-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Fq+aLHCCSkxYGb5+yqxdsJxsu9E3/n7Ui0N3Sv60r9rWNAcykm4T52Z0RvMWcWC+ DeHo6Z3SqUN+yG7kO2TmMw== 0000909450-08-000074.txt : 20080804 0000909450-08-000074.hdr.sgml : 20080804 20080804150912 ACCESSION NUMBER: 0000909450-08-000074 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20080630 FILED AS OF DATE: 20080804 DATE AS OF CHANGE: 20080804 EFFECTIVENESS DATE: 20080804 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GRUBER & MCBAINE CAPITAL MANAGEMENT LLC CENTRAL INDEX KEY: 0000909450 IRS NUMBER: 770210467 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-04761 FILM NUMBER: 08987799 BUSINESS ADDRESS: STREET 1: 50 OSGOOD PLACE PENTHOUSE CITY: SAN FRANCISCO STATE: CA ZIP: 94133 BUSINESS PHONE: 4159811039 MAIL ADDRESS: STREET 1: 50 OSGOOD PLACE CITY: SAN FRANCISCO STATE: CA ZIP: 94133 FORMER COMPANY: FORMER CONFORMED NAME: GRUBER & MCBAINE CAPITAL MANAGEMENT/GRUBER JON D ET AL DATE OF NAME CHANGE: 19951108 13F-HR 1 q20813f.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: June 30, 2008 Check here if Amendment: __; Amendment Number: __ This Amendment (Check only one.) __ is a restatement. ___ adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Gruber & McBaine Capital Management, LLC Address: 50 Osgood Place, Penthouse__ San Francisco, CA 94133_____ Form 13F File Number: 28-3296________ The institutional investment manager filing this report and the person by whom it is signed hereby represent that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists and tables, are considered integral parts of this Form. Person Signing this Report on Behalf of Reporting Manager: Name: Elizabeth Giorgis____________ Title: Administrator_______________ Phone: 415 782 2610_________________ Signature, Place and Date of Signing: _________________________ San Francisco, CA_ August 4, 2008 [Signature] [City, State] [Date] Report Type (Check only one.): _X_ 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) ___ 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) ___ 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) List of Other Managers Reporting for this Manager: [If there are no entries in this list, omit this section.] Form 13F File Number Name 29-________________ ________________________________________ [Repeat as necessary.] Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: _____0_____ Form 13F Information Table Entry Total: ____262____ Form 13F Information Table Value Total: __767,760__ _ _ List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. [If there are no entries in this list, state "NONE" and omit the column headings and list entries.] No. Form 13F File Number Name NONE 28-___________ ___________________________ [Repeat as necessary.] NAME OF ISSUER TITLE OF CUSIP VALUE SHARES INV. OTHER AUTH CLASS X1000 DISC MGR ABB LTD COMMON 000375204 7876 278100 SOLE 278100 Absolute Software COMMON 00386B109 2885 280700 SOLE 280700 Access Intgrtd Tch COMMON 004329108 2245 1069146 SOLE 1069146 ADC Telecommunications