8^#E`V!^O&2_\>4#@/9/&=V:.U@OVILMYL)FPSZR19^I'D(2S,C*NBU1KUQ:_);>]P[FP64SARY$>][;3_$+O8BGO1/ MD,,B<;Z%K/?*D[3D+C.>R['TC"N>=56;^*POTZT6E0LP2WY)([-^Q3COK,4- M*)9_5OI&0(M'*['`@PG!*A4)P"N)V1O:"_6A8OK'@"QHK:'KZ]Q=(+UBA=.U,N`U700Y@,,;7T@X72:%:3E-=_< MNM.R5710;RXYX#C7U:X%I5?N22ZI;0CS8E6:8DEJ:B:1WIPN-T:;O?79\NCK MTSQZTKN/KS<8]T;6>-H?WI]?$GVLD[X_"\@BAJ^SWOQHEBEG:.GG.:V5I:29 M\?QYF.N_P6&N/P\*K4![<=4_F=>Q/?[',^%[ZJ?LQ)`6Q&!R(B;O]&BY-!#)BA(P)3AAYP<2"2B-D`U*(`*RB7!7] M]<>K]W`*R,6A$HH'`#V+#30V'R6V8;#Z!%09-8185&>(!TO:98(`@.2!16X$ MVQ[?/N@[V.-#.)=&??NZYB$((6P6@'3R`,!IV13:;/A7A@YBT^?ME2@X> MQ&+"@8JV?7=[TZ[222GH@00/*N,30"*2I-I*QK:\8E+1.*:%X$VT)B.HE:*4LF=G]IDO-%47#*6FRNTU*1<=L7X'Q%>C#0NF5P&7WNN:^#& M:(68<5+-P3:G9!!RKKP(GTH#;9_=ED,-'##&1YD-B50.3]6W:$F0@Y.+^M#2 M0[$.?;>]X$;UIVK'LMFC$)+IO#W%3$)HD":['8X/-Y2Y,0DQA&P]MPN3R`0- MJ%U(M3]I1S=CEZ:$<&A(7HB$`D'#)[[;11<;'!-!.+0C+RK'LD`#9$0"9C?A M>N39<6%N5Z0;(L5]6XI'(,0/8BL[FOU1R``-I/L@<%\P3U"$@.Q_AA!#ZY6_ MYQ>:HA/>E<,2C/!+K^0MMY6?Y[(Y_[GWRL("%X<1D>9^>G((1^]D'>GU4D&S M\I&]WI[EG9PA(AT-91X@0P--^@-3^SR\AL9`L``00E#@``!#D!``#MO7MSXSB6)_K_C=CO M@-L[L9T5(6=E5O5V=]7T[(9LRUFZ8UL>2\Z"YW_[71I?.+%+R._^]__Z;__77_[OBPMT%6$GP1Y:OZ$['$7$]]%5&.W# MR$DH`71QD36\=&+:BG[RGY>/M^B']Q^+;W(*8?`S^OCQ^X\?OO_AP\<_T'_^ M_/&//W_XB*9W1=,[*L:&:+3U2?#;S^S_K2E;]#4F/\?N%N^J:T/OSX?=%+V8+]=9$WNV`?77S\X>+'C^^_QM[O M$#5?$'/>&DSRYNQ;4M.>!''B!.ZA_0G]UQ]YZX\__?33]_S;HFE,JAI2LA^_ M_\^[VR6WRT7!@%H/H;]$H8\?\09Q2C\G;WO\;[^+R6[O,PGX9]L(;ZH%]J/H M>];_^P`_LQ^66>@G9J&/?V06^N_9Q[?.&ON_0ZSET^-C7S((_IK@ MP,.>&-V,=NB6&O@,%\*H;#(G"<@%PYL#GF3V438".H#KE6*C MM;H%P*'9(&C7<5B00[]R@O\?@)%'H1_/Z3_C)A/(#<V1W/437-@&)$DV(,(51M`.)#HZB=AYH( MDPY4$2,[[-"[HLX3.?Z.OXPL MXG01)3S4",S7#"M*MD+IHZ\!C["(A'25 MZUW3N*!&T^-V(QA;E:H=#[)2(^"CK5K6LX>=((LH7<0(#S4"IY2YQP2X\9WG M"JV/OP<\XBI5R4=:Z4N@(ZQ:QJXCJZ"&&+FAQM-5&D5,`Q*[CO]7[$1J4*MI M"GB4-2F8#SA5.Z!CKU'"W((T%_V+%Z0WP<75$7>0XC]>+VN!7X MD5FI5GE`EIJ`'H?5DIXY_#A1E%,=&"##W2X,EDGH_K;<.M1@BS1AF0DL_43M MC?6=P`])':6/(+.F!^@!JR7XN?#)>2#.9(($&R3Q&7IE?0AH;N@G5;.]NB7@ ML=N@WO'Z^J@9T%':).W9:VPY!N6D[8Q&L=37&X_EMJ,9D14J5H])J>$H1F65 MO*;&9;8%9&1D&CC^7VQN2.`$+J%:AS&I2;%JV17H*.YB@,JD@9I^`,=X)_$[ M[P8L[I>+V_GU=#6[1I?3V^G]U0PM?YG-5DM[(WX:QSB)&\;V22/@H[A:*7F\ MEEL`'ID*03MOC')RZ->(I7!PU!(\:*GG/`X])L4T(`T5,:YEK)ZC_;,\!KYQX.PT\]A^6 MX/;B^%2L>)I<.5'T1H+GSXZ?JI*C=?L"=]!6)I`=5JLC8`=N)W_GH4[)\^1_ M_@^)T00Y"37O`/JXE=N<%7T8<':A/ M$*7?KQ/K;+D,HG4D:1W@A,4[CN^'KZQ>0?WO\)[8COLXH3#.W^Y>.' M]W_./YE0`O$>NPEYP?[9Z0S=77\>O%"SA-';IRB,5?<93QH!=^]JI62'+K<` M[,(*0;L.WX+P3 MW1)G37R24*D:)U;MSL!]L)T19-_4ZPG89ULJT/F4/&.#*!^4;[_V/@$W.O?0 MVI/`#7<8)"-'7N*"3[DZKO928P#XB3T%^Q[ M-V&T='SXB80R=O#U0;7H3N[RG9L_F9AO<-N4":78$[7AL#E,/=YGZ`W;25^-VC/<%D M@C@;47XP9\37M]93BP:QPPWY2F=.ZWE&2EWK]HL;.XW5OY7[R?4]QNC39K9F M&[S9XA[T8(KO"\5QSL+J26^Z2WU6!OD:[R/L$AZ7TW_[F-]G"+SICEWO_@?_ M7&DD]=&;*?+`(<*T(8].FXW0!@P[QE4\XSPW%P3)DDQ0(0OW75D:"F9E6)N4 M<JO-R M&KL!!RA=Q<`\I8H`,/6RD_/6N^PCYVP]TN#8AX M30GY@H=%M_X4AMXK\54VD;X&[J;'BLCNF'\'V.U.1.PZR')"=GRH=S6&\XR; M`Q2L(L?#K$YZ7+>E6-L!N/5BB)R]3QASM_P&Y)C&CTQ0M31&RC)^:Y6NSZ)[L9X>97A5_8K2GD;*AW ME3:''&E3BB[%\JNC:\=GERE0O,64BD>;\DL6@5BM40IT+2@20)&#UFE,`AS' MB,:`:Q((6H4PC+N#-LY+&+$;&PA_)3'_,)*,@5Y)LD5N9J88;9V7K!\W(EKC M@(:PK/H/=;R[J$WX$BK@Q+]7MD],(1Y:[O55'VZLJ&@!VX7MZN0[-\)\"V3_:IH^V]>J&6Z@@V_Q*X=Y65.,T9 M!NP_1P*>ER5L,__>4%9PCP=TFEG.O2HRG&-+]Q1I%,$+M6]#WZ,_IGA"M"&U MN45WX.#0UA`R?.CV!0PPK57HG"9S8%1D%21OUM.;A]-_/KV=JCOKF*$@N+EQ+R(CP/ MSAO;SF5YC:X;I2RMX-@"JL"E%07@KMS!'%7%K32Z`W;V+EJ<700J8R8RA`4[ M5`4-EI89-DRRETSB9";Q#_PL5N4A+\3#@9>;HZ$,C[(U<#!H4+-4:*>Z*6`G M;Y*X_"HP46U.@+W M57WE2R\*-/8"[+TMA#\[LR+GPU'M:3VTCMR=**%T(%Z(%TAU%YDI^*:[NONC5PQVU0\R0C9%3. MVB3Q>1D3<':D^M4SKX\%8KM)TG*Q.2FXU[R#7]T)N)/J*:TX6*KH`=AE-04W M<38<;E!5$4GKATP#Z`VNC*3V1#O&.59O>AW5S-K#9#/<=-J4?M6#VOOVH*8>R4%FV,0^%Y8H8XBL@7L9U52&HAEK8>PAF)7$'YS M%>YV).%G/>Q&(E_"/N/`5?M1?0_@?J6A;NFX5-TC1#-.$U>@D+F*5^"[HBOHUC'Z;L,RM]ZC*1%8? M-ND[9[:=]\1X03G2!.EH[9.$ZQ M9Z_F;9^:QD+3?_GP_L-'M'>BK"K3GJXXXRT%J7]%'S],/GS@_Q.?T!DZ3;9A M1/Z!O0D*P@`CP@TD7N-+DSBA_Z"SM]UP.PP:O;FB&7!75BEV'$W+;0`[L5+4 M<^+(,`#EOGWIV.RX_[/&<:E;_W'RAY_^,/GISS]POZ5__O''CY,__?2GO+%P MZO+#].)E@X__<_)GVO[CGW_*__R)_N_#QX*/!`)0'K9?1=B)T^BM$10J&P*' M!;5R,C"Y(XO@2A"FMJ=03NQ/K*E^X' M-?8"[.0MA.^>:I^S0(P'JPZ:<9D@.5JP='EH4`.PI[DOJ`%+53;U`NSG+83O7HM1L$`Y#_2N_)87 M9W.R@SR,FP^I/\YX@'A4D!]=4S3;1WB+@YB&%^*>Y&T8LQ*]B\W*^:J"QM94 M@/M]1[,H7@+4(0$8$;IJ%8XW+#$,&N7BJV9 M)Q27)TKF\2M>5K!Y^*9]G`$?%M3*U1^R`7;N&F$'.%2SD[C2@\XB?Z7N'"TN M605SMO;<](X$840EF`<4WW"LBN$KF@%W495BLH,>MP'LGDI1>W5.EA`9!@F5 MSF?/:.3,[K9.AXC4BEU$%&L[-FTJ8JVPH48WX!.8KN)M MBK8#GG2T13=;I-WZ98E^E#VY0<%5MNW+4]\/7UG]K)LPN@[3=;))_;S>["-V M,7EIKN?:E@9P+^]DDM+..MHM4#FN6 M7/](TM_)18C1.Q(@CX893A1;O-)1SJM]<*)%1&/-!'L\&^-ID3VK9<:*3J,"`Y72:A`X[C$:YU<*;LSI!0=T8`'!T7M4.W/P MD[QS6!XM;@:TL%71882>7%:VR8M%ZY%Y\)'0IKVWQXLDG3S7N+IEKR65ZMKU MV,7A9DD+0Y5[C=!W*]1N=FIH]S-;KKOU M>@+W\!;J*RYVCG"YW49Z,]<_`2ZT!S0"^"6V9`O-]75]C_$XO<[*NJ;Y.)S< M^.*R[-Q`%M0#*`QO*7VB=.TZ6MUZ;!ZK7D$KFH[)4PTM)JN\M-<2#.U=U*RF ML-;,)\HV+Y@;NHS-21N6RG7MQ^2N)M>*U3YK?8D\A,X`%\>ERA!"<86!JEL" M=]@:]93%2D0SP.Y9)ZVIKF;7:'Y_M;B;H>6*_G4WNU\M;1Z1A%[J M)HMHB:,7XN+I5Z*:+!1-@8_6.@7+)R"G[0"/TUIQNV_YV3 M\K*##U&>H9S)=!WN'!+4FZ:R_3@&JUK5BA%[VAC^L*V1^>RQ.RV-74'=4G'D M`;1U=+35\54G"0CSP#]\^.G'#]S_V"=_>UI^(1'V<1Q?IC$)Z'_O\&Z-HR.- MF]H"]3LM%9G/U3:T[&]>Z*8L5N$O&;;Y7$I6COJ=2\\'ZRQ8B&2T%, M(R;VJB+]3E0$24+^G4=#JYA5(GC-Y$'K3*!^7B2H0J)^+?*$EB@GC7+:Z%=! M?6`4ZEG3]\OWA:H&`8=?&PP<47`NIZ_&G/KFD&%'0]$">6K:0@JK5*="F_#5T@%%(V[T, MHC:?9_=/LY*$W(^IHO,33UT]E'R0:%!X/*-2!P0A`P)CS]U-/+8P)>^%EI>OY MANH'1=5N,K3;C]_=%WL<.>Q=W-G7/0[BQN"@KCUP0&A4548(96/`D-$L<]=A M6E!&.6GKH42/RC[,'J>K^?TG-/O/A]G]3 M=E-;H`ZKI6*QO:!J"'U_H5'NLS88L,^SU>2-!IR[+GNS":W?^,X#_895UF:U MQMRM$SW3K]F_7T+B8CZ\/2=QQ/[$GHYSY)+(34D23[*C$YRPIY\ZD!L\DP#BB\,NV9P3PAT$&_)7;.4T](".?GKJ'[=7:YM!14%-Z MTUA()VU>39#R8V]A!'[=;DXK-IPCIZD*//-\3/_V(GCD(4%%-1> M2;*EJ/:"_7#/GZL-\UAE@N)TSW`TYT"[B[LA*!"O<%!\C!W?B?+"J&L9E"V M!KRBU!"ZZ_#-2/.A6Q"WXZU#:.OX&:#O#'@`U2-T]\,'\I6XVY1].D>/0YT&$F\9)N*/^@+PTRD,9&AYE MD8EX8F+@"*$G0UQE1CB("'I2\:`:KH;/X0*`3S1Q4 MU0XX#"I5J\V>`PQW:EG-9%"29@GY_"FHCBT$%L]^-C7\0N0SW M81"6UN_6/TR M>\S+7+[+$NLMOA3""X3@."EI>X_5I5F5S8'[*LU6T!>VZCR&=5D*&$ M3YQU@BAY.V[:O[)90#]A::+VG/,IB+#CLP=)I(T$')$7?ABJ"O";>P%W54VU M98]MZ`+8<74E[SJD&46V243RH1VQ*RA>P0'1'X1/;;WNE-5Y<]\6.-!'OB5C MZ-^HM6Z,^-79J\TPX(8&NT.EC,=4Z[&F3L"13T_ITHY';0_`N*.\8_;:_H6O!69OV]_[)_/2PBWE# M!_45#0)(D%+5BSM;\27>A!$6[5;.5QS/OM)`(8P\$CC1VSS!NYC:C(A8;CI([, M1H$'?1FY7734A1-X-.I-X;YCH@DJQ$.9?$@6D%WO'5DP9,?>37&0Q3LU)':% MF?"A;$C9C)5-KOE=[H6`%'USX-7+KCTP,? MP,C:J[J=+]!('`\P.D$5>%O=%`GQ$)?O(DP3)"3D>0`L[YQ*:>L($:3%Y40^ M3S9I*$UB@;!=8MIVVI>W`%M.9';:-:#&D2UD$^K:+E].H7=KQ<+1\K1_?)/& M\1>;RH9=)OHNQ,WJ;Y MC3G*"C.+*)`1T%0,UD9U,Z^M3;A*P\0-,T)+$L!QOXM!U-M@]?T!8W@G-0QN M654C<2Q#\<@WL(:Q:=?8?S@$>HA"&B[7W+","+)V^$J"S7P`6$7FRN* M<*%//!99S]CC%.3TH9XC$YU+$S@X&3&9C&=G$00,@6;T,H::NA!I_?:G?;ME M^:#.D<&",+B0+9;?V"B%0)W>51HJ%:+N*)-;\JWSJ:D6:>#09M*`[9(:FND" M!CJCZO6>Q&DE4M3?H@-A3,ER$&I?M%GR&LON,L)F5(!GSK!=M[*^J5PN@ZH. MO24V*HP$8.=KO0.,X1#S)'^?'2'[0#V\&$^QB!,!J7M MDS-@OPL=X`#?V32E^^-MB0`&[>ZZ#+Y1V6M)Z<8KZ5;L=,[&)!3\>7&(+PQU M%>YV8;!,0O>W#$0OG9BX6A;7H3(J[-$VBQIY&DF,!G?T-3&(.CE3YE&"+9+Y M3A#G;*D"QM#F*IQ?/JVFE[._ M3UCK]VBY6ES]^R^+V^O9H\4+2S,G8D]HQP\X6K((C9NDX="VJ0]P+-%2N;3\ MK.L`&"?TY.XZ['/J[$X-XO0SK[=^*-JOWI*[/\P>T9?9_-,OJ]DUFGZ>/4X_ MS=#E=$D=?OG+]+$['H`^&*5FY1;EMNU\,G-,!3AH=#1+NY/-$@G`P-)5D_XO M6#,L$B#$.=LL)3&<>2I/(-$[$B"/+G*<*&:O0HL-&*MENYL/(J:!UW!GH-B] M*IFP(6`9B/6H(*S?'Z#MH>:Y?$<#ECVKW__A)W^NK?D&U]$AZ1$N6P\11_&C M*$Y*.P6'[!%[ALQ_^/#3CQ\X+O-G[?NX"%P7'P[&%"@6#VMTAL+#<+2,OU[H MINRM22ZTE2%WMK-/-Q2T^+WVO,*J5$I`"NLHHCIHG;^O35ONPX!JS@JRNC[] M^(4?I3G!FSC"S:@43RXZ_@2%$=I'X0N)V6405M255S3\#GFB6@;]!