COMMON 000886309 2954 200000 SOLE 200000 Adept Tech COMMON 006854202 5136 525699 SOLE 525699 Advanced Analogic TechnologCOMMON 00752J108 206 50000 SOLE 50000 Advent Software COMMON 007974108 5107 141555 SOLE 141555 Advisory Board COMMON 00762W107 3540 90000 SOLE 90000 Airspan Networks COMMON 00950H102 561 748500 SOLE 748500 Akamai Technologies COMMON 00971T101 3684 105900 SOLE 105900 Akeena Solar COMMON 009720103 3298 586870 SOLE 586870 Akorn Inc COMMON 009728106 2742 828450 SOLE 828450 Alliance Data Systems COMMON 018581108 9896 175000 SOLE 175000 Allion Healthcare Inc COMMON 019615103 7864 1379657 SOLE 1379657 Altra Holdings COMMON 02208R106 5886 350151 SOLE 350151 Amazon.Com Inc COMMON 023135106 6235 85025 SOLE 85025 American Vanguard Corp COMMON 030371108 1528 124250 SOLE 124250 American Water Works COMMON 030420103 6621 298500 SOLE 298500 Amerisafe Inc COMMON 03071H100 2944 184719 SOLE 184719 Amtech Systems COMMON 032332504 1611 150000 SOLE 150000 Analog Devices COMMON 032654105 1406 44250 SOLE 44250 Apple Inc. COMMON 037833100 15949 95250 SOLE 95250 Applied Energetics/IonatronCOMMON 462070103 635 399100 SOLE 399100 Approach Resources Inc COMMON 03834A103 1607 60000 SOLE 60000 Aruba Networks COMMON 043176106 1032 197280 SOLE 197280 Atheros Communications COMMON 04743P108 3000 100000 SOLE 100000 Bare Escentuals Inc COMMON 067511105 2622 140000 SOLE 140000 Barrick Gold COMMON 067901108 2730 60000 SOLE 60000 Be Aerospace COMMON 073302101 1980 85000 SOLE 85000 Benihana Inc COMMON 082047101 996 159137 SOLE 159138 Benihana Inc Class A COMMON 082047200 1819 286940 SOLE 286940 Bombardier Inc class B COMMON 097751200 6535 900000 SOLE 900000 Bookham Technology COMMON 09856E105 12991 7687151 SOLE 7687151 Brightpoint Inc COMMON 109473405 917 125650 SOLE 125650 Broadcom Corp COMMON 111320107 5458 200000 SOLE 200000 Brooke Credit Corp Wt Warrants 11252N101 0 173000 SOLE 173000 CAE Inc COMMON 124765108 6604 585000 SOLE 585000 Calgon Carbon Corp COMMON 129603106 1357 87800 SOLE 87800 Calpine Corp COMMON 131347304 9641 427350 SOLE 427350 Capstone Turbine COMMON 14067D102 2200 525000 SOLE 525000 Cavium Networks Inc COMMON 14965A101 5494 261600 SOLE 261600 Ceragon Networks COMMON 1L00108516 380 49100 SOLE 49100 Check Point Software COMMON M22465104 1420 60000 SOLE 60000 China Nepstar Chain DrugstoCOMMON 16943C109 3791 437775 SOLE 437775 China Solar&Clean Energy SOCOMMON 16943E105 70 50000 SOLE 50000 Clarient COMMON 180489106 693 342895 SOLE 342895 Cobra Electronics COMMON 191042100 139 50924 SOLE 50924 Cogent Comm Grp Inc COMMON 19239V302 4275 319000 SOLE 319000 Comarco Inc. COMMON 200080109 2125 583812 SOLE 583812 Commerce Planet COMMON 20084U100 18 350650 SOLE 350650 Compania de Saneamento BasiCOMMON 20441A102 3839 75045 SOLE 75045 Compellent Tech COMMON 20452A108 340 30000 SOLE 30000 Composite Tech COMMON 20461S108 744 600000 SOLE 600000 Comtech Comm COMMON 205826209 2695 55000 SOLE 55000 Comverse Technology COMMON 205862402 1610 95000 SOLE 95000 Concur Technologies COMMON 