$5XSRZ+ MT+_V6<6,E)K&1R2))4(LK,2.NQ6Q)>/KBKW`F&VR,3YI0.@DD"9Q0J<-1JZ& MQ_M>IH*JJ7DD0T)1U*1;^1.T*,J?2#.SW073&'\'P"LL,[>Q=;9W^N$$=,X> MP+SFBU5`FIWK5D=]:@NJC`60O2F(]M8LWP`.;]NDUK;?-&]'#SAVGFVJKEGR M8\'!\W4:R=8/_$(09LTKWMT>"Z15'IVV.6:%#T6U*C8>^P.&D'IYC1_SVW'D M?I043@K=&:^)GR;8:YF=<]IK9`ZJ4+O.58^ZC,AI59*;=-^,A_5#F+YU;\K4 MN9[?/K&_O^U33(V;L!(._CE$#:>OPXDA]FO&D\ M-:'C@&R!(O/0AN\[F0=0'&LKG<=H;#?&A!Y'OM=7G]F3_=TFP8?/.T>$LQ2A M9.LDZ#5,?0]M':KQ&N.@1-:)XW27$R;T#X(X_PM`"\JC>4A:&QO]<4+:&`RB(E[ MR5@"%((,DK,T``H;R5H"L#<'T^;_))E+K8\0VE($CJ0&S'5&_M)(4-&$5J/9 M^QI%%I-1$X\[CRDS1;N#:/C`U*"F1HH$8$!IDKB'E`@8.4VF%(69U?0%D^CQC._3W1I'BPW7/%X<-F$:#@8[D`'NS%T-(WMY6QJ`W;^S*EW=)6>( M,HY(L&1!@&"*)*YPLJB&M]-Q'M75XNYN<2_2J)9H\;1:KJ;WU_/[3R='7$8L MHO&^]>`V><3,P8E/Q(8FCT#7/.D]"<4>-!TIK_D`<[(!=K03?9`+/CK7)8:W MI?&-X+(RD;P5@6\`D$XQYSTDTAL!F[B+LT+*H3N'$2RD$#69-JYQ!Z M,3X(E5?CLGG:6;>&RCAAM,DL&D"J(C$^*&W49-C8%A2<]F:;/)#O&U(;]P%L M*3X&4)6*-U^3%^+AP#OLEV#7I_]1[>YI=@4.GVT,(&.F3C_`0-E*_.YI^(<* MY@S\,CZ3T@YAQLP.)@YBANOYY_GU[/YZR:]+9;>B'AYNYU?YG:A\I<^N/X'; M6%PF3H)9VN!B(PY*IH%'[;:/\!8'+(\N^[1^7[$]%>#`T=$L,H:T)`$83KIJ MTAE9%O?+Q>W\>LKO&:[H?^YF]ZLE6MPP7WIXG/TRNU_./\^L/^Z^8&FC%9:0 M'XP2F6OT\PA3Y2CL\/\V^),1PL!=S)SQ9*\[GRI@1S2H7%??Y"*@D@SEG%4Y M!\#Z-C\8@[DE@XG<=FL;_:"M`@_-GP*JNT_^@3TI=8Z:Y\5A.?+Q-"(Q7>5E M^O3N\S6?MO`.@Q:01^*PTGORP(<)?]U1V MGJS\+S^\_X!VQ/?9B35+B_R7#X"_P9O)Y`G^C-A@O+--E0': MKAY&."-4BC_("L#.F<"`=J@*86$\BEJA?ZX[_R#!$VF_$#7&P,0IXZ<6D_1QGP(:P?O2$>HCQ M#9Q>#+@-+^V_@\B2NW+B[8T?OL;Z*7%578!#FX["BF2WD_:`@4=+[#[2V*;+ M7]#-[>++TMZ8IG$)T_F!U4#TL'?Y]A1C;QYD13&"YRD[QB()P4TCO1,AX.._ MNW%DKVA/!;"OG*%,Y[;Z:SVP^N#'U_BN-$X:R\2K,[WRS)=GA4&X5 MFH&BGE@!!ZL^#2S#61]\``->K^IV+I!\$(IM-11B\=V8G,ZF%A:Z<0SR(@/^1EKV_"Z#I,U\DF]:>N M&Z940\4/T]`%.$#J*"P#75U[P("E)797+RB(\RKA.7F4T[>#%P-J[.4:.PJ- M!PRH=NRH_A^\:LYBM+[?H#MROVQJB%,QH]@7L[ZU5 MZ#P#2HS8D4_!"G%>>7G0'I%`(]/8FC4\O$Y$C4]*GMN"?U*\M^"&5L]\\Q=? M,;^SB8.XZH&0QL;`D:!>R=).965+P%[>('#74T@F;&P-&LPY*G%'?G+-`[W)FW]'ENK3QD3&TONLQH$VNMK0?CID=I$V).,99 M%.<39TU\OD$Q0?PM+2]_TPEO-MA-Q--;[M]3NC+J_B)?7]B2K_T>L8O)"\O' MT39Y9=?1X8G:`/5(1.I*&K&LPBF'JR.C&"`'U-E-&:IX"O,,6M"?N#2A M6N>'`[;B1,#E4VSMDXZ$/SB)7AP_Y9>*=]35(^+X8@Z.T_W>9Z6TOJH_<+ M],A]7--+WS]#S6S4%^OQ35Z]6Z+[7$=BA'V>.LFF-VH/<3S>>@YTGI\CCI/( MV?']KQK?X];'&JI"8P.$9J,T7"HI>@]*CQH5,+TH1:?.*6K--T0X#O-!S,%BK--F#]&#V[53^RKO@YSJ4) M'->,F*Q4I>8<@H!1S8Q>G1-CV@*:+$?OD-;XTI%5VU4BVKLTMY\*VSS9@A#0 M37]B.'MF@8];[8W1+?8"C$@=E!@PIH(>/`T7*(%##':.'YNHH5%/:)P(HF$< M#22IH3(^1-%1IB=D*5A#N@9NP4S'-33F]Y]G2S@U-/(CO54X9;G7$::VH4B8 MO#VP4H/3P)O13_>LB<*DK0@`!Y;VQBA=[M;N#1A(.BC1^1IT?EK+*EL*9BCG M-D&B7F23G;AW0^#YPN?,O/.2`CNZR3^D8:($7'I5,%" M2.VSR)-NP-U>5_'ZL_9R'\`NKRVZX7/U`Q>^B()S=FY8_9PPTSDZZ.Q6Z`QQ M=^7\/9RA5X,9^#/TX6Q7>=BE0K2QG)Q7F._L MN00^6K4W1K=H"S`.=5!BP"@*>KC4=T).%:R`PXZB@..Y9^CUA,:))1K&T<"4 M&BKCPQ8=97K"F$,Y5/AGZ'V:Z>I0_9QO&V\*N\`H>YZ=CRTVUX39)/#HPG2W M"P->);+A4$W9"3B`Z"E==3Y>W0,P,&@*?O8Y.`W`%Y%'QW;TA@I.;&>&\4*< MF:U]XIY-4!#EA1?8BVVN4#JN4MJJ9]^1((Q(\M;P2+=>S_'YN$K]!D<_[C8N M;U=*WY?+`WL;>PB37)-8/';+SH)A/G(MF0&ODWE6AIW7@6\V7$6/\7B_2EV% MUQ\W'X>W*Z4VX>6,.LK)B]<-`'AS7RH7KQ=`>:O@L:@^M]CD+.M_LN-_:E'V("%T^[QT? M126UN<9^Z%@LZU]*06/!_V+/CR!F7W'DDAA[*E#3Z`?<=;555^9;5G4"[,SZ MLAO*MF0\4,8$%5P`Y%H.H#Q?2:.0,T$X8P(@F+X)(XISU+Q;*O1BH[]Q5ML1 MNJMK*U\58:M[079V?>'/CK=9]6QJAXC\.L&P4U<$E/LBEE?2/>D>AG!(.Z'22%, M&^=N[@;=O3455P7J8W-Q7='-1*K#N'F7.+T7Y46>C@"YG>-AE@*PRQBA6.+$ M*X'3%4+H$X]!$W(V&^(3^L]1)-F(:164)#XBAVMF3"7RX:F^,;N$68"#JH,2`813T>&D8-`&'%N>O MXKZI)=N9Z[-O8S%F8^4%?XW5CU5F*W3UR_3^TPS-[Q&O+3B]OQ;_F/W'T_SS M]'9VOUH:?$AS$3T[`?D'EW\:>)=I3`(=6+#EAW$:8<4UJC/(``6%#A;E<[/L3Q^FM[/_]_I:KZXYWYP^;2; MK2M\YC7MRQ45L]*E$Y.8E:?C[\-R'?3F(=V.0-VOO?+%7*/5"Z![=A"^ZR"^ MG"[G=,#>H(?'V9+&47S8]CMJKXH#/3%O/F*7/<8NGCZEL2.-*@/Z3Y>_B"S- MH0Q#.(1H6LL$GY'YA#'3UKG0V4R@/Q[>J\Y=';7T3#AFSX'N6<%0\2YA\?(W M_=/W439R^,9LML7B^"BFJHCN7B%?S)X03QP2L%5E$N:O;;._]E1?E^WNLM3" M\K/CE`8[J2T"\L.M$ M.MX7^\5,G0"_LG(;DD7Y"^5O='WL>.$^R1X2%R^C\R0!66Z1Z>_CF+\5OL;, M6LX^3GV>04`;AP&F2H4)I8D'?B0:Y]8;NTL3LB.(8%><*C1!_(W0H4&P.*H"G/1:31T(X%/Z\DV:)G M'."(1EQO+`#!(C"IC$0BS%^1$**D(KUY1Z5XSN*YW&@#AR/]_V)/0M>"!Z`8 M80#E#6"JF8W9ZO00&@5=\^<('/]3%*;[IJIP[:D`1>@SS2+O][8D`3"^.%>3 MSN5/YLNKQ?UJ?O\TNY:V3-$%6DYON>,\O5^^1X^SU71^B[[,'V>W;',UWV6U MZDR2/>:!ZZ<>Q?MJ^S6'.P;)PG[]#U M[')E;WC*-6Q6-@0\-.OE[3PR2W7T`$P8/:D)Q`&O<41> M'/9:ZSR@V,(/*-B>U2_8>SZY(*3KJ3`XP,)C0JO.&P>QQ M_GFZFG]FMQV6J\?YO>?T/2*?CU?S:V>)[0W4>/VYWDDOSW' MJ]_V/(/>M^5Z!C?K"N9(XLY3GS+^\J,TL#8ZK=JM;\Q2Y)5\"E]P%#!5/T4. MT[ M2Q&_&KO]H;;KRHX, M>&BWUZ'KJ).;9I_E$W!^[D38J6 MYB1%6\`NW"CR.55=YO=7B[L9>I@]HN4OT\<9G.':-$O5M1_9@*V=A92-1S1D M#8)J1AE1THC3!C"G]*V4GO,+R$WS"@US8$[:).BI2A1T1:P>S:* MW#D&G'WB"^['V*""";#E MS1`F@./E[!4KDN0G;:+VX3,.W#;))FUI`/?\3B8I54!O0P`P&G33HW.%\\7= MW7QU.'455TX^S>ZOK":):!FA:49L3>1;<)':>;(=A;$[B;FI0V+'ZF/66&>[#GF9;J.B4>\0L.4ER$%%F( MP:QRYT2_X21>XN@%>RMG[=?7$QF0-U`$LO(3%,D"0S&&GGLPN!TZIS(XZ]1W MHJ,\!I:7$.8R'KT!PKZ[8G7I`E9G95^\N!Y+^DUXJSA3@=54$;5:I+Y9H3GZ M)<^2X,J+NG"LT4ZH3$DPG0=.CAC-CY<+*JJZY3^$+"LJA"V]?9/)*RTQ1RC_%4L.1+_$ M%\MQ3.>]&KQB%N^%WW@F[W[5-SMG>WD9CV,1N&M&9_YF7LJV=!_OB`73BZ]6DI0,IDPP`[\/UHZ<)_SY4 MX9@@(1+W=$DHE$N%P@`5=[F)G01MV"_R MPNNBL*K@[,Y"9G)>WQT"P%;>A?ODD.`VC.DT54Q1]-?(R[P^X(C5=:5_M`!9 MMJ]NKK!#%1T#LFS'<`T12*]61$Q9L-=I,R@OX^ M1M[!P(?BTD2Z9Q[P<&E0D\2ENR^8LX.`$U\P>=Y2%)N^T-7W,[Y/=VL<4=NP M).6VZ]EVM$:#'AU,5`TD+0B-`E.ZZ&/"EW*^*&.,!&>./)PW0+"Q92NZ\J-C MG:X8Q:L9?-N-K0%==IO=(W[*[/B:&]3)#$H#FAUM'0MKAFE"@YN`[2I"@*SC M!-8Y?^V#ZW?YEGW9(LYI26TTL-7)3(H(J`VI44!7-XV,Q$8GV>$2[PDK*I&W M@`=B]JQ&#ISX2X?8<;?2P7QVP-Y7$EP8T04I";UB?7KI^&QM^HA=WXECLB$N M%XW_8(VY#VVI`44<0V:J3CUK16H\Y]&=-3/A0ZYX0Y1EJE`/VG,I*A\>70N) M6.Q0$HD]U>EA%CAD;W;Q?1`2)SAPLZ>V^.9(&D6,S`D'^4E1FREA]GX"SAP) M[JA@CS+^Z%B`;`HXP?TA"X5D@V+IXL"A8D^_DE@U3RC:`L4O+17+Q3XJ&D*. M=FKE[3ZP=QWN*,`IPQAU>^A#M$G5D7$6MT, M>C3:('77L?=8?N?U<,#FE`/.XZ"RB"F=REB4,L"(T#\&#AA[L])QA"<(VT@A M'$A%B\>A1]F.MZ&0J":&K>\!%+-:J"L'"C7-`8<*.E)W';HG:;\Y=>O!KD+K MVH"WJ<\X1[,Z\*WM,+X1;2@FK!G35J-@:%H/Y\N?Q'/TT\";>CL2$%9>@J4< MS;[N<1#CREBZ;5_@OMW*!+*/:W4$[.OMY.],@]!PZ0!W^;-,4B^TN1*`OQ<_2J?.;<(.(MZCU9:V/[1AQ373F+;AR23\+AG. M[C/SLVOYV)9J$U(./-^$'15Y?!Y&.^[K+/66RB"XA53`,$([=CG:^8IC1IWM M*0@9AMT'L/(3M3XFXK\IYVUC(\&*C0!M,TCZ'TLU]?XKC7F)(,5,J-L7*+YW M,H$D;74PG1JVUZDZ+"4MBSFR2X7)<[7?,W"ES-K M(0URDB0BZU1$6[1+=IV>$0!0&F(P&V;;/913LG3-R=P#"ZN%"%A[9:X1A^@ M0[^5RL52JJD#0(=I)[F;:/3L(V>:4[ MIM/D!GOLW(T=OJ=4D+=28\4<;H8R4!CHP7RE]]_.)PL04OK0KO.;K#-)K.6M-$5,<.^,9IRJZCTZ.*I5HG_4`8@G/5L$'$XHR3_NBS5@;!S:`J:R@R=% M:@V7E9^P':0M%?]>OQV7$Y]HU!,'<@35YR^C?ZFF/^;_]-BD>=6G)\[_U,AD MY$BP#"WHWJ$H9?M$L)45F,2U!X;=J0%W[C/-)'MK1U*`W>]0"$".IAY>MC4]Q.JV3IC-'`^7,_Z/J$E$@Q0S@'E+&R6%^A9 M[>PW7=*?V%0FAH>)"(OH/XZC(?K1WV[QL^//>*WXBM5.=0N@J%.C#D.9BJ\! M1A=U4G:^'<7H(4'04.BM.[P$T\KHN>)KP`.K2I%\5,G?`1U2E2)VWK'.1I*5 MB')H;GJ?SB[_;^N4,X?40$&CO+Z,L`4K?@]?EDY^G]7-D.[WG0]_ATM5I=,US'^ M>TH'WNR%5;6F_.I*GRI;`X4D335+=26KFP*-QC5Q3)4*KQZ[=@JA`M+7FJ[4EGU1MQ^6CZI).E0W' MXYN&0I^3D6JW0%/O2K(GP3N]US&6?(A;Q8T6.Q(`!PL+/\>PZ1&W@._NV+3" M>#*X;GN^7?2"HW78JF0FZ!]H.;V=H<4->GJ_?(\>9ZOI_!9]F3_.;F?+);I\ M6L[OZ3]LEFP*78R]^(;"T#5YP7%"$FJOQ28_I<(JW-;K"1QO6ZA?+M;4V`TP MOK61OGN1(L%#/+0H<6''T`<^MNHT]6^`*R?>LN>A.".#YP,E&*M'L2]A]!O] M[LK9D\3Q#Q6H*N\6&Z(+U-^-FZXXIC!!%/J9AE$=#;VKX>S8Y7Z&)J^")7(% M3^0P4]:(&/C@!8>6CQ-NF>!!E MDJ!,%*D$W\#8#L>$7]3CT>)&&WD.>)'`()FZ?T])3$2R=N#E-HNESZ_".(D7 M$W77#`(543)-]4QL\6RQ MQ>21*:5C>EU"8X*X5L91HID6E;$`5SMEAL.HC#,`#!K&0AD=N!!SJCI[8X#7 MP^(&'ZSZ-/,1HO7!"C;L]:KQ M&=A8B8#\=1$NF_2RX#LFWW=Y5F_E,E<(B;B4%V&:9,^U6D-2D$:?-P=TD])C ME^^RERXM5O:^<4CTV?%3/(UCG+!LE%OB\/H$!,=W=*U.XU]O06B;B%]*=>N>9=7K.1;W:U:_TK'4W<;@,AK2=W4&B3`J M*%NO"%)H7J5W;6T0O9YC&>W-ZE>.=G6W,8QV#>G-0K\\\*V6$QG6!).6-K#K M_G$Q.]?6'-'L.D(`4!F@"0&.