206708109 4616 138900 SOLE 138900 Continental Resources COMMON 212015101 5012 72300 SOLE 72300 Corgi Intl LTD ADR COMMON 21872Q202 720 1194442 SOLE 1194442 Cosco Corp Singapore COMMON Y1764Z208 5879 2500000 SOLE 2500000 CoStar Group COMMON 22160n109 4712 106000 SOLE 106000 Covanta Holdings COMMON 22282E102 5047 189095 SOLE 189095 Cuisine Solutions COMMON 229904107 2187 1017427 SOLE 1017427 Currency Shares Japanese YeCOMMON 23130A102 3293 35050 SOLE 35050 Cybersource Corp COMMON 23251J106 3182 190190 SOLE 190190 Cybex Intl Inc COMMON 23252E106 1258 368851 SOLE 368851 Daystar Technologies COMMON 23962Q100 1051 230000 SOLE 230000 Denison Mines COMMON 248356107 1746 200000 SOLE 200000 DG FastChannel Inc COMMON 23326R109 2749 159350 SOLE 159350 Diamond Offshore Drilling COMMON 25271C102 2084 14975 SOLE 14975 Double Take Software COMMON 258598101 800 58200 SOLE 58200 Dynegy Inc COMMON 26816Q101 3847 450000 SOLE 450000 EF Johnson Technology COMMON 26843B101 258 147300 SOLE 147300 El Paso Energy Corp COMMON 28336L109 1304 60000 SOLE 60000 Electronic Arts COMMON 285512109 11330 255000 SOLE 255000 EMAK Worldwide Inc COMMON 26861V104 302 269499 SOLE 269499 Emcore Corp COMMON 290846104 945 150900 SOLE 150900 Emergent Biosolutions Inc COMMON 29089Q105 1986 200000 SOLE 200000 Emrise Corp COMMON 29246J101 898 1381150 SOLE 1381150 Endo Pharmaceuticals COMMON 29264F205 3628 150000 SOLE 150000 Energy Savings Income Fund COMMON 292717105 7841 567500 SOLE 567500 Enliven Mkt Tech COMMON 293361101 2952 3514227 SOLE 3514227 Entropic Communications IncCOMMON 29384R105 1411 297150 SOLE 297150 Entrust Technologies COMMON 293848107 500 170000 SOLE 170000 Environmental Power COMMON 29406L201 2350 563600 SOLE 563600 EOG Resources COMMON 26875P101 4854 37000 SOLE 37000 Epiq Systems COMMON 26882D109 2648 186500 SOLE 186500 Equitable Resources COMMON 294549100 3453 50000 SOLE 50000 Exco Resources COMMON 269279402 1661 45000 SOLE 45000 FCStone Group Inc COMMON 31308T100 1648 59000 SOLE 59000 FEI Co. COMMON 30241L109 1367 60000 SOLE 60000 Five Star Quality Care COMMON 33832d106 2349 496695 SOLE 496695 Flotek Industries COMMON 343389102 2990 145000 SOLE 145000 Flow Intl Corp COMMON 343468104 1560 200000 SOLE 200000 Force Protection COMMON 345203202 11730 3543800 SOLE 3543800 Forest Labs Inc. COMMON 345838106 9139 263075 SOLE 263075 Forward Air Corp COMMON 349853101 1730 50000 SOLE 50000 Franklin Covey COMMON 353469109 1301 149870 SOLE 149870 FTI Consulting COMMON 302941109 7193 105070 SOLE 105070 GameTech Intl COMMON 36466D102 928 195400 SOLE 195400 Gigabeam Cp COMMON 37517W107 65 270495 SOLE 270495 Global Traffic Network Inc COMMON 37947B103 11943 1335950 SOLE 1335950 Goldcorp Inc COMMON 380956409 2770 60000 SOLE 60000 Greenlight Capital COMMON G4095J109 3434 150227 SOLE 150227 Gril Concepts Inc COMMON 398502203 406 210000 SOLE 210000 GSE Systems Inc COMMON 36227K106 1878 210750 SOLE 210750 Guidance Software COMMON 401692108 1432 150000 SOLE 150000 Hansen Medical Inc COMMON 411307101 1672 100000 SOLE 100000 