^XT,`I3B&P[_I.C/;@&308QP4';-`FL`KG[Y M5OSS%T)7U)&[?;O%+]3GM$+;^LYC<78W!Y/05,S'H%>9!A;GQJ MAM8!;QV-L;A"&Y,T3H$J`F-PC%9ZF)X4I<\EMP$7)`]BF&8#6$".>;!/DY@# MY4>]P+BRQUA00:UN)0:<-A^#Q]=(;6`8"^I(D(<2Z_:@\G^D(.=%OF!K@'>>&/D(XGY'4_Z&U%_\P9B_^H9T7_S!*+SZ6VK`7_P#0 MBTVI+!<&6"1;'*'%.L;1"SN.R8V0>?(/-M]:CQ.RV6 M)(#[>A>#E%Y<;]$?,!IT4J/S&R<9,[38R(&[],\#2\N0,:A=>&D,`+/\&2?? MMPTU>4WS`(XNO9C4=$;&[0@JY_:CIXE=.B$0S\201,IW)SP4!G7Y&ERP_DO? MZH=&<.S[PF>"G;1Y8@\:KW"4\.@NP?%BLVA6WJV@-WWT959<=5-@;LLLTR=WX:D5.>5&]#]..D;+U?YZ3] M*2NJ<#IB[;++URH4FS9%Z&WQ3AY>)_,@3B)>+J7N8D=U2^`^6J->Z1[;:3/` M?EDG;><]=7>+O=3GA3INP^#Y@LYJ.\0XH0.KV/Z=!R8;$XU)UO",J:(I\!%; MIZ`\9*O:`1ZSM>)V';3E@3J!\7+IL::UF5K*QB,;I>K49RE**PX(JRN`V=H/+\M+H%4)^J4:>HS5?^&GIQ/86TAJKC M\<'E4_(L5HGP/HP2ML"GWY/D;>!:=H8U9>00HV?I*+8WG=C/97%7XA&_A/X+ M>RF&+KU()FN:YVPN350]]-4LYC8U4VA3_(:DAN:\`M.*$[7 M%YO<`9T7A_@\YR\)>3LK$4"/9CCH36G;!I[AE)5_9(O+>)Q06RPV`E]K(P5% M4Z`(I:-@:0%?T0YP.%`K;N=%+2?*U+MG<"[AW:JHM.VI#%\`^JRMYUZ'-Z:.,:'9E(&=AV96'4!WM M,\TO4,A86,SM*RU6:LYN*AL"=UFUU&,S0-'5Z<#$ZK)S1653QCEV>ZPX''4Q-"C?U6S2Y`O:R- MPL6F3T-[Z#L_NN(;VOXAP2:,=J(L\1Y'"1VM;#\V"9'#!&&Y5`%[:"9.^!-( MF,XG_$`H6\;D2YB!]X7Z-E)!'ZU"('O3P^G-WE@JJVSQ;(GJ49>&)'\/%,24 MJI3.A_(O`0<%IS)VQB!&R7IPRJ6H/Z4LM1C#^*HY@3Q\#7V,F9KIQ"BS>Y)H M7A_KI9#N:(BP2W>UGG/=++H/L[7 M9ORYSVM1C(<#6WV M'@U(J[O9UM0;].J/QYZ5I;98.\%OB\T&1]ACPMW.+Q>/]4E$FGV!^V4K$QS= M$VKN"-A[V\E_QNT:R@45;%#&1WC`+9JC2[1`C[;SDX:Q!:-ES]DOJ1!,I5JO M/FD$W'VKE9+]M-P"L$,J!.TZVABY;)ZQZEM]J!51>@;/?\OWT^5YGW%;!/@+ MQK^I9\2N-("ZUEDF*8Z,VQ*`?H;<69_.U]"V&(4!OGBE=%']-)K&]%])B%S' M=U.??<*.H5_R8).P7CA.N-NP?%GVK<=N]9)"H8$/FP>WYE%A"%2.Q#FH4*[H M"S>VY:C$CH46Q5CK&J9T1=>[,$BVY\)K!9%1XZO**/H`>TQA]`BK5.AR?,/0J4-6ZCQ6&\V5T./D1DU[P>/&T%%%4;U))7A$=-`"\) M59)V'7R<'H1%87^*6=Q?26,2X#B>NG]/24S8-%=SF*9N#=S!&M0L;;U4-P7L M<$T2=]ZUR.@BB;#U\[8J9=D_(UQ__*;3;X2#N%+UIN%38L7BMZ(-].5MG<@&+I[< M_8AR^H@R&'BMV8=R1QK97";VK-ZD\A<[`QLN<;1+/>>:/)/$\:_"W2X-V/,) M=&A6ER'0[P49.?35+H"DN0MT7&FA@0&8R;BAC!TJ\QL8=090O5Y?FY@TH/*O M.0R'>QP)#C9+([+=5^_!B9*W5>0$L>-RB2[?Y&_J[K>U(0`4[KH;HUQ!4;-X`>WRKE-1#-9K3Y\FO"CVQ9Y08`M/\]UQ':.EQ7NY&4<=B0((_9'O*5]MJ'OT>XDD.I[_EZ.FP:. MD(T;3[*8S>"W3[TZ+<3-3.GEX^C;AO>2U:V!`I2FFNJ'CFY'\!IQD\2FDBOL MOPO5.8J"4)X'[; MQ2"E*S,M^@/V\$YJ='8&YN7AYKA\T`3E-Z$+EBCG:>D.S9!6R95?%\J["N7/ M6!VTT>@^96'(8L/>(3F>K\\F!A06S!BI6)ATI@1]!7.^8H8*TP6<.%_-%&_< ML+7*ZY;0T/>H_!QZ);Z/UACMH_"%>'CH(T5[5NL`N>B^,.UMU/8CN>9B*WV$`ML#1 M;2C#5]T^Z8LG8*P<3/6S;W]($D[0048D"XF$E/GE$/$:A"0-RB2=H$)6^6N[ M-VC`_@3%J]W($5SLP?+2\>D\M4Q"][?#'+38+%X#:N4MV4\WU-Q2JJ+"Y!W( M`(?-KH:18;`M#<"PUEF5KC["&++(C[.<2/$<^[!@BQS&%TF,>X&<%QRMPWK0 M&=Q`!QL4]3RVV/?0^JTZSPM*(%A>I\\SV=G2?+;98&J;E^;%:%L:P+&FDTG4 M>UD-!`"C3#<]C.UJY0SY+M8$%3RMKR:'M-FH,;H3ODYM0EX(TGB$F+WC%YOT._*\JR]@9>0Y?1 M#&6UPM5#^;3]*(9RC=@&AG).'3'REB_M#:ZS_3KL:\L?*AL#=]EZ M)65GK6X)V$T;!.XZ6$OK5,0(6RZ1V+>>?/GI%2X*83[5#;5;!HU:Q(`[]'E& M.F]Y-\(0M(5"71TIHXMDPM9CTPIE:P/3NO;`/:)157G0*QL#'M?-,IL=NE8# M42#*#N>I5TZ\O?'#UTR\VBA4U1:XA]:J*'MG94/`GEDO;^%D7)T8NTWG#=-Y2+J?)+4"BT-O&2@R:G8%[;#LC:$>514_` M/MU2@5XWZV_M5W88VAB'5U)BG@^WS2"0)7:\5.:]`8$&*0LN6"1;'%V%NWV$ MMSB(>0=V)'0X4`XC%H+LD':NNGT"H)0X2S_D MTJ&2>$C(E[4O994(22>(R@H0.VU9?;H+TR!A:7[.R89@[X:BSM1UTQU_P,M;7,WG01*:QN@SV(T;%"M*&56T@5ZDJ$[DSG=RG#4=DA'R2.SZ89Q&_**! M1_B[FG1@QQE/],R9#EQ@J`^-8?:GK):29P1K3_N88;IH@'NQ"!'C">I9.!@I8D8+7ZN7CL_E1"78(= M&-#U32HDHPO*5\1DXP<*>R8="S]E^?@WF80#1Y]6S/=T;!G*@;^N$:/%D66F M!\O8+/0/PTQ:`\@@'M\[+\Y_A?>.>*@THFO^:43^$08.E>@.?R5N2'5^2IRM M&HK;DX",PAT-4@!PR_[0L;>K.KW"KA`*":F0P\5"F5P3[DM"-.XS3+B!$7=H MHY7M,2W90S;'-#.'39BU:QN-L7+N]':0G* M/OO;Y]61A0Z?`H7(([$9ZF4?`5P:'DO6=0A]1K^N!G858Z(;#QC*>YFWBG2U MAJ9`1[>.@HJ=]UO`B6=:XAK;A[ZUE5+6JYJ?%I]GC_=WL_L5^O0XO5\M[>U: M/CAO_-QP%6:USQZBT$OY\9HHB:;8--+I!]0Q6ZLN[V8V=@+HLNUE[SJPV6& M+N>RHY%XL;DA[+-]0MS+*'2\-5W@S8--Y+#$&Y>Y>N7RM"LEH`YHP#R'K:U. M9,#O<)VGE?$'LP+\BN),$/;WAHER$3)9)FA'/,_']#_T_ZUSR=A.F20:6J?$ M'_J0P9(5#P]"L9V[#*%GBZ(6X.)[R\)`_'U=G=Y-,Q@#Y MQHUZ,AL8XS"6B<*\PL;G$#<7$3E<1G[I+1>2K?1>J9B2A[/_);FD%!Z$J,B) MK+W)",_8!P@M9$)"*#2OLNYER;J%:&@I6S>7SN),!-'"/8Q?@Q/6[.L>NPGV M;E(V'S:MVC6[0)Y,-!4NIH:&]M"!7E?\SA6:V3J8WY^(LC4_SCBRH;VF?SI1 M(*[);;@([/B;A%XL]@:",+B(\-YYXT]\Q.F.>K5*_RJNAETYVJ0NGMQS4-RW)K.\:S`+P\#+#I63ZJN,MV.O*SSW2%M)ZN\ M"]34=ER.=GH'J+;A^)S-T+68?`P"F<+ZU7-QXFM6+CL-\XOJ:7H&KGS94BUC MQ\>R$K$ZG;ZA/61\T5&UP)BZQM!Q1DOV7E/@"PG*`WAH(.K5$"H=;::O]ZIP M64V3L4U$UHXOBZS&GYJVD+&G2<5#;*-H"!US&N7N%6\$][(C#AWT]&6`*MUL M8LR@B@(H&)*_^)PG1.@4#5'T`8I0K52N+!Y2U0%P>J2>W&=69(BA%!#1*1H" M?8.@5J6*XB`@-@1JAV"EG.<6`0%1]\.L3G$O=3Z67TB$::A.&H`/:)4RFL@DGQZOWR/1!8F\6OW2H_"Y>;C$NGM*MB4%KF@.%+UU%Y6E>U1;PC-\H M@[G,_R MBLFWQ.$[,`171\>-C8'[:KV2LI]6MP3LHPT"=QVOHI"V1-?RBUP]J9E3?+/L M@%=IQ`[Q6_EA39\QN&.3RB=>J>H`W3D;Y3[/1S/RT'RU9ZW=3&O_0-^R"]_3 M<=_!B^N[C<&1-10_\>6:/M#=64?T\\;V@0,TI^Y?=S\,GB^H,+MS/5OC"L!M M7:TP54.@'MFL7.5U@%OH5<+JA364'W]KM4)83RHN+N>W\]5?T[ME]+>Q=OF6%5;(KG&*1&[._2!QK7/9H16DLGMC>/)6NJD\&^C'/F5H9 MNIQ^N'A61H,XW?-+NTXF&+O-D-<+*LN&#L*A=S=75]]9O#QD M&5[M6:DTFJZN#"+Q`[^*NWC!T1=V7BFK^Q1C;Q4N-IL8)U=AS"J[+,7H)L'S M:HOO-HO2VP6YRPGV&QN8JP1Y)%FL2)$WA40/&2IV)7 M0:,;T"FDK>+R%EA3'X"+\=:B=SZ1$0QX62/.`DD\)DAPZ05&J'.NP_I-L"&U M=X7V>^KR`@>>EM-.<:,9!W^(0A=C+V8U0-@N16$$A:GJV@-WZ4952\6\58T! M.W&SS)TGNHRRJ%[#:1\\V5+1[MZ4/;Q1[9^XK1K75/[;8_8Q>2ENJZD MJB%0GVM6KGHS+&\%?;54+[2AS84HHRM%B]3DHD`J"S%%V,ARE;/R7>&>I33S MO1E>:3X>/"=Y$+OD=&WO.O7]NQO$&5[>BU.7%TU\M52E M=\O^D%&IBRD*L&K3&3J&==+%^"Z]J`9WP+I-&&5K8@GI:+OL_D6VS*9@1WN$ MSP'Y!RLV%_.+']ZA=;ZJ%I6GO_(VK/_DN*''Y'*)2-O,0%,LZ!D)NE;?I#[R MJ61Q3K8@%%0Q=BM>^A@8@P?]73FS#+>.-HTX1_&P"\IXBHTD"[AMP2:\7L_Q M;H\T%NFX$39QJVQBX7KT[.\IG8.NPMT^#'2O1ROZ`,7_5BI77H^NZ@!X1:@G M=^=BGYPH.E"U?E/E2,W:2RJJML#';JV*\IBM;`AXK-;+:VJ,6KZ*8EG)(1\/ M9.F$M7FR1TV`^UV50N77_P[?`_:R2C$[;PMR8I8S6(UJ-$UH1_:4SPK[^"([ M*)R@>>">!/'#^1)+SPV#A)J#DGZ>!]0D.*[WK88NP'U-1V'9]^K:`_9%+;&[ MCN0R<913M^RL?:M\<56AL\7%%06."%/AKK'X[SQ8)J'[VS;T/6HJ,6\_4G%O MPH@]J:"P6GLJP!V\HUEDGV])`C`,=-6D>TEOP0>]RSE^Q\J9R$Q_C[*0\E?& M&&6<^\$,C?/YH2U4-@7F].UAR-3[KS1.\A>*/8^PO4;'?W"(-P^REX676QH% M,>$]M@C`0A0;IZS!9\=/CU_+&)`M<)0:RO`RK/7- M$S`.#J9ZY\7!04#^BGDA(F(R,@S-I)P@+N<%%Q3)DDY0(2O*A$59%J$DKIW8 M#+S].2QG1G4E]O:@F1DAPELJ"'FALQ(5BB67+C8KYRO]RT]9"MF#2`B=)DE$ MUBFO3+8*J^/@Z3I.(L=5Y5[UQPTX$/=L9AE_>V(%&';[UKBKMY?D0D(P].XV MC./O)BSQG)VV4AGYYHR0$F5B(EE.AM3*M7`NK*75\#A,3[A@/]L\H:2X/X_C M%'O7:<1LPN<7/JGP[]B3UF$0S[[BR"7Q20+=.72`(V-GTY1/-UL2`8QFW74Y M*RI!@B42/+.0;H(XVXE86J.,,RI86ZKM.[B%&#->)2U[<9D2ST,\O_C@J_:<\8X$8422MSS* MR3+_-8E%6"1>$:\.BWX1&WD*>QHD#]SI31M2!@I3M`&#BW$5#9_L35`N MD;BE4Y*I;A64R64+T,#8]<1@[`%TV6+$_GEBM07R\Q%FLOPA%#H]K$E0E?Q] M+BW@,'>6B9JS"AH(`0:P\_0QCE;%,21'JYPUDGA#2E'HVTSSX`7G9PL[Q\.L MH(Q1_%%<#*K65L;@I>/CQ488IK0]W(0+]`=*96!JX2 M.6R](E"$!,Q?JMQ%``R[NL/?^&2OEVN/;`GQ+;^I2 MW2-QM>D.)]M0M3NNV14H6G1Y2XTS?<&1\XSO4Y92N]CPA(U8JFAS M3?R4-J.+7="B+FU#YH$QXL#1PZP197PQ0QDP`AE6L*MKYF*@3`XD!.&U MZ[@HQ[OH3QL],2+EPYEX)_=LF2RAZ<-]9X&D74;KR?ZM#`"&'@6&C.>"=I M^V=1!8R!!I4[*[E?B%`<5PJ//$Z*XB#"\GMFFPUVDP(ALP3+3#@D2V<'%0%8 M=2GG):!W)(>Y[RPF1;E;[*5L<3L-$N)E/^82NVG$']>8?64)9-ACBV"6SY6* M?1RZ%G:B@*)R_(`C;K05,Z`J5\0T$^"8UX]12[E61CD`QL*>%.WLP9DX#.9D M@=!!(I2+)"(>22B^W96)Q7*[!%"B7[EH%B_9GVG9R[=J`C6%7_KE"!P=!C!W MZ2I0?^P`X\806G>^`*0`#MME;ZI5OG=VN+8"CD:W47KDJ>+-;G7H,SK?J!#= M]`!G+"Q7SK&E^Z1>^0%K6^WV?OB&Y1SMVA(@=>V!NW6CJJ4Z5ZK&@!VY6>;. MI:`RRJ4[!Y:+?O2G[1+&?8$S8Y9;Q8.5/9`'[OBF#6DPG+X%_*1F;RJ:CB-: MK[!O;3WA"=*D%X5-RX8F?ZTZJ:SL`Q[EF94O7-92M`2.2AM"=LWF+ MQ)<#<913MW2U8@AMHX.VL4);&Z>TF:9"=9ZL3`.U'4>BR[?L2[VCV#:4@'OX M&>:I/E35)@,8$\[1QL3Q:$88%6R1Q'?"+B;E+.S/YXC MEO'+JC'OMV'P5KGCV:XG4)?HH'YQO4BO&_3K1"VU,'!]J,01'5BB@J=X+^AX M0LF?`F+19D+;B$>)MDZ,"+N4)%XJXL.>TMI'9.=$Q']C5Y0^I6].X`Q\G6@@ MPS9;T](^-"PCF$3+F$KI?2$1I1W'-=A8W0XT$M:H=L"]BD;@4:Y.9A.8QNFC MG$$;`'O&`7L_$@L8B_`+#E+,WSD[@C8*9),T&K-/I-/$)YY1`WI`P9 MX:?WR_?H,XF>:5,AD6@SC=+UX/#7A\6/S&P5V0;0SR!H/2TY41)@-6!5M($, M5BJ5"J`Z;@`=I)3R&@`H#@TY^;;QE>/[[,N*,(L"#0>>@+"_^,-G0S^\:-QJ M3VA96,HFPIA73!X#-LLW!W'H$X_[@;A#I4Y]538&BDQZ2I9K'U>U!+Q3TB!P M]_*W$EEQ^FP]Q?-4U=K4SIKFHQNNZE1.5=M1#5E#Z8N5@]9JQB8(58?ST,6> M+9Y(\)R?:=1F9ZI;`_?/!C5E]U0T!>R=31)W';$%W>(`SG)*9O^*VC][NZ-+ M@(@X?G&=/7CF6%'KEXV=@+NGGM*ETJVU/0`[JZ;@78=R3AY)]//)QJKO]JSW MB;H`GJ8O8&7J)N2%IQIEP*7S2'UC;^`^W=(,E0_7UW<%[.5M-3A_YCK0M[[J MRQ2L4+UV]:?1#?J0UU2\--8;^D`>Y+JB=\[OR#96JT>YU65B[[JWTGEPWV9% MG,*`BI=B+Y.4+F]K8U2]GN/P2_EQ7EYF@`Q?+P>L0%BAI M'A;4K;MZ51[?;'MM/_CNKB?^N?Y>F:X)X`;=H$:(52-9H#=51=18N,AIJV`!U26^3.1Q*"-I*)6RLG M:D5;>[,K>Q+VBL_WSSAP:7!?=XU"V1BH8^HI*<^9U2T!.J6FP%T'*2.+2G3M M%VP[4;4I_*OM,+8A6QOJJ5N/:>B:BVBJAJ_U6*Y'?5EI5Y(]@,0R3UV9C<%H MKJS"VR,.\*OCWV"\V+`4?598(0V(*Y:,M\3%07P\EYQ#!ZC/GFV:(C#L0@1Z M.NQ9.AE(F66)K0Z_,2\NN'+V:(/%`Q0G$B!?B#!P^JL5*QW!Y!O*V*(;89U3 MSBAC;2$FMS2.-(=+?R"[>,&1E^+E'KM)E.ZHPO$UWE&4Q]X7DFQ)P+XA&^)> M.XD.V+:E-R+0[60J%?BV(C8R$.ZFFW$P#H48*,[D8&[&7M$6DK#+TJS],VL6 MY%<;^"4HM,9H[Q#>Q.'=J;"TAT?%M0O'W_Z3^&_KQXP0Q()=M^9?O#WK32/\W^F'^428+_>3_`%!+ M`P04````"``*BFI%7`.P49@U``"ST0,`%0`<`&%T;FDM,C`Q-#`Y,S!?<')E M+GAM;%54"0`#,SEA5#,Y851U>`L``00E#@``!#D!``#M?=]SXKBV[ONMNO\# MM\_+W@_=G:1_9FKFGB)`TM1)(`=(]]GW9R#1BP9,F6 MD2Q2NVI/.I%D?6M]6I*6EI9^_\^7A=M:`11`W_OCS>6[BS@`(0==M=7RT])$5X@9:;]^F M!6^L`)?"O_F?F]%]Z^K=Y?8OFQ9\[[?6Y>7[RXOW5Q>7'_&/OUU^_NWBLM5^ MV!9]P-V80HZR+O1^_D;^[QE_MO42P-\">PX6UKUOQ_WZX\T\#)>_O7__Z]>O M=R_/R'WGHQENZ^+#^VTM:@GRK[>;8F_)K]Y>7KW]M+#XO"#^-L=' M-L7)7R&C//2"T/+L7?FC]G]]B$M?7E]?OX__NBT:P+R"N-G+]__S<#^.Y?)V M^P$LO5;K=^2[8`2FK;BEW\+U$OSQ)H"+I4MZ$/]NCL#TCS=6Z,&W1`47UQ\N M"/[_Z/IVM`!>N/EOVW-Z7@C#==^;^F@12_]-B[3_-.KO=8RT]<[V%^_)']_S MM1-#Y)+S^ZK`QB%F*>E)Q_<"WX4.(>V-Y1*IC><`A`$/+)Y6M`+U:"'\YSD( MH6VY-*D:;A];MP78_JF\&H\;4@UMUY?AM.,OE@C,@1?`%4BZ6AII8;N: M`Y=#:K&/:"42*YC?NOZO\ERGM'9"D%T8V*X?1`@,T,L>7BOCT%(Q!:T/T!$7`Q<38$$H-9[@M*A'%K0?3= M@#!=Z@`TGN/ECEC?. M&?!LX:'.;$C/]=W$>G9%87(WVICU11DI5/F./FN-,LB9#>D]=9=2M&CC"F?` M,OCV:^HQ&Y;!06U$BYFQ#"):&[KLH;NQD1,$Q6I'/;!L?ZXJ`#MHIS$S82F5 M5OJ0/G-A*>SLEI3OPDMARFU`[XF]'&^%6]=BAUX**[41G2`)6EQZ*PJ78*6T M M>@;NOCCRZKD([54CT237))KD\G,LL+S6]@5>O:L3/[1S9#X+7D+@.<#9_A:&Y`L7N.\7K;>M34/9'RW/ M:26MMLI%R<0(B6)\>Z\O+@F;\E'1\":_^9.%L/V,5RB6'6X:7ERFP5O_@7_U9_+Q$9A!\DTO'%@+ M<-!?6K$_/W_X].GRZO+C]>>+JZ\?+S]??,ST.$N<-MKOO87LS3?PCT=&O/H;MER13Y"R&!IKWP!5'YR`'HCS>7;UI1@/OJ+TFK),SA5`KJ M8&3(GBJ8ZAD;URYJBF&%:JHX\*=-3&/71(+V]=:Y:CF[V_-U\GQ7!2 M77Q2H(M.A`C@6[RQL-Q_`0O1APRM:/,U)(0L5=9G=2N!I+?;C2T)38P"^H(@ MMWCSE2:,+E7<%V6*NX4N0!W,JYF/Z`NXO5*FJ*D85*J=K^J&E;]8^-XX].V? ML0LL&$8AN2/B)#$NE,'%J&2*[H0QIJJ\5KC\VYGR6_R;/.-(*=E\I8D`V^QJ M+Y2K*EFP\BDK4]8T=15!VRB,YH?X_?VANZZ*$X_K\A:/"^_R@KCPMLWAGSO# MP7AXW^^V)[UNZZ9]WQYT>JWQMUYO,J[+?YYAQL*O3;KI"YE+R05EM="V@.YK">:`9HG=R M/XT<"N+_D"/JE>7&QX1AQT)HC1=M<>0+A0=<=37E!8^*C^E1'K$A=!D!+"]H MXZF]"G$$6S&*0C*P4P\OFD6FMFW[$88\`C;`\)]=$EN22I4V]3"J&$438:#4 MO:5LJ+OK3!&'ZWOD!\<;O#R"QFE>0YHU/.89HW_;MK9B?62".P> M6L_0C0,R"RT!7V6CF%$!,O74J%F,>41@:4&G][($7@#PY#D,YP#MR91"%XZ: M1G&E+%[JB56SB)(`_09/KI5XU/%^:DG\?7A:+'!F\535E!3"4T))I(9L-ZGX M61L-=B7MB%%:QP)T*=R7--W)A??>T2)RR0%6%^"NVS"][+ET09H2H;T@(21) MA@2JH.@^#"G-FTR^6F54U9[EWF;1RJ)A@9>8[DPFE#!N2?XTU2LC$@0_A1X, MP3UQ2T\%2^Y\ MW_D%79?"ALV?S=`Z$XTAKM7;':LGR'(`N:L4L-:Y]`IF*%T07PW^T@J#G'*; M,(.I$P6AOP!H!-PD-\<<+H/C50!OM6;KO!)*0QR@1`WQEV9."0H9DEO6##+P0Y/E0%7M\HBQ,AWD9FB6@85Z%:%9.[[,H3"V8O%5 MC+GO8FA!DH.FP!_.6UT;.I2-[:T$U!"7>$8&?*&_]`K:\$&*?IET.:/PX$T8 MVJ.U)C%HQ.UJVR@BOI)#<11$['&TH#.%JD7QE05O"(NZ<`4=X#D;.11$=N67 M-H\=(D`-F7!2^B<)Y";6"X?UR"]O'AO$H-;@A59R_21US;2=%;DH2&;J+EB2 MU5L!,8HKFL>0DI@-<6EGHE^Y%Q_,.N811!RN)#^W^EL#L<>&FQ>4TN8Q0@2H M(9[O#-KA]"CFM7A?FU/)/%Z4P&N(AYO;1IR#>1"S#$V/$LZ?'@O/.8JJZ4P+ M&9ZO4O@-V:\>SI]\AV)G21-!Y(9L8#.`B^<1TRE0!%763E3Q/,)^!3#76T&O M83HG1*$;M-3&DW-%KT[>ICYO>QO!9V5)R2FI'BJ%'6HBT M8AZ)9`C`D+W)L2RY-ZWF\8(3HZSC,<6^K0?HQ;?4^AXF(0AHL\QA,>W4+ME' MP877D!/28V%AZ^=&Y`F'1Y)R`>LP#!%\CD(2M#CQB:/?]T+<=]R560%QY#1N M.MUJE)(A9[E%`B]YN\5T8I7"7]O%J%._0/$8BWL.0FA;!P_9,IZC^,3_'$7K M'WN?^.>;U^>+!5@&A(*M"^!Y'6S=A3.\;[@[]V\ MP63'827#6,$%SY"XGSSD_2"(A)B05#"2!0QHAGCH\U#3GX'DK&4D%SC?@&RZ M'SYS,B6XAN"HV7ABE,5HB$O]Z&'4PJ4#HX9)9!!9-#3=LWH$F[EBH)0V3_G% M:X6FIU<2>"^:IXIY%"C]3'2S>+`7\)0@YPG_2DHV7NN\F.@O35?5]@D7[%?/>X/.L.'7FL\P?]ZZ`UT?_CX0`@49S*UE)I3S[0;$^+UI)Y> M9@MI,R`+Q+U_LEB(@.K5593BWHGL$.\7`%I!&[1?(..ICJ.BVJA(0/YYFVI. M9#JJ+CYH3/H==/V%!3VV_H[+:Z=$;GU05UT7VH1S(E+N>V5=?]G!;P(!`6WQ@^+Z:MJMM:.U` ML`S(0C.1A^^E\LA=?3-KF*7B$EB5CU]):W$0W[/!J!\L]!-D!$A;DU,K&$.) MDE!UW7%W_"`<3K?[S'3)DC?D\TL:HU=1C(9LM^^`A^7EDKG+P1,9)+(BZTGV M."^H90PIJN`U)-ISX^;O^(OGS4+'Q@,D"8.(GYH$#ADWM%T=?P/&T:8B=$-" M0GD>MJ=PAZ>J<:PI#=J0Z-$["WHD`\G0Z\)@F<9;;;*WTR8D5AWC&"*.MFI\ MZ7YJL8EBAAS)C]>O9!P3^!`:\N+G%NPN2U&1XG`Y9)K5IFE$D!P%>_::;-&02UC&5(&=RV)BG<'EY\5/H-"%2MML<&L9"QK M2L!6[@2O>44BNA(QEANE:%%Y(:)XH;I;CM]BH28O@$18`-L3P^`&3'T$,B_? M]EZP5#%\Z%EH':_XA)(,UOA%[:A9>G%\:B')\OMKP68LCG3DW@`/3*G9N"FE M36,1'T!#_/;%`T=BOM1Z/F8:_TXB'T,R/'=A8"=B`KN@G7TQYA;I1B32YW%N M!6`8A8]X'^0[!3GEZ_B4.=0]F71J2**QVY%>:L3BP_,?RQU.D0^7E$S3O5V!VZC3ZSE;A@,I]G4,CT\&.+,[>P#ODIMFL,@^6+8D*[IX>O%>R;6 M'BD6%>U]!1E-:T=!^4PJLX\M*;BJ)Y?:/)XHLCB0YG"I_IE7-M)*B/$1?LOIEUS*&).,P-*9H?5UNT4\,RB<7!>O)!L!7MB".N_S)[WF(9 M&!*8R[-A:GM.P4G+=E&Z)[<"@W6*3Y\!?4\H..59-"@Y$^HXT&;9TM-\5#ON M*N/=;@@HE'P-!E]Y7C`YY^L\RXX:OO0Z/NH.G.`>%&8=3`FH18(O_Y73-?CV MN9EKI*=`Q$/PRCA!7\.I;LPH#_\Y1-^%;A0"1]`-=5!+.[I) M@XK+@9(*I+(S*MN.=O0IPX*2#JE".;RZI"@30%9R)W=*Y7W\+&A\4N$IWXB< MUC7%L*VG^JQV'%;(OM,XJ%1,`,I7H=(\&1S+D5J^]3I.3N*HXAT<9^:J$EZ$ M"[7XRFV)#BM>!IOFLDIQB_D37IE7PC=Q-JZK'P#.YF3_LL)RG8%!1!YI&TZ/ MGGPOV`R*-J,=*4L[MZ0@WRQ'FYYW@U<8+-^[4!O:\4@*'` MK#S$.$9KYXC\]/(YZWWJ#[C#:2(6 MO*K/$19E:2EP3P*,,&+_YOT:.AE1LVB4PU2<.0A0A-.@69K]L(!GB)EIZ3\&2"D_\A;4A: M,]/X*2U9EI+L['XF_RM=7L__#%NC#G:RJ/8]N04593XB?3D$?GDI,BY63\%P.E[ MVV=!VS;F-D\"7?&&=#095`4>9'N2`=40GWP3#UPD:_)H8<\70![J\-DXLM8.F"F`2>TUX0-]K? M\>]I]S`XJFI'O)/QXYB:I>5EB`V-)1K@KM_ZJ.M'S^$T'T%GH6EKDWZ_A!F(;Q,^G%6_V5:I)D)ND<4/VA\2;1"(@] M+L`+6!-E?N%74I62D*SC.<66J\##1F&2R)/S9TZI,J(RYOC-I$<\SYS')Y-O MU9-&;"\=)DN5=A``ZDJ06>>5CE4$5?5=9&UXU;0W9<^46)^+B;."5FM*D5L.CR'J0;^.RPMH`>*'^[#*2H116U8YP M%;7.0R-.*6CPZ",E$=LQI+ZWPG+UT?H1@:6UCL=KVW.2R)4($:'GKNRJ-F,$+-O(4F7KS6S"7D;*$88@S.T>N M9&@="A>OK?FW$90&SI%30K(PQH?-'R*4EXF[3G#:3=?:K2YOF04KZ8#)E_^25>V2R>#]LJRJ3J/*R)N:-(@3@+`AFW)A@- M:4,U2;`__=DF*T()`N1O0 MAC&2F9`3\%E-)G(=P!.='LO$@K`!<.+`B+'E@N$4_\:)B*`!,P2@N.(9T:N< M+`RQ6,<[\!&6)X(VYCJ1-[<38[_:^="GE"2J[@]U=USDB+6ZXX*ST?.A7@UR M,B4A$)]8*CLNN-L\'U+*%Y.LW:6>CHL<,E!&,< M#Z-MW.9P>N][LPE`"R(""EEHQ<^'*4(2J.H&R*6)\C?X]CR]9&H>QKB"W@M` M-@RH#PT5UCL?%I43A2$[^(VQO?41'DT1LN,+IU/^A3*]XADQJ)PLC+FQNSO- MW"SPXH00<]_%`(O6.OF5SH\\`G*HY4JN5E.9"(\*JIT1D\I(HNI=6$WF,7ZA M5C^TXVST?(A7@YQDW9'5\-`N1RR5#^VXVSP?4LH7T\;!>7$VMK*R73P?NE64 MR89;E9.$ZGEL5WW2U7J&E710=XXA+>31"_P?$N^ZLMSXDB^6#4)K+(7OEAO1 M[K%RU6TL0FK<6X[Z)`NB!(#B>3I@/NUQ>X/^UWK9V[>)_#$=W[4'__[4G_>&@ MU1YT6S=/X_Z@-QZWAH^]4?SKVAYVH22]*$2[`T`)?RG?C))E@Q42'4^+5P=' M!;6Q\545M[=`X(/9D->9=IAOK``&Y#;"KAG.<7MU/&YOVN-^_/[2XZ@W[@TF M\4@]\4#-`<0W-#DK2DFAD_.MW3M9"5%)QBDO3%.RD,2CR/?PCW;R?M:N9Q.L MH!OW^%BHMN_H-;R%U+W-?7,RN33.'CR1<[)>$,(%7OWP3N$?CDW!T[A'#$%O M/.D_M">]4T_7^S#X#$!Q'2ECG_89YD`NK*37J.05_W9`EL/7N-&5[]M,+@0^ M!2,06M#]`1%P\0IELU+A'(,?C\=@MS_N#`>3_N"IU\VLG,DSBNW[>'@^O1N_ M:XUZDW;_OO6C/^K=DS7V9K%=UY"M,7EP^F!&G(?V#OG1DA:++EQ;47[D3%^V M[['G][W8D,AJ5AM34Y("!SF-YJV'7GO\-$H>9M7;GFQEL(-",Q[LHBHL15Z/BLP`LXXV8YQ'+=D! M+8ZJ<:,U+Q*Y8)!^/AZD]\/!W=M);_30ZO9N)GJ/38*T<`U/*Z1B/&955#0. M<\MJ,_[8HL^./'X.^AX60+1)??L-.+/&_6_X_7Y M]UZK/QA/1D_)6^;$^?VMU[WK#^Y:[0[^FQX[H;?>Z,!L3:M MNU&[QF4ZQ1UVB(3EH:.7E>*9.VR>Z9&C%M9FT'&)=^N!$\/3N`%#CN3#->