Harmonic Inc COMMON 413160102 759 79850 SOLE 79850 Health Fitness Corp COMMON 42217V102 1800 1000000 SOLE 1000000 Hear USA COMMON 422360305 967 600400 SOLE 600400 Hemisphere GPS COMMON 423633106 2606 610000 SOLE 610000 Hewlett-Packard Co COMMON 428236103 4421 100000 SOLE 100000 Hollis Eden Pharm COMMON 435902101 1368 893817 SOLE 893817 Hollywood Media COMMON 436233100 5476 2234936 SOLE 2234936 Horizon Lines Inc COMMON 44044K101 1808 181750 SOLE 181750 Hythiam Inc COMMON 44919F104 4369 1805300 SOLE 1805300 Imageware Sys COMMON 45245S108 1401 2139901 SOLE 2139901 Imageware Sys C COMMON 452992100 644 133333 SOLE 133333 Imageware Sys D COMMON 452992290 275 355263 SOLE 355263 Imergent Inc COMMON 45247Q100 9211 777944 SOLE 777944 India Globalization CapitalCOMMON 45408X100 50 10000 SOLE 10000 India Globalization CapitalWarrants 45408X118 62 65000 SOLE 65000 InfoGroup Inc COMMON 456818301 1588 361741 SOLE 361741 Infologix Inc COMMON 45668X105 347 169100 SOLE 169100 Inplay Tech Inc COMMON 45773L103 697 1838205 SOLE 1838205 Integramed America COMMON 45810n302 4121 575550 SOLE 575550 Integrated Security Sys Note 45812J101 52 1300000 SOLE 1300000 Intelli-Check Inc COMMON 45817G102 297 147215 SOLE 147215 Intelligroup Inc COMMON 45816A106 1973 986640 SOLE 986640 Interactive Brokers Group ICOMMON 45841N107 3698 115100 SOLE 115100 Interface Inc. Class A COMMON 458665106 2102 167750 SOLE 167750 Intermap Technologies COMMON 458977204 931 161050 SOLE 161050 Int'l Business Machines COMMON 459200101 205 1733 SOLE 1732.61 Int'l Paper COMMON 460146103 2796 120000 SOLE 120000 Intrinsyc Software Intl IncCOMMON 461199101 902 1750000 SOLE 1750000 Inverness Med Innovations COMMON 46126P106 8425 254000 SOLE 254000 Iomai Corp COMMON 46202P103 12959 2002870 SOLE 2002870 IRobot Corp COMMON 462726100 1649 120000 SOLE 120000 Iteris Holdings Class A COMMON 46564T107 4998 1975531 SOLE 1975531 Itron COMMON 465741106 3196 32500 SOLE 32500 ITT Corp COMMON 450911102 4750 75000 SOLE 75000 J.P. Morgan COMMON 46625h100 4018 117100 SOLE 117100 JMP Group COMMON 46629U107 1708 258461 SOLE 258461 Knology Inc COMMON 499183804 2863 260534 SOLE 260534 Lattice Semiconductor COMMON 518415104 3443 1100000 SOLE 1100000 Lindsay Corp COMMON 535555106 2088 24570 SOLE 24570 LKQ Corp COMMON 501889208 4915 272000 SOLE 272000 LML Payment Systems COMMON 50208P109 2871 1047773 SOLE 1047773 Lululemon Athletica Inc COMMON 550021109 2906 100000 SOLE 100000 Mad Catz Interactive Inc COMMON 556162105 1657 2807900 SOLE 2807900 Majesco Entrtnmnt COMMON 560690208 680 764200 SOLE 764200 Major Drilling Group COMMON 560909103 4413 90075 SOLE 90075 Martha Stewart Living OmnimCOMMON 573083102 1458 197000 SOLE 197000 Marvell Technologies COMMON G5876H105 10552 597500 SOLE 597500 Maxwell Labs COMMON 577767106 2638 248400 SOLE 248400 MDC Partners Inc COMMON 552697104 6537 910477 SOLE 910477 Mellanox Technologies COMMON M51363113 758 56000 SOLE 56000 MEMC Electronic Materials COMMON 552715104 3385 55000 SOLE 55000 Mentor Graphics COMMON 587200106 