)KW_?NI/_J7WQ)M@I`R@PS\J>>25W+Q)8]^3_@S\$/#/A=SUM1F#^2K9 M>ZFU$J;&CII/D`M MY.'U2;#!3ANJU&(J!NUA;XH&*;6\/H.R0`W9X2F&IG'#<0QF9,H?@25YA-R; M<8[&G)BM<>\N7D2.>H_#T03O5_4>BH?`*4.17DS)_'G0&X&9L[BF-L.S2#5[ MLV=)7(T;J.3J,@PW&]TD+GT&/)O;Z729$Z^%Y\Z'_F3G:4I.B^]Z@X[V3B:& M/`K=2H)UE<19\W2Q:-"+-:+-^"^EVKU([.JX&V'B\N)# MF9CLUC^2K_SS-3A;#,#8G@,G2M*"0TS4I>6.H^<`.M!"F+4Y3V2,P`IX$=A. M?.E$2`C_8*&?(`S&`*V`$RN$Z<@ZU;>UL2\RPL+52ZYQ%JI,[)N0T?IX;+0J M1L#5;L_.(!2NT.()A6`EOJ/MU:QLD(>`H:OED]K8MPIA<9<%CYO,4\:IMIVA-P)VA/"T/XOODC"M3RW? MT,;7+;[@D?4<;XR4Y,.DT@FJD<_`(%H\`X1Y3/HHNC\1:$N?P2T0U2$/:>-&_.&)N="` MSSD7.HK[:,AH;V8`R&YZ.NA7WXO7CH05-^OTCP(SN$AKVHQXH4`1B5@;-^;S MDJ3$YRU\X_XC=ZZ?UC_2=D]]`MR(K#][YX4^>HS3M6VW?S>62[9^(V"[5A#` M*;3CWL3&M/#<5J@U;09PA0P^DM$SAO0F"?\'53'SJ:=@;`//PKUIOT!:+K;< MLGII6[+><@P]MPRH.E]??*");`QK<32FOC;K%%9(W:XN@ MK&U>KFCW#^G\`,@F(\^FYY?43Z5":CFPW`(8E2M4SM@^.!F_]Q/@#$/.J*$- M&4YCSD4E07VK4B/%,PT[LXXVRB^K'FX%ZVSFY9#C#G@`66[;<]K.`GJ0+'3) M>5'O90F\`.1.$D)UFT(6KJFC.G+EM*&L#@0,)][[@SX6WN&T4;H=;2A2[V0B M5SZFO,:^D\ MQ'U'8NNJ":Y$-5[$9#Z=6"_IY'>#Y\8I##D\AJR:V@S;JHY!89!:.82VO6]' MX3QV01;N%P\+:Z/)JHJA[1JX`&NN58[-X'%Q;31;0A\\RFS*[B\`]KN9OWH? M/Q*`U@D/TG\<4B#]]9]W_SI0]NX/#5`KUV:M`)%R%5)F5HI=8NZZBNIHHU)Y M-K@\;JISKED[I]YT"NPDM#<5PL@*R2["Q[L*%R;:#&^!0SP5Q-T1X8ZL]PI3 M[+V$EO4B7"F:',\0=5VR%4++CU\_?KF\^OCEXNOUUZM/5UH<;Z7>M/$<@##VSSLP&1N9 MBX$W:Z$[Q7FNC!-_71N#)Y,MA<=P)Y6FACOT.@7!?^Y?T\>UH[1*\JD8"LWP M50E!&E@+P'1EE6SM#+DJX#F3*53E>R':>XGC_#4J/8J.74,[1LE4XH&7IH0D ME-,@S[_J`)C8+?S#H;G"O_KS'LPLMX>%E7M*DE-".Q+H,07R2JJ&*#M>52<] MRYUJ#O^LC9)YQ;JOB$(HRH>6;0()A"*:^5$:0H'ZS2KMQ%Y!#[2CJUZ3FFI- MI$/J8\4AM0+HV5<W;`#C!+59V%ZY`@->L)"W\=+/E![3!P%'S#$DL&J%0 M5HHUV/3=E?6/DC9T>Y)C"^Z'CW[BOW6L)0PM=Q?^GAL\):/=5VZR=Z.UR;B& M0(@=8H,_X?DDEWA68?DF0X[%D)K+,DX"SYE[2#8RBN5"U<*,B2: M\O5S+7P53C4FSPA/YA`Y=1IA^@=>F2O="`L*.R7U%Y.,<.\E1!8&!CT+K8FL M21+^(2)I^`>`B,AZ:8?8'#Q'89SMUQ_X'A$H1N+&V4$Q&FPO:!DB6=\OZZX0>*`A-C M^@`G#ZNY&M*.P'72I8"0=%!FKQ_N""Z=2OZ$O.T^]_JY-FH90NP-0F#Q%`X+AM`N6 M?@!#OJACGJI&$I%-C&,REA:4(6NX!]\#ZP<+_03A;>0YG$'M!;5>F5521H:L M]Q(IYRQ'*'2BEG\EDK!T9,U]?FBY)SFEO_>]V02@11<\AV*'\Y^/#^?OAX.[ MMY/>Z*'5[=U,FG(F'T,O>J2,73C.$QTGBO[X]4:()D<[WW+HZ?AW"^AO?JX_%R\P)1K3=9EXY7OKDCZ M%MQC&-Y:=IQ^E.D39=8Q@P7EH2K?2M'>?_V%4>!B8!P],[5<4%H[_8JKZ&"P M"V(U9.#?@Q!W83A-I,8<[WE%C:*!,%#E@UP.!P9^"()':TT6I\-P#E#Z<_XC M"9RUM&-&I0F@#%A3C@'V!A)C/W9<4#L.E-^-<8+3*D)KO\_,G5A>4>VTQZF# M(N4U<`_6QG1U8LKZ'`MTGBJ:*Y=_CU8&IW(U2]JT6=Z,Y2#;_ET[99>WPVQ, M6KU<$'>5O8/>E=!.16Q!4Q1C_IA[@!Y<1`NF6O?*Z*E8H?U0,1Y3E&N]%"LW M6\8$Y1;B,627^]U"D$PTY+UNQJ1Y6$P[%9>?.[F@4?/#JM89<_]R7%`[O7%) MGZTTG7X[\`AV._[-\,1VS_)4U=K6@BYI,K#-80K M-U802XU)BOU"YFB?`Y?R>9N65W9O`LM*@(`:>N`'`#_IP[U4&\U7O#S8ROW2 M97GQX'OAO"HQ#ALY%V9PX:[A<0`USUG!1?'4<%"J^400`59#QGPE:X#T?:S, MVRR,O1VEM'::+[_%$T%(I8`NBB0_(L#>^!76TTZY(BKB4W`Q7N4K?LJ4__#A M!^ZYB_'\ M87^@Z()7[K70L;A=YD5%?1"D?K7T,@_4Y^@D^V=M%,(KUGU%%$)1/JPH9O(& MH$7D6%TX(T\K=OS%(O+(G5&2$9YN-8MK::7/0NT8-DQ\IMU]B^LX`#N!K1AB83H@6J@J2_5(;_R5><@5:%KMR04"8` M$6"#B-C)X93<5#RT'=4:,X0M-0A!^=EJ'1-0%P0V@C&4X?3@"(FZCQ!IPA`^ M28.N_"2V#A;%<,<8@>4,O:P<+KD81*]N-'L$81MR4)MGE)\\#,G9F&+BUX%A MG-$=@$>`;*+C&2VG2^GV#..67#D8=E:,H3]#+WU6T/9G'OP;.'T'"P!.XV&7 M)M=*3F^<_21;^&]8(\XM;L"SH>5F_E1P0EG79PVCKA)QU?`>NPJ&CRT7#_MQ MZ-L_=T-Z.!W^\G#'YG#9GN(>9OQK%,:*-F,8`Z7`E_08N@;/-.[)C)Z2MQ#;@V[K6Z][UQ_`G.RGDJ3J@C9F30+=]>Z=4@EHE0Z1UGW$LSZJB#64TT34?^9C2TY0N'=^+ M!UAA!DU6E4;0A:D=EH(Y\2H_X)%#C>RZ;XL8T)I+&TU!)N6J54"RGX\S9B5K>``H)3%IB8C#$4'6L8'[K^K]2 M\,P)*[>L=AP14^,Q#?A1&D(!YJ"Z+XQVXZFL'4F:-1>QY6A,>`)#`IFS)2]. M[-KQ%QC>''A!7(%H9N>H]1$1P0#0'T>1_ZEF45S=OIXL^3+)G39SYTWJ:5*K;90Q+J.A^[\%4`>DC$Y;SR$$!,J"I+& M\XX[:,6T&99%@MR]VL`)0BM'[W:I=P?\&;*6>\Q5%RV<3W&H,?1U>MC#%K-H*^/,?`I MZEBU#7B,@<1^4X4.S>36SR4 ML5M83V="B#J-RX%5/MAE)3-:`2\"Q!^>2(\V21^6,XD!?."4[W!HN]\T:0+> MK*5[!+RWOX7D=[B+]@WR+>?9\IR^-T46.16QPPCE.J;+M60"$V3#5SY_%'`E MS=H7KMN>/?<1.2V#811'1DS\'W-_L06+=_[QE;NEC\(Q0"MH@Z`=V\@5S!P3 MY=%(VD>,8UB]DE&>HX!"OM[+$M@A<&XC,FZ*9AZ>*L80HPS.VK(#G/C\^8K[ M`/J*_P"Z=76>1]`/?GS??GT;8<-!.X`^*J3-..(^?N:#(.G`DB)K^A`0;:%2&GC\BU=!+@@L%V1Q,))N ML\KKKEC^DSIAE+JJ=X+@L^5F4=!52RMKCEJ%$-;@AU@BZ"/\Y9@HBIZ?G.$. M+4C2#B)(QF%>7E&]F"`ZDPHCT^J`[[#7S""L_,+:J$]8$\5*U'GJE40`$(:Q M4R/.>L=^*3:GJ/;*%WLA(8Y,T9<[$$9_518*/Z#5307(N4JDY13 MU7(MSP;C.0#;>ZNL!S@IQ;51>B5K*X2.>CJBBQK9SVY2*VBCRE):X5.JSJ98 M#B'BV[:9K+G,Y71^X48006A1+8#3)!IT(D1$*\0&6AWM2"&@4PHAA*":Q(N! M[]DEJ,&H9B`[1-'J&MV571/=LT)W5`X06UO#F$$(.H:V3NWM0Z`C:`J_S0[MR"S=>F(#9=%YIQS&3<_>QD=@M? M@!/?9$H?AHYGMSSMBM0W1.F5(=?V@E5=4=B]OR(L*+'<7]?'N;]Z__W4G_RK M*4^[)*`I(=GYA8BV/W[]].'ZZ]7UU>7G+Y\^?%!\Q,YZ/V6_D#:#4T"TC$/T MIF472]"2G)F^QQL+D5='.S5R:(2A1FZ(6FGUH-?,T[G1'%=W'3L\T;)TR=LZH8Q0%A MH(:XQ';9X0ORYA\7U$[_U:9OKL.7JNK>=W+M[B5C095*R%7UY(^H=DP%UH*(-->?:M-F%)HNXR/K3"@Q"%"B?"MO/O M*`@WF9((X#%&L`0I`DLDD.X M](T)4N"[Y48TQT;=GST3EBL1HR%+P)S'3P8@'$XGUDL94U'@A:SI:V?"\U-* M3WF2)VFGNE,8DA=2Z,>X:0'M2'1*=><>_K($8XA7A/8`%,&]$78R*1P.Z0)+ M5[WA5S[FA$5+%ZB96WN:L)X\+!&7O'VV>3AJZ.W>E2*9\0.LH6Z$B"IC86Y$ M*TCS\A_2CO8U$8^?X9)E:8CEEFR-3K-@/5]RGT*0LK9D/MXO*O7*XZU"/P@B MX&0'=;P5C?\VC($%O1>`;!@9VPP@,S$IFG]A6,>`F[,;@;>9)8X"X,$@N=Y/3- MM]#?$HE3N"2K^3/A7ZWBJAKEJ0UG\Z%O-$)DM4F8@H?Q,_1B7@C%/A2T=29L ME">;E'I?=`LVST>8'75CRP7#Z>9,+7JX1RK+(J45->-GQ:;&8YQ:2(9ZY36QJ]W M(24BH^?M4[:N&SL#$";>(+P)C\_HA2[O7%X<7]X9]":M_J`S?.BU'GNCUOA; M>]1KS%4>"WE8T<%&&)1#)GHQ%?;E!X"S.39Q[15`U@QLWH&)>Q9D;A%WH1OA M8CMEQ=%V!>=H*8=FPZ`5/*T_(4!%2?-H!7 M&C=6`.V*_(O;:"SY:J(972C&<"Q>BY+PQB03D.\E0MA?*L:_NR$!CNF;GVV$ MR#O`<5@D*W:_4L/GPL::)&5($"E%Z.ET`)9:O5>3$64-^O\!A@Y%FK\HG;4/0&;CBE\:@%KE1\BO^\#:\%^":FH MFG;,.K62>6E6(#)#W#B]Q=+UUR`;?,7,2T`MWQ!>%6CUF!QB@`UA1<4Q>5^0 MTD!6\]IQKHFS)%N:ANR2*\J(F:562MO:4;E65DDG<7&67/DFN:YCV?1]JA%( M'I_*CGMW\5/VH][C<#3I#^Z:`8LF+:S?R'LNI[4Q\M8BW=K-,_\OG`N%MJ)$]D MX=3*"67NLZ6RU987H%7R;5,]_#6O;YOR(51N\%_?-LU$@C?C;5.*RN*@S.2* M@^62?\P0B?>=8#S+N>^MZ8KDJ]E\]5;`J7SG3U-ZX%J>4SQ6\\H9H%!>5,J3 M"+'-+)Y?"LWLMDSSU<:%R)!KS1W?"WP7.K%"DI-K^N(WO[!^"J]MU2L@`*UV M.L?]9JY\:<6UT[2`/GB4J?-"6%*^HR7`:PH\$C:[!?:+L?FE&T`#L9>E!6`: MPH,'O+!$T'))!D_/ABZQC41N3#JP*YG&BA)HE:_"I>6"="(['*(TV2MC19!7 M5#LBU+<>X(9/7>`KU&_0]IRTW^SE`+6\=IKFU@=5E9P@E4\#A7ZQC5N0QS^V M7U97K7*JANHSXT"IJUKW/$,(Z=J=7THT(%A5'/I,7@*U^WR8U*@`%)9@.]"#BI M''R/[9KAJ*D?;\IHFA[$(`K=+,[DF=_[HL<*.:KJQYKZ)IZRXJB:RU83)HW` M"N#14Y1HZ+"8?@PIJ\=C2G!A-29]Q@9M@>*U4SB7ENC*-5NI78![;,-8'_AG M%\2*\9SV@HR.OUFI?7FJ:D<&B:._-'[E;B9)2XMMFI;L4X"TQ41N89/I(8!8 MDOM*O379+M9WKY\4Q0[L2II,!EZXACB]VD$`PJ*5XGXAD[7/@532)D&]"7A$ M/N9ZN'YTK=C-NW7Y#@"-"*PJVM&"0Y>YI\=B"(U97][YOO,+NBY%]9L_FZ%F M)AI#5GV)8)@FW0QE,K#H>MR8OM'=>\'+30>&$:)Z:XJ*:Z="";-Q*PKI19@6PV=U]:CX`'?EGN+0##*;D[B"FPB#QH)R=B]]`&7G"8SZ!T.]H8 M@U)*V\X:TJ`K/U7DX\@0;QR<"(R7P`Y1M,!`\=A?6&28_X#A''KD+W`*[:X5 M\G!%J#TS.5-=!+5M(')GDM_?)TI-#2W^S?\'4$L#!!0````(``J*:D7*NP1) M[`X``/"/```1`!P`871N:2TR,#$T,#DS,"YXL:;<;7C",)'1B-1DAX@P10P2^_WHQZQN5Y:]L2]<#HM=%J-5L7S-UZ=WW1,LS^EK0/8LQ)"=IGX5P+>XE7R$!2(++`=HA<4:V?CCV5+*]76S^?3T=(XD)>-_DS,7-D&S+Q2CU5ME,CN1-N5D# M#Z,-H,*-:$U(A1RS;,MI5J4G5IQ.X'O+1!:;WGF2,S\ MGL.&#--"BY)19/+X+1E,2A8G`6*HP-MFT+A/2C38$2HDHO86NV=70_QK#Y#> M429'1>A`K??OWS?]UIVGD6)/:R1%48Y;X,D02`S##R6(4B;]@.;_%OVZ7A,Z M9^%/\*.2ZEJ-O@F8UE`?IJ-N]D/\,3J&/OW(TV94,)(%?).5YB+,69 M06"DEZ#;"A&)X>`YH<07&0QQ<6$TC&TW\+D]'(R'O>ZM.;%NC1NS9P[:EC'^ M9%F3\8=FLH-DWQZ$\B']R?^\YEA`E[YQ%(`A=TBBX[21:WON$8P[R?+YPE\C M,%X8HRY,B"N\;=+!E"+5(W6I1ZH[:`_[`-0$OO6M00U6";!VMA_.VVP%-EAB M*L@C#J#18%?$J8?R2@_E#D-CV(&F_OW(^F0-QMW/5@ASC>UAV"*Q[+CL2>>- MV?1Z'-\L.'VC-CZ-T28;M,>!QW$.&?D>OA/D;JNX_&+9:(N"%R M)6EUJ+VY>`O50,/8=05?.F9W9'PV>U/+Z%OF>#H*8?LA[/&?-639D%E_>D1N M9\&Q?KWM#OYK<:@"(,!EL&L(DXSH$CETZ+#"2(*60&UB3* M-^ZM$22'YLBJ<"D[1_R9U+"K!+[I0(/"5+WZ(5!E*_80$;J2P"CO8 M_XBH8P2]&7O=U5`=5G3=@]=0N<22@$9E*[`X4U$Y]K9\.6;\$.NZ=KR3,_ZR M^![435$MH$6\N!:H1T&Y:7+(%XB2OWR!(;3>>()0+,1PC8,%Z=1\6C.W/0_8\YZ0X'ACD`AYZ.NP-K#.#"1.K_7%<'.?C=($'`W>[W%$XB MED6BQ^@RC=&-.>[ZS@:>-@;'\U&I0QL@%\T_%R,_+'PC'+H2O*(PEL3JJ M#SVB;]*(WG;',+U-NH,IS&V[F*=F0+/G@ST]'Y\;(VMB=GO&0W=D]51TC,)D M/0`.6#DIM612`&'YM9(:FFQH>HPN)ECMWL/!76-BC?K& MK74SJ>V?$QLQ)X\@KLK-A>1^-2P@G?N$G06A"].&)I`J/7F59]0C]V-&%+1& MW<\0^?PY2 M[7J8_I6&Z6[XV1H-%#;&WJ!@SPFO&(7M>).%(M>O1R%@T&%MW?@P:6??#$:3.=S44V5"TV6I% M9#1/M_UJ9H&IG3&YZTCU`&6L&("C]+N3W1P>5#AWUJ!=3]_'+\=-T,Q-`U>6 M30?BU47KXNJ8I3GCAZ#W>HWU!1-U\N4S#FN>R"['MH@RDM%4R5?C<_CN<,XQ.`VE M#J*ZY-P!X&UC\"E%JPX91%8EP5@Q;$R+FNT7K"HR_&]4[K2X_WR>\VU M&Q^RM9D#>!:)'LC"CKW_*\]%!^/:*G;H#6@!^Z%9J#:QZ9'KXR&Z,U M1$="E$IX&?_O"->*VHM7?T=!<";(:NW"DYO?1BT`[E"U$EA7 M42L858=J%1^(553*1;-#E0(6[);6YT,S>7=(^$O\CA'_AA%@A:G'H*FKA[1W M\007'_68[?>FYU$?&COF@J)K=W*$B+&YG,>X&JJ?1NNRT7IWI"#9 M5_F4D66?V;N\[27(ND<(Y.QB5TIHE]2;N)?)%3FDJ\BH?6W/Y5QYRV3_ZFQ8W]- M2;/N&RLC[#Y?].5DXX9WN/E)H8KHO_>8$+LL<#.$BLOQ\'B-;;78T<$J+5PA MZF#G@<@EH:J%S(E]"Y'HS%?]X]F)?1#75?LY'\^`&KX'\X%_9];UBE%('OFF M*_%*I5M@.6\F))&>LML=9]XZ(B5``O;P/\-,1I@S\3MR/!Z^'Q>TS8+7D:$! MSX@\W(+*CR,K(I"%(UM^/)LC5X2G3WVS0GZ\9@*YOHA=:KN>NADP<\GW@?$O MT-9&:R*1:SI_>$*&[ZP$YGVAOA)F+C"D'H4<4Z:,'P1%F3_\,K4(MG;5J.IP MMLHDN?4XZ'F_A%1BZ,E[_Y$#+(?S"7J&;VJKQ`Y/!&^-^.H/RAS(,#LID_@T M+S.,3W7Y5S+%+7$]]3KX5[!ZXE'5M'MVH`A$W&&AN=_"#)FVQBQ'>[R?0Q=@ M]:279UOCH&C84=4,[I%'[+0A(@'Z?(2#JDTLR5H`M)&2Y4BK$,OV5=]JJO9W M"(U.Y)JVC6&48[R-Y9KV;Z&3%L^M4A9=$(JQ&AP@]-9)K>;!L$/;3>4^7LTPC[34DQRC:G"9 M[+7#5HC0%X@J"9U\&6'$Q=5(_5I!R;=#2?F)7&(>5R&_^=OILC>2;(YA6K[% MP?]=F,[!'R3CFWN.UV@3+2W[DK?].Y.E*03>Y;.G=?&*3@?B."=Y77+>2VL* M$5]5;906P1P`BC@]@F;$]7>23>=1R7._,\0MA@*`I&RRQY-OVU=\XO<3 M_PK?E-GM9R2SKN-8*Y"$)4PPC=T_DJ]O";IOIERA,A/\+&]<9G\ITF:?\(2H M*J-N7AZO_E4T"?>D$Y\@LILJ.-&I;+?'$(V+G_JU@I*/GV"P6ECU56ZLN"JVV\"3"NEXQN M-'68CKJ*F@I(WYR<^C*[K8):A*,J55IF_%Y!Z<.U?W_9!:H9R'5$,L73DU0O M=36AV5$D$];V2[3L&;F8K()P9;V!DYN;ER6N'H1J;=SQU*L-]]`5#U;T.X1" MM4>0&UX1/,*VBX106X/^(_S7O+;YUBD]E#.((Z^7H".WO9F_9?`ZM4L&B+OK M=(,B$]102QY!Y:XV0CBC\-$.;_;/+W=>J>]J5D@W4$=X#KHE"Q7-U,%&CX:X M)^:>4I056%SKP=PRG">"%WHF*V]UPSAG3\'>+K3(S1E;K5GW$OV`I MQI@_0OJD5$NYRU=\7C5=:&>`8%-V@I[#_9H;3/&> MHQZVOY):1%>]:78ZSGYO,)G(%E!5,$\R)^!BDS[SEY\WO5X[D?OE-E=0EV26 M$ED72EG.I)7NR6*O)\LM+>F-S9VDT% ML=-I0G\\323^S-\NVQ1%$_1K/>:KS\M9Q['*'N^SA`TY'';4WV0[XG1@@OU_ MX=QE'.2QM4V^GW9-#$BS2OAO*H?V M[X?PP_548&?"AO.YP+)#GK'C'QSTCY`#Q$SLCB$>R//]9LO9LZ+:!U"G[#,G MO;W&[\D?@A4&]?[9PY+8RWV5]C'V(1W.Q]XZNIIPJ6Z4?&+\RV[%XD6Z.MYX MD05>/L=+WJJ2W&34M%DI7G>B*4-[8"G]E4Y4)VNA9J M&6:`GWX#GS"IC"'3KXV=B,]!C*M$R;H##V2JH>WS,IJK*_.8*1IMHSQ3L'^W\ MJ?Q<_;:6Q+[A##DS1)TNG7.D#@W:ZG3-%LYCN;_=UFRQ*<)R6&Y,:B\95V\3V4U\39)2*OT7$%]K;5-J(-^63' M4Z"&^\BJ4([^8E?X\D\A6342LO2;CYQ`/_MY4N+4=WY[]ON[V5'I:[W`&]PV M$]S3`%__"U!+`0(>`Q0````(``J*:D4YT#`!*,4``/):$0`1`!@```````$` M``"D@0````!A=&YI+3(P,30P.3,P+GAM;%54!0`#,SEA5'5X"P`!!"4.```$ M.0$``%!+`0(>`Q0````(``J*:D7,A:F.X`\``#4)`0`5`!@```````$```"D M@7/%``!A=&YI+3(P,30P.3,P7V-A;"YX;6Q55`4``S,Y851U>`L``00E#@`` M!#D!``!02P$"'@,4````"``*BFI%Z7)\%MD@```$`P(`%0`8```````!```` MI(&BU0``871N:2TR,#$T,#DS,%]D968N>&UL550%``,S.6%4=7@+``$$)0X` M``0Y`0``4$L!`AX#%`````@`"HIJ15MW]+YM80``!OT%`!4`&````````0`` M`*2!RO8``&%T;FDM,C`Q-#`Y,S!?;&%B+GAM;%54!0`#,SEA5'5X"P`!!"4. M```$.0$``%!+`0(>`Q0````(``J*:D5<`[!1F#4``+/1`P`5`!@```````$` M``"D@898`0!A=&YI+3(P,30P.3,P7W!R92YX;6Q55`4``S,Y851U>`L``00E M#@``!#D!``!02P$"'@,4````"``*BFI%RKL$2>P.``#PCP``$0`8```````! M````I(%MC@$`871N:2TR,#$T,#DS,"YX`L``00E#@`` ;!#D!``!02P4&``````8`!@`:`@``I)T!```` ` end XML 28 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
EQUITY (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Stockholders' equity        
Equity, beginning of period     $ 699,855 $ 394,240
Stock-based compensation     3,381 3,419
Comprehensive income:        
Net income 18,914 307,752 43,636 329,093
Other comprehensive income        
Gain on interest rate swap (net of tax)       6,985
Comprehensive income     43,636 336,078
Issuance of common stock upon exercise of stock options     1,106 6,778
Dividends declared on common stock     (13,218) (11,982)
Distributions to non-controlling interests     (7,932) (5,532)
Investments made by non-controlling interests       135
Sale of non-controlling interest     (59) (13,634)
Purchase of treasury stock     (1,850) (6,615)
Equity, end of period 724,919 702,887 724,919 702,887
Atlantic Tele-Network, Inc.
       
Stockholders' equity        
Equity, beginning of period     643,330 334,146
Stock-based compensation     3,381 3,419
Comprehensive income:        
Net income     35,520 293,859
Other comprehensive income        
Gain on interest rate swap (net of tax)       6,985
Comprehensive income     35,520 300,844
Issuance of common stock upon exercise of stock options     1,106 6,778
Dividends declared on common stock     (13,218) (11,982)
Purchase of treasury stock     (1,850) (6,615)
Equity, end of period 668,269 626,590 668,269 626,590
Non-Controlling Interests
       
Stockholders' equity        
Equity, beginning of period     56,525 60,094
Comprehensive income:        
Net income     8,116 35,234
Other comprehensive income        
Comprehensive income     8,116 35,234
Distributions to non-controlling interests     (7,932) (5,532)
Investments made by non-controlling interests       135
Sale of non-controlling interest     (59) (13,634)
Equity, end of period $ 56,650 $ 76,297 $ 56,650 $ 76,297

XML 29 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2014
FAIR VALUE MEASUREMENTS  
Schedule of assets and liabilities of the entity measured at fair value on a recurring basis

Assets and liabilities of the Company measured at fair value on a recurring basis as of December 31, 2013 and September 30, 2014 are summarized as follows (in thousands):

 

 

 

December 31, 2013

 

Description

 

Quoted Prices in
Active Markets
(Level 1)

 

Significant Other
Observable Inputs
(Level 2)

 

Total

 

Certificates of deposit

 

$

 

$

363 

 

$

363 

 

Money market funds

 

$

2,244 

 

$

 

$

2,244 

 

Total assets measured at fair value

 

$

2,244 

 

$

363 

 

$

2,607 

 

 

 

 

September 30, 2014

 

Description

 

Quoted Prices in
Active Markets
(Level 1)

 

Significant Other
Observable Inputs
(Level 2)

 

Total

 

Certificate of deposit

 

$

 

$

363 

 

$

363 

 

Money market funds

 

$

2,407 

 

$

 

$

2,407 

 

Total assets measured at fair value

 

$

2,407 

 

$

363 

 

$

2,770 

 

 

XML 30 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
NET INCOME PER SHARE (Details)
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Reconciliation from basic to diluted weighted average common shares outstanding        
Basic weighted-average common shares outstanding 15,923,000 15,738,000 15,890,000 15,678,000
Stock options (in shares) 107,000 107,000 111,000 111,000
Diluted weighted-average common shares outstanding 16,030,000 15,845,000 16,001,000 15,789,000
Stock options
       
Anti-dilutive common shares not included for computation of earnings per share        
Anti-dilutive potential shares excluded from the computation of diluted weighted average shares outstanding (in shares)   29,000   80,000
XML 31 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
EQUITY (Tables)
9 Months Ended
Sep. 30, 2014
EQUITY  
Schedule of stockholders' equity

Total equity was as follows (in thousands):

 

 

 

Nine Months Ended September 30,

 

 

 

2013

 

2014

 

 

 

Atlantic Tele-
Network, Inc.

 

Non-Controlling
Interests

 

Total Equity

 

Atlantic Tele-
Network, Inc.

 

Non-Controlling
Interests

 

Total
Equity

 

Equity, beginning of period

 

$

334,146

 

$

60,094

 

$

394,240

 

$

643,330

 

$

56,525

 

$

699,855

 

Stock-based compensation

 

3,419

 

 

3,419

 

3,381

 

 

3,381

 

Comprehensive income:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income

 

293,859

 

35,234

 

329,093

 

35,520

 

8,116

 

43,636

 

Other comprehensive income-Gain on interest rate swap (net of tax)

 

6,985

 

 

6,985

 

 

 

 

Total comprehensive income

 

300,844

 

35,234

 

336,078

 

35,520

 

8,116

 

43,636

 

Issuance of common stock upon exercise of stock options

 

6,778

 

 

6,778

 

1,106

 

 

 

1,106

 

Dividends declared on common stock

 

(11,982

)

 

(11,982

)

(13,218

)

 

(13,218

)

Distributions to non-controlling interests

 

 

(5,532

)

(5,532

)

 

(7,932

)

(7,932

)

Investments made by non-controlling interests

 

 

135

 

135

 

 

 

 

Sale of non-controlling interests

 

 

(13,634

)

(13,634

)

 

(59

)

(59

)

Purchase of treasury stock

 

(6,615

)

 

(6,615

)

(1,850

)

 

(1,850

)

Equity, end of period

 

$

626,590

 

$

76,297

 

$

702,887

 

$

668,269

 

$

56,650

 

$

724,919

 

 

XML 32 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 33 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net income $ 43,636 $ 329,093
Adjustments to reconcile net income to net cash flows provided by operating activities:    
Depreciation and amortization 37,752 36,517
Provision for doubtful accounts 1,313 880
Amortization of debt discount and debt issuance costs 72 6,657
Stock-based compensation 3,381 2,898
Unrealized loss on interest rate derivative contracts   5,675
Income from discontinued operations, net of tax   (5,166)
Gain on disposition of long-lived assets   (1,076)
Gain on sale of discontinued operations   (305,197)
Changes in operating assets and liabilities, excluding the effects of acquisitions:    
Accounts receivable (7,830) (3,832)
Materials and supplies, prepayments, and other current assets (1,921) (3,470)
Accounts payable and accrued liabilities, advance payments and deposits and other current liabilities 1,444 11,623
Accrued taxes (18,401) (23,668)
Other (3,785) 7,828
Net cash provided by operating activities of continuing operations 55,661 58,762
Net cash provided by (used in) operating activities of discontinued operations (4,612) 25,751
Net cash provided by operating activities 51,049 84,513
CASH FLOWS FROM INVESTING ACTIVITIES:    
Capital expenditures, net (41,699) (55,171)
Proceeds from disposition of long-lived assets 1,371 1,500
Decrease in restricted cash 38,707  
Net cash used in investing activities of continuing operations (1,621) (53,671)
Net cash provided by investing activities of discontinued operations   711,541
Net cash provided by (used in) investing activities (1,621) 657,870
Cash flows from financing activities:    
Dividends paid on common stock (12,873) (7,839)
Distribution to non-controlling interests (7,932) (3,321)
Payment of debt issuance costs   (12)
Principal repayments of term loan   (272,137)
Proceeds from stock option exercises 610 1,450
Purchases of common stock (1,355) (1,288)
Repurchase of non-controlling interests (59)  
Investments made by minority shareholders in consolidated affiliates   135
Net cash used in financing activities of continuing operations (21,609) (283,012)
Net cash used in financing activities of discontinued operations, net   (1,678)
Net cash used in financing activities (21,609) (284,690)
NET CHANGE IN CASH AND CASH EQUIVALENTS 27,819 457,693
CASH AND CASH EQUIVALENTS, beginning of the period 356,607 136,647
CASH AND CASH EQUIVALENTS, end of the period $ 384,426 $ 594,340
XML 34 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Millions, except Share data, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
CONSOLIDATED BALANCE SHEETS    
Accounts receivable, allowances (in dollars) $ 10.8 $ 9.7
Preferred stock, par value (in dollars per share) $ 0.01 $ 0.01
Preferred stock, shares authorized 10,000,000 10,000,000
Preferred stock, shares issued 0 0
Preferred stock, shares outstanding 0 0
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 50,000,000 50,000,000
Common stock, shares issued 16,631,797 16,494,982
Common stock, shares outstanding 15,915,010 15,816,189
Treasury stock, shares 716,787 678,793
XML 35 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
NET INCOME PER SHARE
9 Months Ended
Sep. 30, 2014
NET INCOME PER SHARE  
NET INCOME PER SHARE

10.  NET INCOME PER SHARE

 

For the three and nine months ended September 30, 2013 and 2014, outstanding stock options were the only potentially dilutive securities. The reconciliation from basic to diluted weighted average common shares outstanding is as follows (in thousands):

 

 

 

Three Months Ended
September 30,

 

Nine Months Ended
September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

Basic weighted-average common shares outstanding

 

15,738 

 

15,923 

 

15,678 

 

15,890 

 

Stock options

 

107 

 

107 

 

111 

 

111 

 

Diluted weighted-average common shares outstanding

 

15,845 

 

16,030 

 

15,789 

 

16,001 

 

 

The above calculation for the three months ended September 30, 2013 does not include 29,000 shares related to certain stock options because the effects of such options were anti-dilutive. For the nine months ended September 30, 2013 the calculation does not include 80,000 shares related to certain stock options because the effect of such options was anti-dilutive. There were not any anti-dilutive shares for either the three or nine months ended September 30, 2014.

XML 36 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
9 Months Ended
Sep. 30, 2014
Nov. 10, 2014
Document and Entity Information    
Entity Registrant Name ATLANTIC TELE NETWORK INC /DE  
Entity Central Index Key 0000879585  
Document Type 10-Q  
Document Period End Date Sep. 30, 2014  
Amendment Flag false  
Current Fiscal Year End Date --12-31  
Entity Current Reporting Status Yes  
Entity Filer Category Accelerated Filer  
Entity Common Stock, Shares Outstanding   15,919,318
Document Fiscal Year Focus 2014  
Document Fiscal Period Focus Q3  
XML 37 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT REPORTING
9 Months Ended
Sep. 30, 2014
SEGMENT REPORTING  
SEGMENT REPORTING

11. SEGMENT REPORTING

 

The Company has four reportable segments for separate disclosure in accordance with the FASB’s authoritative guidance on disclosures about segments of an enterprise. Those four segments are: i) U.S. Wireless, which generates all of its revenues in and has all of its assets located in the United States, ii) International Integrated Telephony, which generates all of its revenues in and has all of its assets located in Guyana, iii) Island Wireless, which generates a majority of its revenues in, and has a majority of its assets located in, Bermuda and which also generates revenues in and has assets located in the U.S. Virgin Islands, Aruba and Turks and Caicos and iv) U.S. Wireline, which generates all of its revenues in and has all of its assets located in the United States. The operating segments are managed separately because each offers different services and serves different markets.

 

The following tables provide information for each operating segment (in thousands):

 

 

 

For the Three Months Ended September 30, 2013

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

32,796

 

$

 

$

 

$

 

$

 

$

32,796

 

International wireless

 

 

7,046

 

15,849

 

 

 

22,895

 

Wireline

 

152

 

15,640

 

 

5,712

 

 

21,504

 

Equipment and other

 

109

 

388

 

1,594

 

64

 

 

2,155

 

Total revenue

 

33,057

 

23,074

 

17,443

 

5,776

 

 

79,350

 

Depreciation and amortization

 

4,039

 

4,551

 

2,551

 

816

 

378

 

12,335

 

Non-cash stock-based compensation

 

 

 

 

 

926

 

926

 

Operating income (loss)

 

18,293

 

7,028

 

3,292

 

(255

)

(8,320

)

20,038

 

 

 

 

For the Nine Months Ended September 30, 2013

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

80,597

 

$

 

$

 

$

 

$

 

$

80,597

 

International wireless

 

 

20,330

 

45,832

 

 

 

66,162

 

Wireline

 

457

 

46,493

 

 

15,995

 

 

62,945

 

Equipment and other

 

313

 

1,151

 

4,468

 

171

 

 

6,103

 

Total revenue

 

81,367

 

67,974

 

50,300

 

16,166

 

 

215,807

 

Depreciation and amortization

 

12,119

 

13,476

 

7,705

 

2,252

 

965

 

36,517

 

Non-cash stock-based compensation

 

 

 

 

 

2,898

 

2,898

 

Operating income (loss)

 

40,472

 

19,596

 

7,226

 

(786

)

(18,485

)

48,023

 

 

 

 

For the Three Months Ended September 30, 2014

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

44,306

 

$

 

$

 

$

 

$

 

$

44,306

 

International wireless

 

 

6,399

 

15,158

 

 

 

21,557

 

Wireline

 

152

 

15,249

 

 

6,130

 

 

21,531

 

Equipment and other

 

278

 

183

 

1,469

 

69

 

 

1,999

 

Total revenue

 

44,736

 

21,831

 

16,627

 

6,199

 

 

 

89,393

 

Depreciation and amortization

 

3,657

 

4,397

 

2,596

 

1,193

 

999

 

12,842

 

Non-cash stock-based compensation

 

 

 

 

 

1,002

 

1,002

 

Operating income (loss)

 

27,585

 

5,065

 

2,231

 

(471

)

(6,252

)

28,158

 

 

 

 

For the Nine Months Ended September 30, 2014

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

110,153

 

$

 

$

 

$

 

$

 

$

110,153

 

International wireless

 

 

20,054

 

47,073

 

 

 

67,127

 

Wireline

 

457

 

44,399

 

 

19,488

 

 

64,344

 

Equipment and other

 

663

 

573

 

4,782

 

194

 

 

6,212

 

Total revenue

 

111,273

 

65,026

 

51,855

 

19,682

 

 

 

247,836

 

Depreciation and amortization

 

10,413

 

13,111

 

7,810

 

3,519

 

2,899

 

37,752

 

Non-cash stock-based compensation

 

 

 

 

 

3,381

 

3,381

 

Operating income (loss)

 

63,826

 

15,293

 

8,210

 

(2,511

)

(18,804

)

66,014

 

 

 

 

Segment Assets

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

December 31, 2013:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net fixed assets

 

$

73,592 

 

$

118,917 

 

$

29,310 

 

$

26,082 

 

$

6,731 

 

$

254,632 

 

Goodwill

 

32,148 

 

 

5,438 

 

7,491 

 

 

45,077 

 

Total assets

 

151,094 

(1)

197,903 

 

74,427 

 

45,351 

 

390,944 

 

859,719 

 

September 30, 2014:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net fixed assets

 

$

75,930 

 

$

110,870 

 

$

26,622 

 

$

26,930 

 

$

13,156 

 

$

253,508 

 

Goodwill

 

32,148 

 

 

5,438 

 

7,491 

 

 

45,077 

 

Total assets

 

178,208 

(1)

200,770 

 

78,417 

 

43,359 

 

342,677 

 

843,431 

 

 

(1)

Includes $4,748 and $73,492 of assets associated with our discontinued operations as of December 31, 2013 and September 30, 2014, respectively.

 

 

 

Capital Expenditures

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Nine Months Ended September 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2013

 

$

27,736 

 

$

9,039 

 

$

4,014 

 

$

11,231 

 

$

3,151 

 

$

55,171 

 

2014

 

$

26,496 

 

$

6,816 

 

$

3,966 

 

$

2,325 

 

$

2,096 

 

$

41,699 

 

 

XML 38 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED INCOME STATEMENTS (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
REVENUE:        
Total revenue $ 89,393 $ 79,350 $ 247,836 $ 215,807
OPERATING EXPENSES (excluding depreciation and amortization unless otherwise indicated):        
Termination and access fees 16,018 14,112 48,110 40,768
Engineering and operations 9,788 9,509 28,939 28,349
Sales and marketing 5,489 4,370 15,440 13,646
Equipment expense 2,912 2,549 8,897 8,050
General and administrative 14,213 13,827 42,343 38,856
Transaction-related charges (27) 2,610 341 2,674
Depreciation and amortization 12,842 12,335 37,752 36,517
Gain on disposition of long-lived assets       (1,076)
Total operating expenses 61,235 59,312 181,822 167,784
Income from operations 28,158 20,038 66,014 48,023
OTHER INCOME (EXPENSE)        
Interest expense, net (13) (7,141) (220) (12,126)
Unrealized loss on interest rate swap contracts   (5,675)   (5,675)
Other income (expense), net 338 (226) 302 (198)
Other income (expense), net 325 (13,042) 82 (17,999)
INCOME FROM CONTINUING OPERATIONS BEFORE INCOME TAXES 28,483 6,996 66,096 30,024
Income tax expense 9,569 2,481 22,460 11,294
INCOME FROM CONTINUING OPERATIONS 18,914 4,515 43,636 18,730
Income (loss) from discontinued operations, net of tax   (1,960)   5,166
Gain on sale of discontinued operations, net of tax   305,197   305,197
Income from discontinued operations, net of tax   303,237   310,363
NET INCOME 18,914 307,752 43,636 329,093
Net income attributable to non-controlling interests, net of tax:        
Continuing operations (2,747) (2,945) (8,116) (5,934)
Discontinued operations   116   (601)
Disposal of discontinued operations   (28,699)   (28,699)
Net income attributable to non-controlling interests, net of tax (2,747) (31,528) (8,116) (35,234)
NET INCOME ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS 16,167 276,224 35,520 293,859
NET INCOME PER WEIGHTED AVERAGE BASIC SHARE ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS:        
Continuing operations (in dollars per share) $ 1.02 $ 0.10 $ 2.24 $ 0.82
Discontinued operations:        
Discontinued operations (in dollars per share)   $ (0.12)   $ 0.29
Gain on sale of discontinued operations (in dollars per share)   $ 17.57   $ 17.64
Total discontinued operations (in dollars per share)   $ 17.45   $ 17.93
Total (in dollars per share) $ 1.02 $ 17.55 $ 2.24 $ 18.75
NET INCOME PER WEIGHTED AVERAGE DILUTED SHARE ATTRIBUTABLE TO ATLANTIC TELE-NETWORK, INC. STOCKHOLDERS:        
Continued operations (in dollars per share) $ 1.01 $ 0.10 $ 2.22 $ 0.81
Discontinued operations:        
Discontinued operations (in dollars per share)   $ (0.12)   $ 0.29
Gain on sale of discontinued operations (in dollars per share)   $ 17.45   $ 17.51
Total discontinued operations (in dollars per share)   $ 17.33   $ 17.80
Total (in dollars per share) $ 1.01 $ 17.43 $ 2.22 $ 18.61
WEIGHTED AVERAGE COMMON SHARES OUTSTANDING:        
Basic (in shares) 15,923 15,738 15,890 15,678
Diluted (in shares) 16,030 15,845 16,001 15,789
DIVIDENDS PER SHARE APPLICABLE TO COMMON STOCK (in dollars per share) $ 0.29 $ 0.27 $ 0.83 $ 0.77
U.S. Wireless
       
REVENUE:        
Total revenue 44,306 32,796 110,153 80,597
International wireless
       
REVENUE:        
Total revenue 21,557 22,895 67,127 66,162
Wireline
       
REVENUE:        
Total revenue 21,531 21,504 64,344 62,945
Equipment and other
       
REVENUE:        
Total revenue $ 1,999 $ 2,155 $ 6,212 $ 6,103
XML 39 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
FAIR VALUE MEASUREMENTS
9 Months Ended
Sep. 30, 2014
FAIR VALUE MEASUREMENTS  
FAIR VALUE MEASUREMENTS

5.  FAIR VALUE MEASUREMENTS

 

In accordance with the provisions of fair value accounting, a fair value measurement assumes that a transaction to sell an asset or transfer a liability occurs in the principal market for the asset or liability or, in the absence of a principal market, the most advantageous market for the asset or liability and defines fair value based upon an exit price model.