6852 433650 SOLE 433650 Metalico Inc COMMON 591176102 719 41025 SOLE 41025 Micron Technology Inc. COMMON 595112103 1800 300000 SOLE 300000 MicroTune Inc COMMON 59514P109 346 100000 SOLE 100000 Mobile Mini COMMON 60740F105 2617 130850 SOLE 130850 Modtech Holdings COMMON 60783c100 344 3405654 SOLE 3405654 Monogram Biosciences COMMON 60975U108 4289 3899231 SOLE 3899231 Monotype Imaging Holdings COMMON 61022P100 2131 175000 SOLE 175000 Monterey Gourmet Foods COMMON 612570101 4875 2413205 SOLE 2413205 MSGI Security Solutions COMMON 553570102 819 1904248 SOLE 1904248 Navarre Corp COMMON 639208107 814 496475 SOLE 496475 Neomagic Cp COMMON 640497202 86 252247 SOLE 252247 Net 1 Ueps Tech Inc COMMON 64107N206 3894 160252 SOLE 160252 NetApp Inc / Network AppliaCOMMON 64120L104 1408 65000 SOLE 65000 Netlist Inc COMMON 64118P109 457 269075 SOLE 269075 Neurometrix Inc COMMON 641255104 1876 1339693 SOLE 1339693 Novatel Wireless COMMON 66987M604 1113 100000 SOLE 100000 Novint Tech COMMON 670085109 1129 1117663 SOLE 1117663 Nuance Comm COMMON 67020Y100 15131 965600 SOLE 965600 O2 Micro International COMMON 67107W100 493 74200 SOLE 74200 ON Semiconductor COMMON 682189105 1834 200000 SOLE 200000 Open Text COMMON 683715106 4025 125400 SOLE 125400 Orpak System Ltd COMMON M75740106 1658 746000 SOLE 746000 OSI Systems COMMON 671044105 2892 135000 SOLE 135000 OYO Geospace Corp COMMON 671074102 3578 60700 SOLE 60700 Par Technology Corporation COMMON 698884103 2957 395800 SOLE 395800 PC-Tel Inc COMMON 69325Q105 3116 324907 SOLE 324907 Penn Virginia COMMON 707882106 1131 15000 SOLE 15000 Penn Virginia Resource PartCOMMON 707884102 886 32700 SOLE 32700 Penwest Pharmaceutical COMMON 709754105 2420 896350 SOLE 896350 Perma-Fix Envirn Serv COMMON 714157104 1227 424500 SOLE 424500 Petro Resources Corp COMMON 71646K106 139 53450 SOLE 53450 Petrohawk Energy COMMON 716495106 4168 90000 SOLE 90000 Petroleo Brasiliero ADR COMMON 71654V408 3541 50000 SOLE 50000 Petroleo Brasiliero ADR COMMON 71654V101 3802 65600 SOLE 65600 Phoenix Coal Sub-Receipts UCOMMON 71903A106 345 200000 SOLE 200000 Photon Dynamics COMMON 719364101 1284 85154 SOLE 85154 PowerSecure COMMON 73936N105 7924 1091407 SOLE 1091407 Presstek Inc COMMON 741113104 438 88250 SOLE 88250 Price Smart COMMON 741511109 6694 338425 SOLE 338425 Puredepth COMMON 74622H105 1272 3261710 SOLE 3261710 QualComm COMMON 747525103 2884 65000 SOLE 65000 Quantum Corp-DLT & Storage COMMON 747906204 2106 1560000 SOLE 1560000 Range Resources Corp COMMON 75281A109 1861 28400 SOLE 28400 Red Back Mining COMMON 756297107 1494 175500 SOLE 175500 Redwood Trust COMMON 758075402 4388 192525 SOLE 192525 Remedent Inc COMMON 75954T104 1728 1280000 SOLE 1280000 Renewable Energy Corp COMMON R7199U100 2298 88700 SOLE 88700 Reunion Gold COMMON 76131P106 190 400000 SOLE 400000 RF Micro Devices COMMON 749941100 610 210400 SOLE 210400 Richardson Electronics COMMON 763165107 744 125450 SOLE 125450 Riverbed Tech COMMON 768573107 2744 200000 SOLE 200000 Royal Gold COMMON 780287108 9419 