 

The fair value measurement guidance establishes a fair value hierarchy which requires an entity to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value. The guidance describes three levels of inputs that may be used to measure fair value:

 

Level 1Quoted prices in active markets for identical assets or liabilities as of the reporting date. Active markets are those in which transactions for the asset and liability occur in sufficient frequency and volume to provide pricing information on an ongoing basis. Level 1 assets and liabilities include money market funds, debt and equity securities and derivative contracts that are traded in an active exchange market.

 

Level 2Observable inputs other than Level 1 prices, such as quoted prices for similar assets or liabilities; quoted prices in markets that are not active; or other inputs that are observable or can be corroborated by observable market data for substantially the full term of the assets or liabilities. Level 2 assets and liabilities include debt securities with quoted prices that are traded less frequently than exchange-traded instruments and derivative contracts whose value is determined using a pricing model with inputs that are observable in the market or can be derived principally from or corroborated by observable market data. This category generally includes corporate obligations and non-exchange traded derivative contracts.

 

Level 3Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities. Level 3 assets and liabilities include financial instruments and intangible assets that have been impaired whose value is determined using pricing models, discounted cash flow methodologies, or similar techniques, as well as instruments for which the determination of fair value requires significant management judgment or estimation.

 

Assets and liabilities of the Company measured at fair value on a recurring basis as of December 31, 2013 and September 30, 2014 are summarized as follows (in thousands):

 

 

 

December 31, 2013

 

Description

 

Quoted Prices in
Active Markets
(Level 1)

 

Significant Other
Observable Inputs
(Level 2)

 

Total

 

Certificates of deposit

 

$

 

$

363 

 

$

363 

 

Money market funds

 

$

2,244 

 

$

 

$

2,244 

 

Total assets measured at fair value

 

$

2,244 

 

$

363 

 

$

2,607 

 

 

 

 

September 30, 2014

 

Description

 

Quoted Prices in
Active Markets
(Level 1)

 

Significant Other
Observable Inputs
(Level 2)

 

Total

 

Certificate of deposit

 

$

 

$

363 

 

$

363 

 

Money market funds

 

$

2,407 

 

$

 

$

2,407 

 

Total assets measured at fair value

 

$

2,407 

 

$

363 

 

$

2,770 

 

 

Certificate of Deposit

 

As of December 31, 2013 and September 30, 2014, this asset class consisted of a time deposit at a financial institution denominated in U.S. dollars. The asset class is classified within Level 2 of the fair value hierarchy because the fair value was based on observable market data.

Money Market Funds

 

As of December 31, 2013 and September 30, 2014, this asset class consisted of a money market portfolio that comprises Federal government and U.S. Treasury securities. The asset class is classified within Level 1 of the fair value hierarchy because its underlying investments are valued using quoted market prices in active markets for identical assets.

 

 

XML 40 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS
9 Months Ended
Sep. 30, 2014
DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS  
DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS

4.  DISCONTINUED OPERATIONS — SALE OF U.S. RETAIL WIRELESS BUSINESS

 

On September 20, 2013, the Federal Communications Commission announced its approval of the previously announced proposed sale of the Company’s U.S. retail wireless business operated under the Alltel name to AT&T Mobility for approximately $780.0 million in cash plus $16.8 million in working capital adjustments.  The Company previously reported the operations of this business within its U.S. Wireless segment.  As a result of that approval, the Company completed the sale of certain U.S. retail wireless assets on that date.

 

The $796.8 million in cash proceeds included $78.0 million of cash to be held in a general indemnity escrow account.  Subject to the terms and conditions of the purchase agreement between AT&T Mobility and the Company governing the sale, the restrictions on $19.5 million of these funds expired March 2014 and September 2014, respectively, for a total of $39.0 million year to date. The remaining $39.0 million has been recorded as restricted cash on the Company’s September 30, 2014 balance sheet and classified as a current asset since $39.0 million and is expected to be released, subject to any indemnity claims, to the Company in March 2015.

 

As of September 30, 2014, the Company has also recorded $7.3 million for the minority shareholders’ interests in the sold operation which is based on the estimated final distributions to the minority shareholders and is included in non-controlling interests on its balance sheet.

 

The Company has reclassified the assets of its Alltel operations, consisting of prepaid expenses and other current assets, and liabilities of its Alltel operations, consisting of accounts payable and other current liabilities, to assets of discontinued operations and liabilities of discontinued operations, respectively, within its December 31, 2013 and September 30, 2014 balance sheets.

 

Revenues and income from discontinued operations related to the Alltel business for the three months and nine months ended September 30, 2013 and 2014 were as follows (in thousands):

 

 

 

Three Months Ended September 30,

 

Nine Months Ended September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

 

 

 

 

 

 

 

 

 

 

Revenue from discontinued operations

 

$

88,036

 

$

 

$

299,519

 

$

 

 

 

 

 

 

 

 

 

 

 

Income from discontinued operations, net of tax expense (benefit) of ($1.9) and $5.2 million for the three and nine months ended September 30, 2013 respectively

 

(1,960

)

 

5,166

 

 

 

XML 41 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables)
9 Months Ended
Sep. 30, 2014
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES  
Schedule of effect of the entity's derivative financial instruments on the consolidated income statements

The table below presents the effect of the Company’s derivative financial instruments on the consolidated income statements for the three and nine months ended September 30, 2013 and 2014 (in thousands):

 

Three Months
Ended
September 30,

 

Derivative in Cash Flow
Hedging Relationships

 

Amount of Gain or
(Loss) Recognized
in Other
Comprehensive
Income on
Derivative
(Effective Portion)

 

Location of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into Income
(Effective Portion)

 

Amount of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into
Income
(Effective Portion)

 

2013

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

2014

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

 

Nine Months
Ended
September 30,

 

Derivative in Cash Flow
Hedging Relationships

 

Amount of Gain or
(Loss) Recognized
in Other
Comprehensive
Income on
Derivative
(Effective Portion)

 

Location of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into Income
(Effective Portion)

 

Amount of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into
Income
(Effective Portion)

 

2013

 

Interest Rate Swap

 

$

6,255 

 

Interest expense

 

$

6,255 

 

2014

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

 

XML 42 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
COMMITMENTS AND CONTINGENCIES
9 Months Ended
Sep. 30, 2014
COMMITMENTS AND CONTINGENCIES  
COMMITMENTS AND CONTINGENCIES

12.  COMMITMENTS AND CONTINGENCIES

 

Regulatory and Litigation Matters

 

The Company and its subsidiaries are subject to certain regulatory and legal proceedings and other claims arising in the ordinary course of business, some of which involve claims for damages and taxes that are substantial in amount. The Company believes that, except for the items discussed below and in our Annual Report on Form 10-K for the year ended December 31, 2013, for which the Company is currently unable to predict the final outcome, the disposition of proceedings currently pending will not have a material adverse effect on the Company’s financial position or results of operations.

 

On May 8, 2009, Digicel filed a lawsuit in Guyana challenging the legality of GT&T’s exclusive license rights under Guyana’s constitution. Digicel initially filed this lawsuit against the Attorney General of Guyana in the High Court. On May 13, 2009, GT&T petitioned to intervene in the suit in order to oppose Digicel’s claims and that petition was granted on May 18, 2009. GT&T filed an answer to the charge on June 22, 2009 and the case is pending.  The Company believes that any legal challenge to GT&T’s exclusive license rights granted in 1990 is without merit and the Company is vigorously defending against the legal challenge.

 

In Bermuda, the Regulatory Authority continued its implementation of the Electronic Communications Act of 2011, which allows communications service providers to enter new lines of business and introduces competition in the sector.  As the government of Bermuda continues to reform the local telecommunications market it is possible that new or amended regulations may establish regulatory and other fees, additional regulation or result in other circumstances that could increase our regulatory costs or otherwise impact our operations.  For instance, in October 2014, the Bermuda Regulatory Authority issued a draft decision that, if implemented, would prevent the Company from using a portion of existing spectrum held by its Bermuda subsidiary reserved for the launch of next generation services in accordance with the Company's plans and demands of its customers in Bermuda.  This could damage the competitive position of the Company's business in Bermuda and limit its ability to grow.  Although the Company believes that it would be entitled to compensation for any involuntary recapture and re-assignment of its spectrum rights in Bermuda, it cannot be sure that it would prevail in a proceeding to enforce its rights or that such actions would effectively halt any unilateral action by the Regulatory Authority. Although the Company believes that the Regulatory Authority will make a decision on the matter in the near future, it cannot predict when or if these proposals will be adopted, or, if adopted, the impact that their implementation will have on the Company's Island Wireless Segment.

 

The term of the Company’s telecommunications license to operate in Aruba expired on January 15, 2014. The government of Aruba informed the Company in January 2014 that a renewed license would be issued only upon payment by the Company of a fee in the amount of approximately $4.0 million.  In addition, the government of Aruba demanded that the Company pay overdue spectrum invoices in the amount of approximately $2.0 million no later than July 31, 2014. The Company is actively contesting the assessment of these fees through judicial proceedings as it continues to operate while also seeking to resolve with the Aruba government the amount of fees, if any, to be paid in relation to a renewed license and the assessed spectrum fees.

XML 43 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
GOVERNMENT GRANTS
9 Months Ended
Sep. 30, 2014
GOVERNMENT GRANTS  
GOVERNMENT GRANTS

8. GOVERNMENT GRANTS

 

The Company has received funding from the U.S. Government and its agencies under Stimulus and Mobility Fund programs.  These are generally designed to fund telecommunications infrastructure expansion into rural or underserved areas of the United States.  The fund programs are evaluated to determine if they represent funding related to capital expenditures (capital grants) or operating activities (income grants).

 

Stimulus Grants

 

The Company was awarded several federal stimulus grants in 2009 and 2010 by the U.S. Government under provisions of the American Recovery and Reinvestment Act of 2009 intended to stimulate the deployment of broadband infrastructure and services to rural, unserved and underserved areas. As of September 30, 2014, the Company has spent (i) $35.8 million in capital expenditures (of which $27.5 million has been funded by the federal stimulus grant) in connection with the Company’s build of ten new segments of fiber-optic, middle-mile broadband infrastructure in upstate New York and parts of Pennsylvania and Vermont; (ii) $7.6 million in capital expenditures (of which $5.3 million has been funded by the federal stimulus grant) in connection with the Company’s last-mile broadband infrastructure buildout in the Navajo Nation across Arizona, New Mexico and Utah; and (iii) $47.8 million in capital expenditures (of which $33.0 million has been or is expected to be funded by the federal stimulus grant) in connection with the Company’s fiber-optic middle mile network buildout to provide broadband and transport services to over 340 community anchor institutions in Vermont. The results of the Company’s New York and Vermont stimulus projects are included in the Company’s “U.S. Wireline” segment and the results of the Company’s Navajo stimulus project are included in the Company’s “U.S. Wireless” segment. The New York and Navajo Stimulus projects were completed during 2013. The Vermont stimulus project will be completed during the latter half of 2014 and the Company anticipates that it will incur an additional nominal amount of capital expenditures of which none is expected to be funded by the federal stimulus grants.

 

Mobility Fund Grants

            

As part of the Federal Communications Commission’s (“FCC”) reform of its Universal Service Fund (“USF”) program, which previously provided support to carriers seeking to offer telecommunications services in high-cost areas and to low-income households, the FCC created the Mobility Fund and the Tribal Mobility Fund, each a one-time award meant to support wireless coverage in underserved geographic areas in the United States. In August 2013, the Company received FCC final approval for approximately $21.7 million of Mobility Fund support and in June 2014, approximately $2.4 million of Tribal Mobility fund support to its wholesale wireless business (collectively the “Mobility Funds”) to expand voice and broadband networks in certain geographic areas in order to offer either 3G or 4G coverage. As part of the receipt of the Mobility Funds, the Company committed to comply with certain additional FCC construction and other requirements. A portion of these funds will be used to offset network capital costs and a portion is used to offset the costs of supporting the networks for a period of five years. In connection with the Company’s application for the Mobility Funds, the Company has posted approximately $10.5 million in letters of credit to the Universal Service Administrative Company (“USAC”) to secure these obligations. If the Company fails to comply with any of the terms and conditions upon which the Mobility Funds were granted, or if it loses eligibility for the Mobility Funds, USAC will be entitled to draw the entire amount of the letter of credit applicable to the affected project plus penalties and may disqualify the Company from the receipt of additional Mobility Fund support.  As of September 30, 2014, all of the letters of credit remain outstanding and no amounts have been drawn thereon.

 

The Company began the construction of its Mobility Funds projects during the third quarter of 2013 and its results are included in the Company’s “U.S. Wireless” segment. As of September 30, 2014, the Company has received approximately $7.4 million in Mobility Funds. Of these funds, $1.3 million was recorded as an offset to the cost of the property, plant, and equipment associated with these projects and, consequentially, a reduction of future depreciation expense and $6.1million was recorded as a liability to reduce future operating expenses. The balance sheet presentation is based on the timing of the expected recognition of the funds and accordingly, $2.3 million is recorded within other current liabilities while the remaining $3.8 million is recorded within other long-term liabilities.

XML 44 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
LONG-TERM DEBT
9 Months Ended
Sep. 30, 2014
LONG-TERM DEBT  
LONG-TERM DEBT

6.  LONG-TERM DEBT

 

The Company has a credit facility (the “Credit Facility”) which previously included two term loans and currently provides for a revolver loan of up to $100.0 million.  The revolver loan also has a $10.0 million swingline sub-facility and a $55.0 million letter of credit sub-facility for issuance in connection with the Company’s Mobility Fund Grant obligations (see Note 8).

 

On September 20, 2013 the Company repaid its outstanding term loans in full. Amounts borrowed under the term loans bore interest at a rate equal to, at the Company’s option, either (i) at the London Interbank Offered Rate (LIBOR) plus an applicable margin ranging between 2.00% to 4.00% or (ii) a base rate plus an applicable margin ranging from 1.00% to 3.00%. The base rate was equal to the higher of (i) 1.50% plus the higher of (x) the one-week LIBOR and (y) the one-month LIBOR; or (ii) the prime rate (as defined in the Credit Facility). The applicable margin was determined based on the ratio of our indebtedness (as defined in the Credit Facility) to our EBITDA (as defined in the Credit Facility).

 

Amounts borrowed under the revolver loan bear interest at a rate equal to, at the Company’s option, either (i) LIBOR plus an applicable margin ranging between 2.00% to 3.50% or (ii) a base rate plus an applicable margin ranging from 1.00% to 2.50% (or, in the case of amounts borrowed under the swing-line sub- facility, an applicable margin ranging from 0.50% to 2.00%.) The Company must also pay a fee ranging from 0.25% to 0.50% of the average daily unused portion of the revolver loan over each calendar quarter, which fee is payable in arrears on the last day of each calendar quarter.

 

The Credit Facility contains customary representations, warranties and covenants, including covenants by the Company limiting additional indebtedness, liens, guaranties, mergers and consolidations, substantial asset sales, investments and loans, sale and leasebacks, transactions with affiliates and fundamental changes. In addition, the Credit Facility contains financial covenants by the Company that (i) impose a maximum leverage ratio of indebtedness to EBITDA, (ii) require a minimum debt service ratio of EBITDA to principal, interest and taxes payments and (iii) require a minimum ratio of equity to consolidated assets. As of September 30, 2014, we were in compliance with all of the financial covenants of the Credit Facility.

Note Payable—Other

 

In connection with the Company’s merger of its Bermuda subsidiary with M3 Wireless, Ltd. in May 2011, the Company assumed a term loan of approximately $7.0 million owed to Keytech Ltd., the former parent company of M3 Wireless, Ltd. and current 42% minority shareholder in the Company’s Bermuda operations. This term loan, which bore interest at 7% per annum, was repaid in full in July 2013.

 

XML 45 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES
9 Months Ended
Sep. 30, 2014
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES  
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES

7.  DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES

 

The Company’s objective in using interest rate derivatives was to add stability to interest expense and to manage its exposure to the interest rate movements of its variable-rate debt. To accomplish this objective, the Company primarily used interest rate derivatives as part of its interest rate risk management strategy. Interest rate derivatives, designated as cash flow hedges, involved the receipt of variable-rate amounts from counterparty in exchange for the Company making fixed-rate payments over the life of the agreements without exchange of the underlying notional amount.

 

The effective portion of changes in the fair value of interest rate derivatives that qualified as cash flow hedges was recorded in accumulated other comprehensive income and was subsequently reclassified into earnings in the period that the hedged forecasted transaction affected earnings.

 

As a result of the repayment of its variable-rate debt on September 20, 2013, the Company terminated its interest rate derivatives in October 2013.

 

Amounts previously reported in accumulated other comprehensive income related to the interest rate derivatives were reclassified to “Unrealized loss on interest rate derivative contracts” as of the date of the prepayment of the Company’s outstanding term notes.

 

The table below presents the effect of the Company’s derivative financial instruments on the consolidated income statements for the three and nine months ended September 30, 2013 and 2014 (in thousands):

 

Three Months
Ended
September 30,

 

Derivative in Cash Flow
Hedging Relationships

 

Amount of Gain or
(Loss) Recognized
in Other
Comprehensive
Income on
Derivative
(Effective Portion)

 

Location of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into Income
(Effective Portion)

 

Amount of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into
Income
(Effective Portion)

 

2013

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

2014

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

 

Nine Months
Ended
September 30,

 

Derivative in Cash Flow
Hedging Relationships

 

Amount of Gain or
(Loss) Recognized
in Other
Comprehensive
Income on
Derivative
(Effective Portion)

 

Location of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into Income
(Effective Portion)

 

Amount of Gain or
(Loss) Reclassified
from Accumulated
Other
Comprehensive
Income into
Income
(Effective Portion)

 

2013

 

Interest Rate Swap

 

$

6,255 

 

Interest expense

 

$

6,255 

 

2014

 

Interest Rate Swap

 

$

 

Interest expense

 

$

 

 

XML 46 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
EQUITY
9 Months Ended
Sep. 30, 2014
EQUITY  
EQUITY

9. EQUITY

 

Total equity was as follows (in thousands):

 

 

 

Nine Months Ended September 30,

 

 

 

2013

 

2014

 

 

 

Atlantic Tele-
Network, Inc.

 

Non-Controlling
Interests

 

Total Equity

 

Atlantic Tele-
Network, Inc.