300335 SOLE 300335 Rubicon Tech COMMON 78112T107 1707 84000 SOLE 84000 Ryanair Holdings COMMON 783513104 493 17200 SOLE 17200 Safeguard Scientifics Inc. COMMON 786449108 2686 2165900 SOLE 2165900 Saic Inc COMMON 78390X101 2603 125100 SOLE 125100 San Gold Corp COMMON 79780P104 979 450000 SOLE 450000 Sandvine Corp COMMON 800213100 724 523500 SOLE 523500 Sapient Corp COMMON 803062108 4866 758000 SOLE 758000 Schlumberger Ltd COMMON 806857108 1021 9500 SOLE 9500 Seagate Technology HoldingsCOMMON G7945J104 956 50000 SOLE 50000 Sempra Energy COMMON 816851109 5263 93225 SOLE 93225 Seracare Life Sciences COMMON 81747Q100 1279 261500 SOLE 261500 Shanda Interactive Ent ADR COMMON 81941Q203 4930 181575 SOLE 181575 Siga Tech COMMON 826917106 3807 1220195 SOLE 1220195 Signalife Inc COMMON 82669P104 701 2635800 SOLE 2635800 Silicon Laboratories COMMON 826919102 1624 45000 SOLE 45000 Silicon Motion ADR COMMON 82706C108 2745 189950 SOLE 189950 Silver Wheaton Corp COMMON 828336107 4981 340000 SOLE 340000 Sinomem Technology Ltd COMMON Y8035B100 1588 3350000 SOLE 3350000 Sinovac Biotech COMMON P8696W104 4611 1418795 SOLE 1418795 Solar Power Inc COMMON 83490A100 1532 1178616 SOLE 1178616 Sonic Solutions COMMON 835460106 536 90000 SOLE 90000 SPDR Gold Trust ETF COMMON 863307104 5084 55625 SOLE 55625 Spreadtrum Communications COMMON 849415203 449 90000 SOLE 90000 Standard Microsystem Corp COMMON 853626109 1222 45000 SOLE 45000 StealthGas Inc COMMON Y81669106 1080 76575 SOLE 76575 STEC Inc COMMON 828823104 7304 711200 SOLE 711200 Sun Opta COMMON 8676EP108 5185 999038 SOLE 999038 Super Micro Computer COMMON 86800U104 1443 195500 SOLE 195500 Symix Systems COMMON 871628103 1147 127500 SOLE 127500 Tessera Technologies COMMON 88164L100 1964 120000 SOLE 120000 Tetra Tech COMMON 88162g103 3961 175100 SOLE 175100 ThermoEnergy COMMON 883906406 836 674200 SOLE 674200 Thermogenesis Corp COMMON 883623209 6518 4655433 SOLE 4655433 Thinkorswim Group Inc COMMON 46145P103 3258 462100 SOLE 462100 Towerstream Corp COMMON 892000100 715 581084 SOLE 581084 Transocean Inc COMMON G90073100 2118 13900 SOLE 13900 UCBH Holding Inc COMMON 90262T308 1801 800500 SOLE 800500 Ultra Financials Proshares COMMON 74347R743 823 41000 SOLE 41000 Ultratech Inc COMMON 904034105 4808 309800 SOLE 309800 Uranium Participation Corp COMMON 917017105 1912 200100 SOLE 200100 Uroplasty Inc COMMON 917277204 957 305700 SOLE 305700 Vaxgen Inc COMMON 922390208 3630 6048565 SOLE 6048565 Veolia Environment ADR COMMON 92334N103 3519 63000 SOLE 63000 Viacom Inc Class B COMMON 92553P201 6106 199950 SOLE 199950 Virage Logic Corp COMMON 92763R104 7160 1000000 SOLE 1000000 Virtusa Corp COMMON 92827P102 530 52300 SOLE 52300 Visa Inc Class A COMMON 92826C839 2846 35000 SOLE 35000 Weyerhaeuser Co COMMON 962166104 3580 70000 SOLE 70000 World Energy Solutions COMMON 98145W109 130 101000 SOLE 101000 Xenoics Holdings COMMON 984117101 282 281881 SOLE 281881 Yucheng Tech COMMON G98777108 1007 90000 SOLE 90000
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