 

Non-Controlling
Interests

 

Total
Equity

 

Equity, beginning of period

 

$

334,146

 

$

60,094

 

$

394,240

 

$

643,330

 

$

56,525

 

$

699,855

 

Stock-based compensation

 

3,419

 

 

3,419

 

3,381

 

 

3,381

 

Comprehensive income:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income

 

293,859

 

35,234

 

329,093

 

35,520

 

8,116

 

43,636

 

Other comprehensive income-Gain on interest rate swap (net of tax)

 

6,985

 

 

6,985

 

 

 

 

Total comprehensive income

 

300,844

 

35,234

 

336,078

 

35,520

 

8,116

 

43,636

 

Issuance of common stock upon exercise of stock options

 

6,778

 

 

6,778

 

1,106

 

 

 

1,106

 

Dividends declared on common stock

 

(11,982

)

 

(11,982

)

(13,218

)

 

(13,218

)

Distributions to non-controlling interests

 

 

(5,532

)

(5,532

)

 

(7,932

)

(7,932

)

Investments made by non-controlling interests

 

 

135

 

135

 

 

 

 

Sale of non-controlling interests

 

 

(13,634

)

(13,634

)

 

(59

)

(59

)

Purchase of treasury stock

 

(6,615

)

 

(6,615

)

(1,850

)

 

(1,850

)

Equity, end of period

 

$

626,590

 

$

76,297

 

$

702,887

 

$

668,269

 

$

56,650

 

$

724,919

 

 

XML 47 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
GOVERNMENT GRANTS (Details 2) (USD $)
In Millions, unless otherwise specified
9 Months Ended 1 Months Ended 9 Months Ended 1 Months Ended
Sep. 30, 2014
Sep. 30, 2014
Letter of credit sub-facility
Aug. 31, 2013
Mobility Funds
Sep. 30, 2014
Mobility Funds
U.S. Wireless
Sep. 30, 2014
Mobility Funds
U.S. Wireless
Liability
Sep. 30, 2014
Mobility Funds
U.S. Wireless
Other current liabilities
Sep. 30, 2014
Mobility Funds
U.S. Wireless
Other long-term liabilities
Jun. 30, 2014
Tribal Mobility Fund
MOBILITY FUND GRANTS                
Mobility Funds approved by FCC     $ 21.7         $ 2.4
Period over which a portion of the Mobility Funds is used to offset the costs of supporting the networks 5 years              
Letters of credit posted to USAC   10.5            
Amount of letters of credit drawn   0            
Mobility Funds received       7.4 6.1 2.3 3.8  
Grant funds used to offset fixed asset related costs       $ 1.3        
XML 48 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Tables)
9 Months Ended
Sep. 30, 2014
DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS  
Schedule of revenues and income from discontinued operations

Revenues and income from discontinued operations related to the Alltel business for the three months and nine months ended September 30, 2013 and 2014 were as follows (in thousands):

 

 

 

Three Months Ended September 30,

 

Nine Months Ended September 30,

 

 

 

2013

 

2014

 

2013

 

2014

 

 

 

 

 

 

 

 

 

 

 

Revenue from discontinued operations

 

$

88,036

 

$

 

$

299,519

 

$

 

 

 

 

 

 

 

 

 

 

 

Income from discontinued operations, net of tax expense (benefit) of ($1.9) and $5.2 million for the three and nine months ended September 30, 2013 respectively

 

(1,960

)

 

5,166

 

 

 

XML 49 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT REPORTING (Tables)
9 Months Ended
Sep. 30, 2014
SEGMENT REPORTING  
Schedule of information for each operating segment

The following tables provide information for each operating segment (in thousands):

 

 

 

For the Three Months Ended September 30, 2013

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

32,796

 

$

 

$

 

$

 

$

 

$

32,796

 

International wireless

 

 

7,046

 

15,849

 

 

 

22,895

 

Wireline

 

152

 

15,640

 

 

5,712

 

 

21,504

 

Equipment and other

 

109

 

388

 

1,594

 

64

 

 

2,155

 

Total revenue

 

33,057

 

23,074

 

17,443

 

5,776

 

 

79,350

 

Depreciation and amortization

 

4,039

 

4,551

 

2,551

 

816

 

378

 

12,335

 

Non-cash stock-based compensation

 

 

 

 

 

926

 

926

 

Operating income (loss)

 

18,293

 

7,028

 

3,292

 

(255

)

(8,320

)

20,038

 

 

 

 

For the Nine Months Ended September 30, 2013

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

80,597

 

$

 

$

 

$

 

$

 

$

80,597

 

International wireless

 

 

20,330

 

45,832

 

 

 

66,162

 

Wireline

 

457

 

46,493

 

 

15,995

 

 

62,945

 

Equipment and other

 

313

 

1,151

 

4,468

 

171

 

 

6,103

 

Total revenue

 

81,367

 

67,974

 

50,300

 

16,166

 

 

215,807

 

Depreciation and amortization

 

12,119

 

13,476

 

7,705

 

2,252

 

965

 

36,517

 

Non-cash stock-based compensation

 

 

 

 

 

2,898

 

2,898

 

Operating income (loss)

 

40,472

 

19,596

 

7,226

 

(786

)

(18,485

)

48,023

 

 

 

 

For the Three Months Ended September 30, 2014

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

44,306

 

$

 

$

 

$

 

$

 

$

44,306

 

International wireless

 

 

6,399

 

15,158

 

 

 

21,557

 

Wireline

 

152

 

15,249

 

 

6,130

 

 

21,531

 

Equipment and other

 

278

 

183

 

1,469

 

69

 

 

1,999

 

Total revenue

 

44,736

 

21,831

 

16,627

 

6,199

 

 

 

89,393

 

Depreciation and amortization

 

3,657

 

4,397

 

2,596

 

1,193

 

999

 

12,842

 

Non-cash stock-based compensation

 

 

 

 

 

1,002

 

1,002

 

Operating income (loss)

 

27,585

 

5,065

 

2,231

 

(471

)

(6,252

)

28,158

 

 

 

 

For the Nine Months Ended September 30, 2014

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

U.S. wireless

 

$

110,153

 

$

 

$

 

$

 

$

 

$

110,153

 

International wireless

 

 

20,054

 

47,073

 

 

 

67,127

 

Wireline

 

457

 

44,399

 

 

19,488

 

 

64,344

 

Equipment and other

 

663

 

573

 

4,782

 

194

 

 

6,212

 

Total revenue

 

111,273

 

65,026

 

51,855

 

19,682

 

 

 

247,836

 

Depreciation and amortization

 

10,413

 

13,111

 

7,810

 

3,519

 

2,899

 

37,752

 

Non-cash stock-based compensation

 

 

 

 

 

3,381

 

3,381

 

Operating income (loss)

 

63,826

 

15,293

 

8,210

 

(2,511

)

(18,804

)

66,014

 

 

 

 

Segment Assets

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

December 31, 2013:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net fixed assets

 

$

73,592 

 

$

118,917 

 

$

29,310 

 

$

26,082 

 

$

6,731 

 

$

254,632 

 

Goodwill

 

32,148 

 

 

5,438 

 

7,491 

 

 

45,077 

 

Total assets

 

151,094 

(1)

197,903 

 

74,427 

 

45,351 

 

390,944 

 

859,719 

 

September 30, 2014:

 

 

 

 

 

 

 

 

 

 

 

 

 

Net fixed assets

 

$

75,930 

 

$

110,870 

 

$

26,622 

 

$

26,930 

 

$

13,156 

 

$

253,508 

 

Goodwill

 

32,148 

 

 

5,438 

 

7,491 

 

 

45,077 

 

Total assets

 

178,208 

(1)

200,770 

 

78,417 

 

43,359 

 

342,677 

 

843,431 

 

 

(1)

Includes $4,748 and $73,492 of assets associated with our discontinued operations as of December 31, 2013 and September 30, 2014, respectively.

 

 

 

Capital Expenditures

 

 

 

U.S. Wireless

 

International
Integrated
Telephony

 

Island
Wireless

 

U.S.
Wireline

 

Reconciling
Items

 

Consolidated

 

Nine Months Ended September 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2013

 

$

27,736 

 

$

9,039 

 

$

4,014 

 

$

11,231 

 

$

3,151 

 

$

55,171 

 

2014

 

$

26,496 

 

$

6,816 

 

$

3,966 

 

$

2,325 

 

$

2,096 

 

$

41,699 

 

 

XML 50 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME    
Net income $ 43,636 $ 329,093
Other comprehensive income:    
Unrealized gain on interest rate swap, net of tax expense of $2.0 million and $0.0 million, respectively   6,985
Other comprehensive income, net of tax   6,985
Comprehensive income 43,636 336,078
Less: Comprehensive income attributable to non-controlling interests (8,116) (35,234)
Comprehensive income attributable to Atlantic Tele-Network, Inc. $ 35,520 $ 300,844
XML 51 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
USE OF ESTIMATES
9 Months Ended
Sep. 30, 2014
USE OF ESTIMATES  
USE OF ESTIMATES

3.  USE OF ESTIMATES

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the dates of the financial statements and the reported amounts of revenue and expenses during the reporting periods. The most significant estimates relate to the allowance for doubtful accounts, useful lives of the Company’s fixed and finite-lived intangible assets, allocation of purchase price to assets acquired and liabilities assumed in purchase business combinations, fair value of indefinite-lived intangible assets, goodwill and income taxes. Actual results could differ significantly from those estimates.

XML 52 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
BASIS OF PRESENTATION (Details) (Reclassifications, General and administrative expense, USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2014
Reclassifications | General and administrative expense
 
Reclassifications  
Prior period reclassifications $ 0.7
XML 53 FilingSummary.xml IDEA: XBRL DOCUMENT 2.4.0.8 Html 169 202 1 false 50 0 false 5 false false R1.htm 00090 - Document - Document and Entity Information Sheet http://www.atni.com/role/DocumentDocumentAndEntityInformation Document and Entity Information true false R2.htm 00100 - Statement - CONSOLIDATED BALANCE SHEETS Sheet http://www.atni.com/role/StatementConsolidatedBalanceSheets CONSOLIDATED BALANCE SHEETS false false R3.htm 00105 - Statement - CONSOLIDATED BALANCE SHEETS (Parenthetical) Sheet http://www.atni.com/role/StatementConsolidatedBalanceSheetsParenthetical CONSOLIDATED BALANCE SHEETS (Parenthetical) false false R4.htm 00200 - Statement - CONSOLIDATED INCOME STATEMENTS Sheet http://www.atni.com/role/StatementConsolidatedIncomeStatements CONSOLIDATED INCOME STATEMENTS false false R5.htm 00300 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME Sheet http://www.atni.com/role/StatementConsolidatedStatementsOfComprehensiveIncome CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME false false R6.htm 00305 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Parenthetical) Sheet http://www.atni.com/role/StatementConsolidatedStatementsOfComprehensiveIncomeParenthetical CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Parenthetical) false false R7.htm 00400 - Statement - CONSOLIDATED STATEMENTS OF CASH FLOWS Sheet http://www.atni.com/role/StatementConsolidatedStatementsOfCashFlows CONSOLIDATED STATEMENTS OF CASH FLOWS false false R8.htm 10101 - Disclosure - ORGANIZATION AND BUSINESS OPERATIONS Sheet http://www.atni.com/role/DisclosureOrganizationAndBusinessOperations ORGANIZATION AND BUSINESS OPERATIONS false false R9.htm 10201 - Disclosure - BASIS OF PRESENTATION Sheet http://www.atni.com/role/DisclosureBasisOfPresentation BASIS OF PRESENTATION false false R10.htm 10301 - Disclosure - USE OF ESTIMATES Sheet http://www.atni.com/role/DisclosureUseOfEstimates USE OF ESTIMATES false false R11.htm 10401 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS Sheet http://www.atni.com/role/DisclosureDiscontinuedOperationsSaleOfUsRetailWirelessBusiness DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS false false R12.htm 10501 - Disclosure - FAIR VALUE MEASUREMENTS Sheet http://www.atni.com/role/DisclosureFairValueMeasurements FAIR VALUE MEASUREMENTS false false R13.htm 10601 - Disclosure - LONG-TERM DEBT Sheet http://www.atni.com/role/DisclosureLongTermDebt LONG-TERM DEBT false false R14.htm 10701 - Disclosure - DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES Sheet http://www.atni.com/role/DisclosureDerivativeInstrumentsAndHedgingActivities DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES false false R15.htm 10801 - Disclosure - GOVERNMENT GRANTS Sheet http://www.atni.com/role/DisclosureGovernmentGrants GOVERNMENT GRANTS false false R16.htm 10901 - Disclosure - EQUITY Sheet http://www.atni.com/role/DisclosureEquity EQUITY false false R17.htm 11001 - Disclosure - NET INCOME PER SHARE Sheet http://www.atni.com/role/DisclosureNetIncomePerShare NET INCOME PER SHARE false false R18.htm 11101 - Disclosure - SEGMENT REPORTING Sheet http://www.atni.com/role/DisclosureSegmentReporting SEGMENT REPORTING false false R19.htm 11201 - Disclosure - COMMITMENTS AND CONTINGENCIES Sheet http://www.atni.com/role/DisclosureCommitmentsAndContingencies COMMITMENTS AND CONTINGENCIES false false R20.htm 30103 - Disclosure - ORGANIZATION AND BUSINESS OPERATIONS (Tables) Sheet http://www.atni.com/role/DisclosureOrganizationAndBusinessOperationsTables ORGANIZATION AND BUSINESS OPERATIONS (Tables) false false R21.htm 30403 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Tables) Sheet http://www.atni.com/role/DisclosureDiscontinuedOperationsSaleOfUsRetailWirelessBusinessTables DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Tables) false false R22.htm 30503 - Disclosure - FAIR VALUE MEASUREMENTS (Tables) Sheet http://www.atni.com/role/DisclosureFairValueMeasurementsTables FAIR VALUE MEASUREMENTS (Tables) false false R23.htm 30703 - Disclosure - DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables) Sheet http://www.atni.com/role/DisclosureDerivativeInstrumentsAndHedgingActivitiesTables DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables) false false R24.htm 30903 - Disclosure - EQUITY (Tables) Sheet http://www.atni.com/role/DisclosureEquityTables EQUITY (Tables) false false R25.htm 31003 - Disclosure - NET INCOME PER SHARE (Tables) Sheet http://www.atni.com/role/DisclosureNetIncomePerShareTables NET INCOME PER SHARE (Tables) false false R26.htm 31103 - Disclosure - SEGMENT REPORTING (Tables) Sheet http://www.atni.com/role/DisclosureSegmentReportingTables SEGMENT REPORTING (Tables) false false R27.htm 40201 - Disclosure - BASIS OF PRESENTATION (Details) Sheet http://www.atni.com/role/DisclosureBasisOfPresentationDetails BASIS OF PRESENTATION (Details) false false R28.htm 40202 - Disclosure - BASIS OF PRESENATION (Details 2) Sheet http://www.atni.com/role/DisclosureBasisOfPresenationDetails2 BASIS OF PRESENATION (Details 2) false false R29.htm 40401 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Details) Sheet http://www.atni.com/role/DisclosureDiscontinuedOperationsSaleOfUsRetailWirelessBusinessDetails DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Details) false false R30.htm 40501 - Disclosure - FAIR VALUE MEASUREMENTS (Details) Sheet http://www.atni.com/role/DisclosureFairValueMeasurementsDetails FAIR VALUE MEASUREMENTS (Details) false false R31.htm 40601 - Disclosure - LONG-TERM DEBT (Details) Sheet http://www.atni.com/role/DisclosureLongTermDebtDetails LONG-TERM DEBT (Details) false false R32.htm 40701 - Disclosure - DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Details) Sheet http://www.atni.com/role/DisclosureDerivativeInstrumentsAndHedgingActivitiesDetails DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Details) false false R33.htm 40801 - Disclosure - GOVERNMENT GRANTS (Details) Sheet http://www.atni.com/role/DisclosureGovernmentGrantsDetails GOVERNMENT GRANTS (Details) false false R34.htm 40802 - Disclosure - GOVERNMENT GRANTS (Details 2) Sheet http://www.atni.com/role/DisclosureGovernmentGrantsDetails2 GOVERNMENT GRANTS (Details 2) false false R35.htm 40901 - Disclosure - EQUITY (Details) Sheet http://www.atni.com/role/DisclosureEquityDetails EQUITY (Details) false false R36.htm 41001 - Disclosure - NET INCOME PER SHARE (Details) Sheet http://www.atni.com/role/DisclosureNetIncomePerShareDetails NET INCOME PER SHARE (Details) false false R37.htm 41101 - Disclosure - SEGMENT REPORTING (Details) Sheet http://www.atni.com/role/DisclosureSegmentReportingDetails SEGMENT REPORTING (Details) false false R38.htm 41201 - Disclosure - COMMITMENTS AND CONTINGENCIES (Details) Sheet http://www.atni.com/role/DisclosureCommitmentsAndContingenciesDetails COMMITMENTS AND CONTINGENCIES (Details) false false All Reports Book All Reports Element us-gaap_CommonStockDividendsPerShareDeclared had a mix of decimals attribute values: 0 2. Element us-gaap_ExtraordinaryItemGainOrLossNetOfTaxAttributableToNoncontrollingInterest had a mix of decimals attribute values: -5 -3. Element us-gaap_RestrictedCashAndCashEquivalentsAtCarryingValue had a mix of decimals attribute values: -5 -3. 'Monetary' elements on report '40401 - Disclosure - DISCONTINUED OPERATIONS - SALE OF U.S. RETAIL WIRELESS BUSINESS (Details)' had a mix of different decimal attribute values. 'Shares' elements on report '41001 - Disclosure - NET INCOME PER SHARE (Details)' had a mix of different decimal attribute values. Process Flow-Through: 00100 - Statement - CONSOLIDATED BALANCE SHEETS Process Flow-Through: Removing column 'Sep. 30, 2013' Process Flow-Through: Removing column 'Dec. 31, 2012' Process Flow-Through: 00105 - Statement - CONSOLIDATED BALANCE SHEETS (Parenthetical) Process Flow-Through: 00200 - Statement - CONSOLIDATED INCOME STATEMENTS Process Flow-Through: 00300 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME Process Flow-Through: Removing column '3 Months Ended Sep. 30, 2014' Process Flow-Through: Removing column '3 Months Ended Sep. 30, 2013' Process Flow-Through: 00305 - Statement - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Parenthetical) Process Flow-Through: 00400 - Statement - CONSOLIDATED STATEMENTS OF CASH FLOWS atni-20140930.xml atni-20140930.xsd atni-20140930_cal.xml atni-20140930_def.xml atni-20140930_lab.xml atni-20140930_pre.xml true true XML 54 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
COMMITMENTS AND CONTINGENCIES (Details) (USD $)
In Millions, unless otherwise specified
0 Months Ended
Jul. 31, 2014
Jan. 15, 2014
COMMITMENTS AND CONTINGENCIES    
Renewal fee of telecommunications license   $ 4.0
Amount of overdue spectrum fees demanded by the government of Aruba be paid by July 31, 2014 $ 2.0  
XML 55 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
ORGANIZATION AND BUSINESS OPERATIONS (Tables)
9 Months Ended
Sep. 30, 2014
ORGANIZATION AND BUSINESS OPERATIONS  
Schedule of the operating activities of the Company's principal subsidiaries, the segments in which the Company reports its revenue and markets served

 

Services

 

Segment

 

Markets

 

Tradenames

Wireless

 

U.S. Wireless

 

United States

 

Commnet, Choice

 

 

Island Wireless

 

Aruba, Bermuda, Turks and Caicos, U.S. Virgin Islands

 

Mio, CellOne, Islandcom, Choice

 

 

International Integrated Telephony

 

Guyana

 

Cellink

Wireline

 

International Integrated Telephony

 

Guyana

 

GT&T, eMagine

 

 

U.S. Wireline

 

United States (New England and New York State)

 

Sovernet, ION, EssexTel